ILLINOIS POLLUTION CONTROL BOARD
    November
    8, 1990
    IN THE MATTER OF:
    )
    R88—30(B)
    LIMITS TO THE VOLATILITY
    )
    (Rulemaking)
    OF GASOLINE
    )
    PROPOSED RULE.
    SECOND NOTICE
    OPINION AND ORDER OF THE BOARD
    (by J.D.
    Dumelle):
    On July 19,
    1990 the Board proposed for First Notice a
    rulemaking to limit the volatility of gasoline sold in
    Illinois.
    The R88—30 subdocket
    (B) proposal would limit gasoline
    sold
    in Illinois during the summer
    (i.e., June
    1 to September
    15)
    to 9.0 pounds per square inch
    (psi) Reid Vapor Pressure
    (RVP).
    The Board ordered that an Economic Impact Study
    (EcIS)
    be
    undertaken by the Department of Energy and Natural Resources
    (DENR).
    The EcIS was delivered
    to the Board by DENR on June
    27,
    1990.
    The Board today adopts
    the subdocket
    (B) proposal, with
    modifications noted below,
    for Second Notice and directs its
    submission to the Joint Committee on Administrative Rules
    (JCAR).
    The subdocket
    (B) proposal was published in the Illinois
    Register on August
    10,
    1990,
    14
    Ill. Reg.
    12697,
    thereby
    beginning a forty—five
    (45) day public comment period.
    Public
    hearing was scheduled for September 17, 1990.
    Four
    (4) public
    comments were submitted prior
    to hearing.
    Hearing was conducted
    on September 17,
    1990 at which four
    (4) organizations presented
    testimony.
    Four
    (4) post—hearing comments were submitted.
    PROCEDURAL HISTORY
    The Board
    first notes
    that regulations pertaining
    to
    gasoline volatility were introduced in December of 1988.
    The
    proposal was subsequently split
    into two dockets
    (A)
    and
    (B)II.
    While docket
    (A) did proceed to Final Adoption,
    the Board was
    forced to undertake an emergency rulemaking effective only for
    the July and August of
    1990 due to some late—filed language from
    the USEPA, the acceptance of which was necessary for federal
    approval.
    That
    is, docket
    (A) as
    a finalized version was
    unenforceable because the language contained
    in the regulation
    did not comport with federal requirements and therefore could
    not
    be adopted as a revision to the State Implementation Plan
    (SIP).
    Consequently, an emergency rule was promulgated.
    This
    rule adopted the necessary federal language and therefore
    regulated the gasoline volatility requirements in Illinois for
    the summer of 1990.
    Since the inception of the Board proposal
    in January of
    1989, Federal rules regarding gasoline volatility have been
    116—133

    —2—
    finalized.
    These provisions mandate that as of June 1,
    1992,
    gasoline sold at retail in Illinois will be limited to
    a
    volatility standard of
    9.0 psi.
    These provisions are applicable
    from June
    1 to September 15 for 1992 and each year thereafter.
    As a result,
    the State of Illinois
    is
    in a position whereby
    gasoline volatility in the summer of 1991
    is currently left
    unregulated with the exception of the Phase
    I
    standard of
    10.5
    psi.
    In large measure, this is why the Board went to First
    Notice prior to any merit hearings.
    As the First Notice Order
    stated:
    The Board initiates this proposal
    at this time
    to begin the rulemaking process pursuant to
    the Administrative Procedure Act
    as well as
    to
    allow the potentially affected parties
    sufficient
    time to argue substantive issues
    and possibly adjust to new standards.
    (R88—30(B), Board Order, July
    19,
    1990,
    Pg.
    1)
    In short, the Board was concerned that
    a rule be
    in place
    for the summer of
    1991.
    Further,
    the Board desired to formulate
    a rulemaking
    in which all of the participants would have an
    opportunity to voice
    their concerns and recommendations.
    Finally,
    the Board initiated this rule on July 19,
    1990 so that
    industry would be allowed sufficient lead time in order to comply
    with the prospect of new regulations
    should they be adopted.
