ILLINOIS POLLUTION CONTROL BOARD
    June
    16,
    1983
    IN THE MATTER OF:
    )
    )
    R81—16
    MAJOR SOURCE CONSTRUCTION
    )
    DOCKET
    B
    AND MODIFICATION
    )
    PROPOSED OPINION
    SECOND NOTICE
    OPINION OF THE BOARD
    (by J.
    D.
    Dumelle):
    With the adoption of Public Act 81-1444 on September
    9,
    1980
    the Environmental Protection Act
    (Act) was amended to include
    Section
    9.1(d), which mandates that
    the
    Board adopt regulations
    establishing permit programs in accordance with Sections 165
    and
    173
    (42 U.S.C.
    7475 and 42 U.S.C.
    7503) of the Clean Air Act
    (CAA).
    Section 165 is
    found in
    Part
    C of the CAA, which encom-
    passes the programs for “Prevention of Significant Deterioration
    of
    Air Quality”
    in areas designated attainment;
    Section 173
    is
    found in Part D,
    “Plan Requirements for Nonattainment Areas.*
    On
    May
    1,
    1981 the Illinois Environmental Protection Agency (Agency)
    filed its proposal outlining a permit program for new and
    nod-.
    ified major stationary sources
    in both attainment and nonattain-.
    ment areas.
    Merit hearings were held
    on
    July 20 and 21,
    1981 in
    Springfield and Chicago, respectively, and again on November 2
    and 6,
    1981 in the same locales.
    Econonic hearings were held
    on
    September 20 and 27,
    1982 in Chicago and Springfield, the
    Economic Impact Study having been received on August
    6,
    1982.
    Coincidently,
    First Notice was published in the Illinois
    Register, Vol.
    6,
    Issue 32, on August
    6,
    1982.
    A final hearing
    was held on November 16,
    1982
    in
    Chi*-~gc~
    $-~o~onsid~r cml-standing
    issues, especially those arising from the District of Columbia
    Appellate Court’s decision of August
    17,
    1982 Natural Resource
    Defense Council
    v.
    Gorsuch,
    13 ERC 1225 and 1993.
    At the outset of this rulemaking the subject matter was
    separated into’ two dockets.
    The rules pertaining to the
    Prevention of Significant Deterioration
    (PSD) permit program were
    assigned to Docket
    A, while Docket B was reserved for the
    permitting rules for major sources and modifications in non—
    attainment areas.
    The latter are commonly referred to as New
    Source Review (NSR).
    Not only does Section 9.1 of the Act
    contain deadlines for adoption of the NSR rules, but Sections
    It it the wish of the Board that the knowledge and concern
    contributed to this proceeding by Irvin G. Goodman before his
    death,: and his legacy of inspiration
    be
    recognized and remem-
    bered.
    The Board also acknowledges the work of Marili MCFaWn,
    hearing officer and administrative assistant in this matter.
    52-403

    2
    11O(a)(2)(I),
    172(a)(1),
    and most specifically Section 172(b)(6)
    in accordance with Section 173 of the CAA,
    require that these
    rules
    be adopted as properly enforceable provisions
    of the State
    Implementation Plan
    (SIP).
    If they are not,
    the United States
    Environmental Protection Agency (USEPA)
    is authorized under the
    CAA to impose growth sanctions.
    To avoid such action by the
    (JSEPA, and in accordance with Illinois
    law, adoption of the NSR
    rules is proposed separately from the PSD rules;
    this Opinion and
    the accompanying Order concern only Docket B.
    Where air quality is modeled or monitored to be worse than
    that required by the National Ambient Air Quality Standards,
    in
    a
    nonattainrnent areas asdefined in Section 171(2),
    the primary
    objective
    is obviously to improve the region’s air quality as
    soon as possible.
    One avenue already established is to require
    existing sources
    to apply reasonably available control tech-
    nologies, commonly known as the RACT program
    S172(b)
    of the
    CAA.
    Another approach is to control the emissions from newly
    constructed and modified sources.
    Therefore,
    the NSR program
    consists primarily of preconstruction rules to ensure that as
    built or modified, potentially large
    sources of air pollutants do
    not contribute to a region’s air quality problems. Although the
    purpose of the NSR is similar to that of the RACT program,
    since
    it applies to sources not yet constructed or modified, NSR
    requirements are more demanding.
    These sources may only emit
    nonattainment designated pollutants at the Lowest Achievable
    Emission Rate
    (LAER).
    This is accomplished by applying the most
    stringent control technology known, and if appropriate, limita-
    tions on operating parameters.
    Furthermore,
    in accord with the
    need to improve air quality to acceptable healthy levels, these
    sources may also have to provide emission reductions from exist-
    ing sources.
    Only if it
    is proven that these emission offsets
    are unnecessary for the area’s reasonable further progress
    (RFP)
    towa~dzattainment,
    can the new source forego providing them.
    Lastly, assuming improvement of air quality through the pre—
    construction review rules contained
    in Subparts
    A,
    B and C
    three
    rules are included at Subpart F to ensure the desired improvement
    continues.
    Sources receiving construction permits pursuant to
    NSR will be required,
    to maintain the LAER operating parameters,
    to keep current any necessary emission offsets, and to monitor
    emissions to establish the source’s actual effect on the region’s
    reasonable further progress.
    SUBPART A:
    Definitions and General Provisions
    The definitions currently found at Rules
    101 and 102 of
    Chapter
    2 are applicable to this Part.
    Of particular importance
    to the NSR rules are the definitions of “emission source” at Rule
    101, and “stationary emission source” at Rule 201. An emission
    source is defined as
    “any equipment or facility of
    a type capable
    of emitting specified air contaminants to the atmosphere”.
    As
    such,
    it provides a dual definition of a source.
    A source
    is
    either an entire plant or an individual piece of process equip—
    52-404

