2 CCR 407-1
Department of Natural Resources Division of Reclamation, Mining and Safety HARD ROCK, METAL, AND DESIGNATED MINING OPERATIONS 2 CCR 407-1 [Editor’s Notes follow the text of the rules at the end of this CCR Document.] RULE 1: GENERAL PROVISIONS AND REQUIREMENTS – PERMIT PROCESS
1.1 DEFINITIONS
(1) “the Act” refers to the Colorado Mined Land Reclamation Act, Section 34-32-101, et seq., C.R.S. 1984, as amended.
(2) “Acid Mine Drainage” means contamination of water by low pH or heavy metals that occurs from mined or disturbed materials as a result of the chemical and biological oxidation of reactive sulfide minerals when exposed to air and water. The possibility of generating “Acid Mine Drainage” exists where the pH of any exposed or potentially exposed overburden, waste rock, mill tailings, waste water treatment sludge, or other mined, placed, disposed or stockpiled material has the potential to develop a pH of 5.8 or less. Such determination may be based upon acceptable accelerated weathering and leaching tests of a representative sample of the overburden, waste rock, mill tailings, or other mined, placed, disposed, or stockpiled material. In determining whether a potential for acid mine drainage generation exists, the Office will consider natural pre-mining acidity and metals occurrence in bedrock, soil, groundwater and surface water where such information is available to the Office. Mined and stockpiled material does not include ore or other mined product that is or will be processed within one hundred and eighty (180) days of being stockpiled and removed from the permit area. However, the area affected by such stockpiled material may require the appropriate measures pursuant to Rules 3, 6 and 7, to prevent off-site impacts due to drainage or leaching, and for reclamation of the affected stockpile area.
(3) “Activity” for the purpose of protecting groundwater quality, means any mining, milling, storing, disposing, or processing operations, or any reclamation operation or process that may discharge or cause discharge of pollutants to groundwater.
(4) “Affected Land” means the surface of an area within the state where a mining operation or Extractive Metallurgical Processing is being or will be conducted, which surface is disturbed as a result of such operation. Affected lands include but shall not be limited to private ways, roads, except those roads excluded pursuant to Rule 1.1(4), and railroad lines appurtenant to any such area; land excavations; prospecting sites; drill sites or workings; refuse banks or spoil piles; evaporation or settling ponds; leaching dumps; placer areas; tailings ponds or dumps; work, parking, storage or waste discharge areas; and areas in which structures, facilities, equipment, machines, tools or other materials or property which result from or are used in such operations are situated. All lands shall be excluded that would be otherwise included as land affected but which have been reclaimed in accordance with an approved plan or otherwise, as may be approved by the Board. Affected land shall not include off-site roads which existed prior to the date on which notice was given or permit application was made to the Office and which were constructed for purposes unrelated to the proposed mining operation and which will not be substantially upgraded to support the mining operation.
(5) “Aggrieved” means suffering actual loss or injury, or being exposed to potential loss or injury, to legitimate interests. Such interests include, but are not limited to, business, economic, governmental, recreational, or conservational interests.
(6) “Affected Surface Water and Groundwater” means for purposes of the baseline site characterization and monitoring plan required for applications for in situ leach mining operations that surface water or groundwater affected or potentially affected by such mining operation.
(7) “Ambient Groundwater Quality” for mining operations permitted prior to January 31, 1994, ambient groundwater quality shall mean the quality of the groundwater at the mine site as of January 31, 1994. For mining operations permitted on or after January 31, 1994, ambient groundwater shall mean the quality of groundwater at the time of submittal of the permit application. In establishing ambient groundwater quality, an Operator or Applicant shall use available or collected groundwater data sufficient to characterize the site's ambient groundwater quality and submit such information in a form suitable to the Office.
(8) “Amendment” means a change in the permit or an application which increases the acreage of the affected land, or which has a significant effect upon the approved or proposed Mining Plan, Reclamation Plan, or Environmental Protection Plan.
(9) “Analogous law, rule or permit” means for purposes of violations and patterns of violation required to be disclosed in applications for in situ leach mining operations any federal or state law, rule or permit issued by this or another state or the United States which covers any of the environmental protections set forth in Sections 34-32-116 and 116.5, C.R.S.
(10) “Anniversary Date” means the date the Office or Board issues the permit or the Notice of Intent to Prospect approval and is the date the annual fee shall be deposited with the Office on an annual basis until the Office or Board terminates the permit or Notice of Intent to Prospect.
(11) “Applicant” means any person who applies to the Office for a mining permit.
(12) “Aquifer” means a geologic formation, group of geologic formations, or part of a geologic formation containing sufficient saturated permeable material that could yield a sufficient quantity of water that may be extracted and applied to a beneficial use.
(13) “Authorized Agent” means any corporate officer, corporate attorney, individual person, or persons so designated in the permit application.
(14) “Baseline site characterization and monitoring plan” means that baseline site characterization and monitoring plan required by Section 34-32-112.5, C.R.S. for all permit applications for in situ leach and designated mining operations. This term does not include other baseline characterizations, monitoring plans, studies or the like required under the act or these regulations.
(15) “Best available technology” means, for the purposes of establishing, designing and implementing groundwater reclamation plans for in situ mining operations, the best technologies, treatment techniques, reclamation techniques or other means that result in effective reclamation of groundwater, taking into consideration all relevant factors including, but not limited to, technical feasibility, cost effectiveness, and the protection of public health, safety, welfare and the environment. In considering cost effectiveness, the financial condition of an operator shall not be a factor.
(16) “CERCLA” means the Federal “Comprehensive Environmental Response, Compensation, and Liability Act of 1980” 42 U.S.C. Sec.9601 ET SEQ.
(17) “Complex Application” is an application which may require the Office to respond to additional factors such as the public comment process, involve additional professional staff or outside professional or agency expertise, or address other issues beyond what the Office considers to be a typical application review process for the majority of applications received.
(18) “Days” as used throughout these regulations, “Working Days” means Monday through Friday and shall not include Saturdays, Sundays, State holidays, or other non-work days as declared by the Governor or Legislature. “Calendar Days” or “Days” means consecutive days, including weekends and holidays. In calculating any period of time prescribed or allowed by these rules, the day of the act, event, or default from which the designated period of time begins to run shall not be included. Thereafter, every day shall be counted, including holidays, Saturdays or Sundays. If the last day of the period, deadline or due date falls on a Saturday, Sunday, or legal holiday, the deadline is extended to the next Working Day.
(19) “Description of ISL Mines” means that description required to be in applications for all in situ leach mining operations of at least five (5) in situ leach mining operations that demonstrates the ability of the applicant to conduct such a proposed mining operation without any leakage, vertical or lateral migration, or excursion of any leaching solutions or groundwater-containing minerals, radionuclides, or other constituents mobilized, liberated or introduced by the in situ leach mining process into any groundwater outside of the permitted in situ leach mining area.
(20) “Designated Chemicals” are toxic or acidic chemicals identified by the applicant / operator, and accepted or determined by the Office, for use within the permit area, in extractive metallurgical processing, the use of which, has been determined, at certain concentrations, to represent a potential threat to human health, property or the environment.
(21) “Designated Mining Operation” means a mining operation at which:
(a) designated chemicals used in metallurgical processing are present on- site; or (b) toxic or acid-forming materials may be exposed or disturbed as a result of mining operations; or (c) acid mine drainage occurs or has the potential to occur due to mining or reclamation activities; or (d) uranium is developed or extracted, either by in situ leach mining methods or by conventional underground or open mining techniques.
(e) The various types of Designated Mining Operations are identified in Section 34-32-112.5, C.R.S. 1984, as amended. Except as to uranium mining operations, designated mining operations exclude operations that do not use toxic or acidic chemicals in processing for purposes of extractive metallurgy and will not cause acid mine drainage. Any designated mining operation, including uranium designated mining operations, may seek exemptions from this status pursuant to Rule 7.
(f) (1) Metal mining operations, permitted under Section 34-32-110, C.R.S. 1984, as amended, which do not use or store designated chemicals, or are Reclamation-Only, shall be excepted from the requirements applicable to Designated Mining Operations, unless they have a potential to produce acid or toxic mine drainage in quantities sufficient to adversely affect any person, property or the environment. It shall be the burden of the Operator or Applicant to demonstrate to the satisfaction of the Office that such potential does not exist.
(g) Designated Mining Operations shall be identified with a “d” suffix, (i.e., 110d or 112d). An in situ leach mining operation under Section 110 or 112 shall be treated as a section 112d-3 operation unless such operation is granted an exemption from designated mining operation status under Rule 7, in which case such operation shall be referred to as an “110 ISL” or “112 ISL” operation, as appropriate.
(22) “Development” means the work performed in relation to a deposit, following the prospecting required to prove minerals are in existence in commercial quantities but prior to production activities, aimed at, but not limited to, preparing the site for mining, defining further the ore deposit by drilling or other means, conducting pilot plant operations, constructing roads or ancillary facilities, and other related activities.
(23) “Environmental Protection Facility” means a structure which is identified in the “Environmental Protection Plan” as designed, constructed and operated for control or containment of designated chemicals, uranium, uranium by-products or other radionuclides, acid mine drainage, or toxic or acid-forming materials that will be exposed or disturbed as a result of mining or reclamation operations.
(24) “Environmental Protection Plan” means a plan submitted by a Designated Mining Operation for approval as part of the Operator's or Applicant's permit for such operation for the protection of human health, property or the environment in conformance with the duties of Operators as prescribed by the Act and these Rules.
(25) “Extraction” means the removal of minerals and/or overburden from places of natural occurrence to surface locations.
(26) “Extractive Metallurgical Processing” means the production-scale process of extracting metals of value from mineral ore, or waste water treatment for metals removal. Metallurgical processing may include but is not limited to crushing, concentrating, chemical leaching, evaporation, grinding, flotation, milling, or any other process of ore beneficiation on affected lands. It does not include laboratory analyses, metallurgical testing, potable water treatment, prospecting activities, or other activities which involve only incidental, or minimal, use of designated chemicals and which do not pose a threat to human health, property or the environment. All activities outlined constitute Mining Operations as defined herein.
(27) “Facility” means the combined “activities” occurring on the affected land.
(28) “Failure or Imminent Failure” means, for the purpose of emergency notification response:
(a) Any actual or imminent release of any material or liquid from any impoundment, embankment, or slope that poses a reasonable potential for danger to human health, property or to the environment;
(b) Any actual or imminent malfunction or nonperformance of any structure for in situ leach mining operations designed to detect, prevent, minimize, or mitigate adverse impacts on groundwater, human health, wildlife, or the environment; or (c) The actual or imminent malfunction or nonperformance of any environmental protection facility designed to contain or control chemicals or waste that are toxic or acid-forming.
(29) “Filed” means an application submitted to the Office and determined to contain the permit application information required for all permits by Rules 1.4.1, 1.6.2(1)(a)(i) and (b), 1.6.2(1)(g), and Rules:
• 1.4.2(2) for a non in situ leach mining 110 or 110d for a Limited Impact operation application or 110r Reclamation-Only Permit;
• 1.4.5(2) for a 112 or 112d Reclamation Permit Operation application; or • 1.4.4 and 1.4.5 for all in situ leach mining operation applications. Note: all 110 and 112 in situ leach mining operations under section must comply with filing requirements for both 112d designated mining operation applications and in situ leach mining applications unless the applicant is granted an exemption from designated mining operation status. In such a case, the applicant need only comply with in situ leach mining application requirements.
(30) “Financial Warrantor(s)” means a person who provides a Financial Warranty to the Board.
(31) “Financial Warranty” means a written promise to the Board to be responsible for reclamation costs up to the amount specified by the Board or Office or required by the Act, together with proof of financial responsibility.
(32) “Independent Reviewer” is a person who is utilized by the Office to review Quality Assurance/Quality Control certification documents designated by the Office, Baseline site Characterization and Monitoring Plans, Environmental Protection Plans, applications, Amendments and Technical Revisions and to monitor field operations. An Independent Reviewer is not an agent of the Office, Operator, Applicant, or any other person involved in the application or other hearing before the Board.
(33) “Inert Material” means non-water soluble and non-putrescible solids together with such minor amounts and types of other materials, unless such materials are toxic or acid-forming, as will not significantly affect the inert nature of such solids. The term includes, but is not limited to, earth, sand, gravel, rock, concrete which has been in a hardened state for at least sixty (60) days, masonry, asphalt paving fragments, and other inert solids. Protruding rebar or other metals within Inert Materials must be removed to a practicable extent by torching, cutting, or grinding. Any material that contains coal or plastic shall not be classified as Inert Material.
(34) “In Situ Leach Mining” means in situ mining for uranium through the in-place dissolution of mineral components of an ore deposit by causing a chemical leaching solution, usually aqueous, to penetrate or to be pumped down wells through the ore body and then removing the mineral-containing solution for development or extraction of the mineral values.
(a) It is not intended that this definition of in situ leach mining include extraction or disturbance of trace amounts or de minimus amounts of uranium that have no potential to affect human health or the environment when such extraction or disturbance of uranium occurs while mining another mineral. If uranium is disturbed or extracted during the mining of another mineral, the operator shall immediately inform the Office of the disturbance or extraction, and include all information concerning the circumstances of the disturbance or extraction of the uranium in a written report submitted to the Office. After notification to the Office, the Office will determine whether the Operator must comply with the in situ leach mining and designated mining operation requirements.
(35) “In Situ Mining” means the in-place development or extraction of a mineral by means other than open mining or underground mining.
(36) “Landowner” means any individual person or persons, firm, partnership, association, corporation, or any department, division, or agency of federal, state, county, or municipal government which owns or controls the surface rights to any land area under consideration for mining or prospecting. These surface rights are separate from mineral rights which may or may not be owned and controlled by the same entity.
(37) “Legacy Mine” means a mine where pre-law mining operations have occurred or the mining operations have been abandoned, and no bond or other financial assurance or reclamation responsibility covering the reclamation of the land affected by the mining operation exists.
(38) “Life of the Mine” means and includes, but is not limited to, those periods of time from when a permit is initially issued, that an Operator engages in or plans to continue extraction of minerals, complies with the Act and these Rules, and as long as mineral reserves remain in the mining operation. It can include limited periods of non-production or Temporary Cessation. "Life of the mine" also includes that period of time after cessation of production necessary to complete reclamation of disturbed lands as required by the Board and this article, until the Board releases, in writing, the Operator from further reclamation obligations regarding the affected land, declares the operation terminated, and releases all applicable Performance and Financial Warranties.
(39) “110 Limited Impact Operation” means any mining operation which requires a 110(1) or 110(2) permit:
(a) A 110(1) permit affects five (5) acres or less and requires a permit issued under Section 34-32-110(1)(a)(III), C.R.S. for the life of the mine; and is not an in situ leach mining operation or a designated mining operation; or (b) A 110(2) permit affects less than ten (10) acres and requires a permit issued under Section 34-32-110(2), C.R.S. for the life of the mine; extracts less than seventy thousand (70,000) tons of mineral, overburden, or combination thereof per calendar year; and is not an in situ leach mining operation or a designated mining operation.
(40) “110 Limited Impact Permit” shall mean a permit issued to a 110 Limited Impact Operation pursuant to Section 34-32-110(1)(a)(III) or (2), C.R.S.
(41) “110d Limited Impact Permit” shall mean a permit issued to an operator for a Designated Mining Operation pursuant to Section 34-32-112.5(3)(a), C.R.S.
(42) “Meeting” as the term is used in these Rules, means the regular monthly session held by the Board in accordance with Section 34-32-106, C.R.S. 1984, as amended. The topics to be considered include, but are not necessarily limited to:
(a) approval or denial of permit applications;
(b) approval or denial of applications for permit revisions, amendments, and permit transfers;
(c) cause to hold a formal hearing with respect to a particular application or operation pursuant to Section 34-32-114, C.R.S. 1984, as amended;
(d) determinations with respect to temporary cessation; and (e) other permit related considerations which do not require a "formal hearing."
(f) These meetings may also include, but are not necessarily limited to hearings, rule making proceedings in accordance with the Administrative Procedures Act, Section 24-4-103, C.R.S. 1984, as amended, and executive sessions.
(43) “Mineral” means an inanimate constituent of the earth in a solid, liquid, or gaseous state which, when extracted from the earth, is useable in its natural form or is capable of conversion into a useable form as a metal, a metallic compound, a chemical, an energy source, rare earth elements, or a raw material for manufacturing or construction material. For the purposes of this article, this definition does not include coal, surface or subsurface water, geothermal resources, or natural oil and gas together with other chemicals recovered therewith, but does include oil shale.
(44) “Mining Operation” means the activities associated with development, production and/or extraction of a mineral from its natural occurrences or within refuse, or extractive metallurgical processing on affected land. The term includes, but is not limited to, open mining, in situ mining, in situ leach mining, surface operations and the disposal of refuse from underground mining, in situ mining, and in situ leach mining. The term also includes the following operations on affected lands: transportation; concentrating; milling; evaporation; removal of waste piles and refuse; other processing; construction of facilities to support the mining operations, stripping, and removal and stockpiling of overburden, waste rock and low grade ore. The term does not include: the exploration and extraction of natural petroleum in a liquid or gaseous state by means of wells or pipe; the development or extraction of coal; the extraction of geothermal resources; smelting, refining, cleaning, preparation, transportation, and other off-site operations not conducted on affected land; or extraction of construction material as that term is defined in Section 34-32.5-103(3), C.R.S.
(45) “Modification” means any amendment or revision of any previously granted permit, including permit transfers, increases or decreases of the amount of financial warranty required by the Board, and declarations regarding temporary cessation, which is either:
(a) initiated by the Board pursuant to Rule 3.3.2 as necessary to bring the operation into compliance with the provisions of these Rules or the Act, or (b) the subject of a petition for a formal hearing granted by the Board pursuant to Section 34-32-114 of the Act.
(46) “Office” means the Office of Mined Land Reclamation within the Division of Reclamation, Mining and Safety (DRMS).
(47) “Off-site” means the area outside of the permitted affected area.
(48) “110 ISL operation” or “112 ISL operation” shall mean those in situ leach mining operations which have been granted an exemption from designated mining operation requirements. Otherwise, 110 and 112 in situ leach mining operations shall be considered and referred to as 112d operations.
(49) “Open Mining” means the mining of minerals by removing the overburden lying above such deposits and mining directly from the deposits thereby exposed. The term includes mining directly from such deposits where there is no overburden. The term includes, but is not limited to, such practices as open cut mining, open pit mining, strip mining, quarrying, and dredging.
(50) “Operator” means any person, firm, partnership, association, corporation, or any department, division, or agency of federal, state, county, or municipal government engaged in or controlling a mining operation.
(51) “Overburden” means all of the earth and other materials which lie above natural minerals and also means such earth and other materials disturbed from their natural state in the process of mining.
(52) “Owner of Record” means the owner or owners of a surface property or mineral interest shown on the records of the County Assessor as of the date of filing.
(53) “Party” means a person who demonstrates that they are directly and adversely affected or aggrieved by the conduct of a mining operation, proposed mining operation, or an order of the Board and whose interest is entitled to legal protection under the Act.
(54) “Pattern of Willful Violations” means that information required to be disclosed in the application for an in situ leach mining operation that the applicant, or an affiliate, officer or director of the applicant, has or has not demonstrated a pattern of willful violations of environmental protection requirements of the Act or these regulations or a permit issued under the Act or an analogous law, rule or permit issued by another state or the United States.
(55) “Performance Warranty” shall mean a written promise to the Board, by the operator, to comply with all requirements of the Act.
(56) “Permittee” means any person holding a mining Permit.
(57) “Person” means any individual, firm, partnership, joint venture, association, limited liability company, or corporation or other entity, or any department, division, or agency of federal, state, county, or municipal government.
(58) “Point of Compliance” means locations down gradient of the facility or activity at which water sampling may be conducted to demonstrate compliance with applicable groundwater standards established by the Water Quality Control Commission, or permit conditions required by the Office or Board to measure compliance with the MLRB permit.
(59) “Production” means active, orderly mining operations performed in relation to the extraction of a mineral from its natural occurrences, the processing or sale of an extracted mineral, or movement of extracted mineral material off site for further processing or sale. Minimal excavation and/or activity may not constitute production and is evaluated with respect to the scale of the mining operation.
(60) “Prospecting” means the act of searching for or investigating a mineral deposit. “Prospecting” includes, but is not limited to, sinking shafts, tunneling, any drilling core and bore holes, including the construction of monitoring wells, and digging pits or cuts and other works for the purpose of extracting samples or conducting baseline hydrological investigations prior to commencement of development or extraction operations, and the building of roads, access ways, and other facilities related to such work. The term does not include those activities which cause no or very little surface disturbance, such as airborne surveys and photographs, use of instruments or devices which are hand carried or otherwise transported over the surface to make magnetic, radioactive, or other tests and measurements, boundary or claim surveying, location work, or other work which causes no greater land disturbance than is caused by ordinary lawful use of the land by persons not prospecting. The term also does not include any single activity which results in the disturbance of a single block of land totaling one thousand six hundred (1,600) square feet or less of the land's surface, not to exceed two (2) such disturbances per acre; except that the cumulative total of such disturbances will not exceed five (5) acres statewide in any prospecting operation extending over twenty–four (24) consecutive months. There is not a de minimis exclusion for core, bore hole, or monitoring well drilling programs.
(61) “Prospecting Notice” shall mean that notice required by the Act to engage in Prospecting.
(62) “Reclamation” means the employment during and after a mining operation of procedures reasonably designed to minimize as much as practicable the disruption from the mining operation and to provide for the establishment of plant cover, stabilization of soil, the protection of water resources, or other measures appropriate to the subsequent beneficial use of such affected lands. Reclamation shall be conducted in accordance with the performance standards of the Act.
(63) “110r Reclamation-Only Permit” shall mean a permit issued to an Operator for the removal of only Legacy Mine waste piles which affects five (5) acres or less and is valid for three (3) years from excavation to reclamation pursuant to Section 34-32-110(9), C.R.S Reclamation-Only does not allow for the disturbance or use of adits, ventholes, or other historic features, nor activities that are subject to CERCLA or the Clean Water Act. Reclamation-Only shall not be permitted for sites with draining adits and any other groundwater expressions.
(64) “Refuse” means all waste material directly connected with the cleaning and preparation of substances mined by a mining operation. Refuse includes Waste Piles eligible for Reclamation-Only activities.
(65) “Regular Operation” applies to all mining operations not included within the definitions of Limited Impact or Prospecting Operations, specifically, any mining operation affecting ten (10) acres or more, or extracting seventy thousand (70,000) tons or more of mineral, overburden, or combination thereof per calendar year.
(66) “Structure; Significant, Valuable and Permanent Man-made” means a non- portable improvement to real property which has defined, current and recognizable value of an economic nature; generally including but not limited to: buildings, houses, barns, fences, above or below ground utilities, irrigation ditches, maintained or public roads, bridges, railroad tracks, cemeteries, communication antennas, pipelines, water wells, water storage structures, discharge and conveyance structures, etc.
(67) “Technical Revision” means a change in the permit which does not have more than a minor effect upon the approved Mining or Reclamation Plans or Environmental Protection Plan.
(68) “Temporary Cessation” means those limited periods of non-production as specified according to Rule 1.13.
(69) “Topsoil or Growth Medium” means the material at the surface of the earth which has been so modified and acted upon by physical, chemical, and biological agents that it will support rooted plants necessary to achieve reclamation goals.
(70) “Toxic or Acid-forming Materials" means natural or reworked earth materials having acid or toxic chemical and physical characteristics that, under mining or post-mining conditions of drainage, exposure, or other processes, produce materials which contain detrimental amounts of metals, or chemical constituents such as acids, bases, or metallic compounds.
(71) “Two Acre Limited Impact Operation” means any currently permitted mining operation issued under Section 34-32-110(1)(a)(I), C.R.S. which:
(a) the permit application for such operation was filed prior to July 1, 1993;
(b) affects less than two (2) acres for the life of the mine; and (c) extracts less than seventy thousand (70,000) tons of mineral, overburden, or combination thereof per calendar year;
By July 1, 2015 an Operator issued a two acre limited impact permit pursuant to Section 34-32-110(1)(a)(I), C.R.S. shall file with the Office:
a) evidence of the source of the person’s legal right to enter and initiate a mining operation on affected land; and b) a financial warranty that complies with Sections 34-32-110(3) and 34-32- 117(4), C.R.S.
(72) “Vegetation Cover” means an ocular estimate of the percentage of ground covered by the above-ground living plant parts.
(73) “Vegetation Type” means a designation for a natural grouping of plant species named according to one or more visually dominant species.
(74) “Waste Pile” means a legacy deposit of previously mined materials placed upon the land in conjunction with a Legacy Mine.
1.2 SCOPE OF RULES AND ACTIVITIES THAT DO NOT REQUIRE A
RECLAMATION PERMIT
1.2.1 Specified by Rule
The Board has determined that certain types of activities do not need reclamation permits either because the excavated substance is not a mineral as defined in Section 34-32-103(7), Colorado Revised Statutes 1984, as amended or because the activity is not a mining operation as defined by Section 34-32-103(8), C.R.S. 1984, as amended. Such activities include the following:
(a) the exploration and extraction of natural petroleum in a liquid or gaseous state by means of wells or pipe;
(b) the development or extraction of coal (refer to the Colorado Surface Coal Mining Reclamation Act Section 34-33-101, et seq., C.R.S. 1984, as amended);
(c) smelting, refining, cleaning, preparation, transportation, and other off-site operations not conducted on permitted land; and (d) the extraction of geothermal or groundwater resources.
1.2.2 Reserved
1.2.3 Effect of Regulations
Nothing in these Rules shall supplant, alter, impair or negate the regulatory authority of the Colorado Department of Public Health and Environment in relation to mining operations, nor shall these Rules supplant, alter, impair, or negate the authority of other state and federal agencies in relations to mining operations.
1.2.4 Extraction or Prospecting on Federal Lands
Any person who intends to extract or prospect for minerals on federal lands shall apply for a Mined Land Reclamation Board permit or submit a Notice of Intent to conduct prospecting operations unless specifically exempted by the Board according to the provisions of Rule 1.2.
1.3 PUBLIC INSPECTION OF DOCUMENTS
(1) Except as provided in this Rule 1.3 or as otherwise provided by law, all applications, notices of intent to conduct prospecting, public notices, inspection reports, documents, maps, exhibits, correspondence, tests, analyses, records of actions or findings of the Board or Office and other information required under the Act or these Rules shall be promptly made available for inspection as required by law upon the written request of any member of the public at the offices of the Office, during its normal business hours.
(2) Upon request, copies shall be provided at cost or other suitable arrangements made for copying at the requester's expense, as allowed by copyright law.
(3) As to mining operations, an Operator may mark “CONFIDENTIAL” information supplied in a permit application disclosing the location, size, or nature of the deposit or depth and thickness of the ore body or deposit and thickness and type of overburden to be removed. Information concerning a mining operation marked as confidential and determined by the Office to be confidential shall not be made available to the public unless the Operator gives a written consent on company letterhead and signed by an authorized agent of the company to release all or any part of the information.
(4) As to notices of intent to conduct prospecting:
(a) All information in a Notice of Intent to Conduct Prospecting submitted and approved prior to June 2, 2008, shall be treated as confidential except as set forth in Rule 1.3(4)(a). Such confidential information shall not be made available to the public unless the Board finds that reclamation has been satisfactorily completed, or unless the Operator gives a written consent to the release of all or any part of the information. However, if a prospector uses the Notice of Intent to conduct the baseline site characterization and monitoring plan required for an in situ leach mining operation application, the design and operation of the baseline site characterization and monitoring plan, together with all information collected in accordance with the plan, shall be a matter of public record.
(b) For Notices of Intent to Conduct Prospecting or modifications thereof submitted or approved on or after June 2, 2008, all information in a notice of intent or modification of such notice is a matter of public record including, in the case of a modification, the original notice of intent; except that, information relating to the mineral deposit location, size or nature, and other information designated by the prospector and determined by the Board as proprietary, trade secret or that would cause substantial harm to the competitive position of the prospector, shall be protected as confidential and shall not be a matter of public record in the absence of a written release from the prospector, until the Board finds that reclamation has been satisfactorily completed, or until the Board releases the information pursuant to Rules 1.3(4)(f) and (h). However, if a prospector uses the Notice of Intent to conduct the baseline site characterization and monitoring plan required for an in situ leach mining operation application, the design and operation of the baseline site characterization and monitoring plan, together with all information collected in accordance with the plan, shall be a matter of public record.
(c) An applicant or prospector may designate its identity as confidential if the applicant or prospector believes disclosure of its identity would cause substantial harm to its competitive position. If so designated, the Office shall keep the identity confidential until: (1) the applicant or prospector files a written release; (2) the applicant or prospector files the notice described in Rule 1.3(4)(c)(i); (3) the Board finds that reclamation has been satisfactorily completed; or (4) until the Board releases the identity pursuant to Rules 1.3(4)(f) and (h).
(d) Upon submittal of a notice of intent or modification thereof, every applicant shall designate any information the applicant considers to be exempt from public disclosure. The Office shall post on its website within five (5) Days of receipt of such notice or modification all information in a notice of intent or modification except information that the applicant has designated as exempt from disclosure.
(e) If the Office approves a notice of intent, the prospector shall continue to designate any information the prospector believes is exempt from public disclosure in any written submittals filed with the Office after the filing of the notice of intent including in annual and final reports. Such designations shall be subject to the same grounds for designation and procedures for resolution of designation disputes as apply to information in a notice of intent.
(f) Any person may submit a written request to the Office asking that information in a notice of intent that a prospector has designated as confidential be disclosed. Such request must be filed with the Office within ten (10) Working Days of the Office’s posting of the notice of intent on its website. The Office shall treat such request as a deficiency issue that must be resolved prior to approval of the notice of intent. Such request shall set forth the specific information requested to be disclosed and the factual and legal basis for the person’s assertion that such information is public. Upon receipt of such a request, the Office shall forward the request to the prospector within three (3) Working Days of receipt of the request. If the prospector does not consent to disclosure of the information within seven (7) Days from receipt of the request, the Office shall keep the information confidential and inform the requesting person in writing within three (3) Working Days of the prospector’s decision. Within seven (7) Days from the receipt of the prospector’s decision, the requesting person may ask the Board to hold a hearing on whether the information should remain confidential. If the person requests a hearing, such hearing shall not be held any earlier than twenty (20) Days after the Office has given notice of the hearing to the prospector and the requesting person. Any response by the Office or the prospector to the request for disclosure shall be kept confidential and shall only be sent to the Board, Office and prospector, as applicable.
(g) If the Office believes that a prospector has not properly designated information as confidential, the Office shall inform the prospector of the Office’s decision. The Office’s decision shall be kept confidential. If the prospector does not consent to disclosure of the information within seven
(h) The Board shall hold any hearing set under Rule 1.3(4)(f) in executive session. No entity other than the Board shall be present in the executive session. The Board shall electronically record such executive sessions and maintain such recordings in accordance with the Open Meetings Law, Section 24-6-204, C.R.S.
(5) Any dispute as to whether information is properly designated as exempt from public disclosure shall be considered a deficiency issue concerning the notice of intent to conduct prospecting. Accordingly, the Office shall not approve a notice of intent, and prospecting activities shall not be authorized to commence, until the designation issue has been resolved and the applicant has satisfied all other requirements applicable to a notice of intent.
(6) Anyone who willfully and knowingly violates the provisions of confidentiality shall be punished as provided by law.
1.4 APPLICATION REVIEW AND CONSIDERATION PROCESS
1.4.1 Applications – General Provisions
(1) Application forms, attachments, maps, and fees shall be submitted in accordance with the specific requirements for each permit type, except that Designated Mining Operations shall also submit an Environmental Protection Plan as outlined in Rule 6.4.21, and in addition, all In Situ Leach Mining Operations shall also submit Exhibits set forth in Rules 6.4.21 (unless exempt), 6.4.22, 6.4.23, 6.4.24, and 6.4.25.
(2) All tests, analyses, surveys and maps shall be prepared by qualified persons.
(3) All information submitted in an application must be accurate and complete, and acknowledged as such by the signature, or other certification as designated and approved by the Office, of an authorized agent on an application form provided by the Board.
(4) Prior to Office consideration of the application, submit proof of all required notices either by submitting return receipts of a Certified Mailing, electronic proof of service, or by proof of personal service.
(5) All application forms shall contain the following information:
(a) the address, e-mail, and telephone number of the business office and the local address or addresses, e-mail, and telephone number of the Operator/Applicant;
(b) the name, address, e-mail, and telephone number of the Owner of the surface of the affected land and the source of the Operator’s/Applicant’s legal right to enter and initiate a mining operation on the affected land;
(c) the name, address, e-mail, and telephone number of the Owner of the subsurface rights of the affected land and the source of the Operator’s/Applicant’s legal right to enter and initiate a mining operation on the affected land;
(d) a statement that the Operator/Applicant has applied for or will seek all necessary approvals from local government;
(e) a statement that the operations will be conducted in accordance with the terms and conditions listed in the application, as well as with the provisions of the Act and these Rules, as amended, in effect at the time the Permit is approved or amended; and (f) the Operator’s/Applicant's signature or other certification as designated and approved by the Office.
(6) In addition to submitting an appropriately completed Permit application form, the Operator/Applicant shall submit all applicable Exhibits specified in Rule 6 for the appropriate type of operation.
(7) In the case of any complex Permit applications, technical revisions, serious unforeseen circumstances, or significant snow cover on the affected land that prevents a necessary on-site inspection, the decision date established by the Office may be extended up to sixty (60) Days beyond the usual maximum limit for an operation of that particular type and size. The Office shall notify the Applicant and any persons commenting on the application, of such findings and of the new decision date as soon as possible. Rule 1.4.1 (7) shall not apply to in situ leach mining applications.
(8) The Office shall notify the Applicant of any deficiencies that prevent the application from being considered filed by the Office within ten (10) Working Days of receiving the application. An Applicant has sixty (60) Days from such notice to submit all the necessary documents that the Office needs for an application to be considered filed. If this date does not fall on a Working Day, then the date will be automatically set to the next Working Day. If, at the end of the sixty (60) Day period, the application has not been determined to be filed with the Office, the Office may deny the application and terminate the application file. If the Office denies and terminates the application file, the Office shall determine if the Applicant desires a return of the applications and shall provide the applications to the Applicant at no cost to the Office. Otherwise, the Office may dispose of all copies as appropriate. An Applicant may appeal such denial to the Board according to the provisions of Rule 1.4.11.
(9) To allow the Applicant an opportunity to provide information necessary to meet the adequacy requirements of the Office, the Applicant may request that the Office’s review time be extended and the Office’s decision date reset, not to exceed three hundred and sixty-five (365) days from the date the application was filed. If, at the end of the three hundred and sixty-five (365) Day period, the application has outstanding adequacy issues and there have been timely filed objections to the application, the Office may issue a rationale recommending approval or denial of the application and shall set the matter for a Board hearing. If there remain adequacy issues after three hundred and sixty-five (365) Days but no objections to the application have been timely submitted, the Office may issue the decision on the application or set the matter for a Board hearing. At the hearing the Board may at the request of the Applicant extend the review time and decision date, deny the application, or approve the application with or without conditions.
(10) The Applicant has the burden of demonstrating that the application meets the minimum requirements of the Act, Rules, and Regulations.
(11) The Applicant shall follow the appropriate Notice Procedures, according to permit type, as outlined in Rule 1.6.
(12) A condition or limitation to approval of the application, unless acknowledged and consented by the Applicant in writing, shall be treated as a denial.
(13) Failure of an Applicant to publish the notice pursuant to Rule 1.6.2(1)(d) shall add a sufficient number of days for the required public notice to be accomplished. An additional time period, as determined by the Office, may be added for the Office or Board to make a decision. Such time period shall not exceed thirty (30) Days for any non in situ leach mining 110 or 110d Limited Impact application, ninety (90) Days for any 112/112d/112 ISL or 110 ISL Reclamation Permit application without objections, or one hundred and twenty (120) Days for any 112/112d/112 ISL or 110 ISL Reclamation Permit application with objections.
1.4.2 Specific Application Requirements – 110(1), 110(2), 110 ISL and Non-In Situ Leach 110d Limited Impact Permit Applications, 110r Reclamation Only Permit Applications (1) All general application requirements outlined in Rule 1.4.1, shall be required for 110(1), 110(2), and 110d Limited Impact Operations; except that any application for a 110 in situ leach mining operation must be filed and shall be considered as a 112d-3 permit application pursuant to Section 34-32-112.5(3)(d), C.R.S. and Rule 1.4.4; however, if such in situ leach mining applicant is granted an exemption from designated mining operation status, the application shall be labeled a “110 ISL” operation, and the applicant need not comply with the designated mining operation requirements but must still comply with all in situ leach mining application requirements in Rule 1.4.4. The process for Office and Board consideration of 110 ISL shall follow those set forth in Rule 1.4.8, and the two hundred and forty (240) Day deadline for a decision shall apply.
(2) An application will be considered filed for the purpose of calculating the thirty (30) Day decision-making time period under Section 34-32-110(6), C.R.S., as amended, when the application file includes all of the following submittals:
(a) the application fee; as determined under Section 34-32-127(2) C.R.S., as amended;
(b) one (1) original and one (1) copy, or an electronic submittal as designated and approved by the Office, of:
(3) Proof of the notices required pursuant to Rules 1.6.2(1)(d), (e), and (f) is not required in order for an application to be considered filed, but such proof must be submitted to the Office prior to the Office’s decision to approve an application, pursuant to Rule 1.6.2(1)(g).
(4) All general application requirements outlined in Rule 1.4.1 and Rule 1.4.2, shall be required for 110r Reclamation Only Permit applications.