    HEALTH EFFECTS
    At the outset
    the Board notes that
    it adopts those
    determinations made regarding health and environmental effects
    in
    docket
    (A)
    as well as the emergency
    rule.
    Put another way,
    it
    remains the Board’s determination that ozone pollution is one of
    the nation’s most serious and complex air pollution problems.
    Ozone
    is
    a photochemical oxidant and the major component of
    smog.
    Unlike other pollutants, ozone
    is not emitted directly
    into the atmosphere but
    is formed through chemical reactions
    among precursor emissions
    (volatile organic compounds or VOCs,
    nitrogen oxides,
    carbon monoxide and other compounds)
    in the
    presence of sunlight.
    The rate of ozone production is increased
    when atmospheric temperatures are warmer.
    Scientific data has demonstrated the effect high levels of
    ozone have on the general public.
    Ozone severely affects
    individuals with chronic heart,
    lung, and circulatory system
    diseases.
    Otherwise healthy individuals who exercise while ozone
    levels are high can experience reduced functioning of the lungs,
    leading to chest pains, coughing, wheezing,
    and pulmonary
    congestion.
    In addition to the health effects, ozone has been
    estimated to cause two to three billion dollars worth of crop
    116—134

    —3—
    damage nationally each year.
    Also,
    because the Chicago area has
    exceeded the ozone standard repeatedly, USEPA has imposed a
    construction ban on the Chicago non-attainment area which
    prohibits the construction or modification of major air pollution
    sources and thus restricts the economic development of the
    Chicagoland area.
    ECONOMIC IMPACT
    STUDY
    (EcIS)
    As mentioned above,
    DENR submitted its EcIS on June 27,
    1990.
    The main purpose of the EcIS was to explore whether
    a 9.0
    psi standard in Illinois would be economically or technically
    unreasonable, or pose an economic hardship in terms of supplying
    gasoline to Illinois.
    DENR concluded that a reduction from 9.5
    psi
    to 9.0 psi would result in a statewide reduction of
    approximately fifty—six
    (56)
    tons per day
    (TPD) of volatile
    organic compounds (VOC).
    DENR estimated the cost of
    this
    reduction to be approximately 1.5 cents per gallon.
    At hearing
    these figures were undisputed by any participant.
    ISSUES PRESENTED AT HEARING
    The first presentation came from Cheryl Newton,
    a
    representative from the USEPA.
    The USEPA was supportive of both
    the industry and the Board in their efforts
    to reduce VOC
    emissions
    in order to achieve the national ozone ambient air
    quality standard.
    In spite
    of the fact that the emergency rule
    promulgated by the Board was only enforceable from August
    17 to
    the 31st in 1990,
    evidence gathered by federal samplers indicated
    that the petroleum industry had adhered to the regulation
    throughout the control period.
    According
    to USEPA,
    the majority
    of samples not only met the state’s 9.5 psi standard,
    but much of
    the fuel tested was below 9.0 psi as well.
    Only two violations
    were detected and both were traced to a distributor who had
    violated the federal RVP limit before.
    (R.
    at 12—13).
    Primarily due
    to the health benefits associated with the
    reduction of VOC compounds,
    the USEPA recommended that the Board
    adopt a future control period of May
    1 to September 15.
    Yet
    USEPA also stated
    both
    in oral testimony and
    in public comment
    form
    -
    that enforcement regarding retail outlets and other end
    users should be delayed until June 1st.
    Not only would this make
    the state and federal rules consistent, but
    it will reduce any
    undue burden on the end-users.
    Finally the USEPA recommended
    that the Board should adopt
    the 0.3 psi testing tolerance which
    was included in phase two of the federal
    rule.
    Next to testify was Maggie Robbins,
    representing the
    proponent of this rulemaking,
    the Chicago Lung Association
    (CLA).
    In its brief testimony the CLA encouraged
    the Board to
    move ahead with this proposal.
    The CLA also submitted a gasoline
    industry newsletter
    (P.C.
    #69) which indicates that several
    116—135

    —4—
    petroleum companies nationwide are currently marketing
    reformulated gasolines which are low in volatility
    in very
    tight
    markets
    (R.
    at
    17).
