5 CCR 1001-8
Regulation No. 6 – Chronology (from 1992)
PART A – ADOPTION BY REFERENCE FEDERAL NEW SOURCE PERFORMANCE STANDARDS Section Revised Adoption Effective NSPS annual update August 20, 1992 September 30,1992 NSPS annual update August 19, 1993 October 30, 1993 NSPS annual update May 18, 1995 July 30, 1995 NSPS annual update June 20, 1996 August 30, 1996 NSPS for Landfills February 20, 1997 April 30, 1997 NSPS annual update July 17, 1997 September 30, 1997 NSPS annual update July 17, 1998 September 30, 1998 NSPS update November 18, 1999 January 31, 2000 NSPS update February 21, 2002 March 31, 2002 NSPS update July 15, 2004 September 30, 2004 PART B – SPECIFIC FACILITIES AND SOURCES NON-FEDERAL NSPS Section Revised Adoption Effective Section VI September 21, 1995 November 30, 1995 Section II.C.3.a. December 23, 1996 (See note in Regulation) Section II.C.3.a. February 21, 2002 March 31, 2002 Part A Federal Register Regulations Adopted by Reference The regulations promulgated by the United States Environmental Protection Agency listed below, found in Part 60, Chapter I, Title 40, of the Code of Federal Regulations (CFR) and in effect as of the dates indicated, but not including later amendments, were adopted by the Colorado Air Quality Control Commission and are hereby incorporated by reference. Copies of the material incorporated by reference are available for public inspection during regular business hours at the Office of the Commission, located at 4300 Cherry Creek Drive South, Denver, Colorado 80222-1530, or may be examined at any state publications depository library. Parties wishing to inspect these materials should contact the Technical Secretary of the Commission, located at the Office of the Commission. All new sources of air pollution and all modified or reconstructed sources of air pollution shall comply with the standards, criteria, and requirements set forth herein. For the purpose of this regulation, the word "Administrator" as used in Part 60, Chapter I, Title 40, of the CFR shall mean the Colorado Air Pollution Control Division, except that in the sections in Table 1, "Administrator" shall mean both the Administrator of the Environmental Protection Agency or his authorized representative and the Colorado Air Pollution Control Division. (Other deviations from these federal standards, as presented in the CFR and which were ordered by the Colorado Air Quality Control Commission, are noted in the affected Subpart, and included in Part B of this Regulation.)
TABLE 1 40 CFR Part 60 Subpart* Section(s)
A 60.8 (b)(2) and (b)(3) and those sections throughout the standards that reference 60.8(b)(2) and (b)(3),60.11 (b) and (e).
Da 60.45a.
Ka 60.114a.
Kb 60.111b(f)(4), 60.114b, 60.116b (e)(3)(iii) and (e)
S 60.195(b).
DD 60.302(d)(3).
GG 60.332(a)(3), 60.335(a).
VV 60.482-1(c)(2), 60.484.
WW 60.493(b)(2)(i)(A), 60.496(a)(1).
XX 60.502(e)(6).
GGG 60.592(c).
JJJ 60.623.
KKK 60.634.
*And any other section which 40 CFR Part 60 specifically states will not be delegated to the States. Subpart A General Provisions 40 CFR Part 60 (July 1, 2005), and as amended on December 15, 2005 (70 FR 74679).
See Part B Section I.B. and I.C. of this Regulation Number 6 for Additional Requirements Regarding Modifications)
Subpart Cb Emission Guidelines and Compliance Times for Existing Sources: Municipal Waste Combustors That Are Constructed On or Before September 20, 1994. 40 CFR Part 60 (July 1, 2005).
Subpart Cc Emission Guidelines and Compliance Times for Municipal Solid Waste Landfills. 40 CFR Part 60 (July 1, 2005).
In addition for clarification regarding requirements applicable to existing municipal solid waste landfills, designated facilities as defined in 40 CFR 60.32c which meet the condition in 40 CFR 60.33c(a)(1) shall submit to the Division an initial design capacity report and an initial emission rate report in accordance with 40 CFR 60.757 within 90 days of the effective date of this regulation. If the design capacity report reflects that the facility meets the condition in 40 CFR 60.33c(a)(2) and the initial NMOC emission rate report reflects that the facility meets the condition in 40 CFR 60.33c(a)(3), the facility shall comply with the collection and control system requirements in 40 CFR 60.752(b)(2)(ii), applicable control device requirements in 40 CFR 60.33c(c)(1), (2) and (3), test methods and procedures requirements in 40 CFR 60.754, operational standards in 40 CFR 60.753, compliance provisions in 40 CFR 60.755, monitoring provisions in 40 CFR 60.756 and reporting and recordkeeping provisions in 40 CFR 60.757 and 60.758, respectively. Such facilities must complete installation of air emission collection and control equipment capable of meeting the requirements of this subpart no later than 30 months from the effective date of these requirements or the date on which the source becomes subject to this subpart pursuant to 40 CFR 60.36c(b) (the date on which the condition in 60.33c(a)(3) is met (i.e., the date of the first annual report in which the nonmethane organic compounds emission rate equals or exceeds 50 megagrams per year)), whichever occurs later. These facilities must submit a final collection and control system design plan pursuant to 40 CFR 60.757(c) within one year of the effective date of these requirements, which must be reviewed and approved by the state. The final collection and control system design plan must specify: (1) the date by which contracts for control systems/process modifications shall be awarded, (which shall be no later than 20 months after the effective date); (2) the date by which on-site construction or installation of the air pollution control device(s) or process changes will begin, (which shall be no later than 24 months after the effective date); and (3) the date by which the construction or installation of the air pollution control device(s) or process changes will be complete (which shall be no later than 30 months after the effective date). In addition, the plan shall include site-specific design plans for the gas collection and control system(s). These facilities shall comply with the approved final collection and control system design plan and shall demonstrate compliance with these emission standards in accordance with 40 CFR 60.8 not later than 180 days following initial startup of the collection and control system. The Commission designates the effective date for these requirements applicable to designated facilities, including the state emission standard for existing municipal solid waste landfills, as the date on which the United States Environmental Protection Agency promulgates a final rule approving the state plan under section 111(d) of the Clean Air Act.
Subpart Ce Emission Guidelines and Compliance Times for Hospital/Medical/Infectious Waste Incinerators. 40 CFR Part 60, subpart Ce, 40 CFR Part 60 (July 1, 2005) Paragraphs 60.31e, 60.32e, 60.33e, 60.34e, 60.35e, 60.36e, 60.37e, 60.38e, 60.39e. The Commission designates the effective date for these requirements applicable to designated facilities as the date on which the United States Environmental Protection Agency promulgates a final rule approving the state plan (which can be obtained from the Air Quality Control Commission office) under section 111(d) of the Clean Air Act. Designated facilities shall comply with all requirements of this Subpart Ce on or before one year from the effective date for these requirements.
Subpart D Standards of Performance for Fossil-Fuel-Fired Steam Generators for which Construction is Commenced after August 17, 1971. 40 CFR Part 60 (July 1, 2005). Subpart Da Standards of Performance for Electric Utility Steam Generators for which Construction is Commenced after September 18, 1978. 40 CFR Part 60 (July 1, 2005) and as amended on August 30, 2005 (70 FR 51266) and February 27, 2006 (71 FR 9867). Subpart Db Standards of Performance for Industrial-Commercial-Institutional Steam Generating Units. 40 CFR Part 60 (July 1, 2005) and as amended on February 27, 2006 (71 FR 9867). (See Part B, Section III.D. of this Regulation Number 6 for Additional Requirements) Subpart Dc Standards of Performance for Small Industrial-Commercial- Institutional Steam Generating Units. 40 CFR Part 60 (July 1, 2005) and as amended on December 16, 2005 (70 FR 74679) and February 27, 2006 (71 FR 9867).
Subpart E Standards of Performance for Incinerators. 40 CFR Part 60 (July 1, 2005. (See Part B, Sections V, VI and VII of this Regulation No. 6 for Additional Requirements). Subpart Ea Standards of Performance for Municipal Waste Combustors For Which Construction Is Commenced After December 20, 1989 and On or Before September 20, 1994. 40 CFR Part 60 (July 1, 2005).
Subpart Eb Standards of Performance for Municipal Waste Combustors For Which Construction Is Commenced After September 20, 1994. 40 CFR Part 60 (July 1, 2005). (See Part B, Section VI of this Regulation No. 6 for Additional Requirements) Subpart Ec Standards of Performance for Hospital/Medical/Infectious Waste Incinerators for Which Construction is Commenced After June 20, 1996. 40 CFR Part 60, Subpart Ec, 40 CFR Part 60 (July 1, 2005).
(See Part B, Section V of this Regulation No. 6 for Additional Requirements) Subpart F Standards of Performance for Portland Cement Plants. 40 CFR Part 60 (July 1, 2005). Subpart G Standards of Performance for Nitric Acid Plants. 40 CFR Part 60 (July 1, 2005). Subpart H Standards of Performance for Sulfuric Acid Plants. 40 CFR Part 60 (July 1, 2005). Subpart I Standards of Performance for Hot Mix Asphalt Facilities. 40 CFR Part 60 (July 1, 2005). Subpart J Standards of Performance for Petroleum Refineries. 40 CFR Part 60 (July 1, 2005). Subpart K Standards of Performance for Storage Vessels for Petroleum Liquids Constructed after June 11, 1973 and prior to May 19, 1978. 40 CFR Part 60 (July 1, 2005). Subpart Ka Standards of Performance for Storage Vessels for Petroleum Liquids Constructed after May 18, 1978, and prior to July 23, 1984. 40 CFR Part 60 (July 1, 2005). Subpart Kb Standards of Performance for Volatile Organic Liquid Storage Vessels (Including Petroleum Liquid Storage Vessels) for which Construction, Reconstruction, or Modification Commenced after July 23, 1984. 40 CFR Part 60 (July 1, 2005.
Subpart L Standards of Performance for Secondary Lead Smelters. 40 CFR Part 60 (July 1, 2005). Subpart M Standards of Performance for Secondary Brass and Bronze Production Plants. 40 CFR Part 60 (July 1, 2005).
Subpart N Standards of Performance for Iron and Steel Plants. 40 CFR Part 60 (July 1, 2005). Subpart Na Standards of Performance for Basic Oxygen Process Furnaces. 40 CFR Part 60 (July 1, 2005).