(a) The following additional information shall be included for an application to be considered filed:
(b) A 110r Reclamation-Only Permit shall not be issued for the following:
1.4.3 Pre-Application Requirements – All In Situ Leach Mining Operations
Regardless of Designated Mining Operation Status – Reclamation Permit Operations – Retention of Third Party Expert – Baseline Site Characterization and Plan for On-Going Monitoring (1) (a) All prospective applicants for any in situ leach mining operation, regardless of size or designated mining operation status, shall confer with the Office prior to conducting any baseline site characterization activities. At such conference, the prospective applicant shall submit for the Office’s approval a plan for conducting the baseline site characterization and for on-going monitoring of the affected land and surface and groundwater and reclamation and financial warranty requirements. The plan shall include all of the activities the prospective applicant proposes to conduct for the baseline site characterization, the methods of conducting such activities, including the operating procedures and standards, the proposal for on-going monitoring of affected land and water, and applicable reclamation requirements pursuant to Rule 3. The prospective applicant shall not conduct any baseline site characterization activities until the Office approves of the plan for conducting such activities and a financial warranty is posted pursuant to Rule 4.
(b) Within five (5) Days of submittal of the baseline site characterization plan, the Office shall post notice of receipt of the plan on the Office website. Any public comment regarding the baseline site characterization and monitoring plan must be received by the Office no later than ten (10) Working Days after the notice was posted on the Office website. Copies of the plan will be available at the Office for review.
(c) If a prospective applicant has conducted baseline site characterization activities prior to the effective date of this Rule and prior to obtaining the Office’s approval of the plan for such activities, the Office may in its discretion allow the prospective applicant to use data from those activities as long as, at a minimum, the prospective applicant submits and the Office approves the method the prospective applicant used in conducting the activities and the prospective applicant submits and the Office approves the plan required in Rule 1.4.3(1)(a) above for future activities.
(2) The Office may retain, and the prospective applicant shall pay the costs of, an independent third-party professional expert to oversee baseline site characterization, monitor field operations or review any portion of the information collected, developed, or submitted for the Baseline Site Characterization and Monitoring Plan to be included in a permit application as follows:
(a) The Office shall define the scope of work to be conducted by the expert;
(b) The expert shall submit and the Office shall review all invoices for payment;
(c) The Office shall approve invoices that are documented with, but not limited to, time sheets and receipts, and that reflect the reasonable costs of the expert. The Office may reject invoices that the Office believes are inaccurate, unreasonable or are not supported by sufficient and proper documentation. The Office shall summarize in writing its own costs for its review and oversight associated with the Baseline Site Characterization and Monitoring Plan;
(d) The prospective applicant shall pay the reasonable costs incurred by the Office and the expert;
(e) The prospective applicant may object to the selection of a specific expert only on the grounds that:
(f) If the prospective applicant fails to pay any costs the expert submits and the Office approves, or any costs the Office submits to the prospective applicant for its own costs, within 30 Days of notice that such costs are due, any application the prospective applicant submits shall not be considered filed and the deadlines for Office review shall not be triggered. If the prospective applicant pays the costs due, any application submitted may be considered filed if payment occurs within three (3) months of when the costs were due and if other requirements for an application being considered filed are met. If the prospective applicant pays the costs later than three (3) months of when they were due, the Office may determine that the application is filed, that the applicant must update the application or that the application is not filed for reasons other than failure to pay the costs of the Office and expert.
1.4.4 Specific Application Requirements – All In Situ Leach Mining Operations
Regardless of Designated Mining Operation Status – Reclamation Permit Operations (1) All in situ leach mining operations are by law designated mining operations. For all applications for in situ leach mining operations including those filed under Section 34-32-110, C.R.S., the application requirements outlined in Rules 1.4.1 and 1.4.5 shall be required in addition to the requirements of this Rule 1.4.4; except that if such applicant is granted an exemption from designated mining operation status, the applicant need not comply with designated mining operation application requirements.
(2) An application for an in situ leach mining operation will be considered filed for the purpose of calculating the decision-making time periods in Sections 34-32-115(1) and 115(2), C.R.S., as amended, when the application file includes all the required items specified in Rules 1.4.1, 1.4.5(1) and (2) and includes all of the following submittals:
(a) a description of In Situ Leach Mines as described in Rule 6.4.22;
(b) a Baseline Site Characterization for the proposed permit area as described in Rule 6.4.23;
(c) a Monitoring Plan as described in Rule 6.4.24;
(d) a certification by the applicant regarding violations as required in Rule 6.4.25.
(e) proof of notice according to the provisions of Rule 1.6.2(1).
(3) Proof of the notices required pursuant to Rules 1.6.2(1)(d), (e) and (f) is not required in order for an application to be considered filed, but such proof must be submitted to the Office prior to the Office’s decision to approve an application pursuant to Rule 1.6.2(1)(g).
1.4.5 Specific Application Requirements – 112, 112d Reclamation Permit and 112
ISL Reclamation Permit Operations (1) All general application requirements outlined in Rule 1.4.1 shall be required for a 112 and 112d Reclamation Permit Application. For all 110 and 112 applications for in situ leach mining operations, the requirements of Rules 1.4.1, 1.4.4 and this Rule 1.4.5 shall be required; however, if an applicant for an in situ leach mining permit is granted an exemption from designated mining operation status, such applicant need only comply with in situ leach mining requirements and not designated mining operation requirements such as the environmental protection plan.
(2) An application will be considered filed for the purpose of calculating the decision- making time periods under Sections 34-32-115(1) and 115(2), C.R.S., as amended, when the application file includes all of the following submittals:
(a) the application fee, as determined under Section 34-32-127(2) C.R.S., as amended;
(b) one (1) original and one (1) copy, or an electronic submittal as designated and approved by the Office, of:
(3) Proof of the notices required pursuant to Rules 1.6.2(1)(d), (e), and (f) is not required in order for an application to be considered filed, but such proof must be submitted to the Office prior to the Office's decision to approve an application, pursuant to Rule 1.6.2(1)(g).
1.4.6 Office Consideration – 110(1), 110(2), 110 ISL and 110d Limited Impact
Operation Permit Applications, 110r Reclamation-Only Permit Applications (1) Except as to 110 ISL applications, the Office shall approve or deny a 110(1), 110(2), or 110d Limited Impact application within thirty (30) Days of the date the application is considered filed. Applications for 110 ISL mining operations shall be approved or denied within two hundred and forty (240) Days from the date the application is considered filed. For any 110 application, if this date does not fall on a Working Day, then the date for consideration by the Office will be automatically set to the next Working Day. The date set for consideration by the Office for any 110 application may be extended pursuant to provisions of Rule 1.8 (unless the submitted materials satisfy Rule 1.8.1(4)) or of Rules 1.4.1(7), (9), or (13). Except as to 110 ISL applications, the time for consideration shall not be extended beyond thirty (30) Days after the last such change submitted under Rule 1.8 unless requested by the Applicant. For 110 ISL applications, the time for consideration shall not be extended beyond one hundred and twenty (120) Days unless requested by the Applicant.
(2) In the event that an objection to a 110(1), 110(2), or 110d Limited Impact permit application, submitted in the form of a protest or petition for a hearing, is received by the Office pursuant to the provisions of Rule 1.7, the Office shall proceed to issue its decision by the date set for consideration in Rules 1.4.6(1), 1.4.1(9), 1.4.1(13) or 1.8. However, the Office may set the matter for a hearing before the Board, pursuant to the provisions of Rule 1.4.11. As to 110 ISL applications, if an objection is filed, the Office shall set the matter for hearing before the Board, in which case the Office shall make a recommended decision on the application.
(3) Unless exempted from designated mining operation status, an application for an in situ leach mining operation must be filed under Rule 1.4.8. If an exemption has been granted, the 110 ISL application shall comply with 112 permit application and procedures and comply with in situ leach mining requirements including filing the exhibits required under Rules 6.22, 6.23, 6.24 and 6.25. In addition, the two hundred and forty (240) Days for a decision on an in situ leach mining application shall apply.
1.4.7 Reserved
1.4.8 Office Consideration – 112, 112 ISL or 112d Reclamation Permit Application with No Objections (1) When a 112, 112 ISL or 112d Reclamation Permit application has been filed, and there are no protests or petitions for a hearing on the application submitted by a party pursuant to Rule 1.7, the Office shall issue the decision to approve or deny the application, as provided for in Section 34-32-115 C.R.S., no more than ninety (90) Days after a 112 or a non in situ leach 112d application is filed with the Office or two hundred and forty (240) Days after an in situ leach 112d or a 112 ISL application is filed. If this date does not fall on a Working Day, then the date for consideration by the Office will be automatically set to the next Working Day. The Office shall not set a new date unless the date for consideration has been extended pursuant to Rules 1.4.1(7), (9), or (13).
(2) The date set for a decision on the application may be extended, pursuant to Rule 1.8 (unless the submitted materials satisfy Rule 1.8.1(4)). Such date shall not be extended beyond ninety (90) Days after the last revision to the application.
1.4.9 Office Consideration – 112, 112 ISL or 112d Reclamation Permit Application to which an Objection Has Been Received (1) (a) If a timely and sufficient objection or petition for a hearing on a 112 or a non in situ leach 112d Reclamation Permit Application is received by the Office from a party pursuant to Rule 1.7, the Office shall set a date for consideration of the application in conformity with the provisions of this Rule. Such date shall be no more than ninety (90) Days after the application is filed with the Office. If this date does not fall on a Working Day, then the date for consideration by the Office will be automatically set to the next Working Day. The date for consideration may be extended pursuant to Rules 1.4.1(7), (9), or (13), or 1.8 (unless any submitted materials satisfy Rule 1.8.1(4)). Instead of a decision, the Office will issue a recommendation to the Board by the date set for Office consideration.
(b) If a timely and sufficient objection or petition for a hearing on a 112 ISL or a 112d in situ leach mining operation application is received by the Office from a party pursuant to Rule 1.7, the Office shall set a date for consideration of the application in conformity with this Rule. Such date shall be no more than one hundred and eighty (180) Days after the application is filed with the Office. However, if the Office determines an extension is necessary for its consideration, the Office may extend such date by thirty (30) Days for a maximum time for consideration of two hundred and ten (210) Days. If this date does not fall on a Working Day, then the date for consideration by the Office will be automatically set to the next Working Day. In addition, the date for consideration may be extended pursuant to Rules 1.4.1(9) or (13), or Rule 1.8. Instead of a decision, the Office may issue a recommendation to the Board by the date set for Office consideration.
(2) In addition, the Office shall:
(a) schedule the permit application for a hearing before the Board;
(b) provide all parties notice of the Pre-hearing Conference and of the Board hearing related to consideration of the application. Unless notice is waived in writing by all Parties, the Office shall provide all Parties at least thirty
(c) on or before the date set for Office consideration of the application, issue a recommendation to the Board for approval, approval with conditions, or denial of the application. Such recommendation shall identify the issues raised by the Office or by the petitions for a hearing filed with the Office. The Office's recommendation and rationale for approval or denial shall be sent to the Applicant and to all objectors of record at least three (3) Working Days prior to the Pre-hearing Conference. Upon request, the Office will also send by electronic mail its recommendation and rationale to a party, or a party may pick up a copy at the Office. Copies of the Office’s recommendation and rationale will be available at the Pre-hearing Conference.
(3) Where a non in situ leach mining 112 or non in situ leach mining 112d Reclamation Permit Application is set for a hearing, the Board shall make a final decision on the application within one hundred and twenty (120) Days after the date the application was filed, unless the date set for consideration has been extended pursuant to Rules 1.4.1(7), (9), (13), or 1.8, or Section 34-32-115(2), C.R.S. Where any in situ leach mining Reclamation Permit Application (110,110 ISL, 112, or 112 ISL) is set for hearing, the Board shall make a final decision on the application within two hundred and forty (240) Days after the date the application was filed, unless the date set for consideration has been extended pursuant to Rules 1.4.1 (9) or (13), 1.8, or Section 34-32-115(2), C.R.S.
(4) The decision rendered by the Board shall be considered final agency action for the purposes of the judicial review provisions of Section 24-4-106, C.R.S.
1.4.10 Office and Board Consideration of Applications for Reclamation Permits for any In Situ Leach Mining Operations Regardless of Designated Mining Operation Status.
(1) The Board or Office may deny a permit application for any in situ leach mining operation (112d which includes 110d, 112 ISL or 110 ISL) regardless of the proposed operation’s status as a designated mining operation:
(a) based on scientific or technical uncertainty about the feasibility of reclamation;
(b) if the existing or reasonably foreseeable potential future uses for potentially affected groundwater, whether classified or unclassified pursuant to Section 25-8-203, C.R.S., includes domestic or agricultural uses, and the Board or Office determines the in situ leach mining will adversely affect the suitability of the groundwater for such uses;
(c) if the applicant or an affiliate, officer or director of the applicant, the operator or the claim holder has demonstrated a pattern of willful violations of environmental protection requirements of this article, rules promulgated pursuant to this article, a permit issued pursuant to the article, or an analogous law, rule, or permit issued by another state or the United States as disclosed in the application; or (d) if the applicant or any affiliate, officer or director of the applicant has in the ten (10) years prior to the submission of the application violated the environmental protection requirements of this article, rules promulgated pursuant to this article, a permit issued pursuant to the article, or an analogous law, rule, or permit issued by another state or the United States as disclosed in the application; however,
(2) The Board or Office shall deny a permit application for an in situ leach mining operation:
(a) if the applicant fails to demonstrate that reclamation can and will be accomplished in compliance with article 32 of title 34, C.R.S., including the protection of groundwater and other environmental resources and human health; or (b) if the applicant fails to demonstrate by substantial evidence that it will reclaim all affected groundwater for all water quality parameters that are specifically identified in the baseline site characterization required in Rule 1.4.4, or in the statewide radioactive materials standards or tables 1 through 4 of the Basic Standards for Groundwater as established by the Colorado Water Quality Control Commission, to either of the following:
1.4.11 Administrative Appeal – of an Office Decision
(1) Any person who demonstrates that they are directly and adversely affected or aggrieved by an action of the Office, including a decision to grant or deny a permit application, other than an application considered under the provisions of Rule 1.4.9 or a cost estimate determination for oil shale or in situ leach mining applications under the provisions of Rule 1.4.11(3), and whose interest is entitled to legal protection under the Act may petition for a hearing before the Board on such action within:
(a) sixty (60) Days of the date of the Office decision if the Office decision was a denial, without a hearing, of an application for a permit or a Notice of Intent; or 24-4-104(9)
(b) thirty (30) Days for an appeal of any other Office decision.
(c) Such hearings before the Board shall comply with this Rule and Section 24-4-105, C.R.S.
(d) Such petitions for a hearing shall state how the petitioner is directly and adversely affected or aggrieved by the Office's decision, and how the petitioner’s interests are entitled to protection under the Act. The petitioner shall list and explain any issue the petitioner believes should be considered by the Board at the hearing on the matter. The petition for a hearing shall specify the application or file number assigned by the Office.
(2) If no petition decision is made by the Board within sixty (60) Days of the date the petition is submitted, the petition will be deemed denied. Such denial shall be considered final agency action for the purposes of the judicial review provisions of Section 24-4-106, C.R.S.
(3) A permit applicant for an oil shale or any in situ leach mining operation may appeal to the Board the Office’s cost estimate to review such an application done pursuant to Rule 1.5.2(1) by filing a petition for a hearing before the Board within ten (10) Days from the date the Office mailed the cost estimate to the applicant. The petition for hearing shall set forth the list of issues the applicant believes should be considered by the Board and the specific factual and legal basis for the appeal. The petition for a hearing shall specify the application or file number assigned by the Office. The hearing shall not be held any sooner than twenty (20) Days after notice is given to the permit applicant. The Office and applicant may consult on the cost estimate issue between the time the Office mails the notice to the applicant and the time in which the applicant must file an appeal with the Board.
(4) The Office shall give notice of any Formal Board Hearing to consider an appeal according to the provisions of Rule 1.6.1(4).
(5) The Office may determine whether to hold a pre-hearing conference dependent upon the number of parties to the Formal Board Hearing and/or complexity of the issues, or the Board may so direct the Office as the Board sees fit.
1.4.12 Appeal of 112 and 112d (including in situ leach mining reclamation
permits,) 112 ISL or 110 ISL Reclamation Permit Application Denial If the Office issues a decision to deny an application for a 112, 112d (including in situ leach mining), 112 ISL or 110 ISL Reclamation Permit, it shall schedule the application for a hearing before the Board unless the Applicant decides to withdraw the application. Such hearing shall be scheduled prior to the deadline for a final decision on the application pursuant to Section 34-32-115(2), C.R.S., and Rule 1.4.8(2), 1.4.9(1), or 1.4.9 (3) above, and shall be conducted in conformance with the provisions of Section 24-4-105, C.R.S.
(a) Within ten (10) Days of receipt of the letter of denial, the Applicant shall file a statement of issues to be considered by the Board at the hearing. The statement shall include an explanation of the grounds for seeking a reversal of the Office's decision.
(b) If there are no other parties to the proceedings on the application the Applicant may waive the statutory deadline for a final decision. In that event, the Applicant shall file the statement of issues to be considered by the Board at the hearing within sixty (60) Days of the receipt of the letter of denial.
1.4.13 Automatic Application Approval
(1) If the Office or the Board fail to make a decision on a permit application by the deadlines set forth in Rules 1.4.6, 1.4.8, and 1.4.9, or as extended by Rule 1.8, the application shall be deemed approved and the permit shall be granted upon submittal by the Applicant and approval by the Office of the appropriate performance and financial warranties.
(2) Where an Applicant has waived its right, in writing, to a decision by the deadlines set forth in statute or by these Rules, the automatic approval provisions of Rule 1.4.13(1) shall not apply.
1.5 FEES
1.5.1 General Provisions – Application Fees for Designated Mining Operations
On and after July 1, 1994, a fee shall be paid by the Applicant of a permit for a designated mining operation at the time an Environmental Protection Plan is submitted for review and approval to the Office.
The fee shall be applied to both existing and new Designated Mining Operations and shall reimburse the Office for the estimated cost to the Office for processing certification and administrative review of such permit applications. The fees shall be as follows, based upon the level of effort: for Environmental Protection Plans filed before July 1, 2007, not less than eight hundred and seventy-five dollars ($875) and not more than nine thousand dollars ($9,000) pursuant to Section 34-32-127(2)(a)(I)(M), C.R.S. For Environmental Protection Plans filed on or after July 1, 2007, the fee shall not be less than one thousand dollars ($1,000) and not more than ten thousand three hundred and fifty dollars ($10,350).
1.5.2 Fees for In Situ Leach Mining Operations and Oil Shale Mining Operations
(1) For applications for in situ leach mining operations or oil shale mining operations the fees shall be as follows except as provided in Rule 1.5.2 (2):
(a) for applications for new permit operations – the fee shall be that listed in Rule 1.5.5(8);
(b) for applications for an amendment to a permit shall be that listed in Rule 1.5.6(4);
(c) for applications for revisions to permits other than amendments, the fee shall be that listed in Rule 1.5.7(4).
(2) (a) If the costs to review applications for new permit operations, amendments to permits or revisions for permits exceed twice the fee for such application, the applicant shall pay the additional costs. The costs shall include those of the Office, another division of the department involved in the review, and any consultant or other nongovernmental agents that have specific expertise on the issue in question. The Office shall inform the applicant that the cost of review may exceed twice the amount of the listed fee and shall provide the applicant with an estimate of the actual costs within ten (10) Days after the Office’s receipt of the application. The applicant may appeal the estimate to the Board pursuant to Rule 1.4.11(3). In addition, the Office and applicant may consult on the cost estimate issue between the time the Office mails the notice to the applicant and the time in which the applicant must file an appeal with the Board.
(b) Any consultant or other non-governmental agent the Office uses pursuant to Rule 1.5.2(2)(a) shall not have any financial or business interest in the permit application, any current or previous direct involvement in the proposed mining operation, or have worked for the applicant or any objecting party as an employee or independent contractor on any major project for at least one (1) year prior to the filing of the application. In addition, the consultant or agent must avoid future conflicts with the Office including not working for any party to the permit application proceedings for at least one (1) year after the consultant or agent completes the work for the Office. Notwithstanding the above, the Office may use a consultant or agent if all parties to a permit application waive any conflict of interest.
1.5.3 Fees for Existing Designated Mining Operations – Technical Revisions
(1) Designated Mining Operations which qualify for permits under Section 34-32- 110, C.R.S. 1984, as amended, which shall be referred to as “110d” permits - $1,006;
(2) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, but which affect less than fifty (50) acres and extract less than one (1) million tons per year, which shall be referred to as “112d-1” permits - $1,006;
(3) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, which do not qualify as 112d-1 permits, but which affect less than one hundred (100) acres and extract less than five (5) million tons per year, which shall be referred to as “112d-2” permits - $1,006; and (4) any other Designated Mining Operation which shall be referred to as “112d-3” permits - $1,006.
1.5.4 Fees for Existing Designated Mining Operations – Permit Amendments
(1) Designated Mining Operations which qualify for permits under Section 34-32- 110, C.R.S. 1984, as amended, which shall be referred to as “110d” permits - $1,750;
(2) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, but which affect less than fifty (50) acres and extract less than one (1) million tons per year, which shall be referred to as “112d-1” permits - $2,300;
(3) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, which do not qualify as 112d-1 permits, but which affect less than one hundred (100) acres and extract less than five (5) million tons per year, which shall be referred to as “112d-2” permits - $4,025; and (4) any other Designated Mining Operation which shall be referred to as “112d-3” permits - $7,475.
1.5.5 Fees for New Designated Mining Operations
For purposes of these Rules, “new operations” are defined as operations that submit(ted) applications for permits after July 1, 1994.
(1) Designated Mining Operations which qualify for permits under Section 34-32- 110, C.R.S. 1984, as amended, which shall be referred to as “110d” permits - $2,875;
(2) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, but which affect less than fifty (50) acres and extract less than one (1) million tons per year, which shall be referred to as “112d-1” permits - $4,025;
(3) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984 as amended, which do not qualify as 112d-1 permits, but which affect less than one hundred (100) acres and extract less than five (5) million tons per year, which shall be referred to as “112d-2” permits - $6,900; and (4) any other Designated Mining Operation which shall be referred to as “112d-3” permits - $9,200.
1.5.6 Fees for New Designated Mining Operations – Technical Revisions
(1) Designated Mining Operations which qualify for permits under Section 34-32- 110, C.R.S. 1984, as amended, which shall be referred to as “110d” permits - $1,006;
(2) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, but which affect less than fifty (50) acres and extract less than one (1) million tons per year, which shall be referred to as “112d-1” permits - $1,006;
(3) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, which do not qualify as 112d-1 permits, but which affect less than one hundred (100) acres and extract less than five (5) million tons per year, which shall be referred to as “112d-2” permits - $1,006; and (4) any other Designated Mining Operation which shall be referred to as “112d-3” permits - $1,006.
1.5.7 Fees for New Designated Mining Operations – Permit Amendments
(1) Designated Mining Operations which qualify for permits under Section 34-32- 110, C.R.S. 1984, as amended, which shall be referred to as “110d” permits - $2,300;
(2) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, but which affect less than fifty (50) acres and extract less than one (1) million tons per year, which shall be referred to as “112d-1” permits - $2,875;
(3) Designated Mining Operations which qualify for permits under Section 34-32- 112, C.R.S. 1984, as amended, which do not qualify as 112d-1 permits, but which affect less than one hundred (100) acres and extract less than five (5) million tons per year, which shall be referred to as “112d-2” permits - $4,600; and (4) any other Designated Mining Operation which shall be referred to as “112d-3” permits - $8,050.
(5) Fees for all other applications for new Permits or Modifications to existing Permits are as specified in Section 34-32-127, C.R.S. 1984, as amended.
1.5.8 Annual Fees
Each year, on the Anniversary Date of the permit, the Permittee shall submit the appropriate annual fee specified in Section 34-32-127(2)(a)(IV), C.R.S.
1.6 PUBLIC NOTICE PROCEDURES
1.6.1 Office/Board Procedures – Permit Application Decision Dates
(1) The Office shall give such notice of the decision date for applications for all types of mining operations, including applications for:
(a) 110 and Non-in situ leach mining 110d Limited Impact Operations and 110r Reclamation-Only Operations;
(b) 112 and 112d Reclamation Operations;
(c) 110 ISL and 112 ISL Mining Operations.
(2) The Office shall give notice, as required by Rule 1.6 and the following specific provisions, of the decision date of the application to:
(a) the Applicant;
(b) the county(s) in which the proposed mining operation is to be located;
(c) any municipality within two (2) miles of the proposed mining operation;
(d) the Colorado State Board of Land Commissioners (State Land Board); and (e) the public, by newspaper release, by electronic submittal on the Office website as designated and approved by the office, and posting as prescribed in Rule 2.2.1(a)(iii).
(3) The Office shall send written and/or electronic notice of the date, time and place of any Pre-hearing Conference to:
(a) the Applicant;
(b) all persons who submitted timely statements in support of or objections to the application and a basis for party status; and (c) the Board of County Commissioners and the applicable Conservation District.
(4) The Office shall provide notice of the date, time, and place of any application hearing by the Board, by:
(a) sending written and/or electronic notice to the Applicant, any person previously filing a protest or petition for a hearing or statement in support of the application, and the local Board of County Commissioners;
(b) publishing notice in a newspaper of general circulation in the locality of the proposed mining operation once a week for two (2) consecutive weeks immediately prior to the hearing; and (c) mailing list, newspaper release, the Office website, and posting as prescribed in Rule 2.2.1(a)(iii).
1.6.2 General Applicant Procedures
(1) The Applicant shall:
(a) Prior to submitting the application to the Office, send a notice, on a form approved by the Board, to the local Board of County Commissioners and, if the mining operation is within the boundaries of a Conservation District, to the Board of Supervisors of the Conservation District. For 110r Reclamation-Only operations, notice shall also be given to the Environmental Protection Agency and the Colorado Department of Public Health and Environment.
(b) Prior to submitting the application to the Office, post notices (signs) at the location of the proposed mine site, as required by the Office, of sufficient number along publicly accessible areas and a minimum size of eleven
(c) Prior to submitting the application to the Office and/or prior to submitting amendments to the application, place for public review a copy of the application and amendments, without confidential items, with the Clerk or Recorder of the county or counties in which the affected land is located, and provide proof as required by Rule 6.3.9 for 110 and non-in situ leach mining 110d Limited Impact Operations and Rule 6.4.18 for 112, 112d, 110 ISL or 112 ISL Reclamation Operations.
(d) Within ten (10) Days after the Office notifies the Applicant that the application is considered filed, publish a public notice in a newspaper of general circulation in the locality of the proposed mining operation containing:
(e) The Applicant shall mail or personally serve a copy of the notice provided for in Rule 1.6.2(1)(d) immediately after the first publication to:
(f) As soon as designated by the Office, mail a copy of the notice provided for in Rule 1.6.2(1)(d) to any other Owners of Record who might be affected by the proposed mining operation. The Office shall designate such owners, if any, during its adequacy review process.
(g) Proof of Notice may be by submitting return receipts of a Certified Mailing or by proof of personal service. An application will be considered filed by the Office when the Applicant supplies the proper application fee, a signed affidavit that all notices as provided for in Rule 1.6.2(1)(b) have been posted, and the application meets the applicable requirements of Rules 1.4.1, 1.4.2, or 1.4.5. Prior to Office consideration of the application, proof of notice provided for in Rules 1.6.2(1)(d), (e), and (f) must be received by the Office.
(2) The copy of the permit application, adequacy responses of the applicant, and any permit amendment applications placed at the office of the County Clerk or Recorder shall not be recorded, but shall be retained until final agency action, as defined at C.R.S. 24-4-105(14), on said application has occurred and be available for inspection during such period. At the end of such period, such application may be reclaimed by the Applicant or destroyed. Applicants should contact the Office prior to removal of the copy of the application materials placed with the office of the County Clerk or Recorder in order to ensure compliance with C.R.S. 24-4-105(14). The copy of the permit application, adequacy responses of the applicant, application revisions, and any permit amendment applications on file with the Office Website constitute the official public file and shall remain accessible to the public.
1.6.3 Specific Provisions – 110 and Non-In Situ Leach Mining 110d Limited
Impact Permit Applications and Conversions of Two Acre Limited Impact Permits (1) The following Notice Rules and the notice requirements of Rule 1.6.2 also apply to applications for:
(a) new 110 and Non-In Situ Leach Mining 110d Limited Impact Permit Applications; or (b) conversions of Two Acre Limited Impact Permits to 110 and Non-In Situ Leach Mining 110d Limited Impact Permits.
(2) The Office shall give written notice, by mailing or e-notify, of the decision date for the application.
(3) The Public Notice, as required in Rule 1.6.2(1)(d), shall be published once.
(4) This Rule is not applicable to permit applications under Section 34-32-110 that are for in situ leach mining operations. Applications for in situ leach mining operations shall follow the notice requirements for 112d-3 permit applications in Rule 1.6.5. If such application is granted an exemption from designated mining operation status, the applicant must still comply with all in situ leach mining application requirements and shall follow the procedures for 112 permits.
1.6.4 Reserved
1.6.5 Specific Provisions – 112, 112d, 110 ISL and 112 ISL Reclamation Permit
Applications (1) The Public Notice, as required in Rule 1.6.2(1)(d) shall be published four (4) times, once a week for four (4) consecutive weeks.
(2) Within ten (10) Working Days after the last publication or as soon thereafter as proof has been obtained, the Applicant shall mail proof of the publication required by Rule 1.6.2(1)(d), to the Office. Proof of publication may consist of either a copy of the last newspaper publication, to include the date published, or a certified or notarized statement from the paper. An application may not be approved until such proof has been obtained.
1.6.6 Conditions that Require New Notice to the Public
If a notice is in error or a change to the application is so substantial, as determined by the Office, that it affects any of the terms contained in the notice that was published in the newspaper or mailed to the owners of the affected and adjacent lands, or the change is an amendment to the application, the Applicant shall be required to publish and mail a new notice of the application. In the event that the Applicant is required to issue a new notice, all applicable deadlines shall begin to run anew.
1.7 SUBMISSION OF COMMENTS AND PETITIONS FOR A HEARING
1.7.1 General Provisions
(1) Any person has the right to submit written statements supporting or objecting to any application for a permit, or for an amendment or revision of a previously granted permit. For a person to become a party, the person must meet the definition of a party as provided in these regulations. Any party may petition for a hearing on any application for a permit, or for an amendment or technical revision to a previously granted permit.
(2) In order for statements supporting or objecting to an application, petitions for a hearing, and/or submissions to become a party to be considered timely, the following deadlines shall apply:
(a) In the case of a 112, 112d, 110 ISL or 112 ISL Reclamation Permit Application, such written comments, protests, and petitions for a hearing must be received by the Office not more than twenty (20) Calendar Days after the last date for the newspaper publication of notice of the application provided for in Rules 1.6.2(1)(d) and 1.6.5(1). Written comments, protests and/or petitions must contain the name, mailing address, e-mail, and telephone number of the interested parties. The Office shall set the matter for a hearing before the Board upon timely receipt of a written objection, protest, or petition for a hearing under this Rule.
(b) Except for 110 in situ leach mining permit applications, which must follow the application process for 112d permit applications or if exempt from designated mining operation status, 112 permit applications, written comments, protests or petitions for a hearing as to a 110 or non-in situ leach mining 110d Limited Impact Permit application must be received by the Office not more than ten (10) Days after the last date for newspaper publication of notice of the application provided for in Rules 1.6.2(1)(d) and 1.6.3(3). The written comment, protest and/or petition must contain the name, mailing address, e-mail, and telephone number of the interested parties. The Office may set the matter for a hearing before the Board upon timely receipt of a written petition for a hearing under this Rule, but in any case shall approve or deny the permit application within thirty (30) Days of the date the Office considers the application filed according to the provisions of Rules 1.4.1 or 1.8. If the Office does not set the matter for a hearing, any person who demonstrates that they are directly and adversely affected or aggrieved by the Office's decision to grant or deny the 110 or non-in situ leach mining 110d Limited Impact Permit application and whose interests are entitled to legal protection under the Act may appeal the Office's decision pursuant to Rule 1.4.11.
(3) If the Office receives any written objections to an application pursuant to the Rule 1.7.1(2), the Office shall provide a copy of the objection to the Applicant within ten (10) Days of receipt.
1.7.2 Specific Provisions – 110 Limited Impact and Non In Situ Leach Mining
110d Limited Impact Designated Mining Operations Applications (1) Except for 110 in situ leach mining operation permit applications, which shall follow the procedures for 112d permit applications or if exempt from designated mining operation status, the procedures for 112 permit applications, comments shall be submitted in accordance with Rule 1.7.1.
(2) To be considered, such statements must be received by the Office within ten (10) Days after the last date of the Applicant's newspaper publication.
1.7.3 Reserved
1.7.4 Specific Provisions – 112, 112d, 110 ISL and 112 ISL Reclamation Permit
Applications (1) Comments shall be submitted in accordance with Rules 1.7.1 and 1.7.4.
(2) In the event the Office receives an objection within twenty (20) Calendar Days of the last day of publication and in accordance with this Rule 1.7, it shall set the permit application for a hearing before the Board, according to the provisions of Rule 2.
1.8 AMENDMENTS TO A PERMIT APPLICATION
1.8.1 General Provisions – 110 and 110d Limited Impact or 112 and 112d or 110
ISL and 112 ISL Reclamation Permit Applications (1) An Applicant may amend an application for a permit under consideration by the Office by filing a copy of such amendment with the Office and placing a copy with the County Clerk and Recorder.
(2) Within five (5) Working Days of placement with the County Clerk or Recorder, the Applicant shall provide the Office with an affidavit or receipt demonstrating that the amendment was placed with the County Clerk and Recorder not later than the close of business on the day the amendment was filed with the Office.
(3) Any amendment to an application shall constitute a new filing for the sole purposes of determining the date for the consideration of the application by the Office, and for the deadline for a final decision on the application. The provisions of Rules 1.6.6 and 1.10 shall apply to submitted amendments and as determined by the Office, be accompanied by a basic fee as specified in Section 34-32-127, C.R.S. 1984, as amended.
(4) If the Office determines that additional information is submitted by the Applicant for the purpose of detailing, clarifying or explaining any part of the application, whether at the request of the Office or otherwise, then such additional information shall not constitute a change or an addition resulting in an amendment.
(5) If the Applicant notifies the Office of a proposed change in post-mining land use or a change in the proposed mining plan or reclamation plan, the Office shall decide whether such change is significant enough to require the submittal of an amendment. . A significant change to the proposed mining or reclamation plan as determined by the Office, a change to the proposed post-mining land use, and/or an increase in the proposed permit acreage requires the submittal of an amendment to the application.
(6) Within five (5) Working Days of the filing of an amendment to an application, the Office shall set a new date for the consideration of the application. The new date shall be set pursuant to Rule 1.6.6.
1.9 TECHNICAL REVISION TO A PERMIT
1.9.1 Filing and Review Process
An application for Technical Revision shall be filed by electronic submittal as designated and approved by the Office. The Office shall act on a Technical Revision application within thirty (30) Days after the Technical Revision has been filed with the Office. If this date does not fall on a Working Day, then the date will be automatically set to the next Working Day. A Technical Revision is considered filed when the submittal includes the appropriate fee. A Technical Revision shall be considered automatically approved within thirty (30) Days after filing unless the application is denied. Notice of Technical Revisions shall be acknowledged in the monthly activity report attached to the monthly Board agenda.
1.9.2 Denial and Appeal Process
In the event that the Office decides to deny an application for Technical Revision, the Office will notify the Operator in writing within ten (10) Days after the decision deadline. The Operator may appeal the decision to the Board for a final determination by submitting a petition for a hearing pursuant to the provisions of Rule 1.4.11.
1.10 AMENDMENT TO A PERMIT
(1) Where applicable, there shall be filed with any application for a 112, 112d, 110 ISL or 112 ISL Reclamation Permit amendment, attachment(s), map(s), and one (1) original and one (1) copy, or by electronic submittal as designated and approved by the Office, of the application with the same content as required for an original application, except that the Applicant will not be required to submit any information which duplicates applicable previous submittals. However, the Applicant shall clearly describe where in the original application and supporting documents the information not included in the amendment application, but necessary to render the amendment technically adequate, may be found.
(2) A 110 or non-in situ leach mining operation 110d Limited Impact permit amendment submittal shall include attachment(s), map(s), and one (1) original and one (1) copy, or by electronic submittal as designated and approved by the Office, of the application with the same content as required for an original application, except the Applicant will not be required to submit any information which duplicates applicable previous submittals. However, the applicant shall clearly describe where, in the original application and supporting documents, the information not included in the amendment application, but necessary to render the amendment technically adequate, may be found.
(3) The amendment application shall be accompanied by a basic fee as specified in Section 34-32-127, C.R.S. 1984, as amended. Amendment applications for any in situ leach mining operations shall be accompanied by the basic fee for a 112d amendment application or a 112 amendment application if the operation has been exempted from designated mining operation status.
(4) An application for amendment shall be reviewed by the Board or Office in the same manner as an application for a new Permit.
(5) All aspects of the mining operation and Reclamation Plan that are subject to the amendment will be subject to these Rules, as amended, in effect at the time the Permit is amended.
1.11 CONVERSIONS
1.11.1 Purposes and Types
(1) A conversion is an application to change an existing permit to another type of permit based on an increase in acreage of the mining operation. Operators requesting conversion of a permit, regardless of designated mining operation or in situ leach status, must file a new permit application pursuant to either Section 34-32-110 C.R.S. and Rule 1.4.2 or Section 34-32-112 C.R.S. and Rules 1.4.4 and 1.4.5.
(2) Pursuant to 34-32-110(9)(d), 110r Reclamation-Only permit shall not be converted into or from any other type of permit.
1.11.2 Application Process
(1) The original Permittee cannot convert a Permit unless the permit has been in existence for two (2) consecutive years.
(2) All fee, warranty and permit processing requirements shall apply as though the Conversion application were a new permit application. A fee, as specified in Section 34-32-127(2)(a) C.R.S. shall be submitted at the time of the application submittal. Pursuant to Section 34-32-110(7)(a) C.R.S. and Rule 1.11.1, all conversion requests must include the filing of a new Section 110 or Section 112 permit application. In the case of converting from a 110 ISL operation to a 112 ISL operation, the Applicant/Operator must file a new baseline and site characterization and monitoring plan pursuant to the process set forth in Section 34-32-112.5 C.R.S. and Rule 1.4.3. If the Applicant/Operator believes that baseline site characterization information obtained for the original 110 ISL application is relevant to the permit conversion application, that information may, in the discretion of the Office, be incorporated into the conversion application pursuant to Rule 1.11.2(3).