    The CLA pointed out that these marketing
    strategies do not conform to ASTM distribution areas
    nor do they
    correlate to pipeline distribution areas.
    In retort,
    the
    representatives from the petroleum companies pointed out that
    these were special marketing strategies which were not required
    by law.
    As such,
    if spot shortages or other unforeseen events
    occurred, those companies participating in those marketing
    strategies could alter their course without the fear of any
    enforcement action.
    The last to testify were Daniel Moenter and David Sykuta,
    representing the Illinois Petroleum Council
    (IPC).
    IPC
    is
    concerned that a 9.0 psi standard would pose a series of
    distribution problems for petroleum companies.
    They are not as
    concerned about the 9.0 psi standard per se~rather,
    their
    worries stem from the fact that neighboring states
    under phase
    I of the federal
    rule
    will have psi rates of
    10.5 and 9.5.
    (R.
    at 35).
    Missouri,
    for instance, will be set at 9.5 psi whereas
    states such as Michigan and Wisconsin will
    be at
    a 10.5 psi rate
    during the control period proposed for Illinois
    in the summer of
    1991.
    Should
    the proposal
    be adopted, then,
    Illinois would have
    a lower psi standard than all of the adjacent states.
    The IPC points out that because the reductions that have
    already taken place constitute an 80
    reduction in VOC emissions
    (this analysis assumes a
    9.5 psi standard),
    to place such an
    imposition on them to further
    reduce in light of the incremental
    gain
    is not warranted.
    That is,
    “the vast majority of the air
    quality benefits have already been achieved under the current
    Docket A and 9.5 standard”.
    (R. at p.
    29).
    The IPC further stated that if the Board disagrees and
    adopts
    the 9.0 psi standard,
    then it should only apply
    to the
    months of July and August.
    While insisting that the distribution’
    problems would
    remain,
    IPC maintained that the shorter control
    period would reduce their burden.
    For example,
    the
    IPC stated
    that
    in order
    to prepare for
    a two month control period at the
    retail level, preparations would have to be made beforehand and a
    trailing effect would occur.
    Thus higher volume outlets would be
    selling lower volatility fuel earlier than July 1st while those
    markets which did not turn over their product as rapidly would
    still be selling lower volatility gasoline after the regulatory
    timeframe had expired.
    The IPC came
    to the conclusion that this
    essentially creates a three and a half month program under the
    current regulation
    docket
    (A)).
    (R. at 28—29).
    In addition,
    IPC requested some alterations
    in section
    215.585(g).
    Essentially
    this language would serve
    as a catalyst
    for adopting new tests to measure gasoline volatility without the
    burden of going through an entire rulemaking process.
    The
    116—136

    —5—
    testing methods currently
    in place are the so—called “dry
    tests”.
    Under these
    tests, the volatility measurements are
    subject
    to variations of up to 0.5 and testing must be undertaken
    in laboratory settings.
    The IPC, upon information and belief,
    has been led to believe that the USEPA will be adopting a new
    test called the
    “Granbner”
    test.
    This measurement
    is not only
    accurate, but can be done
    in the field and
    is thus more
    convenient as well as cheaper.
    At hearing the representative from USEPA committed to
    screening this concept through headquarters.
    As a result,
    the
    USEPA submitted a public comment endorsing the use of
    this
    language
    (P.C.
    #73).
    Accordingly the Board has inserted this
    provision
    in docket
    (B).
    POST-HEARING COMMENTS
    While the Illinois Environmental Protection Agency (Agency)
    did not participate at hearing,
    it did submit a public comment.
    (P.C.
    #76).
    The Agency determined that the projections
    of the
    CLA as well as the DENR
    in regards to VOC reductions were
    underestimated.
    The Agency correctly points out that the DENR’s
    study analyzed the reductions that a 9.0 psi standard
    Docket
    (B)
    would achieve relative to
    a 9.5 psi standard Docket
    (A).
    Yet that 9.5 psi standard as articulated in the emergency rule
    has since expired and docket
    (A)
    is federally unacceptable as a
    SIP revision, leaving only the Phase
    I federal rule of 10.5
    psi.