    3
    ment within
    a plant.
    The importance of
    the dual definition
    within the context of the NSR rules
    is included at the
    “Significant Net Emission Increases”
    discussion.
    It should be
    noted that Rule 201 contains many definitions which more specif-.
    Lcally describe “equipment”,
    e.
    g. degreaser,
    firebox.
    The term
    “emission source” also provides a building block for “stationary
    emission source”.
    A stationary emission source
    is defined as
    “an emission source which is not self-propelled.”
    Obviously when
    the language
    “stationary source”
    is used in this Part, whether
    or
    not in the context of major stationary source,
    it is
    referring
    to
    a stationary emission source.
    Four of the definitions
    found in Subpart A were adopted
    verbatim in R81—20,
    Alternative Control Strategies,
    on
    June
    2,
    1983.
    They are:
    “actual emissions”,
    “allowable
    emissions”,
    “emission baseline”,
    and “potential
    to emit”.
    All
    four are important in the context of NSR,
    as well as
    for
    Alternative Control
    Strategies.* Except for “emission baseline”,
    these definitions parallel
    the federal versions found at 40 CFR
    51.18(j),
    and only the definition of “allowable emissions”
    varies from that at 40 CFR 51.18(j)(xi).
    Generally,
    “allowable
    emissions” are calculated based on a source’s maximum rated
    capacity and the applicable emission limitation found in Chapter
    2.
    However,
    if the source’s maximum rated capacity or emission
    rate is specified as a permit condition, calculating that
    source’s “allowable emissions”
    is likewise limited.
    Emission
    estimates for start—ups,
    malfunctions, or breakdowns are also
    included in a source’s allowable emissions
    if Rule 105 has been
    complied with.
    Since Rule 105 requires that these emissions be a
    part of the operating permit,
    it is appropriate that they be
    included as part of the source’s allowable emissions.
    Lastly,
    if
    a source’s allowable emissions cannot be determined,
    or are not
    established by a permit condition, then they shall be the
    source’s “potential
    to emit”.
    While the federal definition of
    “actual emissions” provides for this alternative, the federal
    definition of “allowable emissions”
    is silent.
    In either case,
    if a source’s emissions cannot be determined using the body of
    the rule,
    it is logical and certainly no less stringent to allow
    potential emissions to be used.
    Despite the fact that the terms “commence” and “construc-
    tion” are already defined in Rule 101,
    expanded definitions of
    the same are proposed for Part 203.
    “Commence” now refers to
    beginning actual on—site construction,
    as well as the act of
    entering into binding contracts to construct or modify.
    The
    *Assuming that all
    four are pertinent
    to both Parts
    202 and 203,
    it may prove appropriate to include them in the general
    definition section of Chapter
    2.
    This can be done in the course
    of
    final rulemaking on R79—14, Revisions to Chapter
    2, or R81—2,
    Codification of Chapter
    2.
    52-405

    4
    contractual obligation has been further qualified to mean that it
    cannot be broken without substantial loss to the owner or oper-
    ator.
    The definition of “construction” has been expanded to
    include not only an on—site physical change such as fabrication,
    erection or installation of an emission source, but also any
    change, physical or operational, which causes a change
    in actual
    emissions.
    As amended, the definitions
    for “commence”
    and
    “construction” are equivalent to those required by 40 CFR
    51.18(j)(l)(xvi) and
    (xvii).
    A definition of “Begin Actual
    Construction” was proposed.
    It is not included in Subpart
    A,
    hut
    is instead incorporated at Section 203.202, Preconstruction
    Permit Requirement.
    The distinction is that “commence” and
    “construction” are used throughout this Part, whereas “Begin
    Actual Construction” is not.
    Its meaning is limited to deter-
    mining when a preconstruction permit
    is required.
    The terms “available growth margin”,
    “emission offset” and
    “reasonable
    further progress” are defined in Subpart
    A;
    there are
    no parallel federal regulations.
    All are concepts fundamental to
    the entire Part,
    especially to Subpart C.
    “Secondary emissions”
    is defined identically to that found in 40 CFR 51.18(j)(l)(viii).
    Secondary emissions are those contaminants emitted due to the
    newly constructed or modified sources,
    but are not emitted by the
    source itself.
    Emissions from off—site support facilities that
    would not have, but for the new construction or modification,
    increased emissions qualify as such indirect emissions.
    However,
    increased emissions coming directly from mobile sources, i.e.
    trains and ships, which service the new major source or modified
    stationary source,
    do not.
    It should be noted that while second-
    ary emissions are not included in determining a source’s poten-
    tial to emit, those attributed to mobile sources are included.
    Furthermore, the requirement
    to provide the lowest achievable
    emission rate
    is not applicable to the secondary emission
    sources unless they themselves qualify for NSR
    (c.f.
    45 FR 59878,
    September 11,
    1980).
    A number of terms associated with NSR were included in
    the Agency’s proposal.
    They are:
    major modification, major
    stationary source, net emissions,
    and significant.
    Definitions
    for these words are instead included as part of the actual
    rules,
    since they themselves are fundamentally determinative as to
    whether NSR applies or emission offsets are necessary.
    The term
    “complete application,” as proposed,
    is not included because
    existing Rule
    103 provides a more sufficient outline of what and
    when a permit application
    is complete.
    Lastly,
    the terms “Lowest
    Achievable Emission Rate”,
    “temporary” and “non—industrial area”
    are not defined, but instead are explained within the appropriate
    rule,
    Sections 203.301(a),
    203.304(b) and 203.304(c), respectively,
    In addition to the definitions, Subpart A includes
    two
    general rules.
    Section 203.114 provides that the application of
    these rules is not severable, and Section 203.113 provides that
    52-406