Subpart O Standards of Performance for Sewage Treatment Plants. 40 CFR Part 60 (July 1, 2005). Subpart P Standards of Performance for Primary Copper Smelters. 40 CFR Part 60 (July 1, 2005). Subpart Q Standards of Performance for Primary Zinc Smelters. 40 CFR Part 60 (July 1, 2005). Subpart R Standards of Performance for Primary Lead Smelters. 40 CFR Part 60 (July 1, 2005). Subpart S Standards of Performance for Primary Aluminum Reduction Plants. 40 CFR Part 60 (July 1, 2005).
Subpart T Standards of Performance for the Phosphate Fertilizer Industry: Wet-Process Phosphoric Acid Plants. 40 CFR Part 60 (July 1, 2005).
Subpart U Standards of Performance for the Phosphate Fertilizer Industry: Superphosphoric Acid Plants. 40 CFR Part 60 (July 1, 2005).
Subpart V Standards of Performance for the Phosphate Fertilizer Industry: Diammonium Phosphate Plants. 40 CFR Part 60 (July 1, 2005).
Subpart W Standards of Performance for the Phosphate Fertilizer Industry: Triple Superphosphate Plants. 40 CFR Part 60 (July 1, 2005).
Subpart X Standards of Performance for the Phosphate Fertilizer Industry: Granular Triple Superphosphate Storage Facilities. 40 CFR Part 60 (July 1, 2005). Subpart Y Standards of Performance for Coal Preparation Plants. 40 CFR Part 60 (July 1, 2005). Subpart Z Standards of Performance for Ferroalloy Production Facilities. 40 CFR Part 60 (July 1, 2005). Subpart AA Standards of Performance for Steel Plants: Electric Arc Furnaces Constructed after October 21, 1974, and on or before August 17, 1983. 40 CFR Part 60 (July 1, 2005). Subpart AAa Standards of Performance for Steel Plants: Electric Arc Furnaces and Argon-Oxygen Decarburization Vessels Constructed after August 17, 1983. 40 CFR Part 60 (July 1, 2005). Subpart BB Standards of Performance for Kraft Pulp Mills. 40 CFR Part 60 (July 1, 2005). Subpart CC Standards of Performance for Glass Manufacturing Plants. 40 CFR Part 60 (July 1, 2005). Subpart DD Standards of Performance for Grain Elevators. 40 CFR Part 60 (July 1, 2005). Subpart EE Standards of Performance for Surface Coating of Metal Furniture. 40 CFR Part 60 (July 1, 2005).
Subpart GG Standards of Performance for Stationary Gas Turbines. 40 CFR Part 60 (July 1, 2005). Subpart HH Standards of Performance for Lime Manufacturing Plants. 40 CFR Part 60 (July 1, 2005). Subpart KK Standards of Performance for Lead-Acid Battery Manufacturing Plants. 40 CFR Part 60 (July 1, 2005).
Subpart LL Standards of Performance for Metallic Mineral Processing Plants. 40 CFR Part 60 (July 1, 2005).
Subpart MM Standards of Performance for Automobile and Light-Duty Truck Surface Coating Operations. 40 CFR Part 60 (July 1, 2005).
Subpart NN Standards of Performance for Phosphate Rock Plants. 40 CFR Part 60 (July 1, 2005). Subpart PP Standards of Performance for Ammonium Sulfate Manufacture. 40 CFR Part 60 (July 1, 2005).
Subpart QQ Standards of Performance for the Graphic Arts Industry: Publication Rotogravure Printing. 40 CFR Part 60 (July 1, 2005).
Subpart RR Standards of Performance for Pressure Sensitive Tape and Label Surface Coating Operations. 40 CFR Part 60 (July 1, 2005).
Subpart SS Standards of Performance for Industrial Surface Coating: Large Appliances. 40 CFR Part 60 (July 1, 2005).
Subpart TT Standards of Performance for Metal Coil Surface Coating. 40 CFR Part 60 (July 1, 2005). Subpart UU Standards of Performance for Asphalt Processing and Asphalt Roofing Manufacture. 40 CFR Part 60 (July 1, 2005).
Subpart VV Standards of Performance for Equipment Leaks of VOC in the Synthetic Organic Chemicals Manufacturing Industry. 40 CFR Part 60 (July 1, 2005).
Subpart WW Standards of Performance for the Beverage Can Surface Coating Industry. 40 CFR Part 60 (July 1, 2005).
Subpart XX Standards of Performance for Bulk Gasoline Terminals. 40 CFR Part 60 (July 1, 2005). Subpart BBB Standards of Performance for the Rubber Tire Manufacturing Industry. 40 CFR Part 60 (July 1, 2005).
Subpart DDD Standards of Performance for Volatile Organic Compound (VOC) Emissions from the Polymer Manufacturing Industry. 40 CFR Part 60 (July 12005). Subpart FFF Standards of Performance for Flexible Vinyl and Urethane Coating and Printing. 40 CFR Part 60 (July 1, 2005).
Subpart GGG Standards of Performance for Equipment Leaks of VOC in Petroleum Refineries. 40 CFR Part 60 (July 1, 2005).
Subpart HHH Standards of Performance for Synthetic Fiber Production Facilities. 40 CFR Part 60 (July 1, 2005).
Subpart III Standards of Performance for Volatile Organic Compound (VOC) Emissions From Synthetic Organic Chemical Manufacturing Industry (SOCMI) Air Oxidation Unit Processes (July 1, 2005). Subpart JJJ Standards of Performance for Petroleum Dry Cleaners. 40 CFR Part 60 (July 1, 2005). Subpart KKK Standards of Performance for Equipment Leaks of VOC from Onshore Natural Gas Processing Plants. 40 CFR Part 60 (July 1, 2005).
Subpart LLL Standards of Performance for Onshore Natural Gas Processing: SO2 Emissions. 40 CFR Part 60 (July 1, 2005).
Subpart NNN Standards of Performance for Volatile Organic Compound Emissions from Synthetic Organic Chemical Manufacturing Industry Distillation Operations. 40 CFR Part 60 (July 1, 2005). Subpart OOO Standards of Performance for Nonmetallic Mineral Processing Plants. 40 CFR Part 60 (July 1, 2005).
Subpart PPP Standards of Performance for Wool Fiberglass Insulation Manufacturing Plants. 40 CFR Part 60 (July 1, 2005).
Subpart QQQ Standards of Performance for VOC Emissions from Petroleum Refinery Wastewater Systems. 40 CFR Part 60 (July 1, 2005).
Subpart RRR Standards of Performance for Volatile Organic Compounds (VOC) Emissions from Synthetic Organic Chemical Manufacturing Industry (SOCMI) Reactor Processes. 40 CFR Part 60 (July 1, 2005).
Subpart SSS Standards of Performance for the Magnetic Tape Manufacturing Industry. 40 CFR Part 60 (July 1, 2005).
Subpart TTT Standards of Performance for Industrial Surface Coating of Plastic Parts for Business Machines. 40 CFR Part 60 (July 1, 2005).
Subpart UUU Standards of Performance for Calciners and Dryers in Mineral Industries. 40 CFR Part 60 (July 1,2005).
Subpart VVV Standards of Performance for Polymeric Coating of Supporting Substrates. 40 CFR Part 60 (July 1, 2005).
Subpart WWW Standards of Performance for Municipal Solid Waste Landfills. 40 CFR Part 60 (July 1, 2005).
Subpart AAAA Standards of Performance for Small Municipal Waste Combustion Units for which Construction is Commenced after August 30, 1999 or for which Modification or Reconstruction is Commenced after June 6 2001. 40 CFR Part 60 (July 1, 2005). Subpart CCCC Standards of Performance for Commercial and Industrial Solid Waste Incineration Units for which Construction is Commenced after November 30, 1999 or for which Modification or Reconstruction is Commenced on or after June 1, 2001. 40 CFR Part 60 (July 1, 2005). Subpart EEEE Standards of Performance for Other Solid Waste Incineration Units for which Construction is Commenced after December 9, 2004 or for which Modification or Reconstruction is Commenced on or after June 16, 2006. 40 CFR Part 60 (December 16, 2005, 70 FR 74870). APPENDIX A Test Methods. 40 CFR Part 60 (July 1, 2005). APPENDIX B Performance Specifications. 40 CFR Part 60 (July 1, 2005). APPENDIX C Determination of Emission Rate Change. 40 CFR Part 60 (July 1, 2005). APPENDIX D Required Emission Inventory Information. 40 CFR Part 60 (July 1, 2005). APPENDIX F Quality Assurance Procedures. 40 CFR Part 60 (July 1, 2005). APPENDIX I Removable Label and Owner's Manual. 40 CFR Part 60 (July 1, 2005). STATEMENTS OF BASIS, SPECIFIC STATUTORY AUTHORITY AND PURPOSE (For Part A) I. Adopted – June 20, 1996 Background This statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Administrative Procedures Act, C.R.S. 1973, Section 24-4-103(4) for adopted or modified regulations. Basis The EPA has promulgated revisions to the federal Standards of Performance for New Stationary Sources (NSPS). The state of Colorado is required under Section 110 of the federal Clean Air Act as amended to adopt such NSPS standards and revisions into its regulations in order to maintain agency authority with regard to the Standards.
Authority The general authority for this regulation is contained in the Colorado Air Pollution Prevention and Control Act. Sections 25-7-105(1)(b). Specific authority is found at 25-7-109, which provides authority to adopt emission control regulations. Section 25-7-1-6(6) provides the Commission authority to require testing, monitoring and recordkeeping. In addition, Section 25-7-102 requires the Commission to use all available practical methods that are technically feasible and economically reasonable to adopt federal regulations by reference. Commission action in promulgating these revisions is taken pursuant to Sections 25-7-105 to -109 and 25-7-114, C.R.S., as amended.
Purpose The EPA has developed emission control regulations for specific categories of new sources based upon research that examines technical and economic feasibility and the current, best demonstrated controls being used on specific source categories. The commission is adopting these revisions to the federal rules in order to maintain administrative authority and referencing accuracy.
1. Standards of Performance for New Stationary Sources Appendix A--Reference Methods; Amendments to Method 24 for the Determination of Volatile Matter Content, Water Content, Density, Volume Solids, and Weight Solids of Surface Coatings, 40 CFR, Section 60.17(A)(63.
