The Virginia Register OF REGULATIONS  is an official state publication issued every other week throughout the year.  Indexes are published quarterly, and are cumulative for the year. The  Virginia Register has several functions. The new and amended sections of  regulations, both as proposed and as finally adopted, are required by law to be  published in the Virginia Register. In addition, the Virginia  Register is a source of other information about state government, including  petitions for rulemaking, emergency regulations, executive orders issued by the  Governor, and notices of public hearings on regulations.
    ADOPTION,  AMENDMENT, AND REPEAL OF REGULATIONS
    An  agency wishing to adopt, amend, or repeal regulations must first publish in the  Virginia Register a notice of intended regulatory action; a basis,  purpose, substance and issues statement; an economic impact analysis prepared  by the Department of Planning and Budget; the agency’s response to the economic  impact analysis; a summary; a notice giving the public an opportunity to comment  on the proposal; and the text of the proposed regulation.
    Following  publication of the proposal in the Virginia Register, the promulgating agency  receives public comments for a minimum of 60 days. The Governor reviews the  proposed regulation to determine if it is necessary to protect the public  health, safety and welfare, and if it is clearly written and easily  understandable. If the Governor chooses to comment on the proposed regulation,  his comments must be transmitted to the agency and the Registrar no later than  15 days following the completion of the 60-day public comment period. The  Governor’s comments, if any, will be published in the Virginia Register.  Not less than 15 days following the completion of the 60-day public comment  period, the agency may adopt the proposed regulation.
    The  Joint Commission on Administrative Rules (JCAR) or the appropriate standing  committee of each house of the General Assembly may meet during the  promulgation or final adoption process and file an objection with the Registrar  and the promulgating agency. The objection will be published in the Virginia  Register. Within 21 days after receipt by the agency of a legislative  objection, the agency shall file a response with the Registrar, the objecting  legislative body, and the Governor.
    When  final action is taken, the agency again publishes the text of the regulation as  adopted, highlighting all changes made to the proposed regulation and  explaining any substantial changes made since publication of the proposal. A  30-day final adoption period begins upon final publication in the Virginia  Register.
    The  Governor may review the final regulation during this time and, if he objects,  forward his objection to the Registrar and the agency. In addition to or in  lieu of filing a formal objection, the Governor may suspend the effective date  of a portion or all of a regulation until the end of the next regular General  Assembly session by issuing a directive signed by a majority of the members of  the appropriate legislative body and the Governor. The Governor’s objection or  suspension of the regulation, or both, will be published in the Virginia  Register. If the Governor finds that changes made to the proposed  regulation have substantial impact, he may require the agency to provide an  additional 30-day public comment period on the changes. Notice of the  additional public comment period required by the Governor will be published in  the Virginia Register.
    The  agency shall suspend the regulatory process for 30 days when it receives  requests from 25 or more individuals to solicit additional public comment,  unless the agency determines that the changes have minor or inconsequential  impact.
    A  regulation becomes effective at the conclusion of the 30-day final adoption  period, or at any other later date specified by the promulgating agency, unless  (i) a legislative objection has been filed, in which event the regulation,  unless withdrawn, becomes effective on the date specified, which shall be after  the expiration of the 21-day objection period; (ii) the Governor exercises his  authority to require the agency to provide for additional public comment, in  which event the regulation, unless withdrawn, becomes effective on the date  specified, which shall be after the expiration of the period for which the  Governor has provided for additional public comment; (iii) the Governor and the  General Assembly exercise their authority to suspend the effective date of a  regulation until the end of the next regular legislative session; or (iv) the  agency suspends the regulatory process, in which event the regulation, unless  withdrawn, becomes effective on the date specified, which shall be after the  expiration of the 30-day public comment period and no earlier than 15 days from  publication of the readopted action.
    A  regulatory action may be withdrawn by the promulgating agency at any time  before the regulation becomes final.
    FAST-TRACK  RULEMAKING PROCESS
    Section 2.2-4012.1 of the Code of Virginia provides an exemption from certain  provisions of the Administrative Process Act for agency regulations deemed by  the Governor to be noncontroversial.  To use this process, Governor's  concurrence is required and advance notice must be provided to certain  legislative committees.  Fast-track regulations will become effective on the  date noted in the regulatory action if no objections to using the process are  filed in accordance with § 2.2-4012.1.
    EMERGENCY  REGULATIONS
    Pursuant  to § 2.2-4011 of the Code of Virginia, an agency, upon consultation  with the Attorney General, and at the discretion of the Governor, may adopt  emergency regulations that are necessitated by an emergency situation. An  agency may also adopt an emergency regulation when Virginia statutory law or  the appropriation act or federal law or federal regulation requires that a  regulation be effective in 280 days or less from its enactment. The emergency regulation becomes operative upon its  adoption and filing with the Registrar of Regulations, unless a later date is  specified. Emergency regulations are limited to no more than 12 months in  duration; however, may be extended for six months under certain circumstances  as provided for in § 2.2-4011 D. Emergency regulations are published as  soon as possible in the Register.
    During  the time the emergency status is in effect, the agency may proceed with the  adoption of permanent regulations through the usual procedures. To begin  promulgating the replacement regulation, the agency must (i) file the Notice of  Intended Regulatory Action with the Registrar within 60 days of the effective  date of the emergency regulation and (ii) file the proposed regulation with the  Registrar within 180 days of the effective date of the emergency regulation. If  the agency chooses not to adopt the regulations, the emergency status ends when  the prescribed time limit expires.
    STATEMENT
    The  foregoing constitutes a generalized statement of the procedures to be followed.  For specific statutory language, it is suggested that Article 2 (§ 2.2-4006  et seq.) of Chapter 40 of Title 2.2 of the Code of Virginia be examined  carefully.
    CITATION  TO THE VIRGINIA REGISTER
    The Virginia  Register is cited by volume, issue, page number, and date. 28:2 VA.R. 47-141  September 26, 2011, refers to Volume 28, Issue 2, pages 47 through 141 of  the Virginia Register issued on 
  September 26, 2011.
    The  Virginia Register of Regulations is  published pursuant to Article 6 (§ 2.2-4031 et seq.) of Chapter 40 of Title 2.2  of the Code of Virginia. 
    Members  of the Virginia Code Commission: John  S. Edwards, Chairman; Gregory D. Habeeb; James M. LeMunyon; Ryan  T. McDougle; Robert L. Calhoun; E.M. Miller, Jr.; Thomas M.  Moncure, Jr.; Wesley G. Russell, Jr.; Charles S. Sharp; Robert L. Tavenner; Christopher  R. Nolen; J. Jasen Eige or Jeffrey S. Palmore.
    Staff  of the Virginia Register: Jane  D. Chaffin, Registrar of Regulations; June T. Chandler, Assistant  Registrar; Rhonda Dyer, Publications Assistant; Terri Edwards,  Operations Staff Assistant; 
  Lilli Hausenfluck, Chief Editor; Karen Perrine, Staff Attorney.
         
       
                                                        PUBLICATION SCHEDULE AND DEADLINES
Vol. 28 Iss. 25 - August 13, 2012
August 2012 through August 2013
 
  | Volume: Issue | Material Submitted By Noon* | Will Be Published On | 
 
  | 28:25 | July 25, 2012 | August 13, 2012 | 
 
  | 28:26 | August 8, 2012 | August 27, 2012 | 
 
  | 29:1 | August 22, 2012 | September 10, 2012 | 
 
  | 29:2 | September 5, 2012 | September 24, 2012 | 
 
  | 29:3 | September 19, 2012 | October 8, 2012 | 
 
  | 29:4 | October 3, 2012 | October 22, 2012 | 
 
  | 29:5 | October 17, 2012 | November 5, 2012 | 
 
  | 29:6 | October 31, 2012 | November 19, 2012 | 
 
  | 29:7 | November 13, 2012 (Tuesday) | December 3, 2012 | 
 
  | 29:8 | November 28, 2012 | December 17, 2012 | 
 
  | 29:9 | December 11, 2012 (Tuesday) | December 31, 2012 | 
 
  | 29:10 | December 26, 2012 | January 14, 2013 | 
 
  | 29:11 | January 9, 2013 | January 28, 2013 | 
 
  | 29:12 | January 23, 2013 | February 11, 2013 | 
 
  | 29:13 | February 6, 2013 | February 25, 2013 | 
 
  | 29:14 | February 20, 2013 | March 11, 2013 | 
 
  | 29:150 | March 6, 2013 | March 25, 2013 | 
 
  | 29:16 | March 20, 2013 | April 8, 2013 | 
 
  | 29:17 | April 3, 2013 | April 22, 2013 | 
 
  | 29:18 | April 17, 2013 | May 6, 2013 | 
 
  | 29:19 | May 1, 2013 | May 20, 2013 | 
 
  | 29:20 | May 15, 2013 | June 3, 2013 | 
 
  | 29:21 | May 29, 2013 | June 17, 2013 | 
 
  | 29:22 | June 12, 2013 | July 1, 2013 | 
 
  | 29:23 | June 26, 2013 | July 15, 2013 | 
 
  | 29:24 | July 10, 2013 | July 29, 2013 | 
 
  | 29:25 | July 24, 2013 | August 12, 2013 | 
 
  | 29:26 | August 7, 2013 | August 26, 2013 | 
*Filing deadlines are Wednesdays
unless otherwise specified.
 
   
                                                        PETITIONS FOR RULEMAKING
Vol. 28 Iss. 25 - August 13, 2012
TITLE 18. PROFESSIONAL AND  OCCUPATIONAL LICENSING
    BOARD OF MEDICINE
    Initial Agency Notice
    Title of Regulation:  18VAC85-20. Regulations Governing the Practice of Medicine, Osteopathic  Medicine, Podiatry, and Chiropractic.
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Name of Petitioner: Rupal D. Shah.
    Nature of Petitioner's Request: To amend 18VAC85-20-140  which requires all parts of the USMLE examination to be completed within 10  years, by allowing an exception in certain circumstances.
    Agency's Plan for Disposition of Request: In accordance  with Virginia law, the petition has been filed with the Register  of Regulations and  will be published on August 13, 2012, and posted on the Virginia Regulatory  Townhall at www.townhall.virginia.gov. Comment on the petition will be  received until September 7, 2012.
    Following receipt of all comments on the petition to amend  regulations, the board will decide whether to make any changes to the  regulatory language in 18VAC85-20-140. This matter will be on the board's  agenda for its meeting on October 25, 2012.
    Public Comment Deadline: September 7, 2012.
    Agency Contact: Elaine J.  Yeatts, Agency Regulatory Coordinator, Department of Health Professions,  9960 Mayland Drive, Suite 300, Richmond, VA 23233, telephone (804)  367-4688, FAX (804) 527-4434, or email elaine.yeatts@dhp.virginia.gov.
    VA.R. Doc. No. R12-32; Filed July 19, 2012, 1:14 p.m.
    BOARD OF NURSING
    Agency Decision
    Title of Regulation:  18VAC90-20. Regulations Governing the Practice of Nursing.
    Statutory Authority: §§ 54.1-2400 and 54.1-3005 of  the Code of Virginia.
    Name of Petitioner: Timothy Jankiewicz.
    Nature of Petitioner's Request: To amend regulations for  nursing education programs to require coursework in organ donation.
    Agency Decision: Request  denied.
    Statement of Reason for Decision: At its meeting on July  17, 2012, the Board of Nursing deliberated on the matter and decided to reject  the request for an amendment. While all members support education in organ  donation, it was their belief that there were more appropriate channels for  such education, such as through staff training in hospitals and other health  care entities in accordance with protocols for the institution. Further,  educators commented that the subject is usually included in nursing education  as part of training on transplant and other topics.
    Agency Contact: Elaine J.  Yeatts, Agency Regulatory Coordinator, Department of Health Professions, 9960  Mayland Drive, Suite 300, Richmond, VA 23233, telephone (804) 367-4688, or  email elaine.yeatts@dhp.virginia.gov.
    VA.R. Doc. No. R12-22; Filed July 17, 2012, 2:21 p.m.
    BOARD OF SOCIAL WORK
    Agency Decision
    Title of Regulation:  18VAC140-20. Regulations Governing the Practice of Social Work.
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Name of Petitioner: Sarah Carter.
    Nature of Petitioner's Request: To amend regulations for  licensure by endorsement to allow social workers from other jurisdictions to  provide "verification of active practice in another jurisdiction for 36  out of the past 60 months"; or verification of active practice in another  jurisdiction for 36 months at any time, plus verification that the  applicant has completed 30 contact hours of continuing education in the 12 months  preceding the application for licensure.
    Agency Decision: Request  denied.
    Statement of Reason for Decision: At its meeting on July  20, 2012, the board considered the petition and comments. Rather than  initiating a new regulatory action, which would necessitate a lengthy process,  the board decided to consider the request during the comment period on the  proposed regulations that are currently under review in the Governor's office. Since  18VAC140-20-45 on licensure by endorsement has already been amended in the  proposal, it would be possible for the board to further amend that section  during the adoption of a final regulation.
    Agency Contact: Elaine J.  Yeatts, Agency Regulatory Coordinator, Department of Health Professions,  9960 Mayland Drive, Suite 300, Richmond, VA 23233, telephone (804)  367-4688, or email elaine.yeatts@dhp.virginia.gov.
    VA.R. Doc. No. R12-21; Filed July 20, 2012, 1:58 p.m.
     
         
       
                                                        
                                                        NOTICES OF INTENDED REGULATORY ACTION
Vol. 28 Iss. 25 - August 13, 2012
TITLE 9. ENVIRONMENT
Virginia Pollution Abatement (VPA) Permit Regulation
Notice of Intended Regulatory Action
    Notice is hereby given in accordance with § 2.2-4007.01 of  the Code of Virginia that the State Water Control Board intends to consider  amending 9VAC25-32, Virginia Pollution Abatement (VPA) Permit Regulation.  The purpose of the proposed action is to amend the Virginia Pollution Abatement  (VPA) permit regulation in order to facilitate consistency with the other  regulations that govern the pollutant management activities at Animal Feeding  Operations (AFOs). The VPA permit regulation governs the pollutant management  activities of animal wastes at AFOs. The VPA permit regulation contains  obsolete definitions that are not consistent with the existing general permit  for AFOs as well as related federal definitions. The amendments and reissuance  of the VPA General Permit Regulation for Animal Feeding Operations (AFOs) will  be covered by a concurrent notice of intended regulatory action.
    The agency does not intend to hold a public hearing on the  proposed action after publication in the Virginia Register. 
    Statutory Authority: § 62.1-44.15 of the Code of  Virginia.
    Public Comment Deadline: September 12, 2012.
    Agency Contact: Betsy Bowles, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4059, FAX (804) 698-4116, or email  betsy.bowles@deq.virginia.gov.
    VA.R. Doc. No. R12-3345; Filed July 23, 2012, 10:49 a.m. 
 