    5
    for each pending NSR permit, there will be notice of the same and
    a period for public comment.
    To satisfy 40 CFR 51.18
    (h), public
    participation should be initiated when the construction permit
    application is made pursuant to Section 203.203.
    Should
    applications for the preconstruction and construction permits be
    simultaneously made, then the notice of the pending application
    should be given once it has been determined that the project
    qualifies for NSR, i.e. that a preconstructiori permit will be
    issued.
    SUBPART
    B:
    Major Source Construction or Modification
    in Nonattainment Areas
    As stated above,
    the NSR rules constitute a preconstruction
    review program.
    Fundamentally there are four situations that
    initiate NSR,
    or more explicitly, that require a project to
    comply with the Lowest Achievable Emission Rate and possibly the
    offset requirements set out in Subpart
    C.
    First,
    the NSR rules
    apply if a major stationary emission source is to be newly con-
    structed.
    Secondly, any physical change at a stationary source
    which itself qualifies as a major stationary source,
    regardless
    of the source’s size prior to the change,
    triggers NSR.
    Thirdly,
    reconstruction of an emission source,
    if the fixed capital cost
    of new components exceeds approximately half of an entirely new
    emission source, will be treated as a newly constructed major
    stationary source.
    Modification of a source which creates a
    significant net increase in its emissions is the final situation
    subjecting a project to NSR.
    Permit Program
    Given these
    four scenarios,
    should
    a project be likely to
    qualify as
    a new major source or major modification, application
    for a preconstruction permit
    is required pursuant to Section
    203.202.
    Based on the information provided therein, a permit
    shall
    be issued designating the proposed project as a new major
    source or major modification.
    The permittee is thereby alerted
    to plan to satisfy the NSR requirements before irreversible
    decisions are made.
    Subsequently, but before actual work can
    begin on the source,
    a construction permit must be obtained,
    pursuant to Section 203.203.
    (This permit requirement is not
    unlike that already found at Rule 103 of Chapter 2.)
    However, a
    construction permit is also required prior to any change in the
    operation of a source which has been determined to constitute a
    major source or modification.
    Furthermore,
    a construction permit
    issued pursuant to this Section must contain those conditions
    singular to NSR.
    When no separate permit process was proposed for these
    projects,
    the eighteen month limitation on the construction
    permit,
    Section 203.204, was too short for the larger projects.
    52-407

    6
    (Public Comment #18).
    This bifurcated permitting process should
    provide
    sufficient flexibility for long-range planning,
    yet
    with the advance knowledge that NSR must be satisfied.
    If the
    anticipated
    length of a project,
    or individual phases of it
    accommodate
    it, both permits may be simultaneously applied
    for,
    thereby assuring acceptances of the planned project.
    If the
    anticipated duration of the project does not allow for
    this, the
    perrnittee
    is aware that ultimately the project must be designed
    to only emit LAER (Section 203.301), and that RFP in the area
    must be maintained through the project’s contribution of necessary
    emission offsets
    (Section 203,302).
    ~~j~ajor_Source
    and Major
    Modification
    Pursuant to the combined definitions
    in current Rules
    101
    and 201,
    a stationary emission source may be an individual piece
    of equipment or entire facility.
    In the first situation, either
    the equipment or the facility to be constructed must be “major.”
    Pursuant to Section 203.206(a),
    a source qualifies as “major”
    if
    it has the potential to emit 100 tons or more per year
    (tpy) of
    the
    pol~utantfor which the area
    is designated nonattainment. The
    100 t~ylimit is premised on the federal definition of major
    stationary source at 40 CFR 51.18(j)(l)(iv).
    Therefore, pursuant
    to Sections 203.201, 203.202 and 203.203, before building anew
    a
    major stationary source
    (that
    is, one which has potential
    to emit
    100 tpy of the nonattainment designated pollutant),
    the applica-
    tion for the proposed project must undergo preconstruction review
    prior to a construction permit being
    issued.
    The second project triggering NSR is a planned physical
    change which itself has the potential
    to emit 100 tpy of the
    pollutant for which the area is designated nonattaininent.
    According to Section 203.206(b),
    it is immaterial whether the
    rd(~ilii;ywhere the change will occur
    is itselt major
    (that
    is,
    emits more than 100 tpy).
    Therefore,
    taking subparagraphs
    (a)
    and
    (b) individually
    or together, •preconstruction review is
    applicable if new equipment or a new facility, either having the
    capacity to emit
    100 tpy,
    is planned.
    Finally,
    in either case,
    if the nonattainment designated pollutant is ozone,
    the source’s
    potential to emit will
    be based on organic material emissions,
    50
    CFR 51.18(j)(l)(v)(b).
    It should be noted that the NSR is
    applied only to project’s potential to emit the nonattainment
    designated pollutant. Potential emissions of pollutants other
    than those are limited instead by New Source Performance
    Standards
    (NSPS), National Emissions Standards for Hazardous
    Air Pollutants
    (NESHAPS), Chapter
    2 emission limits,
    and any
    desires of the applicant to secure
    future offsets.
    Should reconstruction of a stationary emission source be
    undertaken rather than new construction or physical change,
    it
    too may qualify as
    a major source,
    and thus be subject to NSR.
    52-408