This rule amends those referenced analysis procedures already in the rules to include one that can be applied to non-thin film ultraviolet radiation-cured coatings. The proposed rule does not change any emission standard, nor does it impose any new emission measurement requirements. It simply amends references to existing test methods. Method 24 is used to determine volatile matter and water content, density, volume solids and weight solids of surface coatings, such as paint, varnish, lacquer, or related surface coatings. Method 24, which references the American Society for Testing and Materials (ASTM ) Method D2369-81, was meant to apply to all such coatings. However, that ASTM method cannot be used to calculate the VOC content of ultraviolet radiation-cured coatings. This rule amends Method 24 to reference ASTM Method D5403-93, which is used to measure volatile organic compounds in non-thin ultraviolet radiation-cured coatings.
2. Standards of Performance for Volatile Organic Compound Emissions from Synthetic Organic Chemical Manufacturing Industry (SOCMI) Distillation Operations, 40 CFR, Subpart NNN, Sections 60.665 and 60.667, and SOCMI Reactor Processes, 40 CFR, Subpart RRR, Sections 60.700, 60.705, and 60.707.
This amendment corrects the spelling of certain chemical names, the Chemical Abstract System (CAS) numbers for certain chemicals, and certain cross-referencing and drafting errors in the Standard of Performance for New Sources for new, modified and reconstructed distillation operations and reactor processes in the SOCMI. The proposed amendment would also clarify reporting and recordkeeping requirements for these processes--allowing them to be submitted in conjunction with semiannual reports or as a single separate report in order to avoid their duplication. Subparts NNN and RRR of Colorado Regulation No. 6 are corrected by this amendment.
3. Standards of Performance for New Stationary Sources and Emission Guidelines for Existing Sources: Municipal Waste Combustors, 40 CFR, Subparts Cb, Ea and Eb of Section 60. The rule applies to municipal waste combustion (MWC) units at plants with aggregate capacities to combust more than 35 megagrams (40 tons) of municipal solid waste per day, and require sources to achieve emission levels reflecting the maximum degree of reduction in emissions of air pollutants achievable. The 40-ton-per-day threshold is lower than the 50-ton threshold previously found in Colorado’s Regulation No. 6, Part B. The standards and guidelines establish emission levels for MWC dioxins, furans, cadmium, lead, mercury, particulate matter, opacity, hydrogen chloride, sulfur dioxide, oxides of nitrogen and fugitive ash.
The standards apply to new sources that begin construction after September 20, 1994, or that begin modification or reconstruction after June 19, 1996. MWCs constructed after December 20, 1989 and on or before September 20, 1994 are subject to previously issued (1991) standards and to the 1995 retrofit guidelines for existing sources. MWCs constructed on or before September 20, 1994 are subject only to the guidelines.
Time line table for MWC NSPS:
. On or Before Dec. 20, Dec. 21, 1989 toSept.20, Sept. 21, 1994 to June 19, 1989 1994 1996 Type of Activity Constructed, Modified, or Constructed, Modified or Begin Construction Reconstructed Reconstructed Applicable Regulations Subject to the 1995 Subject to 1991 standards Subject to revised retrofit guidelines (Subpart Ea) and 1995 standards (Subpart Eb) (Subpart Cb) retrofit guidelines (Subpart Cb)
II. Adopted – February 20, 1997 – Adoption by Reference – Subpart Cc and Subpart WWW This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, section 25-7-110.5, C.R.S.
Basis The Environmental Protection Agency on March 12, 1996 promulgated Standards of Performance for Municipal Solid Waste Landfills and Emission Guidelines and Compliance Times for Municipal Solid Waste Landfills. The state of Colorado is required under Section 111(c) of the federal Clean Air Act as amended to adopt such New Source Performance Standards (“NSPS” ) and guidelines in order to retain its authority to implement and enforce the federal Standards of Performance for New Stationary Sources. The Commission adopted by reference Subpart WWW of Part 60, Title 40, CFR as a New Source Performance Standard in order to obtain state authority to implement and enforce this federal standard. In addition, the Commission adopted Subpart Cc of Part 60, Title 40, CFR, to provide the authority for the Division to proceed with preparation of the plan for existing sources required by that subpart. The Commission intends to review and approve a plan which meets the requirements of section 111 of the federal act in the next few months. The Commission contemplates that the plan will include implementation and enforcement of the New Source Performance Standard in Subpart WWW as well as the emission guidelines for existing sources which are adopted as part of this rulemaking. The Commission adopted emissions guidelines for existing municipal solid waste landfills, consistent with the required elements of a state plan set forth in 40 CFR Part 60 Subpart Cc. The language adopted complies with the requirements of Subpart Cc and refers to that subpart for applicability provisions and some other matters. However, the rule also refers directly to the substantive provisions of Subpart WWW, the NSPS, which are largely adopted by reference by Subpart Cc. This strategy was developed in discussion with the interested party to make the requirements of the emissions guidelines for existing sources clear.
Specific Statutory Authority The general authority for this regulation is contained in the Colorado Air Pollution Prevention and Control Act, title 25, article 7, of the Colorado Revised Statutes. Sections 25-7-105(1)(b) and 25-7-109, C.R.S., provide authority for the Commission to adopt emission control regulations. Section 25-7-109(1)(a)(II), C.R.S., provides authority for the Commission to adopt emission control regulations for particular types of facilities, processes and activities. Section 25-7-106(6) provides the Commission authority to require testing, monitoring and record keeping. Section 24-4-103 (12.5) provides authority to adopt federal regulations by reference. Commission action in promulgating these regulations is taken pursuant to the above statutory provisions.
The only portion of this rulemaking which is not an adoption by reference or a duplication of federal requirements is the choice by the Commission of interim deadlines for tasks necessary to achieving full compliance with the federal minimum collection and control system requirements as required by EPA’s guidance. These elements of the rule are not by themselves intended to reduce air pollution. Accordingly, the findings and determinations outlined in section 25-7-110.8(1), C.R.S., are not applicable to this rulemaking.
III. Adopted: July 17, 1998 This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, section 25-7-110.5, C.R.S.
Basis The Environmental Protection Agency promulgated New Source Performance Standards (NSPS) and Emission Guidelines (EG) for Hospital, Medical, Infectious Waste Incinerators on September 15, 1997. The State of Colorado is required under Section 110 of the Federal Clean Air Act, as amended, to adopt such NSPS and EG standards and revisions into its regulations in order to maintain agency authority with regard to the Standards.
The action taken today is an adoption by reference of the federal regulations and in no way deviates from the federal requirements. This regulation does impose new and more stringent requirements on the affected facilities and will cause a significant fiscal impact on the affected facilities. Specific Statutory Authority The general authority for this regulation is contained in the Colorado Air Pollution Prevention and Control Act. Sections 25-7-105(1)(b). Specific authority is found at 25-7-109, which provides authority to adopt emission control regulations. Section 25-7-106(6) provides the Commission authority to require testing, monitoring and record keeping. Commission action in promulgating these revisions is taken pursuant to Sections 25-7-105 to -109 and 25-7-114, C. R. S., as amended. Purpose The Commission makes the following findings and determinations pursuant to section 25-7-110.8, C.R.S.:
1. The Commission has considered, and has based its decision, on the reasonably available, validated, reviewed and sound scientific methodologies and information made available by interested parties.
2. Evidence in the record supports the conclusion that the operating limitations adopted will result in a demonstrable reduction in air pollution when taken in conjunction with the Federal New Source Performance Standard and Emissions Guideline.
3. The alternative selected maximizes the air quality benefits of the emissions standards applicable.
IV. Adopted – November 18, 1999 This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, section 25-7-110.5, C.R.S.
Basis The EPA has promulgated revisions to the federal Standards of Performance for New Stationary Sources (NSPS). The state of Colorado is required under Section 110 of the federal Clean Air Act as amended to adopt such NSPS standards and revisions into its regulations in order to maintain agency authority with regard to the Standards.
Specific Statutory Authority The general authority for this regulation is contained in the Colorado Air Pollution Prevention and Control Act. Sections 25-7-105(1)(b). Specific authority is found at 25-7-109, which provides authority to adopt emission control regulations. Section 25-7-106(6) provides the Commission authority to require testing, monitoring and record keeping. In addition, Section 25-7-102 requires the Commission to use all available practical methods that are technically feasible and economically reasonable to adopt federal regulations by reference. Commission action in promulgating these revisions is taken pursuant to Sections 25-7-105 to -109 and 25-7-114, C. R. S., as amended.
Purpose The EPA has developed emission control regulations for specific categories of new sources based upon research that examines the technical and economic feasibility and the current, best demonstrated controls being used on specific source categories. The commission is adopting these revisions to the federal rules in order to maintain administrative authority and referencing accuracy. Landfill June 16, 1998 Definitions The definition of a new source has been changed to include modification. This change makes the landfill regulation consistent with other new source performance standards. The definition of modification has been clarified so that changes in compaction, cover material or thickness, and bailing and compaction practices do not trigger a modification. These changes would not typically require a capital expenditure and so would not trigger the New Source Performance Standards. The definition of design capacity is being clarified so that sources may state design capacity in terms of volume or mass.
Compliance Dates The compliance dates section is being modified to clarify that landfills have 30 months to install a collection and control system once the landfill becomes affected. Title V permitting This change clarifies that sources with design capacities of 2.5 million megagrams of 2.5 million cubic meters are subject to title V permit requirements.
Monitoring This change clarifies that a temperature measuring device does not need to be permanently installed at each well head.
February 24, 1999 Clarifies the definition of modification so that it is clear that a modification is an increase in the permitted volume of the landfill.
Other changes were clarifications in the required reporting and typographical. Electric Arc Furnaces March 2, 1999 Changes Amends the NSPS for electric arc furnaces under 40 CFR 60 AA and AAa. The changes add alternative requirements for monitoring and capture systems.
Coal unloading October 5, 1998 changes Amends 40 CFR 60 Y to include coal unloading that involves conveying coal to coal plant machinery and includes and fugitive emissions from coal dumping in the determination of major source status. Utility and Industrial Steam Generation September 16, 1998 Amends 40 CFR 60 Da and Db. This change reduces the numerical NOx emission limits for utility and industrial steam generating units to reflect the performance of best demonstrated technology. Test Methods May 14, 1999 Addition of three new optional test methods for measuring velocity and volumetric flow rate of flue gas from fossil fuel fired boilers and turbines. The new methods account for velocity drop off near the wall and yaw and pitch angles of flow. NOTE: this Federal Register includes both final and proposed rules. The State of Colorado is requesting adoption of the final rules not the proposed rules. Adoption of Subpart III for Synthetic Organic Chemical Manufacturing Industries This subpart was promulgated by EPA in 1990 but it has not previously been adopted into Regulation No.