                                                        REGULATIONS
Vol. 28 Iss. 25 - August 13, 2012
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Title of Regulation: 2VAC5-318. Rules and Regulations  for Enforcement of the Virginia Pest Law - Thousand Cankers Disease (amending 2VAC5-318-50). 
    Statutory Authority: § 3.2-703 of the Code of  Virginia.
    Effective Date: July 24, 2012. 
    Agency Contact: Erin Williams, Policy and Planning  Coordinator, Department of Agriculture and Consumer Services, P.O. Box 1163,  Richmond, VA 23218, telephone (804) 786-1308, FAX (804) 371-7479, TTY (800)  828-1120, or email erin.williams@vdacs.virginia.gov.
    Summary:
    The amendment adds the counties of Fairfax and Prince  William and the independent cities of Fairfax, Falls Church, Manassas, and  Manassas Park to the Thousand Cankers Disease Quarantine. The amendments are  necessary due to the detection of Thousand Cankers Disease in Fairfax and  Prince William counties.
    2VAC5-318-50. Regulated areas.
    The following areas in Virginia are quarantined for Thousand  Cankers Disease:
    1. The entire counties of:
    Chesterfield
    Fairfax
    Goochland
    Hanover
    Henrico
    Powhatan
    Prince William
    2. The entire cities of: 
    Colonial Heights
    Fairfax
    Falls Church
    Manassas
    Manassas Park
    Richmond
    VA.R. Doc. No. R12-3342; Filed July 24, 2012, 2:04 p.m. 
TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
    Title of Regulation: 2VAC5-335. Virginia Emerald Ash  Borer Quarantine for Enforcement of the Virginia Pest Law (amending 2VAC5-335-10, 2VAC5-335-30 through  2VAC5-335-60; repealing 2VAC5-335-20, 2VAC5-335-70 through 2VAC5-335-100). 
    Statutory Authority: § 3.2-703 of the Code of  Virginia.
    Effective Date: July 26, 2012. 
    Agency Contact: Erin Williams, Policy and Planning  Coordinator, Department of Agriculture and Consumer Services, P.O. Box 1163,  Richmond, VA 23218, telephone (804) 371-1308, FAX (804) 371-7479, TTY (800)  828-1120, or email erin.williams@vdacs.virginia.gov.
    Summary:
    The amendment extends the Emerald Ash Borer quarantine to  the entire Commonwealth of Virginia.
    2VAC5-335-10. Declaration of quarantine.
    A quarantine is hereby established to regulate the movement  of certain articles capable of transporting the highly destructive pest of ash  (Fraxinus spp.) known as the emerald ash borer, Agrilus planipennis  (Fairemaire) into uninfested or unregulated areas of the state unless such  articles comply with the conditions specified herein.
    2VAC5-335-20. Purpose of quarantine. (Repealed.)
    The emerald ash borer is an introduced beetle that  specifically attacks and kills ash trees. It has become established in Fairfax  County, Virginia, and has the potential to spread to uninfested counties by  both natural means and humans moving infested articles. The purpose of this  quarantine is to prevent the artificial spread of the emerald ash borer to  uninfested areas of the state by regulating the movement of those articles that  pose a significant threat of transporting the emerald ash borer.
    2VAC5-335-30. Definitions.
    The following words and terms shall have the following  meaning unless the context clearly indicates otherwise:
    "Certificate" means a document issued by an  inspector or any other person operating in accordance with a compliance  agreement to allow the movement of regulated articles to any destination.
    "Compliance agreement" means a written agreement  between a person engaged in growing, handling, receiving or moving regulated  articles and the Virginia Department of Agriculture and Consumer Services, the  United States Department of Agriculture, or both, wherein the former agrees to  comply with the requirements of the compliance agreement. 
    "Emerald ash borer" means the live insect known as  the emerald ash borer, Agrilus planipennis (Fairemaire), in any life stage  (egg, larva, pupa, adult).
    "Infestation" means the presence of the emerald  ash borer or the existence of circumstances that make it reasonable to believe  that the emerald ash borer is present.
    "Inspector" means any employee of the Virginia  Department of Agriculture and Consumer Services, or other person authorized by  the commissioner to enforce the provisions of the quarantine or regulation. 
    "Limited permit (permit)" means a document  issued by an inspector or other person operating in accordance with a  compliance agreement to allow the movement of regulated articles to a specific  destination.
    "Moved (move, movement)" means shipped, offered for  shipment, received for transportation, transported, carried, or allowed to be  moved, shipped, transported, or carried.
    "Person" means any association, company,  corporation, firm, individual, joint stock company, partnership, society, or  other entity. 
    "Virginia Pest Law" means the statute set forth in  Chapter 7 (§ 3.2-700 et seq.) of Title 3.2 of the Code of Virginia.
    2VAC5-335-40. Regulated articles.
    The following articles are regulated under the provisions of  this quarantine, and shall not be moved out of any regulated area within  Virginia, except in compliance with the conditions prescribed in this  quarantine:
    1. The emerald ash borer in any life stage.
    2. Firewood of all hardwood (nonconiferous) species.
    3. Ash (Fraxinus spp.) nursery stock. 
    4. Green (nonheat treated) ash lumber.
    5. Other living, dead, cut, or fallen material of the genus  Fraxinus, including logs, stumps, roots, branches, and composted and  uncomposted wood chips.
    2VAC5-335-50. Regulated areas.
    The following areas in Virginia: 
    The entire counties of: 
    Arlington
    Charlotte 
    Clarke 
    Fairfax 
    Fauquier 
    Frederick
    Halifax 
    Loudoun
    Lunenburg
    Mecklenburg 
    Pittsylvania
    Prince William 
    The entire independent cities of: 
    Alexandria 
    Danville
    Fairfax City 
    Falls Church 
    Manassas 
    Manassas Park 
    Winchester 
    The entire Commonwealth of Virginia is a regulated area.
    2VAC5-335-60. Conditions governing the intrastate movement of  regulated articles.
    A. Movement of a regulated article solely within the  regulated area is allowed without restriction.
    B. Any regulated article may be moved intrastate from a  regulated area only if moved under the following conditions:
    1. With a certificate or limited permit issued and attached  in accordance with 2VAC5-335-70 and 2VAC5-335-100 of this quarantine.
    2. Without a certificate or limited permit, if:
    a. The points of origin and destination are indicated on a  waybill accompanying the regulated article; 
    b. The regulated article, if moved through the regulated  area during the period of April 1 through September 30, is moved in an enclosed  vehicle or is completely covered to prevent access by the emerald ash borer; 
    c. The regulated article is moved directly through the  regulated area without stopping (except for refueling or for traffic  conditions, such as traffic lights or stop signs), or has been stored, packed,  or handled at locations approved by an inspector as not posing a risk of  infestation by the emerald ash borer; and
    d. The regulated article has not been combined or  commingled with other articles so as to lose its individual identity.
    3. With a limited permit issued by the Commonwealth if the  regulated article is moved:
    a. By a state or federal agency for experimental or  scientific purposes;
    b. Under conditions, specified on the permit, which the  commissioner has found to be adequate to prevent the spread of the emerald ash  borer; and
    c. With a tag or label bearing the number of the permit  issued for the regulated article attached to the outside of the container of  the regulated article or attached to the regulated article itself if the  regulated article is not in a container.
    2VAC5-335-70. Issuance and cancellation of certificates and  limited permits. (Repealed.)
    A. Certificates may be issued by an inspector or any  person operating under a compliance agreement for the movement of regulated  articles to any destination within Virginia when:
    1. The articles have been examined by the inspector and  found to be apparently free of the emerald ash borer;
    2. The articles have been grown, produced, manufactured,  stored or handled in such a manner that, in the judgment of the inspector,  their movement does not present a risk of spreading the emerald ash borer;
    3. The regulated article is to be moved in compliance with  any additional conditions deemed necessary under the Virginia Pest Law to  prevent the spread of the emerald ash borer; and
    4. The regulated article is eligible for unrestricted  movement under all other state or federal domestic plant quarantines and  regulations applicable to the regulated articles.
    B. Limited permits may be issued by an inspector for the  movement of regulated articles to specific destinations within Virginia if:
    1. The regulated article is apparently free of emerald ash  borer, based on inspection; or the article has been grown, produced,  manufactured, stored, or handled in a manner that, in the judgment of the  Virginia Department of Agriculture and Consumer Services, prevents the article  from presenting a risk of spreading the emerald ash borer; or
    2. The regulated article is to be moved intrastate to a  specified destination under conditions that specify the limited handling, utilization,  processing or treatment of the articles, when the inspector determines that  such movement will not result in the spread of the emerald ash borer because  the life stage(s) of the insect will be destroyed by such specified handling,  utilization, processing or treatment; and 
    3. The regulated article is to be moved in compliance with  any additional conditions deemed necessary under the Virginia Pest Law to  prevent the spread of the emerald ash borer; and
    4. The regulated article is eligible for interstate  movement under all other state or federal domestic plant quarantines and  regulations applicable to the regulated article.
    C. Certificates and limited permits for use for intrastate  movement of regulated articles may be issued by an inspector or person operating  under a compliance agreement. A person operating under a compliance agreement  may issue a certificate for the intrastate movement of a regulated article if  an inspector has determined that the regulated article is otherwise eligible  for a certificate in accordance with subsection A of this section. A person  operating under a compliance agreement may issue a limited permit for  intrastate movement of a regulated article when an inspector has determined  that the regulated article is eligible for a limited permit in accordance with  subsection  B of this section.
    D. Any certificate or limited permit that has been issued  or authorized may be withdrawn by the inspector orally, or in writing, if he  determines that the holder of the certificate or limited permit has not  complied with all conditions for the use of the certificate or limited permit  or with any applicable compliance agreement. If the withdrawal is oral, the  withdrawal and the reasons for the withdrawal shall be confirmed in writing as  promptly as circumstances allow. 
    2VAC5-335-80. Compliance agreements and cancellation. (Repealed.)
    A. Any person engaged in growing, handling, or moving  regulated articles may enter into a compliance agreement when an inspector  determines that the person understands this quarantine. The agreement shall  stipulate that safeguards will be maintained against the establishment and  spread of infestation, and will comply with the conditions governing the  maintenance of identity, handling, and subsequent movement of such articles,  and the cleaning and treatment of means of conveyance and containers.
    B. Any compliance agreement may be canceled orally or in  writing by an inspector whenever the inspector finds that the person who has  entered into the compliance agreement has failed to comply with this  quarantine. If the cancellation is oral, the cancellation and the reasons for  the cancellation shall be confirmed in writing as promptly as circumstances  allow. 
    2VAC5-335-90. Assembly and inspection of regulated articles.  (Repealed.)
    A. Any person (other than a person authorized to issue  certificates or limited permits under 2VAC5-335-70) who desires to move a  regulated article intrastate accompanied by a certificate or limited permit  shall apply for inspection as far in advance as possible, but at least five  business days before the services are needed. 
    B. The regulated article must be assembled at the place  and in the manner the inspector designates as necessary to facilitate  inspection and comply with this quarantine. The regulated article shall be  safeguarded from infestation.
    2VAC5-335-100. Attachment and disposition of certificates  and limited permits. (Repealed.)
    A. A certificate or limited permit required for the  intrastate movement of a regulated article must be attached at all times during  the intrastate movement to the outside of the container containing the  regulated article or to the regulated article itself if not in a container. The  requirements of this section may also be met by attaching the certificate or  limited permit to the consignee's copy of the waybill, provided the regulated  article is sufficiently described on the certificate or limited permit and on  the waybill to identify the regulated article.
    B. The certificate or limited permit for the intrastate  movement of a regulated article must be furnished by the carrier to the  consignee at the destination of the regulated article. A copy of the  certificate and/or limited permit must be retained by the sender of the  article(s) at the place of origin.
    VA.R. Doc. No. R12-3346; Filed July 26, 2012, 1:34 p.m. 
TITLE 4. CONSERVATION AND NATURAL RESOURCES
MARINE RESOURCES COMMISSION
Final Regulation
        REGISTRAR'S NOTICE: The  Marine Resources Commission is claiming an exemption from the Administrative  Process Act in accordance with § 2.2-4006 A 11 of the Code of Virginia;  however, the commission is required to publish the full text of final  regulations.
         Title of Regulation: 4VAC20-252. Pertaining to the  Taking of Striped Bass (amending 4VAC20-252-90, 4VAC20-252-100). 
    Statutory Authority: § 28.2-201 of the Code of  Virginia.
    Effective Date: August 1, 2012. 
    Agency Contact: Jane Warren, Agency Regulatory  Coordinator, Marine Resources Commission, 2600 Washington Avenue, 3rd Floor,  Newport News, VA 23607, telephone (757) 247-2248, FAX (757) 247-2002, or email  betty.warren@mrc.virginia.gov.
    Summary:
    The amendments maintain an 18-inch minimum size limit, a  28-inch maximum size limit, and a two-fish possession limit for striped bass,  except one fish of the two-fish possession limit may be greater than 28 inches  total length. These measures apply to the Chesapeake Area recreational striped  bass fishery and the Virginia tributaries of the Potomac River recreational  striped bass fishery from October 4 through December 31. 
    4VAC20-252-90. Bay fall striped bass recreational fishery. 
    A. The open season for the bay fall striped bass recreational  fishery shall be October 4 through December 31, inclusive. 
    B. The area open for this fishery shall be the Chesapeake Bay  and its tributaries. 
    C. The minimum size limit for this fishery shall be 18 inches  total length. 
    D. The maximum size limit for this fishery shall be 28 inches  total length, except as provided in subsection F of this section;  however, the maximum  size limit shall only apply to one fish of the  possession limit. 
    E. The possession limit for this fishery shall be two fish  per person. 
    F. The possession limits described in subsection E of this  section may consist of only one striped bass 34 inches or greater. 
    4VAC20-252-100. Potomac River tributaries summer/fall striped  bass recreational fishery. 
    A. The open season for the Potomac River tributaries  summer/fall striped bass fishery shall correspond to the open summer/fall  season as established by the Potomac River Fisheries Commission for the  mainstem Potomac River. 
    B. The area open for this fishery shall be the Potomac River  tributaries. 
    C. The minimum size limit for this fishery shall be 18 inches  total length. 
    D. The maximum size limit for this fishery shall be 28 inches  total length, except as provided in subsection F of this section;  however, the maximum size limit shall only apply to one fish of the possession  limit. 
    E. The possession limit for this fishery shall be two fish  per person. 
    F. The possession limits described in subsection E of this  section may consist of only one striped bass 34 inches or greater. 
    VA.R. Doc. No. R12-3320; Filed July 26, 2012, 4:17 p.m. 
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Fast-Track Regulation
    Titles of Regulations: 9VAC5-10. General Definitions  (Rev. J11) (amending 9VAC5-10-20).
    9VAC5-20. General Provisions (Rev. J11) (repealing 9VAC5-20-202).
    9VAC5-40. Existing Stationary Sources (Rev. J11) (repealing 9VAC5-40-6000 through 9VAC5-40-6230).  
    Statutory Authority: § 10.1-1308 of the Code of  Virginia; federal Clean Air Act (§§ 110, 111, 123, 129, 171, 172, and  182); 40 CFR Parts 51 and 60.
    Public Hearing Information: No public hearings are  scheduled.
    Public Comment Deadline: September 12, 2012.
    Effective Date: September 27, 2012. 
    Agency Contact: Mary E. Major, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4423, FAX (804) 698-4510, or email  mary.major@deq.virginia.gov.
    Basis: Section 10.1-1308 of the Virginia Air Pollution  Control Law (Chapter 13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of  Virginia) authorizes the State Air Pollution Control Board to promulgate  regulations abating, controlling, and prohibiting air pollution in order to  protect public health and welfare. 
    The original purpose of the regulation was to establish emission  standards that required the owners of HMIWIs to limit emissions of organics,  metals, and acid gases to a specified level necessary to protect public health  and welfare. The regulation was promulgated in order for the Commonwealth to  meet the requirements of § 111(d) and 129 of the federal Clean Air Act.
    Hospital/Medical/Infectious Waste Incinerators (HMIWI)  emissions are a "designated" pollutant under § 111(d) of the  Act. Designated pollutants are pollutants that are not 108(a)  "criteria" pollutants or § 112(b)(1)(A) "hazardous"  pollutants, but for which standards of performance for new sources have been  established under § 111(b), new source performance standards (NSPSs). When  the EPA establishes an NSPS, states are required to develop standards for existing  facilities based on EPA emission guidelines. In conjunction of § 111(d),  § 129 and its associated standards were promulgated because EPA determined  that incinerator emissions cause or contribute significantly to air pollution,  which may reasonably be expected to endanger public health and welfare. The  intended effect of the standards and guidelines is to form a basis for state  action to develop state regulations controlling HMIWI emissions to the level  achievable by the best demonstrated system of continuous emission reduction,  considering costs, nonair quality health and environmental impacts, and energy  requirements. In order for §§ 111 and 129 to be effected, the specific  guidelines are promulgated in the Code of Federal Regulations (CFR) at Subpart  Ce of 40 CFR 63. State regulations must be at least as stringent as the  guidelines.
    The final rule (Subpart Ec of 40 CFR Part 60) was published by  EPA in the Federal Register dated September 15, 1997 (62 FR 48348) and applies  to existing HMIWIs built on or before June 20, 1996.
    Purpose: The Commonwealth of Virginia HMIWI plan and  related state rule were approved by EPA in the September 10, 2004, edition of  the Federal Register (69 FR 54756) and codified in 40 CFR Part 62, Subpart VV.  Since that time, all three designated incinerator facilities in the plan  inventory subject to the state rule have been dismantled. On October 6, 2009,  EPA promulgated revised HMIWI emission guidelines under 40 CFR Part 60, Subpart  Ce, that triggered the need for revised state plan submittals. As a result, on  September 13, 2010, the Department of Environmental Quality (DEQ) submitted a  negative declaration regarding HMIWI sources within the state and requested  EPA's approval of a SIP withdrawal request. In the December 17, 2010, edition  of the Federal Register (75 FR 78917), EPA published Approval and Promulgation  of State Air Quality Plans for Designated Facilities and Pollutants,  Commonwealth of Virginia; Control of Emissions from Existing  Hospital/Medical/Infectious Waste Incinerator (HMIWI) Units, Negative  Declaration and Withdrawal of EPA Plan Approval. Subpart VV § 62.11625 was  modified to reflect a negative declaration and became effective February 15,  2011. Because there are no sources in the state to control, and because there  are no longer HMIWI components in the federal rule for Virginia, there is no  longer a need for the corresponding Virginia regulation. The definition of the  term "metropolitan statistical area" in 9VAC5-10-20 and the listing  of such areas in 9VAC5-20-202 should also be repealed as the term is only used  in Article 44 and in no other regulation of the board. 
    Rationale for Using Fast-Track Process: Virginia  requested a finding of negative declaration for HMIWI on September 13, 2010, as  all designated incinerator facilities in the plan inventory subject to Article  44 had been dismantled. On December 17, 2010, EPA approved the negative  declaration and modified the Code of Federal Regulations accordingly. Subpart  VV § 62.11625 was modified to reflect a negative declaration and became  effective on February 15, 2011. Because there are no sources subject to the  regulation and no HMIWI components in the federal rule for Virginia, there is  no longer a need for the corresponding Virginia regulation or for the use of  the term "metropolitan statistical area" in 9VAC5-10-20 and  9VAC5-20-202. There is no stakeholder group that is likely to object to the  repeal of the regulation. The use of the fast-track rulemaking process is,  therefore, appropriate. 
    Substance: Article 44 is repealed in its entirety.  9VAC5-10 and 9VAC5-20 are revised to remove provisions concerning metropolitan  statistical areas, which are used only in Article 44.
    Issues: The primary advantage to the public is the  removal of unusable regulatory requirements. There are no disadvantages to the  public. The primary advantage to the department is the removal of regulations  that are no longer necessary. There are no disadvantages to the department.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. Since the  initial adoption of the regulation on Hospital/Medical/Infectious Waste  Incinerators (HMIWI) (9VAC5-40-6000 et seq.), all three designated incinerator  facilities in the Commonwealth have been dismantled. In 2009, the U.S.  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative declaration  was submitted to EPA and approved in 2010. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, there is no longer a need for the corresponding  Virginia regulation. Thus, the State Air Pollution Control Board (Board)  proposes to repeal the Commonwealth's HMIWI regulations (9VAC5-40-6000 et  seq.). The Board also proposes to repeal the definition of the term  "metropolitan statistical area" in 9VAC5-10-20 and the listing of  such areas in 9VAC5-20-202 since the term is only used in the HMIWI regulation  and no other regulation of the board.
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, the proposed repeal of this regulation will not  affect any individual, business or other entity beyond potentially reducing  confusion amongst the public. 
    Businesses and Entities Affected. Since the facilities that  were subject to this regulation have been dismantled, there are no stakeholders  that will be affected by the repeal of this regulation.
    Localities Particularly Affected. The proposed repeal of this  regulation does not have a disproportionate effect on any particular  localities. 
    Projected Impact on Employment. The proposed repeal of this  regulation will not affect employment.
    Effects on the Use and Value of Private Property. The proposed  repeal of this regulation will not affect the use and value of private  property. 
    Small Businesses: Costs and Other Effects. The proposed repeal  of this regulation will not affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed repeal of this regulation will not affect small  businesses.
    Real Estate Development Costs. The proposed repeal of this  regulation will not affect real estate development costs.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  14 (10). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to Economic Impact Analysis: The State  Air Pollution Control Board of has reviewed the economic impact analysis  prepared by the Department of Planning and Budget and has no comment.
    Summary:
    Since the initial adoption of Article 44,  Hospital/Medical/Infectious Waste Incinerators (HMIWI) (9VAC5-40-6000 et seq.),  all three designated incinerator facilities have been dismantled. In 2009, the  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative  declaration was submitted to EPA and approved in 2010. Because there are no  sources in the state to control, and because there are no longer HMIWI components  in the federal rule for Virginia, there is no longer a need for the  corresponding Virginia regulation. The definition of the term metropolitan  statistical area in 9VAC5-10-20 and the listing of such areas in 9VAC5-20-202  are also repealed as the term is only used in Article 44 and no other  regulation of the board.
    9VAC5-10-20. Terms defined.
    "Actual emissions rate" means the actual rate of  emissions of a pollutant from an emissions unit. In general actual emissions  shall equal the average rate, in tons per year, at which the unit actually  emitted the pollutant during the most recent two-year period or some other  two-year period which is representative of normal source operation. If the  board determines that no two-year period is representative of normal source  operation, the board shall allow the use of an alternative period of time upon  a determination by the board that it is more representative of normal source  operation. Actual emissions shall be calculated using the unit's actual  operating hours, production rates, and types of materials processed, stored, or  combusted during the selected time period.
    "Administrator" means the administrator of the U.S.  Environmental Protection Agency (EPA) or his authorized representative.
    "Affected facility" means, with reference to a  stationary source, any part, equipment, facility, installation, apparatus,  process or operation to which an emission standard is applicable or any other  facility so designated. The term "affected facility" includes any  affected source as defined in 40 CFR 63.2.
    "Air pollution" means the presence in the outdoor  atmosphere of one or more substances which are or may be harmful or injurious  to human health, welfare or safety; to animal or plant life; or to property; or  which unreasonably interfere with the enjoyment by the people of life or  property.
    "Air quality" means the specific measurement in the  ambient air of a particular air pollutant at any given time.
    "Air quality control region" means any area  designated as such in 9VAC5-20-200.
    "Alternative method" means any method of sampling  and analyzing for an air pollutant which is not a reference or equivalent  method, but which has been demonstrated to the satisfaction of the board, in  specific cases, to produce results adequate for its determination of  compliance.
    "Ambient air" means that portion of the atmosphere,  external to buildings, to which the general public has access.
    "Ambient air quality standard" means any primary or  secondary standard designated as such in 9VAC5-30 (Ambient Air Quality  Standards).
    "Board" means the State Air Pollution Control Board  or its designated representative.
    "Class I area" means any prevention of significant  deterioration area (i) in which virtually any deterioration of existing air  quality is considered significant and (ii) designated as such in 9VAC5-20-205.
    "Class II area" means any prevention of significant  deterioration area (i) in which any deterioration of existing air quality  beyond that normally accompanying well-controlled growth is considered  significant and (ii) designated as such in 9VAC5-20-205.
    "Class III area" means any prevention of  significant deterioration area (i) in which deterioration of existing air  quality to the levels of the ambient air quality standards is permitted and  (ii) designated as such in 9VAC5-20-205.
    "Continuous monitoring system" means the total  equipment used to sample and condition (if applicable), to analyze, and to  provide a permanent continuous record of emissions or process parameters.
    "Control program" means a plan formulated by the  owner of a stationary source to establish pollution abatement goals, including  a compliance schedule to achieve such goals. The plan may be submitted  voluntarily, or upon request or by order of the board, to ensure compliance by  the owner with standards, policies and regulations adopted by the board. The  plan shall include system and equipment information and operating performance  projections as required by the board for evaluating the probability of  achievement. A control program shall contain the following increments of  progress:
    1. The date by which contracts for emission control system or  process modifications are to be awarded, or the date by which orders are to be  issued for the purchase of component parts to accomplish emission control or  process modification.
    2. The date by which the on-site construction or installation  of emission control equipment or process change is to be initiated.
    3. The date by which the on-site construction or installation  of emission control equipment or process modification is to be completed.
    4. The date by which final compliance is to be achieved.
    "Criteria pollutant" means any pollutant for which  an ambient air quality standard is established under 9VAC5-30 (Ambient Air  Quality Standards).
    "Day" means a 24-hour period beginning at midnight.
    "Delayed compliance order" means any order of the  board issued after an appropriate hearing to an owner which postpones the date  by which a stationary source is required to comply with any requirement  contained in the applicable implementation plan.
    "Department" means any employee or other  representative of the Virginia Department of Environmental Quality, as  designated by the director.
    "Director" or "executive director" means  the director of the Virginia Department of Environmental Quality or a  designated representative.
    "Dispersion technique"
    1. Means any technique which attempts to affect the  concentration of a pollutant in the ambient air by:
    a. Using that portion of a stack which exceeds good  engineering practice stack height;
    b. Varying the rate of emission of a pollutant according to  atmospheric conditions or ambient concentrations of that pollutant; or
    c. Increasing final exhaust gas plume rise by manipulating  source process parameters, exhaust gas parameters, stack parameters, or  combining exhaust gases from several existing stacks into one stack; or other  selective handling of exhaust gas streams so as to increase the exhaust gas  plume rise.
    2. The preceding sentence does not include:
    a. The reheating of a gas stream, following use of a pollution  control system, for the purpose of returning the gas to the temperature at  which it was originally discharged from the facility generating the gas stream;
    b. The merging of exhaust gas streams where:
    (1) The owner demonstrates that the facility was originally  designed and constructed with such merged gas streams;
    (2) After July 8, 1985, such merging is part of a change in  operation at the facility that includes the installation of pollution controls  and is accompanied by a net reduction in the allowable emissions of a  pollutant. This exclusion from the definition of "dispersion  techniques" shall apply only to the emissions limitation for the pollutant  affected by such change in operation; or
    (3) Before July 8, 1985, such merging was part of a change in  operation at the facility that included the installation of emissions control  equipment or was carried out for sound economic or engineering reasons. Where  there was an increase in the emissions limitation or, in the event that no  emissions limitation was in existence prior to the merging, an increase in the  quantity of pollutants actually emitted prior to the merging, the board shall  presume that merging was significantly motivated by an intent to gain emissions  credit for greater dispersion. Absent a demonstration by the owner that merging  was not significantly motivated by such intent, the board shall deny credit for  the effects of such merging in calculating the allowable emissions for the  source;
    c. Smoke management in agricultural or silvicultural  prescribed burning programs;
    d. Episodic restrictions on residential woodburning and open  burning; or
    e. Techniques under subdivision 1 c of this definition which  increase final exhaust gas plume rise where the resulting allowable emissions  of sulfur dioxide from the facility do not exceed 5,000 tons per year.
    "Emergency" means a situation that immediately and  unreasonably affects, or has the potential to immediately and unreasonably  affect, public health, safety or welfare; the health of animal or plant life;  or property, whether used for recreational, commercial, industrial,  agricultural or other reasonable use.
    "Emissions limitation" means any requirement  established by the board which limits the quantity, rate, or concentration of  continuous emissions of air pollutants, including any requirements which limit  the level of opacity, prescribe equipment, set fuel specifications, or  prescribe operation or maintenance procedures to assure continuous emission  reduction.
    "Emission standard" means any provision of 9VAC5-40  (Existing Stationary Sources), 9VAC5-50 (New and Modified Stationary Sources),  or 9VAC5-60 (Hazardous Air Pollutant Sources) that prescribes an emissions  limitation, or other requirements that control air pollution emissions.
    "Emissions unit" means any part of a stationary  source which emits or would have the potential to emit any air pollutant. 
    "Equivalent method" means any method of sampling  and analyzing for an air pollutant which has been demonstrated to the  satisfaction of the board to have a consistent and quantitative relationship to  the reference method under specified conditions. 
    "EPA" means the U.S. Environmental Protection  Agency or an authorized representative. 
    "Excess emissions" means emissions of air pollutant  in excess of an emission standard. 
    "Excessive concentration" is defined for the  purpose of determining good engineering practice (GEP) stack height under  subdivision 3 of the GEP definition and means: 
    1. For sources seeking credit for stack height exceeding that  established under subdivision 2 of the GEP definition, a maximum ground-level  concentration due to emissions from a stack due in whole or part to downwash,  wakes, and eddy effects produced by nearby structures or nearby terrain  features which individually is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy effects  and which contributes to a total concentration due to emissions from all  sources that is greater than an ambient air quality standard. For sources  subject to the provisions of Article 8 (9VAC5-80-1605 et seq.) of Part II of  9VAC5-80 (Permits for Stationary Sources), an excessive concentration  alternatively means a maximum ground-level concentration due to emissions from  a stack due in whole or part to downwash, wakes, or eddy effects produced by  nearby structures or nearby terrain features which individually is at least 40%  in excess of the maximum concentration experienced in the absence of the  maximum concentration experienced in the absence of such downwash, wakes, or  eddy effects and greater than a prevention of significant deterioration increment.  The allowable emission rate to be used in making demonstrations under this  provision shall be prescribed by the new source performance standard that is  applicable to the source category unless the owner demonstrates that this  emission rate is infeasible. Where such demonstrations are approved by the  board, an alternative emission rate shall be established in consultation with  the owner; 
    2. For sources seeking credit after October 11, 1983, for  increases in existing stack heights up to the heights established under  subdivision 2 of the GEP definition, either (i) a maximum ground-level  concentration due in whole or part to downwash, wakes or eddy effects as  provided in subdivision 1 of this definition, except that the emission rate  specified by any applicable implementation plan (or, in the absence of such a  limit, the actual emission rate) shall be used, or (ii) the actual presence of  a local nuisance caused by the existing stack, as determined by the board; and 
    3. For sources seeking credit after January 12, 1979, for a  stack height determined under subdivision 2 of the GEP definition where the  board requires the use of a field study or fluid model to verify GEP stack  height, for sources seeking stack height credit after November 9, 1984, based  on the aerodynamic influence of cooling towers, and for sources seeking stack  height credit after December 31, 1970, based on the aerodynamic influence of  structures not adequately represented by the equations in subdivision 2 of the  GEP definition, a maximum ground-level concentration due in whole or part to  downwash, wakes or eddy effects that is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy  effects. 
    "Existing source" means any stationary source other  than a new source or modified source. 
    "Facility" means something that is built, installed  or established to serve a particular purpose; includes, but is not limited to,  buildings, installations, public works, businesses, commercial and industrial  plants, shops and stores, heating and power plants, apparatus, processes,  operations, structures, and equipment of all types. 
    "Federal Clean Air Act" means Chapter 85  (§ 7401 et seq.) of Title 42 of the United States Code.
    "Federally enforceable" means all limitations and  conditions which are enforceable by the administrator and citizens under the  federal Clean Air Act or that are enforceable under other statutes administered  by the administrator. Federally enforceable limitations and conditions include,  but are not limited to, the following: 
    1. Emission standards, alternative emission standards,  alternative emissions limitations, and equivalent emissions limitations  established pursuant to § 112 of the federal Clean Air Act as amended in  1990.
    2. New source performance standards established pursuant to  § 111 of the federal Clean Air Act, and emission standards established  pursuant to § 112 of the federal Clean Air Act before it was amended in  1990.
    3. All terms and conditions in a federal operating permit,  including any provisions that limit a source's potential to emit, unless  expressly designated as not federally enforceable.
    4. Limitations and conditions that are part of an  implementation plan.
    5. Limitations and conditions that are part of a section  111(d) or section 111(d)/129 plan.
    6. Limitations and conditions that are part of a federal  construction permit issued under 40 CFR 52.21 or any construction permit issued  under regulations approved by EPA in accordance with 40 CFR Part 51.
    7. Limitations and conditions that are part of an operating  permit issued pursuant to a program approved by EPA into an implementation plan  as meeting EPA's minimum criteria for federal enforceability, including  adequate notice and opportunity for EPA and public comment prior to issuance of  the final permit and practicable enforceability.
    8. Limitations and conditions in a Virginia regulation or  program that has been approved by EPA under subpart E of 40 CFR Part 63 for the  purposes of implementing and enforcing § 112 of the federal Clean Air Act.
    9. Individual consent agreements issued pursuant to the legal  authority of EPA.
    "Good engineering practice" or "GEP,"  with reference to the height of the stack, means the greater of:
    1. 65 meters, measured from the ground-level elevation at the  base of the stack;
    2. a. For stacks in existence on January 12, 1979, and for  which the owner had obtained all applicable permits or approvals required under  9VAC5-80 (Permits for Stationary Sources),
    Hg = 2.5H, 
    provided the owner produces evidence that this equation was  actually relied on in establishing an emissions limitation; 
    b. For all other stacks, 
    Hg = H + 1.5L, 
    where: 
    Hg = good engineering practice stack height, measured from the  ground-level elevation at the base of the stack, 
    H = height of nearby structure(s) measured from the  ground-level elevation at the base of the stack, 
    L = lesser dimension, height or projected width, of nearby  structure(s) provided that the board may require the use of a field study or  fluid model to verify GEP stack height for the source; or 
    3. The height demonstrated by a fluid model or a field study  approved by the board, which ensures that the emissions from a stack do not  result in excessive concentrations of any air pollutant as a result of atmospheric  downwash, wakes, or eddy effects created by the source itself, nearby  structures or nearby terrain features. 
    "Hazardous air pollutant" means an air pollutant to  which no ambient air quality standard is applicable and which in the judgment  of the administrator causes, or contributes to, air pollution which may  reasonably be anticipated to result in an increase in mortality or an increase  in serious irreversible, or incapacitating reversible, illness. 
    "Implementation plan" means the portion or portions  of the state implementation plan, or the most recent revision thereof, which  has been approved under § 110 of the federal Clean Air Act, or promulgated  under § 110(c) of the federal Clean Air Act, or promulgated or approved  pursuant to regulations promulgated under § 301(d) of the federal Clean  Air Act and which implements the relevant requirements of the federal Clean Air  Act. 
    "Initial emission test" means the test required by  any regulation, permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources),  control program, compliance schedule or other enforceable mechanism for  determining compliance with new or more stringent emission standards or permit  limitations or other emissions limitations requiring the installation or  modification of air pollution control equipment or implementation of a control  method. Initial emission tests shall be conducted in accordance with  9VAC5-40-30.
    "Initial performance test" means the test required  by (i) 40 CFR Part 60 for determining compliance with standards of performance,  or (ii) a permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources)  for determining initial compliance with permit limitations. Initial performance  tests shall be conducted in accordance with 9VAC5-50-30 and 9VAC5-60-30.
    "Isokinetic sampling" means sampling in which the  linear velocity of the gas entering the sampling nozzle is equal to that of the  undisturbed gas stream at the sample point. 
    "Locality" means a city, town, county or other  public body created by or pursuant to state law. 
    "Maintenance area" means any geographic region of  the United States previously designated as a nonattainment area and  subsequently redesignated to attainment subject to the requirement to develop a  maintenance plan and designated as such in 9VAC5-20-203. 
    "Malfunction" means any sudden failure of air  pollution control equipment, of process equipment, or of a process to operate  in a normal or usual manner, which failure is not due to intentional misconduct  or negligent conduct on the part of the owner or other person. Failures that  are caused in part by poor maintenance or careless operation are not  malfunctions. 
    "Metropolitan statistical area" means any area  designated as such in 9VAC5-20-202. 
    "Monitoring device" means the total equipment used  to measure and record (if applicable) process parameters. 
    "Nearby" as used in the definition of good  engineering practice (GEP) is defined for a specific structure or terrain  feature and: 
    1. For purposes of applying the formulae provided in  subdivision 2 of the GEP definition means that distance up to five times the  lesser of the height or the width dimension of a structure, but not greater  than 0.8 km (1/2 mile); and 
    2. For conducting demonstrations under subdivision 3 of the  GEP definition means not greater than 0.8 km (1/2 mile), except that the  portion of a terrain feature may be considered to be nearby which falls within  a distance of up to 10 times the maximum height (Ht) of the feature, not to  exceed two miles if such feature achieves a height (Ht) 0.8 km from the stack  that is at least 40% of the GEP stack height determined by the formulae  provided in subdivision 2 b of the GEP definition or 26 meters, whichever is  greater, as measured from the ground-level elevation at the base of the stack.  The height of the structure or terrain feature is measured from the  ground-level elevation at the base of the stack. 
    "Nitrogen oxides" means all oxides of nitrogen  except nitrous oxide, as measured by test methods set forth in 40 CFR Part 60. 
    "Nonattainment area" means any area which is shown  by air quality monitoring data or, where such data are not available, which is  calculated by air quality modeling (or other methods determined by the board to  be reliable) to exceed the levels allowed by the ambient air quality standard  for a given pollutant including, but not limited to, areas designated as such  in 9VAC5-20-204. 
    "One hour" means any period of 60 consecutive  minutes. 
    "One-hour period" means any period of 60  consecutive minutes commencing on the hour. 
    "Organic compound" means any chemical compound of  carbon excluding carbon monoxide, carbon dioxide, carbonic disulfide, carbonic  acid, metallic carbides, metallic carbonates and ammonium carbonate. 
    "Owner" means any person, including bodies politic  and corporate, associations, partnerships, personal representatives, trustees  and committees, as well as individuals, who owns, leases, operates, controls or  supervises a source. 
    "Particulate matter" means any airborne finely  divided solid or liquid material with an aerodynamic diameter smaller than 100  micrometers. 
    "Particulate matter emissions" means all finely  divided solid or liquid material, other than uncombined water, emitted to the  ambient air as measured by the applicable reference method, or an equivalent or  alternative method.
    "PM10" means particulate matter with an  aerodynamic diameter less than or equal to a nominal 10 micrometers as measured  by the applicable reference method or an equivalent method.
    "PM10 emissions" means finely divided  solid or liquid material, with an aerodynamic diameter less than or equal to a  nominal 10 micrometers emitted to the ambient air as measured by the applicable  reference method, or an equivalent or alternative method.
    "Performance test" means a test for determining  emissions from new or modified sources.
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity.
    "Pollutant" means any substance the presence of  which in the outdoor atmosphere is or may be harmful or injurious to human  health, welfare or safety, to animal or plant life, or to property, or which  unreasonably interferes with the enjoyment by the people of life or property.
    "Potential to emit" means the maximum capacity of a  stationary source to emit a pollutant under its physical and operational  design. Any physical or operational limitation on the capacity of the source to  emit a pollutant, including air pollution control equipment, and restrictions  on hours of operation or on the type or amount of material combusted, stored,  or processed, shall be treated as part of its design only if the limitation or  its effect on emissions is state and federally enforceable.
    "Prevention of significant deterioration area"  means any area not designated as a nonattainment area in 9VAC5-20-204 for a  particular pollutant and designated as such in 9VAC5-20-205.
    "Proportional sampling" means sampling at a rate  that produces a constant ratio of sampling rate to stack gas flow rate. 
    "Public hearing" means, unless indicated otherwise,  an informal proceeding, similar to that provided for in § 2.2-4007.02 of  the Administrative Process Act, held to afford persons an opportunity to submit  views and data relative to a matter on which a decision of the board is  pending.
    "Reference method" means any method of sampling and  analyzing for an air pollutant as described in the following EPA regulations:
    1. For ambient air quality standards in 9VAC5-30 (Ambient Air  Quality Standards): The applicable appendix of 40 CFR Part 50 or any method  that has been designated as a reference method in accordance with 40 CFR Part  53, except that it does not include a method for which a reference designation  has been canceled in accordance with 40 CFR 53.11 or 40 CFR 53.16.
    2. For emission standards in 9VAC5-40 (Existing Stationary  Sources) and 9VAC5-50 (New and Modified Stationary Sources): Appendix M of 40  CFR Part 51 or Appendix A of 40 CFR Part 60.
    3. For emission standards in 9VAC5-60 (Hazardous Air Pollutant  Sources): Appendix B of 40 CFR Part 61 or Appendix A of 40 CFR Part 63.
    "Regional director" means the regional director of  an administrative region of the Department of Environmental Quality or a  designated representative.
    "Regulation of the board" means any regulation  adopted by the State Air Pollution Control Board under any provision of the  Code of Virginia.
    "Regulations for the Control and Abatement of Air  Pollution" means 9VAC5-10 (General Definitions) through 9VAC5-80 (Permits  for Stationary Sources).
    "Reid vapor pressure" means the absolute vapor  pressure of volatile crude oil and volatile nonviscous petroleum liquids except  liquefied petroleum gases as determined by American Society for Testing and  Materials publication, "Standard Test Method for Vapor Pressure of  Petroleum Products (Reid Method)" (see 9VAC5-20-21).
    "Run" means the net period of time during which an  emission sample is collected. Unless otherwise specified, a run may be either  intermittent or continuous within the limits of good engineering practice.
    "Section 111(d) plan" means the portion or portions  of the plan, or the most recent revision thereof, which has been approved under  40 CFR 60.27(b) in accordance with § 111(d)(1) of the federal Clean Air  Act, or promulgated under 40 CFR 60.27(d) in accordance with § 111 (d)(2)  of the federal Clean Air Act, and which implements the relevant requirements of  the federal Clean Air Act. 
    "Section 111(d)/129 plan" means the portion or  portions of the plan, or the most recent revision thereof, which has been  approved under 40 CFR 60.27(b) in accordance with §§ 111(d)(1) and  129(b)(2) of the federal Clean Air Act, or promulgated under 40 CFR 60.27(d) in  accordance with §§ 111(d)(2) and 129(b)(3) of the federal Clean Air Act,  and which implements the relevant requirements of the federal Clean Air Act. 
    "Shutdown" means the cessation of operation of an  affected facility for any purpose. 
    "Source" means any one or combination of the  following: buildings, structures, facilities, installations, articles,  machines, equipment, landcraft, watercraft, aircraft or other contrivances  which contribute, or may contribute, either directly or indirectly to air  pollution. Any activity by any person that contributes, or may contribute, either  directly or indirectly to air pollution, including, but not limited to, open  burning, generation of fugitive dust or emissions, and cleaning with abrasives  or chemicals. 
    "Stack" means any point in a source designed to  emit solids, liquids or gases into the air, including a pipe or duct, but not  including flares. 
    "Stack in existence" means that the owner had: 
    1. Begun, or caused to begin, a continuous program of physical  on site construction of the stack; or 
    2. Entered into binding agreements or contractual obligations,  which could not be canceled or modified without substantial loss to the owner,  to undertake a program of construction of the stack to be completed in a  reasonable time. 
    "Standard conditions" means a temperature of 20°C  (68°F) and a pressure of 760 mm of Hg (29.92 inches of Hg). 
    "Standard of performance" means any provision of  9VAC5-50 (New and Modified Stationary Sources) which prescribes an emissions  limitation or other requirements that control air pollution emissions. 
    "Startup" means the setting in operation of an  affected facility for any purpose. 
    "State enforceable" means all limitations and  conditions which are enforceable by the board or department, including, but not  limited to, those requirements developed pursuant to 9VAC5-20-110; requirements  within any applicable regulation, order, consent agreement or variance; and any  permit requirements established pursuant to 9VAC5-80 (Permits for Stationary  Sources). 
    "State Implementation Plan" means the plan,  including the most recent revision thereof, which has been approved or  promulgated by the administrator, U.S. Environmental Protection Agency, under  § 110 of the federal Clean Air Act, and which implements the requirements  of § 110.
    "Stationary source" means any building, structure,  facility or installation which emits or may emit any air pollutant. A  stationary source shall include all of the pollutant-emitting activities which  belong to the same industrial grouping, are located on one or more contiguous  or adjacent properties, and are under the control of the same person (or  persons under common control) except the activities of any vessel.  Pollutant-emitting activities shall be considered as part of the same  industrial grouping if they belong to the same "Major Group" (i.e.,  which have the same two-digit code) as described in the Standard Industrial  Classification Manual (see 9VAC5-20-21).
    "These regulations" means 9VAC5-10 (General  Definitions) through 9VAC5-80 (Permits for Stationary Sources).
    "Total suspended particulate (TSP)" means  particulate matter as measured by the reference method described in Appendix B  of 40 CFR Part 50. 
    "True vapor pressure" means the equilibrium partial  pressure exerted by a petroleum liquid as determined in accordance with methods  described in American Petroleum Institute (API) publication, "Evaporative  Loss from External Floating-Roof Tanks" (see 9VAC5-20-21). The API  procedure may not be applicable to some high viscosity or high pour crudes.  Available estimates of true vapor pressure may be used in special cases such as  these. 
    "Urban area" means any area consisting of a core  city with a population of 50,000 or more plus any surrounding localities with a  population density of 80 persons per square mile and designated as such in  9VAC5-20-201. 
    "Vapor pressure," except where specific test  methods are specified, means true vapor pressure, whether measured directly, or  determined from Reid vapor pressure by use of the applicable nomograph in  American Petroleum Institute publication, "Evaporative Loss from  Floating-Roof Tanks" (see 9VAC5-20-21). 
    "Virginia Air Pollution Control Law" means Chapter  13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of Virginia. 
    "Volatile organic compound" means any compound of  carbon, excluding carbon monoxide, carbon dioxide, carbonic acid, metallic  carbides or carbonates, and ammonium carbonate, which participates in  atmospheric photochemical reactions. 
    1. This includes any such organic compounds which have been  determined to have negligible photochemical reactivity other than the  following: 
    a. Methane; 
    b. Ethane; 
    c. Methylene chloride (dichloromethane); 
    d. 1,1,1-trichloroethane (methyl chloroform); 
    e. 1,1,2-trichloro-1,2,2-trifluoroethane (CFC-113); 
    f. Trichlorofluoromethane (CFC-11); 
    g. Dichlorodifluoromethane (CFC-12); 
    h. Chlorodifluoromethane (H CFC-22); 
    i. Trifluoromethane (H FC-23); 
    j. 1,2-dichloro 1,1,2,2,-tetrafluoroethane (CFC-114); 
    k. Chloropentafluoroethane (CFC-115); 
    l. 1,1,1-trifluoro 2,2-dichloroethane (HCFC-123); 
    m. 1,1,1,2-tetrafluoroethane (HFC-134a); 
    n. 1,1-dichloro 1-fluoroethane (HCFC-141b); 
    o. 1-chloro 1,1-difluoroethane (HCFC-142b); 
    p. 2-chloro-1,1,1,2-tetrafluoroethane (HCFC-124); 
    q. Pentafluoroethane (HFC-125); 
    r. 1,1,2,2-tetrafluoroethane (HFC-134); 
    s. 1,1,1-trifluoroethane (HFC-143a); 
    t. 1,1-difluoroethane (HFC-152a); 
    u. Parachlorobenzotrifluoride (PCBTF); 
    v. Cyclic, branched, or linear completely methylated  siloxanes; 
    w. Acetone; 
    x. Perchloroethylene (tetrachloroethylene); 
    y. 3,3-dichloro-1,1,1,2,2-pentafluoropropane (HCFC-225ca); 
    z. 1,3-dichloro-1,1,2,2,3-pentafluoropropane (HCFC-225cb); 
    aa. 1,1,1,2,3,4,4,5,5,5-decafluoropentane (HFC 43-10mee); 
    bb. Difluoromethane (HFC-32); 
    cc. Ethylfluoride (HFC-161); 
    dd. 1,1,1,3,3,3-hexafluoropropane (HFC-236fa); 
    ee. 1,1,2,2,3-pentafluoropropane (HFC-245ca); 
    ff. 1,1,2,3,3-pentafluoropropane (HFC-245ea); 
    gg. 1,1,1,2,3-pentafluoropropane (HFC-245eb); 
    hh. 1,1,1,3,3-pentafluoropropane (HFC-245fa); 
    ii. 1,1,1,2,3,3-hexafluoropropane (HFC-236ea); 
    jj. 1,1,1,3,3-pentafluorobutane (HFC-365mfc); 
    kk. Chlorofluoromethane (HCFC-31); 
    ll. 1 chloro-1-fluoroethane (HCFC-151a); 
    mm. 1,2-dichloro-1,1,2-trifluoroethane (HCFC-123a); 
    nn. 1,1,1,2,2,3,3,4,4-nonafluoro-4-methoxy-butane (C4F9OCH3  or HFE-7100); 
    oo. 2-(difluoromethoxymethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2 OCH3); 
    pp. 1-ethoxy-1,1,2,2,3,3,4,4,4-nonafluorobutane (C4F9  OC2H5 or HFE-7200); 
    qq. 2-(ethoxydifluoromethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2OC2H5); 
    rr. Methyl acetate; ss.  1,1,1,2,2,3,3-heptafluoro-3-methoxy-propane (n-C3F7OCH3)  (HFE-7000); 
    tt.  3-ethoxy-1,1,1,2,3,4,4,5,5,6,6,6-dodecafluoro-2-(trifluoromethyl) hexane  (HFE-7500); 
    uu. 1,1,1,2,3,3,3-heptafluoropropane (HFC 227ea); 
    vv. methyl formate (HCOOCH3); 
    ww. (1)  1,1,1,2,2,3,4,5,5,5-decafluoro-3-methoxy-4-trifluoromethyl-pentane (HFE-7300); 
    xx. propylene carbonate;
    yy. dimethyl carbonate; and
    zz. Perfluorocarbon compounds which fall into these classes: 
    (1) Cyclic, branched, or linear, completely fluorinated  alkanes; 
    (2) Cyclic, branched, or linear, completely fluorinated ethers  with no unsaturations; 
    (3) Cyclic, branched, or linear, completely fluorinated  tertiary amines with no unsaturations; and 
    (4) Sulfur containing perfluorocarbons with no unsaturations  and with sulfur bonds only to carbon and fluorine. 
    2. For purposes of determining compliance with emissions  standards, volatile organic compounds shall be measured by the appropriate  reference method in accordance with the provisions of 9VAC5-40-30 or  9VAC5-50-30, as applicable. Where such a method also measures compounds with  negligible photochemical reactivity, these negligibly reactive compounds may be  excluded as a volatile organic compound if the amount of such compounds is  accurately quantified, and such exclusion is approved by the board. 
    3. As a precondition to excluding these compounds as volatile  organic compounds or at any time thereafter, the board may require an owner to  provide monitoring or testing methods and results demonstrating, to the  satisfaction of the board, the amount of negligibly reactive compounds in the  emissions of the source. 
    4. Exclusion of the above compounds in this definition in  effect exempts such compounds from the provisions of emission standards for  volatile organic compounds. The compounds are exempted on the basis of being so  inactive that they will not contribute significantly to the formation of ozone  in the troposphere. However, this exemption does not extend to other properties  of the exempted compounds which, at some future date, may require regulation  and limitation of their use in accordance with requirements of the federal  Clean Air Act. 
    5. The following compound is a VOC for purposes of all  recordkeeping, emissions reporting, photochemical dispersion modeling and  inventory requirements that apply to VOCs and shall be uniquely identified in  emission reports, but is not a VOC for purposes of VOC emission standards, VOC  emissions limitations, or VOC content requirements: t-butyl acetate. 
    "Welfare" means that language referring to effects  on welfare includes, but is not limited to, effects on soils, water, crops,  vegetation, man-made materials, animals, wildlife, weather, visibility and  climate, damage to and deterioration of property, and hazards to  transportation, as well as effects on economic values and on personal comfort  and well-being. 
    9VAC5-20-202. Metropolitan statistical areas. (Repealed.)
    Metropolitan Statistical Areas are geographically defined as  follows: 
           | TITLE
 | GEOGRAPHICAL AREA
 | 
       | Bristol MSA
 | Bristol CityScott County
 Washington County
 | 
       | Charlottesville MSA
 | Charlottesville CityAlbemarle County
 Fluvanna County
 Greene County
 | 
       | Danville MSA
 | Danville CityPittsylvania County
 | 
       | Lynchburg MSA
 | Bedford CityLynchburg City
 Amherst County
 Bedford County
 Campbell County
 | 
       | Norfolk-Virginia Beach-Newport News MSA
 | Chesapeake CityNorfolk City
 Portsmouth City
 Suffolk City
 Virginia Beach City
 Hampton City
 Newport News City
 Poquoson City
 Williamsburg City
 Gloucester County
 Isle of Wight County
 James City County
 Mathews County
 York County
 | 
       | Richmond-Petersburg MSA
 | Richmond CityColonial Heights City
 Hopewell City
 Petersburg City
 Charles City County
 Chesterfield County
 Goochland County
 Hanover County
 Henrico County
 New Kent County
 Powhatan County
 Prince George County
 Dinwiddie County
 | 
       | Roanoke MSA
 | Roanoke CitySalem City
 Botetourt County
 Roanoke County
 | 
       | National Capital MSA
 | Alexandria CityFairfax City
 Falls Church City
 Fredericksburg City
 Manassas City
 Manassas Park City
 Arlington County
 Clarke County
 Culpeper County
 Fairfax County
 Fauquier County
 King George County
 Loudoun County
 Prince William County
 Spottsylvania County
 Stafford County
 Warren County
 | 
  