    7
    However, determination of whether the reconstruction is major
    is
    based on the fixed capital cost of the project, rather than the
    potential emissions it will generate.
    (Otherwise, Section
    203.206(b) which describes major physical changes, would
    suffice.
    If the fixed capital costs of new components exceed
    approximately fifty percent of the fixed capital costs of an
    entirely new stationary source,
    the project will
    be considered as
    if it were new construction of a major stationary source.
    Four
    criteria defining fixed capital cost and for evaluating the
    emission contributed by the replaced equipment or facility are
    set out
    in Section 203.206(c).
    If a source is rebuilt to the
    extent outlined therein,
    it is appropriate that the activity
    contribute to the area’s reasonable further progress, regardless
    of whether it has the potential to emit more than 100 tpy.
    The NSR rules also apply to major modifications of station-
    ary emission sources.
    Modification is defined as a physical
    change or change
    in the method of operation of a stationary
    emission source.
    This “change” is not simply that described in
    Section 203.206(b),
    which must
    be physical, and must have the
    potential to cause
    100 or more tpy increase in emissions.
    A
    modification may be either physical or operational and to be
    “major”
    it need only create a significant net emission increase
    of a criteria pollutant or a substance regulated under Section
    112 of the CAA, the NESHAP program.
    A number of changes whicti might otherwise constitute a major
    modification are listed as exempted at Section 203.207.
    The first
    exception recognizes that routine maintenance is necessarily
    ongoing at a facility, and as such the facility should not be
    subject to NSR for keeping equipment in operating condition.
    The
    next three exceptions encourage use of
    alternative fuel,
    pursuant
    to federal
    law.
    Operational changes are also exempted if the
    increases they cause
    are
    within the
    source’s allowable emissions
    pursuant to its prior permit.
    Seasonal shutdown of afterburners
    pursuant to Chapter 2’s Rule 205(r)
    is also exempted, although
    it
    may cause a significant net emission increase.
    Lastly,
    a simple
    change of ownership of a stationary source does not qualify as a
    major modification.
    All but the
    exemption for seasonal shutdowns
    Section
    203.207(g)
    parallel the federal exemptions listed at 40
    CFR51.18(j)(l)(v)(c)(2),(3)
    and
    (5).
    The exemptions
    for operational changes and alternative fuel
    switching were formerly not allowed if such changes contradicted
    representations made in previous permit applications.
    It was
    argued that this was not federally mandated, and furthermore, was
    unacceptable since permit applications do not constitute permit
    conditions.
    (Public Comments Nos.
    11,
    14,
    15,
    16,
    18,
    19 and
    24).
    Both assertions are correct.
    Since Chapter
    2 emission
    limits are expressed in mass emission and concentration limita-
    tions, so qualifying these exemptions would impose an unforseen
    “cap” on
    these sources.
    Accordingly, it has been deleted.

    8
    Significant Net Emission Increase
    The netting concept is used only to determine whether a
    modification
    is
    major,
    and
    therefore
    subject
    to
    NSR.
    Whenever
    the term
    “net”
    is
    iTsed,
    it
    represents
    a
    total
    figure
    after
    any
    applicable increases or decreases have been credited to an orig~
    inal
    amount.
    Net
    emission determination are calculated using
    actual emissions as defined at Section 203.102.
    In this in-
    stance, net emissions represent the total amount after any valid
    contemporaneous increases or decreases of air pollutants emitted
    from
    the
    equipment
    have
    been
    added
    and
    subtracted.
    Pursuant
    to
    Section
    203.208(a),
    an
    ‘increase or decrease
    is contemporaneous if
    it has occurred due to
    changes
    in
    the
    equipment’s control or
    operation within five years of the application being made for the
    NSR permit at issue.
    However,
    the change must also have been made
    since
    thearea
    was
    designated
    nonattaininent
    by
    the USEPA, or
    since
    April24,
    1979,
    whichever
    is
    more
    recent.
    The
    1979
    date
    is
    the date the Agency originally adopted its own
    HSR
    rules,
    which
    were later vdided by the Seventh Circuit Appellate Court in
    Citizens
    for a Better Environment v.
    Illinois Environmental
    Protection Agency,
    649 F.2d 522
    (7th dr.,
    1981).
    Since that
    time, however,’ the Illinois Legislature reinstated
    these rules
    when it amended the Act with Section 9.1(e)
    and the reinstated
    rules inc1ud~dthe April 24,
    1979 cutoff date for an increase/de-
    crease
    to
    be
    contemporaneous.
    This
    date
    is
    included,
    rather
    than
    the date the rules were legislatively reinstated,
    or the date
    Subpart ~ becomes effective,
    because
    it
    provides
    the
    greatest
    length of time for increases and decreases to
    be considered
    contemporaneous.
    A contemporaneous decrease/increase must also be creditable.
    It is only if
    it has not been used in another permitting process,
    and then only to the extent of the difference between old and new
    emission levels.
    A decrease in actual emissions
    is only credit-
    able if it is enforceable and the Agency does not demonstrate
    that the same decrease was already calculated into the SIP’S
    demonstration
    of
    RFP.
    Lastly,
    the
    decrease must represent reduc-
    tions in the same
    pollutant
    that the modification will increase,
    unless the applicant can demonstrate
    that the decrease will
    provide the same or better protection of public health and wel—
    flare
    in the area.
    Obviously,
    should the amount arrived at be zero
    or
    a
    negative figure,
    no net emission increase
    is attributable to
    the modification.
    (Note,
    if a net emission decrease is proven,
    that decrease could provide an offset at a later time.)
    Should
    it
    be
    greater
    than
    zero,
    the
    next
    step
    is
    to
    determine whether it
    repres~nts
    a
    significant
    emission
    increase.
    The
    significant
    levels
    which
    are
    found
    at
    Section
    203.209,
    are
    those
    proposed
    by
    the
    Agency
    ‘and listed at 40 CFR 51.18(j)(1)(x) for
    40
    CFR
    61.
    Four
    problems
    pertaining
    to
    this
    determination were raised
    by
    public commentators.
    The USEPA cited three discrepancies
    with