6. Colorado has seen some growth in the SOCMI industry, but currently has no sources covered by this subpart.
1. The Commission has considered, and has based its decision, on the reasonably available, validated, reviewed and sound scientific methodologies and information made available by interested parties.
2. Evidence in the record supports the conclusion that the operating limitations adopted will result in a demonstrable reduction in air pollution when taken in conjunction with the Federal New Source Performance Standard.
3. The alternative selected maximizes the air quality benefits of the emissions standards applicable.
V. Adopted January 11, 2001: Incorporation by Reference of Federal Amendments to 40 CFR part 60, subparts A, Db, Ea, and WWW into Colorado Air Quality Control Commission Regulation No. 6, Part A.
Background This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Administrative Procedures Act, C.R.S. (1988), Sections 24-4-103(4) and (12.5) for adopted or modified regulations, and with the requirements of federal regulations incorporated by reference. Section 111 of the 1990 Clean Air Act Amendments was enacted to help reduce the levels of air pollutant emissions from new stationary sources nationwide. Pursuant to this section, the EPA was given the authority to promulgate New Source Performance Standards. These standards are set forth at 40 CFR part 60.
Basis The EPA has promulgated revisions to the following current new source performance standards (NSPS): 40 CFR part 60, General Provisions (Appendices A and B), Guideline for Control of Existing Municipal Solid Waste Landfills, Industrial-Commercial-Institutional Steam Generating Units, and federal Plan Requirements for Large Municipal Waste Combustors Constructed On or Before September 20, 1994. The State of Colorado is required to adopt such revisions into its regulations. This rulemaking adopts these revisions to the current NSPSs.
Authority Sections 25-7-105(1)(b) and 25-7-109, C.R.S. (2000) authorize the Commission to adopt emission control regulations, including emission control regulations relating to new stationary sources. Purpose Adoption of the federal amendments to 40 CFR part 60, subparts A, Db, Ea, and WWW will make these revised NSPSs enforceable under Colorado law. Adoption of the amendments will not impose upon sources additional requirements beyond the minimum required by federal law, and may benefit the regulated community by providing sources with up-to-date information.
VI. Adopted: February 21, 2002:
Incorporation by Reference of Federal Amendments to and New Standards contained in 40 CFR part 60 into Colorado Air Quality Control Commission Regulation No. 6, Part A. Background This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Administrative Procedures Act, C.R.S. (2001), Sections 24-4-103(4) and (12.5) for adopted or modified regulations, and with the requirements of federal regulations incorporated by reference. Section 111 of the 1990 Clean Air Act Amendments was enacted to help reduce the levels of air pollutant emissions from new stationary sources nationwide. Pursuant to this section, the EPA was given the authority to promulgate New Source Performance Standards. These standards are set forth at 40 CFR part 60.
Basis The EPA has promulgated revisions to the following current new source performance standards (NSPS): 40 CFR part 60, subparts A, D, Da, Db, Dc, E, Ea, Eb, Ec, F, H, J, K, Ka, Kb, L-N, Na, O, P, S, T-Z, AA, Aaa, BB-EE, GG, HH, KK-NN, PP-XX, BBB, DDD, FFF, GGG-LLL, NNN-RRR, TTT, UUU, WWW, and Appendices A and B. In addition, the EPA has promulgated two new standards: 40 CFR part 60, subparts AAAA (Standards of Performance for Small Municipal Waste Combustion Units for which Construction is Commenced after August 30, 1999 or for which Modification or Reconstruction is Commenced after June 6 2001), and CCCC (Standards of Performance for Commercial and Industrial Solid Waste Incineration Units for which Construction is Commenced after November 30, 1999 or for which Modification or Reconstruction is Commenced on or after June 1, 2001). The State of Colorado is required to adopt such revisions and new standards into its regulations. This rulemaking adopts these revisions to the current NSPSs and new NSPSs.
Authority Sections 25-7-105(1)(b) and 25-7-109, C.R.S. (2001) authorize the Commission to adopt emission control regulations, including emission control regulations relating to new stationary sources. Purpose Adoption of the federal amendments to and new standards contained in 40 CFR part 60 will make these revised NSPSs and new NSPSs enforceable under Colorado law. Adoption of the amendments and new standards will not impose upon sources additional requirements beyond the minimum required by federal law, and may benefit the regulated community by providing sources with up-to-date information.
VII. Adopted July 15, 2004 Incorporation by Reference of Federal Amendments to 40 CFR Part 60 into Colorado Air Quality Control Commission Regulation No. 6, Part A.
Background This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Administrative Procedures Act, C.R.S. (2001), Sections 24-4-103(4) and (12.5) for adopted or modified regulations, and with the requirements of federal regulations incorporated by reference. Section 111 of the 1990 Clean Air Act Amendments was enacted to help reduce the levels of air pollutant emissions from new stationary sources nationwide. Pursuant to this section, the EPA was given the authority to promulgate New Source Performance Standards. These standards are set forth at 40 CFR Part 60.
Basis The EPA has promulgated revisions to the following current new source performance standards (NSPS): 40 CFR Part 60, subparts A, D, Da, Db, Dc, Ea, Eb, Ec, J, Kb, CC, GG, NN, XX, SSS, GGG, CCCC, Appendix B and Appendix F. The State of Colorado is required to adopt such revisions into its regulations. This rulemaking adopts these revisions to the current NSPSs. Authority Sections 25-7-105(1)(b) and 25-7-109, C.R.S. (2001) authorize the Commission to adopt emission control regulations, including emission control regulations relating to new stationary sources. Purpose Adoption of the federal amendments to 40 CFR Part 60 will make these revised NSPSs enforceable under Colorado law. Adoption of the amendments will not impose upon sources additional requirements beyond the minimum required by federal law, and may benefit the regulated community by providing sources with up-to-date information.
Part B Specific Facilities and Sources Non Federal NSPS I. GENERAL PROVISIONS A. Except as specifically provided in the sections of this part, Subpart A (General Provisions) of Part A is incorporated herein in its entirety by reference.
B. In addition to the provisions stated in Part A, Subpart A, Subsection 60.14 (c) (6) of the CFR, regarding applicability, the following applies: relocation of a source within the State of Colorado is not, by itself, considered to be a modification. Relocation of a source from outside of the State of Colorado into the State of Colorado is considered to be a new source, subject to the requirements of this Regulation No. 6.
II. STANDARDS OF PERFORMANCE FOR NEW FUEL BURNING EQUIPMENT A. Applicability and Designation of Affected Facility The provisions of this section are applicable to fuel burning equipment constructed, reconstructed, or modified after January 30, 1979.
B. Definitions As used in this Section, all terms shall have the meaning given to them in the Common Provisions Regulation and in Part A, Subpart A of this regulation.
C. Standard for Particulate Matter On and after the date on which the required performance test is completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge into the atmosphere of any particulate matter which is:
1. In excess of 0.5 lbs. per million Btu heat input for fuel burning equipment of not more than one million Btu per hour total input.
2. For fuel burning equipment generating greater than one million but less than 250 million Btu per hour heat input, the following equation will be used to determine the allowable particulate emission limitation:
If two or more units connect to any opening, the maximum allowable emission rate shall be the sum of the individual emission rates.
3. Greater than 20 percent opacity.
D. Standard for Sulfur Dioxide On and after the date on which the required performance test is completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge into the atmosphere sulfur dioxide in excess of:
1. All coal-fired operations, including coal-fired steam generation:
2. All oil-fired operations, including oil-fired steam generation:
3. Combustion Turbines
E. Test Methods and Procedures The reference methods contained in Appendix A of this regulation, except as provided under Part A, Subpart A, Section 60.8(b), shall be used to determine compliance with the standards prescribed in subsection C. and D. as follows:
1. Method 1 for selecting sample site and velocity traverses;
2. Method 2 for velocity and volumetric flow rate;
3. Method 3 for gas analysis to be used when applying Reference Methods 5 and 6;
4. Method 5 for concentration of particulate matter and associated moisture content; and 5. Method 6 for concentration of SO .
III. STANDARDS OF PERFORMANCE FOR NEW MANUFACTURING PROCESSES A. Applicability and Designation of Affected Facility The provisions of this section are applicable to the following affected facilities: new manufacturing processes, regardless of production rate, and new alfalfa dehydration plants constructed, reconstructed, or modified after January 30, 1979.
B. Definitions As used in this section, all terms not defined herein shall have the meaning given them in the Common Provisions Regulation and in Part A, Subpart A of this Regulation, unless otherwise required by context.
C. Standard for Particulate Matter On and after the date on which the required performance test is conducted, no person subject to the provisions of this regulation shall discharge, or cause the discharge, into the atmosphere from any affected facility, particulate matter in excess of:
1. For process equipment of process weight rates up to 60,000 lbs/hr the allowable emission rate shall be determined by use of the equation:
P is the Process Weight rate in tons/hr.
2. For process equipment of process weight rates equal to or greater than 60,000 lbs/hr the allowable emission rate shall be determined by use of the equation: E = 17.31(P) 0.16 Where:
3. Greater than 20 percent opacity.
D. Standard for Sulfur Dioxide On and after the date on which the required performance test is completed, an owner or operator subject to the provisions of this section shall:
1. Limit the discharge of sulfur dioxide to a maximum of 2.0 tons/day, or 2. Utilize best practical control technology for control of sulfur dioxide as determined by the Division, subject to review by the Air Pollution Control Commission. This subsection shall not apply to any manufacturing process specifically covered by Section IV. of this Part.
E. Test Methods and Procedures The reference methods contained in Appendix A of this regulation, except as provided under Part A, Subpart A, Section 60.8(b), shall be used to determine compliance with the standards prescribed in Subsection C. and D. as follows:
1. Method 1 for sample site and velocity traverses;
2. Method 2 for velocity and volumetric flow rate;
3. Method 3 for gas analysis to be used when applying reference Methods 5 and 6;
4. Method 5 for concentration of particulate matter and associated moisture content; and 5. Method 6 for concentration of SO .