    Article 44 
  Emission Standards for Hospital/Medical/Infectious Waste Incinerators (Rule  4-44)
    9VAC5-40-6000. Applicability and designation of affected  facility. (Repealed.)
    A. Except as provided in subsections C and D of this  section, the affected facility to which the provisions of this article apply is  each individual HMIWI for which construction was commenced on or before June  20, 1996. 
    B. The provisions of this article apply throughout the  Commonwealth of Virginia. 
    C. Exempted from the provisions of this article are the  following: 
    1. Combustors during periods when only pathological waste,  low-level radioactive waste, or chemotherapeutic waste is burned, provided the  owner: 
    a. Notifies the board of an exemption claim; and 
    b. Keeps records on a calendar quarter basis of the periods  of time when only pathological waste, low-level radioactive waste, or  chemotherapeutic waste is burned. 
    2. Any co-fired combustor if the owner of the co-fired  combustor: 
    a. Notifies the board of an exemption claim; 
    b. Provides an estimate of the relative weight of hospital  waste, medical/infectious waste, and other fuels and or wastes to be combusted;  and 
    c. Keeps records on a calendar quarter basis of the weight  of hospital waste and medical/infectious waste combusted, and the weight of all  other fuels and wastes combusted at the co-fired combustor. 
    3. Any combustor required to have a permit under § 3005 of  the Solid Waste Disposal Act (42 USC § 6901 et seq.). 
    4. Any combustor which meets the applicability requirements  under subpart Ea or Eb of 40 CFR Part 60 (standards for certain municipal waste  combustors). 
    5. Any pyrolysis unit. 
    6. Cement kilns firing hospital waste and  medical/infectious waste or both. 
    D. The provisions of this article do not apply to affected  facilities subject to the standards in 9VAC5 Chapter 40, Article 54  (9VAC5-40-7950 et seq.). 
    E. Physical or operational changes made to an existing  HMIWI unit solely for the purpose of complying with this article are not  considered a modification and do not result in an existing HMIWI unit becoming  subject to the provisions of subpart Ec of 40 CFR Part 60 (see 40 CFR 60.50c). 
    F. Beginning September 15, 2000, affected facilities  subject to this article shall operate pursuant to a federal operating permit. 
    G. The provisions of 40 CFR Part 60 cited in this article  are applicable only to the extent that they are incorporated by reference in  Article 5 (9VAC5-50-400 et seq.) of Part II of 9VAC5 Chapter 50. 
    H. The requirement of subdivision C 3 of this section with  regard to obtaining a permit under § 3005 of the Solid Waste Disposal Act (42  USC § 6901 et seq.) may be met by obtaining a permit from the department as  required by 9VAC20 Chapter 60. 
    9VAC5-40-6010. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meanings given them in subsection C of  this section. 
    B. As used in this article, all terms not defined here  shall have the meanings given them in 9VAC5 Chapter 10, unless otherwise  required by context. 
    C. Terms defined. 
    "Batch HMIWI" means an HMIWI that is designed  such that neither waste charging nor ash removal can occur during combustion. 
    "Biologicals" means preparations made from  living organisms and their products, including vaccines, cultures, etc.,  intended for use in diagnosing, immunizing, or treating humans or animals or in  research pertaining thereto. 
    "Blood products" means any product derived from  human blood, including but not limited to blood plasma, platelets, red or white  blood corpuscles, and other derived licensed products, such as interferon, etc.  
    "Body fluids" means any liquid emanating or  derived from humans and not limited to blood; dialysate; amniotic,  cerebrospinal, synovial, pleural, peritoneal and pericardial fluids; and semen  and vaginal secretions. 
    "Bypass stack" means a device used for  discharging combustion gases to avoid severe damage to the air pollution  control device or other equipment. 
    "Chemotherapeutic waste" means waste material  resulting from the production or use of antineoplastic agents used for the  purpose of stopping or reversing the growth of malignant cells. 
    "Co-fired combustor" means a unit combusting  hospital waste and medical/infectious waste or both with other fuels or wastes  (e.g., coal, municipal solid waste) and subject to an enforceable requirement  limiting the unit to combusting a fuel feed stream, 10% or less of the weight  of which is comprised, in aggregate, of hospital waste and medical/infectious  waste as measured on a calendar quarter basis. For purposes of this definition,  pathological waste, chemotherapeutic waste, and low-level radioactive waste are  considered "other" wastes when calculating the percentage of hospital  waste and medical/infectious waste combusted. 
    "Combustor" means any type of stationary  equipment in which solid, liquid or gaseous fuels and refuse are burned  (including, but not limited to, furnaces, ovens, and kilns) for the primary  purpose of destroying matter or reducing the volume, or both, of the waste by  removing combustible matter. 
    "Commenced" means an owner has undertaken a  continuous program of construction or modification or that an owner has entered  into a contractual obligation to undertake and complete, within a reasonable  time, a continuous program of construction or modification. 
    "Compliance schedule" means a legally  enforceable schedule specifying a date or dates by which a source must comply  with specific emission limits contained in this article or with any increments  of progress to achieve such compliance. 
    "Construction" means fabrication, erection, or  installation of an affected facility. 
    "Continuous emission monitoring system" means a  monitoring system for continuously measuring and recording the emissions of a  pollutant from an affected facility. 
    "Continuous HMIWI" means an HMIWI that is  designed to allow waste charging and ash removal during combustion. 
    "Dioxins/furans" means the combined emissions of  tetra-through octa-chlorinated dibenzo-para-dioxins and dibenzofurans, as  measured by Reference Method 23. 
    "Dry scrubber" means an add-on air pollution  control system that injects dry alkaline sorbent (dry injection) or sprays an  alkaline sorbent (spray dryer) to react with and neutralize acid gases in the  HMIWI exhaust stream forming a dry powder material. 
    "Fabric filter" means an add-on air pollution  control system that removes particulate matter and nonvaporous metals emissions  by passing flue gas through filter bags. 
    "Facilities manager" means the individual in  charge of purchasing, maintaining, and operating the HMIWI or the owner's  representative responsible for the management of the HMIWI. Alternative titles  may include director of facilities or vice president of support services. 
    "Federal operating permit" means a permit issued  under Article 1 (9VAC5-80-50 et seq.) or Article 3 (9VAC5-80-360 et seq.) of  Part II of 9VAC5 Chapter 80. 
    "High-air phase" means the stage of the batch  operating cycle when the primary chamber reaches and maintains maximum  operating temperatures. 
    "Hospital" means any facility which has an  organized medical staff, maintains at least six inpatient beds, and where the  primary function of the institution is to provide diagnostic and therapeutic  patient services and continuous nursing care primarily to human inpatients who  are not related and who stay on average in excess of 24 hours per admission.  This definition does not include facilities maintained for the sole purpose of  providing nursing or convalescent care to human patients who generally are not  acutely ill but who require continuing medical supervision. 
    "Hospital/medical/infectious waste incinerator"  or "HMIWI" or "HMIWI unit" means any device that combusts  any amount of hospital waste and medical/infectious waste or both. 
    "Hospital/medical/infectious waste incinerator  operator" or "HMIWI operator" means any person who operates,  controls or supervises the day-to-day operation of an HMIWI. 
    "Hospital waste" means discards generated at a  hospital, except unused items returned to the manufacturer. The definition of  hospital waste does not include human corpses, remains, and anatomical parts  that are intended for interment or cremation. 
    "Infectious agent" means any organism (such as a  virus or bacteria) that is capable of being communicated by invasion and  multiplication in body tissues and capable of causing disease or adverse health  impacts in humans. 
    "Intermittent HMIWI" means an HMIWI that is  designed to allow waste charging, but not ash removal, during combustion. 
    "Large HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 500 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day. 
    2. The following are not large HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 500 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is less than or  equal to 4,000 pounds per day. 
    "Low-level radioactive waste" means waste  material which contains radioactive nuclides emitting primarily beta or gamma  radiation, or both, in concentrations or quantities that exceed applicable  federal or state standards for unrestricted release. Low-level radioactive  waste is not high-level radioactive waste, spent nuclear fuel, or by-product material  as defined by the Atomic Energy Act of 1954 (42 USC § 2014(e)(2)). 
    "Malfunction" means any sudden, infrequent, and  not reasonably preventable failure of air pollution control equipment, process  equipment, or a process to operate in a normal or usual manner. Failures that  are caused, in part, by poor maintenance or careless operation are not  malfunctions. During periods of malfunction the HMIWI operator shall operate  within established parameters as much as possible, and monitoring of all  applicable operating parameters shall continue until all waste has been  combusted or until the malfunction ceases, whichever comes first. 
    "Maximum charge rate" means: 
    1. For continuous and intermittent HMIWI, 110% of the  lowest three-hour average charge rate measured during the most recent emissions  test demonstrating compliance with all applicable emission limits. 
    2. For batch HMIWI, 110% of the lowest daily charge rate  measured during the most recent emissions test demonstrating compliance with  all applicable emission limits. 
    "Maximum design waste burning capacity" means: 
    1. For intermittent and continuous HMIWI, 
    C = PV X 15,000/8,500 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    15,000 = primary chamber heat release rate factor, Btu/ft3/hr  
    8,500 = standard waste heating value, Btu/lb; 
    2. For batch HMIWI, 
    C = PV X 4.5/8 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    4.5 = waste density, lb/ft3 
    8 = typical hours of operation of a batch HMIWI, hours. 
    "Maximum fabric filter inlet temperature" means  110% of the lowest three-hour average temperature at the inlet to the fabric  filter (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the dioxin/furan emission limit. 
    "Maximum flue gas temperature" means 110% of the  lowest three-hour average temperature at the outlet from the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the mercury emission limit. 
    "Medical/infectious waste" means any waste  generated in the diagnosis, treatment, or immunization of human beings or  animals, in research pertaining thereto, or in the production or testing of  biologicals that is listed in subdivisions 1 through 9 of this definition. The  definition of medical/infectious waste does not include hazardous waste  identified or listed under the regulations in 40 CFR Part 261; household waste,  as defined in 40 CFR 261.4(b)(1); ash from incineration of medical/infectious  waste, once the incineration process has been completed; human corpses,  remains, and anatomical parts that are intended for interment or cremation; and  domestic sewage materials identified in 40 CFR 261.4(a)(1). 
    1. Cultures and stocks of infectious agents and associated  biologicals, including: cultures from medical and pathological laboratories;  cultures and stocks of infectious agents from research and industrial  laboratories; wastes from the production of biologicals; discarded live and  attenuated vaccines; and culture dishes and devices used to transfer,  inoculate, and mix cultures. 
    2. Human pathological waste, including tissues, organs, and  body parts and body fluids that are removed during surgery or autopsy, or other  medical procedures, and specimens of body fluids and their containers. 
    3. Human blood and blood products, regardless of whether  containerized, including: 
    a. Liquid human blood; 
    b. Products of blood; 
    c. Items containing unabsorbed or free-flowing blood; 
    d. Items saturated or dripping or both with human blood; or  
    e. Items that were saturated or dripping or both with human  blood that are now caked with dried human blood; including serum, plasma, and  other blood components, and their containers, which were used or intended for  use in either patient care, testing and laboratory analysis or the development  of pharmaceuticals. Intravenous bags are also included in this category. 
    4. Regardless of the presence of infectious agents, sharps  that have been used in animal or human patient care or treatment or in medical,  research, or industrial laboratories, including hypodermic needles, syringes  (with or without the attached needle), pasteur pipettes, scalpel blades, blood  vials, needles with attached tubing, and culture dishes. Also included are  other types of broken or unbroken glassware that may have been in contact with  infectious agents, such as used slides and cover slips. 
    5. Animal waste including contaminated animal carcasses,  body parts, and bedding of animals that were known to have been exposed to  infectious agents during research (including research in veterinary hospitals),  production of biologicals or testing of pharmaceuticals. 
    6. Isolation wastes including biological waste and  discarded materials contaminated with blood, excretions, exudates, or  secretions from humans who are isolated to protect others from certain highly  communicable diseases, or isolated animals known to be infected with highly  communicable diseases. 
    7. Unused sharps including the following unused, discarded  sharps: hypodermic needles, suture needles, syringes, and scalpel blades. 
    8. Any waste that is contaminated or mixed with any waste  listed in subdivisions 1 through 7 of this definition. 
    9. Any residue or contaminated soil, waste, or other debris  resulting from the cleaning of a spill of any waste listed in subdivisions 1  through 8 of this definition. 
    "Medium HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 200 pounds per hour but less than or equal to 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour but less than or equal to 500 pounds per  hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day but less than or equal to 4,000 pounds per day. 
    2. The following are not medium HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour or more than 500 pounds per  hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day or less than or equal to 1,600 pounds per day. 
    "Minimum dioxin/furan sorbent flow rate" means  90% of the highest three-hour average dioxin/furan sorbent flow rate (taken, at  a minimum, once every hour) measured during the most recent emissions test  demonstrating compliance with the dioxin/furan emission limit. 
    "Minimum mercury sorbent flow rate" means 90% of  the highest three-hour average mercury sorbent flow rate (taken, at a minimum,  once every hour) measured during the most recent emissions test demonstrating  compliance with the mercury emission limit. 
    "Minimum hydrogen chloride sorbent flow rate"  means 90% of the highest three-hour average hydrogen chloride sorbent flow rate  (taken, at a minimum, once every hour) measured during the most recent  emissions test demonstrating compliance with the hydrogen chloride emission  limit. 
    "Minimum horsepower or amperage" means 90% of  the highest three-hour average horsepower or amperage to the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the applicable emission limits. 
    "Minimum pressure drop across the wet scrubber"  means 90% of the highest three-hour average pressure drop across the wet  scrubber particulate matter control device (taken, at a minimum, once every  minute) measured during the most recent emissions test demonstrating compliance  with the particulate matter emission limit. 
    "Minimum scrubber liquor flow rate" means 90% of  the highest three-hour average liquor flow rate at the inlet to the wet  scrubber (taken, at a minimum, once every minute) measured during the most  recent emissions test demonstrating compliance with all applicable emission  limits. 
    "Minimum scrubber liquor pH" means 90% of the  highest three-hour average liquor pH at the inlet to the wet scrubber (taken,  at a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the hydrogen chloride emission limit. 
    "Minimum secondary chamber temperature" means  90% of the highest three-hour average secondary chamber temperature (taken, at  a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the particulate matter, carbon monoxide, or  dioxin/furan emission limits. 
    "Modification" means any change to an HMIWI unit  after March 16, 1998, such that: 
    1. The cumulative costs of the modifications, over the life  of the unit, exceed 50% of the original cost of the construction and  installation of the unit (not including the cost of any land purchased in  connection with such construction or installation) updated to current costs; or  
    2. The change involves a physical change in or change in  the method of operation of the unit which increases the amount of any air  pollutant emitted by the unit for which standards have been established under §  111 or § 129 of the federal Clean Air Act. 
    "Operating day" means a 24-hour period between  12:00 midnight and the following midnight during which any amount of hospital  waste or medical/infectious waste is combusted at any time in the HMIWI. 
    "Operation" means the period during which waste  is combusted in the incinerator excluding periods of startup or shutdown. 
    "Particulate matter" means the total particulate  matter emitted from an HMIWI as measured by Reference Method 5 or Reference  Method 29. 
    "Pathological waste" means waste material  consisting of only human or animal remains, anatomical parts, or tissue, the  bags and containers used to collect and transport the waste material, and  animal bedding (if applicable). 
    "Primary chamber" means the chamber in an HMIWI  that receives waste material, in which the waste is ignited, and from which ash  is removed. 
    "Pyrolysis" means the endothermic gasification  of hospital waste or medical/infectious waste or both using external energy. 
    "Secondary chamber" means a component of the  HMIWI that receives combustion gases from the primary chamber and in which the  combustion process is completed. 
    "Shutdown" means the period of time after all  waste has been combusted in the primary chamber. For continuous HMIWI, shutdown  shall commence no less than two hours after the last charge to the incinerator.  For intermittent HMIWI, shutdown shall commence no less than four hours after  the last charge to the incinerator. For batch HMIWI, shutdown shall commence no  less than five hours after the high-air phase of combustion has been completed.  
    "Small HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  less than or equal to 200 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is less than or  equal to 1,600 pounds per day. 
    2. The following are not small HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day. 
    "Small, rural HMIWI" means any small HMIWI which  is located more than 50 miles from the boundary of the nearest Metropolitan  Statistical Area and which burns less than 2,000 pounds per week of hospital  waste and medical/infectious waste. The 2,000 pounds-per-week limitation does  not apply during emissions tests. 
    "Startup" means the period of time between the  activation of the system and the first charge to the unit. For batch HMIWI,  startup means the period of time between activation of the system and ignition  of the waste. 
    "Wet scrubber" means an add-on air pollution  control device that utilizes an alkaline scrubbing liquor to collect  particulate matter (including nonvaporous metals and condensed organics), and  to absorb and neutralize acid gases, or both. 
    9VAC5-40-6020. Standard for particulate matter. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any particulate emissions in  excess of the following limits: 
    1. For small HMIWI: 0.05 grains per dry standard cubic foot  (115 milligrams per dry standard cubic meter). 
    2. For medium HMIWI: 0.03 grains per dry standard cubic  foot (69 milligrams per dry standard cubic meter). 
    3. For large HMIWI: 0.015 grains per dry standard cubic  foot (34 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 0.086 grains per dry standard  cubic foot (197 milligrams per dry standard cubic meter). 
    9VAC5-40-6030. Standard for carbon monoxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any carbon monoxide emissions in  excess of the following limits: 
    1. For small HMIWI: 40 parts per million by volume. 
    2. For medium HMIWI: 40 parts per million by volume. 
    3. For large HMIWI: 40 parts per million by volume. 
    4. For small, rural HMIWI: 40 parts per million by volume. 
    9VAC5-40-6040. Standard for dioxins/furans. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any dioxin/furan emissions in  excess of the following limits: 
    1. For small HMIWI: 55 grains per dry billion standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    2. For medium HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    3. For large HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    4. For small, rural HMIWI: 350 grains per billion dry  standard cubic feet (800 nanograms per dry standard cubic meter) total  dioxin/furan or 6.6 grains per billion standard cubic meter total TEQ (15  nanograms per dry standard cubic meter TEQ). 
    9VAC5-40-6050. Standard for hydrogen chloride. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any hydrogen chloride emissions  in excess of the following limits: 
    1. For small HMIWI: 100 parts per million by volume or 93%  reduction. 
    2. For medium HMIWI: 100 parts per million by volume or 93%  reduction. 
    3. For large HMIWI: 100 parts per million by volume or 93%  reduction. 
    4. For small, rural HMIWI: 3,100 parts per million by  volume. 
    9VAC5-40-6060. Standard for sulfur dioxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any sulfur dioxide emissions in  excess of the following limits: 
    1. For small HMIWI: 55 parts per million by volume. 
    2. For medium HMIWI: 55 parts per million by volume. 
    3. For large HMIWI: 55 parts per million by volume. 
    4. For small, rural HMIWI: 55 parts per million by volume.  
    9VAC5-40-6070. Standard for nitrogen oxides. (Repealed.)  
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any nitrogen oxide emissions in  excess of the following limits: 
    1. For small HMIWI: 250 parts per million by volume. 
    2. For medium HMIWI: 250 parts per million by volume. 
    3. For large HMIWI: 250 parts per million by volume. 
    4. For small, rural HMIWI: 250 parts per million by volume.  
    9VAC5-40-6080. Standard for lead. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any lead emissions in excess of  the following limits: 
    1. For small HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    2. For medium HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    3. For large HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    4. For small, rural HMIWI: 4.4 grains per thousand dry  standard cubic feet (10 milligrams per dry standard cubic meter). 
    9VAC5-40-6090. Standard for cadmium. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any cadmium emissions in excess  of the following limits: 
    1. For small HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    2. For medium HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    3. For large HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 1.7 grains per thousand dry  standard cubic feet (4 milligrams per dry standard cubic meter). 
    9VAC5-40-6100. Standard for mercury. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any mercury emissions in excess  of the following limits: 
    1. For small HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    2. For medium HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    3. For large HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    4. For small, rural HMIWI: 3.3 grains per thousand dry  standard cubic feet (7.5 milligrams per dry standard cubic meter). 
    9VAC5-40-6110. Standard for visible emissions. (Repealed.)
    A. The provisions of Article 1 (9VAC5-40-60 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Visible Emissions) apply except that  the provisions in subsection B of this section apply instead of 9VAC5-40-80. 
    B. No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any visible emissions which  exhibit greater than 10% opacity, six-minute block average. Failure to meet the  requirements of this section because of the presence of condensed water vapor  shall not be a violation of this section. 
    9VAC5-40-6120. Standard for fugitive dust/emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of 9VAC5  Chapter 40 (Emission Standards for Fugitive Dust/Emissions, Rule 4-1) apply. 
    9VAC5-40-6130. Standard for odor. (Repealed.)
    The provisions of Article 2 (9VAC5-40-130 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Odor, Rule 4-2) apply. 
    9VAC5-40-6140. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 4 (9VAC5-60-200 et seq.) of 9VAC5  Chapter 60 (Emission Standards for Toxic Pollutants, Rule 6-4) apply. 
    9VAC5-40-6150. HMIWI operator training and qualification.  (Repealed.)
    A. No owner of an affected facility shall allow the  affected facility to operate at any time unless a fully trained and qualified  HMIWI operator is accessible, either at the facility or available within one  hour. The trained and qualified HMIWI operator may operate the HMIWI directly  or be the direct supervisor of one or more HMIWI operators. 
    B. HMIWI operator training and qualification shall be  obtained through a program approved by the board or by completing the  requirements included in subsections C through G of this section. 
    C. Training shall be obtained by completing an HMIWI  operator training course that includes, at a minimum, the following provisions:  
    1. Twenty-four hours of training on the following subjects:  
    a. Environmental concerns, including pathogen destruction  and types of emissions; 
    b. Basic combustion principles, including products of  combustion; 
    c. Operation of the type of incinerator to be used by the  HMIWI operator, including proper startup, waste charging, and shutdown  procedures; 
    d. Combustion controls and monitoring; 
    e. Operation of air pollution control equipment and factors  affecting performance (if applicable); 
    f. Methods to monitor pollutants (continuous emission  monitoring systems and monitoring of HMIWI and air pollution control device  operating parameters) and equipment calibration procedures (where applicable); 
    g. Inspection and maintenance of the HMIWI, air pollution  control devices, and continuous emission monitoring systems; 
    h. Actions to correct malfunctions or conditions that may  lead to malfunction; 
    i. Bottom and fly ash characteristics and handling  procedures; 
    j. Applicable federal, state, and local regulations; 
    k. Work safety procedures; 
    l. Pre-startup inspections; and 
    m. Recordkeeping requirements. 
    2. An examination designed and administered by the  instructor. 
    3. Reference material distributed to the attendees covering  the course topics. 
    D. Qualification shall be obtained by: 
    1. Completion of a training course that satisfies the  criteria under subsection C of this section; and 
    2. Either six months experience as an HMIWI operator, six  months experience as a direct supervisor of an HMIWI operator, or completion of  at least two burn cycles under the observation of two qualified HMIWI  operators. 
    E. Qualification is valid from the date on which the  examination is passed or the completion of the required experience, whichever  is later. 
    F. To maintain qualification, the trained and qualified  HMIWI operator shall complete and pass an annual review or refresher course of  at least four hours covering, at a minimum, the following: 
    1. Update of regulations; 
    2. Incinerator operation, including startup and shutdown  procedures; 
    3. Inspection and maintenance; 
    4. Responses to malfunctions or conditions that may lead to  malfunction; and 
    5. Discussion of operating problems encountered by  attendees. 
    G. A lapsed qualification shall be renewed by one of the  following methods: 
    1. For a lapse of less than three years, the HMIWI operator  shall complete and pass a standard annual refresher course described in  subsection F of this section. 
    2. For a lapse of three years or more, the HMIWI operator  shall complete and pass a training course with the minimum criteria described  in subsection C of this section. 
    H. The owner of an affected facility shall maintain  documentation at the facility that address the following: 
    1. Summary of the applicable limits under this article; 
    2. Description of basic combustion theory applicable to an  HMIWI; 
    3. Procedures for receiving, handling, and charging waste; 
    4. HMIWI startup, shutdown, and malfunction procedures; 
    5. Procedures for maintaining proper combustion air supply  levels; 
    6. Procedures for operating the HMIWI and associated air  pollution control systems within the limits established under this article; 
    7. Procedures for responding to periodic malfunction or  conditions that may lead to malfunction; 
    8. Procedures for monitoring HMIWI emissions; 
    9. Reporting and recordkeeping procedures; and 
    10. Procedures for handling ash. 
    I. The owner of an affected facility shall establish a  program for reviewing the information listed in subsection H of this section  annually with each HMIWI operator. 
    1. The initial review of the information listed in  subsection H of this section shall be conducted by January 1, 2001, or prior to  assumption of responsibilities affecting HMIWI operation, whichever date is  later. 
    2. Subsequent reviews of the information listed in  subsection H of this section shall be conducted annually. 
    J. The information listed in subsection H of this section  shall be kept in a readily accessible location for all HMIWI operators. This  information, along with records of training shall be available for inspection  by the board. 
    K. The initial training requirements of this section shall  be performed by July 1, 2001. 
    L. The requirements of subsection B of this section with  regard to obtaining operator training qualifications through a program approved  by the board may be met by obtaining a license from the Board for Waste  Management Facilities Operators. All training and licensing shall be in  accordance with Chapter 22.1 (§ 54.1-2209 et seq.) of Title 54.1 of the Code of  Virginia, and with 18VAC155 Chapter 20. 
    M. No owner of an affected facility shall allow the  facility to be operated at any time unless a person is on duty who is  responsible for the proper operation of the facility and has a license from the  Board for Waste Management Facility operators in the correct classification. No  provision of this article shall relieve any owner from the responsibility to  comply in all respects with the requirements of Chapter 22.1 (§ 54.1-2209 et  seq.) of Title 54.1 of the Code of Virginia, and with 18VAC155 Chapter 20. 
    9VAC5-40-6160. Waste management plans. (Repealed.)
    A. The owner of an affected facility shall prepare a waste  management plan. The waste management plan shall identify both the feasibility  and the approach to separate certain components of solid waste from the health  care waste stream in order to reduce the amount of toxic emissions from  incinerated waste. A waste management plan may include, but is not limited to,  elements such as paper, cardboard, plastics, glass, battery, or metal  recycling; or purchasing recycled or recyclable products. A waste management  plan may include different goals or approaches for different areas or  departments of the facility and need not include new waste management goals for  every waste stream. It should identify, where possible, reasonably available  additional waste management measures, taking into account the effectiveness of  waste management measures already in place, the costs of additional measures,  the emission reductions expected to be achieved, and any other environmental or  energy impacts they might have. The American Hospital Association publication  entitled "An Ounce of Prevention: Waste Reduction Strategies for Health  Care Facilities" (see 9VAC5-20-21) shall be considered in the development  of the waste management plan. 
    B. The waste management plan shall be submitted to the  board no later than 60 days after the initial emissions test as required under  9VAC5-40-6180. 
    9VAC5-40-6170. Inspections. (Repealed.)
    A. The owner shall conduct an initial equipment inspection  of each affected small, rural HMIWI by July 1, 2001. At a minimum, each  inspection shall include the following: 
    1. Inspect all burners, pilot assemblies, and pilot sensing  devices for proper operation; clean pilot flame sensor, as necessary; 
    2. Ensure proper adjustment of primary and secondary  chamber combustion air, and adjust as necessary; 
    3. Inspect hinges and door latches, and lubricate as  necessary; 
    4. Inspect dampers, fans, and blowers for proper operation;  
    5. Inspect HMIWI door and door gaskets for proper sealing; 
    6. Inspect motors for proper operation; 
    7. Inspect primary chamber refractory lining; clean and  repair or replace lining as necessary; 
    8. Inspect incinerator shell for corrosion and hot spots; 
    9. Inspect secondary and tertiary chambers and stack, clean  as necessary; 
    10. Inspect mechanical loader, including limit switches,  for proper operation, if applicable; 
    11. Visually inspect waste bed (grates), and repair or  seal, as appropriate; 
    12. For the burn cycle that follows the inspection,  document that the incinerator is operating properly and make any necessary  adjustments; 
    13. Inspect air pollution control device(s) for proper  operation, if applicable; 
    14. Inspect waste heat boiler systems to ensure proper  operation, if applicable; 
    15. Inspect bypass stack components; 
    16. Ensure proper calibration of thermocouples, sorbent  feed systems and any other monitoring equipment; and 
    17. Generally observe that the equipment is maintained in  good operating condition. 
    B. The owner shall conduct an equipment inspection of each  affected small, rural HMIWI annually (no more than 12 months following the  previous annual equipment inspection), as outlined in subsection A of this  section. 
    C. Within 10 operating days following an equipment  inspection all necessary repairs shall be completed unless the owner obtains  written approval from the board establishing a date whereby all necessary  repairs of the affected facility shall be completed. 
    9VAC5-40-6180. Compliance, emissions testing, and  monitoring. (Repealed.) 
    A. The provisions governing compliance, emissions testing,  and monitoring shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-20 (Compliance),  9VAC5-40-30 (Emission testing) and 9VAC5-40-40 (Monitoring) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-20 B, C, D, and E. 
    b. 40 CFR 60.11. 
    c. 9VAC5-40-30 D and G. 
    d. 40 CFR 60.8, with the exception of paragraph (a). 
    e. 9VAC5-40-40 A and F. 
    f. 40 CFR 60.13. 
    g. Subsections B through N of this section. 
    B. The emission limits under this article apply at all  times except during periods of startup, shutdown, or malfunction, provided that  no hospital waste or medical/infectious waste is charged to the affected  facility during startup, shutdown, or malfunction. 
    C. Except as provided in subsection L of this section, the  owner of an affected facility shall conduct an initial emissions test by  December 27, 2001, as required under this section to determine compliance with  the emission limits using the procedures and test methods listed in this  subsection. The use of the bypass stack during an emissions test shall  invalidate the emissions test. 
    1. All emissions tests shall consist of a minimum of three  test runs conducted under representative operating conditions. 
    2. The minimum sample time shall be one hour per test run  unless otherwise indicated. 
    3. Reference Method 1 shall be used to select the sampling  location and number of traverse points. 
    4. Reference Method 3 or 3A shall be used for gas  composition analysis, including measurement of oxygen concentration. Reference Method  3 or 3A shall be used simultaneously with each reference method. 
    5. The pollutant concentrations shall be adjusted to 7.0%  oxygen using the following equation: 
    Cadj = Cmeas (20.9-7)/(20.9-% O2)  
    where: 
    Cadj = pollutant concentration adjusted to 7.0%  oxygen; 
    Cmeas = pollutant concentration measured on a  dry basis; 
    (20.9-7) = 20.9% oxygen-7.0% oxygen (defined oxygen  correction basis); 
    20.9 = oxygen concentration in air, percent; and 
    % O2 = oxygen concentration measured on a dry  basis, percent. 
    6. Reference Method 5 or 29 be used to measure the  particulate matter emissions. 
    7. Reference Method 9 shall be used to measure stack  opacity. 
    8. Reference Method 10 or 10B shall be used to measure the  carbon monoxide emissions. 
    9. Reference Method 23 shall be used to measure total  dioxin/furan emissions. The minimum sample time shall be four hours per test  run. If the affected facility has selected the toxic equivalency limits for  dioxin/furans, under 9VAC5-40-6040, the following procedures shall be used to  determine compliance: 
    a. Measure the concentration of each dioxin/furan  tetra-through octa-congener emitted using Reference Method 23. 
    b. For each dioxin/furan congener measured in accordance  with subdivision 9 a of this subsection, multiply the congener concentration by  its corresponding toxic equivalency factor specified in Table 4-44A of this  article. 
           |   | TABLE 4-44A. TOXIC EQUIVALANCY FACTORS.
 | 
       |   | Dioxon/furan congener
 | Toxic equivalency factor
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzo‑p‑dioxin
 | 1
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzo‑p‑dioxin
 | 0.5
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated    dibenzo‑p‑dioxin
 | 0.01
 | 
       |   | octachlorinated dibenzo‑p‑dioxin
 | 0.001
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,7,8‑pentachlorinated dibenzofuran
 | 0.5
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzofuran
 | 0.05
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | 1,2,3,4,7,8,9‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | Octachlorinated dibenzofuran
 | 0.001
 | 
  
    c. Sum the products calculated in accordance with  subdivision 9 b of this subsection to obtain the total concentration of  dioxins/furans emitted in terms of toxic equivalency. 
    10. Reference Method 26 shall be used to measure hydrogen  chloride emissions. If the affected facility has selected the percentage  reduction limits for hydrogen chloride under 9VAC5-40-6050, the percentage  reduction in hydrogen chloride emissions (% RHCl) is computed using  the following formula: 
    
    where: 
    % RHCl = percentage reduction of hydrogen  chloride emissions achieved; 
    Ei = hydrogen chloride emission concentration  measured at the control device inlet, corrected to 7.0% oxygen (dry basis); and  
    Eo = hydrogen chloride emission concentration  measured at the control device outlet, corrected to 7.0% oxygen (dry basis). 
    11. Reference Method 29 shall be used to measure lead,  cadmium, and mercury emissions. If the affected facility has selected the  percentage reduction limits for metals under 9VAC5-40-6080, 9VAC5-40-6090, or  9VAC5-40-6100, the percentage reduction in emissions (% Rmetal) is  computed using the following formula: 
    
    where: 
    % Rmetal = percentage reduction of metal  emission (lead, cadmium, or mercury) achieved; 
    Ei = metal emission concentration (lead,  cadmium, or mercury) measured at the control device inlet, corrected to 7.0%  oxygen (dry basis); and 
    Eo = metal emission concentration (lead,  cadmium, or mercury) measured at the control device outlet, corrected to 7.0%  oxygen (dry basis). 
    D. Following the date on which the initial emissions test  is completed or is required to be completed under this section, whichever date  comes first, the owner of an affected facility shall: 
    1. Determine compliance with the opacity limit by  conducting an annual emissions test (no more than 12 months following the  previous emissions test) using the applicable procedures and test methods  listed in subsection C of this section. 
    2. Determine compliance with the particulate matter, carbon  monoxide, and hydrogen chloride emission limits by conducting an annual  emissions test (no more than 12 months following the previous emissions test)  using the applicable procedures and test methods listed in subsection C of this  section. If all three emissions tests over a three-year period indicate  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for the subsequent two years. At a minimum, an emissions test  for particulate matter, carbon monoxide, and hydrogen chloride shall be  conducted every third year (no more than 36 months following the previous  emissions test). If an emissions test conducted every third year indicates  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for an additional two years. If any emissions test indicates  noncompliance with the respective emission limit, an emissions test for that  pollutant shall be conducted annually until all annual emissions tests over a  three-year period indicate compliance with the emission limit. The use of the  bypass stack during an emissions test shall invalidate the emissions test. 
    3. Facilities using a continuous emission monitoring system  to demonstrate compliance with any of the emission limits under 9VAC5-40-6020  through 9VAC5-40-6100 shall: 
    a. Determine compliance with the appropriate emission  limit(s) using a 12-hour rolling average, calculated each hour as the average  of the previous 12 operating hours (not including startup, shutdown, or  malfunction). 
    b. Operate all continuous emission monitoring systems in  accordance with the applicable procedures under Appendices B and F of 40 CFR  Part 60. 
    E. The owner of an affected facility equipped with a dry  scrubber followed by a fabric filter, a wet scrubber, or a dry scrubber  followed by a fabric filter and wet scrubber shall: 
    1. Establish the appropriate maximum and minimum operating  parameters, indicated in Table 4-44B of this article for each control system,  as site specific operating parameters during the initial emissions test to  determine compliance with the emission limits; and 
     
         
             | TABLE 4-44 B. OPERATING PARAMETERS TO BE MONITORED AND MINIMUM MEASUREMENT AND RECORDING    FREQUENCIES.
 |  
 | 
       | OPERATING PARAMETERS TO BE MONITORED
 | MINIMUM FREQUENCY
 | CONTROL SYSTEM
 |  
 | 
       | DATA MEASUREMENT
 | DATA RECORDING
 | DRY SCRUBBER/ FABRIC FILTER
 | WET SCRUBBER
 | DRY SCRUBBER/ FABRIC FILTER AND WET SCRUBBER
 |  | 
       |  | 
       |  | 
       | MAXIMUM OPERATING PARAMETERS
 |  
 | 
       | MAXIMUM CHARGE RATE
 | 1 X CHARGE
 | 1 X CHARGE
 | X
 | X
 | X
 |  
 | 
       | MAXIMUM FABRIC FILTER INLET TEMPERATURE
 | CONTINUOUS
 | 1 X MINUTE
 | X
 |  
 | X
 |  
 | 
       | MAXIMUM FLUE GAS TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 |  
 |  
 | 
       | MINIMUM OPERATING PARAMETERS
 |  
 | 
       | MINIMUM SECONDARY CHAMBER TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 | X
 |  
 | 
       | MINIMUM DIOXIN/FURAN SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM HCl SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM Hg SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM PRESSURE DROP ACROSS WET SCRUBBER OR MINIMUM    HORSEPOWER OR AMPERAGE TO WET SCRUBBER
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR FLOW RATE
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR pH
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
  