    9
    federal requirements. Formerly the definition of “allowable
    emissions”
    included
    a
    provision that the emissions creditable
    to
    the shutdown
    of
    a
    source
    being
    replaced
    by
    a
    similar
    source
    be
    based on allowable emissions.
    This was unlike any other con—
    temporaneously creditable emissions.
    The provision allowing for
    shutdowns has therefore been relocated to Section 203.208(b)
    where clearly any increase or decrease
    is to be premised on
    actual emissions.
    Secondly, citing 40 CFR 51.18(j)(1)(xii)(h)the
    USEPA suggested that the term “actual emissions” used in this
    Section be qualified so that the “rate of annual emissions” he
    expressed
    in “tons per year”.
    Since the definition of “actual
    emissions”
    at Section 203.102 is defined as “annual” emissions,
    it naturally follows that when possible,
    “actual emissions” will
    be expressed in tons per year.
    This is especially true con-
    sidering that ultimately the net emission figure will
    be deter-
    mined to be or not to be “significant” pursuant
    to Section
    203.209, which expresses significant levels
    in tons per year.
    Finally the USEPA argued that the definition of “allowable
    emissions” should be amended to prevent malfunction, start—up
    or
    breakdown emissions from existing sources to be used in the net
    emission calculation.
    However,
    since Section
    203.208
    only
    pro-
    vides
    for use of “actual emissions”,
    it
    is
    not
    necessary
    to
    so
    amend “allowable emissions” to avoid a discrepancy with federal
    requirements.
    For the second time commentators argued that a
    “cap”
    would
    be
    imposed
    if emission reductions
    are not available because that
    same decrease was already used
    to demonstate attainment or RFP.
    (Public Comments Nos.
    11,
    14, and 18).
    However,
    in this instance
    this argument fails.
    At 40 CFR 51.18(j)(1)(vi)(e)(3)
    it
    is
    federally mandated that for decreases
    to be creditable,
    they
    must
    be
    so qualified.
    However, the federal
    language does not require
    that the Agency prove that it has used the emission reduction,
    whereas the proposed language at Section 203.208(c)(4)
    does.
    Thus the burden of proof is shifted to the Agency to demonstrate
    that the decrease the permittee wishes
    to use
    is not available.
    In
    light of the federal requirement, imposing the burden of proof
    on the Agency is all that can be done to satisfy the commen-
    tators’
    concerns.
    Section 203.210, Relaxation of
    a Source—Specific Limitations
    was vigorously opposed during the public comment period (Public
    Comments Nos.
    14,
    16,
    18,
    19,
    20,
    21 and 24)
    It provides
    that
    should a source be granted a relaxed emission limit pursuant to a
    statutorily
    required
    proceeding
    or
    a
    Chapter
    2
    mechanism
    I
    e.g.
    a
    Rule
    204(g)
    proceeding,
    and the relief itself constitutes a
    major
    new
    source or modification, then the
    project
    implementing
    the
    relaxation
    is
    subject to NSR.
    The commentators argue that
    once
    such
    relief
    is
    awarded,
    the
    source
    should
    not
    be
    subject
    to
    another
    review.
    They
    argue
    that
    for
    instance,
    requiring
    the
    source
    granted
    relief
    provided
    at
    Rule
    204(g)
    (which was adopted
    in
    R80—22:
    Sulfur
    Dioxide
    Emission
    Limits)
    to
    undergo
    NSR
    would
    ~