IV. STANDARDS OF PERFORMANCE FOR NEW SOURCES OF SULFUR DIOXIDE A. Applicability and Designation of Affected Facilities The affected facilities to which the provisions of this Section apply are: natural gas desulfurization, petroleum refineries, production of oil from shale, shale oil upgrading facilities, refining of oil from shale and any other new source of SO not specifically covered by other sections of this regulation, constructed, reconstructed, or modified after January 30, 1979. For purposes of this regulation, shale oil production facilities, and upgrading/refining facilities shall be considered separate sources and subject to separate SO limitations.
B. Definitions As used in this section, all terms not defined herein shall have the meaning given them in the Common Provisions Regulation and in Part A, Subpart A of this Regulation, unless otherwise required by the context.
1. "Shale oil production facility" A facility which utilizes a retorting operation (in-situ or surface retorting or both) to recover oil from shale.
2. "Shale oil upgrading facility" A facility which produces from raw shale oil a semi-refined oil, (or products,) substantially equivalent to petroleum crude oil (or products) through hydrogenation and/or other processing, including, but not limited to, de-arsenation, distillation, cracking, reforming and coking.
3. "Shale oil refining facilities" A facility engaged in refining processed (upgraded) shale oil to produce gasoline, kerosene distillate fuel oils, residual fuel oils, lubricants, or other products through distillation, cracking, or reforming of unfinished oil shale derivatives. NOTE: A shale oil refining facility may also refine raw shale oil, just as an upgrading facility could also refine the upgraded shale oil it produces. In addition, a petroleum refinery could upgrade or refine shale oil. The difference is that the standards in this section allow 0.3 lb SO per barrel for extraction of oil from shale, then another 0.3 lb SO /barrel for the total combined upgrading and refining of the shale oil (e.g., if a new upgrading facility emits 0.21 lbs SO /barrel, a new refining operation can not emit more than 0.09 lb SO per barrel). Crude oil refining is allowed 0.3 lb SO per barrel: there 2 2 is no equivalent to the extraction of oil from shale.
C. Standard for Sulfur Dioxide 1. On and after the date on which the required performance test has been completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge, into the atmosphere from any natural gas desulfurization facilities, sulfur dioxide in excess of:
2. On and after the date on which the required performance test is completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge, into the atmosphere from any petroleum refining facility, sulfur dioxide in excess of:
3. On and after the date on which the required performance test is completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge into the atmosphere from the production of oil from shale, sulfur dioxide in excess of:
4. On and after the date on which the required performance test is completed, no owner or operator subject to the provisions of this regulation may discharge, or cause the discharge into the atmosphere from any shale oil upgrading or refining facilities or combination thereof, sulfur dioxide in excess of:
D. Test Methods and Procedures The reference methods contained in Appendix A of this regulation, except as provided under Part A, Subpart A, Section 60.8(b), shall be used to determine compliance with the standards prescribed in subsection C. as follows:
1. Method 1 for selecting sample site and velocity traverses;
2. Method 2 for velocity and volumetric flow rate;
3. Method 3 for gas analysis to be used when applying Method 6; and 4. Method 6 for concentration of SO .
V. STANDARDS OF PERFORMANCE FOR BIOMEDICAL WASTE INCINERATORS A. Applicability and Designation of Affected Facility The affected facilities to which the provisions of this Section apply are all new or modified incinerators used for the disposal of biomedical waste constructed, reconstructed or modified after August 30, 1989.
Exemption: The affected facilities do not include crematory incinerators.
B. Definitions As used in this Section, all terms not defined herein shall have the meaning given them in the Common Provision Regulation and in Part A, Subpart A of this regulation, unless otherwise required by the context.
1. Biomedical waste - waste that includes anatomical/pathological wastes, infectious wastes, chemotherapeutic wastes and other wastes generated in health care facilities and medical laboratories that require special handling.
2. Anatomical/pathological waste - human or animal remains consisting of carcasses, tissues, organs or body parts that may or may not be infectious.
3. Infectious wastes - For the purpose of this regulation, the definition of infectious waste contained in 25-l5-402, C.R.S. shall apply.
4. Chemotherapeutic waste - All wastes resulting from the production or use of antineoplastic agents used for the purpose of stopping or reversing the growth of malignant cells. Chemotherapeutic waste shall not include any waste containing antineoplastic agents that are listed as hazardous wastes.
5. Hazardous Waste - Hazardous waste as defined in 25-15-101 C.R.S.
6. Crematory incinerator - any incinerator designed and used solely for the burning of anatomical pathological waste, a crematory incinerator may also burn incidental items normally cremated as part of the funeral process.
7. Design capacity - The maximum waste feed rate that the incinerator is designed to completely combust considering the rates of heat releases it can accommodate from the destruction of combustible material contained in the wastes.
C. Emission Limitations 1. On and after the date which the required performance test has been completed, every affected facility subject to the provisions of this Section must comply with the following emission standards:
2. The owner or operator of an incinerator located at a facility with a total incineration design capacity of up to 400 pounds per hour may obtain an exemption from the applicable requirements set forth in this regulation, for units equal to or greater than 200 pounds per hour provided that:
D. Design and Operating Requirements 1. All incinerators shall be equipped with a secondary combustion chamber or zone which provides for turbulent mixing and:
2. Auxiliary burners must be designed to provide the combustion chamber temperatures as described in paragraph 1 of this subsection without the assistance of the heat content of the waste. The auxiliary burner fuel and the combustion air shall be modulated automatically to maintain a secondary chamber exit temperature of at least 1800 3. The waste charging system of any incinerator must be designed so as to prevent disruption of the combustion process as waste is charged. Batch fed units must be equipped with a lock-out mechanism to prevent charging after start-up. Units with automatic feed systems shall be equipped with a sealed feeding device capable of preventing combustion upsets during charging. The volume of the loading system shall be designed to prevent overcharging thereby assuring complete combustion of the waste.
4. For batch fed incinerators, interlocks must be provided to prevent charging until:
5. For continually fed incinerators, the charging of waste to the incinerator shall automatically cease through the use of an interlock system if:
6. Each incinerator shall operate so that during shutdown the incinerator continues to meet applicable emission limitations and the secondary combustion chamber or combustion zone temperature is maintained at 1800or above until the waste is completely combusted.
7. Incinerators with a capacity of 200 pounds per hour or greater must be designed such that the flue gas temperature at the outlet of the final control device does not exceed 300 ° F unless a demonstration is made that an equivalent collection of condensible heavy metals and toxic organics can be achieved at a higher temperature or through the use of alternate technologies.
8. Radioactive waste and hazardous waste may not be burned in an incinerator subject to this Section unless the incinerator has met the requirements of the Radiation Control Division and the Hazardous Materials and Waste Management Division.
E. Performance Testing and Compliance Provision 1. The performance tests and procedures shall be in accordance with Part A, Subpart A, Section 60.8. of this regulation. The reference method contained in Appendix A of this regulation, except as provided under Part A, Subpart A, Section 60.8(b), shall be used to determine compliance with the standards prescribed in subsection C as applicable. Other tests not described in Appendix A should be conducted in accordance with the Division's source testing procedures described in the compliance test manual. All tests shall be conducted at the maximum design rate using waste that is representative of normal operation.
2. The owner or operator of any biomedical waste incinerator that has a capacity of less than 200 pounds per hour shall conduct a performance test under the provisions of Part A, Subpart A, Section 60.8. of this regulation to demonstrate compliance with the standards for Particulate Matter (PM), Carbon Monoxide (CO) and Hydrogen Chloride (HC1).
3. The owner or operator of any biomedical waste incinerator that has a capacity of 200 pounds per hour or greater shall conduct a performance test to demonstrate compliance with the standards for Particulate Matter (PM), Carbon Monoxide (CO), and Hydrogen Chloride (HCl). Additional source tests shall be conducted for: a) arsenic and compounds (expressed as arsenic); b) beryllium and compounds (expressed as beryllium); c) cadmium and compounds (expressed as cadmium); d) hexavalent chromium and compounds (expressed as chromium); e) lead and compounds (expressed as lead); f) mercury and compounds (expressed as mercury); g) nickel and compounds (expressed as nickel); and h) polychlorinated dibenzo-p-dioxins (PCDD) and polychlorinated dibenzo furans (PCDF) expressed as 2,3,7,8 tetrachlorinated dibenzo-p-dioxin (TCDD). Source tests shall be conducted for the above specified pollutants every year, except that the Division may waive some tests if consistent emission rates are found, but in no case shall tests be conducted less than once every three years.
F. Monitoring Requirements 1. The owner or operator of any incinerator with a capacity of 200 pounds per hour or greater subject to the provisions of this Section must install, calibrate, operate and maintain in accordance with Appendix B instruments for continuously monitoring and recording the following emission and operating parameters:
2. The owner or operator of any incinerator must install, calibrate, operate, and maintain devices that continuously record the temperature of gases leaving the primary and secondary (or final) combustion chambers. Such devices shall have an accuracy of + 0.75% of the temperature being measured expressed in degrees celsius (°C) or + 2.5°C whichever is greater. Sensors shall be located such that flames from the burners do not impinge on the sensors.
G. Recordkeeping and Reporting Requirements 1. The owner or operator of an incinerator subject to the provisions of this Section shall maintain a monthly summary file of daily burning rates and hours of operation. The summaries shall be retained for at least two (2) years following the date of such records and summaries.
2. The owner or operator of an incinerator subject to the provisions of this Section shall submit continuous emission/operating data gathered from the monitors to the Division on a quarterly basis. The data shall be retained for at least two (2) years following the date of record and shall be made available to the Division during facility inspections.
3. The owner or operator of an incinerator subject to the provisions of this Section shall notify the Division by telephone following any failure of process equipment, failure of any air pollution control equipment, failure of any monitoring equipment, or a process operational error which results in an increase in emissions above any allowable rate. Notification shall be made no later than two (2) hours after the start of next working day, followed by written notice to the Division to include the measures undertaken to correct the problem.
VI. STANDARDS OF PERFORMANCE FOR MUNICIPAL WASTE COMBUSTORS A. Applicability 1. This section applies to any facility or equipment constructed, reconstructed, or modified after August 30, 1989, that burns or is designed to burn municipal solid waste. This regulation also applies to any facility or equipment, designed to burn Refuse Derived Fuel (RDF) either in combination with other fuels or as an only fuel constructed, reconstructed or modified after August 30, 1989.