(3) Contents of application:
(a) except as otherwise indicated in this Rule 1.11.2, the Operator shall provide all the information required by the Act and these Rules for the size of operation. However, the Operator need not supply any information required by the provisions of the Act which has been previously supplied unless such information is different from that in the original application. However, the Operator shall clearly describe where in the original application and supporting documents the information not included in the conversion application, but necessary to render the conversion application technically adequate, may be found.
(b) In addition, the application shall show:
(4) When an Operator is requesting a change in the status of a permit from a Designated Mining Operation to a Non-designated Mining Operation conversion provisions do not apply; the operator must comply with the exemption from designation requirements and procedures set forth in Rule 7.2.6.
1.11.3 Repealed
1.12 PERMIT TRANSFERS AND SUCCESSION OF OPERATORS
1.12.1 Approval Process
(1) Where one Operator succeeds another at any uncompleted operation, the first Operator shall be released from all liability as to that particular reclamation operation and all applicable Performance and Financial Warranties as to such operation shall be released if the successor Operator assumes, as part of the obligation under the Act and these Rules, all liability for the reclamation of the affected land, and the obligation is covered by replacement Performance and Financial Warranties as to such affected land.
(2) Requests for permit transfers and succession of Operators must be submitted on “Request for Transfer of Mineral Permit and Succession of Operators” forms provided by the Board. To be considered filed, each request must include an executed Performance Warranty, State approved W-9, and applicable replacement Financial Warranty, as well as proof of notice to all Owners of Record of the surface of the affected land and the mineral rights of the substance to be mined, any updated legal right of entry agreements if necessary, and updated damage waiver agreements or a geotechnical report demonstrating approved safety factors to protect off-site structures within 200 feet of the affected lands. In addition, each request for transfer of mineral permit and succession of operators for any in situ leach mining operation must include exhibit Y as required by Rule 6.4.25.
(a) The Office shall act on a Succession of Operator application within thirty
(b) Succession of Operator requests will be considered automatically approved after thirty (30) Days of the date the Succession of Operator request is filed with the Office unless the Operator is notified by the Office that the request is deficient or denied. Succession of Operator requests must be submitted on forms provided by and approved by the Board, and include the fee specified, in Section 34-32-127(2), C.R.S., and the properly executed financial and performance warranties, and damage waiver agreements or geotechnical stability reports, when required.
(3) Approval of a permit transfer and succession of Operator request shall be given by the Office if it finds that the successor Operator is capable of assuming all responsibility for the conditions included under the original permit; except that for any in situ leach mining operation, the Office or the Board may deny a permit transfer if:
(a) the successor operator or any affiliate, officer or director of the successor operator has demonstrated a pattern of willful violations of the environmental protection requirements of C.R.S. title 34 article 32, rules promulgated pursuant to this article, a permit issued pursuant to the article, or an analogous law, rule, or permit issued by another state or the United States;
(b) the successor operator or any affiliate, officer or director of the successor operator has in the ten (10) years prior to the submission of the request violated the environmental protection requirements of this article, rules promulgated pursuant to this article, a permit issued pursuant to the article, or an analogous law, rule, or permit issued by another state or the United States as disclosed in the application; however,
Notice of Permit Transfer will be acknowledged in the monthly activity report attached to the monthly Board agenda.
(4) 110r Reclamation-Only permits are not eligible for permit transfers and succession of Operators
1.12.2 Denial and Appeal Process
(1) Non-ISL appeal: In the event that the Office decides to deny a succession of Operator application in a non-in situ leach mining operation, the Office will notify the Applicant in writing within ten (10) Days of the decision deadline. The applicant may appeal the Office’s decision to the Board for a final determination according to the provisions of Rule 1.4.11.
(2) ISL appeal: As to an in situ leach mining operation the Applicant/Operator or any person who demonstrates that they are directly and adversely affected or aggrieved and whose interest is entitled to legal protection under the Act may appeal to the Board the Office’s decision regarding a transfer of operations according to the provisions of Rule 1.4.11.
1.13 CESSATION OF OPERATIONS – TEMPORARY FOR ALL MINING
OPERATIONS OR PERMANENT FOR IN SITU LEACH MINING OPERATIONS
1.13.1 General Provisions
(1) A permit granted pursuant to these Rules shall continue in effect as long as:
(a) an Operator continues to engage in the extraction of minerals and/or the mining operation and complies with the provisions of the Act;
(b) mineral reserves are shown by the Operator to remain in the mining operation and the Operator shows a reasonable plan to resume the mining operation or commence final reclamation; and (c) the mining operation is maintained in compliance with the requirements set forth in Rule 1.13.5(2)(d).
(2) The Board will consider all relevant testimony and facts related to a mining operation in its determination as to whether or not temporary cessation has occurred. The Board recognizes that no one factor is necessarily determinative, but that each determination will be based on site specific conditions and activity. In considering whether or not an operation is in production, the Board may take into consideration, among other factors, orderly mining operations or activities that further advance the mining operation commensurate with the scale of the operation, or other relevant facts. Factors to be included in the determination if a mine will be considered for temporary cessation, include, but are not limited to the following:
1.13.2 Indications of Temporary Cessation
(1) there are no personnel working at the site for one hundred and eighty (180) consecutive days as may be determined through annual reports, inspections and / or operator submissions;
(2) activity at the site is limited to general maintenance, housekeeping or similar related activity;
(3) activities at the site are not significantly advancing the site towards completion of the mining operation or final reclamation. The Board will consider activities at the site in relation to the scale of the operation and other relevant facts;
(4) there is no sale or processing of material or movement of stockpiled material off site;
(5) there is only minimal activity given the scale of the mining operation, including limited excavation of mineral or other material, and such activity is not orderly or does not advance the mining operation or final reclamation, as determined by the Office or Board;
(6) mine development has ceased and mining has not recommenced; or (7) the permit has not exhausted ten (10) consecutive years of non-production.
1.13.3 Indications Against Temporary Cessation
(1) Extraction of minerals has been completed, production has ceased, and only final reclamation and related activities remain at the site;
(2) production has ceased for more than ten (10) consecutive years;
(3) a permit has been issued, but the mining operation has not commenced on the affected lands; or (4) a 110r Reclamation-Only permit has been issued.
1.13.4 Reserved
1.13.5 Notice by Operator for Consideration of Temporary Cessation
(1) If the Operator plans to, or does, temporarily cease production for one hundred and eighty (180) days or more, the Operator must file a Notice of Temporary Cessation electronically on a form approved by the Office. An Operator conducting any in situ leach mining operation, regardless of designated mining operation status, shall file the Notice of Temporary Cessation at least thirty (30) days prior to ceasing operations; such Notice shall set forth the reasons for the temporary cessation and the expected duration of the temporary cessation.
(a) Initial period shall be the first five (5) years of Temporary Cessation beginning with the one hundred and eighty (180) day period of production cessation; except that in the case of any in situ leach mining operation:
(b) The second five (5) year period of Temporary Cessation shall begin at the end of the initial period of Temporary Cessation; except that in the case of any in situ leach mining operation:
(2) The Notice of Temporary Cessation for the initial period shall include the following to be considered filed for review by the Office and Board and must include:
(a) the date of cessation of production;
(b) the reasons for non-production or cessation of the mining operation;
(c) a plan for resumption of mining;
(d) the measures to be taken to comply with reclamation requirements and/or other activities related to the performance standards of Rule 3.1 while the mine is in Temporary Cessation including, but not limited to, any permit requirements or environmental monitoring and water treatment if required, and a schedule for reporting monitoring data;
(e) demonstration that the existing Financial Warranty is adequate to cover the reclamation liability;
(f) for an in situ leach mining operation, a description of the groundwater monitoring and pumping regime that will be maintained during the period of cessation of operations and a schedule for reporting monitoring data; and (g) an acknowledgement of the five (5) year limit date of the initial period of Temporary Cessation.
(3) The Notice for the second period shall include the following to be considered filed for Board consideration:
(a) demonstration that the existing Financial Warranty is adequate to cover the reclamation liability;
(b) explanation as to why the Operator has not recommenced operations or begun reclamation;
(c) demonstration of continued commitment to conduct mining operations at the site by the end of the second five (5) year period including a plan for resumption of mining operations and production;
(d) the measures to be taken to comply with reclamation requirements and/or other activities related to the performance standards of Rule 3.1 while the mine is in Temporary Cessation including, but not limited to, any permit requirements for environmental monitoring and water quality treatment if required, and a schedule for reporting monitoring data;
(e) for an in situ leach mining operation, a description of the groundwater monitoring and pumping regime that will be maintained during the period of cessation of operations and a schedule for reporting monitoring data; and (f) an acknowledgement of the ten (10) consecutive year limit for non- production and temporary cessation of mining activities.
(4) Prior to the Board Hearing to consider the request of a second five (5) year period of Temporary Cessation, the Office shall:
(a) conduct an inspection of the site to verify compliance with the Act and Mineral Rules and Regulations, and any required permit conditions;
(b) review the permit file for complaints against the operation and the status of resolution of those complaints;
(c) review environmental protection requirements for compliance as necessary;
(d) report to the Board at the Hearing comments by any owner of affected land or local government comments.
(5) The Notice of Temporary Cessation shall be separate from any other correspondence or reports and submitted to the Office electronically on the approved form.
(6) Except as to in situ leach mining operations, the requirement of a Notice of Temporary Cessation shall not apply to Operators who resume the mining operation within one (1) year and have included in the permit applications a statement that the affected lands are to be used for less than one hundred and eighty (180) days per year.
1.13.6 Notice of Resumption of Mining Operations
If the Operator plans to resume mining operations and/or production, the Operator must file a Notice of Resumption of Mining operations electronically on a form approved by the Office at least thirty (30) days prior to reactivation. Such Notice shall set forth the following:
(a) date of resumption of mining operations;
(b) a detailed description of the mining operations that are to resume;
(c) anticipated date of the resumption of production;
(d) the measures to be taken to comply with reclamation requirements and/or other activities related to the performance standards of Rule 3.1 including, but not limited to, any permit requirements for environmental monitoring and water treatment if required;
(e) demonstration that the existing Financial Warranty is adequate to cover the reclamation liability; and (f) any resumption of mining activities must be legitimate in nature considering the scale of the mining operation and is orderly or advances the mining operation or final reclamation. The Office and/or Board may reject any notice of resumption of mining operations if such activity is reasonably characterized as inconsistent with Rule 1.13.2(5).
1.13.7 Board/Office Procedure
(1) Upon receipt of the above submission as outlined in Rule 1.13.5 or 1.13.6, the Office will place the Notice of Temporary Cessation or Notice of Resumption of Mining on the tentative agenda of the next regular Board meeting and give notice to the Operator, the county planning commission, any federal jurisdiction, and any municipalities within two (2) miles of the proposed operation, by mail or electronic notification.
(2) The Board, at said meeting and in consultation with the Operator and any other person who demonstrates that they are directly and adversely affected or aggrieved and whose interest is entitled to legal protection under the Act, may take whatever action(s) it deems necessary and are authorized by law, including but not necessarily limited to:
(a) acceptance of the Notice of Temporary Cessation or Notice of Resumption of Mining as submitted;
(b) acceptance of the Notice of Temporary Cessation or Notice of Resumption of Mining as submitted with modifications and other necessary activities as established by the Board;
(c) a determination that the mining operation is not in a state of temporary cessation or has not resumed mining operations;
(d) continuance of the matter for another month or more to allow the Operator to revise the Notice of Temporary Cessation or Notice of Resumption of Mining and/or to allow the Office staff to conduct a site inspection or otherwise review the matter as necessary; or (e) order the Operator of an in situ leach mining operation to begin groundwater reclamation as set forth in Rule 1.13.5.
(3) (a) Except as to any in situ leach mining operation, when no reclamation or performance standard issues or problems are indicated in the Notice of Temporary Cessation or Notice of Resumption of Mining or by field or file inspection, and no concerns are expressed by interested persons, the Notice for an initial period of Temporary Cessation or any Notice of Resumption of Mining may be moved from the tentative agenda to the consent agenda of the final agenda for Board consideration;
(b) any objections to a Notice of initial period of Temporary Cessation or Resumption of Mining must be received no later than three (3) Working Days prior to the scheduled Board meeting;
(c) all Notices for a second consecutive period of Temporary Cessation or where timely objections have been received shall be noticed and scheduled for Board consideration at the next regularly scheduled Board meeting following receipt of the Notice and timely objection.
(d) In the case of any in situ leach mining operation seeking temporary cessation, or a second five (5) year period of temporary cessation, the matter will be set for the next regularly scheduled Board meeting that is at least twenty (20) Days after the Office receives the notice. At the hearing the Board will determine whether groundwater reclamation should commence pursuant to C.R.S. 34-32-112.5 (5)(d)(ii). The Office will participate at the hearing as staff to the Board and may provide a recommendation regarding groundwater reclamation. Any person who demonstrates that they are directly and adversely affected or aggrieved by the Board’s determination regarding groundwater reclamation and whose interest is entitled to legal protection under the Act may be a party to the formal hearing.
1.13.8 Application Requirements – Substitute for Notice of Temporary Cessation
Where certain mining operations have periods of inactivity exceeding one hundred and eighty (180) days, a permit applicant may include in the permit application or amendment , the information otherwise required when filing a Notice of Temporary Cessation. (Please see Rules 6.3.3(a) or 6.4.4(e)). If approved by the Board or Office, such Notice in the permit shall serve as a substitute for the Notice of Temporary Cessation with the following conditions:
(a) The Operator must report to the Board through the Annual Report:
(b) This Rule shall not apply to in situ leach mining operations.
1.13.9 Five Year Term of Temporary Cessation
(1) A permit granted pursuant to these Rules shall continue in effect as long as:
(a) the mining operation and production are resumed within five (5) years of the beginning of Temporary Cessation;
(b) the Operator files a request for an extension of the period of Temporary Cessation with the Board meeting the requirements of Rule 1.13.5(3) and secures Board approval of that request; or (c) the Operator is conducting reclamation pursuant to an approved reclamation plan or Board order.
(2) The Board shall, when necessary, establish the commencement of Temporary Cessation to determine the start of the five (5) year period described in Rule 1.13.9. Regardless of a request by the Operator or the Office, a five (5) year period of Temporary Cessation is a factual determination.
(3) Once the maximum limit of ten (10) consecutive years of Temporary Cessation has been reached, final reclamation of the affected lands shall be initiated with all reasonable diligence, as soon as practicable and as conditions allow. Final reclamation shall be completed within five years, unless extended by the Board or Office.
1.13.10 Ten Year Limitation for Temporary Cessation
In no case shall Temporary Cessation be continued for more than ten (10) consecutive years without terminating the mining operation and fully complying with the Reclamation and Environmental Protection Plan requirements of the Act and these Rules.
1.13.11 Permanent Cessation of Mining Operations – In Situ Leach Mining
Operations (1) An Operator conducting any in situ leach mining operation, regardless of designated mining operation status, shall file a notice of permanent cessation at least thirty (30) days prior to ceasing production operations; such Notice shall set forth the reasons for the permanent cessation of production operations.
(2) In the case of an in situ leach mining operation, if it is determined by the Office or the Board, regardless of whether notice has been provided by the Operator, that production operations have permanently ceased the Operator must immediately commence groundwater reclamation in accordance with the approved reclamation plan.
1.14 TERMINATION
1.14.1 Permit Termination
(1) A permit granted pursuant to these Rules shall continue in effect as long as:
(a) the Board does not take action to declare termination of the life of the mine, which action shall require a sixty (60) Day notice to the Operator alleging a violation of the permit, the Act or Rules; or (b) there is a discontinuance of the mining operation with a Temporary Cessation filing as provided in Rule 1.13.5 or 1.13.8 for ten (10) or less consecutive years; or (c) there is no failure to submit the reports required under Rules 1.13.5 and 1.13.8; or (d) there is no failure to comply with the requirements of Rule 1.13.9.
(2) In the event the Operator is not in compliance with the provisions of Rule 1.14.1(1), the Board shall provide a reasonable opportunity for the Operator to meet with the Board to present the full case and further provide reasonable time for the Operator to bring violations into compliance. Such hearings and procedures shall be in compliance with the requirements of Rule 3.3.2; or at such hearings the Board may:
(a) declare termination of the life of the mine according to the provisions of this Rule and after finding a violation in accordance with Rule 3.3.2, set forth reclamation timetables and other provisions leading to termination of the permit; or (b) declare that a mining operation is in a state of Temporary Cessation, establishing a commencement date and any additional permit conditions, as necessary, according to a review of the facts.
1.15 ANNUAL REPORT INCLUSIONS
(1) The Annual Reclamation Report shall include all information specified on the Annual Reclamation Report Form, in the format required by the Office, and specifically:
(a) the Operator shall submit, together with the Annual Reclamation Report, an updated statement regarding the sufficiency of the value of the Financial Warranty. Additional reasonable data to substantiate the value of the existing Financial Warranty shall be provided if requested by the Office or Board; and (b) for any Financial Warranty which is submitted in the form of a Deed of Trust or a Security Agreement, the Operator may be required to submit, together with the Annual Reclamation Report, an update by a qualified appraiser indicating any changes in property value, and a statement summarizing any circumstances which may affect the adequacy of the Deed of Trust or Security Agreement, or the value of the property subject thereto.
(c) The Operator shall provide all monitoring information required as part of the approved Reclamation Plan, and if required, Environmental Protection Plan.
(d) A map showing the permit boundary, the affected land boundary if different than the permit boundary, the location of stockpiled topsoil, the extent of current disturbances to affected lands including areas that were newly affected during the reporting period, areas reclaimed during the reporting period, the estimated extent of new areas to be affected in the next reporting period, areas to be reclaimed in the next reporting period, and any other information requested by the Office for the requirements of Section 34-24-102, C.R.S.;
(e) changes over the preceding year regarding any disturbances to the prevailing hydrologic balance;
(f) changes over the preceding year regarding any disturbances to the quality and quantity of water in surface and groundwater systems;
(g) reclamation accomplished to date and during preceding year;
(h) new disturbances that are anticipated to occur during the upcoming year; and (i) anticipated reclamation that will be performed during the upcoming year.
(2) An Operator may request a one-time change to a date other than the Anniversary Date of the permit for the purpose of submitting Annual Reclamation Reports.
(3) The Annual Production Report, as required by Section 34-24-101, C.R.S., shall be submitted on or before January 31 of each year and shall include all information specified on the Annual Production Report Form, in the format required by the Office.
1.16 MISCELLANEOUS PERMIT ADMINISTRATION CHANGES
1.16.1 Operator Address Change
(1) It shall be the duty of the Operator to keep the Office notified of any mailing or e- mail address change by sending written notice or filing an electronic notice of such change to the Office within thirty (30) Days. The Office is entitled to assume, in the absence of such Notice, that it may proceed with the last previous address provided by the Operator, and the Operator will be bound by such Notice as if actually received.
1.16.2 Sale of Property by an Operator
(1) Where an Operator is the owner of the affected lands and the Operator sells such lands, the Operator shall notify the Office of such sale within thirty (30) Days.
1.16.3 Change in Property Lease
(1) Where an Operator leases the affected lands, the Operator shall notify the Office of any changes that affect their right of legal entry to the affected lands within thirty (30) Days.
1.16.4 Business Name or Ownership Change
(1) Where an Operator's official business name changes or there is a change in business ownership or business form, the Operator shall contact the Office within thirty (30) Days of such change in order to revise performance and financial warranty documents and complete the Succession of Operator forms, if applicable.
1.16.5 Notice of Bankruptcy Filing
(1) Where an Operator files a bankruptcy petition, the Operator shall notify the Office via certified mail of such filing within five (5) working Days.
1.16.6 Operation Name Change
(1) Where an Operator wishes to change the operation name of a permit, the change shall be submitted as a Technical Revision unless the change is proposed during a Succession of Operator application.
1.16.7 Death of an Operator
(1) Upon death of an Operator, the executor of the Operator’s estate or other legally appointed representative shall establish legal right to act on the Operator’s behalf within sixty (60) Days or as soon as practical. A copy of the death certificate and legal documentation of assignment as executor, etc. shall be sufficient. RULE 2: BOARD MEETINGS – PERMIT APPLICATION HEARINGS, DECISIONS AND APPEALS
2.1 BOARD MEETINGS
2.1.1 General Provisions
Except for Executive Sessions of the Board, all meetings shall be open to the public and any member of the public may, at the discretion of the Board, address the Board on any subject within the Board's jurisdiction. In the event the item is not on the agenda, no formal action may be taken by the Board until the full notice provisions in these Rules are met.
2.2 NOTICE PROCEDURES FOR MEETINGS OF THE BOARD
2.2.1 Regular Board Meetings
Except as otherwise provided by law or these Rules, Public Notice of regular meetings shall be provided by the Board as follows:
(a) A minimum of ten (10) Days prior to the meeting, Notice of its date, time, place, format, and agenda by:
(b) All parties entitled to notice of the hearing, including the Applicant or Operator shall be given notice of the time, place, format, and nature thereof, the legal authority and jurisdiction under which it is to be held, and the matters of fact and law asserted. Such hearing shall be conducted pursuant to these Rules and the provisions of Section 24-4-105, C.R.S.
2.2.2 Other Meetings
Public Notice of all other meetings shall be provided by the Board as prescribed in Rule(s) 2.2.1 and/or 1.12.2 except upon a Board finding that an emergency condition exists, whereupon notice shall be provided as much in advance of the meeting as possible.
2.2.3 Agenda Changes or Additions
Additions or changes to the agenda after the 10-day notification may be made regarding emergency situations, and informational items. In this event, the Board will endeavor to give notification, if possible, as outlined above, and will be required to notify any Operator or individual scheduled to be heard.
2.3 BOARD QUORUM
(1) Four (4) Board members shall constitute a quorum.
(2) The Board shall act by majority vote of members present, except that four (4) affirmative votes are required for any amendment of these Rules.
2.4 RESERVED
2.5 DECLARATORY ORDERS (Section 24-4-105, C.R.S.)
2.5.1 Cause for Seeking a Declaratory Order
Any person who is or may be directly and adversely affected or aggrieved and whose interests are entitled to legal protection under the Act may petition the Board for declaratory order to terminate controversies or to remove uncertainties as to the applicability to the Petitioner of any statutory provision of or any rule or order of the Board made pursuant to the Mined Land Reclamation Act (Section 34-32-101, C.R.S. et seq.).
2.5.2 Petition Submission
(1) The petition must be submitted electronically to the Board, and is served on the Office, at a minimum, ten (10) Days prior to the Board meeting at which it is to be considered. At a hearing the Board may grant, deny, or continue consideration of the petition. Unless requested by the Board, all hearings for considerations of petitions shall be non-evidentiary. The Petitioner shall have the burden of proving all of the facts stated in the petition, all of the facts necessary to show the nature of the controversy or uncertainty and the manner in which the statute, rule or order in question applies or potentially applies to the Petitioner and any other facts the Petitioner desires the Board to consider.
(a) At the regularly scheduled Board meeting, the Board will determine in its discretion and without notice to Petitioner, whether to rule upon any such petition.
(b) If the Board determines that it will not rule upon such a petition, the Board shall promptly notify the Petitioner of its action and state the reasons for such action.
(2) Any petition filed pursuant to this rule shall set forth the following:
(a) the name, e-mail address and physical address of the Petitioner and whether the Petitioner is a Permittee pursuant to the Colorado Mined Land Reclamation Act;
(b) the statute, rule or order to which the petition relates;
(c) a concise statement of all of the facts necessary to show the nature of the controversy or uncertainty and the manner in which the statute, rule or order in question applies or potentially applies to the Petitioner.
2.5.3 Consideration of Petition
In determining whether to grant or deny a petition filed pursuant to this Rule, the Board will consider the following matters, among others:
(a) whether a ruling on the petition will terminate a controversy or remove uncertainties as to the applicability to Petitioner of any statutory provision or rule or order of the Board.
(b) whether the petition involves any subject, question or issue which is the subject of a formal or informal matter or investigation currently pending before the Board or a court involving one or more of the Petitioners.
(c) whether the petition involves any subject, question or issue which is the subject of a formal or informal matter or investigation currently pending before the Board or a court, but not involving any Petitioner.
(d) whether the petition seeks a ruling on a moot or hypothetical question or will result in an advisory ruling or opinion.
(e) whether the Petitioner has some adequate legal remedy, other than an action for declaratory relief pursuant to Rule 57, Colorado Rules of Civil Procedure, which will terminate the controversy or remove any uncertainty as to the applicability to the Petitioner of the statute, rule or other in question.
2.5.4 Procedure for Consideration
If the Board determines that it will rule on the petition the following procedures shall apply:
(a) Notice of hearing shall be provided to the Petitioner and all parties granted intervention pursuant to Rule 2.5.5. The Board may, without further notice, rule upon the petition based solely upon the facts presented in the petition. In such a case, any ruling of the Board will apply only to the extent of the facts presented in the petition and any amendment to the petition.
(b) The Board may order the petitioner to file a written brief, memorandum or statement of position.
(c) The Board may set the petition, upon due notice to Petitioner, for a non evidentiary hearing.
(d) The Board may request the petitioner to submit additional facts, in writing. In such event, such additional facts will be considered as an amendment to the petition.
(e) The Board may take administrative notice of facts pursuant to the administrative procedure act (Section 24-4-105(8), C.R.S.) and may utilize its experience, technical competence and specialized knowledge in the disposition of the petition.
(f) If the Board rules upon the petition without a hearing, it shall within ten
(g) The Board may, in its discretion, set the petition for hearing upon due notice to Petitioner, for the purpose of obtaining additional facts or information or to determine the truth of any facts set forth in the petition or to hear oral argument on the petition. The notice to the Petitioner setting such hearing shall set forth, to the extent known, the factual or other matters into which the Board intends to inquire. For the purpose of such a hearing, to the extent necessary, the Petitioner shall have the burden of proving all of the facts stated in the petition, all of the facts necessary to show the nature of the controversy or uncertainty and the manner in which the statute, rule or order in question applies or potentially applies to the Petitioner and any other facts the Petitioner desires the Board to consider.
2.5.5 Party Status and Petition to Intervene
(1) The Office shall be granted party status upon request.
(2) Any other person may seek leave of the Board to intervene in such a proceeding, and leave to intervene will be granted at the sole discretion of the Board based upon the interest of the person and whether that interest is entitled to legal protection under the Act and how that person is affected or aggrieved by the petition for Declaratory Order.
(3) A petition to intervene shall set forth a concise statement of the facts necessary to demonstrate the nature of its position, and the manner in which the statute, rule or order in question does or does not apply to the Petitioner.
2.5.6 Effect of a Declaratory Order
Any declaratory order or other order disposing of a petition pursuant to this Rule shall constitute final agency action subject to judicial review pursuant to Section 24-4-106, C.R.S.
2.6 PRE-HEARING PROCEDURES – MOTIONS, WITNESS AND EXHIBIT LISTS
The provisions of this Rule 2.6 shall apply to the Applicant and any entity that has party status for any 112, 112d, 110 ISL or 112 ISL application.
(1) All motions, except those made during a hearing, or when the Board deems an oral motion to be appropriate, shall be in writing and shall state the grounds for the motion. Motions shall be received electronically by the Board no later than two (2) Working Days following the Pre-hearing Conference. Any written response to a motion must be received electronically by the Board no later than three (3) Working Days prior to the date of the Formal Board Hearing.
(2) A party to a Formal Board Hearing may use witnesses or exhibits at the Formal Board Hearing. Parties shall provide a written list of all potential witnesses and exhibits at the Pre-hearing Conference in accordance with the following:
(a) The list of potential witnesses must include each witness' name, current address, e-mail, and phone number, area of expertise (if expert witness), and the subject matter of the testimony. Parties are not obligated to use any witness even if listed, but parties may not, without express permission from the Board at the Formal Board Hearing, introduce testimony from a witness that was not listed in accordance with this Rule.
(b) Information on exhibits shall be exchanged as follows:
(3) All motions, responses, replies, witness lists, and exhibit lists shall identify the name, e-mail, mailing address, and phone number of the submitting party, and the file number assigned to the case by the Office. If a party is represented by an attorney or other representative, the name, address and phone number of the attorney or other representative shall be provided on all documents submitted to the Board. All motions and lists shall be served on all parties and the Office at the same time and manner they are filed with the Board. Filing with the Board shall be done electronically through its secretary. Service on the Office shall not constitute filing with the Board
2.7 PRE-HEARING CONFERENCES
2.7.1 General Provisions
Prior to the Formal Board Hearing on any application, the Board may hold a Pre-hearing Conference in accordance with the following procedures:
(1) The Pre-hearing Conference will be held to describe the Office's review process, to explain the rights and responsibilities of parties, to discuss and resolve issues to the extent possible, to describe the Board Hearing processes, to propose a list of issues under the Board's jurisdiction, to simplify that list, and to identify parties.
(2) The Pre-hearing Conference shall be conducted by a Pre-hearing Conference Officer appointed by the Board.
(3) The Pre-hearing Conference Officer shall prepare a proposed Pre-hearing Order. The proposed Pre-hearing Order shall be made available to all parties prior to the Formal Board Hearing. In no instance shall the Pre-hearing Conference Officer's recommendations to the Board be considered final agency action for the purposes of judicial review under Section 24-4-106, C.R.S.
(4) The proposed Pre-hearing Order shall include:
(a) a recommended list of the parties and their names, e-mails, mailing addresses and phone numbers;
(b) a recommended list of issues to be considered by the Board at the Formal Board Hearing; and (c) a recommended schedule for the hearing with time allotments set for presentation by each party and the Office.
(5) In the case of a Pre-hearing Conference held on the matter of a 112 or 112d Reclamation Permit application, the Pre-hearing Conference shall be held after the Office has issued its written recommendation and at least ten (10) Calendar Days prior to the Formal Board Hearing.
2.7.2 Board Consideration of the Proposed Pre-hearing Order
At the Formal Board Hearing on a matter for which a Pre-hearing Conference was held, the Pre-hearing Conference Officer or a representative of the Pre-hearing Conference Officer shall present the proposed Pre-hearing Order to the Board for its consideration. The Board shall consider any objection to the proposed Pre-hearing Order submitted by a party, as well as any changed circumstances related to the Formal Board Hearing arising subsequent to the Pre-hearing Conference, and shall subsequently adopt, amend and adopt, or reject the proposed Pre-hearing Order. If the proposed Pre- hearing Order is rejected by the Board, the Chair of the Board shall direct the Formal Board Hearing on the matter.
2.7.3 Parties Rights and Responsibilities
(1) All parties have the right to present evidence, call witnesses, and cross-examine all other parties' witnesses. All parties are entitled to be represented by an attorney, or may designate a proxy, by way of a written proxy authorization, to attend the Pre-hearing Conference on behalf of the party. The proxy authorization must be on a form approved by the Board and presented to the Pre-hearing Conference Officer on or before the date of the Pre-hearing Conference.
(2) In order for a person to seek judicial review of the Board's decision, that person must have been a party to the Formal Board Hearing that considered the issue. However, all parties to the Formal Board Hearing on a matter, that do not file for judicial review are required by Section 24-4-106, C.R.S., to be named as defendants in any judicial review action.
(3) Any person who is a party to a matter before the Board and who wishes to withdraw as a party must do so in writing prior to the commencement of or on the record during the Formal Board Hearing on the matter.
(4) Any party who does not attend the Pre-hearing Conference forfeits its party status and all associated rights and privileges, unless such party provides a fully executed proxy authorization form to the Pre-hearing Conference Officer and the party’s authorized representative is present. A party may attend the Pre-hearing Conference via telephone, or if applicable via video conference, if such a request is made to the Pre-hearing Conference Officer, or a representative, at least five (5) Working Days, or less for good cause shown, prior to the scheduled Pre- hearing Conference date, and facilities at the site of the Pre-hearing Conference allow for a conference call.
(5) If all parties to a 112 or 112d Reclamation Permit application that is to be considered at a Formal Board Hearing withdraw, the Board directs the Office to act on behalf of the Board and to timely approve or deny the application, unless the Office determines that a Formal Board Hearing should be held.
2.8 HEARINGS
2.8.1 General Provisions – Board Hearings
(1) Except as otherwise provided by statute, the proponent of an order shall have the burden of proof and every party to the proceeding shall have the right to present its case or defense by oral and documentary evidence, to submit rebuttal evidence, and to conduct such cross-examination as may be required for a full and true disclosure of the facts. Subject to these rights and requirements, where a hearing will be expedited and the interests of the parties will not be substantially prejudiced thereby, a person conducting a hearing may receive all or part of the evidence in written form.
(2) Any party, other than an Operator/Applicant, who does not attend the Board Hearing forfeits its party status and all associated rights and privileges. A party may not appear at a Formal Board Hearing by proxy.
(3) A party may file a motion to attend the hearing via telephone or video conference pursuant to the following requirements:
(a) A party may file an e-mail request for telephonic or video appearance with the Board Chair no later than fourteen (14) Calendar Days prior to the Hearing. The motion shall state the reason(s) for requesting to participate at the hearing by phone or video. The motion shall be served by mail or electronic attachment on all parties.
(b) Any party may file with the Board Chair a response to the request for telephonic or video appearance. The response must be filed by e-mail no later than ten (10) Calendar Days prior to the hearing.
(c) The Board Chair will rule on the request for telephonic or video appearance at least seven (7) Calendar Days prior to the hearing. In the event the Board Chair does not issue a ruling on the request no later than seven (7) Calendar Days prior to the hearing, the request for telephonic or video appearance shall be deemed denied.
(4) The rules of evidence and requirements of proof shall conform to the extent practicable, with those in civil non-injury cases in district courts. However, when necessary to do so in order to ascertain facts affecting the substantial rights of the parties to the proceeding, the Board may receive and consider evidence not admissible under such rules, if such evidence possesses probative value commonly accepted by reasonable and prudent people in the conduct of their affairs.
(a) Objections to evidentiary offers may be made and shall be noted in the record.
(b) The Board shall give effect to the rules of privilege recognized by law.
(c) The Board may exclude incompetent and unduly repetitious evidence.
(d) Documentary evidence may be received in the form of a copy or excerpt if the original is not readily available; but, upon request, the party shall be given the opportunity to compare the copy with the original.
(5) The Board may utilize its experience, technical competence, and specialized knowledge in the evaluation of the evidence presented to it.
(6) The Board may take notice of general, technical, or scientific fact, but only if the fact so noticed is specified in the record or is brought to the attention of the parties before final decision and every party is afforded an opportunity to controvert the fact so noticed.
(7) The Board and Office shall proceed with reasonable dispatch to conclude any matter presented to it with due regard for the convenience of the parties or their representatives.
2.8.2 Board Decision
(1) In any case on which the Board has conducted a hearing, the Board shall prepare, file and serve upon each party, its decision in the form of a written order.
(2) Every such decision rendered by the Board at a hearing shall thereupon become the final decision on such matter.
(3) Each written order shall include a statement of findings and conclusions upon all the material issue of fact, law or discretion presented by the record and the appropriate order, sanction, relief, or denial thereof.
(5) Unless otherwise provided by law, the Final Board Order shall be served on each party and the Office by personal service or by mailing by Certified mail to the last address furnished to the Office by such party and shall be effective on the date mailed or such later date as may be stated in the Final Board Order.
2.9 RECONSIDERATION OF BOARD DECISIONS
2.9.1 Cause for Seeking Reconsideration
(1) Any party to a hearing may petition the Board to reconsider its decision.
(2) Such petitions must set forth a clear and thorough explanation of the grounds justifying reconsideration, and must include new and relevant facts that were not known at the time of the hearing and the explanation why such facts were not known at the time of the hearing.
2.9.2 Petition Submission
Petitions for reconsideration must be received by the Office within twenty (20) Calendar Days of the effective date of the Board's written decision. The effective date of the Board's Order is the date of mailing as set forth in the Order’s Certification of Service.
2.9.3 Consideration of Petition
The Board may grant or deny the petition based solely on the written submittal in support of the petition or written opposition thereto, or the Board may, in its discretion, grant the parties, as defined in Rules 1.1(53) and 1.7.1, an opportunity to present oral arguments. The Office staff shall act as staff to the Board, except on matters related to enforcement.
2.9.4 Automatic Denial of Petition
The petition shall be deemed denied unless it is granted, or the Board takes other action on the petition, within sixty (60) Days of receipt of the petition.
2.9.5 Time Limitations
The timely filing of a petition for reconsideration shall not toll the time in which the Parties to the hearing may seek judicial review of the Board's decision. RULE 3: RECLAMATION PERFORMANCE STANDARDS, INSPECTION, MONITORING, AND ENFORCEMENT
3.1 RECLAMATION PERFORMANCE STANDARDS
These performance standards shall be applicable to all mining operations. Prospecting operations are subject to the relevant performance standards of this Rule as determined by the Office.
3.1.1 Establishing Post-Mining Use
(1) In consultation with the Landowner, where possible, and subject to the approval of the Board or Office, the Operator shall choose how the affected lands shall be reclaimed. These decisions can be for forest, rangeland, pastureland, cropland, general agriculture, residential, recreational, industrial/commercial, developed water resource, wildlife habitat, or other uses.
(2) The results of these decisions shall be formulated into a Reclamation Plan, as specified in Rule 6.3.4 or 6.4.5, as required for the size and type of operation.
3.1.2 Reclaiming Substituted Land
Reclamation shall be required on all the affected land except that the Operator may substitute land previously mined and owned by the Operator but not otherwise subject to the Mined Land Reclamation Act, or the Operator may reclaim an equal number of acres of any land previously mined, but not owned by the Operator, if the Operator has not previously abandoned unreclaimed mining lands. Such exchanges can be done only with the approval of the Board and the Owner of the land to be reclaimed. The Board and Office shall not approve such an exchange for lands affected by any 110r Reclamation-Only, 110 or 112 uranium or in situ leach mining operation.