    10
    prohibit fruition of the rulemaking’s statutory purpose of in-
    creasing the use of Illinois coal.
    The Board must note that
    although that was one statutory purpose,
    those rules were also to
    be “consistent with the need to attain or maintain the National
    Ambient Air Quality Standards”
    (Ill. Rev. Stat. 1981,
    ch.
    111½,
    pars.
    1009.2,
    as amended).
    Since the purpose of NSR is also to
    achieve
    the
    latter,
    that
    is
    provide
    RFP,
    it
    is
    appropriate
    that
    should the relaxed limit create a “significant net increase”,
    the
    NSR requirements be applied as necessary.
    The commentators ask that this Section be deleted.
    Arguably it could be deleted, hut not for the reasons they
    importune.
    Pursuant to Section 203.301 any construction, mod-
    ification or change
    in operation which
    in itself constitutes a
    new major source or major modification is subject to NSR,
    regardless of the reasons or sanctions
    it is associated with.
    Although application of these
    rules may overlay relief otherwise
    granted,
    it should be
    remembered that generally air quality
    impacts are assessed before source—specific relaxations are
    granted.
    In
    fact, under Rule 204(e),
    Rule 204(g),
    and the
    Alternative Control Strategy processes air quality impacts must
    be assessed.
    Thus it will
    be readily determinable whether the
    change. is major and whether offsets will be required.
    LAER will
    rarely be required since most relaxations will not involve
    changes to equipment.
    SUBPART
    C:
    Requirements
    For
    M~j2~cpnstruction
    or
    Modification
    Once
    it
    has
    been
    determined
    that
    construction
    of
    a
    new major
    stationary
    emission
    source,
    reconstruction
    or major modification
    of
    a facility or emission unit will occur, the perrnittee must
    provi~ethe following:
    Lowest Achievable Emission Rate
    Based on either control equipment or process measures,
    the
    permit application must demonstrate that each source will achieve
    the lowest emission rate possible.
    Pursuant to Section 171(3)
    of
    the CAA and the definitions proposed at Section
    203.301(a),
    this
    is one of three
    things:
    1)
    the lowest emission
    limit in the SIP of any other
    state,
    unless demonstrated not achievable; then
    2)
    the emission limit achieved in practice or
    is
    achiev-
    able
    by similar stationary sources;
    or
    3)
    the applicable New Source Performance Standard
    (Reference
    Chapter
    2:
    Part
    IX)
    Federally,
    LAER
    is
    defined
    at
    §171(3)
    of
    the
    CAA
    and
    40
    CFR 51.18(j)l)(xiii).
    Sources subject to NSR are required to
    52-412

    11
    achieve LAER pursuant to §173(2) of the CAA. According to the
    federal definition and usage,
    the source newly constructed or
    modified must achieve the more stringent of
    (1)
    an emission limit
    contained in any state’s SIP for such category or class of sta-
    tionary source,
    or
    (2) that achieved in practice by such class or
    category of stationary source,
    and in no case emit more than
    allowable under applicable new source standards of performance.
    As proposed herein, the phrase
    “or
    is achievable”
    is in-
    cluded at the second part of this three part test.
    Thus,
    if
    it
    represents the most stringent control sources subject to NSR are
    required to implement not only the most advanced control tech-
    nologies or operations already used by like sources, but also
    those used by similar sources and which are reasonably trans—
    ferrable.
    The federal
    interpretation of LAER includes the
    concept of technology transfer (cf.
    45 FR 59875,
    September 11,
    1980.)
    The phrase
    “is achievable”
    is included to clarify that
    technology transfer is to be considered in the LAER deter-
    mination.
    In practice it is in keeping with the technology—
    forcing principle underlying LAER.
    According to Section 203.301, the burden of proving which cf
    the three represents LAER for the particular project rests
    on the
    applicant whether it be a new major stationary source or be major
    modifications.
    Subparagraphs
    (b) and
    (c)
    require that the
    applicant demonstrate how the chosen control equipment or oper-
    ational limits will achieve LAER at the emission points of
    concern.
    However, this demonstration must be supported by the
    more encompassing demonstration required by subparagraph
    (d).
    The applicant must also explain how the particular LAER program
    was arrived upon, or in other words, which of the above three
    informational resources is
    it based on,
    how expansive was the
    search, how successful
    the application of the program to the
    project,
    and what are the anticipated emissions.
    Lastly, any
    alternative emission limits must also be set out,
    along with any
    additional
    information the Agency may reasonably require.
    Since
    Section 39(f)(l) of the Act authorizes the Agency to determine
    what constitutes LAER, it is appropriate that it be given the
    discretion to require additional information as necessary.
    Both the applicant in deciding on, and the Agency in evaluating
    a LAER program, must be mindful that as
    in the case of the RACT
    guidelines,
    the LAER control measures must be forward looking in
    order to achieve the goal of cleaning up the area.
    However, even
    more than is the case for existing sources, as explained above,
    new major changes or modifications must
    be
    planned and implemented
    using technology—forcing strategies.
    Reasonable Further Progress
    Section l73(l)(A)
    of the CAA also requires that RFP be
    demonstrated in nonattainment areas and any emission reductions
    thereby required be enforceable permit conditions.
    Section 173
    (l)(B) specifically requires that the new or modified sources not
    52-413