    As such,
    the correct barometer would be any savings against
    the federal standard.
    The Agency estimates this reduction to be
    303 TPD.
    (P.C.
    #76).
    The Agency found DENR’s estimated cost of 1.5 cents per
    gallon to be within reason.
    It noted that the USEPA estimate
    contained
    in the June 11 Federal Register under the Phase
    II RVP
    rules was 1.1 cents per gallon.
    Also noteworthy was the fact
    that the USEPA had determined two economic benefits to lower RVP
    fuel:
    “fuels economy credit” and “evaporative recovery
    credit”.
    The former occurs because lowering RVP requires
    refiners
    to substitute components for butane which have greater
    energy density and thus allow the consumer
    to purchase fewer
    gallons of gasoline for the same amount of travel.
    The latter
    occurs when a portion of
    the lower RVP fuel does not evaporate
    and therefore allows consumers to purchase less.
    (P.C.
    #76 at
    19).
    Finally, the Agency requests that the Board’s proposal
    in
    docket
    (B)
    be limited to 1991 only.
    The Agency documents the
    cost of enforcing such
    a program and notes
    that the federal
    program will be
    in place as of
    1992.
    In short
    the Agency submits
    that docket
    (B)
    should be adopted as a one—year
    rule,
    thereby
    maximizing the reduction
    in VOC emissions and minimizing
    the
    State’s long term efforts
    of enforcing duplicative regulation
    with no additional emission reduction benefit.
    116—137

    —6—
    DISCUSSION
    Given all of the evidence, the Board finds that
    implementation of the federal standard (9.0 psi)
    for the period
    of June 1st to September 15th in 1991
    is economically reasonable
    and technically feasible.
    Equally significant,
    it
    is
    environmentally desirable.
    There is little doubt
    that such a rule will impact petroleum
    distributors and
    refineries.
    Yet the same can be said of the
    Emergency Rule
    in 1990 as well as the Federal Phase II plan.
    Indeed, the industry stated that they were sending 9.0 psi
    gasoline in order
    to meet the 9.5 psi goal of docket
    (A).
    In terms of
    control period,
    the three and
    a half month
    version put forth in docket
    (B)
    is directly related to the time
    period
    in which evaporation from gasoline sources occur.
    The
    Chicago area has had ozone violations
    in June and September as
    well as July and August.
    The federal Phase
    II program is a
    codification of this knowledge.
    Moreover,
    it will be the
    consumer who ultimately pays the cost.
    (R. at 64—65).
    But there exist many differences between docket
    (A) and
    docket
    (B).
    Unlike docket
    (A),
    (B)
    will contain a test tolerance
    of 0.3 psi.
    The industry,
    therefore, will not have to ship a
    product which measures 8.5 psi
    in order
    to meet the articulated
    standard.
    In other words,
    the Board accepts the notion that
    variations exist when attempts are made to measure fuel
    volatility.
    And given the good faith exhibited by the petroleum
    industry throughout
    the course of this proceeding,
    they should be
    given the benefit of the doubt.
    In order
    to meet the
    enforceability standard of 9.3 then,
    the industry would have to
    ship gasoline with volatility between 8.8 psi and 9.0 psi.
    Since
    much of the gasoline tested in the summer of
    1990 was
    in fact
    under
    9.0 psi, the Board does not forsee this to be an undue
    burden.
    Another aspect of docket
    (B)
    is the seemingly staggering
    cost of compliance.
    The DENR accepted the IPC’s estimate that
    it
    would have to spend $65 million in order
    to. comply with docket
    (B).
    This amount includes money
    that must be spent
    in any event
    in order to comply with the federal regulations effective
    in
    1992.
    Regardless of
    these transitional costs, however,
    there
    is
    no doubt that the consumer ultimately incurs the cost.
    (R. at 13—
    14).
    USEPA and DENR estimate this cost
    to be between 1.1 and 1.5
    cents per gallon.
    Because we are dealing with thousands of tons of VOC
    emissions over the course of a summer,
    the Board disagrees with
    IPC’s assessment that going from 9.5 psi to 9.0 psi increases
    costs with only “incremental” benefits.