         
      2. Following the date on which the  initial emissions test is completed or is required to be completed under  subsection B of this section, whichever date comes first, ensure that the  affected facility does not operate above any of the applicable maximum  operating parameters or below any of the applicable minimum operating  parameters listed in Table 4-44B of this article and measured as three-hour  rolling averages (calculated each hour as the average of the previous three  operating hours) at all times except during periods of startup, shutdown and  malfunction. Operating parameter limits do not apply during emissions tests.  Operation above the established maximum or below the established minimum  operating parameters shall constitute a violation of established operating  parameters. 
    F. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum hydrogen chloride sorbent flow rate (each  measured on a three-hour rolling average) simultaneously shall constitute a  violation of the hydrogen chloride emission limit. 
    4. Operation of the affected  facility above the maximum charge rate and below the minimum mercury sorbent  flow rate (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    G. Except as provided in subsection I of this section, for  affected facilities equipped with a wet scrubber: 
    1. Operation of the affected  facility above the maximum charge rate and below the minimum pressure drop  across the wet scrubber or below the minimum horsepower or amperage to the  system (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the particulate matter emission limit. 
    2. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    3. Operation of the affected facility above the maximum  charge rate, below the minimum secondary chamber temperature, and below the  minimum scrubber liquor flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    5. Operation of the affected facility above the maximum  flue gas temperature and above the maximum charge rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    6. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    H. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter  and a wet scrubber: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan emission  limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum mercury sorbent flow rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    I. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection  shall be conducted using the identical operating parameters that indicated a  violation under subsection F, G, or H of this section. 
    J. The owner of an affected facility using an air  pollution control device other than a dry scrubber followed by a fabric filter,  a wet scrubber, or a dry scrubber followed by a fabric filter and a wet  scrubber to comply with the emission limits under 9VAC5-40-6020 through  9VAC5-40-6100 shall petition the board for other site-specific operating  parameters to be established during the initial emissions test and continuously  monitored thereafter. The owner shall not conduct the initial emissions test  until after the petition has been approved by the board. 
    K. The owner of an affected facility may conduct a repeat  emissions test at any time to establish new values for the operating  parameters. The board may request a repeat emissions test at any time. 
    L. Small, rural HMIWIs subject to the emission limits  under 9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following compliance  and emissions testing requirements: 
    1. Conduct the emissions testing requirements in  subdivisions C 1 through 9, C 11 (mercury only), and D 1 of this section. The  2,000 lb/week limitation under 9VAC5-40-6010 does not apply during emissions  tests. 
    2. Establish maximum charge rate and minimum secondary  chamber temperature as site-specific operating parameters during the initial  emissions test to determine compliance with applicable emission limits. 
    3. Following the date on which the initial emissions test  is completed or is required to be completed under subsection C of this section,  whichever date comes first, ensure that the affected facility does not operate  above the maximum charge rate or below the minimum secondary chamber  temperature measured as three-hour rolling averages (calculated each hour as  the average of the previous three operating hours) at all times except during  periods of startup, shutdown and malfunction. Operating parameter limits do not  apply during emissions tests. Operation above the maximum charge rate or below  the minimum secondary chamber temperature shall constitute a violation of the  established operating parameters. 
    4. Except as provided in subdivision C 5 of this section,  operation of the affected facility above the maximum charge rate and below the  minimum secondary chamber temperature (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the particulate matter,  carbon monoxide, and dioxin/furan emission limits. 
    5. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection must  be conducted using the identical operating parameters that indicated a  violation under subdivision 4 of this subsection. 
    M. Owners of affected facilities shall perform monitoring  as follows, except as provided for under subsection N of this section: 
    1. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate devices (or  establish methods) for monitoring the applicable maximum and minimum operating  parameters listed in Table 4-44B of this article such that these devices (or  methods) measure and record values for these operating parameters at the  frequencies indicated in Table 4-44B of this article at all times except during  periods of startup and shutdown. 
    2. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate a device or  method for measuring the use of the bypass stack including date, time, and  duration. 
    3. The owner of an affected facility using something other  than a dry scrubber followed by a fabric filter, a wet scrubber, or a dry  scrubber followed by a fabric filter and a wet scrubber to comply with the  emission limits under 9VAC5-40-6020 through 9VAC5-40-6100 shall install,  calibrate (to the manufacturers' specifications), maintain, and operate the  equipment necessary to monitor the site-specific operating parameters developed  pursuant to subsection J of this section. 
    4. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating days per calendar quarter that the affected facility is combusting  hospital waste and medical/infectious waste or both. 
    N. Small, rural HMIWI subject to the emission limits under  9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following monitoring  requirements: 
    1. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device for measuring and recording the temperature of  the secondary chamber on a continuous basis, the output of which shall be  recorded, at a minimum, once every minute throughout operation. 
    2. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device which automatically measures and records the  date, time, and weight of each charge fed into the HMIWI. 
    3. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating hours per calendar quarter that the affected facility is  combusting hospital waste and medical/infectious waste or both. 
    9VAC5-40-6190. Recordkeeping and reporting. (Repealed.)
    A. The provisions of governing recordkeeping and reporting  shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-50 (Notification,  records and reporting) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-50 F and H. 
    b. 40 CFR 60.7. 
    c. Subsections B through G of this section. 
    B. The owner of an affected facility shall maintain the  following information (as applicable) for a period of at least five years: 
    1. Calendar date of each record; 
    2. Records of the following data: 
    a. Concentrations of any pollutant listed in 9VAC5-40-6020  through 9VAC5-40-6100 or measurements of opacity as determined by the  continuous emission monitoring system (if applicable); 
    b. HMIWI charge dates, times, and weights and hourly charge  rates; 
    c. Fabric filter inlet temperatures during each minute of  operation, as applicable; 
    d. Amount and type of dioxin/furan sorbent used during each  hour of operation, as applicable; 
    e. Amount and type of mercury sorbent used during each hour  of operation, as applicable; 
    f. Amount and type of hydrogen chloride sorbent used during  each hour of operation, as applicable; 
    g. Secondary chamber temperatures recorded during each  minute of operation; 
    h. Liquor flow rate to the wet scrubber inlet during each  minute of operation, as applicable; 
    i. Horsepower or amperage to the wet scrubber during each  minute of operation, as applicable; 
    j. Pressure drop across the wet scrubber system during each  minute of operation, as applicable; 
    k. Temperature at the outlet from the wet scrubber during  each minute of operation, as applicable; 
    l. pH at the inlet to the wet scrubber during each minute of  operation, as applicable; 
    m. Records indicating use of the bypass stack, including  dates, times, and durations; and 
    n. For affected facilities complying with 9VAC5-40-6180 J  and 9VAC5-40-6180 M 3, the owner shall maintain all operating parameter data collected.  
    3. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection have not been obtained, with an identification of the emission rates  or operating parameters not measured, reasons for not obtaining the data, and a  description of corrective actions taken. 
    4. Identification of calendar days, times and durations of  malfunctions, a description of the malfunction and the corrective action taken.  
    5. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection exceeded the applicable limits, with a description of the  exceedances, reasons for such exceedances, and a description of corrective  actions taken. 
    6. The results of the initial, annual, and any subsequent  emissions tests conducted to determine compliance with the emission limits or  to establish operating parameters, as applicable. 
    7. Records showing the names of HMIWI operators who have  completed review of the information in 9VAC5-40-6150 H as required by  9VAC5-40-6150 I, including the date of the initial review and all subsequent  annual reviews. 
    8. Records showing the names of the HMIWI operators who  have completed the HMIWI operator training requirements, including  documentation of training and the dates of the training. 
    9. Records showing the names of the HMIWI operators who  have met the criteria for qualification under 9VAC5-40-6150 and the dates of  their qualification. 
    10. Records of calibration of any monitoring devices as  required under 9VAC5-40-6180 M 1, 2 and 3. 
    C. The owner of an affected facility shall submit the  information specified in this subsection no later than 60 days following the  initial emissions test. All reports shall be signed by the facilities manager. 
    1. The initial emissions test data as recorded under  9VAC5-40-6180 C 1 through 11, as applicable. 
    2. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    3. The waste management plan as specified in 9VAC5-40-6150.  
    D. An annual report shall be submitted one year following  the submission of the information in subsection C of this section and  subsequent reports shall be submitted no more than 12 months following the  previous report (once the unit is subject to a federal operating permit as  provided in 9VAC5-40-6000 F, the owner of an affected facility must submit  these reports semiannually). The annual report shall include the information  specified in this subsection. All reports shall be signed by the facilities  manager. 
    1. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    2. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable, for each operating parameter  recorded for the calendar year being reported, pursuant to 9VAC5-40-6180 E or  J, as applicable. 
    3. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable for each operating parameter  recorded pursuant to 9VAC5-40-6180 E or J for the calendar year preceding the  year being reported, in order to provide the board with a summary of the  performance of the affected facility over a two-year period. 
    4. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year being reported. 
    5. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year preceding the year being reported, in  order to provide the board with a summary of the performance of the affected  facility over a two-year period. 
    6. If an emissions test was conducted during the reporting  period, the results of that test. 
    7. If no exceedances or malfunctions were reported under  subdivisions B 3 through 5 of this section for the calendar year being  reported, a statement that no exceedances occurred during the reporting period.  
    8. Any use of the bypass stack, the duration, reason for  malfunction, and corrective action taken. 
    E. The owner of an affected facility shall submit  semiannual reports containing any information recorded under subdivisions B 3  through 5 of this section no later than 60 days following the reporting period.  The first semiannual reporting period ends six months following the submission  of information in subsection C of this section. Subsequent reports shall be  submitted no later than six calendar months following the previous report. All  reports shall be signed by the facilities manager. 
    F. All records specified under subsection B of this  section shall be maintained onsite in either paper copy or computer-readable  format, unless an alternative format is approved by the board. 
    G. The owner of each small, rural HMIWI shall: 
    1. Maintain records of the annual equipment inspections,  any required maintenance, and any repairs not completed within 10 days of an  inspection or the timeframe established by the board; and 
    2. Submit an annual report containing information recorded  under subdivision 1 of this subsection no later than 60 days following the year  in which data were collected. Subsequent reports shall be sent no later than 12  calendar months following the previous report (once the unit is subject to a  federal operating permit as provided in 9VAC5-40-6000 F, the owner must submit  these reports semiannually). The report shall be signed by the facilities  manager. 
    9VAC5-40-6200. Compliance schedules. (Repealed.)
    A. Except as provided in subsection B of this section,  owners shall: 
    1. Comply with the emission limits in this article as  expeditiously as possible but in no case later than July 1, 2001, and 
    2. Conduct the initial emissions test of the air pollution  control device no later than December 27, 2001. 
    B. Until January 1, 2001, owners of affected facilities  may petition the board for an extension to the compliance date in subsection A  of this section. This petition shall include the following: 
    1. Documentation of the analyses undertaken to support the  need for an extension, including an explanation of why until September 15,  2002, is needed to comply with this article while compliance by July 1, 2001,  is not feasible. The documentation shall also include an evaluation of the  option to transport the waste offsite to a commercial medical waste treatment  and disposal facility on a temporary or permanent basis; and 
    2. Documentation of measurable and enforceable incremental  steps of progress to be taken towards compliance with the emission guidelines,  including: 
    a. If applicable, date for submitting a petition for  site-specific operating parameters under 40 CFR 60.56c(i); 
    b. Date for submittal of the control plan; 
    c. Date for obtaining services of an architectural and  engineering firm regarding the air pollution control device(s); 
    d. Date for obtaining design drawings of the air pollution  control device(s); 
    e. Date for ordering the air pollution control device(s); 
    f. Date for obtaining the major components of the air  pollution control device(s); 
    g. Date for initiation of site preparation for installation  of the air pollution control device(s); 
    h. Date for initiation of installation of the air pollution  control device(s); 
    i. Date for initial startup of the air pollution control  device(s); 
    j. Date for initial emissions test(s) of the air pollution  control device(s); and 
    k. Date for final compliance. 
    9VAC5-40-6210. Registration. (Repealed.)
    The provisions of 9VAC5-20-160 (Registration) apply. 
    9VAC5-40-6220. Facility and control equipment maintenance or  malfunction. (Repealed.)
    The provisions governing facility and control equipment  maintenance or malfunction shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-20-180 (Facility and  control equipment maintenance or malfunction) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-20-180 A, B, C, D, H, and I. 
    b. 9VAC5-40-6180 B. 
    c. 9VAC5-40-6190 B 4, 7 and 8. 
    9VAC5-40-6230. Permits. (Repealed.)
    A permit may be required prior to beginning any of the  activities specified below if the provisions of 9VAC5 Chapter 50 (9VAC5-50-10  et seq.) and 9VAC5 Chapter 80 (9VAC5-80-10 et seq.) apply. Owners contemplating  such action should review those provisions and contact the appropriate regional  office for guidance on whether those provisions apply. 
    1. Construction of a facility. 
    2. Reconstruction (replacement of more than half) of a  facility. 
    3. Modification (any physical change to equipment) of a  facility. 
    4. Relocation of a facility. 
    5. Reactivation (restart-up) of a facility. 
    6. Operation of a facility. 
    VA.R. Doc. No. R12-3018; Filed July 23, 2012, 10:15 a.m. 
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Fast-Track Regulation
    Titles of Regulations: 9VAC5-10. General Definitions  (Rev. J11) (amending 9VAC5-10-20).
    9VAC5-20. General Provisions (Rev. J11) (repealing 9VAC5-20-202).
    9VAC5-40. Existing Stationary Sources (Rev. J11) (repealing 9VAC5-40-6000 through 9VAC5-40-6230).  
    Statutory Authority: § 10.1-1308 of the Code of  Virginia; federal Clean Air Act (§§ 110, 111, 123, 129, 171, 172, and  182); 40 CFR Parts 51 and 60.
    Public Hearing Information: No public hearings are  scheduled.
    Public Comment Deadline: September 12, 2012.
    Effective Date: September 27, 2012. 
    Agency Contact: Mary E. Major, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4423, FAX (804) 698-4510, or email  mary.major@deq.virginia.gov.
    Basis: Section 10.1-1308 of the Virginia Air Pollution  Control Law (Chapter 13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of  Virginia) authorizes the State Air Pollution Control Board to promulgate  regulations abating, controlling, and prohibiting air pollution in order to  protect public health and welfare. 
    The original purpose of the regulation was to establish emission  standards that required the owners of HMIWIs to limit emissions of organics,  metals, and acid gases to a specified level necessary to protect public health  and welfare. The regulation was promulgated in order for the Commonwealth to  meet the requirements of § 111(d) and 129 of the federal Clean Air Act.
    Hospital/Medical/Infectious Waste Incinerators (HMIWI)  emissions are a "designated" pollutant under § 111(d) of the  Act. Designated pollutants are pollutants that are not 108(a)  "criteria" pollutants or § 112(b)(1)(A) "hazardous"  pollutants, but for which standards of performance for new sources have been  established under § 111(b), new source performance standards (NSPSs). When  the EPA establishes an NSPS, states are required to develop standards for existing  facilities based on EPA emission guidelines. In conjunction of § 111(d),  § 129 and its associated standards were promulgated because EPA determined  that incinerator emissions cause or contribute significantly to air pollution,  which may reasonably be expected to endanger public health and welfare. The  intended effect of the standards and guidelines is to form a basis for state  action to develop state regulations controlling HMIWI emissions to the level  achievable by the best demonstrated system of continuous emission reduction,  considering costs, nonair quality health and environmental impacts, and energy  requirements. In order for §§ 111 and 129 to be effected, the specific  guidelines are promulgated in the Code of Federal Regulations (CFR) at Subpart  Ce of 40 CFR 63. State regulations must be at least as stringent as the  guidelines.
    The final rule (Subpart Ec of 40 CFR Part 60) was published by  EPA in the Federal Register dated September 15, 1997 (62 FR 48348) and applies  to existing HMIWIs built on or before June 20, 1996.
    Purpose: The Commonwealth of Virginia HMIWI plan and  related state rule were approved by EPA in the September 10, 2004, edition of  the Federal Register (69 FR 54756) and codified in 40 CFR Part 62, Subpart VV.  Since that time, all three designated incinerator facilities in the plan  inventory subject to the state rule have been dismantled. On October 6, 2009,  EPA promulgated revised HMIWI emission guidelines under 40 CFR Part 60, Subpart  Ce, that triggered the need for revised state plan submittals. As a result, on  September 13, 2010, the Department of Environmental Quality (DEQ) submitted a  negative declaration regarding HMIWI sources within the state and requested  EPA's approval of a SIP withdrawal request. In the December 17, 2010, edition  of the Federal Register (75 FR 78917), EPA published Approval and Promulgation  of State Air Quality Plans for Designated Facilities and Pollutants,  Commonwealth of Virginia; Control of Emissions from Existing  Hospital/Medical/Infectious Waste Incinerator (HMIWI) Units, Negative  Declaration and Withdrawal of EPA Plan Approval. Subpart VV § 62.11625 was  modified to reflect a negative declaration and became effective February 15,  2011. Because there are no sources in the state to control, and because there  are no longer HMIWI components in the federal rule for Virginia, there is no  longer a need for the corresponding Virginia regulation. The definition of the  term "metropolitan statistical area" in 9VAC5-10-20 and the listing  of such areas in 9VAC5-20-202 should also be repealed as the term is only used  in Article 44 and in no other regulation of the board. 
    Rationale for Using Fast-Track Process: Virginia  requested a finding of negative declaration for HMIWI on September 13, 2010, as  all designated incinerator facilities in the plan inventory subject to Article  44 had been dismantled. On December 17, 2010, EPA approved the negative  declaration and modified the Code of Federal Regulations accordingly. Subpart  VV § 62.11625 was modified to reflect a negative declaration and became  effective on February 15, 2011. Because there are no sources subject to the  regulation and no HMIWI components in the federal rule for Virginia, there is  no longer a need for the corresponding Virginia regulation or for the use of  the term "metropolitan statistical area" in 9VAC5-10-20 and  9VAC5-20-202. There is no stakeholder group that is likely to object to the  repeal of the regulation. The use of the fast-track rulemaking process is,  therefore, appropriate. 
    Substance: Article 44 is repealed in its entirety.  9VAC5-10 and 9VAC5-20 are revised to remove provisions concerning metropolitan  statistical areas, which are used only in Article 44.
    Issues: The primary advantage to the public is the  removal of unusable regulatory requirements. There are no disadvantages to the  public. The primary advantage to the department is the removal of regulations  that are no longer necessary. There are no disadvantages to the department.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. Since the  initial adoption of the regulation on Hospital/Medical/Infectious Waste  Incinerators (HMIWI) (9VAC5-40-6000 et seq.), all three designated incinerator  facilities in the Commonwealth have been dismantled. In 2009, the U.S.  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative declaration  was submitted to EPA and approved in 2010. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, there is no longer a need for the corresponding  Virginia regulation. Thus, the State Air Pollution Control Board (Board)  proposes to repeal the Commonwealth's HMIWI regulations (9VAC5-40-6000 et  seq.). The Board also proposes to repeal the definition of the term  "metropolitan statistical area" in 9VAC5-10-20 and the listing of  such areas in 9VAC5-20-202 since the term is only used in the HMIWI regulation  and no other regulation of the board.
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, the proposed repeal of this regulation will not  affect any individual, business or other entity beyond potentially reducing  confusion amongst the public. 
    Businesses and Entities Affected. Since the facilities that  were subject to this regulation have been dismantled, there are no stakeholders  that will be affected by the repeal of this regulation.
    Localities Particularly Affected. The proposed repeal of this  regulation does not have a disproportionate effect on any particular  localities. 
    Projected Impact on Employment. The proposed repeal of this  regulation will not affect employment.
    Effects on the Use and Value of Private Property. The proposed  repeal of this regulation will not affect the use and value of private  property. 
    Small Businesses: Costs and Other Effects. The proposed repeal  of this regulation will not affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed repeal of this regulation will not affect small  businesses.
    Real Estate Development Costs. The proposed repeal of this  regulation will not affect real estate development costs.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  14 (10). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to Economic Impact Analysis: The State  Air Pollution Control Board of has reviewed the economic impact analysis  prepared by the Department of Planning and Budget and has no comment.
    Summary:
    Since the initial adoption of Article 44,  Hospital/Medical/Infectious Waste Incinerators (HMIWI) (9VAC5-40-6000 et seq.),  all three designated incinerator facilities have been dismantled. In 2009, the  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative  declaration was submitted to EPA and approved in 2010. Because there are no  sources in the state to control, and because there are no longer HMIWI components  in the federal rule for Virginia, there is no longer a need for the  corresponding Virginia regulation. The definition of the term metropolitan  statistical area in 9VAC5-10-20 and the listing of such areas in 9VAC5-20-202  are also repealed as the term is only used in Article 44 and no other  regulation of the board.
    9VAC5-10-20. Terms defined.
    "Actual emissions rate" means the actual rate of  emissions of a pollutant from an emissions unit. In general actual emissions  shall equal the average rate, in tons per year, at which the unit actually  emitted the pollutant during the most recent two-year period or some other  two-year period which is representative of normal source operation. If the  board determines that no two-year period is representative of normal source  operation, the board shall allow the use of an alternative period of time upon  a determination by the board that it is more representative of normal source  operation. Actual emissions shall be calculated using the unit's actual  operating hours, production rates, and types of materials processed, stored, or  combusted during the selected time period.
    "Administrator" means the administrator of the U.S.  Environmental Protection Agency (EPA) or his authorized representative.
    "Affected facility" means, with reference to a  stationary source, any part, equipment, facility, installation, apparatus,  process or operation to which an emission standard is applicable or any other  facility so designated. The term "affected facility" includes any  affected source as defined in 40 CFR 63.2.
    "Air pollution" means the presence in the outdoor  atmosphere of one or more substances which are or may be harmful or injurious  to human health, welfare or safety; to animal or plant life; or to property; or  which unreasonably interfere with the enjoyment by the people of life or  property.
    "Air quality" means the specific measurement in the  ambient air of a particular air pollutant at any given time.
    "Air quality control region" means any area  designated as such in 9VAC5-20-200.
    "Alternative method" means any method of sampling  and analyzing for an air pollutant which is not a reference or equivalent  method, but which has been demonstrated to the satisfaction of the board, in  specific cases, to produce results adequate for its determination of  compliance.
    "Ambient air" means that portion of the atmosphere,  external to buildings, to which the general public has access.
    "Ambient air quality standard" means any primary or  secondary standard designated as such in 9VAC5-30 (Ambient Air Quality  Standards).
    "Board" means the State Air Pollution Control Board  or its designated representative.
    "Class I area" means any prevention of significant  deterioration area (i) in which virtually any deterioration of existing air  quality is considered significant and (ii) designated as such in 9VAC5-20-205.
    "Class II area" means any prevention of significant  deterioration area (i) in which any deterioration of existing air quality  beyond that normally accompanying well-controlled growth is considered  significant and (ii) designated as such in 9VAC5-20-205.
    "Class III area" means any prevention of  significant deterioration area (i) in which deterioration of existing air  quality to the levels of the ambient air quality standards is permitted and  (ii) designated as such in 9VAC5-20-205.
    "Continuous monitoring system" means the total  equipment used to sample and condition (if applicable), to analyze, and to  provide a permanent continuous record of emissions or process parameters.
    "Control program" means a plan formulated by the  owner of a stationary source to establish pollution abatement goals, including  a compliance schedule to achieve such goals. The plan may be submitted  voluntarily, or upon request or by order of the board, to ensure compliance by  the owner with standards, policies and regulations adopted by the board. The  plan shall include system and equipment information and operating performance  projections as required by the board for evaluating the probability of  achievement. A control program shall contain the following increments of  progress:
    1. The date by which contracts for emission control system or  process modifications are to be awarded, or the date by which orders are to be  issued for the purchase of component parts to accomplish emission control or  process modification.
    2. The date by which the on-site construction or installation  of emission control equipment or process change is to be initiated.
    3. The date by which the on-site construction or installation  of emission control equipment or process modification is to be completed.
    4. The date by which final compliance is to be achieved.
    "Criteria pollutant" means any pollutant for which  an ambient air quality standard is established under 9VAC5-30 (Ambient Air  Quality Standards).
    "Day" means a 24-hour period beginning at midnight.
    "Delayed compliance order" means any order of the  board issued after an appropriate hearing to an owner which postpones the date  by which a stationary source is required to comply with any requirement  contained in the applicable implementation plan.
    "Department" means any employee or other  representative of the Virginia Department of Environmental Quality, as  designated by the director.
    "Director" or "executive director" means  the director of the Virginia Department of Environmental Quality or a  designated representative.
    "Dispersion technique"
    1. Means any technique which attempts to affect the  concentration of a pollutant in the ambient air by:
    a. Using that portion of a stack which exceeds good  engineering practice stack height;
    b. Varying the rate of emission of a pollutant according to  atmospheric conditions or ambient concentrations of that pollutant; or
    c. Increasing final exhaust gas plume rise by manipulating  source process parameters, exhaust gas parameters, stack parameters, or  combining exhaust gases from several existing stacks into one stack; or other  selective handling of exhaust gas streams so as to increase the exhaust gas  plume rise.
    2. The preceding sentence does not include:
    a. The reheating of a gas stream, following use of a pollution  control system, for the purpose of returning the gas to the temperature at  which it was originally discharged from the facility generating the gas stream;
    b. The merging of exhaust gas streams where:
    (1) The owner demonstrates that the facility was originally  designed and constructed with such merged gas streams;
    (2) After July 8, 1985, such merging is part of a change in  operation at the facility that includes the installation of pollution controls  and is accompanied by a net reduction in the allowable emissions of a  pollutant. This exclusion from the definition of "dispersion  techniques" shall apply only to the emissions limitation for the pollutant  affected by such change in operation; or
    (3) Before July 8, 1985, such merging was part of a change in  operation at the facility that included the installation of emissions control  equipment or was carried out for sound economic or engineering reasons. Where  there was an increase in the emissions limitation or, in the event that no  emissions limitation was in existence prior to the merging, an increase in the  quantity of pollutants actually emitted prior to the merging, the board shall  presume that merging was significantly motivated by an intent to gain emissions  credit for greater dispersion. Absent a demonstration by the owner that merging  was not significantly motivated by such intent, the board shall deny credit for  the effects of such merging in calculating the allowable emissions for the  source;
    c. Smoke management in agricultural or silvicultural  prescribed burning programs;
    d. Episodic restrictions on residential woodburning and open  burning; or
    e. Techniques under subdivision 1 c of this definition which  increase final exhaust gas plume rise where the resulting allowable emissions  of sulfur dioxide from the facility do not exceed 5,000 tons per year.
    "Emergency" means a situation that immediately and  unreasonably affects, or has the potential to immediately and unreasonably  affect, public health, safety or welfare; the health of animal or plant life;  or property, whether used for recreational, commercial, industrial,  agricultural or other reasonable use.
    "Emissions limitation" means any requirement  established by the board which limits the quantity, rate, or concentration of  continuous emissions of air pollutants, including any requirements which limit  the level of opacity, prescribe equipment, set fuel specifications, or  prescribe operation or maintenance procedures to assure continuous emission  reduction.
    "Emission standard" means any provision of 9VAC5-40  (Existing Stationary Sources), 9VAC5-50 (New and Modified Stationary Sources),  or 9VAC5-60 (Hazardous Air Pollutant Sources) that prescribes an emissions  limitation, or other requirements that control air pollution emissions.
    "Emissions unit" means any part of a stationary  source which emits or would have the potential to emit any air pollutant. 
    "Equivalent method" means any method of sampling  and analyzing for an air pollutant which has been demonstrated to the  satisfaction of the board to have a consistent and quantitative relationship to  the reference method under specified conditions. 
    "EPA" means the U.S. Environmental Protection  Agency or an authorized representative. 
    "Excess emissions" means emissions of air pollutant  in excess of an emission standard. 
    "Excessive concentration" is defined for the  purpose of determining good engineering practice (GEP) stack height under  subdivision 3 of the GEP definition and means: 
    1. For sources seeking credit for stack height exceeding that  established under subdivision 2 of the GEP definition, a maximum ground-level  concentration due to emissions from a stack due in whole or part to downwash,  wakes, and eddy effects produced by nearby structures or nearby terrain  features which individually is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy effects  and which contributes to a total concentration due to emissions from all  sources that is greater than an ambient air quality standard. For sources  subject to the provisions of Article 8 (9VAC5-80-1605 et seq.) of Part II of  9VAC5-80 (Permits for Stationary Sources), an excessive concentration  alternatively means a maximum ground-level concentration due to emissions from  a stack due in whole or part to downwash, wakes, or eddy effects produced by  nearby structures or nearby terrain features which individually is at least 40%  in excess of the maximum concentration experienced in the absence of the  maximum concentration experienced in the absence of such downwash, wakes, or  eddy effects and greater than a prevention of significant deterioration increment.  The allowable emission rate to be used in making demonstrations under this  provision shall be prescribed by the new source performance standard that is  applicable to the source category unless the owner demonstrates that this  emission rate is infeasible. Where such demonstrations are approved by the  board, an alternative emission rate shall be established in consultation with  the owner; 
    2. For sources seeking credit after October 11, 1983, for  increases in existing stack heights up to the heights established under  subdivision 2 of the GEP definition, either (i) a maximum ground-level  concentration due in whole or part to downwash, wakes or eddy effects as  provided in subdivision 1 of this definition, except that the emission rate  specified by any applicable implementation plan (or, in the absence of such a  limit, the actual emission rate) shall be used, or (ii) the actual presence of  a local nuisance caused by the existing stack, as determined by the board; and 
    3. For sources seeking credit after January 12, 1979, for a  stack height determined under subdivision 2 of the GEP definition where the  board requires the use of a field study or fluid model to verify GEP stack  height, for sources seeking stack height credit after November 9, 1984, based  on the aerodynamic influence of cooling towers, and for sources seeking stack  height credit after December 31, 1970, based on the aerodynamic influence of  structures not adequately represented by the equations in subdivision 2 of the  GEP definition, a maximum ground-level concentration due in whole or part to  downwash, wakes or eddy effects that is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy  effects. 
    "Existing source" means any stationary source other  than a new source or modified source. 
    "Facility" means something that is built, installed  or established to serve a particular purpose; includes, but is not limited to,  buildings, installations, public works, businesses, commercial and industrial  plants, shops and stores, heating and power plants, apparatus, processes,  operations, structures, and equipment of all types. 
    "Federal Clean Air Act" means Chapter 85  (§ 7401 et seq.) of Title 42 of the United States Code.
    "Federally enforceable" means all limitations and  conditions which are enforceable by the administrator and citizens under the  federal Clean Air Act or that are enforceable under other statutes administered  by the administrator. Federally enforceable limitations and conditions include,  but are not limited to, the following: 
    1. Emission standards, alternative emission standards,  alternative emissions limitations, and equivalent emissions limitations  established pursuant to § 112 of the federal Clean Air Act as amended in  1990.
    2. New source performance standards established pursuant to  § 111 of the federal Clean Air Act, and emission standards established  pursuant to § 112 of the federal Clean Air Act before it was amended in  1990.
    3. All terms and conditions in a federal operating permit,  including any provisions that limit a source's potential to emit, unless  expressly designated as not federally enforceable.
    4. Limitations and conditions that are part of an  implementation plan.
    5. Limitations and conditions that are part of a section  111(d) or section 111(d)/129 plan.
    6. Limitations and conditions that are part of a federal  construction permit issued under 40 CFR 52.21 or any construction permit issued  under regulations approved by EPA in accordance with 40 CFR Part 51.
    7. Limitations and conditions that are part of an operating  permit issued pursuant to a program approved by EPA into an implementation plan  as meeting EPA's minimum criteria for federal enforceability, including  adequate notice and opportunity for EPA and public comment prior to issuance of  the final permit and practicable enforceability.
    8. Limitations and conditions in a Virginia regulation or  program that has been approved by EPA under subpart E of 40 CFR Part 63 for the  purposes of implementing and enforcing § 112 of the federal Clean Air Act.
    9. Individual consent agreements issued pursuant to the legal  authority of EPA.
    "Good engineering practice" or "GEP,"  with reference to the height of the stack, means the greater of:
    1. 65 meters, measured from the ground-level elevation at the  base of the stack;
    2. a. For stacks in existence on January 12, 1979, and for  which the owner had obtained all applicable permits or approvals required under  9VAC5-80 (Permits for Stationary Sources),
    Hg = 2.5H, 
    provided the owner produces evidence that this equation was  actually relied on in establishing an emissions limitation; 
    b. For all other stacks, 
    Hg = H + 1.5L, 
    where: 
    Hg = good engineering practice stack height, measured from the  ground-level elevation at the base of the stack, 
    H = height of nearby structure(s) measured from the  ground-level elevation at the base of the stack, 
    L = lesser dimension, height or projected width, of nearby  structure(s) provided that the board may require the use of a field study or  fluid model to verify GEP stack height for the source; or 
    3. The height demonstrated by a fluid model or a field study  approved by the board, which ensures that the emissions from a stack do not  result in excessive concentrations of any air pollutant as a result of atmospheric  downwash, wakes, or eddy effects created by the source itself, nearby  structures or nearby terrain features. 
    "Hazardous air pollutant" means an air pollutant to  which no ambient air quality standard is applicable and which in the judgment  of the administrator causes, or contributes to, air pollution which may  reasonably be anticipated to result in an increase in mortality or an increase  in serious irreversible, or incapacitating reversible, illness. 
    "Implementation plan" means the portion or portions  of the state implementation plan, or the most recent revision thereof, which  has been approved under § 110 of the federal Clean Air Act, or promulgated  under § 110(c) of the federal Clean Air Act, or promulgated or approved  pursuant to regulations promulgated under § 301(d) of the federal Clean  Air Act and which implements the relevant requirements of the federal Clean Air  Act. 
    "Initial emission test" means the test required by  any regulation, permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources),  control program, compliance schedule or other enforceable mechanism for  determining compliance with new or more stringent emission standards or permit  limitations or other emissions limitations requiring the installation or  modification of air pollution control equipment or implementation of a control  method. Initial emission tests shall be conducted in accordance with  9VAC5-40-30.
    "Initial performance test" means the test required  by (i) 40 CFR Part 60 for determining compliance with standards of performance,  or (ii) a permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources)  for determining initial compliance with permit limitations. Initial performance  tests shall be conducted in accordance with 9VAC5-50-30 and 9VAC5-60-30.
    "Isokinetic sampling" means sampling in which the  linear velocity of the gas entering the sampling nozzle is equal to that of the  undisturbed gas stream at the sample point. 
    "Locality" means a city, town, county or other  public body created by or pursuant to state law. 
    "Maintenance area" means any geographic region of  the United States previously designated as a nonattainment area and  subsequently redesignated to attainment subject to the requirement to develop a  maintenance plan and designated as such in 9VAC5-20-203. 
    "Malfunction" means any sudden failure of air  pollution control equipment, of process equipment, or of a process to operate  in a normal or usual manner, which failure is not due to intentional misconduct  or negligent conduct on the part of the owner or other person. Failures that  are caused in part by poor maintenance or careless operation are not  malfunctions. 
    "Metropolitan statistical area" means any area  designated as such in 9VAC5-20-202. 
    "Monitoring device" means the total equipment used  to measure and record (if applicable) process parameters. 
    "Nearby" as used in the definition of good  engineering practice (GEP) is defined for a specific structure or terrain  feature and: 
    1. For purposes of applying the formulae provided in  subdivision 2 of the GEP definition means that distance up to five times the  lesser of the height or the width dimension of a structure, but not greater  than 0.8 km (1/2 mile); and 
    2. For conducting demonstrations under subdivision 3 of the  GEP definition means not greater than 0.8 km (1/2 mile), except that the  portion of a terrain feature may be considered to be nearby which falls within  a distance of up to 10 times the maximum height (Ht) of the feature, not to  exceed two miles if such feature achieves a height (Ht) 0.8 km from the stack  that is at least 40% of the GEP stack height determined by the formulae  provided in subdivision 2 b of the GEP definition or 26 meters, whichever is  greater, as measured from the ground-level elevation at the base of the stack.  The height of the structure or terrain feature is measured from the  ground-level elevation at the base of the stack. 
    "Nitrogen oxides" means all oxides of nitrogen  except nitrous oxide, as measured by test methods set forth in 40 CFR Part 60. 
    "Nonattainment area" means any area which is shown  by air quality monitoring data or, where such data are not available, which is  calculated by air quality modeling (or other methods determined by the board to  be reliable) to exceed the levels allowed by the ambient air quality standard  for a given pollutant including, but not limited to, areas designated as such  in 9VAC5-20-204. 
    "One hour" means any period of 60 consecutive  minutes. 
    "One-hour period" means any period of 60  consecutive minutes commencing on the hour. 
    "Organic compound" means any chemical compound of  carbon excluding carbon monoxide, carbon dioxide, carbonic disulfide, carbonic  acid, metallic carbides, metallic carbonates and ammonium carbonate. 
    "Owner" means any person, including bodies politic  and corporate, associations, partnerships, personal representatives, trustees  and committees, as well as individuals, who owns, leases, operates, controls or  supervises a source. 
    "Particulate matter" means any airborne finely  divided solid or liquid material with an aerodynamic diameter smaller than 100  micrometers. 
    "Particulate matter emissions" means all finely  divided solid or liquid material, other than uncombined water, emitted to the  ambient air as measured by the applicable reference method, or an equivalent or  alternative method.
    "PM10" means particulate matter with an  aerodynamic diameter less than or equal to a nominal 10 micrometers as measured  by the applicable reference method or an equivalent method.
    "PM10 emissions" means finely divided  solid or liquid material, with an aerodynamic diameter less than or equal to a  nominal 10 micrometers emitted to the ambient air as measured by the applicable  reference method, or an equivalent or alternative method.
    "Performance test" means a test for determining  emissions from new or modified sources.
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity.
    "Pollutant" means any substance the presence of  which in the outdoor atmosphere is or may be harmful or injurious to human  health, welfare or safety, to animal or plant life, or to property, or which  unreasonably interferes with the enjoyment by the people of life or property.
    "Potential to emit" means the maximum capacity of a  stationary source to emit a pollutant under its physical and operational  design. Any physical or operational limitation on the capacity of the source to  emit a pollutant, including air pollution control equipment, and restrictions  on hours of operation or on the type or amount of material combusted, stored,  or processed, shall be treated as part of its design only if the limitation or  its effect on emissions is state and federally enforceable.
    "Prevention of significant deterioration area"  means any area not designated as a nonattainment area in 9VAC5-20-204 for a  particular pollutant and designated as such in 9VAC5-20-205.
    "Proportional sampling" means sampling at a rate  that produces a constant ratio of sampling rate to stack gas flow rate. 
    "Public hearing" means, unless indicated otherwise,  an informal proceeding, similar to that provided for in § 2.2-4007.02 of  the Administrative Process Act, held to afford persons an opportunity to submit  views and data relative to a matter on which a decision of the board is  pending.
    "Reference method" means any method of sampling and  analyzing for an air pollutant as described in the following EPA regulations:
    1. For ambient air quality standards in 9VAC5-30 (Ambient Air  Quality Standards): The applicable appendix of 40 CFR Part 50 or any method  that has been designated as a reference method in accordance with 40 CFR Part  53, except that it does not include a method for which a reference designation  has been canceled in accordance with 40 CFR 53.11 or 40 CFR 53.16.
    2. For emission standards in 9VAC5-40 (Existing Stationary  Sources) and 9VAC5-50 (New and Modified Stationary Sources): Appendix M of 40  CFR Part 51 or Appendix A of 40 CFR Part 60.
    3. For emission standards in 9VAC5-60 (Hazardous Air Pollutant  Sources): Appendix B of 40 CFR Part 61 or Appendix A of 40 CFR Part 63.
    "Regional director" means the regional director of  an administrative region of the Department of Environmental Quality or a  designated representative.
    "Regulation of the board" means any regulation  adopted by the State Air Pollution Control Board under any provision of the  Code of Virginia.
    "Regulations for the Control and Abatement of Air  Pollution" means 9VAC5-10 (General Definitions) through 9VAC5-80 (Permits  for Stationary Sources).
    "Reid vapor pressure" means the absolute vapor  pressure of volatile crude oil and volatile nonviscous petroleum liquids except  liquefied petroleum gases as determined by American Society for Testing and  Materials publication, "Standard Test Method for Vapor Pressure of  Petroleum Products (Reid Method)" (see 9VAC5-20-21).
    "Run" means the net period of time during which an  emission sample is collected. Unless otherwise specified, a run may be either  intermittent or continuous within the limits of good engineering practice.
    "Section 111(d) plan" means the portion or portions  of the plan, or the most recent revision thereof, which has been approved under  40 CFR 60.27(b) in accordance with § 111(d)(1) of the federal Clean Air  Act, or promulgated under 40 CFR 60.27(d) in accordance with § 111 (d)(2)  of the federal Clean Air Act, and which implements the relevant requirements of  the federal Clean Air Act. 
    "Section 111(d)/129 plan" means the portion or  portions of the plan, or the most recent revision thereof, which has been  approved under 40 CFR 60.27(b) in accordance with §§ 111(d)(1) and  129(b)(2) of the federal Clean Air Act, or promulgated under 40 CFR 60.27(d) in  accordance with §§ 111(d)(2) and 129(b)(3) of the federal Clean Air Act,  and which implements the relevant requirements of the federal Clean Air Act. 
    "Shutdown" means the cessation of operation of an  affected facility for any purpose. 
    "Source" means any one or combination of the  following: buildings, structures, facilities, installations, articles,  machines, equipment, landcraft, watercraft, aircraft or other contrivances  which contribute, or may contribute, either directly or indirectly to air  pollution. Any activity by any person that contributes, or may contribute, either  directly or indirectly to air pollution, including, but not limited to, open  burning, generation of fugitive dust or emissions, and cleaning with abrasives  or chemicals. 
    "Stack" means any point in a source designed to  emit solids, liquids or gases into the air, including a pipe or duct, but not  including flares. 
    "Stack in existence" means that the owner had: 
    1. Begun, or caused to begin, a continuous program of physical  on site construction of the stack; or 
    2. Entered into binding agreements or contractual obligations,  which could not be canceled or modified without substantial loss to the owner,  to undertake a program of construction of the stack to be completed in a  reasonable time. 
    "Standard conditions" means a temperature of 20°C  (68°F) and a pressure of 760 mm of Hg (29.92 inches of Hg). 
    "Standard of performance" means any provision of  9VAC5-50 (New and Modified Stationary Sources) which prescribes an emissions  limitation or other requirements that control air pollution emissions. 
    "Startup" means the setting in operation of an  affected facility for any purpose. 
    "State enforceable" means all limitations and  conditions which are enforceable by the board or department, including, but not  limited to, those requirements developed pursuant to 9VAC5-20-110; requirements  within any applicable regulation, order, consent agreement or variance; and any  permit requirements established pursuant to 9VAC5-80 (Permits for Stationary  Sources). 
    "State Implementation Plan" means the plan,  including the most recent revision thereof, which has been approved or  promulgated by the administrator, U.S. Environmental Protection Agency, under  § 110 of the federal Clean Air Act, and which implements the requirements  of § 110.
    "Stationary source" means any building, structure,  facility or installation which emits or may emit any air pollutant. A  stationary source shall include all of the pollutant-emitting activities which  belong to the same industrial grouping, are located on one or more contiguous  or adjacent properties, and are under the control of the same person (or  persons under common control) except the activities of any vessel.  Pollutant-emitting activities shall be considered as part of the same  industrial grouping if they belong to the same "Major Group" (i.e.,  which have the same two-digit code) as described in the Standard Industrial  Classification Manual (see 9VAC5-20-21).
    "These regulations" means 9VAC5-10 (General  Definitions) through 9VAC5-80 (Permits for Stationary Sources).
    "Total suspended particulate (TSP)" means  particulate matter as measured by the reference method described in Appendix B  of 40 CFR Part 50. 
    "True vapor pressure" means the equilibrium partial  pressure exerted by a petroleum liquid as determined in accordance with methods  described in American Petroleum Institute (API) publication, "Evaporative  Loss from External Floating-Roof Tanks" (see 9VAC5-20-21). The API  procedure may not be applicable to some high viscosity or high pour crudes.  Available estimates of true vapor pressure may be used in special cases such as  these. 
    "Urban area" means any area consisting of a core  city with a population of 50,000 or more plus any surrounding localities with a  population density of 80 persons per square mile and designated as such in  9VAC5-20-201. 
    "Vapor pressure," except where specific test  methods are specified, means true vapor pressure, whether measured directly, or  determined from Reid vapor pressure by use of the applicable nomograph in  American Petroleum Institute publication, "Evaporative Loss from  Floating-Roof Tanks" (see 9VAC5-20-21). 
    "Virginia Air Pollution Control Law" means Chapter  13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of Virginia. 
    "Volatile organic compound" means any compound of  carbon, excluding carbon monoxide, carbon dioxide, carbonic acid, metallic  carbides or carbonates, and ammonium carbonate, which participates in  atmospheric photochemical reactions. 
    1. This includes any such organic compounds which have been  determined to have negligible photochemical reactivity other than the  following: 
    a. Methane; 
    b. Ethane; 
    c. Methylene chloride (dichloromethane); 
    d. 1,1,1-trichloroethane (methyl chloroform); 
    e. 1,1,2-trichloro-1,2,2-trifluoroethane (CFC-113); 
    f. Trichlorofluoromethane (CFC-11); 
    g. Dichlorodifluoromethane (CFC-12); 
    h. Chlorodifluoromethane (H CFC-22); 
    i. Trifluoromethane (H FC-23); 
    j. 1,2-dichloro 1,1,2,2,-tetrafluoroethane (CFC-114); 
    k. Chloropentafluoroethane (CFC-115); 
    l. 1,1,1-trifluoro 2,2-dichloroethane (HCFC-123); 
    m. 1,1,1,2-tetrafluoroethane (HFC-134a); 
    n. 1,1-dichloro 1-fluoroethane (HCFC-141b); 
    o. 1-chloro 1,1-difluoroethane (HCFC-142b); 
    p. 2-chloro-1,1,1,2-tetrafluoroethane (HCFC-124); 
    q. Pentafluoroethane (HFC-125); 
    r. 1,1,2,2-tetrafluoroethane (HFC-134); 
    s. 1,1,1-trifluoroethane (HFC-143a); 
    t. 1,1-difluoroethane (HFC-152a); 
    u. Parachlorobenzotrifluoride (PCBTF); 
    v. Cyclic, branched, or linear completely methylated  siloxanes; 
    w. Acetone; 
    x. Perchloroethylene (tetrachloroethylene); 
    y. 3,3-dichloro-1,1,1,2,2-pentafluoropropane (HCFC-225ca); 
    z. 1,3-dichloro-1,1,2,2,3-pentafluoropropane (HCFC-225cb); 
    aa. 1,1,1,2,3,4,4,5,5,5-decafluoropentane (HFC 43-10mee); 
    bb. Difluoromethane (HFC-32); 
    cc. Ethylfluoride (HFC-161); 
    dd. 1,1,1,3,3,3-hexafluoropropane (HFC-236fa); 
    ee. 1,1,2,2,3-pentafluoropropane (HFC-245ca); 
    ff. 1,1,2,3,3-pentafluoropropane (HFC-245ea); 
    gg. 1,1,1,2,3-pentafluoropropane (HFC-245eb); 
    hh. 1,1,1,3,3-pentafluoropropane (HFC-245fa); 
    ii. 1,1,1,2,3,3-hexafluoropropane (HFC-236ea); 
    jj. 1,1,1,3,3-pentafluorobutane (HFC-365mfc); 
    kk. Chlorofluoromethane (HCFC-31); 
    ll. 1 chloro-1-fluoroethane (HCFC-151a); 
    mm. 1,2-dichloro-1,1,2-trifluoroethane (HCFC-123a); 
    nn. 1,1,1,2,2,3,3,4,4-nonafluoro-4-methoxy-butane (C4F9OCH3  or HFE-7100); 
    oo. 2-(difluoromethoxymethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2 OCH3); 
    pp. 1-ethoxy-1,1,2,2,3,3,4,4,4-nonafluorobutane (C4F9  OC2H5 or HFE-7200); 
    qq. 2-(ethoxydifluoromethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2OC2H5); 
    rr. Methyl acetate; ss.  1,1,1,2,2,3,3-heptafluoro-3-methoxy-propane (n-C3F7OCH3)  (HFE-7000); 
    tt.  3-ethoxy-1,1,1,2,3,4,4,5,5,6,6,6-dodecafluoro-2-(trifluoromethyl) hexane  (HFE-7500); 
    uu. 1,1,1,2,3,3,3-heptafluoropropane (HFC 227ea); 
    vv. methyl formate (HCOOCH3); 
    ww. (1)  1,1,1,2,2,3,4,5,5,5-decafluoro-3-methoxy-4-trifluoromethyl-pentane (HFE-7300); 
    xx. propylene carbonate;
    yy. dimethyl carbonate; and
    zz. Perfluorocarbon compounds which fall into these classes: 
    (1) Cyclic, branched, or linear, completely fluorinated  alkanes; 
    (2) Cyclic, branched, or linear, completely fluorinated ethers  with no unsaturations; 
    (3) Cyclic, branched, or linear, completely fluorinated  tertiary amines with no unsaturations; and 
    (4) Sulfur containing perfluorocarbons with no unsaturations  and with sulfur bonds only to carbon and fluorine. 
    2. For purposes of determining compliance with emissions  standards, volatile organic compounds shall be measured by the appropriate  reference method in accordance with the provisions of 9VAC5-40-30 or  9VAC5-50-30, as applicable. Where such a method also measures compounds with  negligible photochemical reactivity, these negligibly reactive compounds may be  excluded as a volatile organic compound if the amount of such compounds is  accurately quantified, and such exclusion is approved by the board. 
    3. As a precondition to excluding these compounds as volatile  organic compounds or at any time thereafter, the board may require an owner to  provide monitoring or testing methods and results demonstrating, to the  satisfaction of the board, the amount of negligibly reactive compounds in the  emissions of the source. 
    4. Exclusion of the above compounds in this definition in  effect exempts such compounds from the provisions of emission standards for  volatile organic compounds. The compounds are exempted on the basis of being so  inactive that they will not contribute significantly to the formation of ozone  in the troposphere. However, this exemption does not extend to other properties  of the exempted compounds which, at some future date, may require regulation  and limitation of their use in accordance with requirements of the federal  Clean Air Act. 
    5. The following compound is a VOC for purposes of all  recordkeeping, emissions reporting, photochemical dispersion modeling and  inventory requirements that apply to VOCs and shall be uniquely identified in  emission reports, but is not a VOC for purposes of VOC emission standards, VOC  emissions limitations, or VOC content requirements: t-butyl acetate. 
    "Welfare" means that language referring to effects  on welfare includes, but is not limited to, effects on soils, water, crops,  vegetation, man-made materials, animals, wildlife, weather, visibility and  climate, damage to and deterioration of property, and hazards to  transportation, as well as effects on economic values and on personal comfort  and well-being. 
    9VAC5-20-202. Metropolitan statistical areas. (Repealed.)
    Metropolitan Statistical Areas are geographically defined as  follows: 
           | TITLE
 | GEOGRAPHICAL AREA
 | 
       | Bristol MSA
 | Bristol CityScott County
 Washington County
 | 
       | Charlottesville MSA
 | Charlottesville CityAlbemarle County
 Fluvanna County
 Greene County
 | 
       | Danville MSA
 | Danville CityPittsylvania County
 | 
       | Lynchburg MSA
 | Bedford CityLynchburg City
 Amherst County
 Bedford County
 Campbell County
 | 
       | Norfolk-Virginia Beach-Newport News MSA
 | Chesapeake CityNorfolk City
 Portsmouth City
 Suffolk City
 Virginia Beach City
 Hampton City
 Newport News City
 Poquoson City
 Williamsburg City
 Gloucester County
 Isle of Wight County
 James City County
 Mathews County
 York County
 | 
       | Richmond-Petersburg MSA
 | Richmond CityColonial Heights City
 Hopewell City
 Petersburg City
 Charles City County
 Chesterfield County
 Goochland County
 Hanover County
 Henrico County
 New Kent County
 Powhatan County
 Prince George County
 Dinwiddie County
 | 
       | Roanoke MSA
 | Roanoke CitySalem City
 Botetourt County
 Roanoke County
 | 
       | National Capital MSA
 | Alexandria CityFairfax City
 Falls Church City
 Fredericksburg City
 Manassas City
 Manassas Park City
 Arlington County
 Clarke County
 Culpeper County
 Fairfax County
 Fauquier County
 King George County
 Loudoun County
 Prince William County
 Spottsylvania County
 Stafford County
 Warren County
 | 
  