    12
    cause or contribute to emission
    ievc~1s
    which exceed the allowance
    permitted for such pollutant under Section
    172(b).
    Said sub-
    section
    (b)
    requires that
    the SIP contain an allowance
    for new or
    modified sources.
    To assure that this allowance
    is there,
    and
    then again that the SIP’s allowance margin is not exhausted,
    major construction or modification projects must provide emission
    offsets,
    if possible.
    Pursuant to Section 203.302(a)(3),
    if the
    applicant provides
    in the immediate vicinity
    of the project
    actual emission offsets at a ratio of 1.25:1 or greater,
    no
    modeling will
    be required to assure an air quality improvement.
    However, should these offsets not be
    readily available, the
    applicant may instead provide a one-to-one offset along with
    acceptable modeling which demonstrates minimal to no degradation
    of air quality
    Section
    203,302(a)(1)I,
    If the applicant proves
    by modeling that air quality will be improved by the new con-
    struction or modification, no specific offsets are required
    Section
    203.302(a)(2).
    These
    options are however only avail-
    able to projects involving particulate matter,
    sulfur dioxide,
    nitrogen oxide,
    or carbon monoxide emissions. Projects involving
    organic material must provide actual
    emission offsets
    in
    excess
    of the proposed project’s allowable emissions.
    It was suggested that requiring the modeling to prove im-
    provement at every location pursuant
    to Section 203.302(a)(2),
    is
    too stringent (Public Comment No.
    18).
    However,
    since such a
    demonstration would exempt the project from providing offsets
    it
    cannot be relaxed.
    Subparagraph
    (b)’s requirement that actual
    emission offsets be provided for a proposed project’s allowable
    volatile organic material
    emissions was considered inequitable by
    the same commentator,
    However,
    it
    is
    intended to insure that
    paper offsets are not provided,
    and that sufficient reductions
    are provided to offset maximum operations.
    Two changes were made at Section 203.303, Baseline and
    Emission Offset Determination.
    Subparagraph
    (b)(1) requires that
    the offsets be of a type with approximately the same health
    implications.
    It has been rhetorically changed
    from the proposed
    version to parallel the language used at Section 203.208(c)
    describing those creditable emissions acceptable
    as decreases.
    It should be noted that the substance of Subparagraph
    (b)(i) also
    limits the practice
    of replacing hydrocarbons with those of less
    reactivity in order to obtain emission offsets.
    Federally this
    practice is limited to only those hydrocarbons listed at
    Table
    1
    of the USEPA’s “recommended Policy on Control
    of Volatile Organic
    Compounds”
    as published on July
    8,
    1977 at 42 FR 35314
    40
    CFR
    51.18(j)(3)(ii)(d).
    In the Emission Offset Interpretive Ruling,
    this policy is because
    “.
    .
    EPA
    has
    found that almost all
    non—methane hydrocarbons are photochernically reactive and that
    low reactivity hydrocarbons eventually
    form as much ozone as the
    highly reactive hydrocarbons.”
    40
    CFR App.
    S IV (c)(4).
    In
    implementing Section 203.303, USEPA’s
    1977 policy determination
    on the reactivity of hydrocarbons shall
    serve as
    a guide in
    52-414

    13
    determining whether or not the replacement provides emission
    offsets
    because
    it is of a type with approximately the same
    qualitative significance
    for public health and welfare.
    Should
    this policy change be scientifically proven incorrect,
    the
    flexibility of Section 203.303
    (b)(1)
    shall
    likewise allow use
    of replacement hydrocarbons to gain offsets.
    The second change at Section 203.303 involves the use of
    a
    reductions achieved with the shutdown of
    a source.
    It is
    qualified in accordance with 40 CFR Appendix S(IV)(C)(3). Thus
    in limited situations, shutdowns are allowed as emission offsets,
    just as they are permissable
    as emission credits.
    The USEPA
    requested that baselines based on uncontrolled rates pursuant to
    Section 203.303(c)(1) be qualified.
    As is the case with emission
    credits, the USEPA wanted it demonstrated that these uncontrolled
    emissions had not been previously used to demonstrate attainment
    or more appropriately,
    RFP.
    (Public Comment
    #22)
    Baselines are
    premised on uncontrolled emissions only when these are less than
    emissions allowed by Chapter
    2 limitations.
    Thus the difference
    between uncontrolled and Chapter
    2 allowable emissions is not
    available for offsets.
    It is this margin which is used in SIP
    demonstrations.
    For example, lime kilns were exempted from the
    sulfur dioxide limitation because their uncontrolled emissions
    are far less than that allowed by Rule 204
    (R80—22 Opinion at
    page 16, February 24,
    1983).
    Should a source,
    such as a lime
    kiln, reduce
    its uncontrolled emissions,
    it
    is these reductions
    which are available for offsets.
    If emission offsets are not available at
    the
    time of appli-
    cation,
    Rule 203.304(a)
    stays
    the offset requirement so
    long as
    the applicant agrees to accept future permit limitations to pro—
    ‘Tide offsets when they become available.
    The project will
    therefore initially consume part of the growth margin built into
    the SIP program,
    but eventually reestablish it.
    On the other
    hand,
    if the project source
    is temporary,
    located in a clean—
    pocket of the nonattainment area,
    or in
    a rural nonattainment
    area for particulate matter,
    offsets are never required.
    These
    exceptions are set out in Section 203.304(b),
    (c), and
    (e).
    The clean—pocket exception has two specific qualifications.
    First,
    it must be demonstrated either by the analysis of the
    applicant or the Agency that emissions from the project located
    within the clean—pocket will not significantly impact
    the area’s
    air quality.
    The levels of significance, set out at 203.304(d),
    are expressed in the same terms as air quality standards.
    It
    should be noted that these
    same levels provide the maximum impact
    allowed when a project provides either equal or greater offsets
    pursuant to Section 203.302(a)
    and
    (c).
    Secondly, the emission
    offset requirement may be lifted for the clean—pocket location if
    on the date the air quality analysis is completed, no significant
    impact is demonstrated and the clean—pocket
    is being federally
    reviewed
    for attainment designation.
    The USEPA disagreed with
    52-415