    The Agency estimates
    116—138

    —7—
    that without a Board rule in place the average daily VOC
    emissions would be 1430 TPD.
    But with a 9.0 psi standard, daily
    emissions would be reduced to 1130 TPD.
    Over the course of the
    regulatory period
    (June
    1 through September 15),
    this represents
    a total of 32,421 tons of VOC emissions.
    Even by the standards
    estimated by DENR,
    the difference would represent over 30,000
    tons of VOC emissions.
    In short,
    the Board does not view this as
    incremental or minor, especially
    in light of the two non—
    attainment areas located in this state.
    Finally,
    the USEPA’s
    determination to limit RVP to 9.0 psi
    in addition to the test
    results obtained over the regulatory period
    in 1990 convince the
    Board that docket
    (B)
    is both economically reasonable and
    technically feasible for the proposed control period.
    ORDER
    The proposed amendments are hereby adopted for Second Notice
    and the Clerk
    is directed to submit the proposal to the Joint
    Committee on Administrative Rules.
    TITLE 35:
    ENVIRONMENTAL PROTECTION
    SUBTITLE
    B:
    AIR POLLUTION
    CHAPTER
    I:
    POLLUTION CONTROL BOARD
    SUBCHAPTER c:
    EMISSION STANDARDS AND LIMITATIONS FOR
    STATIONARY SOURCES
    PART 211
    DEFINITIONS AND GENERAL PROVISIONS
    SUBPART
    B:
    DEFINITIONS
    Section
    211.121
    Other Definitions
    211.122
    Definitions
    Section 211.122
    Definitions
    “Transfer Efficiency”:
    ratio of the amount
    of coating solids
    deposited onto
    a part or product
    to the total amount
    of coating
    solids used.
    PART 215
    ORGANIC MATERIAL EMISSION STANDARDS AND LIMITATIONS
    SUBPART Y:
    GASOLINE DISTRIBUTION
    Section
    215.581
    Bulk Gasoline Plants
    215.582
    Bulk Gasoline Terminals
    215.583
    Gasoline Dispensing Facilities
    215.584
    Gasoline Delivery Vessels
    215.585
    Gasoline Volatility Standards
    116—139

    —8—
    Section 215.585
    Gasoline Volatility Standards
    a)
    No person shall sell, offer
    for sale, dispense, supply,
    offer
    for supply,
    or transport for use in Illinois
    gasoline whose Reid vapor pressure exceeds the
    applicable limitations set forth
    in subsections
    (b) and
    (c)
    during the regulatory control periods,
    which shall
    be
    ~y
    3 June
    1 to
    At~t~
    3~September
    15 for retail
    outlets, wholesale purchaser—consumer facilities, and
    all other facilities.
    b)
    The Reid vapor pressure of gasoline,
    a measure of its
    volatility,
    shall not exceed 9~S9.0 psi
    (6S--S 62.1 kPa)
    during the regulatory control period in l99Gi ~nd
    each
    year thereafter only.
    C)
    The Reid vapor pressure of ethanol blend gasolines shall
    not exceed the limitations
    for gasoline set forth in
    subsection
    (b)
    by more than 1.0 psi
    (6.9 kPa).
    Notwithstanding
    this limitation, blenders of
    ethanol
    blend gasolines whose Reid vapor pressure
    is less than
    1.0 psi above the base stock gasoline immediately after
    blending with ethanol are prohibited from adding butane
    or any product that will increase the Reid vapor
    pressure of
    the blended gasoline.
    d)
    All sampling of gasoline required pursuant to the
    provisions of this Section shall be conducted by one or
    more of the following approved methods or procedures
    which are incorporated by reference
    in Section 215.105.
    1)
    For manual sampling, ASTM D4057;
    2)
    For automatic sampling, ASTM D4l77;
    3)
    Sampling procedures
    for Fuel Volatility,
    40 CFR 80
    Appendix D.
    e)
    The Reid vapor pressure of gasoline shall be measured
    in
    accordance with
    e4ther
    ~
    Method
    ASPM B323 or a
    modification of ASTM D323 known as the “dry method” as
    set forth in 40 CFR 80, Appendix E, incorporated by
    reference in Section 215.105.