    Article 44 
  Emission Standards for Hospital/Medical/Infectious Waste Incinerators (Rule  4-44)
    9VAC5-40-6000. Applicability and designation of affected  facility. (Repealed.)
    A. Except as provided in subsections C and D of this  section, the affected facility to which the provisions of this article apply is  each individual HMIWI for which construction was commenced on or before June  20, 1996. 
    B. The provisions of this article apply throughout the  Commonwealth of Virginia. 
    C. Exempted from the provisions of this article are the  following: 
    1. Combustors during periods when only pathological waste,  low-level radioactive waste, or chemotherapeutic waste is burned, provided the  owner: 
    a. Notifies the board of an exemption claim; and 
    b. Keeps records on a calendar quarter basis of the periods  of time when only pathological waste, low-level radioactive waste, or  chemotherapeutic waste is burned. 
    2. Any co-fired combustor if the owner of the co-fired  combustor: 
    a. Notifies the board of an exemption claim; 
    b. Provides an estimate of the relative weight of hospital  waste, medical/infectious waste, and other fuels and or wastes to be combusted;  and 
    c. Keeps records on a calendar quarter basis of the weight  of hospital waste and medical/infectious waste combusted, and the weight of all  other fuels and wastes combusted at the co-fired combustor. 
    3. Any combustor required to have a permit under § 3005 of  the Solid Waste Disposal Act (42 USC § 6901 et seq.). 
    4. Any combustor which meets the applicability requirements  under subpart Ea or Eb of 40 CFR Part 60 (standards for certain municipal waste  combustors). 
    5. Any pyrolysis unit. 
    6. Cement kilns firing hospital waste and  medical/infectious waste or both. 
    D. The provisions of this article do not apply to affected  facilities subject to the standards in 9VAC5 Chapter 40, Article 54  (9VAC5-40-7950 et seq.). 
    E. Physical or operational changes made to an existing  HMIWI unit solely for the purpose of complying with this article are not  considered a modification and do not result in an existing HMIWI unit becoming  subject to the provisions of subpart Ec of 40 CFR Part 60 (see 40 CFR 60.50c). 
    F. Beginning September 15, 2000, affected facilities  subject to this article shall operate pursuant to a federal operating permit. 
    G. The provisions of 40 CFR Part 60 cited in this article  are applicable only to the extent that they are incorporated by reference in  Article 5 (9VAC5-50-400 et seq.) of Part II of 9VAC5 Chapter 50. 
    H. The requirement of subdivision C 3 of this section with  regard to obtaining a permit under § 3005 of the Solid Waste Disposal Act (42  USC § 6901 et seq.) may be met by obtaining a permit from the department as  required by 9VAC20 Chapter 60. 
    9VAC5-40-6010. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meanings given them in subsection C of  this section. 
    B. As used in this article, all terms not defined here  shall have the meanings given them in 9VAC5 Chapter 10, unless otherwise  required by context. 
    C. Terms defined. 
    "Batch HMIWI" means an HMIWI that is designed  such that neither waste charging nor ash removal can occur during combustion. 
    "Biologicals" means preparations made from  living organisms and their products, including vaccines, cultures, etc.,  intended for use in diagnosing, immunizing, or treating humans or animals or in  research pertaining thereto. 
    "Blood products" means any product derived from  human blood, including but not limited to blood plasma, platelets, red or white  blood corpuscles, and other derived licensed products, such as interferon, etc.  
    "Body fluids" means any liquid emanating or  derived from humans and not limited to blood; dialysate; amniotic,  cerebrospinal, synovial, pleural, peritoneal and pericardial fluids; and semen  and vaginal secretions. 
    "Bypass stack" means a device used for  discharging combustion gases to avoid severe damage to the air pollution  control device or other equipment. 
    "Chemotherapeutic waste" means waste material  resulting from the production or use of antineoplastic agents used for the  purpose of stopping or reversing the growth of malignant cells. 
    "Co-fired combustor" means a unit combusting  hospital waste and medical/infectious waste or both with other fuels or wastes  (e.g., coal, municipal solid waste) and subject to an enforceable requirement  limiting the unit to combusting a fuel feed stream, 10% or less of the weight  of which is comprised, in aggregate, of hospital waste and medical/infectious  waste as measured on a calendar quarter basis. For purposes of this definition,  pathological waste, chemotherapeutic waste, and low-level radioactive waste are  considered "other" wastes when calculating the percentage of hospital  waste and medical/infectious waste combusted. 
    "Combustor" means any type of stationary  equipment in which solid, liquid or gaseous fuels and refuse are burned  (including, but not limited to, furnaces, ovens, and kilns) for the primary  purpose of destroying matter or reducing the volume, or both, of the waste by  removing combustible matter. 
    "Commenced" means an owner has undertaken a  continuous program of construction or modification or that an owner has entered  into a contractual obligation to undertake and complete, within a reasonable  time, a continuous program of construction or modification. 
    "Compliance schedule" means a legally  enforceable schedule specifying a date or dates by which a source must comply  with specific emission limits contained in this article or with any increments  of progress to achieve such compliance. 
    "Construction" means fabrication, erection, or  installation of an affected facility. 
    "Continuous emission monitoring system" means a  monitoring system for continuously measuring and recording the emissions of a  pollutant from an affected facility. 
    "Continuous HMIWI" means an HMIWI that is  designed to allow waste charging and ash removal during combustion. 
    "Dioxins/furans" means the combined emissions of  tetra-through octa-chlorinated dibenzo-para-dioxins and dibenzofurans, as  measured by Reference Method 23. 
    "Dry scrubber" means an add-on air pollution  control system that injects dry alkaline sorbent (dry injection) or sprays an  alkaline sorbent (spray dryer) to react with and neutralize acid gases in the  HMIWI exhaust stream forming a dry powder material. 
    "Fabric filter" means an add-on air pollution  control system that removes particulate matter and nonvaporous metals emissions  by passing flue gas through filter bags. 
    "Facilities manager" means the individual in  charge of purchasing, maintaining, and operating the HMIWI or the owner's  representative responsible for the management of the HMIWI. Alternative titles  may include director of facilities or vice president of support services. 
    "Federal operating permit" means a permit issued  under Article 1 (9VAC5-80-50 et seq.) or Article 3 (9VAC5-80-360 et seq.) of  Part II of 9VAC5 Chapter 80. 
    "High-air phase" means the stage of the batch  operating cycle when the primary chamber reaches and maintains maximum  operating temperatures. 
    "Hospital" means any facility which has an  organized medical staff, maintains at least six inpatient beds, and where the  primary function of the institution is to provide diagnostic and therapeutic  patient services and continuous nursing care primarily to human inpatients who  are not related and who stay on average in excess of 24 hours per admission.  This definition does not include facilities maintained for the sole purpose of  providing nursing or convalescent care to human patients who generally are not  acutely ill but who require continuing medical supervision. 
    "Hospital/medical/infectious waste incinerator"  or "HMIWI" or "HMIWI unit" means any device that combusts  any amount of hospital waste and medical/infectious waste or both. 
    "Hospital/medical/infectious waste incinerator  operator" or "HMIWI operator" means any person who operates,  controls or supervises the day-to-day operation of an HMIWI. 
    "Hospital waste" means discards generated at a  hospital, except unused items returned to the manufacturer. The definition of  hospital waste does not include human corpses, remains, and anatomical parts  that are intended for interment or cremation. 
    "Infectious agent" means any organism (such as a  virus or bacteria) that is capable of being communicated by invasion and  multiplication in body tissues and capable of causing disease or adverse health  impacts in humans. 
    "Intermittent HMIWI" means an HMIWI that is  designed to allow waste charging, but not ash removal, during combustion. 
    "Large HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 500 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day. 
    2. The following are not large HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 500 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is less than or  equal to 4,000 pounds per day. 
    "Low-level radioactive waste" means waste  material which contains radioactive nuclides emitting primarily beta or gamma  radiation, or both, in concentrations or quantities that exceed applicable  federal or state standards for unrestricted release. Low-level radioactive  waste is not high-level radioactive waste, spent nuclear fuel, or by-product material  as defined by the Atomic Energy Act of 1954 (42 USC § 2014(e)(2)). 
    "Malfunction" means any sudden, infrequent, and  not reasonably preventable failure of air pollution control equipment, process  equipment, or a process to operate in a normal or usual manner. Failures that  are caused, in part, by poor maintenance or careless operation are not  malfunctions. During periods of malfunction the HMIWI operator shall operate  within established parameters as much as possible, and monitoring of all  applicable operating parameters shall continue until all waste has been  combusted or until the malfunction ceases, whichever comes first. 
    "Maximum charge rate" means: 
    1. For continuous and intermittent HMIWI, 110% of the  lowest three-hour average charge rate measured during the most recent emissions  test demonstrating compliance with all applicable emission limits. 
    2. For batch HMIWI, 110% of the lowest daily charge rate  measured during the most recent emissions test demonstrating compliance with  all applicable emission limits. 
    "Maximum design waste burning capacity" means: 
    1. For intermittent and continuous HMIWI, 
    C = PV X 15,000/8,500 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    15,000 = primary chamber heat release rate factor, Btu/ft3/hr  
    8,500 = standard waste heating value, Btu/lb; 
    2. For batch HMIWI, 
    C = PV X 4.5/8 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    4.5 = waste density, lb/ft3 
    8 = typical hours of operation of a batch HMIWI, hours. 
    "Maximum fabric filter inlet temperature" means  110% of the lowest three-hour average temperature at the inlet to the fabric  filter (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the dioxin/furan emission limit. 
    "Maximum flue gas temperature" means 110% of the  lowest three-hour average temperature at the outlet from the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the mercury emission limit. 
    "Medical/infectious waste" means any waste  generated in the diagnosis, treatment, or immunization of human beings or  animals, in research pertaining thereto, or in the production or testing of  biologicals that is listed in subdivisions 1 through 9 of this definition. The  definition of medical/infectious waste does not include hazardous waste  identified or listed under the regulations in 40 CFR Part 261; household waste,  as defined in 40 CFR 261.4(b)(1); ash from incineration of medical/infectious  waste, once the incineration process has been completed; human corpses,  remains, and anatomical parts that are intended for interment or cremation; and  domestic sewage materials identified in 40 CFR 261.4(a)(1). 
    1. Cultures and stocks of infectious agents and associated  biologicals, including: cultures from medical and pathological laboratories;  cultures and stocks of infectious agents from research and industrial  laboratories; wastes from the production of biologicals; discarded live and  attenuated vaccines; and culture dishes and devices used to transfer,  inoculate, and mix cultures. 
    2. Human pathological waste, including tissues, organs, and  body parts and body fluids that are removed during surgery or autopsy, or other  medical procedures, and specimens of body fluids and their containers. 
    3. Human blood and blood products, regardless of whether  containerized, including: 
    a. Liquid human blood; 
    b. Products of blood; 
    c. Items containing unabsorbed or free-flowing blood; 
    d. Items saturated or dripping or both with human blood; or  
    e. Items that were saturated or dripping or both with human  blood that are now caked with dried human blood; including serum, plasma, and  other blood components, and their containers, which were used or intended for  use in either patient care, testing and laboratory analysis or the development  of pharmaceuticals. Intravenous bags are also included in this category. 
    4. Regardless of the presence of infectious agents, sharps  that have been used in animal or human patient care or treatment or in medical,  research, or industrial laboratories, including hypodermic needles, syringes  (with or without the attached needle), pasteur pipettes, scalpel blades, blood  vials, needles with attached tubing, and culture dishes. Also included are  other types of broken or unbroken glassware that may have been in contact with  infectious agents, such as used slides and cover slips. 
    5. Animal waste including contaminated animal carcasses,  body parts, and bedding of animals that were known to have been exposed to  infectious agents during research (including research in veterinary hospitals),  production of biologicals or testing of pharmaceuticals. 
    6. Isolation wastes including biological waste and  discarded materials contaminated with blood, excretions, exudates, or  secretions from humans who are isolated to protect others from certain highly  communicable diseases, or isolated animals known to be infected with highly  communicable diseases. 
    7. Unused sharps including the following unused, discarded  sharps: hypodermic needles, suture needles, syringes, and scalpel blades. 
    8. Any waste that is contaminated or mixed with any waste  listed in subdivisions 1 through 7 of this definition. 
    9. Any residue or contaminated soil, waste, or other debris  resulting from the cleaning of a spill of any waste listed in subdivisions 1  through 8 of this definition. 
    "Medium HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 200 pounds per hour but less than or equal to 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour but less than or equal to 500 pounds per  hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day but less than or equal to 4,000 pounds per day. 
    2. The following are not medium HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour or more than 500 pounds per  hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day or less than or equal to 1,600 pounds per day. 
    "Minimum dioxin/furan sorbent flow rate" means  90% of the highest three-hour average dioxin/furan sorbent flow rate (taken, at  a minimum, once every hour) measured during the most recent emissions test  demonstrating compliance with the dioxin/furan emission limit. 
    "Minimum mercury sorbent flow rate" means 90% of  the highest three-hour average mercury sorbent flow rate (taken, at a minimum,  once every hour) measured during the most recent emissions test demonstrating  compliance with the mercury emission limit. 
    "Minimum hydrogen chloride sorbent flow rate"  means 90% of the highest three-hour average hydrogen chloride sorbent flow rate  (taken, at a minimum, once every hour) measured during the most recent  emissions test demonstrating compliance with the hydrogen chloride emission  limit. 
    "Minimum horsepower or amperage" means 90% of  the highest three-hour average horsepower or amperage to the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the applicable emission limits. 
    "Minimum pressure drop across the wet scrubber"  means 90% of the highest three-hour average pressure drop across the wet  scrubber particulate matter control device (taken, at a minimum, once every  minute) measured during the most recent emissions test demonstrating compliance  with the particulate matter emission limit. 
    "Minimum scrubber liquor flow rate" means 90% of  the highest three-hour average liquor flow rate at the inlet to the wet  scrubber (taken, at a minimum, once every minute) measured during the most  recent emissions test demonstrating compliance with all applicable emission  limits. 
    "Minimum scrubber liquor pH" means 90% of the  highest three-hour average liquor pH at the inlet to the wet scrubber (taken,  at a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the hydrogen chloride emission limit. 
    "Minimum secondary chamber temperature" means  90% of the highest three-hour average secondary chamber temperature (taken, at  a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the particulate matter, carbon monoxide, or  dioxin/furan emission limits. 
    "Modification" means any change to an HMIWI unit  after March 16, 1998, such that: 
    1. The cumulative costs of the modifications, over the life  of the unit, exceed 50% of the original cost of the construction and  installation of the unit (not including the cost of any land purchased in  connection with such construction or installation) updated to current costs; or  
    2. The change involves a physical change in or change in  the method of operation of the unit which increases the amount of any air  pollutant emitted by the unit for which standards have been established under §  111 or § 129 of the federal Clean Air Act. 
    "Operating day" means a 24-hour period between  12:00 midnight and the following midnight during which any amount of hospital  waste or medical/infectious waste is combusted at any time in the HMIWI. 
    "Operation" means the period during which waste  is combusted in the incinerator excluding periods of startup or shutdown. 
    "Particulate matter" means the total particulate  matter emitted from an HMIWI as measured by Reference Method 5 or Reference  Method 29. 
    "Pathological waste" means waste material  consisting of only human or animal remains, anatomical parts, or tissue, the  bags and containers used to collect and transport the waste material, and  animal bedding (if applicable). 
    "Primary chamber" means the chamber in an HMIWI  that receives waste material, in which the waste is ignited, and from which ash  is removed. 
    "Pyrolysis" means the endothermic gasification  of hospital waste or medical/infectious waste or both using external energy. 
    "Secondary chamber" means a component of the  HMIWI that receives combustion gases from the primary chamber and in which the  combustion process is completed. 
    "Shutdown" means the period of time after all  waste has been combusted in the primary chamber. For continuous HMIWI, shutdown  shall commence no less than two hours after the last charge to the incinerator.  For intermittent HMIWI, shutdown shall commence no less than four hours after  the last charge to the incinerator. For batch HMIWI, shutdown shall commence no  less than five hours after the high-air phase of combustion has been completed.  
    "Small HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  less than or equal to 200 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is less than or  equal to 1,600 pounds per day. 
    2. The following are not small HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day. 
    "Small, rural HMIWI" means any small HMIWI which  is located more than 50 miles from the boundary of the nearest Metropolitan  Statistical Area and which burns less than 2,000 pounds per week of hospital  waste and medical/infectious waste. The 2,000 pounds-per-week limitation does  not apply during emissions tests. 
    "Startup" means the period of time between the  activation of the system and the first charge to the unit. For batch HMIWI,  startup means the period of time between activation of the system and ignition  of the waste. 
    "Wet scrubber" means an add-on air pollution  control device that utilizes an alkaline scrubbing liquor to collect  particulate matter (including nonvaporous metals and condensed organics), and  to absorb and neutralize acid gases, or both. 
    9VAC5-40-6020. Standard for particulate matter. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any particulate emissions in  excess of the following limits: 
    1. For small HMIWI: 0.05 grains per dry standard cubic foot  (115 milligrams per dry standard cubic meter). 
    2. For medium HMIWI: 0.03 grains per dry standard cubic  foot (69 milligrams per dry standard cubic meter). 
    3. For large HMIWI: 0.015 grains per dry standard cubic  foot (34 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 0.086 grains per dry standard  cubic foot (197 milligrams per dry standard cubic meter). 
    9VAC5-40-6030. Standard for carbon monoxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any carbon monoxide emissions in  excess of the following limits: 
    1. For small HMIWI: 40 parts per million by volume. 
    2. For medium HMIWI: 40 parts per million by volume. 
    3. For large HMIWI: 40 parts per million by volume. 
    4. For small, rural HMIWI: 40 parts per million by volume. 
    9VAC5-40-6040. Standard for dioxins/furans. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any dioxin/furan emissions in  excess of the following limits: 
    1. For small HMIWI: 55 grains per dry billion standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    2. For medium HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    3. For large HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    4. For small, rural HMIWI: 350 grains per billion dry  standard cubic feet (800 nanograms per dry standard cubic meter) total  dioxin/furan or 6.6 grains per billion standard cubic meter total TEQ (15  nanograms per dry standard cubic meter TEQ). 
    9VAC5-40-6050. Standard for hydrogen chloride. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any hydrogen chloride emissions  in excess of the following limits: 
    1. For small HMIWI: 100 parts per million by volume or 93%  reduction. 
    2. For medium HMIWI: 100 parts per million by volume or 93%  reduction. 
    3. For large HMIWI: 100 parts per million by volume or 93%  reduction. 
    4. For small, rural HMIWI: 3,100 parts per million by  volume. 
    9VAC5-40-6060. Standard for sulfur dioxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any sulfur dioxide emissions in  excess of the following limits: 
    1. For small HMIWI: 55 parts per million by volume. 
    2. For medium HMIWI: 55 parts per million by volume. 
    3. For large HMIWI: 55 parts per million by volume. 
    4. For small, rural HMIWI: 55 parts per million by volume.  
    9VAC5-40-6070. Standard for nitrogen oxides. (Repealed.)  
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any nitrogen oxide emissions in  excess of the following limits: 
    1. For small HMIWI: 250 parts per million by volume. 
    2. For medium HMIWI: 250 parts per million by volume. 
    3. For large HMIWI: 250 parts per million by volume. 
    4. For small, rural HMIWI: 250 parts per million by volume.  
    9VAC5-40-6080. Standard for lead. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any lead emissions in excess of  the following limits: 
    1. For small HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    2. For medium HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    3. For large HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    4. For small, rural HMIWI: 4.4 grains per thousand dry  standard cubic feet (10 milligrams per dry standard cubic meter). 
    9VAC5-40-6090. Standard for cadmium. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any cadmium emissions in excess  of the following limits: 
    1. For small HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    2. For medium HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    3. For large HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 1.7 grains per thousand dry  standard cubic feet (4 milligrams per dry standard cubic meter). 
    9VAC5-40-6100. Standard for mercury. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any mercury emissions in excess  of the following limits: 
    1. For small HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    2. For medium HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    3. For large HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    4. For small, rural HMIWI: 3.3 grains per thousand dry  standard cubic feet (7.5 milligrams per dry standard cubic meter). 
    9VAC5-40-6110. Standard for visible emissions. (Repealed.)
    A. The provisions of Article 1 (9VAC5-40-60 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Visible Emissions) apply except that  the provisions in subsection B of this section apply instead of 9VAC5-40-80. 
    B. No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any visible emissions which  exhibit greater than 10% opacity, six-minute block average. Failure to meet the  requirements of this section because of the presence of condensed water vapor  shall not be a violation of this section. 
    9VAC5-40-6120. Standard for fugitive dust/emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of 9VAC5  Chapter 40 (Emission Standards for Fugitive Dust/Emissions, Rule 4-1) apply. 
    9VAC5-40-6130. Standard for odor. (Repealed.)
    The provisions of Article 2 (9VAC5-40-130 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Odor, Rule 4-2) apply. 
    9VAC5-40-6140. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 4 (9VAC5-60-200 et seq.) of 9VAC5  Chapter 60 (Emission Standards for Toxic Pollutants, Rule 6-4) apply. 
    9VAC5-40-6150. HMIWI operator training and qualification.  (Repealed.)
    A. No owner of an affected facility shall allow the  affected facility to operate at any time unless a fully trained and qualified  HMIWI operator is accessible, either at the facility or available within one  hour. The trained and qualified HMIWI operator may operate the HMIWI directly  or be the direct supervisor of one or more HMIWI operators. 
    B. HMIWI operator training and qualification shall be  obtained through a program approved by the board or by completing the  requirements included in subsections C through G of this section. 
    C. Training shall be obtained by completing an HMIWI  operator training course that includes, at a minimum, the following provisions:  
    1. Twenty-four hours of training on the following subjects:  
    a. Environmental concerns, including pathogen destruction  and types of emissions; 
    b. Basic combustion principles, including products of  combustion; 
    c. Operation of the type of incinerator to be used by the  HMIWI operator, including proper startup, waste charging, and shutdown  procedures; 
    d. Combustion controls and monitoring; 
    e. Operation of air pollution control equipment and factors  affecting performance (if applicable); 
    f. Methods to monitor pollutants (continuous emission  monitoring systems and monitoring of HMIWI and air pollution control device  operating parameters) and equipment calibration procedures (where applicable); 
    g. Inspection and maintenance of the HMIWI, air pollution  control devices, and continuous emission monitoring systems; 
    h. Actions to correct malfunctions or conditions that may  lead to malfunction; 
    i. Bottom and fly ash characteristics and handling  procedures; 
    j. Applicable federal, state, and local regulations; 
    k. Work safety procedures; 
    l. Pre-startup inspections; and 
    m. Recordkeeping requirements. 
    2. An examination designed and administered by the  instructor. 
    3. Reference material distributed to the attendees covering  the course topics. 
    D. Qualification shall be obtained by: 
    1. Completion of a training course that satisfies the  criteria under subsection C of this section; and 
    2. Either six months experience as an HMIWI operator, six  months experience as a direct supervisor of an HMIWI operator, or completion of  at least two burn cycles under the observation of two qualified HMIWI  operators. 
    E. Qualification is valid from the date on which the  examination is passed or the completion of the required experience, whichever  is later. 
    F. To maintain qualification, the trained and qualified  HMIWI operator shall complete and pass an annual review or refresher course of  at least four hours covering, at a minimum, the following: 
    1. Update of regulations; 
    2. Incinerator operation, including startup and shutdown  procedures; 
    3. Inspection and maintenance; 
    4. Responses to malfunctions or conditions that may lead to  malfunction; and 
    5. Discussion of operating problems encountered by  attendees. 
    G. A lapsed qualification shall be renewed by one of the  following methods: 
    1. For a lapse of less than three years, the HMIWI operator  shall complete and pass a standard annual refresher course described in  subsection F of this section. 
    2. For a lapse of three years or more, the HMIWI operator  shall complete and pass a training course with the minimum criteria described  in subsection C of this section. 
    H. The owner of an affected facility shall maintain  documentation at the facility that address the following: 
    1. Summary of the applicable limits under this article; 
    2. Description of basic combustion theory applicable to an  HMIWI; 
    3. Procedures for receiving, handling, and charging waste; 
    4. HMIWI startup, shutdown, and malfunction procedures; 
    5. Procedures for maintaining proper combustion air supply  levels; 
    6. Procedures for operating the HMIWI and associated air  pollution control systems within the limits established under this article; 
    7. Procedures for responding to periodic malfunction or  conditions that may lead to malfunction; 
    8. Procedures for monitoring HMIWI emissions; 
    9. Reporting and recordkeeping procedures; and 
    10. Procedures for handling ash. 
    I. The owner of an affected facility shall establish a  program for reviewing the information listed in subsection H of this section  annually with each HMIWI operator. 
    1. The initial review of the information listed in  subsection H of this section shall be conducted by January 1, 2001, or prior to  assumption of responsibilities affecting HMIWI operation, whichever date is  later. 
    2. Subsequent reviews of the information listed in  subsection H of this section shall be conducted annually. 
    J. The information listed in subsection H of this section  shall be kept in a readily accessible location for all HMIWI operators. This  information, along with records of training shall be available for inspection  by the board. 
    K. The initial training requirements of this section shall  be performed by July 1, 2001. 
    L. The requirements of subsection B of this section with  regard to obtaining operator training qualifications through a program approved  by the board may be met by obtaining a license from the Board for Waste  Management Facilities Operators. All training and licensing shall be in  accordance with Chapter 22.1 (§ 54.1-2209 et seq.) of Title 54.1 of the Code of  Virginia, and with 18VAC155 Chapter 20. 
    M. No owner of an affected facility shall allow the  facility to be operated at any time unless a person is on duty who is  responsible for the proper operation of the facility and has a license from the  Board for Waste Management Facility operators in the correct classification. No  provision of this article shall relieve any owner from the responsibility to  comply in all respects with the requirements of Chapter 22.1 (§ 54.1-2209 et  seq.) of Title 54.1 of the Code of Virginia, and with 18VAC155 Chapter 20. 
    9VAC5-40-6160. Waste management plans. (Repealed.)
    A. The owner of an affected facility shall prepare a waste  management plan. The waste management plan shall identify both the feasibility  and the approach to separate certain components of solid waste from the health  care waste stream in order to reduce the amount of toxic emissions from  incinerated waste. A waste management plan may include, but is not limited to,  elements such as paper, cardboard, plastics, glass, battery, or metal  recycling; or purchasing recycled or recyclable products. A waste management  plan may include different goals or approaches for different areas or  departments of the facility and need not include new waste management goals for  every waste stream. It should identify, where possible, reasonably available  additional waste management measures, taking into account the effectiveness of  waste management measures already in place, the costs of additional measures,  the emission reductions expected to be achieved, and any other environmental or  energy impacts they might have. The American Hospital Association publication  entitled "An Ounce of Prevention: Waste Reduction Strategies for Health  Care Facilities" (see 9VAC5-20-21) shall be considered in the development  of the waste management plan. 
    B. The waste management plan shall be submitted to the  board no later than 60 days after the initial emissions test as required under  9VAC5-40-6180. 
    9VAC5-40-6170. Inspections. (Repealed.)
    A. The owner shall conduct an initial equipment inspection  of each affected small, rural HMIWI by July 1, 2001. At a minimum, each  inspection shall include the following: 
    1. Inspect all burners, pilot assemblies, and pilot sensing  devices for proper operation; clean pilot flame sensor, as necessary; 
    2. Ensure proper adjustment of primary and secondary  chamber combustion air, and adjust as necessary; 
    3. Inspect hinges and door latches, and lubricate as  necessary; 
    4. Inspect dampers, fans, and blowers for proper operation;  
    5. Inspect HMIWI door and door gaskets for proper sealing; 
    6. Inspect motors for proper operation; 
    7. Inspect primary chamber refractory lining; clean and  repair or replace lining as necessary; 
    8. Inspect incinerator shell for corrosion and hot spots; 
    9. Inspect secondary and tertiary chambers and stack, clean  as necessary; 
    10. Inspect mechanical loader, including limit switches,  for proper operation, if applicable; 
    11. Visually inspect waste bed (grates), and repair or  seal, as appropriate; 
    12. For the burn cycle that follows the inspection,  document that the incinerator is operating properly and make any necessary  adjustments; 
    13. Inspect air pollution control device(s) for proper  operation, if applicable; 
    14. Inspect waste heat boiler systems to ensure proper  operation, if applicable; 
    15. Inspect bypass stack components; 
    16. Ensure proper calibration of thermocouples, sorbent  feed systems and any other monitoring equipment; and 
    17. Generally observe that the equipment is maintained in  good operating condition. 
    B. The owner shall conduct an equipment inspection of each  affected small, rural HMIWI annually (no more than 12 months following the  previous annual equipment inspection), as outlined in subsection A of this  section. 
    C. Within 10 operating days following an equipment  inspection all necessary repairs shall be completed unless the owner obtains  written approval from the board establishing a date whereby all necessary  repairs of the affected facility shall be completed. 
    9VAC5-40-6180. Compliance, emissions testing, and  monitoring. (Repealed.) 
    A. The provisions governing compliance, emissions testing,  and monitoring shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-20 (Compliance),  9VAC5-40-30 (Emission testing) and 9VAC5-40-40 (Monitoring) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-20 B, C, D, and E. 
    b. 40 CFR 60.11. 
    c. 9VAC5-40-30 D and G. 
    d. 40 CFR 60.8, with the exception of paragraph (a). 
    e. 9VAC5-40-40 A and F. 
    f. 40 CFR 60.13. 
    g. Subsections B through N of this section. 
    B. The emission limits under this article apply at all  times except during periods of startup, shutdown, or malfunction, provided that  no hospital waste or medical/infectious waste is charged to the affected  facility during startup, shutdown, or malfunction. 
    C. Except as provided in subsection L of this section, the  owner of an affected facility shall conduct an initial emissions test by  December 27, 2001, as required under this section to determine compliance with  the emission limits using the procedures and test methods listed in this  subsection. The use of the bypass stack during an emissions test shall  invalidate the emissions test. 
    1. All emissions tests shall consist of a minimum of three  test runs conducted under representative operating conditions. 
    2. The minimum sample time shall be one hour per test run  unless otherwise indicated. 
    3. Reference Method 1 shall be used to select the sampling  location and number of traverse points. 
    4. Reference Method 3 or 3A shall be used for gas  composition analysis, including measurement of oxygen concentration. Reference Method  3 or 3A shall be used simultaneously with each reference method. 
    5. The pollutant concentrations shall be adjusted to 7.0%  oxygen using the following equation: 
    Cadj = Cmeas (20.9-7)/(20.9-% O2)  
    where: 
    Cadj = pollutant concentration adjusted to 7.0%  oxygen; 
    Cmeas = pollutant concentration measured on a  dry basis; 
    (20.9-7) = 20.9% oxygen-7.0% oxygen (defined oxygen  correction basis); 
    20.9 = oxygen concentration in air, percent; and 
    % O2 = oxygen concentration measured on a dry  basis, percent. 
    6. Reference Method 5 or 29 be used to measure the  particulate matter emissions. 
    7. Reference Method 9 shall be used to measure stack  opacity. 
    8. Reference Method 10 or 10B shall be used to measure the  carbon monoxide emissions. 
    9. Reference Method 23 shall be used to measure total  dioxin/furan emissions. The minimum sample time shall be four hours per test  run. If the affected facility has selected the toxic equivalency limits for  dioxin/furans, under 9VAC5-40-6040, the following procedures shall be used to  determine compliance: 
    a. Measure the concentration of each dioxin/furan  tetra-through octa-congener emitted using Reference Method 23. 
    b. For each dioxin/furan congener measured in accordance  with subdivision 9 a of this subsection, multiply the congener concentration by  its corresponding toxic equivalency factor specified in Table 4-44A of this  article. 
           |   | TABLE 4-44A. TOXIC EQUIVALANCY FACTORS.
 | 
       |   | Dioxon/furan congener
 | Toxic equivalency factor
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzo‑p‑dioxin
 | 1
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzo‑p‑dioxin
 | 0.5
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated    dibenzo‑p‑dioxin
 | 0.01
 | 
       |   | octachlorinated dibenzo‑p‑dioxin
 | 0.001
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,7,8‑pentachlorinated dibenzofuran
 | 0.5
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzofuran
 | 0.05
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | 1,2,3,4,7,8,9‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | Octachlorinated dibenzofuran
 | 0.001
 | 
  