    14
    the offset exemptions provided for both temporary sources and
    those located
    in clean-pockets.
    (Public Comment No.
    22).
    They
    will be retained since both exemptions are limited to extent
    necessary to protect RFP.
    The non—industrial exemption for sources involving TSP,
    found at subparagraph
    (e),
    lists five qualifying criteria.
    However, these criteria merely delineate areas which are non
    attainment
    for the TSP secondary air quality standard due to
    rural fugitive sources.
    Thus, offsets from industrial
    TSP
    sources are not to be found and even if they were,
    they would
    not help to clean up the area.
    That the project will comply
    with the LAER requirements should suffice to keep the air in
    these areas as healthy as possible.
    Remaining Requirements
    Sections 203.305 and 203,306 contain two additional require-
    ments of the permit applicant.
    For all projects, the owner or
    operator must provide a certificate that all other sources owned
    or operated by the same are
    (1)
    in compliance, or
    (2) on
    a com-
    pliance program.
    This
    is
    required under Section 173(3)
    of the
    CAA.
    Lastly,
    if the project involves emissions of organic
    material or carbon monoxide, the applicant must demonstrate that
    this is the proper location for the new construction or modifi-
    cation.
    This too
    is required under Section 172(b)(ll)(A)
    of the
    CAA because Illinois has sought an extension of the 1982 deadline
    for attainment involving these pollutants,
    SUBPART
    F:
    OPERATING REQUIREMENTS
    As stated at the outset,
    the purpose of the NSR permitting
    program is to improve air quality in nonattainment areas with
    each major construction
    or
    major modification.
    Since the
    construction or modification project is required to comply with
    the LAER and emission offset requirements,
    as discussed above,
    three rules have been adopted to assure that the same,
    and there-
    fore the air quality improvement,
    is maintained.
    Very simply,
    Sections 203.601 and 203.602 require that the LAER provisions and
    the emission offsets established at the construction permit stage
    must be maintained.
    It
    should be noted that should the original
    emission offsets become unavailable for some reasons, equivalent
    offsets can be substituted.
    Furthermore, after such
    a project
    is
    operational the Agency may require that ambient air quality
    monitoring that is reasonably necessary to determine the actual
    effect on
    the area (Section 203.603).
    Together these
    three
    requirements should assure air quality improvement.
    CONCLUSION
    The NSR regulations adopted herein adequately parallel the
    federal requirements to satisfy Part
    D of the Clean Air Act,
    while
    also providing
    a maximum of ease and flexibility for new
    52-416

    15
    source constructions and major modifications to be permitted
    in
    Illinois.
    For
    instance,
    the
    permitting
    process is structured
    to
    allow
    for
    the
    initial determination of whether NSR will apply,
    and
    if necessary, a sufficient lapse in
    time
    for
    a permittee
    to
    commit
    to the specifics of actual construction.
    All
    federal
    exemptions for activities otherwise considered as possible major
    modifications are included, as well as an exemption for seasonal
    shutdowns
    of
    hydrocarbon
    control
    equipment.
    The
    exemption
    for
    increases
    in
    operating
    hours
    is
    not
    eliminated
    due
    to
    permit
    representations,
    as
    originally
    proposed
    by
    the
    Agency.
    Therefore
    the
    associated
    cost
    included
    in
    the
    Economic
    Impact
    Study
    is
    no
    longer
    a
    factor.
    Three
    alternatives
    are
    available
    for
    providing
    emission
    offsets,
    one
    of
    which
    eliminates
    the
    need
    for
    offsets
    if
    modeling
    demonstrates
    only
    improvement
    in
    air
    quality.
    Another
    allows the project the option of providing a set ratio of offsets
    to
    avoid
    modeling
    and
    its
    associated costs.
    Finally, five
    certain
    exemptions
    from
    the
    emission
    offset
    requirements
    are
    included
    in
    the
    regulations.
    The first exemption allows the
    requirement
    for
    offsets
    to
    be
    deferred
    until
    such
    time
    as
    they
    are
    available.
    Given
    the
    sometime
    difficulty
    in
    securing
    offsets
    in
    a
    timely
    fashion,
    the
    rule
    provides
    flexibility
    while
    still
    assuring
    improved
    air
    quality.
    The
    dual
    definition
    of
    source
    as
    it
    pertains
    to
    netting
    out
    of
    NSR is
    currently
    required
    by
    federal
    law.
    Nevertheless
    it
    is
    the
    appropriate
    concept
    for
    Illinois.
    The
    Economic
    Impact
    Study found that the historical and projected impact of netting
    out of review to be
    significant.
    It was estimated that the
    number
    of plants netting out of review may be ten times that
    greater
    than
    those going through review.
    However, the Economic
    Impact
    Study
    was
    based
    on six NSR permits being issued since
    1977,
    and
    had
    not
    taken
    into
    consideration
    that
    during
    only
    one
    of
    the
    years
    was
    the
    plantwide definition in effect.
    Thus, the
    factor
    of
    ten
    must
    be
    an overestimate.
    Furthermore, to allow
    these
    new
    projects to escape NSR not only may jeopardize air
    quality,
    but
    ultimately
    means
    that
    more
    stringent
    controls
    will
    have to
    be
    applied
    to
    existing
    sources,
    at an unspecified cost.
    As a whole, the NSR regulations provide an equitable program to
    insure and improve
    air
    quality in those regions needing it most.
    This
    Opinion
    and
    accompanying
    Order are directed to Second
    Notice.
    I, ~hristanL. Moffett, Clerk of the Illinois Pollution
    Control Boqrd, hereby
    ertify that the above Opinion was adopted
    onthe
    IL”
    dayof
    -
    ,1983byavoteof4~p
    Illinois
    Pollution
    Board
    52-417

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