3.1.3 Time Limit and Phased Reclamation
(1) For any in situ leach mining operations, reclamation of groundwater in accordance with the approved reclamation plan shall begin immediately upon:
(a) The detection pursuant to the baseline site characterization and monitoring plan of any subsurface excursion of groundwater outside of the affected area containing chemicals used in or mobilized by such operation or the groundwater outside the affected land otherwise fails to meet groundwater standards applicable to in situ leach mining operations; or (b) The cessation of production operations, unless the operator has filed a Notice of Temporary Cessation as required by Rule 1.13.5(1) and the Board has not ordered reclamation of groundwater to commence under Rule 1.13.
(2) Except for 110r Reclamation-Only permits where reclamation shall be completed in three (3) years, all reclamation shall be carried to completion by the Operator with all reasonable diligence, and each phase of reclamation shall be completed within five (5) years from the date the Operator informs the Board or Office that such phase has commenced, or from the date the Office has evidence that mining or prospecting has ceased or the end of life of mine has been declared, unless extended by the Board or Office. The 5 year period may be applied separately to each phase as it is commenced throughout the life of the mine.
(3) Upon determination and notice by the Office that all reclamation is completed, the operator should request a release of the permit within sixty (60) Days, or demonstrate to the Office or Board plans for future mining and that mineral reserves still exist.
3.1.4 Public Use
On lands owned by the Operator, the Operator may permit the public to use the same for recreational purposes, in accordance with the Limited Landowner Liability Law contained in Article 41 of Title 33, C.R.S. 1984, as amended, except in areas where such use is found by the Operator to be hazardous or objectionable.
3.1.5 Reclamation Measures – Materials Handling
The Operator shall set forth the measures that will be taken to meet all the following requirements:
(1) Grading shall be carried on so as to create a final topography appropriate to the final land use selected in the Reclamation Plan.
(2) When backfilling is a part of the plan, the Operator shall replace overburden and waste materials in the mined area and shall ensure adequate compaction for stability and to prevent leaching of toxic or acid-forming materials.
(3) All grading shall be done in a manner to control erosion and siltation of the affected lands, to protect areas outside the affected land from slides and other damage. If not eliminated, all highwalls shall be stabilized, safeguarded, and where feasible, blended into the natural topography as approved by the Office.
(4) All backfilling and grading shall be completed as soon as feasible after the mining process. The Operator shall establish reasonable timetables consistent with good mining and reclamation procedures.
(5) All refuse and toxic or acid-forming materials that have been mined shall be handled and disposed of in a manner that will control unsightliness and protect the drainage system from pollution.
(6) Any drill or auger holes that are part of the mining operation shall be plugged with non-combustible material, which shall prevent harmful or polluting drainage. Adits and shafts should be closed, and where practicable, backfilled and graded in a manner consistent with the post mine land use and shall comply with the provisions of the Act, Mineral Rules and Regulations.
(7) Maximum slopes and slope combinations shall be compatible with the configuration of surrounding conditions and selected land use. In all cases where a lake or pond is produced as a portion of the Reclamation Plan, all slopes, unless otherwise approved by the Board or Office, shall be no steeper than a ratio of 2:1 (horizontal to vertical ratio), except from 5 feet above to 10 feet below the expected water line where slopes shall be not steeper than 3:1. If a swimming area is proposed as a portion of the Reclamation Plan, the slope, unless otherwise approved by the Board or Office, shall be no steeper than 5:1 throughout the area proposed for swimming, and a slope no steeper than 2:1 elsewhere in the pond.
(8) If the Operator's choice of reclamation is for agricultural or horticultural crops which normally require the use of farm equipment, the Operator shall grade so that the area can be traversed with farm machinery.
(9) An Operator may backfill inert fill material generated within the MLRB permitted area into an excavated pit within the permit area as provided for in the MLRB Permit. If an Operator intends to backfill inert fill generated outside of the approved permit area, it is the Operator's responsibility to provide the Office notice, submitted as a technical revision, of any proposed backfill activity not identified in the approved Reclamation Plan. Unless otherwise approved by the Office, an Operator of a 110r Reclamation-Only permit is prohibited from importing inert fill. If the Office does not respond to the Operator's notice within thirty (30) Days after receipt of such revision submitted to the Office, the Operator may proceed in accordance with the provisions of this Rule. The Operator shall maintain a Financial Warranty at all times adequate to cover the cost to stabilize and cover any exposed backfilled material. The Notice to the Office shall include but is not limited to:
(a) a narrative that describes the approximate location of the proposed activity;
(b) the approximate volume of inert material to be backfilled;
(c) a signed affidavit certifying that the material is clean and inert, as defined in Rule 1.1(33);
(d) the approximate dates the proposed activity will commence and end, however, such dates shall not be an enforceable condition;
(e) an explanation of how the backfilled site will result in a post-mining configuration that is compatible with the approved post-mining land use;
(f) a general engineering plan stating how the material will be placed and stabilized in a manner to avoid unacceptable settling and voids; and (g) a commitment to provide an annual report to summarize the type, amount, and location of all imported and backfilled material within the reporting period and an updated certification that all material was clean, inert, and placed in accordance with the approved plan.
(10) All mined material to be disposed of within the affected area must be handled in such a manner so as to prevent any unauthorized release of pollutants to the surface drainage system.
(11) No unauthorized release of pollutants to groundwater shall occur from any materials mined, handled or disposed of within the permit area.
3.1.6 Water – General Requirements
(1) Hydrology and Water Quality: Disturbances to the prevailing hydrologic balance of the affected land and of the surrounding area and to the quantity or quality of water in surface and groundwater systems both during and after the mining operation and during reclamation shall be minimized by measures, including, but not limited to:
(a) compliance with applicable Colorado water laws and regulations governing injury to existing water rights;
(b) compliance with applicable federal and Colorado water quality laws and regulations, including statewide water quality standards and site-specific classifications and standards adopted by the Water Quality Control Commission;
(c) compliance with applicable federal and Colorado dredge and fill requirements; and (d) removing temporary or large siltation structures from drainage ways after disturbed areas are revegetated and stabilized, if required by the Reclamation Plan.
(e) Where a proposed amendment to a reclamation plan or permit is not anticipated to impact water quality or hydrologic balance, the Applicant/Operator shall submit a statement and demonstration by substantial evidence for review and approval by the Office and/or Board. This is not intended as an exemption to 3.1.6(1) (f) or (i).
(f) Except as specified in subsections (g) through (h) of this subsection, a reclamation plan for a new or amended permit must demonstrate, by substantial evidence, a reasonably foreseeable end date for any water quality treatment necessary to ensure compliance with applicable water quality standards.
(g) The board may approve a reclamation plan that lacks substantial evidence of a reasonably foreseeable end date for any necessary water treatment if the new or amended permit includes an environmental protection plan and reclamation plan adequate to ensure compliance with applicable water quality standards and upon making a written determination:
(h) the board may approve a new reclamation plan that lacks substantial evidence of a reasonably foreseeable end date for any necessary water quality treatment if a permit application is submitted and the reclamation plan is limited to reclamation of already-mined ore or other waste materials, including mine drainage runoff, as part of a clean up.
(i) No permit shall be approved where perpetual water treatment is proposed as final reclamation unless otherwise exempt by these rules.
(2) Earth dams, if necessary to impound water, may be constructed if the formation of such impoundments will not damage adjoining property or conflict with water pollution laws, rules or regulations of the federal government, the state of Colorado or with any local government pollution ordinances.
(3) All surface areas of the affected land, including spoil piles, shall be stabilized and protected so as to effectively control erosion.
(4) The Office may require the submission of baseline site characterization data, sufficient to ensure that impacts will be detected, prior to the initiation of prospecting or mining, including but not limited to, ambient groundwater and surface water quality data sufficient to characterize potentially impacted waters.
(5) Drilling pits used during prospecting or mining shall be constructed and operated to minimize impacts to public health, safety, welfare and the environment, including soil, waters of the State, including groundwater, and wildlife. In its discretion, the Office may require the use of pit liners, fencing, netting or other measures to minimize impacts to the public health, safety, welfare and the environment.
3.1.7 Groundwater – Specific Requirements
(1) Standards and conditions applicable to classified and unclassified groundwater.
(a) State-wide groundwater quality standards: Operations that may affect groundwater quality shall comply with all state-wide groundwater quality standards established by the Water Quality Control Commission (hereafter, the WQCC).
(b) Classified areas: Operations that may affect the quality of groundwater in a specified area that has been classified by the WQCC shall comply with the standards applicable to such specified area.
(c) Unclassified areas: Operations that may affect the quality of groundwater which has not been classified by the WQCC shall protect the existing and reasonably potential future uses of such groundwater.
(d) Water quality standards applicable to groundwater that has been classified, state-wide standards for certain pollutants, and interim narrative standards set by the WQCC shall supersede any numeric protection levels established for the subject pollutants pursuant to this Rule 3.1.7.
(e) For any in situ leach mining operations: Operators of all uranium extraction operations using in situ leach mining or recovery methods shall reclaim all affected groundwater for all water quality parameters that are specifically identified in the baseline site characterization and monitoring plan required by Rule 1.4.4, or in the statewide radioactive materials standards or tables 1 through 4 of the Basic Standards for Groundwater as established by the Colorado Water Quality Control Commission, to either of the following:
(f) Also, in establishing, designing and implementing a groundwater reclamation plan, in situ leach mining operators shall use best available technology.
(g) In addition, in situ leach mining operators shall take all necessary steps to prevent and remediate any degradation of preexisting groundwater uses during the prospecting, development, extraction and reclamation phases of the in situ leach mining operation.
(2) Establishing permit, or notice of intent to conduct prospecting (NOI), conditions, including numeric protection levels, protective of unclassified groundwater uses.
(a) Pursuant to the procedures specified in Rule 3.1.7(3), permit or NOI conditions shall be established for each operation that may have a reasonable potential to adversely affect the quality of a specified area that has not been classified by the WQCC. Such permit or NOI conditions may be in the form of numeric protection levels, practice-based permit or NOI conditions, or both.
(b) Points of compliance for numeric protection levels shall be set pursuant to Rule 3.1.7(6).
(c) Permit or NOI conditions, whether practice-based or numeric protection levels, shall be established as follows:
(3) Procedures for establishing permit or NOI conditions to protect the quality of unclassified groundwater.
(a) New operations and modifications of existing permits or NOIs: Any application or NOI for a new operation, or an application for a modification of an existing permit or NOI which modification has reasonable potential to adversely affect the quality of unclassified groundwater, that is approved by the Office or the Board on or after Rule 3.1.7(2).
(b) Existing operations: For operations subject to a permit or NOI issued before September 1, 1993, which permit or NOI is not the subject of an application or a modification as described in Rule 3.1.7(3)(a), permit or NOI conditions shall be established as follows:
(4) Procedures for establishing compliance with standards promulgated by the WQCC.
(a) Existing permits or NOIs affecting groundwater, subject to existing groundwater quality standards. The Office shall provide notice to operations subject to a permit or NOI issued prior to January 31, 1994 if such operation has a reasonable potential to exceed groundwater quality standards promulgated by the WQCC. Such existing groundwater quality standards may include standards applicable to groundwater that has been classified by the WQCC, interim narrative standards and state-wide standards for certain pollutants. The notice shall provide the Operator with a reasonable opportunity to respond and modify the permit or NOI if necessary, to establish permit or NOI conditions adequate to implement such groundwater standards.
(b) WQCC standards promulgated after a permit or NOI is issued: If there is a reasonable potential to exceed groundwater quality standards promulgated after the permit or NOI is issued the Office shall provide the Operator with notice of the applicable groundwater quality standards. The Operator shall be afforded a reasonable opportunity to submit an application to modify the permit or NOI as necessary to implement such groundwater quality standards.
(c) Permit or NOI conditions established pursuant to Rules 3.1.7(4)(a) and (b) shall include a reasonable schedule of compliance. Such permit or NOI conditions may be in the form of numeric protection levels, practice-based permit or NOI conditions, or both.
(d) If an Operator has a reasonable potential to exceed groundwater quality standards promulgated by the WQCC, the Operator shall modify the permit or NOI as necessary to implement such standards in compliance with this Rule 3.1.7, within a reasonable period of time after receiving a Notice issued pursuant to Rules 3.1.7(4)(a) and (b). If the Operator fails to do so the Office may initiate an enforcement action to enforce compliance with this Rule and establish any necessary permit or NOI conditions.
(e) Permits, NOIs or applications to modify a permit or a NOI shall not be approved unless such permit, NOI, or modification includes conditions adequate to implement all groundwater quality standards promulgated by the WQCC applicable to such permit, NOI, or modification.
(5) Any Operator, on a voluntary basis, may submit information concerning the protection of the quality of groundwater affected by the operation to the Office. The Operator may submit such information and a plan for monitoring, where appropriate, including monitoring at points of compliance, for the Office's consideration. The information submitted must satisfy the requirements of Rules 3.1.7(6) and (7). Such voluntary submission by an Operator shall be considered a Technical Revision provided the submittal satisfies Rule 1.8, or NOI modification.
(6) Points of Compliance:
(a) In order to evaluate protection afforded groundwater quality, comply with groundwater standards, or to demonstrate compliance with permit or NOI conditions established by the Office to protect groundwater quality, one or more points of compliance shall be established. Through incorporation into a permit or NOI and on a schedule approved by the Office, an Operator shall comply with groundwater quality standards established by the Water Quality Control Commission at points of compliance.
(b) Where groundwater quality standards have been established, the point of compliance shall be established according to the following criteria:
(7) Groundwater Monitoring:
(a) For existing operations through permit or NOI modifications, and for new permit applications or NOIs, a groundwater monitoring program shall be required on a case-by-case basis where an adverse impact on groundwater quality may reasonably be expected.
(b) If groundwater monitoring is required, the Operator shall include the following information as part of a permit application, NOI, or permit or NOI modification:
(8) Release of Reclamation Liability: An Operator shall demonstrate, to the satisfaction of the Office, that reclamation has been achieved so that existing and reasonably potential future uses of groundwater are protected. In addition, Operators of any in situ leach mining operations shall reclaim groundwater as required in Rule 3.1.7(1)(e).
(9) An Operator must provide the Office a written report within five (5) Working Days when there is evidence of groundwater discharges exceeding applicable groundwater standards or permit or NOI conditions imposed to protect groundwater quality whether these or other conditions are explicitly identified in the permit or NOI as requiring such notice.
For additional performance standards related to water, see Rules 3.1.5 and 3.1.6.
3.1.8 Wildlife
(1) All aspects of the mining and reclamation plan shall take into account the safety and protection of wildlife on the mine site, at processing sites, and along all access roads to the mine site with special attention given to critical periods in the life cycle of those species which require special consideration (e.g., elk calving, migration routes, peregrine falcon nesting, grouse strutting grounds).
(2) Habitat management and creation, if part of the Reclamation Plan, shall be directed toward encouraging the diversity of both game and non-game species, and shall provide protection, rehabilitation or improvement of wildlife habitat. Operators are encouraged to contact Colorado Parks and Wildlife and/or federal agencies with wildlife responsibilities to see if any unique opportunities are available to enhance habitat and/or benefit wildlife which could be accomplished within the framework of the Reclamation Plan and costs.
3.1.9 Topsoiling
(1) Topsoil shall be removed and segregated from overburden and other spoil. If such topsoil is not replaced on a backfill area within the same growing season, not to exceed 180 days, vegetative cover or other means shall be employed so that the topsoil is protected from wind and water erosion, remains free of any contamination by toxic or acid-forming material, and is in a usable condition for reclamation.
(2) Where practicable, woody vegetation present at the site shall be removed from or appropriately incorporated into the existing topsoil prior to excavation within the affected areas. The Operator should make a reasonable effort to ensure that existing vegetation is put to a beneficial use such as firewood, mulching, lumber, etc.
(3) Topsoil stockpiles shall be stored in places and configurations to minimize erosion and located in areas where disturbance by ongoing mining operations will be minimized. Such stockpile areas must be included in the affected areas and subject to all reclamation requirements. The Board may require immediate planting of an annual and/or perennial on topsoil stockpiles for the purpose of stabilization.
(4) Once stockpiled, the topsoil shall be rehandled as little as possible until replacement on the regraded, disturbed area. Relocations of topsoil stockpiles on the affected land require Board or Office approval. Approval in most cases would be granted by way of technical revision.
(5) The Operator shall take measures necessary to assure the stability of replaced topsoil on graded slopes such as roughing in final grading to eliminate slippage zones that may develop between the deposited topsoil and heavy textured spoil surfaces.
(6) If, in the discretion of the Board or Office, such existent topsoil is of insufficient quantity or of poor quality for sustaining vegetation, and if other materials can be shown to be more suitable for vegetation requirements, then the Operator shall remove, segregate, and preserve in a like manner such other materials which are best able to support vegetation.
(7) When growing media is replaced, it shall be done in as even a manner as possible. Fertilizer or other soil amendments shall be added, if required in the Reclamation Plan or as the soil tests indicate.
(8) Vegetative piles shall be removed from the area or utilized in accordance with the Reclamation Plan.
3.1.10 Revegetation
(1) In those areas where revegetation is part of the Reclamation Plan, land shall be revegetated in such a way as to establish a diverse, effective, and long lasting vegetative cover that is capable of self-regeneration without continued dependence on irrigation, soil amendments or fertilizer, and is at least equal in extent of cover to the natural vegetation of the surrounding area. Except for certain post mining land uses approved by the Board or Office, the use of species native to the region shall be emphasized. Native plant species that encourage pollinators should receive first consideration, but introduced species may be used in the revegetation process when found desirable and approved by the Board or Office. Greater emphasis on non-native species may be proposed for intensively managed forestry and range uses.
(2) If the Operator's choice of reclamation is forest planting, they may, with the approval of the department, select the type of trees to be planted. If the Operator is unable to acquire sufficient planting stock of desired tree species from the state or elsewhere at a reasonable cost, they may defer planting until planting stock is available to plant such land as originally planned, or they may select an alternate method of reclamation.
(3) If the Operator's choice of reclamation is for rangeland, the land shall be restored to slopes commensurate with the proposed land use and shall not be too steep to be traversed by livestock. The area may be seeded either by hand, or power, or by the aerial method.
(4) The revegetation plan shall provide for the greatest probability of success in plant establishment and vegetation development by considering environmental factors such as seasonal patterns of precipitation, temperature and wind; soil texture and fertility; slope stability; and direction of slope faces. Similar attention shall be given to biological factors such as proper inoculation of legume seed, appropriate seeding and transplanting practices, care of forest planting stock, and restriction of grazing during initial establishment. The Board or Office, in consultation with the Landowner and the local Conservation District, if any, shall determine when grazing may start.
(5) To ensure the establishment of a diverse and long lasting vegetative cover, the Operator shall employ appropriate techniques of site preparation and protection such as mechanical soil conditioning by discing and ripping; mulching; soil amendments and fertilizers; and irrigation.
(6) Methods of weed control shall be employed for all prohibited noxious weed species, and whenever invasion of a reclaimed area by other weed species seriously threatens the continued development of the desired vegetation. Weed control methods shall also be used whenever the inhabitation of the reclaimed area by weeds threaten further spread of serious weed pests to nearby areas.
(7) When necessary, fire lanes or access roads shall be constructed through the area to be planted. These lanes or roads shall provide access for planting crews, supervision and inspection.
(8) Planting required for reclamation may be delayed, through the period of use related to places of refuse disposal, haulage roads and road cuts. Normal stabilization of surfaces is required. No planting is required:
(a) on any affected land being used or proposed to be used by the Operator for the deposit or disposal of refuse until after the cessation of operations productive of such refuse;
(b) on lands proposed for future mining;
(c) within depressed haulage roads or final cuts while such roads or final cuts are being used or made;
(d) where permanent pools or lakes have been formed; and (e) on any affected land so long as the chemical and physical characteristics of the surface and immediately underlying material of such affected land are toxic, deficient in plant nutrients, or composed of sand, gravel, shale, or stone to such an extent as to seriously inhibit plant growth and such condition cannot feasibly be remedied by chemical treatment, fertilization, replacement of overburden, or like measures.
(9) Where adverse characteristics of the surface, not feasibly remedied by artificial measures, would seriously inhibit plant growth, planting may be delayed or provided on substitute acres, depending upon natural corrective processes over a ten (10) year period.
3.1.11 Buildings and Structures
If the affected land is owned by a legal entity other than any local, state, or federal entity, any buildings or structures including those constructed or placed on the affected lands in conjunction with the mining operations or which are historic structures as determined by the State Historic Preservation Office may, at the option of the Operator and Landowner and with the approval of the Board, remain on the affected land after reclamation if such buildings or structures will not conflict with the post-mining land use and the structures conform to local building and zoning codes.
3.1.12 Signs and Markers
(1) At the entrance of the mine site the Operator shall post a sign, which shall be clearly visible from the access road, with a minimum size equaling one hundred and eighty-seven (187) square inches, such as eleven (11) inches in height and seventeen (17) inches in width, with appropriate font size, with the following:
(a) the name of the Operator and the operation name;
(b) a statement that a reclamation permit for the operation has been issued by the Colorado Mined Land Reclamation Board and, as determined by the Office, the location where information can be obtained; and (c) the permit number.
(2) The boundaries of the affected area will be marked by monuments or other markers that are clearly visible and adequate to delineate such boundaries.
(a) for 110 Limited Impact Operations and Limited Impact 110 Designated Mining Operations the permit boundary for the purposes of this Rule shall be considered the affected area;
(b) for 112 Regular Operations and 112 Designated Mining Operations the area proposed to be disturbed by mining operations for which a Financial Warranty and Performance Warranty have been posted shall be the affected area.
(3) The Office may approve an alternative plan for identifying the boundaries of the affected land if the Operator includes such a plan in the permit application or through a technical revision.
3.1.13 Spill Reporting
The Operator shall notify the Office of a spill of any toxic or hazardous substance, including spills of petroleum products, that occurs within the mined land permit area or area encompassed by a Notice of Intent and which would be required to be reported to any Division of the Colorado Department of Public Health and the Environment, the National Response Center, the Colorado Emergency Planning Commission, any local Emergency Planning Commission, local Emergency Planning Committee, or the State Oil Inspector. The Operator shall:
(1) within twenty-four (24) hours of the time the spill is reported to any other agency(ies) with jurisdiction over the spill, notify the Division of Reclamation, Mining and Safety, via phone or email;
(2) include in the notice any relevant information known at the time contact is made with the Office that would assist the Office in assessing spill seriousness, such as:
(a) operation name, DRMS permit number and name of person reporting the spill, (b) telephone number of a responsible company official for the Office staff to use as a contact, (c) date and time of spill, (d) type of material spilled (CAS number if applicable, from the material safety data sheet (MSDS) form), (e) estimate of the amount spilled, whether any material has left the permit area, and where the spilled material went, and (f) initial measures taken to contain and clean up the spill.
(3) copy the Office on any correspondence and/or written reports provided to other agencies. Supplement those reports if necessary to include the information outlined in Rule 3.1.13(2).
(4) For permits approved prior to the effective date of these Rules, the requirements of Rule 3.13 shall supersede stipulations to permits regarding spill reporting.
3.2 INSPECTION AND MONITORING
(1) Entry upon lands for inspection: the Board or Office may enter upon the lands of the Operator at all reasonable times for the purpose of inspection to determine whether the provisions of the Act and these Rules have been complied with.
(2) Persons authorized under the Act and these Rules to conduct inspections shall, prior to entry onto any lands, notify the Operator of their intent to enter and inspectors shall comply with all federal, state, local and company safety rules.
(3) Any state official or employee of the Office shall promptly report to the Board any possible violation of a permit, law or these Rules of which they have knowledge, whether obtained from personal inspection or from written reports on mining operations.
(4) Upon an Office determination of a possible violation, the Office shall issue a Notice of Possible Violation(s), and shall mail such notice by certified mail, return receipt to the last known address of the Permittee. The Office shall schedule the matter of possible violation(s) for a Board Hearing according to the provisions of Rules 3.3.1 or 3.3.2.
(5) All inspections shall include a written report which:
(a) describes every possible violation of the permit, law, or these Rules;
(b) is personally signed by the Inspector; and (c) is mailed within a reasonable time to the mine office, or other suitable location designated by the Operator.
(6) A report of how and when a violation is resolved and a report of any subsequent inspection to verify compliance shall be filed.
(7) All operations applying for a regular permit, conversion, or amendment thereto shall be inspected after the application is filed and prior to Board consideration. Other Applicants shall be so inspected as time and staff resources permit.
(8) Mining operations shall be inspected a sufficient number of times each year to ensure compliance with the permit, law, and these Rules. The frequency of inspection shall be determined by the extent of the operation, rate of mining, degree of actual or potential environmental impact, the Operator's past record of compliance, and by Board Policy.
(9) The Board or Office is authorized to inspect any ongoing Prospecting Operation or any Prospecting Operation prior to the request for release of Performance and Financial Warranties, in order to determine compliance with these Rules.
3.3 ENFORCEMENT AND PROCEDURES
3.3.1 Operating Without a Permit or Prospecting Without a Notice of Intent
Penalty (1) Whenever the Office issues an immediate Cease and Desist Order to an Operator or Prospector for failing to obtain a valid Mined Land Reclamation Board permit or filing a Notice of Intent, the Operator or Prospector shall be afforded an opportunity for a hearing before the Board. The Office shall schedule the matter for a hearing before the Board no sooner than thirty (30) Days after issuance of such Cease and Desist Order; except that an earlier date for a hearing may be requested by the alleged violator and the hearing must be set no later than the next succeeding Board meeting if requested by the alleged violator.
(2) Operators who mine substantial acreage beyond their approved permit boundary may be found to be operating without a permit and shall be afforded an opportunity for a hearing before any Cease and Desist Order may issue.
(3) Except as provided in Rule 3.3.1(4) below, any Operator who operates without a permit shall be subject to a Civil Penalty of not less than one thousand dollars ($1,000.00) per day, nor more than five thousand dollars ($5,000.00) per day, for each day the land has been affected. Such penalties shall be assessed for a period not to exceed sixty (60) days.
(4) Any Operator eligible for, but operating without a permit under Section 34-32- 110, C.R.S et seq., 1984, as amended, and any Prospector who operates without filing a Notice of Intent, shall be subject to a Civil Penalty of not less than fifty dollars ($50.00), nor more than two hundred dollars ($200.00) per day for each day the land has been affected. Such penalties shall be assessed for not less than one (1) day and not more than sixty (60) days.
3.3.2 Operating With a Permit or Prospecting With a Notice of Intent – Failure to Comply (1) Whenever the Board or Office has a reason to believe that there has occurred a violation of an Order, Permit, Notice of Intent, or regulation issued under the authority of the Act or these Rules, written Notice shall be given to the Operator or Prospector of the possible violation at least thirty (30) Days prior to the scheduled Board hearing date, unless such Notice is waived, in writing, by the Operator. Such Notice shall be served personally or by Certified Mail, Return Receipt Requested, upon the possible violator or the possible violator's agent, for service of process. The Notice shall state the provision alleged to be violated and the facts alleged to constitute the violation, and may include the nature of any corrective action proposed to be required. The Notice shall state the date, time and place of the Formal Hearing where the Board will consider the possible violation.
(2) Following a determination, by the Office, of reason to believe a violation exists, the Board shall hold a hearing on whether or not there is a violation.
(a) At the hearing, if the Board determines that a violation of the provisions of a Permit, a Notice of Intent, the Act, or these Rules has occurred, the Board may order the modification, suspension or revocation of the Permit. If the Board suspends or revokes the Permit of an Operator, the Operator may continue mining operations only for the purpose of bringing the mining operations into satisfactory compliance with the provisions of the Operator's Permit and all applicable safety regulations. Once such operations are complete to the satisfaction of the Board, the Board shall reinstate the Permit of the Operator.
(b) At the hearing, if the Board determines that a violation of the provisions of a permit, the Act, or these Rules has occurred, the Board shall assess a Civil Penalty of not less than one hundred dollars ($100.00) per day nor more than one thousand dollars ($1,000.00) per day for each day during which such violation occurs; except that any Operator who operates under a permit issued under Section 34-32-110, C.R.S., as amended shall be subject to a Civil Penalty of not less than fifty dollars ($50.00) nor more than two hundred dollars ($200.00) per day. Operators who affect substantial acreage beyond their approved permit boundary may be found to be operating without a permit and, in such case, the Civil Penalty shall be assessed according to the schedule in Rules 3.3.1(3) or (4).
(c) At the hearing, if the Board determines that a violation of the provisions of a permit, a Notice of Intent, the Act, or these Rules has occurred, the Board may issue a Cease and Desist Order. The order shall:
(3) After a finding by the Board of a failure to comply, pursuant to Rule 3.2, any expenses incurred by the Board or Office in carrying out corrective actions, including administrative costs, may be assessed against the violator.
3.3.3 Injunctive Relief
(1) In the event any Operator fails to comply with a Cease and Desist Order, the Board may request the Attorney General to bring suit for a temporary restraining order, a preliminary injunction, or a permanent injunction to prevent any further or continued violation of such order.
(2) If the Board determines that the situation is an emergency, the emergency shall be given precedence over all other matters pending in such court.
3.3.4 Violation of a Cease and Desist Order – Surety Forfeiture
The Board shall institute proceedings to have the surety of the Operator forfeited for violation by the Operator of a Cease and Desist Order entered pursuant to Rule 3.3. Such proceedings shall be conducted in accordance with Rule 4.20. RULE 4: PERFORMANCE WARRANTIES AND FINANCIAL WARRANTIES
4.1 GENERAL PROVISIONS
(1) No governmental office of the state, other than the Board, nor any political subdivision of the state shall have the authority to require a Performance or Financial Warranty of any kind for any mining operation.
(2) No permit may be issued pursuant to the Act until the Board or Office receives and approves the Performance and Financial Warranties required herein. If these Warranties are not received within one (1) calendar year of approval of an application for any new permit, amendment or conversion, the Board shall hold a hearing, in accordance with the notification and comment provisions of Rule 1.6, to reconsider the previous approval. If the Board affirms the original application approval, the Board shall establish a new deadline for submittal of the Financial and Performance Warranties. If the required Warranties are not posted by the date set by the Board, the application shall be denied.
(3) Whenever two or more persons or entities are named as Operators in a single permit, the Operators may limit the scope of their individual Performance Warranties so long as the warranties, in the aggregate, warrant performance of all requirements of the Act.
(4) Whenever two or more persons or entities act as Financial Warrantors, they may limit the scope of their individual warranties so long as all Financial Warranties, in the aggregate, equal the amount required by the Board.
(5) Financial Warranties may be provided by the Operator, by any Third-party, or by any combination of persons or entities.
(6) Financial Warrantors who provide proof of financial responsibility of any type or types described in Rules 4.3.2, 4.3.8, or 4.3.9 shall not be required to secure the same by the posting of Third party sureties or otherwise pledging or encumbering property for the benefit of the state.
(7) Financial Warranties shall be maintained in good standing for the entire life of any permit issued under the Act and these Rules. Financial Warrantors shall immediately notify the Board of any event which may impair their warranties.
(8) Where one Operator succeeds another at any uncompleted operation, the Office shall release the first Operator from all liability as to that particular reclamation operation and shall release all applicable Performance and Financial Warranties as to such operation if the successor Operator assumes, as part of the obligation under the Act, all liability for the Reclamation of the affected land, and the obligation is covered by replacement Performance and Financial Warranties as to such affected land.
(9) 100% of the proceeds of all Financial Warranties forfeited under the provisions of Section 34-32-118, C.R.S., shall be deposited in a special account established by the Board for the purposes of reclaiming lands which were obligated to be reclaimed under the permits upon which such Financial Warranties have been forfeited.
(10) Proof of financial responsibility may be of any type and in such amount authorized herein, subject to approval by the Board or Office.
4.1.1 General Requirements – Performance Warranties
Each application for any Permit or amendments thereto shall be accompanied by a Performance Warranty.
(a) The Performance Warranty shall be in a form approved and prescribed by the Board.
(b) A Performance Warranty shall be signed by the Operator and/or by a person or persons authorized to bind the Operator.
4.1.2 General Requirements – Financial Warranties
(1) A Financial Warranty shall be signed by a person or persons authorized to sign a Financial Warranty.
(2) No Financial Warranty shall be required where the Operator is a unit of municipal or county government or the State Department of Transportation and the Operator submits a written guarantee, in lieu of a financial warranty, stating that the affected lands will be reclaimed in accordance with the terms of the permit, these Rules, and Section 34-32-116, C.R.S.
(3) Any proof of financial responsibility submitted or revised on or after July 1, 1993, shall be in compliance with Rules 4.2.1(1) through (7), and 4.1.2(6) and (7).
(4) If the Board or Office has reason to believe that any proposed Financial Warranty does not fully and accurately reflect the current financial condition of the Financial Warrantor, the Board or Office may decline to accept the Financial Warranty as submitted.
(5) Each Financial Warrantor providing proof of financial responsibility in a form described in Rule 4.3.8 shall annually cause to be filed with the Board or Office a certification by an independent auditor that, as of the close of the Financial Warrantor's most recent fiscal year, the Financial Warrantor continued to meet all applicable requirements of Rule 4. Financial Warrantors who no longer meet said requirements shall comply with Rule 4.15.
(6) The Board or Office may by permit condition require proof of value on a periodic basis of any Warranty held by the Board.
(7) The Board or Office may by permit condition limit certain types of Warranties to specific purposes only or require a designated percentage of the total Warranty be held in easily valued and convertible instruments.
(8) The Board or Office may refuse to accept any type of Financial Warranty if:
(a) the value of the Financial Warranty offered is dependent upon the success, profitability, or continued operation, of the mine;
(b) for Deeds of Trust, the Operator has not complied with Rule 4.9; or (c) the Board determines that the Financial Warranty offered cannot reasonably be converted to cash within one hundred and eighty (180) Days of forfeiture.
(9) Any Operator/Applicant that desires to utilize a Financial Warranty described in Rules 4.3.6 or 4.3.8 shall pay to the Office an Annual Fee for the reasonable and necessary cost of establishing and reviewing the Financial Warranty.
(a) No costs may be charged hereunder unless and until the Operator/Applicant signs written fee agreements with the Office. Said agreements shall be in such form as the Board may prescribe. Invoices pursuant to said agreements shall include a statement for services and expenses included in the total amount;
(b) rates charged by the Office hereunder may not exceed prevailing rates for similar services, and shall reflect the actual cost of establishing and reviewing the Financial Warranty;
(c) the Operator/Applicant shall be responsible for all costs properly charged hereunder, even if no permit issues from the Board; and (d) funds paid to the Office are to be made available for the use of outside legal and financial advice for the purpose of reviewing the Financial Warranty of Operators/Applicants desiring to use the Self-Insurance provision.
(10) The original bond documents shall be submitted to the Office and held in safekeeping by the State Treasurer's Office.
4.1.3 Provisions for Recovery of Costs
Any instruments offered as a Financial Warranty pursuant to this Rule 4, shall provide that the Board or Office may recover the necessary costs, including attorney's fees or fees incurred in foreclosing on or realizing the collateral used to secure such Financial Warranty in the event such Financial Warranty is forfeited, in the following manner:
(a) for any Corporate Surety Bond issued by a corporate surety company authorized to do business in this state, the face amount of the bond shall be increased by five hundred dollars ($500);
(b) for any irrevocable Letter of Credit issued by a bank authorized to do business in the United States, the face amount of the Letter of Credit shall be increased by five hundred dollars ($500);
(c) for any Certificate of Deposit, the face amount of the Certificate of Deposit shall not be increased;
(d) for any Individual Reclamation Fund, the amount of the trust fund required to be maintained shall be increased by five hundred dollars ($500);
(e) for any Cash Escrow Account, the amount of the Cash Escrow Account required to be maintained shall not be increased; and (f) for any Deed of Trust or Security Agreement encumbering real or personal property creating a first priority lien in favor of the state, the value of the real or personal property available to secure the amount of the Financial Warranty attributable to costs of reclamation shall be reduced by an amount to be determined by the Board or Office, but in any case, a minimum of five thousand dollars ($5,000) and up to a maximum amount of two percent (2%) of reclamation costs;
(g) any monies collected and not used to fulfill the requirements of this Rule 4.1.3, shall be returned to the Financial Warrantor upon completion of reclamation and liability release by the Board or Office.
4.2 FINANCIAL WARRANTY LIABILITY AMOUNT
4.2.1 Adequacy of Financial Warranties
(1) All Financial Warranties shall be set and maintained at a level which reflects the actual current cost of fulfilling the requirements of the Reclamation Plan; and for Designated Mining Operations, fulfilling the applicable requirements of the reclamation and Environmental Protection Plans during site closure and reclamation.
(2) Financial Warranty Review - the Office or Board may, in its discretion, review any Financial Warranty for adequacy at any time. In the event the Office or Board determine that the Financial Warranty is insufficient to perform reclamation, the Permittee shall have up to sixty (60) Days to post additional Financial Warranty from the date of written notice from the Office or Board of such insufficiency. If the Permittee disagrees with the Office Notice to Increase the Financial Warranty, the Office shall schedule the matter for a hearing before the Board. The Permittee may be scheduled for a Formal Board Hearing for possible revocation of the permit after sixty (60) Days, from the date of notice of any such adjustment, if the amount of any increased Financial Warranty has not been provided.
(3) The Board or Office shall prescribe the amount and duration of Financial Warranties, taking into account the nature, extent, and duration of the proposed mining operation, the magnitude, type and estimated cost of planned reclamation, and the requirements of the Act.
(4) In any single year during the life of the permit, the amount of required Financial Warranties shall not exceed the estimated cost of fully reclaiming all lands to be affected in said year, plus all lands affected in previous permit years and not yet fully reclaimed. For the purpose of this Rule, reclamation costs shall be computed with reference to current reclamation costs. The amount of the Financial Warranty shall be sufficient to assure the completion of reclamation of affected lands if the Office has to complete such reclamation due to forfeiture. Reclamation includes all measures taken to assure the protection of water resources, including costs to cover necessary water quality protection, treatment and monitoring as may be required by Permit, these Rules or the Act.