    c. Sum the products calculated in accordance with  subdivision 9 b of this subsection to obtain the total concentration of  dioxins/furans emitted in terms of toxic equivalency. 
    10. Reference Method 26 shall be used to measure hydrogen  chloride emissions. If the affected facility has selected the percentage  reduction limits for hydrogen chloride under 9VAC5-40-6050, the percentage  reduction in hydrogen chloride emissions (% RHCl) is computed using  the following formula: 
    
    where: 
    % RHCl = percentage reduction of hydrogen  chloride emissions achieved; 
    Ei = hydrogen chloride emission concentration  measured at the control device inlet, corrected to 7.0% oxygen (dry basis); and  
    Eo = hydrogen chloride emission concentration  measured at the control device outlet, corrected to 7.0% oxygen (dry basis). 
    11. Reference Method 29 shall be used to measure lead,  cadmium, and mercury emissions. If the affected facility has selected the  percentage reduction limits for metals under 9VAC5-40-6080, 9VAC5-40-6090, or  9VAC5-40-6100, the percentage reduction in emissions (% Rmetal) is  computed using the following formula: 
    
    where: 
    % Rmetal = percentage reduction of metal  emission (lead, cadmium, or mercury) achieved; 
    Ei = metal emission concentration (lead,  cadmium, or mercury) measured at the control device inlet, corrected to 7.0%  oxygen (dry basis); and 
    Eo = metal emission concentration (lead,  cadmium, or mercury) measured at the control device outlet, corrected to 7.0%  oxygen (dry basis). 
    D. Following the date on which the initial emissions test  is completed or is required to be completed under this section, whichever date  comes first, the owner of an affected facility shall: 
    1. Determine compliance with the opacity limit by  conducting an annual emissions test (no more than 12 months following the  previous emissions test) using the applicable procedures and test methods  listed in subsection C of this section. 
    2. Determine compliance with the particulate matter, carbon  monoxide, and hydrogen chloride emission limits by conducting an annual  emissions test (no more than 12 months following the previous emissions test)  using the applicable procedures and test methods listed in subsection C of this  section. If all three emissions tests over a three-year period indicate  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for the subsequent two years. At a minimum, an emissions test  for particulate matter, carbon monoxide, and hydrogen chloride shall be  conducted every third year (no more than 36 months following the previous  emissions test). If an emissions test conducted every third year indicates  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for an additional two years. If any emissions test indicates  noncompliance with the respective emission limit, an emissions test for that  pollutant shall be conducted annually until all annual emissions tests over a  three-year period indicate compliance with the emission limit. The use of the  bypass stack during an emissions test shall invalidate the emissions test. 
    3. Facilities using a continuous emission monitoring system  to demonstrate compliance with any of the emission limits under 9VAC5-40-6020  through 9VAC5-40-6100 shall: 
    a. Determine compliance with the appropriate emission  limit(s) using a 12-hour rolling average, calculated each hour as the average  of the previous 12 operating hours (not including startup, shutdown, or  malfunction). 
    b. Operate all continuous emission monitoring systems in  accordance with the applicable procedures under Appendices B and F of 40 CFR  Part 60. 
    E. The owner of an affected facility equipped with a dry  scrubber followed by a fabric filter, a wet scrubber, or a dry scrubber  followed by a fabric filter and wet scrubber shall: 
    1. Establish the appropriate maximum and minimum operating  parameters, indicated in Table 4-44B of this article for each control system,  as site specific operating parameters during the initial emissions test to  determine compliance with the emission limits; and 
     
         
             | TABLE 4-44 B. OPERATING PARAMETERS TO BE MONITORED AND MINIMUM MEASUREMENT AND RECORDING    FREQUENCIES.
 |  
 | 
       | OPERATING PARAMETERS TO BE MONITORED
 | MINIMUM FREQUENCY
 | CONTROL SYSTEM
 |  
 | 
       | DATA MEASUREMENT
 | DATA RECORDING
 | DRY SCRUBBER/ FABRIC FILTER
 | WET SCRUBBER
 | DRY SCRUBBER/ FABRIC FILTER AND WET SCRUBBER
 |  | 
       |  | 
       |  | 
       | MAXIMUM OPERATING PARAMETERS
 |  
 | 
       | MAXIMUM CHARGE RATE
 | 1 X CHARGE
 | 1 X CHARGE
 | X
 | X
 | X
 |  
 | 
       | MAXIMUM FABRIC FILTER INLET TEMPERATURE
 | CONTINUOUS
 | 1 X MINUTE
 | X
 |  
 | X
 |  
 | 
       | MAXIMUM FLUE GAS TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 |  
 |  
 | 
       | MINIMUM OPERATING PARAMETERS
 |  
 | 
       | MINIMUM SECONDARY CHAMBER TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 | X
 |  
 | 
       | MINIMUM DIOXIN/FURAN SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM HCl SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM Hg SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM PRESSURE DROP ACROSS WET SCRUBBER OR MINIMUM    HORSEPOWER OR AMPERAGE TO WET SCRUBBER
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR FLOW RATE
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR pH
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
  