2. Any facility that is subject to part A, subparts Ea, Cb or Eb is not subject to this section, except as set forth in subsections F. and G. of this section VI.
3. Any facility that is subject to this section shall comply with all applicable requirements of the Colorado Solid Waste Act and its implementing regulations as promulgated by the Colorado Board of Health (Solid Waste Regulations, 6 CCR 1007-2).
B. Definitions As used in this section, all terms not defined herein shall have the meaning given in the Common Provisions regulation and in subpart A of Part A of this Regulation No. 6 unless otherwise required by the context.
1. Municipal Solid Waste (MSW) - means solid waste collected by a public or private hauler from more than one waste generator, but excluding hazardous waste and infectious waste as defined in Regulation 6, Part B, Section V.
2. Municipal Waste Combustor (MWC) - Any building, structure, facility, equipment, or installation used for reducing the volume of municipal solid waste by burning.
3. Hazardous Waste - means any waste included by definition in Section 25-15-101 (9) of the Colorado Hazardous Waste Act.
4. Solid waste - means any garbage, refuse, sludge from a waste treatment plant, water supply treatment plant or air pollution control facility and other discarded materials, including solid, liquid, semi solid, or contained gaseous material resulting from private, public, community, industrial or commercial operations. Solid waste does not include any untreated solid; dissolved materials in domestic sewage; agricultural wastes; solid or dissolved materials in irrigation return flows; industrial discharges which are point sources subject to the provisions of the Colorado Water Quality Control Act, Section 25-8-101, et.
5. Refuse Derived Fuel (RDF) - means a fuel derived from Municipal Solid Waste prepared by mechanical shredding, followed by air classification, magnetic or other separation such as trammeling to reduce the non-combustible content of the Municipal Solid Waste, to allow the RDF to be injected into a combustion device such as a boiler for burning.
C. Emission Limitations On and after the date which the required performance test has been completed, every affected facility subject to the provision of this section must comply with the following emission standards.
1. For sources charging 40 tons per day or less excluding those covered in paragraph 2 of this section:
Condensible particulate matter shall not be included.
2. For sources charging less than 10 tons per day and located within and serving a municipality or county with a population less than 2500:
Condensible particulate matter shall not be included.
D. Operating Requirements (Unless otherwise specified all municipal waste combustors subject to this section VI shall be operated under the following conditions 1. The combustor shall maintain the combustion gases at a temperature greater than 1800 degrees F for at least one second residence time. The unit shall be equipped with automatically controlled auxiliary fuel burners to maintain the combustion gases at the aforementioned conditions under all waste firing conditions; and, to insure that the combustion chamber will reach 1800 degrees F prior to the introduction of Municipal Solid Waste.
2. Combustion efficiency (C.E.): For all units the combustion efficiency shall be at least 99.9 percent as a 8 hour running average. For units burning less than 10 tons per day and located within and serving a municipality or county with a population less than 2500 the unit combustion efficiency shall be at least 99.9 percent as demonstrated during the yearly stack test. Combustion efficiency shall be computed as follows:
3. The tipping area and Municipal Solid Waste storage area shall be totally enclosed and operated at a negative atmospheric pressure to prevent the escape of malodors. The air drawn from the tipping or storage areas shall be used as primary combustion air in the combustor.
4. Ash shall be loaded in an enclosed area or handled wet in closed containers.
5. The charging of waste to the combustor shall cease if:
6. For units charging less than 10 tons per day and located within and serving a municipality or county with a population less than 2500, the unit's design rate shall be no more than 10 tons per day, or the unit shall have a physical constraint limiting the unit to no more than 10 tons per day as applied over a 24 hour period.
E. Monitoring Requirements The owner or operator of any Municipal Waste Combustor subject to the provisions of this Section must install, calibrate, operate, and maintain, in accordance with Appendix B, instruments for continuously monitoring and recording the following emission and operating parameters:
1. For all sources:
2. For sources charging 10 tons per day or more:
F. Test Requirements 1. The owner or operator of any municipal waste combustor charging less than 40 tons per day, shall conduct a performance test under the provisions of Part A, Subpart A, Section 60.8 of this Regulation No. 6.
2. Sources subject to the requirements of Subpart Ea, Cb or Eb Part A of this regulation shall conduct tests for the following pollutants prior to final approval: (A) arsenic and compounds (expressed as arsenic); (B) cadmium and compounds (expressed as cadmium); © hexavalent chromium and compounds (expressed as chromium); (D) nickel and compounds (expressed as nickel); (E) lead and compounds (expressed as lead); (F) beryllium and compounds (expressed as beryllium); and (G) mercury and compounds (expressed as mercury).
The tests shall be conducted as required under the provisions of Part A, Subpart A, Section 60.8 of this Regulation, and as provided under Subsections 1.c and d. of this Section VI.
G. General Application Requirements 1. The permit application shall include estimates of the following constituents in the municipal waste and/or air contaminant emissions: (a) chlorine (as estimated in the waste) and HCl and PCDD and PCDF (expressed as 2,3,7,8 TCDD equivalents estimated potential and actual emissions); (b) sulfur (as estimated in the waste) and SO2 (estimated as potential and actual emissions); © NOx (expressed as NO2); (d) arsenic; (e)cadmium; (f) hexavalent chromium; (g) nickel; (h) lead; (I) beryllium; and (j) mercury and (k) carbon monoxide. The levels of metals and their compounds (expressed as the metals) are to be estimated as expected in the waste, and as potential and actual emissions.
2. Permit applications for sources subject to the requirements of Subparts Ea, Eb or Cb of Part A of this regulation shall include estimates of the following constituents in the municipal waste and/or air contaminant emissions: (A) chlorine (as estimated in the waste); (B) sulfur (as estimated in the waste); © arsenic; (D) cadmium; (E) hexavalent chromium; (F) nickel; (G) lead; (H) beryllium; and (J) mercury. The levels of metals and their compounds (expressed as the metals) are to be estimated as expected in the waste, and as potential and actual emissions.
H. Recordkeeping and Reporting Requirements 1. The owner or operator of a Municipal Waste Combustor (MWC) subject to the provisions of this section shall maintain a monthly summary file of daily fuel firing rates and hours of operation. The summary shall be retained for at least two (2) years following the date of such records and summaries.
2. The owner or operator of a MWC subject to the provisions of this section shall submit continuous emission/operating data gathered from the monitors to the Division on a quarterly basis, except that a MWC unit charging less than 10 tons per day and located within and serving county or municipality with a population less than 2500 shall not be required to submit such data. The data shall be retained for at least two (2) years following the date of record and shall be made available to the Division during facility inspections.
3. The owner or operator of a MWC subject to the provisions of this section shall notify the Division by telephone following any failure of process equipment, failure of any air pollution control equipment, failure of any monitoring equipment, or a process operational error which results in an increase in emissions above any allowable rate. Notification shall be made no later than two (2) hours after the start of the next working day, followed by written notice to the Division to include the measures undertaken to correct the problem(s).
I. Special Provisions for units charging less than ten tons per day and located within and serving a county or municipality with a population less than 2,500 1. Training The operators of the MWC unit shall receive initial training and a minimum of once per year refresher courses in the proper operation of the MWC unit from a program approved by the Division.
2. Waste Sorting
3. Siting A MWC unit must be a minimum of 1 mile from the boundary of any class I wilderness area, and half a mile from any residence. The incinerator shall cease operation if a residence is constructed or occupied within a half mile of the MWC. No MWC unit may be sited in a non-attainment area.
4. Opacity observations A single opacity observation of the plume shall be taken by a certified observer at 15 minute intervals while the incinerator is in operation. The observer shall log all required opacity readings and the log shall be available for Division inspection upon request.
5. Temperature recordings Combustion chamber temperature readings shall be recorded and kept for Division inspection for all periods of operation of the incinerator, including start-up, shut-down and general operation.
VII. STANDARDS OF PERFORMANCE FOR INCINERATORS In addition to the requirements of Subpart E, Part A, the following requirements apply:
A. Applicability and Designation of Affected Facility The provisions of this section are applicable to all incinerators constructed, reconstructed, or modified after January 30, 1979. Incinerators which are subject to Part A, Subpart E are also subject to this section. Incinerators which are subject to Part A, Subpart Ea, or Part B, Sections V or VI, are not subject to this section.
B. Definitions As used in this section, all terms shall have the meaning given to them in the Common Provisions Regulation and in Part A, Subpart A of this regulation.
C. Standard for Particulate Matter 1. On and after the date on which the required performance test is completed, no owner or operator of an incinerator of greater than 45 metric tons per day (50 tons per day) charging rate shall discharge, or cause to discharge into the atmosphere particulate matter which is in excess of 20% opacity AND 0.18 g/dscm (0.08 gr/dscf) corrected to 12 percent CO .2. On and after the date on which the required performance test is completed, no owner or operator of an incinerator of 50 tons per day and less charging rate shall discharge, or cause to be discharged into the atmosphere particulate matter which is in excess of 20% opacity and 0.229 g/dscm (0.10 gr/dscf) corrected to 12 percent CO 2 .
D. Monitoring of Operations The owner or operator of any incinerator subject to the provisions of this section shall record the daily charging rates and hours of operation.
E. Test Methods and Procedures Sources subject to this section are subject to the testing requirements and procedures of Part A, Subpart A and Part A, Subpart E, Section 60.54 of this Regulation No 6. The Division may waive all or part of the testing requirements, on a case by case basis where sufficient information is available to warrant such waiver. VIII. STATEMENTS OF BASIS, SPECIFIC STATUTORY AUTHORITY, AND PURPOSE (For Part B) A. September 21, 1995 for Section VI This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, section 25-7-110.5, C.R.S. Regulation No. 6 prescribes emissions standards and testing, monitoring and record keeping requirements for municipal waste combustors. The revisions adopted provide a more technically feasible and economically reasonable method for assuring proper operation and determining emissions standard compliance for small municipal waste combustors (those charging less than ten tons per day).