(5) The Financial Warranty amount shall include an amount equal to five percent (5%) of the amount of the cost of reclamation to defray the administrative costs incurred by the Office in conducting the reclamation.
(6) When mining on federal land and the federal land management agency requires that a Financial Warranty be posted with their agency, the amount of Financial Warranty posted with the state shall be the difference between the amount required to be posted by the federal land management agency, and the amount required by the Mined Land Reclamation Board. In no event shall the amount of Financial Warranty posted with the state be less than one hundred dollars ($100). In addition, the application shall contain a provision that in the event the federal land management agency reduces the Financial Warranty, the Permittee must post an acceptable replacement Warranty with the state prior to any release by the federal land management agency. The replacement Warranty shall be sufficient to cover the cost of reclamation liability unless the state conducts an inspection and concurs with the federal land management agency finding.
4.2.2 Specific Provisions – 110(1), 110(2) and Non-In Situ Leach Mining 110d
Limited Impact Operations (1) Except for in situ leach mining permits, the Financial Warranty for any 110 Limited Impact Permit which is filed pursuant to Section 34-32-110(1)(a)(III) or (2), C.R.S., including those which are automatically issued as a result of Office inaction within thirty (30) Days pursuant to Section 34 32 110(6), C.R.S., shall be in an amount determined by the Office pursuant to Section 34-32-117(4), C.R.S. to be equal to the estimated cost of reclamation. By July 1, 2015, any Operator issued a two acre limited impact permit must comply with the financial warranty requirements set forth in Section 34-32-117(4), C.R.S. and Rule 4.
(2) Divisions of state government and units of municipal and county government are exempt from submitting Financial Warranties and are not required to provide reclamation costs. Quasi-governmental agencies are not entitled to the financial warranty exemption unless otherwise approved by the Board.
4.2.3 Permit Conversion
The conversion of any 110 Permit into any 112 Permit shall require a Financial Warranty in an amount equal to the estimated cost of reclamation.
4.2.4 Reserved
4.2.5 Specific Provisions – 112, 112d, 110 ISL and 112 ISL Reclamation Permit
Operations (1) The Financial Warranty for any 112, 112d, 110 ISL and 112 ISL Reclamation Permit shall be in an amount to be determined by the Board in accordance with the guidelines set forth herein.
(2) The Financial Warranty for any 112, 112d, 110 ISL and 112 ISL Reclamation Permit which is automatically issued as a result of Board inaction within two hundred and forty (240) Days for any in situ leach mining application and within the one hundred and twenty (120) Day period for non in situ leach mining 112 and 112d permit applications pursuant to the Act shall be in an amount equal to two thousand dollars ($2,000.00) for each acre of Affected Land, or other such amount as the Board may determine at a subsequent hearing.
(3) If, at a hearing, the Board determines that the Financial Warranty is not adequate, the Operator shall have sixty (60) Days to post the additional Financial Warranty in a form and amount acceptable to the Board.
4.2.6 Specific Provisions – Prospecting Notice
(1) Upon filing the Notice of Intent to Conduct Prospecting, the person shall provide Financial Warranty in the amount of two thousand dollars ($2,000.00) per acre of the land to be disturbed, or such other amount as determined by the Office, based on the projected costs of reclamation.
(2) Statewide Warranties may be submitted for prospecting, provided such warranties are in an amount equal to the estimated cost of reclamation per acre of affected land.
4.3 TYPES OF FINANCIAL WARRANTIES
Proof of financial responsibility may consist of any one or more of the following, subject to approval by the Board:
4.3.1 Cash Bond
Cash or Certified funds assigned to the Board.
4.3.2 Cash Escrow Account
A fund of cash or cash invested in
4.3.3 Corporate Surety Bonds
A Surety Bond issued by a corporate surety authorized to do business in this state.
4.3.4 Irrevocable Letters of Credit
An Irrevocable Letter of Credit issued by a bank authorized to do business in the United States; the Operator/Applicant must provide evidence that the bank issuing the Letter of Credit is in good financial standing and condition, as may be evidenced by its rating by an appropriate rating system.
4.3.5 Certificates of Deposit
A Certificate of Deposit assigned to the Board.
4.3.6 Deeds of Trust and Security Agreements
A Deed of Trust or security agreement encumbering real or personal property and creating a first lien in favor of the State.
4.3.7 Reserved
4.3.8 Individual Reclamation Fund
A trust fund which shall be funded by periodic cash payments representing a fraction of total receipts, providing assurance that the funds required for reclamation will be available.
4.4 SPECIFIC REQUIREMENTS FOR CASH BONDS
Cash or Certified funds shall be held in trust by the State Treasurer's Office. All interest shall accrue to the benefit of the Financial Warrantor except where a permit is revoked and the Financial Warranty is forfeited, the interest shall accrue to the Division of Reclamation, Mining and Safety. The accrued interest shall be used for reclamation of the site.
4.5 SPECIFIC REQUIREMENTS FOR CASH ESCROW ACCOUNTS
(1) Cash Escrow Accounts shall be administered by an independent Escrow Agent other than the Office and shall consist of cash and/or cash invested in financial instruments as described in Rule 4.3.2. If the Escrow Agent is a bank, the bank shall be rated as well-capitalized as defined in the Uniform Bank Performance Report.
(2) The Escrow Agent shall be a United States bank or other financial institution, company, corporation, business or firm.
(3) Investment of the Cash Escrow Account(s) shall be proportioned as follows:
(4) All interest shall accrue for the benefit of the Operator.
(5) All maintenance fees for the Cash Escrow Account(s) shall be paid for by the Operator.
(6) The Escrow Agent shall provide to both the Operator and the Board monthly account statement detailing the activities and interests earned on the Cash Escrow Account(s), the cost and market value of the Cash Escrow Account(s), and the balances of the various types of instruments into which the Cash Escrow Account(s) are invested.
(7) On the anniversary of the Cash Escrow Account(s), the Operator shall report to the Board the status of its activities under the Permit, including, but not limited to, the estimated reclamation costs for the area disturbed to date and the estimated amount of reclamation costs for the additional area to be disturbed during the following twelve (12) months. Based upon this annual report, the Board may require the balance of the Cash Escrow Account(s) be increased to an amount that is not less than the total amount of estimated reclamation costs. The Board shall notify the Operator in writing of any required increase in the amount of Cash Escrow Account(s) and, within sixty (60) Days of the receipt of such notice, the Operator shall deposit the amount of the increase with the Escrow Agent. The Operator shall submit to the Board the corporation’s annual report, which lists the Cash Escrow Account(s) in the report footnotes. The Operator shall also submit an annual report of the Escrow Agent.
(8) In addition to the above requirements, any agreement establishing the Cash Escrow Account(s) shall provide the following:
(a) Upon order of forfeiture of the Cash Escrow Account(s) by the Board, the Escrow Agent shall release the principal of the Cash Escrow Account(s) to the Board within five (5) Days after presentment of the Board forfeiture order to the Escrow Agent. The Operator agrees not to contest or otherwise challenge the Escrow Agent’s disbursement of the Cash Escrow Account(s) in accordance with this Rule.
(b) The Operator may not use the Cash Escrow Account(s) as collateral for any loan, mortgage or other obligation or as a guarantee or security interest for any obligation of the Operator, including any security interest which may be filed under Article 9 of the Uniform Commercial Code as in effect in Colorado.
(c) The Board may file a security interest and lien upon the Cash Escrow Account(s) in accordance with Article 9 of the Uniform Commercial Code in effect in Colorado.
(d) The Board is not responsible for and is not indemnifying, insuring, or otherwise holding harmless the Escrow Agent or the Operator with respect to the agreement for any loss, liability, cost damage or expense including attorney’s fees, the Escrow Agent may suffer or incur by reason of any action, claim or proceeding brought by or against the Escrow Agent arising out of or relating in any way to the agreement or the Cash Escrow Account(s).
4.6 SPECIFIC REQUIREMENTS FOR CORPORATE SURETY BONDS
(1) The Operator/Applicant shall submit a fully executed Corporate Surety on a form provided by the Office.
(2) A Power of Attorney authorizing the party signing on behalf of the insurance company shall be submitted with the Corporate Surety.
4.7 SPECIFIC REQUIREMENTS FOR IRREVOCABLE LETTERS OF CREDIT
(1) The Irrevocable Letter of Credit shall be executed on the issuing bank's letterhead using the language provided by the Office.
(2) The Irrevocable Letter of Credit shall be automatically renewable. The Letter of Credit shall provide that, in case of non-renewal, the bank must notify the Office and the Operator, by Certified Mail, at least ninety (90) Days prior to the expiration date of the Letter of Credit.
(3) The bank shall provide documentation in the form of a balance sheet certified by a Certified Public Accountant demonstrating that the Letter of Credit does not exceed ten percent (10%) of the bank's capital surplus accounts. This documentation shall be provided by the Operator, annually, as part of the Operator's Annual Report.
4.8 SPECIFIC REQUIREMENTS FOR CERTIFICATES OF DEPOSIT
(1) The Certificate of Deposit shall be assigned to the State of Colorado/Mined Land Reclamation Board.
(2) The Certificate of Deposit shall be automatically renewed.
(3) The account shall be a public funds account.
(4) The Certificate of Deposit shall be issued by an eligible public depository under the Public Deposit Protection Act (PDPA), as required by Section 11-10.5-101, C.R.S.
4.9 SPECIFIC REQUIREMENTS FOR DEEDS OF TRUST AND OTHER SECURITY
INTERESTS IN REAL OR PERSONAL PROPERTY
4.9.1 General Provisions
(1) The Board or Office may accept interests in real and personal property as Financial Warranties of not more than seventy-five percent (75%) of the appraised value of the property. To qualify for the use of Deeds of Trust, an Operator must have reclamation liabilities in excess of thirty (30) million dollars. The total amount of interests in real and personal property shall not exceed twenty-five percent (25%) of the total required financial warranty unless specifically approved by the Board.
(2) Any person offering such Financial Warranty shall:
(a) submit current information necessary to show clear title to the property and the current appraised value of the property. This information shall contain a completed appraisal in a form approved by the Board.
(b) Submit together with the Annual Report as required by Rule 1.15, the following:
(3) The Board or Office may refuse to accept any Deed of Trust or security agreement if the property or equipment offered is necessary in the functioning of any Environmental Protection Facility at the site of the mining operation, or the completion of the approved Reclamation Plan.
4.9.2 Deed of Trust – Real Estate
(1) Rules 4.1.2(8)(a) and (c), shall be applicable for new Non-designated Mining Operations on July 1, 1993, and existing Non-designated Mining Operations on January 1, 1996, to Deeds of Trust existing as of July 1, 1993 and subsequent updates of these same Deeds of Trust used as collateral for Financial Warranties; and to any Financial Warranty completed before July 1, 1993 if the value of any such Financial Warranty includes any mineral value or if mineral value is used to update any such Financial Warranty. The value of any Financial Warranty described in this Rule shall include mineral value for the life of the Warranty. Updates shall mean only those changes that adjust the mineral or property value of an existing Deed of Trust, and does not include submissions of new properties.
(2) Failure to provide the documents required by Rule 4.9.1(2) shall indicate a reason to believe the Financial Warranty is not being maintained in good standing as required by Rule 4.1(7).
(3) A request for an increase in the bond by the Office shall require a reappraisal of any real property used as security for the bond. Such reappraisal shall be timely, provided by the Operator and shall be completed by an independent appraiser, acceptable to the Office.
4.10 RESERVED
4.11 SPECIFIC REQUIREMENTS FOR INDIVIDUAL RECLAMATION FUND
4.11.1 Establishment of Fund
(1) Upon commencement of production or when site conditions change that make it necessary, the Operator may establish an individual reclamation fund, to be held by an independent trustee for the Board, upon such terms and conditions as the Board may prescribe, which trust fund shall be funded by periodic cash payments representing such fraction of receipts as will, in the opinion of the Board, provide assurance that funds will be available for reclamation.
(2) Prior to issuance of a permit, the Operator will provide another form of Financial Warranty as described herein. As the reclamation fund increases in value, this form of Financial Warranty may be decreased in value so long as the sum of Financial Warranties is that amount specified by the Board or required by the Act.
(3) In approving the Individual Reclamation Fund as a Financial Warranty, the Board or Office shall:
(a) approve the form of the initial Financial Warranty;
(b) fix the fraction of receipts to be held in trust;
(c) identify the trustee to hold said funds for the Board;
(d) prescribe the terms and conditions applicable to the Operator or Warrantor's payment of funds into said trust; and (e) prescribe the terms and conditions governing the trustee's handling of said funds.
4.12 RESERVED
4.13 RESERVED
4.14 REDUCTION OF WARRANTY AMOUNT
4.14.1 Operator's Request for Reduction
(1) An Operator may request that the Office reduce the amount of the Financial Warranty required.
(2) Such a request must:
(a) be made in writing or via electronic submission, per the Office designation, separate from other correspondence;
(b) include an estimate of the actual cost to reclaim the site based on what it would cost an independent contractor to complete reclamation, including unit costs for reclamation activities as appropriate to the operation to comply with the provisions of Rule 3.1 and the Permit's Reclamation Plan.
(3) Such request shall be processed as described in Rule 4.16, for Prospecting operations, or Rule 4.17, for all other operations.
4.15 IMPAIRMENT OF FINANCIAL WARRANTIES
(1) Each Financial Warrantor providing proof of financial responsibility in a form described in Rule 4.3.8 shall notify the Board within sixty (60) Days of any net loss incurred in any quarterly period.
(2) Whenever the Board receives a notice under Rule 4.15(1) or fails to receive a certification or a substitute Warranty as required by Rule 4.1.2(5), or otherwise has reason to believe that a Financial Warranty has been materially impaired, it may convene a hearing for the purpose of determining whether impairment has in fact occurred.
(3) Whenever the Board elects to convene a hearing pursuant to Rule 4.15(2), it may hire an independent consultant to provide expert advice at the hearing. The fees for any such consultant shall be paid by the Financial Warrantor, and no consultant shall be hired until the Financial Warrantor signs a written fee agreement in such form as the Board may prescribe. In the event that a Financial Warrantor refuses to sign such an agreement, the Board may, without hearing, order the Financial Warrantor to provide an alternate form of Financial Warranty.
(4) At any such hearing, if the Board finds that a Financial Warranty has been materially impaired, it may order the Financial Warrantor to provide an alternate form of Financial Warranty.
(5) A Financial Warrantor shall have ninety (90) Days to provide an alternate warranty required under Rule 4.15(4).
4.16 RELEASE OF WARRANTIES – PROSPECTING OPERATIONS
4.16.1 Prospector Application for Release of Warranties
(1) Upon the completion of reclamation, any person that filed with the Board or Office a Prospecting Notice of Intent and Financial Warranties shall submit to the Office via electronic form and separate from other types of communication to the Board or Office a Reclamation Report and request for reclamation responsibility release stating that reclamation is finished.
(2) Such report shall contain, at a minimum:
(a) the name of the operation, the name of the person or organization responsible for the prospecting (the “Prospector”), file number of the Prospecting Notice of Intent and the name, mailing address, e-mail address, and phone number of the contact person;
(b) a signed statement, or other certification as designated and approved by the Office, by the Prospector that all reclamation requirements of the prospecting notice have been satisfied;
(c) a narrative describing site grading, topsoil replacement, successful revegetation and other stabilization activities, as appropriate;
(d) suitable photographs of the reclaimed area; and (e) a map of sufficient detail to determine the location of the prospecting activity.
(3) The Office shall, within thirty (30) Days after receiving said report, or as soon thereafter as weather conditions permit, inspect the lands and reclamation described in the notice to determine if the Prospector has complied with all applicable requirements.
(4) If the Office finds the reclamation to be in compliance with the requirements of the Notice of Intent, Rules and Regulations, and the Act, the Office shall release all applicable performance and financial warranties. The financial warranty shall not be held for more than thirty (30) Calendar Days after the Office finds that the Prospector has successfully completed reclamation. However, an appeal to the release of the Financial Warranties shall stay the release on the thirtieth (30th) Day pending a Formal Board Hearing.
4.17 RELEASE OF PERFORMANCE AND FINANCIAL WARRANTIES FOR MINING
OPERATIONS
4.17.1 Operator Requirements
(1) The Operator of any mining operation may file a written notice of completion of reclamation and request for release of reclamation responsibility with the Office whenever an Operator believes any or all requirements of the Act, the Rules and Regulations, and the approved reclamation plan have been completed with respect to any or all of the Affected Lands.
(2) The Operator shall include in the notice to the Office the names and addresses and phone numbers of all owners of record to the affected land.
(3) The written notice requesting release shall be sent by Certified Mail or e- permitting and be separate from other types of communication to the Office.
(4) Such notice shall contain a signed statement, or other certification as designated and approved by the Office, by the Operator or their agent that all applicable portions of the Reclamation Plan requirements have been satisfied in accordance with these Rules and all applicable requirements under the Act.
4.17.2 Office Requirements
(1) The Office, upon receipt of said notice of completion of reclamation, shall immediately provide notice to all owners of record to the affected land, the local Board of County Commissioners, and the County planning commission.
(2) The Office shall, within sixty (60) calendar Days after receiving said notice, or as soon thereafter as weather conditions permit, inspect the lands and reclamation described in the notice to determine if the Permittee has complied with all applicable requirements.
(3) If the Office fails to conduct an inspection within the time specified in Rule 4.17.2(2), or fails to advise the Permittee of deficiencies within the time specified in Rule 4.17.2(4), then all Financial Warranties applicable to reclamation described in the notice shall be deemed released as a matter of law.
(4) Where the Office finds that a Permittee has not complied with the applicable requirements of the Act, Rules and Regulations, or the approved reclamation plan, it shall advise the Permittee of such non-compliance not more than sixty (60) Calendar Days after the date of the inspection.
(5) Where the Office finds that a Permittee has successfully complied with the requirements of the Act, Rules and Regulations, and the approved reclamation plan, the Office shall release all applicable performance and financial warranties. Release (pending an appeal) shall be in writing and mailed within thirty (30) Calendar Days to the Permittee after the date of such findings. However, an appeal to the release of the financial and performance warranties shall stay the release on the thirtieth (30th) Day pending a Formal Board Hearing.
4.17.3 Reserved
4.17.4 Specific Provisions – Designated Mining Operations
(1) Public Notice Requirements – Request for Release of Financial Warranty (a) Upon filing an electronic Notice of Completion and a Request to Release Financial Warranty for a Designated Mining Operation, the Operator shall publish a Public Notice according to the following guidelines.
(b) At the time of filing a written Notice of Completion or Request for Release of Financial Warranty, the Operator shall publish once in a newspaper of general circulation in the area of the mining operation for which a reduction or release of Performance and Financial Warranties is sought. The Notice shall specify the following:
(2) Partial and Final Release of Financial Warranty (a) The Operator shall request release of any remaining reclamation bond funds at or after such time as is prescribed by the Board or Office which shall be no more than five (5) years after submitting the initial Request for Release of Financial Warranty, and subsequent Office inspection, as per the following:
4.18 PUBLIC NOTICE AND FILING OF WRITTEN OBJECTIONS REGARDING A
REQUEST FOR RELEASE OF FINANCIAL WARRANTY (1) Any person who demonstrates that they are directly and adversely affected or aggrieved and whose interest is entitled to legal protection under the Act may submit written objections on the request for reclamation responsibility release so long as such comments are received by the Office no more than fifteen (15) Days after notice by the Office to the county(s) and all owners of record to the affected land.
(2) Notice of the Office's decision to release the Permittee from further reclamation responsibility shall be published in the next monthly agenda of the Board.
4.19 GENERAL PROVISIONS – APPEALS TO DECISION – RELEASE OF
FINANCIAL WARRANTY (1) Any person directly and adversely affected or aggrieved by an Office decision to approve or deny the request for reclamation responsibility release and whose interest is entitled to protection under the Act may appeal the decision to the Board by submitting a request for Administrative Appeal to the Office according to the provisions of Rule 1.4.11. The request for Administrative Appeal must specify the basis for being directly and adversely affected or aggrieved, a statement of why the person's interest is protected by the Act, the permit number assigned by the Office and include a statement of the factual and legal issues presented by the appeal.
(2) If the Office decision to release a Permittee from reclamation liability is reversed by the Board on appeal, all outstanding obligations under the permit the financial warranty, and the performance warranty shall remain in effect.
4.20 FORFEITURE OF FINANCIAL WARRANTY
(1) A Financial Warranty shall be subject to forfeiture whenever the Board shall determine at a hearing that any one or more of the following circumstances exist:
(a) the Operator has violated a Cease and Desist order entered pursuant to Section 34-32-124, C.R.S. 1984, as amended, and, if corrective action was proposed in such order, has failed to complete such corrective action although ample time to have done so has elapsed; or (b) the Operator is in default under the Performance Warranty and has failed to cure such default although they have been given written notice thereof and has had ample time to cure such default;
(c) the Financial Warrantor has failed to maintain the Financial Warranty in good standing as required by Section 34-32-117, C.R.S. 1984, as amended; or (d) the Financial Warrantor no longer has the financial ability to carry out the obligations under the Act.
(2) Whenever the Board, based on information and belief, has reason to believe that a Financial Warranty is subject to forfeiture, the Board shall so notify the Operator and all Financial Warrantors. The Board shall afford the Operator and all Financial Warrantors the right to appear before the Board at a hearing to be held not less than thirty (30) Days after the parties' receipt of said Notice.
(3) At any such hearing, the Board shall be empowered to:
(a) withdraw or modify any determination that the Financial Warranty is subject to forfeiture;
(b) settle or compromise the determination; or (c) confirm its determination that the Financial Warranty should be forfeited.
(4) Upon finding that a Financial Warranty should be forfeited, the Board shall issue written findings of fact and conclusions of law to support its decision and shall issue an order directing affected Financial Warrantors to immediately deliver to the Board all amounts warranted by applicable Financial Warranties.
(5) The Board, upon issuing any order pursuant to Rule 4.20(3), may request the Attorney General to institute proceedings to secure or recover amounts warranted by forfeited Financial Warranties. The Attorney General shall have the power, inter alia, to:
(a) foreclose upon any real and personal property encumbered for the benefit of the state;
(b) collect, present for payment, take possession of, and otherwise reduce to cash any property held as security by the Board;
(c) dispose of pledged property.
(6) The amount of any forfeited Financial Warranty shall be a lien in favor of this state upon any project related fixtures or equipment offered as proof of financial responsibility pursuant to Section 34-32-117(3)(f)(V)(C)-(E), C.R.S. 1984, as amended.
(7) Said lien shall have priority over all other liens and encumbrances irrespective of the date of recordation, except liens of record on the effective date of this Act and liens of the United States, the state, and political subdivisions thereof for unpaid taxes, and shall attach and be deemed perfected as of the date the Board approves issuance of the Permit.
(8) Funds recovered by the Attorney General in proceedings brought pursuant to Rule 4.20 shall be held in the account described in Section 34-32-122, C.R.S 1984, as amended, and shall be used to reclaim lands covered by the forfeited warranties. .
(9) The Board shall have a right of entry to reclaim said lands. Upon completion of such reclamation, the Board shall present to the Financial Warrantor a full accounting and shall refund all unspent moneys.
(10) Defaulting Operators/Permittees shall remain liable for the actual cost of reclaiming Affected Lands.
(11) Notwithstanding any provision of this Rule 4.20 to the contrary, a corporate surety may elect to reclaim Affected Lands in accordance with an approved plan in lieu of forfeiting a bond penalty, or in accordance with the approved Plan acceptable to the Board or Office, otherwise the Board may forfeit the fund and perform reclamation.
RULE 5: PROSPECTING OPERATIONS
5.1 NOTICE OF INTENT TO CONDUCT PROSPECTING OPERATIONS
5.1.1 General Provisions
(1) Any person or organization desiring to conduct prospecting or construct monitoring wells for establishment of baseline groundwater characterization for a future mine reclamation permit as defined in Rule 1.1(60), shall, prior to entry upon the prospecting lands, file with the Office a Notice of Intent to Conduct Prospecting (NOI) on a form provided by the Board. A separate prospecting notice shall be filed with the Office for each non-contiguous Land Survey Quarter Section in which a proposed prospecting activity is to occur. The requirement for separate notices may be waived by the Office for good cause.
(2) If the Office determines that the prospecting proposed in the NOI is instead “mining,” the Office shall notify the person or organization in writing. Any appeal of this determination shall follow the procedures set forth in Rule 1.4.11.
(3) Modifications to an existing NOI must be submitted in writing and approved in advance of such activity. Modifications shall be reviewed by the Board or Office in the same manner as new NOIs, use the same NOI form, submit the same application fee, and include confidentiality designations. Prospectors must fill out sections of the NOI form that will change and indicate the sections that will not change. Prospectors must designate each portion of the modified NOI they believe are to remain confidential. Please note that under Section 34-32-113, C.R.S., all information provided to the Board in an NOI or a modification of an NOI is a matter of public record including, in the case of a modification, the original notice of intent, unless that information relates to the mineral deposit location, size, or nature or is designated by the Prospector as proprietary or trade secrets or that would cause substantial harm to the competitive position of the Prospector. Accordingly, the Prospector must also designate the information in the original NOI that it believes is confidential if it has not already done so.
5.1.2 Application Requirements
The NOI form (Rule 5.1.1(1)) shall, at a minimum, contain the following:
(a) date of filing of the NOI,;
(b) the name, mailing address, e-mail address, and telephone number of person or organization responsible for the prospecting (the “Prospector”);
(c) the name, mailing address, e-mail address, and telephone number of a person to contact concerning the information in the NOI and reclamation of lands affected by prospecting;
(d) a description of lands, including:
(i) the site name, if applicable;
(ii) the location, by each quarter section, section, township and range;
(iii) where Public Land is involved, specify the land management agency, mailing address and telephone number;
(iv) the estimated acreage of land surface to be affected by the prospecting activities to include areas affected by access along routes for which reclamation is the responsibility of the Prospector; and (v) a U.S.G.S. 7.5-minute quadrangle, or similar map of adequate scale, that
(vi) provide documentation of the legal right to enter to conduct prospecting and reclamation for all Owners of Record of the surface and mineral rights of the affected land. This may include a copy of a lease, deed, abstract of title, a current tax receipt, or a signed statement by the Landowner(s) and acknowledged by a Notary Public stating that the Prospector has legal right to enter to conduct prospecting and reclamation.
(e) the approximate date of anticipated commencement and the date of completion of the above-described prospecting activity. Such activity must be completed within five (5) years of the NOI approval unless otherwise approved by the Office or Board;
(f) a narrative description of the methods to be used to conduct the prospecting operation, including, but not limited to, the types and uses of equipment, drilling, surface blasting, road or other access route construction, excavations, and other site disturbance activities;
(g) the measures to be taken to reclaim any affected land consistent with the applicable requirements of Rule 3.1. Such reclamation must be completed within five (5) years of the completion of prospecting activities notice provided for in Rule 5.3.4; and (h) (i) Designation of information believed by the applicant to be confidential including information relating to the mineral deposit location, size or nature, and information believed by the applicant to be proprietary or trade secret or that would cause substantial harm to the competitive position of the applicant. The applicant may designate its identity as confidential if the applicant believes that disclosing its identity would cause substantial harm to its competitive position. The requirements and provisions of Rule 1.3(4)(c) shall apply to any designation as to identity. The applicant shall distinguish in the submittal between those portions of the NOI that are confidential because they relate to mineral deposit location, size or nature and those portions of the NOI the applicant believes are proprietary, trade secret or harmful to its competitive position. Those portions of the NOI that are not designated as confidential will be available as public record.
(ii) The applicant must submit two (2) separate forms. One form will contain all information, including both public and confidential information (with confidential information designated as such). This complete form will be used by the Office for review and will be held confidential. The second form will contain only the information the applicant believes is public with the applicant redacting all information to be held as confidential.
(i) The applicant must submit the NOI through e-permitting or by electronic form as designated by the Office. The Office shall post on its website the NOI within five (5) Days of submittal except those portions of the submittal designated by the applicant as confidential.
(j) Any dispute concerning whether information in a NOI is confidential or public shall be resolved by following the procedures set forth in Rule 1.3.
(k) a statement that prospecting will be conducted pursuant to the terms and conditions listed on the approved NOI form.
(l) Concurrent with submitting the NOI to the Office, the prospector shall send a notice to the local Boards of County Commissioners in the counties where the proposed prospecting activities occur.
(i) The Prospector shall provide proof that such notice was provided. Proof of notice shall be in the form of a return receipt of a Certified Mailing, e- receipt, or a date-stamped copy of the notice acknowledging receipt by the local Board(s).
(ii) Such notice shall state that non-confidential information regarding the proposed prospecting activities will be available for review at the Office’s website.
(m) An application fee as specified in Section 34-32-127(2)(a)(I)(K).
5.1.3 Office Review
Upon receipt by the Office of a NOI to Conduct Prospecting, the Office shall timely notify the prospector, in writing or via electronic means, of receipt of the NOI. The Office shall post on its website the NOI within five (5) Days of submittal except those portions of the submittal designated by the applicant as confidential. Any public comment or request for disclosure of information designated as confidential filed pursuant to Rule 1.3(4)(f) regarding the NOI must be received by the Office no later than ten (10) Working Days after the notice is posted on the Office website.
(a) Review of a NOI and associated Financial Warranty information is required by the Office within twenty (20) Working Days of receipt by the Office. If the Prospector has not been notified of any deficiencies of the NOI form, including notice of a dispute regarding confidentiality pursuant to Rule 1.3 which will be treated as a deficiency of the NOI, or Financial Warranty by the Office within twenty (20) Working Days of receipt by the Office of the NOI, prospecting operations may commence. For activities on BLM or USFS lands, the twenty (20) Working Day period begins when the Office has received notification from the appropriate federal land management agency that they have received the notice of proposed activities, or the Office has otherwise determined that the appropriate federal land management agency has received the notice.
(b) If a challenge to confidentiality has occurred pursuant to the process set forth in Rule 1.3, and the Board has determined that certain information is public rather than confidential, upon the expiration of the thirty (30) Day delay period under Rule 1.3 (4)(a)(v)(b)(ii), the Office shall post the newly released information on the Office website within five (5) working days. Any public comment regarding the newly released information must be received by the Office no later than ten (10) Working Days after the new information is posted on the Office website.
(c) If the Office has notified a Prospector within twenty (20) Working Days of receipt of a NOI that it has not been filed in accordance with Rule 5.3, has been deemed complex, or of deficiencies in the Financial Warranty, the Prospector shall address all identified deficiencies or complexities within sixty (60) Days of the Office notification. If the NOI deficiencies or complexities are not addressed within sixty (60) Days, the Office may terminate the NOI file. The Office shall notify the Prospector of such termination.
(d) (I) The Office shall send notice of its decision on a NOI to the prospector and any person who filed a timely comment.
5.2 CONFIDENTIALITY
5.2.1 NOI Information
(1) For NOIs submitted or approved on or before June 2, 2008, all information provided to the Office in a NOI shall be protected as confidential information by the Board and not be a matter of public record in the absence of written release from the Prospector or upon a finding by the Board that reclamation is satisfactory, or the site has been abandoned as set forth in Rule 5.6(2). If the site is abandoned, the information in the NOI not subject to the provisions of Rule
5.2.2 may be used by the Office to ensure that the reclamation requirements of
the NOI have been met. Notice of a Board determination that a prospect site under a NOI has been abandoned will be sent by certified mail to the prospector at the last known address.
(2) For Notices of Intent to Conduct Prospecting or modifications thereof submitted or approved on or after June 2, 2008, all information in a notice of intent or modification of such notice is a matter of public record including, in the case of a modification, the original notice of intent; except that, information relating to the mineral deposit location, size or nature, and other information designated by the applicant or prospector and determined by the Board as proprietary or trade secrets or that would cause substantial harm to the competitive position of the applicant or prospector shall be protected as confidential and shall not be a matter of public record in the absence of a written release from the applicant or prospector, until a finding by the Board that reclamation is satisfactory, or until the Board releases the information pursuant to the provisions of Rule 1.3.
5.2.2 Portions of NOI File to Remain Permanently Confidential
(1) For NOIs filed before June 2, 2008, the following drillhole information remains permanently confidential:
(a) all drillhole information contained within the temporary abandonment reports, required in accordance with Rule 5.4.3;
(b) all drillhole information contained in the final reports in accordance with Rule 5.7(1);
(c) all drillhole information contained in the annual reports in accordance with Rule 5.6; and (d) all drillhole information contained in inspection reports.
(2) For NOIs or modifications thereof filed on or after June 2, 2008, the information described in this Rule 5.2.2, including in the case of a modification, the information in the original NOI, shall be publicly available unless designated by the prospector as confidential. The provisions of Rule 1.3 shall apply for a requested Board determination as to whether information designated by the prospector as confidential should remain confidential.
5.3 TERMS AND CONDITIONS FOR PROSPECTING
5.3.1 Protection of Surface Areas
Prospecting will be conducted in such a manner as to minimize surface disturbances and protect public health, safety, and the environment. The Prospector shall:
(a) address the standards required in Rule 5;
(b) address all relevant reclamation performance standards of Rule 3.1;
(c) confine prospecting to areas near existing roads or trails where practicable. Any new road used for prospecting, or any existing road which is significantly upgraded must be included as part of the affected acreage. A road is significantly upgraded if it is significantly widened, or the route or gradient are significantly altered;
(d) conduct drilling in such a way as to prevent cuttings and fluids from entering any drainage way;
(e) timely abandon drill holes upon completion as required by Rule 5.4;
(f) safeguard mine entries, mud pits, trenches, and excavations from unauthorized entry at all times as necessary to provide for public safety;
(g) timely reclaim affected lands upon completion of prospecting operations or phases of the prospecting operation. Prospecting activities must be completed within five (5) years of the NOI approval unless otherwise approved by the Office or Board, and reclamation must be completed within five (5) years of the completion of prospecting activities; and (h) backfill and revegetate trenches and other excavations upon completion of the prospecting activities.
5.3.2 Protection of Wildlife
Prospecting shall be conducted to minimize adverse effects on wildlife, including where appropriate but not limited to, escape ways, fencing, or other acceptable wildlife barriers.
5.3.3 Financial Warranty
(1) Upon filing the NOI, the Prospector shall provide Financial Warranty in the amount of two thousand dollars ($2,000.00) per acre of the land to be disturbed, or such other amount as determined by the Office, based on the projected costs of reclamation, taking into account the nature, extent, and duration of the prospecting operation and the magnitude, type and estimated cost of the planned reclamation.
(2) A Prospector may submit statewide Financial Warranties for prospecting if Financial Warranties are in an amount fixed by the Office, based on the projected costs of reclamation, and such Prospector otherwise complies with the provisions of this Rule for every area to be prospected. (Further information on Performance and Financial Warranty procedures may be found in Rule 4.) (3) The Board or Office shall take reasonable measures to ensure the continued adequacy of any Financial Warranty.
5.3.4 Notice of Completion of Prospecting Prior to Initiating Reclamation
(1) Upon completion of the prospecting or the establishment of monitoring wells, the Prospector shall submit to the Office a Notice of Completion of Prospecting Operations (“Notice of Completion”). Such notice shall be sent via electronic submission or certified mail separate from all other correspondence.
(2) Within ninety (90) Days after the submittal of the Notice of Completion the Office shall notify the Prospector of the steps necessary to reclaim the land. (In most cases, this will simply involve a conference to discuss the Reclamation Plans outlined in the NOI that was previously submitted by that Prospector.)
5.3.5 Post-Reclamation – Inspection and Release of Warranties
(1) The Office shall inspect the lands prospected within thirty (30) Days, or as soon thereafter as weather conditions permit, after the Prospector submits a Reclamation Report and requests a reclamation responsibility release that meets the requirements of Rule 4.16.1(2), including permanent abandonment of all prospecting drill holes as required by Rule 5.4.2 or 5.4.5. If the Office finds the reclamation satisfactory, the Office shall release the applicable Financial Warranty.
(2) The Financial Warranty shall not be held for more than thirty (30) Days after the date the Office determines that reclamation has been completed satisfactorily (including permanent abandonment of all prospecting drill holes).
5.3.6 Compliance with State and Federal Laws
All Prospecting shall be conducted in such a manner as to comply with all applicable local, state and federal laws, including but not limited to air and water quality laws and regulations, the Act, and these Rules and Regulations.
5.4 ABANDONMENT OF PROSPECTING DRILL HOLES
5.4.1 General Provisions
(1) All prospecting drill holes shall be permanently plugged, sealed or capped pursuant to the requirements of these Rules immediately following the drilling of the hole and the collection of drill hole information; unless provision is made to temporarily abandon the hole pursuant to Rule 5.4.3, to maintain the hole for purposes of monitoring pursuant to Rule 5.4.4, or to convert the hole to a water well pursuant to Rule 5.4.5.
(2) This Rule shall not apply to holes drilled within the affected area in conjunction with a mining operation for which the Board or Office has issued a permit, nor to wells or holes drilled for the purposes of coal exploration, exploration or removal of oil and gas, nor to geothermal wells or water wells, nor to holes drilled from within underground mine workings. For purposes of this Rule, “permanent abandonment” of a prospecting drill hole shall be defined as abandonment in conformance with the requirements of Rules 5.4.2 or 5.4.5, or inclusion within the permit boundary of a mining operation for which the Board or Office has issued a Permit.
(3) Permanent abandonment shall be attested by the submission of a final report, as described in Rule 5.7.
5.4.2 Permanent Abandonment of Prospecting Drill Holes
(1) Any drill hole which evidences artesian flow of groundwater to the surface shall be plugged with neat cement grout, or a similar material sufficient to prevent such artesian flow, as approved by the Office. The Prospector shall exercise care in evaluating the existence of artesian flow in fluid, cuttings, rock flour, or mud drilled holes, in which artesian flow may be temporarily inhibited by the presence of the drilling fluid or mud.