         
      2. Following the date on which the  initial emissions test is completed or is required to be completed under  subsection B of this section, whichever date comes first, ensure that the  affected facility does not operate above any of the applicable maximum  operating parameters or below any of the applicable minimum operating  parameters listed in Table 4-44B of this article and measured as three-hour  rolling averages (calculated each hour as the average of the previous three  operating hours) at all times except during periods of startup, shutdown and  malfunction. Operating parameter limits do not apply during emissions tests.  Operation above the established maximum or below the established minimum  operating parameters shall constitute a violation of established operating  parameters. 
    F. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum hydrogen chloride sorbent flow rate (each  measured on a three-hour rolling average) simultaneously shall constitute a  violation of the hydrogen chloride emission limit. 
    4. Operation of the affected  facility above the maximum charge rate and below the minimum mercury sorbent  flow rate (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    G. Except as provided in subsection I of this section, for  affected facilities equipped with a wet scrubber: 
    1. Operation of the affected  facility above the maximum charge rate and below the minimum pressure drop  across the wet scrubber or below the minimum horsepower or amperage to the  system (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the particulate matter emission limit. 
    2. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    3. Operation of the affected facility above the maximum  charge rate, below the minimum secondary chamber temperature, and below the  minimum scrubber liquor flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    5. Operation of the affected facility above the maximum  flue gas temperature and above the maximum charge rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    6. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    H. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter  and a wet scrubber: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan emission  limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum mercury sorbent flow rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    I. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection  shall be conducted using the identical operating parameters that indicated a  violation under subsection F, G, or H of this section. 
    J. The owner of an affected facility using an air  pollution control device other than a dry scrubber followed by a fabric filter,  a wet scrubber, or a dry scrubber followed by a fabric filter and a wet  scrubber to comply with the emission limits under 9VAC5-40-6020 through  9VAC5-40-6100 shall petition the board for other site-specific operating  parameters to be established during the initial emissions test and continuously  monitored thereafter. The owner shall not conduct the initial emissions test  until after the petition has been approved by the board. 
    K. The owner of an affected facility may conduct a repeat  emissions test at any time to establish new values for the operating  parameters. The board may request a repeat emissions test at any time. 
    L. Small, rural HMIWIs subject to the emission limits  under 9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following compliance  and emissions testing requirements: 
    1. Conduct the emissions testing requirements in  subdivisions C 1 through 9, C 11 (mercury only), and D 1 of this section. The  2,000 lb/week limitation under 9VAC5-40-6010 does not apply during emissions  tests. 
    2. Establish maximum charge rate and minimum secondary  chamber temperature as site-specific operating parameters during the initial  emissions test to determine compliance with applicable emission limits. 
    3. Following the date on which the initial emissions test  is completed or is required to be completed under subsection C of this section,  whichever date comes first, ensure that the affected facility does not operate  above the maximum charge rate or below the minimum secondary chamber  temperature measured as three-hour rolling averages (calculated each hour as  the average of the previous three operating hours) at all times except during  periods of startup, shutdown and malfunction. Operating parameter limits do not  apply during emissions tests. Operation above the maximum charge rate or below  the minimum secondary chamber temperature shall constitute a violation of the  established operating parameters. 
    4. Except as provided in subdivision C 5 of this section,  operation of the affected facility above the maximum charge rate and below the  minimum secondary chamber temperature (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the particulate matter,  carbon monoxide, and dioxin/furan emission limits. 
    5. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection must  be conducted using the identical operating parameters that indicated a  violation under subdivision 4 of this subsection. 
    M. Owners of affected facilities shall perform monitoring  as follows, except as provided for under subsection N of this section: 
    1. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate devices (or  establish methods) for monitoring the applicable maximum and minimum operating  parameters listed in Table 4-44B of this article such that these devices (or  methods) measure and record values for these operating parameters at the  frequencies indicated in Table 4-44B of this article at all times except during  periods of startup and shutdown. 
    2. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate a device or  method for measuring the use of the bypass stack including date, time, and  duration. 
    3. The owner of an affected facility using something other  than a dry scrubber followed by a fabric filter, a wet scrubber, or a dry  scrubber followed by a fabric filter and a wet scrubber to comply with the  emission limits under 9VAC5-40-6020 through 9VAC5-40-6100 shall install,  calibrate (to the manufacturers' specifications), maintain, and operate the  equipment necessary to monitor the site-specific operating parameters developed  pursuant to subsection J of this section. 
    4. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating days per calendar quarter that the affected facility is combusting  hospital waste and medical/infectious waste or both. 
    N. Small, rural HMIWI subject to the emission limits under  9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following monitoring  requirements: 
    1. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device for measuring and recording the temperature of  the secondary chamber on a continuous basis, the output of which shall be  recorded, at a minimum, once every minute throughout operation. 
    2. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device which automatically measures and records the  date, time, and weight of each charge fed into the HMIWI. 
    3. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating hours per calendar quarter that the affected facility is  combusting hospital waste and medical/infectious waste or both. 
    9VAC5-40-6190. Recordkeeping and reporting. (Repealed.)
    A. The provisions of governing recordkeeping and reporting  shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-50 (Notification,  records and reporting) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-50 F and H. 
    b. 40 CFR 60.7. 
    c. Subsections B through G of this section. 
    B. The owner of an affected facility shall maintain the  following information (as applicable) for a period of at least five years: 
    1. Calendar date of each record; 
    2. Records of the following data: 
    a. Concentrations of any pollutant listed in 9VAC5-40-6020  through 9VAC5-40-6100 or measurements of opacity as determined by the  continuous emission monitoring system (if applicable); 
    b. HMIWI charge dates, times, and weights and hourly charge  rates; 
    c. Fabric filter inlet temperatures during each minute of  operation, as applicable; 
    d. Amount and type of dioxin/furan sorbent used during each  hour of operation, as applicable; 
    e. Amount and type of mercury sorbent used during each hour  of operation, as applicable; 
    f. Amount and type of hydrogen chloride sorbent used during  each hour of operation, as applicable; 
    g. Secondary chamber temperatures recorded during each  minute of operation; 
    h. Liquor flow rate to the wet scrubber inlet during each  minute of operation, as applicable; 
    i. Horsepower or amperage to the wet scrubber during each  minute of operation, as applicable; 
    j. Pressure drop across the wet scrubber system during each  minute of operation, as applicable; 
    k. Temperature at the outlet from the wet scrubber during  each minute of operation, as applicable; 
    l. pH at the inlet to the wet scrubber during each minute of  operation, as applicable; 
    m. Records indicating use of the bypass stack, including  dates, times, and durations; and 
    n. For affected facilities complying with 9VAC5-40-6180 J  and 9VAC5-40-6180 M 3, the owner shall maintain all operating parameter data collected.  
    3. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection have not been obtained, with an identification of the emission rates  or operating parameters not measured, reasons for not obtaining the data, and a  description of corrective actions taken. 
    4. Identification of calendar days, times and durations of  malfunctions, a description of the malfunction and the corrective action taken.  
    5. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection exceeded the applicable limits, with a description of the  exceedances, reasons for such exceedances, and a description of corrective  actions taken. 
    6. The results of the initial, annual, and any subsequent  emissions tests conducted to determine compliance with the emission limits or  to establish operating parameters, as applicable. 
    7. Records showing the names of HMIWI operators who have  completed review of the information in 9VAC5-40-6150 H as required by  9VAC5-40-6150 I, including the date of the initial review and all subsequent  annual reviews. 
    8. Records showing the names of the HMIWI operators who  have completed the HMIWI operator training requirements, including  documentation of training and the dates of the training. 
    9. Records showing the names of the HMIWI operators who  have met the criteria for qualification under 9VAC5-40-6150 and the dates of  their qualification. 
    10. Records of calibration of any monitoring devices as  required under 9VAC5-40-6180 M 1, 2 and 3. 
    C. The owner of an affected facility shall submit the  information specified in this subsection no later than 60 days following the  initial emissions test. All reports shall be signed by the facilities manager. 
    1. The initial emissions test data as recorded under  9VAC5-40-6180 C 1 through 11, as applicable. 
    2. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    3. The waste management plan as specified in 9VAC5-40-6150.  
    D. An annual report shall be submitted one year following  the submission of the information in subsection C of this section and  subsequent reports shall be submitted no more than 12 months following the  previous report (once the unit is subject to a federal operating permit as  provided in 9VAC5-40-6000 F, the owner of an affected facility must submit  these reports semiannually). The annual report shall include the information  specified in this subsection. All reports shall be signed by the facilities  manager. 
    1. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    2. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable, for each operating parameter  recorded for the calendar year being reported, pursuant to 9VAC5-40-6180 E or  J, as applicable. 
    3. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable for each operating parameter  recorded pursuant to 9VAC5-40-6180 E or J for the calendar year preceding the  year being reported, in order to provide the board with a summary of the  performance of the affected facility over a two-year period. 
    4. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year being reported. 
    5. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year preceding the year being reported, in  order to provide the board with a summary of the performance of the affected  facility over a two-year period. 
    6. If an emissions test was conducted during the reporting  period, the results of that test. 
    7. If no exceedances or malfunctions were reported under  subdivisions B 3 through 5 of this section for the calendar year being  reported, a statement that no exceedances occurred during the reporting period.  
    8. Any use of the bypass stack, the duration, reason for  malfunction, and corrective action taken. 
    E. The owner of an affected facility shall submit  semiannual reports containing any information recorded under subdivisions B 3  through 5 of this section no later than 60 days following the reporting period.  The first semiannual reporting period ends six months following the submission  of information in subsection C of this section. Subsequent reports shall be  submitted no later than six calendar months following the previous report. All  reports shall be signed by the facilities manager. 
    F. All records specified under subsection B of this  section shall be maintained onsite in either paper copy or computer-readable  format, unless an alternative format is approved by the board. 
    G. The owner of each small, rural HMIWI shall: 
    1. Maintain records of the annual equipment inspections,  any required maintenance, and any repairs not completed within 10 days of an  inspection or the timeframe established by the board; and 
    2. Submit an annual report containing information recorded  under subdivision 1 of this subsection no later than 60 days following the year  in which data were collected. Subsequent reports shall be sent no later than 12  calendar months following the previous report (once the unit is subject to a  federal operating permit as provided in 9VAC5-40-6000 F, the owner must submit  these reports semiannually). The report shall be signed by the facilities  manager. 
    9VAC5-40-6200. Compliance schedules. (Repealed.)
    A. Except as provided in subsection B of this section,  owners shall: 
    1. Comply with the emission limits in this article as  expeditiously as possible but in no case later than July 1, 2001, and 
    2. Conduct the initial emissions test of the air pollution  control device no later than December 27, 2001. 
    B. Until January 1, 2001, owners of affected facilities  may petition the board for an extension to the compliance date in subsection A  of this section. This petition shall include the following: 
    1. Documentation of the analyses undertaken to support the  need for an extension, including an explanation of why until September 15,  2002, is needed to comply with this article while compliance by July 1, 2001,  is not feasible. The documentation shall also include an evaluation of the  option to transport the waste offsite to a commercial medical waste treatment  and disposal facility on a temporary or permanent basis; and 
    2. Documentation of measurable and enforceable incremental  steps of progress to be taken towards compliance with the emission guidelines,  including: 
    a. If applicable, date for submitting a petition for  site-specific operating parameters under 40 CFR 60.56c(i); 
    b. Date for submittal of the control plan; 
    c. Date for obtaining services of an architectural and  engineering firm regarding the air pollution control device(s); 
    d. Date for obtaining design drawings of the air pollution  control device(s); 
    e. Date for ordering the air pollution control device(s); 
    f. Date for obtaining the major components of the air  pollution control device(s); 
    g. Date for initiation of site preparation for installation  of the air pollution control device(s); 
    h. Date for initiation of installation of the air pollution  control device(s); 
    i. Date for initial startup of the air pollution control  device(s); 
    j. Date for initial emissions test(s) of the air pollution  control device(s); and 
    k. Date for final compliance. 
    9VAC5-40-6210. Registration. (Repealed.)
    The provisions of 9VAC5-20-160 (Registration) apply. 
    9VAC5-40-6220. Facility and control equipment maintenance or  malfunction. (Repealed.)
    The provisions governing facility and control equipment  maintenance or malfunction shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-20-180 (Facility and  control equipment maintenance or malfunction) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-20-180 A, B, C, D, H, and I. 
    b. 9VAC5-40-6180 B. 
    c. 9VAC5-40-6190 B 4, 7 and 8. 
    9VAC5-40-6230. Permits. (Repealed.)
    A permit may be required prior to beginning any of the  activities specified below if the provisions of 9VAC5 Chapter 50 (9VAC5-50-10  et seq.) and 9VAC5 Chapter 80 (9VAC5-80-10 et seq.) apply. Owners contemplating  such action should review those provisions and contact the appropriate regional  office for guidance on whether those provisions apply. 
    1. Construction of a facility. 
    2. Reconstruction (replacement of more than half) of a  facility. 
    3. Modification (any physical change to equipment) of a  facility. 
    4. Relocation of a facility. 
    5. Reactivation (restart-up) of a facility. 
    6. Operation of a facility. 
    VA.R. Doc. No. R12-3018; Filed July 23, 2012, 10:15 a.m. 
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Fast-Track Regulation
    Titles of Regulations: 9VAC5-10. General Definitions  (Rev. J11) (amending 9VAC5-10-20).
    9VAC5-20. General Provisions (Rev. J11) (repealing 9VAC5-20-202).
    9VAC5-40. Existing Stationary Sources (Rev. J11) (repealing 9VAC5-40-6000 through 9VAC5-40-6230).  
    Statutory Authority: § 10.1-1308 of the Code of  Virginia; federal Clean Air Act (§§ 110, 111, 123, 129, 171, 172, and  182); 40 CFR Parts 51 and 60.
    Public Hearing Information: No public hearings are  scheduled.
    Public Comment Deadline: September 12, 2012.
    Effective Date: September 27, 2012. 
    Agency Contact: Mary E. Major, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4423, FAX (804) 698-4510, or email  mary.major@deq.virginia.gov.
    Basis: Section 10.1-1308 of the Virginia Air Pollution  Control Law (Chapter 13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of  Virginia) authorizes the State Air Pollution Control Board to promulgate  regulations abating, controlling, and prohibiting air pollution in order to  protect public health and welfare. 
    The original purpose of the regulation was to establish emission  standards that required the owners of HMIWIs to limit emissions of organics,  metals, and acid gases to a specified level necessary to protect public health  and welfare. The regulation was promulgated in order for the Commonwealth to  meet the requirements of § 111(d) and 129 of the federal Clean Air Act.
    Hospital/Medical/Infectious Waste Incinerators (HMIWI)  emissions are a "designated" pollutant under § 111(d) of the  Act. Designated pollutants are pollutants that are not 108(a)  "criteria" pollutants or § 112(b)(1)(A) "hazardous"  pollutants, but for which standards of performance for new sources have been  established under § 111(b), new source performance standards (NSPSs). When  the EPA establishes an NSPS, states are required to develop standards for existing  facilities based on EPA emission guidelines. In conjunction of § 111(d),  § 129 and its associated standards were promulgated because EPA determined  that incinerator emissions cause or contribute significantly to air pollution,  which may reasonably be expected to endanger public health and welfare. The  intended effect of the standards and guidelines is to form a basis for state  action to develop state regulations controlling HMIWI emissions to the level  achievable by the best demonstrated system of continuous emission reduction,  considering costs, nonair quality health and environmental impacts, and energy  requirements. In order for §§ 111 and 129 to be effected, the specific  guidelines are promulgated in the Code of Federal Regulations (CFR) at Subpart  Ce of 40 CFR 63. State regulations must be at least as stringent as the  guidelines.
    The final rule (Subpart Ec of 40 CFR Part 60) was published by  EPA in the Federal Register dated September 15, 1997 (62 FR 48348) and applies  to existing HMIWIs built on or before June 20, 1996.
    Purpose: The Commonwealth of Virginia HMIWI plan and  related state rule were approved by EPA in the September 10, 2004, edition of  the Federal Register (69 FR 54756) and codified in 40 CFR Part 62, Subpart VV.  Since that time, all three designated incinerator facilities in the plan  inventory subject to the state rule have been dismantled. On October 6, 2009,  EPA promulgated revised HMIWI emission guidelines under 40 CFR Part 60, Subpart  Ce, that triggered the need for revised state plan submittals. As a result, on  September 13, 2010, the Department of Environmental Quality (DEQ) submitted a  negative declaration regarding HMIWI sources within the state and requested  EPA's approval of a SIP withdrawal request. In the December 17, 2010, edition  of the Federal Register (75 FR 78917), EPA published Approval and Promulgation  of State Air Quality Plans for Designated Facilities and Pollutants,  Commonwealth of Virginia; Control of Emissions from Existing  Hospital/Medical/Infectious Waste Incinerator (HMIWI) Units, Negative  Declaration and Withdrawal of EPA Plan Approval. Subpart VV § 62.11625 was  modified to reflect a negative declaration and became effective February 15,  2011. Because there are no sources in the state to control, and because there  are no longer HMIWI components in the federal rule for Virginia, there is no  longer a need for the corresponding Virginia regulation. The definition of the  term "metropolitan statistical area" in 9VAC5-10-20 and the listing  of such areas in 9VAC5-20-202 should also be repealed as the term is only used  in Article 44 and in no other regulation of the board. 
    Rationale for Using Fast-Track Process: Virginia  requested a finding of negative declaration for HMIWI on September 13, 2010, as  all designated incinerator facilities in the plan inventory subject to Article  44 had been dismantled. On December 17, 2010, EPA approved the negative  declaration and modified the Code of Federal Regulations accordingly. Subpart  VV § 62.11625 was modified to reflect a negative declaration and became  effective on February 15, 2011. Because there are no sources subject to the  regulation and no HMIWI components in the federal rule for Virginia, there is  no longer a need for the corresponding Virginia regulation or for the use of  the term "metropolitan statistical area" in 9VAC5-10-20 and  9VAC5-20-202. There is no stakeholder group that is likely to object to the  repeal of the regulation. The use of the fast-track rulemaking process is,  therefore, appropriate. 
    Substance: Article 44 is repealed in its entirety.  9VAC5-10 and 9VAC5-20 are revised to remove provisions concerning metropolitan  statistical areas, which are used only in Article 44.
    Issues: The primary advantage to the public is the  removal of unusable regulatory requirements. There are no disadvantages to the  public. The primary advantage to the department is the removal of regulations  that are no longer necessary. There are no disadvantages to the department.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. Since the  initial adoption of the regulation on Hospital/Medical/Infectious Waste  Incinerators (HMIWI) (9VAC5-40-6000 et seq.), all three designated incinerator  facilities in the Commonwealth have been dismantled. In 2009, the U.S.  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative declaration  was submitted to EPA and approved in 2010. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, there is no longer a need for the corresponding  Virginia regulation. Thus, the State Air Pollution Control Board (Board)  proposes to repeal the Commonwealth's HMIWI regulations (9VAC5-40-6000 et  seq.). The Board also proposes to repeal the definition of the term  "metropolitan statistical area" in 9VAC5-10-20 and the listing of  such areas in 9VAC5-20-202 since the term is only used in the HMIWI regulation  and no other regulation of the board.
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. Since there are no sources in the  state to control, and because there are no longer HMIWI components in the  federal rule for Virginia, the proposed repeal of this regulation will not  affect any individual, business or other entity beyond potentially reducing  confusion amongst the public. 
    Businesses and Entities Affected. Since the facilities that  were subject to this regulation have been dismantled, there are no stakeholders  that will be affected by the repeal of this regulation.
    Localities Particularly Affected. The proposed repeal of this  regulation does not have a disproportionate effect on any particular  localities. 
    Projected Impact on Employment. The proposed repeal of this  regulation will not affect employment.
    Effects on the Use and Value of Private Property. The proposed  repeal of this regulation will not affect the use and value of private  property. 
    Small Businesses: Costs and Other Effects. The proposed repeal  of this regulation will not affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed repeal of this regulation will not affect small  businesses.
    Real Estate Development Costs. The proposed repeal of this  regulation will not affect real estate development costs.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  14 (10). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to Economic Impact Analysis: The State  Air Pollution Control Board of has reviewed the economic impact analysis  prepared by the Department of Planning and Budget and has no comment.
    Summary:
    Since the initial adoption of Article 44,  Hospital/Medical/Infectious Waste Incinerators (HMIWI) (9VAC5-40-6000 et seq.),  all three designated incinerator facilities have been dismantled. In 2009, the  Environmental Protection Agency (EPA) promulgated revised HMIWI emission  guidelines that triggered the need for revised regulations and new state plan  submittals. With no facilities in operation in the Commonwealth, a negative  declaration was submitted to EPA and approved in 2010. Because there are no  sources in the state to control, and because there are no longer HMIWI components  in the federal rule for Virginia, there is no longer a need for the  corresponding Virginia regulation. The definition of the term metropolitan  statistical area in 9VAC5-10-20 and the listing of such areas in 9VAC5-20-202  are also repealed as the term is only used in Article 44 and no other  regulation of the board.
    9VAC5-10-20. Terms defined.
    "Actual emissions rate" means the actual rate of  emissions of a pollutant from an emissions unit. In general actual emissions  shall equal the average rate, in tons per year, at which the unit actually  emitted the pollutant during the most recent two-year period or some other  two-year period which is representative of normal source operation. If the  board determines that no two-year period is representative of normal source  operation, the board shall allow the use of an alternative period of time upon  a determination by the board that it is more representative of normal source  operation. Actual emissions shall be calculated using the unit's actual  operating hours, production rates, and types of materials processed, stored, or  combusted during the selected time period.
    "Administrator" means the administrator of the U.S.  Environmental Protection Agency (EPA) or his authorized representative.
    "Affected facility" means, with reference to a  stationary source, any part, equipment, facility, installation, apparatus,  process or operation to which an emission standard is applicable or any other  facility so designated. The term "affected facility" includes any  affected source as defined in 40 CFR 63.2.
    "Air pollution" means the presence in the outdoor  atmosphere of one or more substances which are or may be harmful or injurious  to human health, welfare or safety; to animal or plant life; or to property; or  which unreasonably interfere with the enjoyment by the people of life or  property.
    "Air quality" means the specific measurement in the  ambient air of a particular air pollutant at any given time.
    "Air quality control region" means any area  designated as such in 9VAC5-20-200.
    "Alternative method" means any method of sampling  and analyzing for an air pollutant which is not a reference or equivalent  method, but which has been demonstrated to the satisfaction of the board, in  specific cases, to produce results adequate for its determination of  compliance.
    "Ambient air" means that portion of the atmosphere,  external to buildings, to which the general public has access.
    "Ambient air quality standard" means any primary or  secondary standard designated as such in 9VAC5-30 (Ambient Air Quality  Standards).
    "Board" means the State Air Pollution Control Board  or its designated representative.
    "Class I area" means any prevention of significant  deterioration area (i) in which virtually any deterioration of existing air  quality is considered significant and (ii) designated as such in 9VAC5-20-205.
    "Class II area" means any prevention of significant  deterioration area (i) in which any deterioration of existing air quality  beyond that normally accompanying well-controlled growth is considered  significant and (ii) designated as such in 9VAC5-20-205.
    "Class III area" means any prevention of  significant deterioration area (i) in which deterioration of existing air  quality to the levels of the ambient air quality standards is permitted and  (ii) designated as such in 9VAC5-20-205.
    "Continuous monitoring system" means the total  equipment used to sample and condition (if applicable), to analyze, and to  provide a permanent continuous record of emissions or process parameters.
    "Control program" means a plan formulated by the  owner of a stationary source to establish pollution abatement goals, including  a compliance schedule to achieve such goals. The plan may be submitted  voluntarily, or upon request or by order of the board, to ensure compliance by  the owner with standards, policies and regulations adopted by the board. The  plan shall include system and equipment information and operating performance  projections as required by the board for evaluating the probability of  achievement. A control program shall contain the following increments of  progress:
    1. The date by which contracts for emission control system or  process modifications are to be awarded, or the date by which orders are to be  issued for the purchase of component parts to accomplish emission control or  process modification.
    2. The date by which the on-site construction or installation  of emission control equipment or process change is to be initiated.
    3. The date by which the on-site construction or installation  of emission control equipment or process modification is to be completed.
    4. The date by which final compliance is to be achieved.
    "Criteria pollutant" means any pollutant for which  an ambient air quality standard is established under 9VAC5-30 (Ambient Air  Quality Standards).
    "Day" means a 24-hour period beginning at midnight.
    "Delayed compliance order" means any order of the  board issued after an appropriate hearing to an owner which postpones the date  by which a stationary source is required to comply with any requirement  contained in the applicable implementation plan.
    "Department" means any employee or other  representative of the Virginia Department of Environmental Quality, as  designated by the director.
    "Director" or "executive director" means  the director of the Virginia Department of Environmental Quality or a  designated representative.
    "Dispersion technique"
    1. Means any technique which attempts to affect the  concentration of a pollutant in the ambient air by:
    a. Using that portion of a stack which exceeds good  engineering practice stack height;
    b. Varying the rate of emission of a pollutant according to  atmospheric conditions or ambient concentrations of that pollutant; or
    c. Increasing final exhaust gas plume rise by manipulating  source process parameters, exhaust gas parameters, stack parameters, or  combining exhaust gases from several existing stacks into one stack; or other  selective handling of exhaust gas streams so as to increase the exhaust gas  plume rise.
    2. The preceding sentence does not include:
    a. The reheating of a gas stream, following use of a pollution  control system, for the purpose of returning the gas to the temperature at  which it was originally discharged from the facility generating the gas stream;
    b. The merging of exhaust gas streams where:
    (1) The owner demonstrates that the facility was originally  designed and constructed with such merged gas streams;
    (2) After July 8, 1985, such merging is part of a change in  operation at the facility that includes the installation of pollution controls  and is accompanied by a net reduction in the allowable emissions of a  pollutant. This exclusion from the definition of "dispersion  techniques" shall apply only to the emissions limitation for the pollutant  affected by such change in operation; or
    (3) Before July 8, 1985, such merging was part of a change in  operation at the facility that included the installation of emissions control  equipment or was carried out for sound economic or engineering reasons. Where  there was an increase in the emissions limitation or, in the event that no  emissions limitation was in existence prior to the merging, an increase in the  quantity of pollutants actually emitted prior to the merging, the board shall  presume that merging was significantly motivated by an intent to gain emissions  credit for greater dispersion. Absent a demonstration by the owner that merging  was not significantly motivated by such intent, the board shall deny credit for  the effects of such merging in calculating the allowable emissions for the  source;
    c. Smoke management in agricultural or silvicultural  prescribed burning programs;
    d. Episodic restrictions on residential woodburning and open  burning; or
    e. Techniques under subdivision 1 c of this definition which  increase final exhaust gas plume rise where the resulting allowable emissions  of sulfur dioxide from the facility do not exceed 5,000 tons per year.
    "Emergency" means a situation that immediately and  unreasonably affects, or has the potential to immediately and unreasonably  affect, public health, safety or welfare; the health of animal or plant life;  or property, whether used for recreational, commercial, industrial,  agricultural or other reasonable use.
    "Emissions limitation" means any requirement  established by the board which limits the quantity, rate, or concentration of  continuous emissions of air pollutants, including any requirements which limit  the level of opacity, prescribe equipment, set fuel specifications, or  prescribe operation or maintenance procedures to assure continuous emission  reduction.
    "Emission standard" means any provision of 9VAC5-40  (Existing Stationary Sources), 9VAC5-50 (New and Modified Stationary Sources),  or 9VAC5-60 (Hazardous Air Pollutant Sources) that prescribes an emissions  limitation, or other requirements that control air pollution emissions.
    "Emissions unit" means any part of a stationary  source which emits or would have the potential to emit any air pollutant. 
    "Equivalent method" means any method of sampling  and analyzing for an air pollutant which has been demonstrated to the  satisfaction of the board to have a consistent and quantitative relationship to  the reference method under specified conditions. 
    "EPA" means the U.S. Environmental Protection  Agency or an authorized representative. 
    "Excess emissions" means emissions of air pollutant  in excess of an emission standard. 
    "Excessive concentration" is defined for the  purpose of determining good engineering practice (GEP) stack height under  subdivision 3 of the GEP definition and means: 
    1. For sources seeking credit for stack height exceeding that  established under subdivision 2 of the GEP definition, a maximum ground-level  concentration due to emissions from a stack due in whole or part to downwash,  wakes, and eddy effects produced by nearby structures or nearby terrain  features which individually is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy effects  and which contributes to a total concentration due to emissions from all  sources that is greater than an ambient air quality standard. For sources  subject to the provisions of Article 8 (9VAC5-80-1605 et seq.) of Part II of  9VAC5-80 (Permits for Stationary Sources), an excessive concentration  alternatively means a maximum ground-level concentration due to emissions from  a stack due in whole or part to downwash, wakes, or eddy effects produced by  nearby structures or nearby terrain features which individually is at least 40%  in excess of the maximum concentration experienced in the absence of the  maximum concentration experienced in the absence of such downwash, wakes, or  eddy effects and greater than a prevention of significant deterioration increment.  The allowable emission rate to be used in making demonstrations under this  provision shall be prescribed by the new source performance standard that is  applicable to the source category unless the owner demonstrates that this  emission rate is infeasible. Where such demonstrations are approved by the  board, an alternative emission rate shall be established in consultation with  the owner; 
    2. For sources seeking credit after October 11, 1983, for  increases in existing stack heights up to the heights established under  subdivision 2 of the GEP definition, either (i) a maximum ground-level  concentration due in whole or part to downwash, wakes or eddy effects as  provided in subdivision 1 of this definition, except that the emission rate  specified by any applicable implementation plan (or, in the absence of such a  limit, the actual emission rate) shall be used, or (ii) the actual presence of  a local nuisance caused by the existing stack, as determined by the board; and 
    3. For sources seeking credit after January 12, 1979, for a  stack height determined under subdivision 2 of the GEP definition where the  board requires the use of a field study or fluid model to verify GEP stack  height, for sources seeking stack height credit after November 9, 1984, based  on the aerodynamic influence of cooling towers, and for sources seeking stack  height credit after December 31, 1970, based on the aerodynamic influence of  structures not adequately represented by the equations in subdivision 2 of the  GEP definition, a maximum ground-level concentration due in whole or part to  downwash, wakes or eddy effects that is at least 40% in excess of the maximum  concentration experienced in the absence of such downwash, wakes, or eddy  effects. 
    "Existing source" means any stationary source other  than a new source or modified source. 
    "Facility" means something that is built, installed  or established to serve a particular purpose; includes, but is not limited to,  buildings, installations, public works, businesses, commercial and industrial  plants, shops and stores, heating and power plants, apparatus, processes,  operations, structures, and equipment of all types. 
    "Federal Clean Air Act" means Chapter 85  (§ 7401 et seq.) of Title 42 of the United States Code.
    "Federally enforceable" means all limitations and  conditions which are enforceable by the administrator and citizens under the  federal Clean Air Act or that are enforceable under other statutes administered  by the administrator. Federally enforceable limitations and conditions include,  but are not limited to, the following: 
    1. Emission standards, alternative emission standards,  alternative emissions limitations, and equivalent emissions limitations  established pursuant to § 112 of the federal Clean Air Act as amended in  1990.
    2. New source performance standards established pursuant to  § 111 of the federal Clean Air Act, and emission standards established  pursuant to § 112 of the federal Clean Air Act before it was amended in  1990.
    3. All terms and conditions in a federal operating permit,  including any provisions that limit a source's potential to emit, unless  expressly designated as not federally enforceable.
    4. Limitations and conditions that are part of an  implementation plan.
    5. Limitations and conditions that are part of a section  111(d) or section 111(d)/129 plan.
    6. Limitations and conditions that are part of a federal  construction permit issued under 40 CFR 52.21 or any construction permit issued  under regulations approved by EPA in accordance with 40 CFR Part 51.
    7. Limitations and conditions that are part of an operating  permit issued pursuant to a program approved by EPA into an implementation plan  as meeting EPA's minimum criteria for federal enforceability, including  adequate notice and opportunity for EPA and public comment prior to issuance of  the final permit and practicable enforceability.
    8. Limitations and conditions in a Virginia regulation or  program that has been approved by EPA under subpart E of 40 CFR Part 63 for the  purposes of implementing and enforcing § 112 of the federal Clean Air Act.
    9. Individual consent agreements issued pursuant to the legal  authority of EPA.
    "Good engineering practice" or "GEP,"  with reference to the height of the stack, means the greater of:
    1. 65 meters, measured from the ground-level elevation at the  base of the stack;
    2. a. For stacks in existence on January 12, 1979, and for  which the owner had obtained all applicable permits or approvals required under  9VAC5-80 (Permits for Stationary Sources),
    Hg = 2.5H, 
    provided the owner produces evidence that this equation was  actually relied on in establishing an emissions limitation; 
    b. For all other stacks, 
    Hg = H + 1.5L, 
    where: 
    Hg = good engineering practice stack height, measured from the  ground-level elevation at the base of the stack, 
    H = height of nearby structure(s) measured from the  ground-level elevation at the base of the stack, 
    L = lesser dimension, height or projected width, of nearby  structure(s) provided that the board may require the use of a field study or  fluid model to verify GEP stack height for the source; or 
    3. The height demonstrated by a fluid model or a field study  approved by the board, which ensures that the emissions from a stack do not  result in excessive concentrations of any air pollutant as a result of atmospheric  downwash, wakes, or eddy effects created by the source itself, nearby  structures or nearby terrain features. 
    "Hazardous air pollutant" means an air pollutant to  which no ambient air quality standard is applicable and which in the judgment  of the administrator causes, or contributes to, air pollution which may  reasonably be anticipated to result in an increase in mortality or an increase  in serious irreversible, or incapacitating reversible, illness. 
    "Implementation plan" means the portion or portions  of the state implementation plan, or the most recent revision thereof, which  has been approved under § 110 of the federal Clean Air Act, or promulgated  under § 110(c) of the federal Clean Air Act, or promulgated or approved  pursuant to regulations promulgated under § 301(d) of the federal Clean  Air Act and which implements the relevant requirements of the federal Clean Air  Act. 
    "Initial emission test" means the test required by  any regulation, permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources),  control program, compliance schedule or other enforceable mechanism for  determining compliance with new or more stringent emission standards or permit  limitations or other emissions limitations requiring the installation or  modification of air pollution control equipment or implementation of a control  method. Initial emission tests shall be conducted in accordance with  9VAC5-40-30.
    "Initial performance test" means the test required  by (i) 40 CFR Part 60 for determining compliance with standards of performance,  or (ii) a permit issued pursuant to 9VAC5-80 (Permits for Stationary Sources)  for determining initial compliance with permit limitations. Initial performance  tests shall be conducted in accordance with 9VAC5-50-30 and 9VAC5-60-30.
    "Isokinetic sampling" means sampling in which the  linear velocity of the gas entering the sampling nozzle is equal to that of the  undisturbed gas stream at the sample point. 
    "Locality" means a city, town, county or other  public body created by or pursuant to state law. 
    "Maintenance area" means any geographic region of  the United States previously designated as a nonattainment area and  subsequently redesignated to attainment subject to the requirement to develop a  maintenance plan and designated as such in 9VAC5-20-203. 
    "Malfunction" means any sudden failure of air  pollution control equipment, of process equipment, or of a process to operate  in a normal or usual manner, which failure is not due to intentional misconduct  or negligent conduct on the part of the owner or other person. Failures that  are caused in part by poor maintenance or careless operation are not  malfunctions. 
    "Metropolitan statistical area" means any area  designated as such in 9VAC5-20-202. 
    "Monitoring device" means the total equipment used  to measure and record (if applicable) process parameters. 
    "Nearby" as used in the definition of good  engineering practice (GEP) is defined for a specific structure or terrain  feature and: 
    1. For purposes of applying the formulae provided in  subdivision 2 of the GEP definition means that distance up to five times the  lesser of the height or the width dimension of a structure, but not greater  than 0.8 km (1/2 mile); and 
    2. For conducting demonstrations under subdivision 3 of the  GEP definition means not greater than 0.8 km (1/2 mile), except that the  portion of a terrain feature may be considered to be nearby which falls within  a distance of up to 10 times the maximum height (Ht) of the feature, not to  exceed two miles if such feature achieves a height (Ht) 0.8 km from the stack  that is at least 40% of the GEP stack height determined by the formulae  provided in subdivision 2 b of the GEP definition or 26 meters, whichever is  greater, as measured from the ground-level elevation at the base of the stack.  The height of the structure or terrain feature is measured from the  ground-level elevation at the base of the stack. 
    "Nitrogen oxides" means all oxides of nitrogen  except nitrous oxide, as measured by test methods set forth in 40 CFR Part 60. 
    "Nonattainment area" means any area which is shown  by air quality monitoring data or, where such data are not available, which is  calculated by air quality modeling (or other methods determined by the board to  be reliable) to exceed the levels allowed by the ambient air quality standard  for a given pollutant including, but not limited to, areas designated as such  in 9VAC5-20-204. 
    "One hour" means any period of 60 consecutive  minutes. 
    "One-hour period" means any period of 60  consecutive minutes commencing on the hour. 
    "Organic compound" means any chemical compound of  carbon excluding carbon monoxide, carbon dioxide, carbonic disulfide, carbonic  acid, metallic carbides, metallic carbonates and ammonium carbonate. 
    "Owner" means any person, including bodies politic  and corporate, associations, partnerships, personal representatives, trustees  and committees, as well as individuals, who owns, leases, operates, controls or  supervises a source. 
    "Particulate matter" means any airborne finely  divided solid or liquid material with an aerodynamic diameter smaller than 100  micrometers. 
    "Particulate matter emissions" means all finely  divided solid or liquid material, other than uncombined water, emitted to the  ambient air as measured by the applicable reference method, or an equivalent or  alternative method.
    "PM10" means particulate matter with an  aerodynamic diameter less than or equal to a nominal 10 micrometers as measured  by the applicable reference method or an equivalent method.
    "PM10 emissions" means finely divided  solid or liquid material, with an aerodynamic diameter less than or equal to a  nominal 10 micrometers emitted to the ambient air as measured by the applicable  reference method, or an equivalent or alternative method.
    "Performance test" means a test for determining  emissions from new or modified sources.
    "Person" means an individual, corporation,  partnership, association, a governmental body, a municipal corporation, or any  other legal entity.
    "Pollutant" means any substance the presence of  which in the outdoor atmosphere is or may be harmful or injurious to human  health, welfare or safety, to animal or plant life, or to property, or which  unreasonably interferes with the enjoyment by the people of life or property.
    "Potential to emit" means the maximum capacity of a  stationary source to emit a pollutant under its physical and operational  design. Any physical or operational limitation on the capacity of the source to  emit a pollutant, including air pollution control equipment, and restrictions  on hours of operation or on the type or amount of material combusted, stored,  or processed, shall be treated as part of its design only if the limitation or  its effect on emissions is state and federally enforceable.
    "Prevention of significant deterioration area"  means any area not designated as a nonattainment area in 9VAC5-20-204 for a  particular pollutant and designated as such in 9VAC5-20-205.
    "Proportional sampling" means sampling at a rate  that produces a constant ratio of sampling rate to stack gas flow rate. 
    "Public hearing" means, unless indicated otherwise,  an informal proceeding, similar to that provided for in § 2.2-4007.02 of  the Administrative Process Act, held to afford persons an opportunity to submit  views and data relative to a matter on which a decision of the board is  pending.
    "Reference method" means any method of sampling and  analyzing for an air pollutant as described in the following EPA regulations:
    1. For ambient air quality standards in 9VAC5-30 (Ambient Air  Quality Standards): The applicable appendix of 40 CFR Part 50 or any method  that has been designated as a reference method in accordance with 40 CFR Part  53, except that it does not include a method for which a reference designation  has been canceled in accordance with 40 CFR 53.11 or 40 CFR 53.16.
    2. For emission standards in 9VAC5-40 (Existing Stationary  Sources) and 9VAC5-50 (New and Modified Stationary Sources): Appendix M of 40  CFR Part 51 or Appendix A of 40 CFR Part 60.
    3. For emission standards in 9VAC5-60 (Hazardous Air Pollutant  Sources): Appendix B of 40 CFR Part 61 or Appendix A of 40 CFR Part 63.
    "Regional director" means the regional director of  an administrative region of the Department of Environmental Quality or a  designated representative.
    "Regulation of the board" means any regulation  adopted by the State Air Pollution Control Board under any provision of the  Code of Virginia.
    "Regulations for the Control and Abatement of Air  Pollution" means 9VAC5-10 (General Definitions) through 9VAC5-80 (Permits  for Stationary Sources).
    "Reid vapor pressure" means the absolute vapor  pressure of volatile crude oil and volatile nonviscous petroleum liquids except  liquefied petroleum gases as determined by American Society for Testing and  Materials publication, "Standard Test Method for Vapor Pressure of  Petroleum Products (Reid Method)" (see 9VAC5-20-21).
    "Run" means the net period of time during which an  emission sample is collected. Unless otherwise specified, a run may be either  intermittent or continuous within the limits of good engineering practice.
    "Section 111(d) plan" means the portion or portions  of the plan, or the most recent revision thereof, which has been approved under  40 CFR 60.27(b) in accordance with § 111(d)(1) of the federal Clean Air  Act, or promulgated under 40 CFR 60.27(d) in accordance with § 111 (d)(2)  of the federal Clean Air Act, and which implements the relevant requirements of  the federal Clean Air Act. 
    "Section 111(d)/129 plan" means the portion or  portions of the plan, or the most recent revision thereof, which has been  approved under 40 CFR 60.27(b) in accordance with §§ 111(d)(1) and  129(b)(2) of the federal Clean Air Act, or promulgated under 40 CFR 60.27(d) in  accordance with §§ 111(d)(2) and 129(b)(3) of the federal Clean Air Act,  and which implements the relevant requirements of the federal Clean Air Act. 
    "Shutdown" means the cessation of operation of an  affected facility for any purpose. 
    "Source" means any one or combination of the  following: buildings, structures, facilities, installations, articles,  machines, equipment, landcraft, watercraft, aircraft or other contrivances  which contribute, or may contribute, either directly or indirectly to air  pollution. Any activity by any person that contributes, or may contribute, either  directly or indirectly to air pollution, including, but not limited to, open  burning, generation of fugitive dust or emissions, and cleaning with abrasives  or chemicals. 
    "Stack" means any point in a source designed to  emit solids, liquids or gases into the air, including a pipe or duct, but not  including flares. 
    "Stack in existence" means that the owner had: 
    1. Begun, or caused to begin, a continuous program of physical  on site construction of the stack; or 
    2. Entered into binding agreements or contractual obligations,  which could not be canceled or modified without substantial loss to the owner,  to undertake a program of construction of the stack to be completed in a  reasonable time. 
    "Standard conditions" means a temperature of 20°C  (68°F) and a pressure of 760 mm of Hg (29.92 inches of Hg). 
    "Standard of performance" means any provision of  9VAC5-50 (New and Modified Stationary Sources) which prescribes an emissions  limitation or other requirements that control air pollution emissions. 
    "Startup" means the setting in operation of an  affected facility for any purpose. 
    "State enforceable" means all limitations and  conditions which are enforceable by the board or department, including, but not  limited to, those requirements developed pursuant to 9VAC5-20-110; requirements  within any applicable regulation, order, consent agreement or variance; and any  permit requirements established pursuant to 9VAC5-80 (Permits for Stationary  Sources). 
    "State Implementation Plan" means the plan,  including the most recent revision thereof, which has been approved or  promulgated by the administrator, U.S. Environmental Protection Agency, under  § 110 of the federal Clean Air Act, and which implements the requirements  of § 110.
    "Stationary source" means any building, structure,  facility or installation which emits or may emit any air pollutant. A  stationary source shall include all of the pollutant-emitting activities which  belong to the same industrial grouping, are located on one or more contiguous  or adjacent properties, and are under the control of the same person (or  persons under common control) except the activities of any vessel.  Pollutant-emitting activities shall be considered as part of the same  industrial grouping if they belong to the same "Major Group" (i.e.,  which have the same two-digit code) as described in the Standard Industrial  Classification Manual (see 9VAC5-20-21).
    "These regulations" means 9VAC5-10 (General  Definitions) through 9VAC5-80 (Permits for Stationary Sources).
    "Total suspended particulate (TSP)" means  particulate matter as measured by the reference method described in Appendix B  of 40 CFR Part 50. 
    "True vapor pressure" means the equilibrium partial  pressure exerted by a petroleum liquid as determined in accordance with methods  described in American Petroleum Institute (API) publication, "Evaporative  Loss from External Floating-Roof Tanks" (see 9VAC5-20-21). The API  procedure may not be applicable to some high viscosity or high pour crudes.  Available estimates of true vapor pressure may be used in special cases such as  these. 
    "Urban area" means any area consisting of a core  city with a population of 50,000 or more plus any surrounding localities with a  population density of 80 persons per square mile and designated as such in  9VAC5-20-201. 
    "Vapor pressure," except where specific test  methods are specified, means true vapor pressure, whether measured directly, or  determined from Reid vapor pressure by use of the applicable nomograph in  American Petroleum Institute publication, "Evaporative Loss from  Floating-Roof Tanks" (see 9VAC5-20-21). 
    "Virginia Air Pollution Control Law" means Chapter  13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of Virginia. 
    "Volatile organic compound" means any compound of  carbon, excluding carbon monoxide, carbon dioxide, carbonic acid, metallic  carbides or carbonates, and ammonium carbonate, which participates in  atmospheric photochemical reactions. 
    1. This includes any such organic compounds which have been  determined to have negligible photochemical reactivity other than the  following: 
    a. Methane; 
    b. Ethane; 
    c. Methylene chloride (dichloromethane); 
    d. 1,1,1-trichloroethane (methyl chloroform); 
    e. 1,1,2-trichloro-1,2,2-trifluoroethane (CFC-113); 
    f. Trichlorofluoromethane (CFC-11); 
    g. Dichlorodifluoromethane (CFC-12); 
    h. Chlorodifluoromethane (H CFC-22); 
    i. Trifluoromethane (H FC-23); 
    j. 1,2-dichloro 1,1,2,2,-tetrafluoroethane (CFC-114); 
    k. Chloropentafluoroethane (CFC-115); 
    l. 1,1,1-trifluoro 2,2-dichloroethane (HCFC-123); 
    m. 1,1,1,2-tetrafluoroethane (HFC-134a); 
    n. 1,1-dichloro 1-fluoroethane (HCFC-141b); 
    o. 1-chloro 1,1-difluoroethane (HCFC-142b); 
    p. 2-chloro-1,1,1,2-tetrafluoroethane (HCFC-124); 
    q. Pentafluoroethane (HFC-125); 
    r. 1,1,2,2-tetrafluoroethane (HFC-134); 
    s. 1,1,1-trifluoroethane (HFC-143a); 
    t. 1,1-difluoroethane (HFC-152a); 
    u. Parachlorobenzotrifluoride (PCBTF); 
    v. Cyclic, branched, or linear completely methylated  siloxanes; 
    w. Acetone; 
    x. Perchloroethylene (tetrachloroethylene); 
    y. 3,3-dichloro-1,1,1,2,2-pentafluoropropane (HCFC-225ca); 
    z. 1,3-dichloro-1,1,2,2,3-pentafluoropropane (HCFC-225cb); 
    aa. 1,1,1,2,3,4,4,5,5,5-decafluoropentane (HFC 43-10mee); 
    bb. Difluoromethane (HFC-32); 
    cc. Ethylfluoride (HFC-161); 
    dd. 1,1,1,3,3,3-hexafluoropropane (HFC-236fa); 
    ee. 1,1,2,2,3-pentafluoropropane (HFC-245ca); 
    ff. 1,1,2,3,3-pentafluoropropane (HFC-245ea); 
    gg. 1,1,1,2,3-pentafluoropropane (HFC-245eb); 
    hh. 1,1,1,3,3-pentafluoropropane (HFC-245fa); 
    ii. 1,1,1,2,3,3-hexafluoropropane (HFC-236ea); 
    jj. 1,1,1,3,3-pentafluorobutane (HFC-365mfc); 
    kk. Chlorofluoromethane (HCFC-31); 
    ll. 1 chloro-1-fluoroethane (HCFC-151a); 
    mm. 1,2-dichloro-1,1,2-trifluoroethane (HCFC-123a); 
    nn. 1,1,1,2,2,3,3,4,4-nonafluoro-4-methoxy-butane (C4F9OCH3  or HFE-7100); 
    oo. 2-(difluoromethoxymethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2 OCH3); 
    pp. 1-ethoxy-1,1,2,2,3,3,4,4,4-nonafluorobutane (C4F9  OC2H5 or HFE-7200); 
    qq. 2-(ethoxydifluoromethyl)-1,1,1,2,3,3,3-hepta-fluoropropane  ((CF3)2CFCF2OC2H5); 
    rr. Methyl acetate; ss.  1,1,1,2,2,3,3-heptafluoro-3-methoxy-propane (n-C3F7OCH3)  (HFE-7000); 
    tt.  3-ethoxy-1,1,1,2,3,4,4,5,5,6,6,6-dodecafluoro-2-(trifluoromethyl) hexane  (HFE-7500); 
    uu. 1,1,1,2,3,3,3-heptafluoropropane (HFC 227ea); 
    vv. methyl formate (HCOOCH3); 
    ww. (1)  1,1,1,2,2,3,4,5,5,5-decafluoro-3-methoxy-4-trifluoromethyl-pentane (HFE-7300); 
    xx. propylene carbonate;
    yy. dimethyl carbonate; and
    zz. Perfluorocarbon compounds which fall into these classes: 
    (1) Cyclic, branched, or linear, completely fluorinated  alkanes; 
    (2) Cyclic, branched, or linear, completely fluorinated ethers  with no unsaturations; 
    (3) Cyclic, branched, or linear, completely fluorinated  tertiary amines with no unsaturations; and 
    (4) Sulfur containing perfluorocarbons with no unsaturations  and with sulfur bonds only to carbon and fluorine. 
    2. For purposes of determining compliance with emissions  standards, volatile organic compounds shall be measured by the appropriate  reference method in accordance with the provisions of 9VAC5-40-30 or  9VAC5-50-30, as applicable. Where such a method also measures compounds with  negligible photochemical reactivity, these negligibly reactive compounds may be  excluded as a volatile organic compound if the amount of such compounds is  accurately quantified, and such exclusion is approved by the board. 
    3. As a precondition to excluding these compounds as volatile  organic compounds or at any time thereafter, the board may require an owner to  provide monitoring or testing methods and results demonstrating, to the  satisfaction of the board, the amount of negligibly reactive compounds in the  emissions of the source. 
    4. Exclusion of the above compounds in this definition in  effect exempts such compounds from the provisions of emission standards for  volatile organic compounds. The compounds are exempted on the basis of being so  inactive that they will not contribute significantly to the formation of ozone  in the troposphere. However, this exemption does not extend to other properties  of the exempted compounds which, at some future date, may require regulation  and limitation of their use in accordance with requirements of the federal  Clean Air Act. 
    5. The following compound is a VOC for purposes of all  recordkeeping, emissions reporting, photochemical dispersion modeling and  inventory requirements that apply to VOCs and shall be uniquely identified in  emission reports, but is not a VOC for purposes of VOC emission standards, VOC  emissions limitations, or VOC content requirements: t-butyl acetate. 
    "Welfare" means that language referring to effects  on welfare includes, but is not limited to, effects on soils, water, crops,  vegetation, man-made materials, animals, wildlife, weather, visibility and  climate, damage to and deterioration of property, and hazards to  transportation, as well as effects on economic values and on personal comfort  and well-being. 
    9VAC5-20-202. Metropolitan statistical areas. (Repealed.)
    Metropolitan Statistical Areas are geographically defined as  follows: 
           | TITLE
 | GEOGRAPHICAL AREA
 | 
       | Bristol MSA
 | Bristol CityScott County
 Washington County
 | 
       | Charlottesville MSA
 | Charlottesville CityAlbemarle County
 Fluvanna County
 Greene County
 | 
       | Danville MSA
 | Danville CityPittsylvania County
 | 
       | Lynchburg MSA
 | Bedford CityLynchburg City
 Amherst County
 Bedford County
 Campbell County
 | 
       | Norfolk-Virginia Beach-Newport News MSA
 | Chesapeake CityNorfolk City
 Portsmouth City
 Suffolk City
 Virginia Beach City
 Hampton City
 Newport News City
 Poquoson City
 Williamsburg City
 Gloucester County
 Isle of Wight County
 James City County
 Mathews County
 York County
 | 
       | Richmond-Petersburg MSA
 | Richmond CityColonial Heights City
 Hopewell City
 Petersburg City
 Charles City County
 Chesterfield County
 Goochland County
 Hanover County
 Henrico County
 New Kent County
 Powhatan County
 Prince George County
 Dinwiddie County
 | 
       | Roanoke MSA
 | Roanoke CitySalem City
 Botetourt County
 Roanoke County
 | 
       | National Capital MSA
 | Alexandria CityFairfax City
 Falls Church City
 Fredericksburg City
 Manassas City
 Manassas Park City
 Arlington County
 Clarke County
 Culpeper County
 Fairfax County
 Fauquier County
 King George County
 Loudoun County
 Prince William County
 Spottsylvania County
 Stafford County
 Warren County
 | 
  