    For ga~e~4t~e
    exygerta~e
    b~ertdewh~ehee~a4~
    w
    er—ex~rac~ab~e
    exy~erta~e~
    the
    Re4d
    vapor
    pre,,t~re~ha~
    ~e meast~red~
    the dry
    Method ~ee~ For purposes of enforcement of the Reid
    vapor pressure limitations
    set forth in subsections
    (b)
    and
    (c),
    no enforcement action shall be initiated unless
    the Reid vapor pressure measured by the Agency is more
    than 0.3 psi (2.1 kPa)
    greater
    than the applicable
    standard.
    116—140

    —9—
    f)
    The ethanol content
    of ethanol blend gasolines shall be
    determined by use of one of the approved testing
    methodologies specified
    in 40 CFR 80, Appendix F,
    incorporated by reference
    in Section 215.105.
    g)
    Any alternate to the sampling or testing methods or
    procedures contained in subsections
    (d),
    (e), and
    (f)
    must be approved by the Agency, which shall consider
    data comparing the performance of the proposed
    alternative
    to the performance of one or more approved
    test methods or procedures.
    Such data shall accompany
    any request for Agency approval
    of any alternate test
    procedure.
    If the Agency determines that such data
    demonstrates that the proposed alternative will achieve
    results equivalent
    to the approved test methods or will
    achieve results equivalent
    to the approved test methods
    or procedures,
    the Agency shall approve the proposed
    alternative.
    Upon approval
    of the alternate sampling
    or
    test methods or procedures contained
    in subsections
    (d),
    (e), and
    (f),
    the Agency will submit
    the methods or
    procedures
    to the United States Environmental Protection
    Agency (USEPA)
    as
    a revision to the State plan.
    Alternate methods or procedures become effective only
    upon approval of the incorporation of the alternate
    method or procedure
    in the State plan by USEPA, unless
    such alternate method or procedure has previously been
    approved by USEPA for use
    in conjunction with a
    federally—promulgated gasoline volatility regulation,
    in
    which case the alternate method or procedure becomes
    effective immediately upon approval by the Agency.
    h)
    Each refiner
    or supplier that distributes gasoline or
    ethanol blends shall:
    1)
    During
    the regulatory control period,
    state
    that
    the Reid vapor pressure of all gasoline
    or ethanol
    blends leaving the refinery or distribution
    facility for use
    in Illinois complies
    with
    the Reid
    vapor pressure limitations set forth in Section
    215.585(b)
    and
    (c).
    Any facility receiving this
    gasoline shall be provided with a copy of an
    invoice, bill of lading, or other documentation
    used
    in normal business practice stating that the
    Reid vapor pressure of the gasoline complies with
    the State Reid vapor pressure standard.
    2)
    Maintain records for a period of one year on the
    Reid vapor pressure, quantity shipped and date of
    delivery of any gasoline or ethanol blends
    leaving
    the refinery or distribution facility for use
    in
    Illinois.
    The Agency shall be provided with copies
    of such records
    if requested.
    116—141

    —10—
    ~j
    Each retail outlet and each facility operated by
    a
    wholesale purchaser—consumer shall,
    during the
    regulatory control period, maintain records regarding
    each delivery of gasoline, which shall include
    documentation of compliance with the Reid vapor
    pressure, limitations set forth
    in Section 215.585
    (b)
    and
    (c), quantity received and date received.
    The
    Agency shall be provided with copies of such records,
    if
    requested.
    ~jJ
    This Section is effective for 1991 only.
    IT IS SO ORDERED.
    J. Anderson and J.C. Marlin concurred.
    I, Dorothy M. Gunn,
    Clerk of the Illinois Pollution Control
    Board,
    hereby certify that the
    ove Opinion and Order was
    adopted on the
    9~I
    day of
    ~
    ,
    1990 by a vote
    Illinois P llution Control Board
    116—14
    2

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