(2) Any drill hole which encounters an aquifer in consolidated rock formations, shall be sealed, utilizing a high quality sodium bentonite type gel, specifically developed for use as an abandonment fluid, or an equivalent material or technique as approved by the Office.
(3) Any drill hole limited to unconsolidated material and penetrating less than ten (10) feet into bedrock, shall be backfilled with materials removed from the drill hole, or an equivalent material or technique as approved by the Office. If the materials removed from the hole during drilling are inadequate to backfill the drill hole, materials representative of the undisturbed unconsolidated materials shall be backfilled into the drill hole.
(4) Any drill hole that penetrates saturated unconsolidated materials and continues more than ten (10) feet into bedrock shall be abandoned in a manner sufficient to prevent inter mixture of aquifers.
(5) Any drill hole that penetrates unsaturated unconsolidated materials and continues deeper than ten (10) feet into bedrock, but does not encounter an aquifer, shall be securely capped, as approved by the Office.
(6) The Prospector shall submit to the Office a copy of the final report required under Rule 5.7.
5.4.3 Temporary Abandonment of Prospecting Drill Holes
A prospecting drill hole may be temporarily abandoned without being permanently plugged or sealed. However, no drill hole which is to be temporarily abandoned without being plugged or sealed shall be left in such a condition as to allow fluid communication between aquifers, consistent with the Rules and Regulations for Water Well Construction, Pump Installation, and Monitoring and Observation Hole/Well Construction (“Water Well Construction Rules”), 2 CCR 402-2, and specifically Rules 10.1 and 10.4.5 of the Water Well Construction Rules, and their applicable subsection therein. Such temporarily abandoned drilled holes shall be securely capped in a manner which prevents unauthorized entry and injury to persons and animals. (Copies of the above-referenced Rules may be reviewed at the Division of Water Resources.)
5.4.4 Establishment of or Conversions to a Monitoring Well
A prospecting drill hole may be established as or converted to a monitoring well for the purpose of groundwater or geophysical monitoring, if the Prospector:
(a) has obtained the necessary permit from the State Engineer (Division of Water Resources);
(b) cases and seals the drill hole in accordance with the requirements of the Water Well Construction;
(c) caps the drill hole to prevent unauthorized entry and injury to persons and animals; and (d) submits to the Office a copy of the “Well Construction and Test Report” submitted to the Division of Water Resources describing the method and materials used in casing and sealing the drill hole to prevent commingling of aquifer waters.
(e) If the monitoring well was constructed for the purpose of hydrological investigations to acquire baseline monitoring data for a future mine reclamation permit and will remain as a part of the permit’s monitoring program, the monitoring well and associated reclamation liability shall be included in the affected lands and reclamation plan of such permit. When a permit is not issued within the timeframes of the prospecting activities of Rule 5.3.1(g), the Prospector shall proceed with abandonment in conformance with the requirements of Rules 5.4.2 unless the monitoring well is converted to a water well under Rule 5.4.5.
5.4.5 Use as, or Conversion to, a Water Well
(1) If any prospecting drill hole or monitoring well will ultimately be used as, or converted to, a water well:
(a) the user of the water well must have obtained an approved well permit from the Colorado Division of Water Resources, in accordance with Articles 90, 91 and 92 of Title 37, C.R.S., prior to drilling and construction of the well; and (b) the Prospector shall submit to the Office the permanent abandonment report required by Rule 5.7 with an attached copy of the completely executed “Well Construction and Test Report,” submitted to the Colorado Division of Water Resources as required by the Board of Examiners of the Water Well Construction and Pump Installation Contractors.
(2) The user of the water well may assume the Prospector's responsibility for maintenance of the temporary abandonment and completion of the permanent abandonment of a prospecting drill hole or monitoring well proposed to be converted to a water well, if the following requirements are satisfied:
(a) the user of the water well submits a copy of the completely executed well permit to the Mined Land Reclamation Office; and (b) the user of the water well and the Prospector submit a completely executed “Request for Transfer of Responsibility for Abandonment of a Exploration Drill Hole Converted to a Water Well” to the Office.
5.5 SURFACE RECLAMATION
5.5.1 General Requirements
All lands affected by drilling must be reclaimed to a condition appropriate for the land use existing prior to prospecting, or other beneficial use, upon completion of prospecting.
5.5.2 Specific Requirements
Reclamation shall be completed consistent with all applicable requirements of Rule 3.1 and the following:
(a) trash must be removed from the site;
(b) vegetation cleared from the site must be properly disposed of or dispersed;
(c) drill cuttings must be spread to a depth no greater than one half (1/2) inch or buried in an approved disposal pit;
(d) mud pits, excavations, trenches, or other disturbance shall be backfilled and graded to blend with the surrounding land surface;
(e) if vegetative cover was destroyed, an appropriate seed mix shall be used in the first normal period favorable for planting;
(f) if necessary to assure successful revegetation, the drill site area shall be scarified, mulched and the seed covered;
(g) noxious weeds shall be controlled within the area affected by the Prospector; and (h) existing roads which are to remain as permanent roads after prospecting activities are completed, shall be left in a condition equal to or better than the pre-prospecting condition.
5.6 ANNUAL REPORT
(1) An annual report must be submitted by the Anniversary Date of the NOI approval for each year until a reclamation responsibility release is granted. The Annual Report shall include all information specified on the Annual Report Form, in the format required by the Office, and specifically:
(a) the Prospector and contact person’s name, address, e-mail, and telephone number, as set forth in Rules 5.1.2(b) and (c);
(b) the name, address and telephone number of the surface landowner where prospecting has occurred;
(c) a description of the prospecting activity that has occurred during the preceding year, to include the location of new surface drill holes, mud pits, excavations, rock dumps, adits, shafts, trenches, pits, roads and structures;
(d) a description of reclamation that has occurred during the year and during the preceding years;
(e) the date that the prospecting activity has ended or will end;
(f) an updated map showing the location of all holes drilled, mine openings, any roads constructed, areas disturbed and areas reclaimed to date, including identification of disturbance and reclamation activities which have occurred in the preceding year. Prospecting disturbance and reclamation must be identified on a site map of adequate scale to field locate these areas, which may include:
(g) documentation, in a manner acceptable to the Office, showing that the Financial Warranty remains in place and is adequate to fully reclaim the approved prospecting site disturbance.
(h) signature(s) and signature date(s), or other certification as designated and approved by the Office, of the Prospector, as set forth in Rule 5.1.2(b), attesting to the accuracy of the information contained therein.
(2) Failure to submit an annual report for two (2) consecutive years shall constitute evidence of abandonment of the prospecting activities. The Office may issue a letter stating its reason(s) to believe a site has been abandoned where the annual report has not been received within sixty (60) Days following the due date of the second annual report. Any appeal of this determination shall follow the procedures set forth in Rule 1.4.11.
(3) Annual reports filed before June 2, 2008, shall be confidential. Annual reports filed on or after June 2, 2008, shall be a matter of public record unless designated by the prospector as confidential pursuant to the provisions of Rule 1.3. The provisions of Rule 1.3 shall apply to a request for a Board determination as to whether information designated by the prospector as confidential should remain confidential.
(4) On the Anniversary Date of the Notice of Intent approval, the Prospector shall submit to the Office an annual fee as specified in Section 34-32-127(2)(a)(IV)(G), C.R.S.
5.7 FINAL DRILL HOLE ABANDONMENT REPORT
(1) No later than sixty (60) Days after the completion of the abandonment of any drill hole which has artesian flow at the surface, or no later than twelve (12) months after the completion of the abandonment of any other drill holes, the Prospector shall submit to the Office a final drill hole abandonment report containing:
(a) the date of completion of abandonment of any drill hole;
(b) the location of prospecting disturbance and reclamation at a scale adequate to accurately field locate these areas, as provided for in Rule 5.6(f);
(c) for holes having artesian flow at the surface, the estimated rate of flow (if such is known); and (d) a description of the plugging, sealing, and capping techniques used, including the following information when applicable:
(2) In the case of closely spaced drill holes having similar geologic and hydrologic characteristics, the Prospector may, with the approval of the Office, submit a single consolidated final report including the locations of all drill holes, and the abandonment technique.
(3) As to final reports filed before June 2, 2008, the final report and all information contained therein shall be confidential in nature and shall not be matter of public record. As to final reports filed on or after June 2, 2008, the final report and all information contained therein shall be a matter of public record unless designated by the prospector as confidential pursuant to the provisions of Rule 1.3. The provisions of Rule 1.3 shall apply to a request for a Board determination as to whether information designated by the prospector as confidential should remain confidential.
(4) The final report shall be signed, or other certification as designated and approved by the Office, by the Prospector or the Prospector’s authorized contact, as set forth in Rule 5.1.2(c), attesting to the accuracy of the information contained therein.
5.8 NO WAIVER OF ADMINISTRATIVE REQUIREMENTS
The Director of the Office may not waive any of the administrative reporting provisions of this Rule 5.
RULE 6: PERMIT APPLICATION EXHIBIT REQUIREMENTS
6.1 REQUIREMENTS FOR SPECIFIC OPERATIONS
6.1.1 General Provisions
This Rule provides for the specification of Exhibits required to be submitted along with each type of Permit application.
6.1.2 110 or Non-In Situ Leach Mining 110d Limited Impact and 112, 112d, 110
ISL or 112 ISL Reclamation Operations and 110r Reclamation-Only Operations These operations shall provide all the Exhibits, as described in Rules 6.3, 6.4, and 6.6, as applicable to the operation type. However, such operations may also be required to comply with Rules 6.5 (Geotechnical Stability Exhibit) and 7.3 (Environmental Protection Facilities - Design and Construction Requirements) on a case-by-case basis. Where such compliance may be required, such operations shall not be Designated Mining Operations nor be required to submit an Environmental Protection Plan, however, the provisions of Rules 6.5 and 7.3, required to be submitted, shall be incorporated into the operation's Permit as enforceable Permit conditions.
6.1.3 Reserved
6.1.4 Requirements for All Designated Mining Operations and Requirements for
All In Situ Leach Mining Operations In addition to all other required Exhibits, as described in Rules 6.3 and 6.4, all Designated Mining Operations shall also provide an Exhibit U - Environmental Protection Plan pursuant to Rule 6.4.21. Exhibit U may be modified as provided in Rule 7.2.5. Also, in addition to the Exhibits described in Rules 6.3, 6.4 and 6.4.21, all In Situ Leach Mining Operations shall also provide the Exhibits in Rules 6.4.22, 6.4.23, 6.4.24 and 6.4.25.
6.2 GENERAL REQUIREMENTS OF EXHIBITS
6.2.1 General Requirements
(1) This Rule provides for the guidelines for, and information requirements of, each Exhibit required to be submitted with the permit application, as specified according to Rule 6.1.
(2) Maps and Exhibits Maps, except the index map, must conform to the following criteria:
(a) show name of Applicant and the operation name;
(b) must be prepared and signed by a registered land surveyor, professional engineer, or other qualified person;
(c) give date prepared;
(d) identify and outline the area which corresponds with the application;
(e) with the exception of the map of the affected lands required in Section 34- 32-112(3)(e), C.R.S. 1984, as amended, shall be prepared at a scale that is appropriate to clearly show all elements that are required to be delineated by the Act and these Rules. The acceptable range of map scales shall not be larger than 1 inch = 50 feet nor smaller than 1 inch = 660 feet; and (f) include a map scale, appropriate legend, map title, and a north arrow.
6.3 SPECIFIC PERMIT APPLICATION EXHIBIT REQUIREMENTS – 110(1),
110(2), AND NON IN SITU LEACH MINING OPERATIONS 110d LIMITED IMPACT OPERATIONS (a) The following exhibits may be required for 110(1) Limited Impact Permits based on consideration of site-specific conditions.
(b) The following exhibits shall be required for 110(2) and Non In Situ Leach Mining 110d Limited Impact Operations; 110 in situ leach mining permit applications shall comply with 112d permit applications including complying with the requirements of Rule 6.4. If an in situ leach mining operation has been exempted from designated mining operation status, it still must comply with all exhibits required for in situ leach mining operations.
6.3.1 EXHIBIT A – Legal Description and Location Map
(1) The legal description must identify the affected land, specify affected areas and be adequate to field locate the property. Description shall be by (A) township, range, and section, to at least the nearest quarter-quarter section, and (B), location of the main entrance to the mine site reported as latitude and longitude. A metes and bounds survey description is acceptable in lieu of Township, Range, and Section. Where available, the street address or lot number(s) shall be given. This information may be available from the County Assessor's office or U.S. Geological Survey (USGS) maps.
(2) The main entrance to the mine site shall be located based on a USGS topographic map showing latitude and longitude. The operator will need to specify coordinates of latitude and longitude in degrees, minutes and seconds or in decimal degrees to an accuracy of at least five (5) decimal places (i.e., latitude
37.12345 N, longitude 104.45678 W, Datum of WGS84).
(3) A map showing information sufficient to determine the location of the affected land on the ground and existing and proposed roads or access routes to be used in connection with the mining operation. Names of all immediately adjacent surface owners of record shall also be shown. A standard U.S. Geological Survey topographic quadrangle or equivalent is acceptable. The location of the proposed operation shall be shown and labeled with the mine site name.
6.3.2 EXHIBIT B – Site Description
Items (a)-(c) below must be addressed to the extent necessary to demonstrate compliance with the applicable performance standard requirements of Rule 3. At a minimum, the Operator/Applicant shall include the following information:
(a) a description of the vegetation and soil characteristics in the area of the proposed operation. The local office of the Natural Resources Conservation Service (NRCS) may provide this information as well as recommendations for Exhibit D - Reclamation Plan;
(b) identify any permanent man-made structures within two hundred (200) feet of the affected area and the owner of each structure. Each structure should be located on Exhibit E - Map;
(c) a description of the water resources in the area of the proposed operation. Identify any streams, springs, lakes, stock water ponds, ditches, reservoirs, and aquifers that would receive drainage directly from the affected area. Provide any information available from publications or monitoring data on flow rates, water table elevations and water quality conditions; and (d) a wildlife statement prepared by Colorado Parks and Wildlife (CPW) is not required for 110 Limited Impact Operations. However, such a statement is required for 110d Limited Impact Operations. The Operator/Applicant may contact the local CPW representative to verify that no critical or important wildlife habitats or wildlife species will be impacted by the proposed operation.
6.3.3 EXHIBIT C – Mining Plan
(1) The purpose of the mining plan is to describe how mining will affect the permit area for the duration of the operation. This plan must be correlated to Exhibit E - Map. The description of the mining plan must be adequate to satisfy the requirements of Rule 3.1 and demonstrate compliance with Rule 3. At a minimum, the Operator/Applicant must include the following information:
(a) specify the estimated dates that mining will commence and end. If the operation is intended to be an intermittent operation as defined in C.R.S. 34-32-103(6)(a)(II), the Applicant should include in this exhibit a statement that conforms to the provisions of Section 34-32-103(6)(a)(II), C.R.S.;
(b) the estimated depth to which soil, suitable as a plant growth medium, will be salvaged for use in the reclamation process. This description must be consistent with information provided in Exhibit B. Sufficient soil must be salvaged to meet the vegetation establishment criteria of Rule 3.1.10. If plant growth medium is not reapplied on a graded area within the same growing season, not to exceed 180 days, then the Operator/Applicant must specify how the topsoil will be stockpiled and stabilized with a vegetative cover or other means until used in reclamation. Plant growth medium stockpiles must be located separate from other stockpiles, out of the way of mine traffic and out of stream channels or drainage ways. The location of plant growth medium stockpiles must be shown on Exhibit E - Map;
(c) specify the thickness of overburden or quantity of waste rock, if any, to be removed to reach the deposit. The location of any overburden stockpiles or waste rock fills must be shown on Exhibit E- Map;
(d) specify the thickness of the deposit to be mined;
(e) describe the major components of the mining operation such as: roads and access routes, pit, office, shop/maintenance buildings, plant, processing facilities, and any underground workings and openings such as adits or ventilation facilities. These components must be located on Exhibit E- Map;
(f) specify the dimensions of any significant disturbances to the land surface such as pit excavations, mine benches, impoundments, stockpiles, waste rock disposal areas, etc. In addition, provide the maximum anticipated highwall height, length, and slope;
(g) specify the dimensions of any existing or proposed roads that will be used for the mining operation. Describe any improvements necessary on existing roads and the specifications to be used in the construction of new roads. New or improved roads must be included as part of the affected lands and permitted acreage. Affected land shall not include off-site roads which existed prior to the date on which notice was given or permit application was made to the office and which were constructed for purposes unrelated to the proposed mining operation and which will not be substantially upgraded to support the mining operation. Describe any associated drainage and runoff conveyance structures and include sufficient information to evaluate structure sizing;
(h) specify how much water will be used in conjunction with the operation, and the source of this water;
(i) if groundwater will be encountered and/or surface water intercepted or disturbed, describe how mining will affect the quantity and quality of the surface or groundwater and the methods to be used to minimize disturbance to the surface and groundwater systems including proposed dewatering, sediment-containment or chemical treatment systems, storm water runoff controls, and groundwater points of compliance;
(j) specify how the Operator/Applicant will comply with applicable Colorado water laws and regulations governing injury to existing water rights;
(k) regardless of DMO status, if refuse or toxic or acid-forming materials are exposed during mining, describe how they shall be handled and disposed of in a manner that will control unsightliness and protect the drainage system from pollution;
(l) describe what measures will be taken to minimize disturbance to the hydrologic balance, prevent off-site damage, and provide for a stable configuration of the reclaimed area consistent with the proposed future land use;
(m) specify whether the deposit/ore will be processed on-site. Processing includes but not limited to crushing, screening, washing, concrete or asphalt mixing, leaching or milling. If the deposit/ore will be processed, then describe the nature of the process, facilities and chemicals utilized. The process area and any structures must be described on Exhibit E - Map;
(n) identify the primary, and if applicable, secondary and incidental commodities to be mined/extracted by the proposed operation and describe the intended use;
(o) specify if explosives will be used in conjunction with the mining or reclamation operation. In consultation with the Office the Applicant must demonstrate, pursuant to Rule 6.5(4), Geotechnical Stability Exhibit, that off-site areas will not be adversely affected by blasting during mining or reclamation operations; and (p) state whether petroleum products will be stored on-site, provide the maximum quantities stored on-site at any one time, and specify the size and material of the storage container(s) and associated secondary containment structure(s) if applicable. For operations that are subject to and have created a Spill Prevention Control and Countermeasure Plan (SPCC Plan) under the federal Clean Water Act and Colorado Water Quality Act, state that a current SPCC Plan will be kept on site for review upon request and provide a brief description of how the disturbance to the hydrologic balance from the presence of petroleum products stored on-site is minimized. If the operation does not have a SPCC Plan, the Mining Plan must specify what measures will be taken to minimize disturbance to the hydrologic balance from the storage of petroleum products.
(2) If tailing ponds are part of the milling process, the mine plan description should address the following:
(a) Plant Facilities: Describe the chemical types and quantities to be utilized, chemical storage and spill containment and emergency response plans for on-site spills. Plant operation details should include tank capacities and operating solution volumes.
(b) Tailings: Describe the geochemical constituents of the tailing or leached ore, the chemistry of any leachate, anticipated impacts to ground or surface waters and design details such as liners, ponds and embankments, diversions or chemical treatment facilities to be used to control these impacts, and ground and surface water monitoring systems, to include proposed groundwater points of compliance.
(c) Drainage Control: Describe the measures used to divert upland drainage away from the site both during and after operation. This must include design details demonstrating the capacity of ditches and impoundment structures to contain operating solutions and the volume of water generated by a one hundred (100) year 24-hour rainfall event.
(d) Maps and Plans: Design drawings must be prepared by a professional engineer or other qualified person, and at a minimum meet the requirements of Rule 7.3. In addition, maps and plans should describe specific design details for tailing ponds and embankments, ponds and ditches, ore and tail transport systems, and ground and surface water monitoring systems.
6.3.4 EXHIBIT D – Reclamation Plan
(1) The purpose of the Reclamation Plan is to describe the timing, procedures, criteria and materials that will be used to reclaim the affected land to the proposed future land use. This plan must be correlated to Exhibit E - Map. The description of the Reclamation Plan must be adequate to satisfy the requirements of Rule 3.1 and demonstrate compliance with Rule 3. At a minimum, the Application shall include the following information:
(a) specify at what point in the mining plan and to what depth(s) overburden will be replaced in relation to ongoing extraction.
(b) specify the maximum gradient of reclaimed slopes (horizontal: vertical). If the Application proposes slopes steeper than 3:1, the Operator/Applicant must include a justification that supports steeper slopes for the proposed post mining land use, and demonstrates compliance with the applicable performance standards of Rule 3.1.
(c) specify the measures that will be taken to revegetate the site, if applicable, including:
(d) Specify which ponds, streams, roads and buildings, if any, will remain after reclamation. These features must be shown on the Exhibit E - Map. If ponds are part of the Reclamation Plan, slopes from five (5) vertical feet above to ten (10) vertical feet below the expected average water level cannot be steeper than 3H:1V; remaining slope lengths may not be steeper than 2H:1V, unless otherwise approved by the Board or Office. Where ponds are proposed as wildlife habitat for future land use, Colorado Parks and Wildlife (CPW) must be consulted.
(e) Specify the reclamation treatment of any waste rock dumps, tailing impoundments, underground mine openings, ditches, sediment control facilities, buildings and other features specified in the mine plan but not previously addressed in the Reclamation Plan narrative. These features must be shown on Exhibit E - Map. This should describe the measures taken to minimize disturbance to the hydrologic balance, prevent off-site damage, and provide for a stable configuration consistent with the proposed future land use.
(f) Demonstrate a reasonably foreseeable end date respecting water quality treatment as required in Rule 3.1.6(1)(f)-(h).
(2) All 110 or Non In Situ Leach Mining 110d Limited Impact applications must provide an estimate of the actual costs to reclaim the site based on what it would cost the State of Colorado using an independent contractor to complete reclamation. The unit costs should include estimates for the following activities as appropriate to the operation: backfilling, grading, topsoil application, seeding, mulching, fertilization, and labor to complete reclamation. Determine and specify the point during the operation when the site has reached a point of maximum disturbance. The cost to reclaim the site to the specifications of the Reclamation Plan at this point must be estimated. Unit costs (cost per cubic yard), volumes, haul or push distances, and grades must be included when backfilling and grading are part of the Reclamation Plan. Volume and unit costs for finish grading, subsoil and topsoil application must be provided in terms of cost per cubic yard. The estimated cost for fertilizer, seed and mulch acquisition and application must be provided as cost per acre.
(a) Equipment costs must include such factors as equipment operator wages and benefits, fuel and lubricant consumption and depreciation. The cost to mobilize and demobilize the equipment from the nearest population center known to have the required equipment availability should be estimated.
(b) All items referenced in the Reclamation Plan must be included in the cost calculation. These items in addition to earthwork, such as building demolition, fencing, monitoring well sealing or stream channel reconstruction must also be included in the reclamation cost estimate.
(c) After the direct costs noted above have been estimated, the Office may add up to an additional maximum twenty and one-half percent (20.5%) of that total, which includes private contract, typical overhead costs, and a standard contingency. This additional cost is required to cover indirect costs that an independent contractor would incur when performing reclamation of the site. Based on site-specific conditions and for good cause shown by the Office, the percentage of indirect costs may be adjusted above the rate identified above. Five percent (5%) additional cost shall also be added to cover Office administration cost in the event of bond forfeiture and permit revocation.
6.3.5 EXHIBIT E – Maps
(1) The Operator/Applicant must provide maps which meet the requirements of Rule 6.2.1(2) that clearly describes the features associated with the mining plan and the components of the Reclamation Plan. Include at least one (1) map for the mine plan and one (1) map for the Reclamation Plan. At a minimum, maps must include the following information:
(2) Mining Plan Map (a) outline and label the permit boundaries, described in Exhibit A Legal Description, and provide latitude and longitude for each boundary corner as labels on the map or as a separate table; if available, the Operator/Applicant may also provide a digital file type, as determined by the Office, of the permit boundaries; for all 110 and Non In Situ Leach Mining 110d Limited Impact Operations, the Office considers the area bounded by the permit boundary to be analogous to the affected area;
(b) label the names of owner(s) of record of the surface of the affected area and of the land within two hundred (200) feet of the affected area, identify the owner of the substance to be mined;
(c) outline and label all major surface features to be used in connection with the proposed operation such as: existing and proposed roads, pit boundary, topsoil stockpiles, overburden stockpiles, product stockpiles, waste rock fills, stream channels, buildings, processing plant, underground workings and openings such as adits or ventilation facilities, ponds, impoundments, dewatering pumps, diversions, tailings or waste disposal areas;
(d) indicate the direction that mineral extraction will proceed;
(e) Show the owner's name, type of structures, and location of all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land. A narrative description must also be provided in Exhibit–B - Site Description; and (f) outline and label existing disturbance within and/or adjacent to the permit boundary (e.g., previously mined areas, roads or excavations resulting from utility construction). Re-disturbance of previously disturbed areas, by the proposed mining operation, must be included in the permit area and addressed in Exhibit–D - Reclamation Plan.
(3) Reclamation Plan Map (a) show the gradient of all reclaimed slopes (horizontal: vertical) sufficient to describe the post mine topography;
(b) indicate where vegetation will and will not be established and the general area(s) for shrub or tree planting; and (c) if ponds are a part of the Reclamation Plan, outline the final shore configuration of the ponds and identify shallow areas if the future land use is for wildlife;
6.3.6 EXHIBIT F – List of Other Permits and Licenses Required
Provide a statement identifying which of the following permits, licenses and approvals the Operator/Applicant holds or will be sought in order to conduct the proposed mining and reclamation operations: effluent discharge permits, air quality emissions permits, radioactive source materials licenses, dredge and fill permits, permit to construct a dam, well permits, explosives permits, State Historic Preservation Office clearance, highway access permits, U.S. Forest Service permits, Bureau of Land Management permits, county zoning and land use permits, and city zoning and land use permits.
6.3.7 EXHIBIT G – Source of Legal Right to Enter
Provide documentation of the legal right to enter to conduct mining and reclamation for all Owners of Record of the surface of the affected land and the mineral rights of the substance to be mined. This may include a copy of a lease, deed, abstract of title, a current tax receipt, or a signed statement by the Landowner(s) and acknowledged by a Notary Public stating that the Operator/Applicant has legal right to enter to conduct mining and reclamation.
6.3.8 EXHIBIT H – Municipalities within a Two-mile Radius
List the mailing address and telephone number of the governing body for all municipalities within a two (2) mile radius of the proposed mining operation.
6.3.9 EXHIBIT I – Proof of Filing with County Clerk
An affidavit or receipt indicating the date on which the application was placed with the local County Clerk and Recorder for public review, pursuant to Rule 1.6.2(1)(c).
6.3.10 EXHIBIT J – Proof of Mailing of Notices to Board of County Commissioners
and Conservation District Proof that notice of the permit application was sent to the Board of County Commissioners and, if the mining operation is within the boundaries of a Conservation District, to the Board of Supervisors of the local Conservation District, pursuant to Rule 1.6.2(1)(a)(ii).
6.3.11 EXHIBIT K – Reserved
6.3.12 EXHIBIT L – Permanent Man-Made Structures
(1) Provide a list of the owner's name and type of structure for of all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land.
(2) Where the affected lands are within two hundred (200) feet of any significant, valuable and permanent man-made structure, the applicant shall:
(a) provide a notarized or other legally accepted agreement between the Applicant and the person(s) having an interest in the structure, that the Applicant is to provide compensation for any damage to the structure; or (b) where such an agreement cannot be reached, the Applicant shall provide an appropriate engineering evaluation that demonstrates that such structure shall not be damaged by activities occurring at the mining operation; or (c) where such structure is a utility, the Applicant may supply a notarized letter, on utility letterhead, from the owner(s) of the utility that the mining and reclamation activities, as proposed, will have “no negative effect” on their utility.
6.4 SPECIFIC EXHIBIT REQUIREMENTS – 112, 112 ISL or 110 ISL
RECLAMATION OPERATION AND 112d DESIGNATED MINING OPERATIONS The following exhibits are required for all applications for any in situ leach mining operation, 112 mining operation and non in situ leach mining 112d designated mining operation. If any in situ leach mining operation is exempted from designated mining operation status, the application must still comply with this Rule:
6.4.1 EXHIBIT A – Legal Description
(1) The legal description must identify the affected land, specify affected areas and be adequate to field locate the property. Description shall be by (a), township, range, and section, to at least the nearest quarter-quarter section and (b), location of the main entrance to the site reported as latitude and longitude. A metes and bounds survey description is acceptable in lieu of township, range, and section. Where available, the street address or lot number(s) shall be given. This information may be available from the County Assessor's office or U.S. Geological Survey (USGS) maps.
(2) The main entrance to the mine site shall be located based on a USGS topographic map showing latitude and longitude. The operator will need to specify coordinates of latitude and longitude in degrees, minutes and seconds or in decimal degrees to an accuracy of at least five (5) decimal places (i.e., latitude
37.12345 N, longitude 104.45678 W, Datum of WGS84).
6.4.2 EXHIBIT B – Index Map
An index map showing the regional location of the affected land and all roads and other access to the area. A standard U.S. Geological Survey topographic quadrangle or equivalent is acceptable. Scale criteria need not be followed for this map. The location of the proposed operation shall be shown and labeled with the mine site name.
6.4.3 EXHIBIT C – Pre-mining and Mining Plan Map(s) of Affected Lands
One or more maps may be necessary to legibly portray each of the following information:
(1) Pre-mining Map(s)
(a) all Owners of Record described in Rule 1.6.2(1)(e);
(b) the name and location of all creeks, roads, buildings, oil and gas wells and lines, and power and communication lines on the area of affected land and within two hundred (200) feet of all boundaries of such area;
(c) the existing topography of the area with contour lines of sufficient detail to portray the direction and rate of slope of the affected land;
(d) the total area to be involved in the operation, including the area to be mined and the area of affected lands (see definition of “Affected Land”), and provide latitude and longitude for each boundary corner as labels on the map or as a separate table; if available, the Operator/Applicant may also provide a digital file type, as determined by the Office, of the permit boundaries;
(e) the type of present vegetation covering the affected lands; and (f) in conjunction with Exhibit G - Water Information, Rule 6.4.7, if required by the Office, further water resources information will be presented on a map in this section.
(g) Show the owner's name, type of structures, and location of all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land.
(h) In conjunction with Exhibit I - Soils Information, Rule 6.4.9, soils information may be presented on a map in this section;
(i) Aerial photos, if available, may be included in this section.
(2) Mining Plan Map(s)
(a) outline and label all major surface features to be used in connection with the proposed operation such as: existing and proposed roads, pit boundary, topsoil stockpiles, overburden stockpiles, product stockpiles, waste rock fills, stream channels, buildings, processing plant, underground workings and openings such as adits or ventilation facilities, ponds, impoundments, dewatering pumps, diversions, tailings or waste disposal areas;
(b) indicate the direction that mineral extraction will proceed;
(c) outline and label existing disturbance within and/or adjacent to the permit boundary (e.g., previously mined areas, roads or excavations resulting from utility construction). Re-disturbance of previously disturbed areas, by the proposed mining operation, must be included in the permit area and addressed in Exhibit E - Reclamation Plan.
6.4.4 EXHIBIT D – Mining Plan
The mining plan shall supply the following information, correlated with the affected lands, map(s) and timetables:
(a) description of the method(s) of mining to be employed in each stage of the operation as related to any surface disturbance on affected lands and describe the major components of the mining operation such as: roads and access routes, pit, office, shop/maintenance buildings, plant, processing facilities, and any underground workings and openings such as adits or ventilation facilities. These components must be located on Exhibit C – Mine Plan Map;
(b) the estimated depth to which soil, suitable as a plant growth medium, will be salvaged for use in the reclamation process. This description must be consistent with information provided in Exhibit I. Sufficient soil must be salvaged to meet the vegetation establishment criteria of Rule 3.1.10. If plant growth medium is not reapplied on a graded area within the same growing season, not to exceed 180 days, then the Operator/Applicant must specify how the topsoil will be stockpiled and stabilized with a vegetative cover or other means until used in reclamation. Plant growth medium stockpiles must be located separate from other stockpiles, out of the way of mine traffic and out of stream channels or drainage ways. The location of plant growth medium stockpiles must be shown on Exhibit C – Mine Plan Map;
(c) all water diversions and impoundments; and (d) the size of area(s) to be worked at any one time and specify the dimensions of any significant disturbances to the land surface such as pit excavations, mine benches, impoundments, stockpiles, waste rock disposal areas, etc. In addition, provide the maximum anticipated highwall height, length, and slope.
(e) An approximate timetable to describe the mining operation. The timetable is for the purpose of establishing the relationship between mining and reclamation during the different phases of a mining operation. An Operator/Applicant shall not be required to meet specific dates for initiation, or completion of mining in a phase as may be identified in the timetable. This does not exempt an Operator/Applicant from complying with the performance standards of Rule 3.1. If the operation is intended to be an intermittent operation as defined in Section 34- 32-103(6)(a)(II), C.R.S., the Applicant should include in this exhibit a statement that conforms to the provisions of Section 34-32-103(6)(a)(II), C.R.S. Such timetable should include:
(i) an estimate of the periods of time which will be required for the various stages or phases of the operation;
(ii) a description of the size and location of each area to be worked during each phase; and (iii) outlining the sequence in which each stage or phase of the operation will be carried out.
(Timetables need not be separate and distinct from the mining plan, but may be incorporated therein.)
(f) A map (in Exhibit C - Pre-Mining and Mining Plan Maps(s) of Affected Lands, Rule 6.4.3) may be used along with a narrative to present the following information:
(i) thickness of overburden or quantity of waste rock, if any, to be removed to reach the deposit. The location of any overburden stockpiles or waste rock fills must be shown on Exhibit C – Mine Plan Map;
(ii) nature, depth and thickness of the ore body or deposit to be mined (may be marked “CONFIDENTIAL,” pursuant to Rule 1.3(3)); and (iii) nature of the stratum immediately beneath the material to be mined in sedimentary deposits.
(g) Identify the primary, and if applicable, the secondary and incidental commodities to be mined/extracted and describe the intended use; and (h) specify whether the deposit will be processed on-site. Processing includes but not limited to crushing, screening, washing, or concrete or asphalt mixing. If the deposit will be processed, then describe the nature of the process, facilities and chemicals utilized. The process area and any structures must be depicted on Exhibit C – Mine Plan Map;.
(i) Specify if explosives will be used in conjunction with the mining (or reclamation). In consultation with the Office, the Applicant must demonstrate, pursuant to Rule 6.5(4), Geotechnical Stability Exhibit, that off-site areas will not be adversely affected by blasting.
(j) Specify the dimensions of any existing or proposed roads that will be used for the mining operation. Describe any improvements necessary on existing roads and the specifications to be used in the construction of new roads. New or improved roads must be included as part of the affected lands and permitted acreage. Affected land shall not include off-site roads which existed prior to the date on which notice was given or permit application was made to the office and which were constructed for purposes unrelated to the proposed mining operation and which will not be substantially upgraded to support the mining operation. Describe any associated drainage and runoff conveyance structures and include sufficient information to evaluate structure sizing.
(k) If refuse or toxic or acid-forming materials are exposed during mining, describe how they shall be handled and disposed of in a manner that will control unsightliness and protect the drainage system from pollution.
(l) State whether petroleum products will be stored on-site, provide the maximum quantities stored on-site at any one time, and specify the size and material of the storage container(s) and associated secondary containment structure(s) if applicable. For operations that are subject to and have created a Spill Prevention Control and Countermeasure Plan (SPCC Plan) under the federal Clean Water Act and Colorado Water Quality Act, state that a current SPCC Plan will be kept on site for review upon request and provide a brief description of how the disturbance to the hydrologic balance from the presence of petroleum products stored on-site is minimized. If the operation does not have a SPCC Plan, the Mining Plan must specify what measures will be taken to minimize disturbance to the hydrologic balance from the storage of petroleum products.
6.4.5 EXHIBIT E – Reclamation Plan
(1) In preparing the Reclamation Plan, the Operator/Applicant should be specific in terms of addressing such items as final grading (including drainage), seeding, fertilizing, revegetation (trees, shrubs, etc.), and topsoiling. Operators/Applicants are encouraged to allow flexibility in their plans by committing themselves to ranges of numbers (i.e., 6”-12” of topsoil) rather than specific figures.
(2) The Reclamation Plan shall include provisions for, or satisfactory explanation of, all general requirements for the type of reclamation proposed to be implemented by the Operator/Applicant. Reclamation shall be required on all the affected land. The Reclamation Plans shall include:
(a) A description of the type(s) of reclamation the Operator/Applicant proposes to achieve in the reclamation of the affected land, why each was chosen, the amount of acreage accorded to each, and a general discussion of methods of reclamation as related to the mechanics of earthmoving;
(b) A comparison of the proposed post mining land use to other land uses in the vicinity and to adopted state and local land use plans and programs. In those instances where the post mining land use is for industrial, residential, or commercial purposes and such use is not reasonably assured, a plan for revegetation shall be submitted. Appropriate evidence supporting such reasonable assurance shall be submitted;
(c) A description of how the Reclamation Plan will be implemented to meet each applicable requirement of Rule 3.1;
(d) Where applicable, plans for topsoil segregation, preservation, and replacement; for stabilization, compaction, and grading of spoil; and for revegetation. The revegetation plan shall contain a list of the preferred species of grass, legumes, forbs, shrubs or trees to be planted, the method and rates of seeding and planting, the estimated availability of viable seeds in sufficient quantities of the species proposed to be used, and the proposed time of seeding and planting;
(e) A plan or schedule indicating how and when reclamation will be implemented. Such plan or schedule shall not be tied to any specific date but shall be tied to implementation or completion of different stages of the mining operation as described in Rule 6.4.4 (e). The plan or schedule shall include:
(f) A description of each of the following:
(g) Specify which ponds, streams, roads and buildings, if any, will remain after reclamation. These features must be shown on the Exhibit F – Reclamation Plan Map. If ponds are part of the Reclamation Plan, slopes from five (5) vertical feet above to ten (10) vertical feet below the expected average water level cannot be steeper than 3H:1V; remaining slope lengths may not be steeper than 2H:1V, unless otherwise approved by the Board or Office. Where ponds are proposed as wildlife habitat for future land use, Colorado Parks and Wildlife (CPW) must be consulted.