The Colorado Air Pollution Prevention and Control Act provides the authority for the Colorado Air Quality Control Commission to adopt and modify Regulation No. 6. Section 25-7-106(6), C.R.S., grants the Commission the authority to prescribe testing, monitoring and record keeping requirements for sources of air pollution, including municipal waste combustors. The Commission's action is taken pursuant to authority granted and procedures set forth in sections 25-7-105, 25-7-106, 25-7-110, 25-7-110.5 and 25-7-114, C.R.S. In adopting these revisions, the Commission is guided by section 25-7-102, C.R.S., which mandates that the Commission use all available practical methods which are technically feasible and economically reasonable to reduce, prevent and control air pollution.
These revisions to Regulation No. 6 are intended to allow operators of small municipal waste combustors to avoid the expense of installing and operating continuous emissions monitors as currently required by Regulation No. 6. The continuous emissions monitoring requirements were intended to provide both continuous performance indicators for the operator and information to demonstrate compliance with applicable emissions standards. The Commission acknowledges, however, the economic and practical burden the requirement for continuous emissions monitors places on small communities, particularly where the municipal waste combustor is operated only intermittently and at temperatures that may make effective use of some continuous emissions monitors, such as those that measure opacity, questionable. The Commission believes some flexibility in the regulations, therefore, is warranted for smaller municipal waste combustors to allow for operation without the use of continuous emission monitors. The Commission is limiting this flexibility to municipal waste combustors charging less than ten tons per day and located within and serving a municipality or county with a population of less than 2,500, however, because of the uncertainties and potential risks to human health and the environment associated with incineration.
The Commission concludes that, with certain additional conditions to assure proper operation, an annual emissions test under normal operating conditions is sufficient to determine whether small municipal waste combustors are operating in accordance with applicable emissions standards. These revisions impose requirements for an annual emissions test, operator training, waste sorting, regular opacity observations, temperature recording and feed rate limitations (similar to auger feed) in order to provide substitute protections for public health and the environment from emissions related to municipal waste combustion. The Commission's intent is that the regular opacity observations will be made substantially in accordance with EPA Method 9, (40 CFR, Part 60, Appendix A (July, 1992)) with the exception that an observation shall consist of a single reading at fifteen-minute intervals rather than a series of twenty-four consecutive readings at fifteen-second intervals. In addition, the Commission imposes site and population service limitations on municipal waste combustors in order to protect both populations and sensitive natural areas from impacts associated with incineration. Based upon economic impact analyses submitted and considered as required by section 25-7- 110.5, C.R.S., the Commission makes the following findings and determinations pursuant to section 25-7-110.8, C.R.S.:
1. The Commission has considered, and has based its decision, on the reasonably available, validated, reviewed and sound scientific methodologies and information made available by interested parties.
2. Evidence in the record supports the conclusion that the operating limitations adopted will result in a demonstrable reduction in air pollution compared with the alternative of deleting the continuous monitoring requirement without imposing such operating limitations.
3. The alternative chosen is the most cost-effective method of providing both performance indicators for the operator and information to demonstrate compliance with applicable emissions standards while retaining some assurance that the most hazardous emissions from incineration are minimized. This alternative increases the flexibility available to the operators of small municipal waste combustors but will not result in an increase in air pollution compared to the previous requirements for continuous emissions monitoring.
4. The alternative selected maximizes the air quality benefits of the emissions standards applicable to small municipal waste combustors in the most cost-effective manner by reducing the cost of providing both performance indicators for the operator and information to demonstrate compliance with applicable emissions standards while retaining some assurance that the most hazardous emissions from incineration are minimized.
B. June 20, 1996 for Section VI (for sources burning more than 40 tons) This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Quality Control Commission procedural rules.
Basis Regulation No. 6 prescribes emissions standards and testing, monitoring and record keeping requirements for municipal waste combustors. The revisions adopted help keep the state rule consistent with the Federal New Source Performance Standard for municipal waste combustors. Specific Statutory Authority The Colorado Air Pollution Prevention and Control Act provides the authority for the Colorado Air Quality Control Commission to adopt and modify Regulation No. 6. Section 25-7-106(6), C.R.S., grants the Commission the authority to prescribe testing, monitoring and record keeping requirements for sources of air pollution, including municipal waste combustors. The Commission's action is taken pursuant to authority granted and procedures set forth in sections 25-7-105, 25-7-106, 25-7-110, 25-7-110.5 and 25-7-114, C.R.S. These changes are not required by federal law and are not currently included in the State Implementation Plan. Purpose These revisions to Regulation No. 6 are simply intended to keep Regulation No. 6, Section VI (Standards of Performance for Municipal Waste Combustors) consistent with the Federal New Source Performance Standard as promulgated by the EPA on December 19, 1995. The Commission finds and determines pursuant to section 25-7-110.8, C.R.S. that these revisions are administrative in nature and are not intended to reduce air pollution.
C. December 23, 1996, for Section II.C.3.a and for revisions to Regulation No. 1, Section II.A.1, 4 and 10 (regarding opacity limitations and sulfur dioxide averaging provisions for coal-fired electric utility boilers during periods of startup, shutdown and upset.) This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, sections 25-7-110 and 25-7-110.5, C.R.S. Basis Regulations 1 and 6 deal with opacity and sulfur dioxide emissions from various sources. This rule change addresses only coal-fired electric utility boilers. The Colorado Utilities Coalition ("CUC") requested that the Commission modify the existing regulations to provide additional flexibility in meeting the opacity requirements and sulfur dioxide averaging, for coal-fired electric utility boilers during periods of start-up, shutdown, upset, process modification and adjustment of control equipment.
Specific Statutory Authority The Colorado Air Pollution Prevention and Control Act, section 25-7-109(2), C.R.S., provides the authority for the Commission to adopt and modify emissions control regulations pertaining to visible pollutants, particulates and sulfur oxides. Section 25-7-109(5) authorizes the commission to grant a rule change it feels is appropriate for periods of start-up, shutdown or malfunction or other conditions which justify temporary relief from controls. Section 25-7-105(1) provides the authority for the Commission to make SIP revisions. Section 25-7-133(4)(a) provides the Commission with the flexibility to determine what are necessary elements for the SIP. The Commission's action is taken pursuant to authority granted and procedures set forth in sections 25-7-105, 25-7-109, and 25-7-110, C.R.S.
Purpose The revisions to Regulation No. 1 and No. 6 are intended to provide a specific amount of flexibility related to compliance with opacity limitations and sulfur dioxide averaging provisions for coal-fired electric utility boilers during periods of startup, shutdown and upset. These revisions replace what is believed to be a problematic standard for these specific sources. CUC has demonstrated that there are instances during which these sources cannot comply with the 30% opacity limit and the SO2 emissions limit during start-ups and shutdowns. Although these sources may exceed the opacity limit, CUC has presented the Commission with a study prepared by Radian Corporation, which concludes that removing the 30% opacity limit for these sources will not result in such an increase in emissions that Colorado will likely violate the National Ambient Air Quality Standards or other federal requirements. CUC proposed replacement of the 30% limit with a standard that more closely mimics the federal standard, and which these sources will have more certainty complying with, particularly for Title V compliance certification requirements. CUC also provided an ambient air analysis related to SO2 emissions which concluded that allowing a modification of SO2 limitations for the periods of startup, shutdown and malfunction would have no adverse impact on related federal requirements.
The Division agreed that some flexibility in complying with the 30% opacity limit was appropriate for these sources. The Division also proposed replacing the 30% opacity limit. Action Taken The Commission concludes that a rule change is appropriate for this category of sources and is removing the application of the 30% opacity limitation to these sources during periods of start-up, shutdown and upset. In addition, the Commission agrees that a rule change is merited from the current treatment of SO2 emissions during periods of start-up, shutdown and malfunction. The Commission also concludes that this rule can be made clearer and easier to implement through the changes adopted.
The Commission adopts language substantially similar to the federal New Source Performance Standard requirement that, during periods of startup, shutdown and malfunction, these sources, to the extent practicable, shall maintain and operate associated air pollution control equipment in a manner consistent with good air pollution control practice for minimizing emissions. In the Commission's view, incorporating this standard will provide an important balance to the removal of the 30% limit.
The federal New Source Performance Standard refers to “malfunctions,” while the Commission has adopted an “upset” provision. The Commission finds that these two terms are substantially similar, with the exception that an upset must be properly reported to the Division to be excused. In order to avoid confusion, the Commission decided to use the term upset consistent with the Common Provisions Regulation.
The Division expressed concern that the "good practices" standard is subjective and requires substantially more resources to enforce than a numerical limit. In addition, without the 30% limit, opacity from these facilities could be at very high levels for periods of time. The Commission concurs and in this regulation adopts the Division's proposed measures to limit the overall time during which a source may exceed the underlying 20% opacity restriction. Good Air Pollution Control Practices This regulation sets overall limits, by percentage of operating time, during which opacity may exceed 20% and SO2 emissions may exceed regulatory maximums. In the Commission's view, this will allow more flexibility for the utilities without leaving them free of reasonable restriction. The percentages were determined based on a percentile of the exceedance times for all such sources within the state. Exceedance times were calculated based on the excess emissions reports submitted by each of the utilities over the last several years. These times included the periods of excess emissions due to the events listed in Regulation No. 1, section II.A.4 [fire building, cleaning of fire boxes, soot blowing, start-up, process modification and adjustment or occasional cleaning of control equipment], as well as shutdowns and upsets. Accordingly, the data upon which the Commission based its adoption of the percentages used to define good air pollution control practices included all times during which a source exceeded the applicable opacity limitation. In turn, the percentages adopted as the definition of good air pollution control practices include all times during which a source exceeds the 20% opacity limitation. Thus, all periods of start-up, shutdown, upset, fire building, process modification and adjustment or occasional cleaning of control equipment will be counted against the unit’s compliance with the percentages.