(h) Specify the reclamation treatment of any waste rock dumps, underground mine openings, ditches, sediment control facilities, buildings and other features specified in the mine plan but not previously addressed in the Reclamation Plan narrative. These features must be shown on Exhibit F – Reclamation Plan Map. This should describe the measures taken to minimize disturbance to the hydrologic balance, prevent off-site damage, and provide for a stable configuration consistent with the proposed future land use.
6.4.6 EXHIBIT F – Reclamation Plan Map
The map(s) of the proposed affected land, by all phases of the total scope of the mining operation, shall indicate the following:
(a) The expected physical appearance of the area of the affected land, correlated to the proposed mining and reclamation timetables. The map must show proposed topography of the area with contour lines of sufficient detail to portray the direction and rate of slope of all reclaimed lands;
(b) Portrayal of the proposed final land use for each portion of the affected lands; and (c) If ponds are a part of the Reclamation Plan, outline the final shore configuration of the ponds and identify shallow areas if the future land use is for wildlife.
6.4.7 EXHIBIT G – Water Information
(1) If the operation is not expected to directly affect surface or groundwater systems, a statement and sufficient demonstration of that expectation shall be submitted.
(2) If the operation is expected to directly affect surface or groundwater systems, the Operator/Applicant shall:
(a) Locate on the map (in Exhibit C) tributary water courses, wells, springs, stock water ponds, reservoirs, and ditches on the affected land and on adjacent lands where such structures may be affected by the proposed mining operations;
(b) Demonstrate a reasonably foreseeable end date respecting water quality treatment as required in Rule 3.1.6(1)(g)-(h).
(c) Identify all known aquifers;
(d) Submit a plan showing how water from dewatering operations or from runoff from disturbed areas, piled material and operating surfaces will be managed to protect against pollution of either surface or groundwater (and, where applicable, control pollution in a manner that is consistent with water quality discharge permits), both during and after the operation; and (e) Specify how the Operator/Applicant will comply with applicable Colorado water laws and regulations governing injury to existing water rights.
(3) The Operator/Applicant shall provide an estimate of the project water requirements including flow rates and annual volumes for the development, mining and reclamation phases of the project.
(4) The Operator/Applicant shall indicate the projected amount from each of the sources of water to supply the project water requirements for the mining operation and reclamation.
(5) The Operator/Applicant shall affirmatively state that the Operator/Applicant has acquired (or has applied for) a National Pollutant Discharge Elimination System (NPDES) permit from the Water Quality Control Division at the Colorado Department of Public Health and Environment, if necessary.
6.4.8 EXHIBIT H – Wildlife Information
(1) In developing the wildlife information, the Operator/Applicant may wish to contact the local wildlife conservation officer. The Operator/Applicant shall include in this Exhibit, a description of the game and non-game resources on and in the vicinity of the application area, including:
(a) a description of the significant wildlife resources on the affected land;
(b) seasonal use of the area;
(c) the presence and estimated population of threatened or endangered species from either federal or state lists; and (d) a description of the general effect during and after the proposed operation on the existing wildlife of the area, including but not limited to temporary and permanent loss of food and habitat, interference with migratory routes, and the general effect on the wildlife from increased human activity, including noise.
(2) All new Applicants for designated mining operations shall contact Colorado Parks and Wildlife (CPW) for their recommendations. CPW’s recommendations shall be included into the application submitted to the Office for review. If the protection of wildlife is determined to be necessary by the Board for 112d Reclamation Permit Operations, or by the Office for 110d Limited Impact Permit operations, the Board or Office may incorporate such wildlife protection recommendations into the new permit as a condition for such permit.
6.4.9 EXHIBIT I – Soils Information
(1) In consultation with the Natural Resources Conservation Service (NRCS) or other qualified person, the Operator/Applicant shall indicate on a map (in Exhibit C) or by a statement, the general type, thickness and distribution of soil over the affected land. Such description will address suitability of topsoil (or other material) for establishment and maintenance of plant growth. If necessary, at its discretion, the Board may require additional information on soils or other growth media to be stockpiled and used in revegetation.
6.4.10 EXHIBIT J – Vegetation Information
(1) The Operator/Applicant shall include in this Exhibit a narrative of the following items:
(a) descriptions of present vegetation types, which include quantitative estimates of cover and height for the principal species in each life-form represented (e.g., trees, tall shrubs, low shrubs, grasses, forbs);
(b) the relationship of present vegetation types to soil types, or alternatively, the information may be presented on a map; and (c) estimates of average annual production for hay meadows and croplands, and carrying capacity for range lands on or in the vicinity of the affected land, if the choice of reclamation is for range or agriculture.
(2) The Operator/Applicant shall show the relation of the types of vegetation to existing topography on a map in Exhibit C. In providing such information, the Operator/Applicant may want to contact the local Conservation District.
6.4.11 EXHIBIT K – Climate
Provide a description of the significant climatological factors for the locality, and if determined appropriate by the Office on a case-by-case basis, provide the required information of Rule 6.4.21(13).
6.4.12 EXHIBIT L – Reclamation Costs
(1) All 112 Regular Operation applications must provide an estimate of the actual costs to reclaim the site based on what it would cost the State of Colorado using an independent contractor to complete reclamation. The unit costs should include estimates for the following activities as appropriate to the operation: backfilling, grading, topsoil application, seeding, mulching, fertilization, and labor to complete reclamation. Determine and specify the point during the operation when the site has reached a point of maximum disturbance. The cost to reclaim the site to the specifications of the Reclamation Plan at this point must be estimated. Unit costs (cost per cubic yard), volumes, haul or push distances, and grades must be included when backfilling and grading are part of the Reclamation Plan. Volume and unit costs for finish grading, subsoil and topsoil application must be provided in terms of cost per cubic yard. The estimated cost for fertilizer, seed and mulch acquisition and application must be provided as cost per acre.
(a) Equipment costs must include such factors as equipment operator wages and benefits, fuel and lubricant consumption and depreciation. The cost to mobilize and demobilize the equipment from the nearest population center known to have the required equipment availability should be estimated.
(b) All items referenced in the Reclamation Plan must be included in the cost calculation. These items in addition to earthwork, such as building demolition, fencing, monitoring well sealing or stream channel reconstruction must also be included in the reclamation cost estimate.
(c) After the direct costs noted above have been estimated, the Office may add up to an additional maximum twenty and one-half percent (20.5%) of that total, which includes private contract, typical overhead costs, and a standard contingency. This additional cost is required to cover indirect costs that an independent contractor would incur when performing reclamation of the site. Based on site-specific conditions and for good cause shown by the Office, the percentage of indirect costs may be adjusted above the rate identified above. Five percent (5%) additional cost shall also be added to cover Office administration cost in the event of bond forfeiture and permit revocation.
(2) The Office may request the Operator/Applicant to provide additional, reasonable data to substantiate said Operator/Applicant's estimate of the cost of reclamation for all Affected Lands.
6.4.13 EXHIBIT M – Other Permits and Licenses
Provide a statement identifying which of the following permits, licenses and approvals the Operator/Applicant holds or will be sought in order to conduct the proposed mining and reclamation operations: effluent discharge permits, air quality emissions permits, radioactive source material licenses, dredge and fill permits, permit to construct a dam, well permits, explosives permits, State Historic Preservation Office clearance, highway access permits, U.S. Forest Service permits, Bureau of Land Management permits, county zoning and land use permits, and city zoning and land use permits.
6.4.14 EXHIBIT N – Source of Legal Right to Enter
Provide documentation of the legal right to enter to conduct mining and reclamation for all Owners of Record of the surface of the affected land and the mineral rights of the substance to be mined. This may include a copy of a lease, deed, abstract of title, a current tax receipt, or a signed statement by the Landowner(s) and acknowledged by a Notary Public stating that the Operator/Applicant has legal right to enter to conduct mining and reclamation.
6.4.15 EXHIBIT O – Owners of Record
(1) Provide a list of all Owners of Record of the surface of the affected land.
(2) Provide a list of all Owners of Record of the mineral rights of the substance to be mined.
(3) Provide a list of all Owners of Record of all land surface within 200 feet of the boundary of the affected lands.
6.4.16 EXHIBIT P – Municipalities within Two Miles
List the mailing address and telephone number of the governing body for all municipalities within a two (2) mile radius of the proposed mining operation.
6.4.17 EXHIBIT Q – Proof of Mailing of Notices to Board of County Commissioners
and Conservation District Proof that notice of the permit application was sent to the Board of County Commissioners and, if the mining operation is within the boundaries of a Conservation District, to the Board of Supervisors of the local Conservation District, pursuant to Rule 1.6.2(1)(a)(ii).
6.4.18 EXHIBIT R – Proof of Filing with County Clerk and Recorder
An affidavit or e-receipt indicating the date on which the application was placed with the local County Clerk and Recorder for public review, pursuant to Rule 1.6.2(1)(c).
6.4.19 EXHIBIT S – Permanent Man-made Structures
(1) Provide a list of the owner's name and type of structure for all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land.
(2) Where the affected lands are within two hundred (200) feet of any significant, valuable and permanent man-made structure, the applicant shall:
(a) provide a notarized or other legally accepted agreement between the Applicant and the person(s) having an interest in the structure, that the Applicant is to provide compensation for any damage to the structure; or (b) where such an agreement cannot be reached, the Applicant shall provide an appropriate engineering evaluation that demonstrates that such structure shall not be damaged by activities occurring at the mining operation; or (c) where such structure is a utility, the Applicant may supply a notarized letter, on utility letterhead, from the owner(s) of the utility that the mining and reclamation activities, as proposed, will have “no negative effect” on their utility.
6.4.21 EXHIBIT U – Designated Mining Operation Environmental Protection Plan
(1) The Environmental Protection Plan shall describe how the Operator/Applicant will assure compliance with the provisions of the Act and Rules in order to protect all areas that have the potential to be affected by designated chemicals, toxic or acid-forming materials or acid mine drainage, or that will be or have the potential to be affected by uranium mining. In addition, the plan shall include an Emergency Response Plan that complies with Sections 34-32-103(4.9) and 34- 32-116.5(5), C.R.S. 1984, as amended, and Rule 8.3, for designated chemicals used on site, and appropriate measures recommended by Colorado Parks and Wildlife (CPW)for the protection of wildlife from damage from designated chemicals, toxic or acid-forming materials and acid mine drainage.
(a) An Environmental Protection Plan is not required to address proposed or permitted activities that do not involve, affect, or influence the storage, handling, or disposal of the designated chemicals and that do not disturb toxic or acid-forming materials, and that do not cause, or have the potential to cause, generation of acid mine drainage unless such proposed or permitted activities involve uranium mining in which case an Environmental Protection Plan shall be required.
(b) In order to protect the public and the environment from the adverse effects of uranium mining, designated chemicals, toxic or acid-forming materials or acid mine drainage, the Board may consider whether there is a potential for adverse impacts.
(c) Such a determination will evaluate, specifically, the potential for adverse impacts from any:
(d) The Board shall consider economic reasonableness and technical feasibility when determining whether the proposed location adequately assures compliance with performance standards of the Act, or may require that an alternate location be evaluated.
(e) The Board shall also consider current or pre-existing conditions and the degree to which the proposed plan would provide for net improvements in the protection of human health, property or the environment.
(2) Maps - An Environmental Protection Plan shall identify on map(s), sketch(es), plan(s) or other equivalent representations, the locations where designated chemicals, toxic or acid-forming materials, which will be used, stored, handled, exposed, disturbed or disposed of within the permit area, and existing or potential sources of acid mine drainage. The Environmental Protection Plan shall also identify on maps, sketches, plans or other equivalent representations, the location of affected lands, surface water, and groundwater which will be or has the reasonable potential to be affected by uranium mining operations. The locations shall be shown in accurate relationship to topography and other project facilities within the permit areas. The Operator/Applicant may submit this information as a map accompanying this Exhibit or include the information on the maps required as Exhibit C in this Rule, 6.4.3.
(3) Identification of other agencies' environmental protection measures and monitoring - identify which environmental protection measures and monitoring are required by statute, regulation or permit by other agencies or jurisdictions.
(4) Other Permits and Licenses - The Environmental Protection Plan shall:
(a) list any air, water quality, solid and hazardous waste, and other federal, state permits or local licenses, or other formal authorizations which the Operator/Applicant holds or will be seeking applicable to the use, handling, storage, or disposal of designated chemicals and acid mine drainage-forming materials within the permit area.
(b) Where such permits have been obtained, the Environmental Protection Plan shall identify where copies of such authorization(s) may be obtained, and shall provide any information contained in, or a portion of, or a complete copy of the permit(s), if required by the Office or Board.
(c) When such permits, for uranium mining, or for the use, handling, storage or disposal of designated chemicals or acid mine drainage-forming materials within the permit area, are obtained after the submission of the Environmental Protection Plan, the Operator/Applicant will provide the Office the same information within thirty (30) Days of receipt.
(d) The Board reserves the right to deny an application for a Permit or Modification to an existing Permit where there is substantial evidence that the operation is or may be contrary to the laws or regulations of this state, or the United States, including but not limited to all federal, state, and local permits, licenses and approvals. The Board may continue the consideration of the application, or condition approval, pending final resolution of the matter. In addition, as to any in situ leach mining applications, the Board may or shall, whichever is applicable, deny any such permit application in accordance with the provisions of Rule 1.4.10.
(5) Designated Chemical(s) Evaluation - an Environmental Protection Plan shall contain a presentation and discussion of the types, quantities, and concentrations of designated chemicals within the permit area, and to the degree such chemicals are present or used within the permit area, shall characterize the designated chemicals as to:
(a) their known potential to affect human health, property or the environment; and (b) based on the best information available at the time of submittal of the Environmental Protection Plan, specify the expected concentrations, process solution volumes and fate of designated chemicals to be used in existing and proposed extractive metallurgical processes at the mine, and/or mill site, if applicable.
(c) Provide, to the extent reasonably available, material safety data sheets for designated chemicals.
(6) Designated Chemical(s) and Material(s) Handling – (a) Fully describe the procedures for the disposal, decommissioning, detoxification or stabilization for all designated chemicals and toxic or acid-forming materials. Specifically describe measures to be taken to prevent any unauthorized release of pollutants to the environment. Include adequate reclamation and closure practices for such designated chemicals, toxic or acid-forming materials and how unauthorized discharge of acid mine drainage will be prevented.
(b) Submit a narrative description or plan that:
(c) Based upon acceptable site-specific analyses of site construction materials, waste rock, ore, product stockpiles, and mill tailings, if applicable, provide an assessment of the nature, concentrations and expected fate of potential acid mine drainage-forming materials.
(7) Facilities Evaluation—Provide an evaluation of the expected effectiveness of each proposed and existing Environmental Protection Plan facility, taking into consideration:
(a) site-specific conditions;
(b) designated chemicals, uranium, uranium by products and other radionuclides, acid mine drainage and toxic or acid-forming materials and associated by-products and sludges that will be retained, either temporarily or permanently, on site by each facility;
(c) naturally occurring geological and geochemical conditions, and alterations of these conditions by the mining and metallurgical process.
(d) Describe, with maps and narrative, the monitoring systems, monitoring site locations, sample designator, parameters sampled, frequency of sampling, report dates, media sampled, method of sampling and analysis employed or to be employed during mining and reclamation operations to evaluate the effectiveness of each Environmental Protection Plan facility and activity.
(e) Taking into consideration the nature of the chemicals and the risk to human health, property and the environment, describe any release response procedures, redundancies, and “backup” measures necessary, appropriate, and economically reasonable, to control, prevent and mitigate releases of the designated chemicals and toxic or acid-forming materials from the containment facility outside the permit area during mining and reclamation operations.
(f) Demonstrate that containment facilities shall be of adequate size to provide sufficient reserve capacity to prevent a release of designated chemicals or toxic or acid-forming materials from design storm events plus operational water volumes during worst case conditions as specified by the Office.
(8) Groundwater Information – (a) locate on a map, in Exhibit C, all tributary water courses, wells, springs, stock water ponds, reservoirs and ditches, on the affected land and on adjacent lands where such structures or waters are within two (2) miles, of the existing or proposed affected lands. The required information may further be limited to that area which can also be demonstrated by the Operator to lie within the local ground and surface water regimes that include the affected lands. On a site-specific basis, the Office or Board may extend the distance beyond two (2) miles;
(b) identify all known aquifers and related subsurface water-bearing fracture systems within two (2) miles of the affected lands. The required information may further be limited to that area which can also be demonstrated by the Operator to lie within the local ground and surface water regimes that include the affected lands. In addition, using available data or information, when acceptable to the Office, provide the general direction and rate of flow of groundwater in these aquifers and fracture systems. On a case-by-case basis, the Office may require hydrologic testing and analysis, where available information is inadequate to describe or address potential impacts to groundwater resources;
(c) describe all geologic media down to and including the upper most aquifer under proposed sites of material storage, stockpiles, waste piles, disposal sites, solution containment facilities and other sites within the existing or proposed affected area where such subsurface materials and any associated waters have the potential to be contaminated by designated chemicals used in the extractive metallurgical process or by materials that are toxic or acid-forming, or that produce acid mine drainage;
(d) identify and locate on a map, in Exhibit C, known major fracture systems that affect rock formations under proposed sites of material storage, stockpiles, waste piles, disposal sites, solution containment facilities and other sites within the existing or proposed affected (land) area where such fractures and any associated waters have the potential to be contaminated by toxic or acid-forming materials or designated chemicals used in extractive metallurgical process or that produce acid mine drainage; and (e) describe and illustrate the hydrogeology of the area where surface or groundwater may be impacted by the Designated Mining Operation activities. Include in the description and illustration, those geologic strata and fracture systems that have the potential to transmit groundwater.
(9) Groundwater Quality Data – (a) Indicate the existing and reasonably potential future groundwater uses on and within two (2) miles down-gradient of the affected lands. The required information may further be limited to that area which can also be demonstrated by the Operator to lie within the local ground and surface water regimes that include the affected lands. On a site-specific basis the Office or Board may extend the distance beyond two (2) miles.
(b) Submit, at a minimum, groundwater quality data collected during five (5) successive calendar quarters, or as specified by the Office, as may be necessary to adequately characterize baseline conditions. This baseline data shall be sufficient to provide for the proper design of facilities, to serve as a basis for the evaluation of reclamation performance standards, and to ensure the adequacy of Environmental Protection Facility design, maintenance and operation. In the case of an in situ leach mining operation, a permit applicant must design and conduct a scientifically defensible groundwater, surface water and environmental baseline site characterization and monitoring plan for the proposed mining operation which, at a minimum, includes five (5) successive calendar quarters, or the period specified by the Office as necessary to adequately characterize the baseline conditions, of water quality data, prior to submitting the permit application.
(c) Analytical detection limits and groundwater quality parameters must be acceptable to the Office.
(10) Surface Water Control and Containment Facilities Information (a) Provide design specifications certified by a licensed professional engineer for all Environmental Protection Facilities intended to:
(b) Submit a Storm Water Management Plan, if required by the Water Quality Control Division, including a copy of such plan and a maintenance and inspection program to ensure all drainage control and containment facilities will be properly operated and maintained.
(11) Surface Water Quality Data – (a) Indicate the existing surface water receiving stream standards, existing or reasonably potential future uses of surface water and, where receiving stream standards have not been determined, within two (2) miles, down- gradient of the affected lands. On a site-specific basis, the Board or Office may extend the distance beyond two (2) miles downstream.
(b) Submit surface water quality and flow data collected during a minimum of five (5) successive calendar quarters and such other additional data, or a period specified by the Office, as may be necessary to adequately characterize baseline conditions. This baseline data shall be sufficient to provide for the proper design of facilities, to serve as a basis for the evaluation of reclamation performance standards success, and to ensure the adequacy of environmental protection facility design, maintenance and operation. Where surface water samples are not available during the specified time period due to climatic condition, the Office must be contacted so that other alternatives may be agreed upon, except that in the case of an in situ leach mining operation, a permit applicant must design and conduct a scientifically defensible groundwater, surface water and environmental baseline site characterization and monitoring plan for the proposed mining operation which, at a minimum, includes five (5) successive calendar quarters, or the period specified by the Office as necessary to adequately characterize the baseline conditions, of water quality data, prior to submitting the permit application.
(c) Analytical detection limits for surface water must be acceptable to the Office for surface water quality parameters in consultation with the Water Quality Control Division.
(12) Water Quality Monitoring Plan - where necessary to demonstrate that the Environmental Protection Plan requirements are being met a water quality monitoring plan shall be proposed for both surface and groundwater. The intent of the proposed water quality monitoring plan shall be to demonstrate that all environmental protection facilities designed to protect water quality are functioning as designed and whether the operation is in compliance with all applicable surface water and groundwater standards and Permit conditions. Where a Colorado Discharge Permit System (CDPS) discharge permit exists or has been applied for, such permit may be adequate to satisfy the requirements of Rule 6.4.21. In addition, for an in situ leach mining operation, the required groundwater, surface water and environmental baseline site characterization and monitoring plan must be designed to thoroughly characterize pre-mining conditions; detect any subsurface excursions of groundwater containing chemicals used in or mobilized by such operation; and evaluate the effectiveness of post-mining reclamation and groundwater reclamation.
(13) Climate - on a case-by-case basis, the Environmental Protection Plan shall:
(a) Provide adequate climatic data representative of the site to perform an acceptable “water balance” for all liquid containment systems open to the environment and intended to contain designated chemicals or acid mine drainage, and demonstrate that the amount of evaporation required to maintain reserve facility capacity will occur, or that there is sufficient reserve capacity to compensate for the uncertainty associated with the data.
(b) Provide the following information regarding climatic factors, above six thousand five hundred (6,500) feet of elevation, (with the approval of the Office, data may be provided from existing stations within the vicinity of the Permit area):
(c) For operations below elevations of six thousand five hundred (6,500) feet, provide the above data covering a period of one (1) year.
(14) Geochemical Data and Analysis - include appropriate geochemical evaluations of any material that will be exposed by mining, placed in on-site solution containment systems or facilities, stockpiled, or disposed of on the affected land, and that involves uranium mining or has the potential to cause acid mine drainage or to release designated chemicals, or toxic or acid-forming materials.
(a) Such evaluations shall be site specific and appropriate for the types of materials exposed or to be exposed by the mining and reclamation operations.
(b) Such evaluations shall be conducted on materials that are representative of the composition of the mineral, rocks or materials that are exposed or to be exposed during the proposed life of the mining operations.
(c) Such evaluations shall be appropriate for the intended use or fate of the material exposed or to be exposed during the proposed life of the mining operations, and on a case-by-case basis shall include evaluation of weathering effects, shall simulate, to the extent reasonable, the conditions under which the material will be used, stockpiled or disposed and which shall reasonably be expected to prevail after mining and reclamation operations have ceased.
(d) Such evaluations shall be performed on both ore and overburden, and shall identify the most reasonable sources, probable fate, and transport mechanisms of metal and acid-producing minerals that may be mobilized by ordinary weathering reactions that are likely to prevail after mining and reclamation operations have ceased. Such analyses may include only those tests that are necessary to satisfy the conditions of Rule 6.4.21(14)(c), and such evaluations may be prioritized, in descending order of importance, as follows:
(e) Where a net neutralizing, metal adsorption or metal ion exchange potential over the long-term cannot be demonstrated, the Operator/Applicant shall fully describe measures to prevent unpermitted discharges, and how reclamation, sufficient to achieve the post-mine land use will be assured.
(15) Construction Schedule Information - provide a detailed construction schedule for the following:
(a) all facilities designed to contain or transport uranium, uranium by-products or other radionuclides, toxic or acid-forming materials or designated chemicals used in the extractive metallurgical process; and (b) all facilities proposed to contain, hold, or for disposal of material that has the potential to cause acid mine drainage.
(16) Describe the Quality Assurance and Quality Control program and measures to be employed during construction of those Environmental Protection Facilities that typically warrant Quality Assurance and Quality Control.
(17) Plant Growth Medium (Soils) - where revegetation is part of the Reclamation Plan, and in order to assure that acceptable plant growth medium is preserved, and to determine what soil amendments may be necessary to promote reclamation, the Operator/Applicant shall:
(a) provide a soil survey map of the proposed affected area that delineates soil units, soil texture, estimated cubic yards of soil and subsoils available for reclamation and if saved, where such material will be stockpiled for reclamation;
(b) Such map shall be based on site specific soils investigations and shall be on such a scale as to provide a basis for soil management recommendations and be the same scale as the reclamation map; and (c) provide, for each soil map unit, in tabular form, all data from analyses of representative samples of surface and subsurface soil units as to:
(18) Wildlife protection - In addition to the performance requirements of Rule 3.1, the Office or Board shall require the Operator to describe measures to minimize or prevent harm or damage to wildlife species and habitat, including:
(a) adequately describe mitigation measures to ensure that there is no overall net loss of critical or important wildlife habitat consistent with Colorado Parks and Wildlife (CPW)and United States Fish and Wildlife Service (USFWS) recommendations, if any; and (b) describe measures to prevent wildlife from coming into contact with uranium, uranium by-products or other radionuclides, designated chemicals, toxic or acid-forming chemicals or areas with acid mine drainage.
(19) Disposal of tailings and sludges in mine workings - In order to ensure the proper disposal of tailings and sludges in mine workings, an Applicant shall comply with the provisions of Rule 3.1.7.
6.4.22 EXHIBIT V – Description of ISL Mines – Required for all In Situ Leach
Mining Applications Regardless of Designated Mining Operation Status. In addition to all other required exhibits, all in situ leach mining applications shall include this Exhibit V:
(1) The Description of ISL Mines shall describe at least five (5) in situ leach mining operations that demonstrate the applicant’s ability to conduct the proposed mining operation without leakage, vertical or lateral migration, or excursion of any leaching solutions or groundwater containing minerals, radionuclides, or other constituents mobilized, liberated or introduced by the mining operation into any groundwater outside of the permitted in situ leach mining area. The applicant need not be involved with any of the five (5) operations. The Comparison of ISL Mines shall describe:
(a) the methods of mining employed in each stage of each of the five (5) referenced in situ leach mining operations specifically including the methods related to any potential effect on groundwater, and compare these methods to those proposed in the application;
(b) the groundwater monitoring and protection measures used at each of the five (5) referenced mining operations and compare those measures to the measures in the application;
(c) known accidents, failures, leaks, releases or spills that affected groundwater at each of the five (5) referenced mining operations.
(2) The information provided in the Description of ISL Mines may be obtained from publicly available or non-confidential sources. The applicant shall use reasonable efforts to obtain as much information as is possible including research and review of publicly available documents and contact with the operators of the five (5) referenced operations to request information.
6.4.23 EXHIBIT W – Baseline Site Characterization – All In Situ Leach Mining
Operations, Regardless of Designated Mining Operation Status. In addition to all other required exhibits, applications for in situ leach mining operations shall include this Exhibit W.
(1) An applicant for an in situ leach mining operation permit shall design and conduct a scientifically defensible Baseline Site Characterization for affected surface water and groundwater and the environment prior to filing a permit application for an in situ leach mining operation. Prior to conducting any activity under the Baseline Site Characterization, the prospective applicant shall confer with the Office and obtain the Office’s approval of the applicant’s proposed Baseline Site Characterization. The Baseline Site Characterization must, at a minimum, include five (5) successive calendar quarters, or the period specified by the Office as necessary to adequately characterize the baseline conditions, of monitoring data and must be included in the permit application in order for the application to be considered filed. At a minimum, the Baseline Site Characterization shall thoroughly characterize the pre-mining site conditions including:
(a) A description of the following aspects of the proposed mining operation:
(b) A site inspection report that includes:
(c) Analysis of the results of the Baseline Site Characterization, including a description of factors or conditions that require further investigation in order to design appropriate reclamation measures.
6.4.24 EXHIBIT X – Monitoring Plan – All In Situ Leach Mining Operations
Regardless of Designated Mining Operation Status In addition to all other required exhibits, any applications for in situ leach mining applications shall include this Exhibit X.
(1) An Applicant for a permit for any in situ leach mining operation shall design and conduct a Monitoring Plan for affected lands and affected surface water and groundwater prior to submitting an application for such operation. Prior to conducting any activities in the Monitoring Plan, the prospective applicant shall confer with and obtain the approval of the Office of the proposed Monitoring Plan. The Monitoring Plan must be in the permit application in order for the application to be considered filed. The Monitoring Plan shall be sufficient to detect any subsurface excursions of groundwater containing chemicals used in or mobilized by the mining operation. In addition, the Monitoring Plan shall be sufficient to evaluate the effectiveness of the post-mining reclamation and groundwater reclamation plans.
6.4.25 EXHIBIT Y – Certification of Prior and Current Violations– All In Situ Leach Mining Operations Regardless of Designated Mining Operation Status In addition to all other required exhibits, any permit application for an in situ leach mining operation or any request for transfer of minerals permit and succession of operations of operators for any in situ leach mining operation shall include this Exhibit Y.
(1) Applicants for a permit for any in situ leach mining operations shall include in their application a Certification of Prior and Current Violations that includes:
(a) A certified statement by the Applicant that the applicant or an affiliate, officer, or director of the Applicant has not violated environmental protection requirements of the Act and these regulations, a permit issued under the Act, or any analogous law, rule or permit issued by another state or the United States within a period of ten (10) years prior to the date of the submission of the application;
(b) A certified statement by the Applicant that the Applicant or an affiliate, officer, or director of the applicant, the operator, or the claim holder has not committed a pattern of willful violations of the environmental protection requirements of the Act, regulations, a permit issued under the Act and regulations, or an analogous law, rule, or permit issued by another state or the United States.
(2) If the Applicant is not able to certify as required by Rule 6.4.25(1), the Applicant shall certify the circumstances of the violations or pattern of violations including:
(a) A description of the nature of the violation including the governmental agency that found the violation, where and when it took place, the type of mine involved, any corrective actions and fines imposed for such violation, the status of the violation and any corrective actions and fines imposed for such violation, and any pending administrative or judicial action related to the violation;
(b) A description of the pattern of violations including as to each violation in the pattern of violations, the governmental agency that found the violation, the type of mining operation involved, where and when the violation took place, the corrective actions and fines imposed for such violation, the status of the violation and any corrective actions and fines imposed for such violation, and any pending administrative or judicial action related to the violation;
(c) Contact information from each federal or state agency involved in each violation or each pattern of violations including the name of the agency, the name of a person in that agency that can confirm the violation or pattern of violation information the Applicant has submitted and the contact person’s telephone number and address.
(d) Any other information requested by the Office or Board about the violations or pattern of violations.
(e) Any explanation of the circumstances of any violations, the relationship between the Applicant and the violator, and any other information the Applicant believes to be relevant.
(f) The Applicant has a continuing obligations to update the information required in this exhibit throughout the permit application process and, if the permit is granted, throughout the life of the permit if any changes to the information occurs.
(3) To constitute a certified statement the applicant must attest to the truthfulness of the statement in a form approved by the Board.
6.5 GEOTECHNICAL STABILITY EXHIBIT
(1) On a site-specific basis, an Applicant shall be required to provide a geotechnical evaluation of all geologic hazards that have the potential to affect any proposed impoundment, slope, embankment, highwall, or waste pile within the affected area. A geologic hazard is one of several types of adverse geologic conditions capable of causing damage or loss of property and life. The Applicant may also be required to provide a geotechnical evaluation of all geologic hazards, within or in the vicinity of the affected lands, which may be de-stabilized or exacerbated by mining or reclamation activities.
(2) On a site-specific basis, an Applicant shall be required to provide engineering stability analyses for proposed final reclaimed slopes, highwalls, waste piles, embankments, and ore leach facilities. An Applicant may also be required to provide engineering stability analyses for certain slope configurations as they will occur during operations, including, but not limited to, embankments and ore leach facilities. Information for slope stability analyses may include, but would not be limited to, slope angles and configurations, compaction and density, physical characteristics of earthen materials, pore pressure information, slope height, post-placement use of site, and information on structures or facilities that could be adversely affected by slope failure.
(3) Where there is the potential for off-site impacts due to failure of any geologic structure or constructed earthen facility, which may be caused by mining or reclamation activities, the Applicant shall demonstrate through appropriate geotechnical and stability analyses that off-site areas will be protected with appropriate factors of safety incorporated into the analysis. The minimum acceptable safety factors will be subject to approval by the Office, on a case-by- case basis, depending upon the degree of certainty of soil or rock strength determinations utilized in the stability analysis, depending upon the consequences associated with a potential failure, and depending upon the potential for seismic activity at each site.
(4) At sites where blasting is part of the proposed mining or reclamation plan, the Applicant shall demonstrate through appropriate blasting, vibration, geotechnical, and structural engineering analyses, that off-site areas will not be adversely affected by blasting.
6.6 SPECIFIC PERMIT APPLICATION EXHIBIT REQUIREMENTS – 110r
RECLAMATION-ONLY OPERATIONS The following exhibits are required for all applications for any 110r Reclamation-Only operations.
6.6.1 EXHIBIT A – Legal Description and Location Map
(1) A legal description must identify the affected land, specify affected areas and be adequate to field locate the property. This description shall include:
(a) township, range, and section, to at least the nearest quarter-quarter section;
(b) location of the main entrance to the mine site reported as latitude and longitude. Coordinates of latitude and longitude will be provided in degrees, minutes and seconds or in decimal degrees to an accuracy of at least five (5) decimal places (i.e., latitude 40.12345 N, longitude
(c) the nearest town, the distance and direction from the town to the mine, and elevation of the mine; and (d) where available, the street address or lot number(s) shall be given.
(2) A Location Map showing sufficient information to determine the location of the affected land. This map shall include existing and proposed roads, and access routes, to be used in connection with the mining operation. A standard U.S. Geological Survey topographic map or equivalent Google Earth Map is acceptable. The location of the proposed operation shall be shown and labeled with the mine site name.
6.6.2 EXHIBIT B – Site Description
Items (a)-(c) below must be addressed to the extent necessary to demonstrate compliance with the applicable performance standard requirements of Rule 3. At a minimum, the Operator/Applicant shall include the following information:
(a) a description of the vegetation and soil characteristics of the immediately adjacent undisturbed lands around the proposed operation. The local office of the Natural Resources Conservation Service (NRCS) may provide this information as well as recommendations for Exhibit D - Reclamation Plan;
(b) identify any permanent man-made and legacy structures within two hundred (200) feet of the affected area and the owner of each structure. Each structure should be located on Exhibit E - Map;
(c) a description of the water resources in the area of the proposed operation. Identify any streams, springs, lakes, stock water ponds, ditches, and reservoirs within the immediate vicinity that would stormwater drainage or sedimentation directly from the affected area. Provide any information, if readily available, from publications or monitoring data on flow rates, water table elevations and water quality conditions; and (d) a wildlife statement prepared by Colorado Parks and Wildlife (CPW) is required for 110r Reclamation-Only Operations. The Operator/Applicant must contact the local CPW representative to verify that no critical or important wildlife habitats or wildlife species will be impacted by the proposed operation.
6.6.3 EXHIBIT C – Mining Plan
The purpose of the mining plan is to describe how reclamation excavations will affect the permit area for the duration of the operation. This plan must be correlated to Exhibit E - Map. The description of the mining plan must be adequate to satisfy the requirements of Rule 3.1 and demonstrate compliance with Rule 3. At a minimum, the Operator/Applicant must include the following information:
(a) specify the estimated dates that mining will commence and end. All excavation and reclamation activities must be completed within 3 years from the proposed commencement date;
(b) the estimated depth to which soil, if any, suitable as a plant growth medium, will be salvaged for use in the reclamation process. If plant growth medium is not reapplied on a graded area within the same growing season, not to exceed 180 days, then the Operator/Applicant must specify how the topsoil will be stockpiled and stabilized with a vegetative cover or other means until used in reclamation. Plant growth medium stockpiles must be located separate from other stockpiles, out of the way of mine traffic and out of drainage ways. The location of plant growth medium stockpiles must be shown on Exhibit E - Map;
(c) specify the thickness and quantity of legacy waste rock pile to be removed. The location of any overburden stockpiles or waste rock fills not to be disturbed must be shown on Exhibit E- Map; Note: no excavation beyond placed legacy materials is permitted;
(d) describe the major components of the mining operation and identify the location of these on Exhibit E – Maps. Note: no pits, processing facilities, or disturbance of any legacy underground openings such as adits or ventilation facilities is permitted;
(e) specify the dimensions of any significant disturbances to the land surface such as legacy excavations, mine benches, impoundments, stockpiles, etc.;
(f) specify the dimensions of any existing or proposed roads that will be used for the operation. Describe any improvements necessary on existing roads. New or improved roads must be included as part of the affected lands and permitted acreage. Describe any associated drainage and runoff conveyance structures and include sufficient information to evaluate structure sizing;
(g) specify how much water will be used in conjunction with the operation and the source of this water. Note: water usage shall be limited to dust suppression only;
(h) describe how mining will affect the quantity and quality of the surface or groundwater and the methods to be used to minimize disturbance to the surface and groundwater systems including sediment-containment and storm water runoff controls and other best management practices;
(i) describe how toxic or acid-forming materials shall be handled and what measures will be implemented to prevent off-site damage and to prevent any unauthorized release of pollutants to the environment;
(j) a statement that no processing will occur on site. Note: processing includes crushing, washing, leaching, or milling;
(k) a statement that no explosives will be used in conjunction with the mining or reclamation operation; and (l) unless requested by the Applicant/Operator and approved by the Office, provide a statement that no petroleum products will be stored on-site.
6.6.4 EXHIBIT D – Reclamation Plan
(1) The purpose of the Reclamation Plan is to describe the timing, procedures, criteria and materials that will be used to reclaim the affected land to the proposed future land use. This plan must be correlated to Exhibit E - Map. The description of the Reclamation Plan must be adequate to satisfy the requirements of Rule 3.1 and demonstrate compliance with Rule 3. At a minimum, the Application shall include the following information:
(a) Specify the proposed future land use. Where wildlife habitat is the proposed future land use, Colorado Parks and Wildlife (CPW) must be consulted.
(b) Specify the maximum gradient of reclaimed slopes (horizontal: vertical). All efforts should be made to blend in the area with natural topography. If the Application proposes slopes steeper than 3H:1V, the Operator/Applicant must include a justification that supports steeper slopes for the proposed post mining land use and demonstrates compliance with the applicable performance standards of Rule 3.1.
(c) Specify the measures that will be taken to revegetate the site, if applicable, including:
(d) Specify which roads, if any, will remain after reclamation. Describe the intended use of these roads after reclamation and provide a discussion with how these are compatible with the proposed future land use. These features must be shown on the Exhibit E - Map.
(e) Describe what reclamation measures will be taken to prevent off-site sedimentation (i.e. sediment-containment controls and best management practices) and provide for a stable configuration consistent with the proposed future land use.
(2) Provide an estimate of the actual costs to reclaim the site based on what it would cost the State of Colorado using an independent contractor to complete reclamation. The unit costs should include estimates for the following activities as appropriate to the operation: backfilling, grading, topsoil application, seeding, mulching, fertilization, and labor to complete reclamation.
(a) After the direct costs noted above have been estimated, the Office may add up to an additional maximum twenty and one-half percent (20.5%) of that total, which includes private contract, typical overhead costs, and a standard contingency. This additional cost is required to cover indirect costs that an independent contractor would incur when performing reclamation of the site. Based on site-specific conditions and for good cause shown by the Office, the percentage of indirect costs may be adjusted above the rate identified above. Five percent (5%) additional cost shall also be added to cover Office administration cost in the event of bond forfeiture and permit revocation.
6.6.5 EXHIBIT E – Maps
(1) The Operator/Applicant must provide maps which meet the requirements of Rule 6.2.1(2) that clearly describes the features associated with the mining plan and the components of the Reclamation Plan. Include at least one (1) map for the mine plan and one (1) map for the Reclamation Plan. At a minimum, maps must include the following information:
(2) Mining Plan Map (a) outline and label the proposed permit boundaries, and provide latitude and longitude for each boundary corner as labels on the map or as a separate table; if available, the Operator/Applicant may also provide a digital file type, as determined by the Office, of the permit boundaries; for 110r Reclamation-Only Operations, the Office considers the area bounded by the permit boundary to be analogous to the affected area;
(b) label the names of owner(s) of record of the surface of the affected area and of the land within two hundred (200) feet of the affected area, identify the owner of the substance to be mined;
(c) outline and label all major surface features to be used in connection with the proposed operation such as: existing and proposed roads, topsoil stockpiles, and storm water runoff controls;
(d) indicate the direction that waste pile extraction will proceed;
(e) Show the owner's name, type of structures, and location of all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land. A narrative description must be provided in Exhibit B - Site Description; and (f) outline and label existing disturbance within and/or adjacent to the permit boundary (e.g., previously mined areas, roads or excavations resulting from utility construction). Re-disturbance of previously disturbed areas, by the proposed mining operation, must be included in the permit area and addressed in Exhibit D - Reclamation Plan.
(3) Reclamation Plan Map (a) show the gradient of all reclaimed slopes (horizontal: vertical) sufficient to describe the post mine topography and adjacent natural topography. Note: blending into the natural topography should be given high priority;
(b) indicate where vegetation will be established and the general area(s) for shrub or tree planting;
6.6.6 EXHIBIT F – List of Other Permits and Licenses Required
Provide a statement identifying which of the following permits, licenses and approvals the Applicant holds or will be sought in order to conduct the proposed mining and reclamation operations: effluent discharge permits, air quality emissions permits, radioactive source materials licenses, dredge and fill permits, permit to construct a dam, well permits, explosives permits, State Historic Preservation Office clearance, highway access permits, U.S. Forest Service permits, Bureau of Land Management permits, county zoning and land use permits, and city zoning and land use permits.
6.6.7 EXHIBIT G – Source of Legal Right to Enter
Provide documentation of the legal right to enter to conduct mining and reclamation for all Owners of Record of the surface of the affected land and the mineral rights of the substance to be mined. This may include a copy of a lease, deed, abstract of title, a current tax receipt, or a signed statement by the Landowner(s) and acknowledged by a Notary Public stating that the Operator/Applicant has legal right to enter to conduct mining and reclamation.
6.6.8 EXHIBIT H – Municipalities within a Two-mile Radius
List the mailing address and telephone number of the governing body for all municipalities within a two (2) mile radius of the proposed mining operation.
6.6.9 EXHIBIT I – Proof of Filing with County Clerk
An affidavit or e-receipt indicating the date on which the application was placed with the local County Clerk and Recorder for public review, pursuant to Rule 1.6.2(1)(c).
6.6.10 EXHIBIT J – Proof of Mailing of Notices
Proof that notices of the permit application were sent to the Environmental Protection Agency, Colorado Department of Public Health and Environment, Board of County Commissioners and, if the mining operation is within the boundaries of a Conservation District, to the Board of Supervisors of the local Conservation District, pursuant to Rule 1.6.2(1)(a)(ii).
6.6.11 EXHIBIT K – Identification of Receiving Facility
Provide the name, physical address, telephone number, and if applicable, Division issued permit number for the mill or facility receiving the legacy waste. Note: A 110r Reclamation-Only permit will not be issued for the removal and stockpiling of legacy waste to any location not licensed and permitted to receive the material for processing and milling.
6.6.12 EXHIBIT L – Permanent Man-Made Structures
(1) Provide a list of the owner's name and type of structure for all significant, valuable, and permanent man-made structures contained on the area of affected land and within two hundred (200) feet of the affected land.
(2) Where the affected lands are within two hundred (200) feet of any significant, valuable and permanent man-made structure, the applicant shall:
(a) provide a notarized or other legally acceptable agreement between the applicant and the person(s) having an interest in the structure, that the applicant is to provide compensation for any damage to the structure; or (b) where such an agreement cannot be reached, the applicant shall provide an appropriate engineering evaluation that demonstrates that such structure shall not be damaged by activities occurring at the mining operation; or (c) where such structure is a utility, the Applicant may supply a notarized letter, on utility letterhead, from the owner(s) of the utility that the mining and reclamation activities, as proposed, will have “no negative effect” on their utility.
(d) Legacy structures (such as adits, vent holes, stope subsidence, loadouts, etc.) shall be identified. Any removal of legacy waste must avoid disturbances to these types of features. The applicant must provide details on how these types of structures will be protected from harm. RULE 7: DESIGNATED MINING OPERATIONS
7.1 GENERAL PROVISIONS
7.1.1 Exemption from Rule
Mining operations that are 110r Reclamation-Only operations or are not Designated Mining Operations are exempt from this Rule 7, except as provided for in Rule 6.1, of these Rules.
7.1.2 Effective Date and Applicability of Rule
Except for uranium mining operations, the effective date of this Rule 7.1 and all of its Subsections is July 1, 1994 (Section 34-32-116.5(3)(B), C.R.S. 1984, as amended). Any Operator/Applicant may voluntarily choose to comply with any part, or all, of this Rule at any time prior to July 1, 1994. As to uranium mining operations, all existing and future uranium mining operations are by law designated mining operations. Therefore, the procedure to determine whether a mining operation constitutes a designated mining operation is not applicable to uranium mining operations and such operations are subject to all designated mining operation requirements and regulations. However, such operations may request an exemption from designated mining operation status as provided in Rule 7.2.6. If such exemption is granted, an in situ leach mining operator shall only be exempt from designated mining operation requirements; all in situ leach mining operation requirements shall continue to apply.
7.1.3 Compliance Requirements
(1) The submission of an Environmental Protection Plan in conformance with Rule 6 and this Rule 7, does not relieve an Operator/Applicant of compliance with any other applicable Rule of the Board.
(2) In addition to submitting the Reclamation Plan required by Section 34-32-116, C.R.S. 1984, as amended, in compliance with Rule 6, all Designated Mining Operations, as determined pursuant to this Rule 7 or if an operation is a uranium mining operation, shall submit to the Office an Environmental Protection Plan, the content of which is specified by Rule 6, for Office review and approval. As to uranium mining operations, a permit applicant must include an Environmental Protection Plan in the application unless such applicant requests and obtains an exemption pursuant to Rule 7.2.6 at the time of submitting the application.
7.1.4 Environmental Protection Plan Requirements
(1) The Environmental Protection Plan shall be submitted as an additional Exhibit to the application.
(2) All information supplied to comply with this Rule 7 shall be of a scale or nature that is compatible with all other Exhibits required in Rule 6.4.
7.2 DETERMINATION OF DESIGNATED MINING OPERATIONS
7.2.1 General Provisions
(1) The Office's determination of a Designated Mining Operation is based on the criteria described in the definition for Designated Mining Operation in Rule 1.1(21).
(2) For administrative purposes, such as Annual Fees and inspection schedules, the occurrence at a mine site of any activity that is a Designated Mining Operation activity will have the effect of making the entire mining operation a Designated Mining Operation, unless exempted under Rule 7.2.6.
(3) Such operations, so designated, must submit an Environmental Protection Plan as specified in Rule 6.4.21.
7.2.2 Notification of Designation or Pending Designation by Office
(1) Any time after the effective date of this Rule 7.2.2, the Office may notify an Operator of the Office's determination that an existing or proposed mining operation is, or has a reasonable potential to be, a Designated Mining Operation. The monthly Agenda shall Notice those operations for which the Office may have any pending Designated Mining Operation considerations, and upon a determination that an operation so considered, is or is not a Designated Mining Operation, the Office shall provide Notice in the next regular monthly agenda.
(2) The Office's notice to an Operator/Applicant of such a determination shall be accompanied by factual statements including a review of the permit application, approved permit application, proposed or existing metallurgical process, known site geology or geochemistry, and the most recent site inspection.
7.2.3 Operator/Applicant Concurs with Designation
(1) If an Operator, so notified, agrees with the Office that the existing operation is a Designated Mining Operation, the Operator shall notify the Office within thirty (30) Days of the date of the notice by mail, of the Operator's concurrence.
(2) Upon receipt of the Office notice, the Operator of an existing mining operation shall:
(a) within sixty (60) Days file a demonstration that the existing permit application for the operation contains the necessary elements of an Environmental Protection Plan, Rule 6.4.21. This showing by the Operator shall satisfy the applicable portions of Sections 34-32-116 and 116.5, C.R.S. 1984, as amended, and the applicable portions of Rules 3, 6 and 7. Upon notice that the existing permit application does not contain the elements of an Environmental Protection Plan, the Operator shall either:
(b) within one hundred and eighty (180) Days submit an Environmental Protection Plan to the Office; or (c) within thirty (30) Days request a period longer than one hundred and eighty (180) Days, not to exceed one (1) year, to file such plan based on a demonstration satisfactory to the Office that additional time is needed to prepare an Environmental Protection Plan.
(3) If an Operator/Applicant so notified agrees, the Operator/Applicant shall amend the application in accordance with Rule 7.2.
7.2.4 Designation Disputes
(1) If an Operator/Applicant so notified does not agree with the Office that the existing or proposed mining operation is a Designated Mining Operation, the Operator/Applicant shall appeal, in writing, to the Office within thirty (30) Days of the Office notice, setting forth the specific reasons for the Operator/Applicant’s disagreement. The Operator/Applicant’s appeal shall include all factual evidence to support its arguments.
(a) The Office shall meet with the Operator/Applicant as soon after the notification described in Rule 7.2.4(1) as possible to discuss the pending designation. If the Operator/Applicant does not satisfactorily demonstrate to the Office that the operation is not a Designated Mining Operation, the Office shall make a final determination that the operation is a Designated Mining Operation. The monthly Agenda shall Notice the final decision of the Office.
(b) The Operator/Applicant may appeal the Office’s determination to the Board within thirty (30) Days of the notification to the Operator/Applicant of such determination, and request a hearing before the Board on the designation by the Office pursuant to Rule 1.4.11. Burden of proof to reverse the Office’s determination shall be on the Operator/Applicant. Any person who demonstrates that they are directly and adversely affected or aggrieved by the Board’s determination and whose interest is entitled to legal protection under the Act may participate as a party in the appeal of the Office’s determination brought by the Operator/Applicant.
(2) If the Operator/Applicant appeals under Rule (1), above, the Office, after notice to the Operator/Applicant, shall schedule the matter for a Board Hearing.
(3) Any person who has relevant facts that were not known at the time of the initial Office determination that an operation is not a Designated Mining Operation, or where no such Office designation has occurred, may file a written complaint with the Office requesting a review of the operation to determine if it should be a designated mining operation. Based on the written request the Office may inspect the mining operation to determine Designated Mining Operation status. If the Office determines that the mining operation should be a designated Mining Operation, than the processes set forth in Rules 7.2.2., 7.2.3 and 7.2.4 shall apply.
7.2.5 Existing Permit – Adequate for an Environmental Protection Plan
(1) If an existing permit contains the necessary elements of an Environmental Protection Plan, the Office or the Board will deem the existing permit to be adequate to comply with the Environmental Protection Plan requirement, (Section 34-32-116.5(4)(a), C.R.S. 1984, as amended).
(2) The Office may require that the Operator provide an Environmental Protection Plan, as an Exhibit separate from the existing Reclamation Plan and clearly marked as the Environmental Protection Plan. New information may not be required, provided the Plan complies with Rule 6.4.21 and Rule 7. The Environmental Protection Plan submission shall reference appropriate portions of the existing permit application, but shall be clear and concise and shall adequately address those issues that the Environmental Protection Plan is to address.
(3) If there are no substantive changes to approved on-site activities, the Office review shall be considered a Technical Revision to the Permit for the purpose of processing the Operator's request.
7.2.6 Exemption from Designation
(1) If an Operator or Applicant demonstrates to the satisfaction of the Office or the Board, at the time of applying for a permit, or at a subsequent hearing, or after notification given pursuant to Rule 7.2.2 of this Rule, that designated chemicals will not be stored or used on-site for extractive metallurgical processing, toxic or acid-forming materials will not be exposed or disturbed in quantities sufficient to adversely affect human health, property or the environment; and that acid mine drainage, as defined in Rule 1, will not occur as a result of mining operations, the Board shall exempt such existing operations from the requirements of this Rule 7, which Rule implements Section 34-32-116.5, C.R.S. 1984, as amended.
(a) The operator of an existing designated mining operation may seek exemption from Designated Mining Operation status by filing an amendment application pursuant to Rule 1.10. The amendment application must include the legal and factual basis for requesting the exemption.
(2) Nothing in the Board Exemption shall exempt an Operator where site conditions or circumstances change, or are not as presented by the Operator in an application or at a Board Hearing on the proposed or existing activities. In addition, an exemption under this Rule from designated mining operation requirements does not exempt the operation from any other applicable requirements. For example, an exemption shall not exempt an in situ leach mining operation from the requirements pertaining to in situ leach mining operations including but not limited to those contained in Rules 3.1.3, 3.1.7 and 6.4. If an in situ leach mining operation is granted an exemption, it shall be referred to as a “110 ISL” operation or “112 ISL” operation (as applicable) rather than as a 112d operation.
7.2.7 Appeal of Determination
Any person who demonstrates that they are directly and adversely affected or aggrieved by the Office determination of designation or non-designation and where such person’s interest is entitled to legal protection under the Act may appeal the Office’s determination to the Board pursuant to Rule 1.4.11. The operator/applicant may be a party to the appeal.
7.2.8 Plan Inadequacy
If the Office subsequently finds that the approved Environmental Protection Plan is not adequate to comply with the Act and these Rules for protection of human health or property or the environment in conformance with the duties of Operators as prescribed by the Act, the Office may direct the Operator/Applicant to propose a revision to the previously approved Plan within a reasonable time. Provided the Operator is operating in compliance with the approved permit, this Office directive to propose a change shall be considered a “possible problem” and not a “possible violation”, unless the time period for submission of the revision is not met by the Operator.
7.2.9 Time Extension for Filing the Environmental Protection Plan
Any Operator not granted relief, upon appeal of a designation as a Designated Mining Operation, shall submit an Environmental Protection Plan to the Office within ninety (90) Days of issuance of the Board Order denying the appeal, unless granted additional time by the Board based on all the following:
(a) the good faith efforts of the Operator to achieve compliance;
(b) the complexity of the mining operation; and (c) a demonstration that harm would not occur to the human health, property or the environment if the additional time were granted.
7.3 ENVIRONMENTAL PROTECTION FACILITIES – DESIGN AND
CONSTRUCTION REQUIREMENTS
7.3.1 Construction
(1) Unless otherwise specified by the Office or Board, construction work shall be done in phases. No construction work shall begin on any subsequent phase of the facility without first obtaining Office acceptance.
(2) No liner of any kind shall be installed where climatic conditions are not within design or manufacture recommendations, and accepted by the Office.
(3) Such facilities shall be appropriately designed for their intended purpose and shall consider site specific conditions and on or off-site impacts to human health, property and the environment. Design capacities shall be sufficient to handle the design storm event for the area. The design storm event may be the two (2) year, 24-hour storm event up to the Probable Maximum Precipitation (PMP) event plus the ten (10) year, 24-hour storm event.
(4) It will be the responsibility of the Operator or Applicant to provide adequate Quality Assurance/Quality Control (QA/QC) or certification for any construction activities that are identified in the approved Environmental Protection Plan as specifically requiring QA/QC.
(5) No chemicals used in the extractive metallurgical process or toxic or acid-forming materials, uranium, uranium by-products or radionuclides shall be placed in constructed facilities until the Board or Office accepts the certification of the facility, or phase thereof, that precedes placement.
7.3.2 Construction – Acceptance of Certification
(1) Written acceptance of certification for facilities under this Rule, shall be a separate acceptance from the approval granted a permit application or permit modification.
(2) Unless otherwise required by the Office, the Operator or Applicant must provide a certified verification by a professional engineer or other appropriately qualified professional that will confirm that the facility was constructed in accordance with the approved design plan.
(3) The Office shall review and accept or reject all such certifications.
7.3.3 Cessation of Construction
(1) Barring an action by the Board, Cessation will only apply to the activities that are directly affected by the site-specific engineering step(s) that do not yet have certification.
(2) For any phase of certifiable inspection established pursuant to Rule 7.3.1 for which certification is not provided, as required in the permit, the Operator shall cease the construction of the environmental protection facility and will postpone the execution of subsequent phases of construction or operation until any required inspections have been performed and the requisite certification has been provided to and accepted by the Office.
(3) Cessation of construction shall not be deemed to apply to corrective construction actions nor shall it apply to construction of facilities that are designed, and that will serve, to correct the lack of certification.
(4) The Office has discretion to allow construction to proceed upon determination by the Office that proceeding is the best remedy.
7.4 FACILITY REVIEW, CERTIFICATION AND INSPECTION
7.4.1 General Provisions – Inspections and Certifications
(1) All construction work required to prepare a mine site facility to receive designated chemicals, toxic or acid-forming materials that produce acid mine drainage as defined in these Rules, shall be subject to the following:
(a) the frequency and scheduling of Office inspections shall be determined by the Office based on a review of the permit application and in consultation with the Operator/Applicant; and (b) the Office shall include a list of the required inspections in the approved permit.
(2) The Office may require the Operator to take corrective actions necessary to obtain and verify certification of a construction phase identified in the approved permit. The corrective actions so specified shall be those normally specified by a qualified professional.
7.4.2 Phased Construction Inspections
(1) The Office shall give inspections of phased facility construction priority over other inspections and shall conduct such inspections as soon as possible to:
(a) meet the agreed upon construction schedule;
(b) to protect, as necessary, structures or facilities; and (c) to facilitate orderly and efficient construction and operation.
(2) At a minimum, general inspection phases shall include the following, as applicable:
(a) foundation preparation inspection shall occur when the vegetation, topsoil and subsoil have been salvaged and the foundation has been configured, compacted to design specifications, and dressed to receive underdrain systems where required;
(b) earthen construction inspection shall occur at appropriate phases in the completion of any excavated slopes or embankment construction for facilities designed to hold or contain toxic or acid-forming materials or designated chemicals used in the extractive metallurgical process or acid mine drainage-forming materials;
(c) identification of all wet or seep areas;
(d) any areas of structural instability;
(e) under-drains or groundwater interceptor systems, after drain materials (including any piping and required filters) have been installed, but prior to covering of drains with soil;
(f) all phases of primary and secondary liner installation, including material processing, placement, and compaction of earthen materials, and placement and testing of any fabric seams and repairs;
(g) all leak detection systems, including bedding materials, piping, fluid collection and removal systems, and monitoring systems prior to covering with any material in such a manner to deny inspection access; and (h) the protective armor and drainage layers (including placement and compaction of armor and drainage material), prior to loading with ore, mining waste, or tailings.
7.4.3 Independent Reviews of Facility Design, Certification, and Inspections
(1) The Operator/Applicant may request, or the Board or Office may direct, that an Independent Reviewer conduct a review of facility design, certifications, and phased inspections of Environmental Protection Facilities or other technical designs as deemed necessary.
(2) Where such a request is made, the Operator/Applicant is responsible for all costs associated with the review, inspections and reports to the Office. The Operator or Applicant shall provide such reports to any person who was part of the formal hearing process.
(3) Where an Independent Reviewer is requested, the Operator or Applicant shall provide the Office a list of competent, private, Independent Reviewer candidates.
(a) The Office may choose or reject any or all Independent Reviewers based on their qualifications.
(b) The Office shall not be provided bid documents that specify the cost for requested services.
(c) The Independent Reviewer shall be a contractor to the Operator or Applicant, but shall be solely directed by the State of Colorado - Division of Reclamation, Mining and Safety - Office of Mined Land Reclamation.
(d) The Office shall have the responsibility of preparing that portion of the request for bid document that specifies the scope of work. The inspections and reviews shall be those identified in the Environmental Protection Plan.
(e) The Operator or Applicant shall have the responsibility of preparing the remaining sections of the request for bid document.
(f) The administration of the contract by the Office shall be through a Memorandum of Understanding between the Office and the Operator or Applicant.
(4) The Independent Reviewer shall be empowered to review and accept or reject quality assurance information generated by the QA/QC (Quality Assurance/Quality Control) entity, i.e., to perform Q/A on the QA/QC and certification (if generated) performed by the Operator's QA/QC representative.
(5) The Office or Board reserves the right to accept or reject the opinions of Independent Reviewers.
(6) The rejection of QA/QC based certifications by the Independent Reviewer shall be cause for requiring the Operator to undertake corrective action prior to continuing any additional construction activity on the facility being monitored that would jeopardize either the corrective action so specified or the planned purpose of the Environmental Protection Facility.
RULE 8: EMERGENCY NOTIFICATION BY ALL OPERATORS, EMERGENCY RESPONSE PLAN FOR DESIGNATED MINING OPERATIONS AND EMERGENCY RESPONSE AUTHORITY OF THE OFFICE
8.1 SITUATIONS THAT REQUIRE EMERGENCY NOTIFICATION BY THE
OPERATOR Operators shall notify the Office, as soon as reasonably practicable, but no later than twenty-four (24) hours, after the Operator has knowledge of a failure or imminent failure of any of the following:
(a) any impoundment, embankment, stockpile or slope that poses a reasonable potential for danger to human health, property or the environment;
(b) for a designated mining operation, any Environmental Protection Facility designed to contain or control designated chemicals or process solutions as identified in the permit;
(c) for in situ leach mining operations, any structure designed to prevent, minimize, or mitigate the adverse impacts to human health, wildlife, ground or surface water or the environment; and (d) for in situ leach mining operations, any structure designed to detect, prevent, minimize, or mitigate adverse impacts on groundwater.
8.2 OPERATOR'S GENERAL NOTIFICATION RESPONSIBILITIES FOR
REPORTING EMERGENCY CONDITIONS
8.2.1 Emergency Reporting Procedure
(1) Telephone notice shall be given to the Office staff as follows:
(a) during regular business hours (8:00 am to 5:00 pm, on Working Days), the notice shall be given to the Office via the Office’s main phone line at 303- 866-3567.
(b) outside regular business hours, or if the Office cannot be contacted, notice shall be given to the Colorado Department of Public Health and Environment 24 hour Colorado Emergency and Incident Reporting Line. Specify to this agency, that the emergency authority is coordinated through the Division of Reclamation, Mining and Safety, and to activate that Division's response network.
(2) After the telephone notice as required by Rule 8.2.1(1) is made, a follow-up electronic notice shall be submitted to the Office at drms_info@state.co.us .
8.2.2 Emergency Notification Information Required
Notice required pursuant to this Rule 8 shall contain the following information (to the extent known at the time of the notice, and so long as no delay occurs in reporting results):
(a) that this is notification of an emergency condition as required by Rule 8;
(b) the nature of the condition including any chemicals and toxic or acid- forming materials involved;
(c) an estimate of the quantity of any chemical, toxic or acid-forming material that has been or could be released;
(d) the time and duration of the occurrence and if it is on-going, or urgency of the pending situation;
(e) any known or anticipated impacts to human health, property or the environment;
(f) precautions and corrective actions taken by the Operator; and (g) the Operator's name(s) and contact number(s) for persons to be contacted for further information and response by the Office.
8.2.3 Follow-up Notice Requirements
As soon as practicable after an emergency situation or condition is reported and addressed, but no later than five (5) Working Days, the Operator shall provide a written report of the event to the Office. The report shall provide a description of:
(a) actions taken to respond to and correct the emergency situation or condition;
(b) any known or anticipated adverse impacts to human health, property or the environment;
(c) name(s), address(s), telephone numbers and e-mail address of the Operator's contact person for additional information and follow-up by the Office;
(d) monitoring and analyses that are necessary to evaluate the situation and corrective actions, copies of all pertinent data; and (e) results of the Operator's investigation to assess the conditions or circumstances that created the emergency situation, and what corrective or protective measures will be taken to prevent a similar event from occurring in the future.
8.3 EMERGENCY RESPONSE PLAN FOR DESIGNATED CHEMICALS AND
URANIUM OR URANIUM BY-PRODUCTS In compliance with Rule 6.4.21, describing the purpose of an Environmental Protection Plan, Operators/Applicants of Designated Mining Operations shall be required to have on file with the Office an up-to-date Emergency Response Plan for designated chemicals. It shall be the Operator's/Applicant's sole responsibility to provide timely updates of responsible personnel and their phone numbers to the Office.
8.3.1 Non-Designated Mining Operations Exempted
Operations that do not involve uranium mining or that do not have or will not use designated chemicals, as defined in Rule 1.1(20), are specifically exempted from the requirements of this Rule 8.3.
8.3.2 Minimum Requirements – Submitting Other Agency Plans
Operators/Applicants that are required to submit an Emergency Response Plan, may submit all or portions of a plan required by another state, local or federal agency that has been required of the Operator if it substantially conforms to the following minimum requirements:
(a) designation of personnel, such as mine manager, shift foreman or safety officer, who will be on site and in charge in case of an emergency. Also, a minimum of two (2) key response individuals, with up-to-date phone numbers, who can be contacted by the Office on a 24-hour basis;
(b) an outline of response procedures to be followed by mine or plant personnel in the event of an emergency involving designated chemicals, toxic or acid-forming materials, or uranium or uranium by-products;
(c) a list of designated chemicals and maximum quantities to be stored or used on site at any one time;
(d) a list and location map of materials, supplies and equipment stored on the property and readily available for containing, controlling and cleaning up excursions or releases of designated chemicals.
8.3.3 Post-Emergency Event Monitoring Plan
The Office may require the Operator to provide a post-emergency event monitoring and analysis plan, specific to an emergency, in addition to Board Ordered Corrective Action requirements.
8.4 EMERGENCY RESPONSE AUTHORITY OF THE OFFICE
8.4.1 Responsibilities of the Office
The Office may:
(a) establish an Emergency Response Team, which may include other Offices and Agencies;
(b) enter properties to take necessary emergency, safeguarding and corrective measures;
(c) after consultation with, and authorization from the Office, issue a written cease and desist order for the activity(ies) suspected of causing the emergency situation;
(d) apply to a district court for a temporary restraining order, temporary injunction, or permanent injunction to require cessation of the activity(ies) determined to be causing the emergency situation.
(e) as to Designated Mining Operations, operate the Environmental Protection Facility utilizing any or all portions of the Financial Warranty established for such purpose. Such funds shall be available for the state to operate any portion of the Environmental Protection Facilities, or other facilities as may be necessary, to terminate an emergency as defined by these Rules. In responding to an emergency, the Board or Office will first use funds available as appropriate from the Emergency Response Cash Fund prior to utilizing any or all portions of the Permittee's Financial Warranty.
8.4.2 Office's Determination that an Emergency Exists
The Office may exercise its emergency authority to respond to situations at mining or mineral processing facilities. The determination may be based upon the following:
(a) the Operator, or another person fails or refuses to stop engaging in any activity not permitted by, or which constitutes a possible violation of the Act, the Rules or permit conditions, and which is presenting an unwarranted risk of serious harm to human health, property or the environment;
(b) the Operator or another person, fails or refuses to take corrective actions necessary to contain, control, safeguard, or manage an emergency situation;
(c) an Operator fails or refuses to respond to a Board Order requiring corrective actions for:
8.5 SPECIFIC RESPONSE AUTHORITY RELATED TO EMERGENCY
SITUATIONS INVOLVING PHYSICAL MINE HAZARDS After notification to the Operator, owner or other responsible person, or if a responsible person cannot readily be identified or located, the Board or Office may direct or authorize the Office of Active and Inactive Mines to respond to emergency situations in which physical mine hazards are involved. Physical mine hazards may include, but are not limited to:
(a) failure or refusal to safeguard or maintain safeguarding of shafts, adits, portals, escapements, stopes opened to surface and subsidence areas;
(b) failure or refusal to safeguard or maintain safeguarding in a manner specified by the Office of Active and Inactive Mines in:
8.6 FOLLOW-UP MONITORING AND REPORTING REQUIREMENTS
The Board or Office may require that a post-emergency situation inspection or monitoring program be performed to evaluate any possible adverse impacts, and to ensure that the corrective actions taken are sufficient to address the circumstances creating the initial emergency situation.
8.7 EMERGENCY RESPONSE FUNDING
8.7.1 Cash Fund and Purpose
(1) The Board may transmit grants, donations, and other contributions to the State Treasurer for placement in the Executive Director's Emergency Response Cash Fund.
(2) This fund shall be accessible to the Executive Director for the following purposes:
(a) to conduct emergency response activities at permitted or illegal mining or illegal mineral processing operations; and (b) to conduct emergency prevention, containment, control, safeguarding or reclamation activities at permitted or illegal mining or mineral processing facilities.
8.7.2 Public Contributions, Donations and Grants
The Board, Office or other interested persons may pursue and accept grants and contributions for inclusion in the Executive Director's Emergency Response Cash Fund.
8.8 EMERGENCY RESPONSE COST RECOVERY
The Executive Director may seek recovery of costs expended in carrying out the provisions of this Rule 8. The State shall bear the burden of proof for any violations or cost recovery actions brought against a party(ies) identified in this Rule 8.8. Recovery may be sought for funds expended from the cash fund from any and all of the following:
(a) the Permittee;
(b) the Operator, if different from the Permittee, conducting activities or allowing activities that caused the emergency situation; or (c) the person controlling or owning the operation.
RULE 9: CHANGE OF NAME – LEGAL EFFECT Any statute enacted prior to or on August 9, 2006 changing the name of the Division of Minerals and Geology to the Division of Reclamation, Mining and Safety, shall not impair the legal status or effect of any and all permits, permit obligations, financial warranties, performance warranties, contracts, property rights and/or any other obligations or legal relationships that were entered into between any entity or individual and the Division of Minerals and Geology prior to the name change. All such obligations will remain legally binding and shall not be impaired by any such name change. Any statute enacted after August 9, 2006 changing the name of the Division of Reclamation, Mining and Safety to any other name, shall not impair the legal status or effect of any and all permits, permit obligations, financial warranties, performance warranties, contracts, property rights and/or any other obligations or legal relationships that were entered into between an entity or individual and the Division of Reclamation, Mining and Safety prior to such name change. All such obligations will remain legally binding and shall not be impaired by any such name change.
STATEMENTS OF BASIS AND PURPOSE (1) Statement of Basis and Purpose for Rulemaking of March 22, 2019 Basis and Purpose:
I. Statutory Authority These modifications to the Rules are made pursuant to the authority granted to the Mined Land Reclamation Board in Sections 34-32-104, 34-32-105(3), 34-32-106(1)(b), and 34-32-108(1) C.R.S.
The specific authority for these rules is provided in Section 34-32-108(1), C.R.S. -- “The Board may adopt and promulgate reasonable rules and regulations respecting the administration of this article and article 32.5 of this title and in conformity therewith.” II. Purpose of Revising the Rules The primary purpose of the amendments include the deletion of the custom milling definition and exemption, clarifying and amending certain portions of the existing rules including the size of the required posted sign, an estimated completion date for Notices of Intent to Conduct Prospecting Activities, and general editorial clean up. Regulatory Additions and Amendments:
I. Deleted Definition of Custom Mill:
Deleted Rule 1.1(12) Definition – Custom Mill is a mill that is not engaged in the processing of ore from any permitted mine that is owned or under common control with the milling facility or the entity operating the milling facility. An Applicant or Operator who intends to mill ores from other mining operations must submit adequate information to demonstrate that waste (material or stream) from such ores will be processed or disposed of in a manner to protect human health, property and the environment. “Custom Mill” does not include mills regulated by the Radiation Control Division of the Colorado Department of Public Health and the Environment under Part 18 of Rules and Regulations Pertaining to Radiation Control.
Deleted Rule 1.2.1 Reclamation Permit Exemption Specified by Rule – The Board has determined that certain types of activities do not need reclamation permits either because the excavated substance is not a mineral as defined in Section 34-32-103(7), Colorado Revised Statutes 1984, as amended or because the activity is not a mining operation as defined by Section 34-32-103(8), C.R.S. 1984, as amended. Such activities include the following: (e) a custom mill.
II. Scope and Applicability of Deletion of Custom Mill Definition and Permit Exemption The statutory definition of “Mining Operation” in the Colorado Mined Land Reclamation Act (“Act”) includes the following operations on affected lands: Transportation; concentrating; milling; evaporation; and other processing. § 34- 32-103(8), C.R.S. “Custom Mill” is not defined or even mentioned in the Act. After several discussions with the Colorado Department of Public Health and the Environment, Hazardous Materials and Waste Management Division (HMWMD), the Division of Reclamation Mining and Safety (“Division”) determined that the regulatory definition of Custom Mill was causing unnecessary confusion over jurisdiction and authority and that CDPHE was not actively regulating “custom mills.”
An updated and revised Memorandum of Understanding (“MOU”) between HMWMD and the Division was executed in June of 2017. The revised MOU states: 1) Any person engaged in a mining operation shall obtain a MLRB permit. If mining operations include milling of ore or waste rock from a mining operation(s) subject to the provisions of the Act, then a Designated Mining Operation Reclamation Permit shall be obtained; and 2) Milling pursuant to a MLRB permit does not require a Certification of Designation from HMWMD pursuant to Section 30-20-102(4), C.R.S. Mining operations disposing of their own waste under a “Colorado Mined Land Reclamation Act” permit will be regulated solely by DRMS.
III. The definition of “Off-site” in Rule 1.1(44) was amended for clarity.
IV. Statutory language was added to Rule 1.5.6.
V. In response to public feedback, language regarding the size of signs was added to Rule 1.6.2 in order to ensure that permit application notices are visible to the public.
VI. Rule 1.10 AMENDMENT TO A PERMIT was amended to allow for electronic submittals and reduce the amount of paperwork submitted.
VII. Language was added to Rule 1.16 regarding property leases and the need for operators to notify the Office when leases that affect legal right of entry are changed.
VIII. In response to past issues, the Division added language to Rule 3.1.3 Time Limit and Phased Reclamation to insure timely reclamation of sites.
IX. Language was added to Rule 3.1.11 Buildings and Structures to provide clarity to operators.
X. In response to public feedback, language further clarifying Rule 3.1.12 Signs and Markers was added regarding the size of signs.
XI. Language was added to Rule 6.3.3(g) EXHIBIT C – Mining Plan that mirrors the statutory definition of “affected lands.”
XII. Rule 6.3.7 EXHIBIT G – Source of Legal Right-to-Enter was edited for clarity. XIII. Language was added to Rule 6.4.4(j) EXHIBIT D – Mining Plan that includes the statutory definition of “affected lands.”
XIV. Language was moved from Rule 7.2.10 and 7.2.11 to Rule 4.17.4 Specific Provisions – Designated Mining Operations, to provide clarity to operators. The language previously found in Rule 4.17.4 was subsequently eliminated. Stakeholder Involvement in the Process The following describes the Division’s effort to work with and reach out to stakeholders:
I. Extent of Agency Consultation with Operators, Consultants, Environmental Organizations, and Government Representatives The Division utilized various methods to inform individual industry representatives, industry trade associations, environmental organizations, federal government agencies, and the general public of the proposed regulatory revisions and rule-making process. These methods included:
1. Posting a Stakeholder Process Notification Request Form on the Division’s website to notify stakeholders of upcoming stakeholder meetings;
2. Posting of all proposed Rules and related documents on the Division’s website;
3. Posting of all Pre-hearing and Rule-making hearing dates on the Division’s website;
4. The Division hosted 2 informal stakeholder meetings in both Grand Junction (2/7/19) and Denver (2/14/19).
The Mined Land Reclamation Board adopted amendments based on stakeholder input and testimony at the scheduled rule-making hearing on May 22, 2019. Editor’s Notes History Entire rule eff. 09/30/2010.
Rules 1.1, 1.4.1(5)(b), 1.4.1(5)(e), 1.4.2, 1.4.6, 2.5.2(1), 4.2.2, 6.3, 6.3.2(a) eff. 03/30/2015. Rule 1.11.3 repealed eff. 03/30/2015.
Entire rule eff. 07/15/2019.
Entire rule eff. 07/15/2022.
Entire rule eff. 04/14/2026.