This general rule does not apply in two circumstances. First, start-ups following planned maintenance outages which require significant changes at the facility are treated separately, because the Commission concluded that these infrequent events posed particular difficulties for the utilities. It appears that the duration of these events can not be reasonably predicted and they are not to be included in the calculation of the source’s compliance percentages. However, in order to ensure accountability of these sources during planned outages, the Commission is imposing requirements for advance notice to the Division. Advance notice will ensure that these are, indeed, planned outages. The notice must include a plan for minimizing emissions and an estimate of the time during which controls will not be operable while the unit is in operation, both in order to prevent inordinate startups beyond reasonable limits. During start-ups, the source must still use good air pollution control practices. An additional definition of start-up is provided to add certainty for all concerned about the duration of these significant planned outage start-ups. In addition, the Commission restricts the application of the planned maintenance outage exception to events requiring significant changes at the facility, such as replacement of major facility components or installation of new processes (e.g., installation of low NOx burners). This exception addresses changes from which the resulting impact on plant operations cannot accurately be predicted. The exception is not intended to allow exclusion of excess emissions resulting from routine maintenance outages, such as annual replacement of standard equipment, from calculation of the exceedance percentage time allowance. Second, opacity emissions which are not a result of the combustion of fuel in the steam generating unit are excluded from the calculation of the compliance percentage. This approach is consistent with the federal New Source Performance Standard found at 40 CFR Part 60, Subpart Da. The Commission concludes that these emissions control measures are not intended to limit emissions from cleaning of fire boxes, soot blowing and other activities when a unit is off-line, i.e., when no fuel is being fed to the unit. In addition, there are technical concerns related to the ability of monitoring devices to operate accurately when the unit is off-line. The Commission agrees that all of these sources can perform somewhat better and intends that the percentages will serve as an as an achievable measure of good air pollution control practices during these specific periods. This approach will also force poorer-performing facilities to improve their operations and maintenance practices and bring their exceedance levels down to one more consistent with that at other facilities. For baghouse-equipped boilers, a single percentage will suffice for the indefinite future. However, utility units using electrostatic precipitators to control particulate emissions present more complicated issues. Accordingly, the Commission elected to provide an interim period of approximately three years during which these units will have a higher allowance percentage.
The Commission does not impose at this time a requirement for electrostatic precipitator- equipped facilities to achieve the same exceedance percentage time allowance as baghouses. However, the Commission’s ultimate goal is for ESP-equipped facilities to meet the same compliance standard as is today imposed on baghouses.
The Commission endorses the concept that the utilities conduct a study to evaluate operations and maintenance practices and equipment modifications at ESP-equipped facilities. The purpose for this study is to improve understanding of the operators, the Division and the Commission related to ESP operations and potential improvements. The results of this study are not intended for use as evidence that pre-study operations do not constitute good air pollution control practices.
The Commission did not agree with the CUC proposal for limitations on the duration of individual incidents of start-up and shutdown because this approach also is subjective and would require more resources to enforce. The Sierra Club proposal, although substantially similar to that presented by the Division, would require enforcement with exceedance allowances calculated for each ESP-equipped facility. The Commission is not convinced that the benefits of a more specific exceedance allowance justify the resources required to enforce these percentages. The allowance percentages will give both sources and the Division a clear definition and reasonable limits to the concept of "good air pollution control practices." This definition limits sources from arguing that longer periods of exceedance are good practices. The definition is also intended to allow the Division to investigate the source’s practices and determine whether, in light of their compliance history, process and control equipment and operations and maintenance procedures, the source is using good practices. This treatment of good practices will in no way prevent the Division from initiating an enforcement action if the Division determines that a source is not using "good air pollution control practices," regardless of the amount of time the source has been in violation of the 20% opacity standard. The Division may use any available information in order to evaluate whether the source is using good practices. Federal and State Statutory, and State Implementation Plan, Issues The Commission is cognizant that §193 of the federal Clean Air Act precludes revisions to the state implementation plan relating to nonattainment areas which do not provide equivalent or greater emissions reductions to the existing provisions of the plan. Even under this federal law, however, the Commission is entitled to modify its plan to make it more cost-effective and to improve overall compliance and implementation. The Commission concludes that the Division's proposal does not represent a relaxation of the existing rule. The regulatory change removing application of the 30% opacity limit appears on first impression to relax requirements for these units. However, by limiting the overall time during which the units may exceed the 20% opacity limit, the Commission believes this approach will result in at least the same levels of compliance with the opacity standard and will likely result in lower overall emissions. The Commission is also aware that section 110 of the federal Clean Air Act imposes additional limitations on revisions to the state implementation plan. CUC presented information relating to the impact of its proposal on ambient air concentrations. The Commission relied on this information, although it did not adopt the CUC proposal for defining and limiting "good air pollution practices." The Commission concludes that the changes made in this rulemaking will not lead to increased emissions in amounts substantial enough to interfere with the state's programs to attain and maintain the NAAQS or any other federal requirements. The Commission also has evaluated the proposal adopted pursuant to the standards of section 25-7-105.1, C.R.S. This rule change and the compliance levels adopted today for these limited periods for coal-fired electric utility boilers clarify the federal narrative standard adopted, providing both the utilities and the Division with greater levels of certainty. The levels also put a practical limit on excursions by these sources above the opacity and SO2 emissions limits and aid in ensuring that the NAAQS are attained or maintained and that no other applicable requirements are adversely affected.
The Commission has determined that continued enforcement of the Regulation No. 1 opacity provisions were relied on in development of the Denver PM10 element of the state implementation plan. The provisions deleted from Regulation No. 1 pertaining to electric power plants therefore must be replaced with substantially equivalent requirements. In the past, the Division’s enforcement discretion has been exercised to effectively allow 5% noncompliance by these sources. Substantial regulatory ambiguity in the opacity limitations applicable to startup and other periods also led to uncertainty and lower compliance levels. These revisions are substantially equivalent or better in their impact on emissions to the results of current law and practice because that past practice led to lower compliance than the anticipated compliance levels which will result from these changes. The Commission finds that these modifications are necessary as parts of the state implementation plan. The Commission also concludes that these revisions are not more stringent than federal requirements, considering the historical “5% policy” used by the Division and EPA. Accordingly, the Commission concludes that these changes should be forwarded to the General Assembly for review and then to EPA for inclusion in the state implementation plan.
Finally, the Commission adopts these rule changes subject to a delayed effective date insofar as the revisions apply to sources within the Denver PM10 nonattainment area. The Environmental Protection Agency has expressed concerns about the potential effect of this rule change on the pending approval of the PM10 element of the state implementation plan for the Denver nonattainment area. In order to ensure that the proposed approval of the PM10 element for the Denver nonattainment area is not endangered, the Commission designates the effective date for these revisions as they apply to sources within this nonattainment area as the date on which EPA approves these changes as a revision to the state implementation plan. The Commission has taken into consideration the items enumerated in section 25-7-109(1)(b), C.R.S. The Commission also makes the following findings regarding the adoption of these rule changes:
1. The Commission has considered, and has based its decision, on the reasonably available, validated, reviewed and sound scientific methodologies and information made available by the parties.
2. Where these revisions are not administrative in nature, the record supports the conclusion that the provisions adopted will result in a demonstrable reduction in air pollution. This reduction is accomplished because the overall exceedance levels of the facilities will be lowered under the proposal adopted.
3. The revisions selected maximize the air quality benefits of the emissions standards that apply. The revisions selected are the most cost-effective based on the documents submitted by the parties under section 25-7-110.5, and provide the regulated community with flexibility in meeting emissions limitations. Although the overall level of exceedances should be reduced under this rule change, operators of the units affected will have greater flexibility in start-up and shutdown of the facilities without incurring a violation. In addition, the greater levels of certainty provided by these changes will allow operators of affected facilities to more readily certify compliance with these applicable requirements under the Title V operating permit program.
D. Adopted: February 21, 2002 Deletion of Section II.C.3.a., to be consistent with recent revisions to Regulation No.1. Background This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Administrative Procedures Act, C.R.S. (2001), Sections 24-4-103(4) and (12.5) for adopted or modified regulations.
Basis The rule deletes section II.C.3.a., in Part B (and associated footnote) in order to conform the regulation to revisions made by the commission to Regulation No. 1 on August 16, 2001. Authority Sections 25-7-105(1)(b) and 25-7-109, C.R.S. (2001) authorize the Commission to adopt emission control regulations, including emission control regulations relating to new stationary sources.
Purpose The removal of the provision in section II.C.3.a., of Part B (and associated footnote), concerning coal-fired electric utility boilers was made to conform the regulation to changes made to Commission Regulation No. 1 on August 16, 2001. The provision was added to Regulations No. 1 and 6 in 1996, but was never approved by the EPA. In April 2001, the commission adopted an affirmative defense rule in the Common Provisions Regulation to address the technical concerns related to continuous opacity monitors when boilers and process equipment at coal-fired electric utility plants are shut off. As a result, the commission removed conflicting and confusing language from Regulation No. 1 in August 2001. Deletion of this provision conforms Part B with the action taken by the commission in Regulation No. 1 and removes any potential confusion or conflict with respect to the regulated community.
IX. STATEMENTS OF BASIS, SPECFIC STATUTORY AUTHORITY, AND PURPOSE This Statement of Basis, Specific Statutory Authority and Purpose complies with the requirements of the Colorado Administrative Procedures Act, section 24-4-103, C.R.S. and the Colorado Air Pollution Prevention and Control Act, section 25-7-110.5, C.R.S.
Annual Update Basis The EPA promulgated a new federal NSPS for Other Solid Waste Incineration Units (OSWI) on December 16, 2005 at 40 C.F.R. Part 60, Subpart EEEE. In addition, EPA promulgated amendments to the following standards: 40 C.F.R. Part 60, subparts Cb, Da, Db, Dc, AA, AAa, GG, and Appendix B. The State of Colorado is required under Sections 110 of the Federal Clean Air Act, as amended, to adopt such NSPS and Emission Guidelines into its regulations in order to maintain agency authority with regard to the Standards.
Specific Statutory Authority The general authority for this regulation is contained in the Colorado Air Pollution Prevention and Control Act. Sections 25-7-105(1)(b). Specific authority is found at 25-7-109, which provides authority to adopt emission control regulations. Section 25-7-106(6) provides the Commission authority to require testing, monitoring and record keeping. Commission action in promulgating these revisions is taken pursuant to Sections 25-7-105 to -109 and 25-7-114, C. R. S., as amended. Purpose Adoption by reference of amendments to the federal regulations at 40 C.F.R. Part 60, Subparts Cb, Da, Db, Dc, AA, AAa, GG, and Appendix B will make these revised standards enforceable under Colorado law. Adoption of the amendments will not impose upon sources additional requirements beyond the minimum required by federal law, and may benefit the regulated community by providing sources with up- to-date information.
Further, these revisions will include any typographical and grammatical errors throughout the regulation. COLORADO AIR QUALITY CONTROL COMMISSION ADOPTED: SEPTEMBER 21, 2006