    Article 44 
  Emission Standards for Hospital/Medical/Infectious Waste Incinerators (Rule  4-44)
    9VAC5-40-6000. Applicability and designation of affected  facility. (Repealed.)
    A. Except as provided in subsections C and D of this  section, the affected facility to which the provisions of this article apply is  each individual HMIWI for which construction was commenced on or before June  20, 1996. 
    B. The provisions of this article apply throughout the  Commonwealth of Virginia. 
    C. Exempted from the provisions of this article are the  following: 
    1. Combustors during periods when only pathological waste,  low-level radioactive waste, or chemotherapeutic waste is burned, provided the  owner: 
    a. Notifies the board of an exemption claim; and 
    b. Keeps records on a calendar quarter basis of the periods  of time when only pathological waste, low-level radioactive waste, or  chemotherapeutic waste is burned. 
    2. Any co-fired combustor if the owner of the co-fired  combustor: 
    a. Notifies the board of an exemption claim; 
    b. Provides an estimate of the relative weight of hospital  waste, medical/infectious waste, and other fuels and or wastes to be combusted;  and 
    c. Keeps records on a calendar quarter basis of the weight  of hospital waste and medical/infectious waste combusted, and the weight of all  other fuels and wastes combusted at the co-fired combustor. 
    3. Any combustor required to have a permit under § 3005 of  the Solid Waste Disposal Act (42 USC § 6901 et seq.). 
    4. Any combustor which meets the applicability requirements  under subpart Ea or Eb of 40 CFR Part 60 (standards for certain municipal waste  combustors). 
    5. Any pyrolysis unit. 
    6. Cement kilns firing hospital waste and  medical/infectious waste or both. 
    D. The provisions of this article do not apply to affected  facilities subject to the standards in 9VAC5 Chapter 40, Article 54  (9VAC5-40-7950 et seq.). 
    E. Physical or operational changes made to an existing  HMIWI unit solely for the purpose of complying with this article are not  considered a modification and do not result in an existing HMIWI unit becoming  subject to the provisions of subpart Ec of 40 CFR Part 60 (see 40 CFR 60.50c). 
    F. Beginning September 15, 2000, affected facilities  subject to this article shall operate pursuant to a federal operating permit. 
    G. The provisions of 40 CFR Part 60 cited in this article  are applicable only to the extent that they are incorporated by reference in  Article 5 (9VAC5-50-400 et seq.) of Part II of 9VAC5 Chapter 50. 
    H. The requirement of subdivision C 3 of this section with  regard to obtaining a permit under § 3005 of the Solid Waste Disposal Act (42  USC § 6901 et seq.) may be met by obtaining a permit from the department as  required by 9VAC20 Chapter 60. 
    9VAC5-40-6010. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meanings given them in subsection C of  this section. 
    B. As used in this article, all terms not defined here  shall have the meanings given them in 9VAC5 Chapter 10, unless otherwise  required by context. 
    C. Terms defined. 
    "Batch HMIWI" means an HMIWI that is designed  such that neither waste charging nor ash removal can occur during combustion. 
    "Biologicals" means preparations made from  living organisms and their products, including vaccines, cultures, etc.,  intended for use in diagnosing, immunizing, or treating humans or animals or in  research pertaining thereto. 
    "Blood products" means any product derived from  human blood, including but not limited to blood plasma, platelets, red or white  blood corpuscles, and other derived licensed products, such as interferon, etc.  
    "Body fluids" means any liquid emanating or  derived from humans and not limited to blood; dialysate; amniotic,  cerebrospinal, synovial, pleural, peritoneal and pericardial fluids; and semen  and vaginal secretions. 
    "Bypass stack" means a device used for  discharging combustion gases to avoid severe damage to the air pollution  control device or other equipment. 
    "Chemotherapeutic waste" means waste material  resulting from the production or use of antineoplastic agents used for the  purpose of stopping or reversing the growth of malignant cells. 
    "Co-fired combustor" means a unit combusting  hospital waste and medical/infectious waste or both with other fuels or wastes  (e.g., coal, municipal solid waste) and subject to an enforceable requirement  limiting the unit to combusting a fuel feed stream, 10% or less of the weight  of which is comprised, in aggregate, of hospital waste and medical/infectious  waste as measured on a calendar quarter basis. For purposes of this definition,  pathological waste, chemotherapeutic waste, and low-level radioactive waste are  considered "other" wastes when calculating the percentage of hospital  waste and medical/infectious waste combusted. 
    "Combustor" means any type of stationary  equipment in which solid, liquid or gaseous fuels and refuse are burned  (including, but not limited to, furnaces, ovens, and kilns) for the primary  purpose of destroying matter or reducing the volume, or both, of the waste by  removing combustible matter. 
    "Commenced" means an owner has undertaken a  continuous program of construction or modification or that an owner has entered  into a contractual obligation to undertake and complete, within a reasonable  time, a continuous program of construction or modification. 
    "Compliance schedule" means a legally  enforceable schedule specifying a date or dates by which a source must comply  with specific emission limits contained in this article or with any increments  of progress to achieve such compliance. 
    "Construction" means fabrication, erection, or  installation of an affected facility. 
    "Continuous emission monitoring system" means a  monitoring system for continuously measuring and recording the emissions of a  pollutant from an affected facility. 
    "Continuous HMIWI" means an HMIWI that is  designed to allow waste charging and ash removal during combustion. 
    "Dioxins/furans" means the combined emissions of  tetra-through octa-chlorinated dibenzo-para-dioxins and dibenzofurans, as  measured by Reference Method 23. 
    "Dry scrubber" means an add-on air pollution  control system that injects dry alkaline sorbent (dry injection) or sprays an  alkaline sorbent (spray dryer) to react with and neutralize acid gases in the  HMIWI exhaust stream forming a dry powder material. 
    "Fabric filter" means an add-on air pollution  control system that removes particulate matter and nonvaporous metals emissions  by passing flue gas through filter bags. 
    "Facilities manager" means the individual in  charge of purchasing, maintaining, and operating the HMIWI or the owner's  representative responsible for the management of the HMIWI. Alternative titles  may include director of facilities or vice president of support services. 
    "Federal operating permit" means a permit issued  under Article 1 (9VAC5-80-50 et seq.) or Article 3 (9VAC5-80-360 et seq.) of  Part II of 9VAC5 Chapter 80. 
    "High-air phase" means the stage of the batch  operating cycle when the primary chamber reaches and maintains maximum  operating temperatures. 
    "Hospital" means any facility which has an  organized medical staff, maintains at least six inpatient beds, and where the  primary function of the institution is to provide diagnostic and therapeutic  patient services and continuous nursing care primarily to human inpatients who  are not related and who stay on average in excess of 24 hours per admission.  This definition does not include facilities maintained for the sole purpose of  providing nursing or convalescent care to human patients who generally are not  acutely ill but who require continuing medical supervision. 
    "Hospital/medical/infectious waste incinerator"  or "HMIWI" or "HMIWI unit" means any device that combusts  any amount of hospital waste and medical/infectious waste or both. 
    "Hospital/medical/infectious waste incinerator  operator" or "HMIWI operator" means any person who operates,  controls or supervises the day-to-day operation of an HMIWI. 
    "Hospital waste" means discards generated at a  hospital, except unused items returned to the manufacturer. The definition of  hospital waste does not include human corpses, remains, and anatomical parts  that are intended for interment or cremation. 
    "Infectious agent" means any organism (such as a  virus or bacteria) that is capable of being communicated by invasion and  multiplication in body tissues and capable of causing disease or adverse health  impacts in humans. 
    "Intermittent HMIWI" means an HMIWI that is  designed to allow waste charging, but not ash removal, during combustion. 
    "Large HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 500 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day. 
    2. The following are not large HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 500 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is less than or  equal to 4,000 pounds per day. 
    "Low-level radioactive waste" means waste  material which contains radioactive nuclides emitting primarily beta or gamma  radiation, or both, in concentrations or quantities that exceed applicable  federal or state standards for unrestricted release. Low-level radioactive  waste is not high-level radioactive waste, spent nuclear fuel, or by-product material  as defined by the Atomic Energy Act of 1954 (42 USC § 2014(e)(2)). 
    "Malfunction" means any sudden, infrequent, and  not reasonably preventable failure of air pollution control equipment, process  equipment, or a process to operate in a normal or usual manner. Failures that  are caused, in part, by poor maintenance or careless operation are not  malfunctions. During periods of malfunction the HMIWI operator shall operate  within established parameters as much as possible, and monitoring of all  applicable operating parameters shall continue until all waste has been  combusted or until the malfunction ceases, whichever comes first. 
    "Maximum charge rate" means: 
    1. For continuous and intermittent HMIWI, 110% of the  lowest three-hour average charge rate measured during the most recent emissions  test demonstrating compliance with all applicable emission limits. 
    2. For batch HMIWI, 110% of the lowest daily charge rate  measured during the most recent emissions test demonstrating compliance with  all applicable emission limits. 
    "Maximum design waste burning capacity" means: 
    1. For intermittent and continuous HMIWI, 
    C = PV X 15,000/8,500 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    15,000 = primary chamber heat release rate factor, Btu/ft3/hr  
    8,500 = standard waste heating value, Btu/lb; 
    2. For batch HMIWI, 
    C = PV X 4.5/8 
    where: 
    C = HMIWI capacity, lb/hr 
    PV = primary chamber volume, ft3 
    4.5 = waste density, lb/ft3 
    8 = typical hours of operation of a batch HMIWI, hours. 
    "Maximum fabric filter inlet temperature" means  110% of the lowest three-hour average temperature at the inlet to the fabric  filter (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the dioxin/furan emission limit. 
    "Maximum flue gas temperature" means 110% of the  lowest three-hour average temperature at the outlet from the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the mercury emission limit. 
    "Medical/infectious waste" means any waste  generated in the diagnosis, treatment, or immunization of human beings or  animals, in research pertaining thereto, or in the production or testing of  biologicals that is listed in subdivisions 1 through 9 of this definition. The  definition of medical/infectious waste does not include hazardous waste  identified or listed under the regulations in 40 CFR Part 261; household waste,  as defined in 40 CFR 261.4(b)(1); ash from incineration of medical/infectious  waste, once the incineration process has been completed; human corpses,  remains, and anatomical parts that are intended for interment or cremation; and  domestic sewage materials identified in 40 CFR 261.4(a)(1). 
    1. Cultures and stocks of infectious agents and associated  biologicals, including: cultures from medical and pathological laboratories;  cultures and stocks of infectious agents from research and industrial  laboratories; wastes from the production of biologicals; discarded live and  attenuated vaccines; and culture dishes and devices used to transfer,  inoculate, and mix cultures. 
    2. Human pathological waste, including tissues, organs, and  body parts and body fluids that are removed during surgery or autopsy, or other  medical procedures, and specimens of body fluids and their containers. 
    3. Human blood and blood products, regardless of whether  containerized, including: 
    a. Liquid human blood; 
    b. Products of blood; 
    c. Items containing unabsorbed or free-flowing blood; 
    d. Items saturated or dripping or both with human blood; or  
    e. Items that were saturated or dripping or both with human  blood that are now caked with dried human blood; including serum, plasma, and  other blood components, and their containers, which were used or intended for  use in either patient care, testing and laboratory analysis or the development  of pharmaceuticals. Intravenous bags are also included in this category. 
    4. Regardless of the presence of infectious agents, sharps  that have been used in animal or human patient care or treatment or in medical,  research, or industrial laboratories, including hypodermic needles, syringes  (with or without the attached needle), pasteur pipettes, scalpel blades, blood  vials, needles with attached tubing, and culture dishes. Also included are  other types of broken or unbroken glassware that may have been in contact with  infectious agents, such as used slides and cover slips. 
    5. Animal waste including contaminated animal carcasses,  body parts, and bedding of animals that were known to have been exposed to  infectious agents during research (including research in veterinary hospitals),  production of biologicals or testing of pharmaceuticals. 
    6. Isolation wastes including biological waste and  discarded materials contaminated with blood, excretions, exudates, or  secretions from humans who are isolated to protect others from certain highly  communicable diseases, or isolated animals known to be infected with highly  communicable diseases. 
    7. Unused sharps including the following unused, discarded  sharps: hypodermic needles, suture needles, syringes, and scalpel blades. 
    8. Any waste that is contaminated or mixed with any waste  listed in subdivisions 1 through 7 of this definition. 
    9. Any residue or contaminated soil, waste, or other debris  resulting from the cleaning of a spill of any waste listed in subdivisions 1  through 8 of this definition. 
    "Medium HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  more than 200 pounds per hour but less than or equal to 500 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour but less than or equal to 500 pounds per  hour; or 
    c. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day but less than or equal to 4,000 pounds per day. 
    2. The following are not medium HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour or more than 500 pounds per  hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  4,000 pounds per day or less than or equal to 1,600 pounds per day. 
    "Minimum dioxin/furan sorbent flow rate" means  90% of the highest three-hour average dioxin/furan sorbent flow rate (taken, at  a minimum, once every hour) measured during the most recent emissions test  demonstrating compliance with the dioxin/furan emission limit. 
    "Minimum mercury sorbent flow rate" means 90% of  the highest three-hour average mercury sorbent flow rate (taken, at a minimum,  once every hour) measured during the most recent emissions test demonstrating  compliance with the mercury emission limit. 
    "Minimum hydrogen chloride sorbent flow rate"  means 90% of the highest three-hour average hydrogen chloride sorbent flow rate  (taken, at a minimum, once every hour) measured during the most recent  emissions test demonstrating compliance with the hydrogen chloride emission  limit. 
    "Minimum horsepower or amperage" means 90% of  the highest three-hour average horsepower or amperage to the wet scrubber  (taken, at a minimum, once every minute) measured during the most recent  emissions test demonstrating compliance with the applicable emission limits. 
    "Minimum pressure drop across the wet scrubber"  means 90% of the highest three-hour average pressure drop across the wet  scrubber particulate matter control device (taken, at a minimum, once every  minute) measured during the most recent emissions test demonstrating compliance  with the particulate matter emission limit. 
    "Minimum scrubber liquor flow rate" means 90% of  the highest three-hour average liquor flow rate at the inlet to the wet  scrubber (taken, at a minimum, once every minute) measured during the most  recent emissions test demonstrating compliance with all applicable emission  limits. 
    "Minimum scrubber liquor pH" means 90% of the  highest three-hour average liquor pH at the inlet to the wet scrubber (taken,  at a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the hydrogen chloride emission limit. 
    "Minimum secondary chamber temperature" means  90% of the highest three-hour average secondary chamber temperature (taken, at  a minimum, once every minute) measured during the most recent emissions test  demonstrating compliance with the particulate matter, carbon monoxide, or  dioxin/furan emission limits. 
    "Modification" means any change to an HMIWI unit  after March 16, 1998, such that: 
    1. The cumulative costs of the modifications, over the life  of the unit, exceed 50% of the original cost of the construction and  installation of the unit (not including the cost of any land purchased in  connection with such construction or installation) updated to current costs; or  
    2. The change involves a physical change in or change in  the method of operation of the unit which increases the amount of any air  pollutant emitted by the unit for which standards have been established under §  111 or § 129 of the federal Clean Air Act. 
    "Operating day" means a 24-hour period between  12:00 midnight and the following midnight during which any amount of hospital  waste or medical/infectious waste is combusted at any time in the HMIWI. 
    "Operation" means the period during which waste  is combusted in the incinerator excluding periods of startup or shutdown. 
    "Particulate matter" means the total particulate  matter emitted from an HMIWI as measured by Reference Method 5 or Reference  Method 29. 
    "Pathological waste" means waste material  consisting of only human or animal remains, anatomical parts, or tissue, the  bags and containers used to collect and transport the waste material, and  animal bedding (if applicable). 
    "Primary chamber" means the chamber in an HMIWI  that receives waste material, in which the waste is ignited, and from which ash  is removed. 
    "Pyrolysis" means the endothermic gasification  of hospital waste or medical/infectious waste or both using external energy. 
    "Secondary chamber" means a component of the  HMIWI that receives combustion gases from the primary chamber and in which the  combustion process is completed. 
    "Shutdown" means the period of time after all  waste has been combusted in the primary chamber. For continuous HMIWI, shutdown  shall commence no less than two hours after the last charge to the incinerator.  For intermittent HMIWI, shutdown shall commence no less than four hours after  the last charge to the incinerator. For batch HMIWI, shutdown shall commence no  less than five hours after the high-air phase of combustion has been completed.  
    "Small HMIWI" means: 
    1. Except as provided in subdivision 2 of this definition: 
    a. An HMIWI whose maximum design waste burning capacity is  less than or equal to 200 pounds per hour; 
    b. A continuous or intermittent HMIWI whose maximum charge  rate is less than or equal to 200 pounds per hour; or 
    c. A batch HMIWI whose maximum charge rate is less than or  equal to 1,600 pounds per day. 
    2. The following are not small HMIWI: 
    a. A continuous or intermittent HMIWI whose maximum charge  rate is more than 200 pounds per hour; or 
    b. A batch HMIWI whose maximum charge rate is more than  1,600 pounds per day. 
    "Small, rural HMIWI" means any small HMIWI which  is located more than 50 miles from the boundary of the nearest Metropolitan  Statistical Area and which burns less than 2,000 pounds per week of hospital  waste and medical/infectious waste. The 2,000 pounds-per-week limitation does  not apply during emissions tests. 
    "Startup" means the period of time between the  activation of the system and the first charge to the unit. For batch HMIWI,  startup means the period of time between activation of the system and ignition  of the waste. 
    "Wet scrubber" means an add-on air pollution  control device that utilizes an alkaline scrubbing liquor to collect  particulate matter (including nonvaporous metals and condensed organics), and  to absorb and neutralize acid gases, or both. 
    9VAC5-40-6020. Standard for particulate matter. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any particulate emissions in  excess of the following limits: 
    1. For small HMIWI: 0.05 grains per dry standard cubic foot  (115 milligrams per dry standard cubic meter). 
    2. For medium HMIWI: 0.03 grains per dry standard cubic  foot (69 milligrams per dry standard cubic meter). 
    3. For large HMIWI: 0.015 grains per dry standard cubic  foot (34 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 0.086 grains per dry standard  cubic foot (197 milligrams per dry standard cubic meter). 
    9VAC5-40-6030. Standard for carbon monoxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any carbon monoxide emissions in  excess of the following limits: 
    1. For small HMIWI: 40 parts per million by volume. 
    2. For medium HMIWI: 40 parts per million by volume. 
    3. For large HMIWI: 40 parts per million by volume. 
    4. For small, rural HMIWI: 40 parts per million by volume. 
    9VAC5-40-6040. Standard for dioxins/furans. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any dioxin/furan emissions in  excess of the following limits: 
    1. For small HMIWI: 55 grains per dry billion standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    2. For medium HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    3. For large HMIWI: 55 grains per billion dry standard  cubic feet (125 nanograms per dry standard cubic meter) total dioxin/furan or  1.0 grains per billion standard cubic meter total TEQ (2.3 nanograms per dry  standard cubic meter TEQ). 
    4. For small, rural HMIWI: 350 grains per billion dry  standard cubic feet (800 nanograms per dry standard cubic meter) total  dioxin/furan or 6.6 grains per billion standard cubic meter total TEQ (15  nanograms per dry standard cubic meter TEQ). 
    9VAC5-40-6050. Standard for hydrogen chloride. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any hydrogen chloride emissions  in excess of the following limits: 
    1. For small HMIWI: 100 parts per million by volume or 93%  reduction. 
    2. For medium HMIWI: 100 parts per million by volume or 93%  reduction. 
    3. For large HMIWI: 100 parts per million by volume or 93%  reduction. 
    4. For small, rural HMIWI: 3,100 parts per million by  volume. 
    9VAC5-40-6060. Standard for sulfur dioxide. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any sulfur dioxide emissions in  excess of the following limits: 
    1. For small HMIWI: 55 parts per million by volume. 
    2. For medium HMIWI: 55 parts per million by volume. 
    3. For large HMIWI: 55 parts per million by volume. 
    4. For small, rural HMIWI: 55 parts per million by volume.  
    9VAC5-40-6070. Standard for nitrogen oxides. (Repealed.)  
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any nitrogen oxide emissions in  excess of the following limits: 
    1. For small HMIWI: 250 parts per million by volume. 
    2. For medium HMIWI: 250 parts per million by volume. 
    3. For large HMIWI: 250 parts per million by volume. 
    4. For small, rural HMIWI: 250 parts per million by volume.  
    9VAC5-40-6080. Standard for lead. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any lead emissions in excess of  the following limits: 
    1. For small HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    2. For medium HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    3. For large HMIWI: 0.52 grains per thousand dry standard  cubic feet (1.2 milligrams per dry standard cubic meter) or 70% reduction. 
    4. For small, rural HMIWI: 4.4 grains per thousand dry  standard cubic feet (10 milligrams per dry standard cubic meter). 
    9VAC5-40-6090. Standard for cadmium. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any cadmium emissions in excess  of the following limits: 
    1. For small HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    2. For medium HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter) or 65% reduction. 
    3. For large HMIWI: 0.07 grains per thousand dry standard  cubic feet (0.16 milligrams per dry standard cubic meter). 
    4. For small, rural HMIWI: 1.7 grains per thousand dry  standard cubic feet (4 milligrams per dry standard cubic meter). 
    9VAC5-40-6100. Standard for mercury. (Repealed.)
    No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any mercury emissions in excess  of the following limits: 
    1. For small HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    2. For medium HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    3. For large HMIWI: 0.24 grains per thousand dry standard  cubic feet (0.55 milligrams per dry standard cubic meter) or 85% reduction. 
    4. For small, rural HMIWI: 3.3 grains per thousand dry  standard cubic feet (7.5 milligrams per dry standard cubic meter). 
    9VAC5-40-6110. Standard for visible emissions. (Repealed.)
    A. The provisions of Article 1 (9VAC5-40-60 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Visible Emissions) apply except that  the provisions in subsection B of this section apply instead of 9VAC5-40-80. 
    B. No owner or other person shall cause or permit to be  discharged into the atmosphere from any HMIWI any visible emissions which  exhibit greater than 10% opacity, six-minute block average. Failure to meet the  requirements of this section because of the presence of condensed water vapor  shall not be a violation of this section. 
    9VAC5-40-6120. Standard for fugitive dust/emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of 9VAC5  Chapter 40 (Emission Standards for Fugitive Dust/Emissions, Rule 4-1) apply. 
    9VAC5-40-6130. Standard for odor. (Repealed.)
    The provisions of Article 2 (9VAC5-40-130 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Odor, Rule 4-2) apply. 
    9VAC5-40-6140. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 4 (9VAC5-60-200 et seq.) of 9VAC5  Chapter 60 (Emission Standards for Toxic Pollutants, Rule 6-4) apply. 
    9VAC5-40-6150. HMIWI operator training and qualification.  (Repealed.)
    A. No owner of an affected facility shall allow the  affected facility to operate at any time unless a fully trained and qualified  HMIWI operator is accessible, either at the facility or available within one  hour. The trained and qualified HMIWI operator may operate the HMIWI directly  or be the direct supervisor of one or more HMIWI operators. 
    B. HMIWI operator training and qualification shall be  obtained through a program approved by the board or by completing the  requirements included in subsections C through G of this section. 
    C. Training shall be obtained by completing an HMIWI  operator training course that includes, at a minimum, the following provisions:  
    1. Twenty-four hours of training on the following subjects:  
    a. Environmental concerns, including pathogen destruction  and types of emissions; 
    b. Basic combustion principles, including products of  combustion; 
    c. Operation of the type of incinerator to be used by the  HMIWI operator, including proper startup, waste charging, and shutdown  procedures; 
    d. Combustion controls and monitoring; 
    e. Operation of air pollution control equipment and factors  affecting performance (if applicable); 
    f. Methods to monitor pollutants (continuous emission  monitoring systems and monitoring of HMIWI and air pollution control device  operating parameters) and equipment calibration procedures (where applicable); 
    g. Inspection and maintenance of the HMIWI, air pollution  control devices, and continuous emission monitoring systems; 
    h. Actions to correct malfunctions or conditions that may  lead to malfunction; 
    i. Bottom and fly ash characteristics and handling  procedures; 
    j. Applicable federal, state, and local regulations; 
    k. Work safety procedures; 
    l. Pre-startup inspections; and 
    m. Recordkeeping requirements. 
    2. An examination designed and administered by the  instructor. 
    3. Reference material distributed to the attendees covering  the course topics. 
    D. Qualification shall be obtained by: 
    1. Completion of a training course that satisfies the  criteria under subsection C of this section; and 
    2. Either six months experience as an HMIWI operator, six  months experience as a direct supervisor of an HMIWI operator, or completion of  at least two burn cycles under the observation of two qualified HMIWI  operators. 
    E. Qualification is valid from the date on which the  examination is passed or the completion of the required experience, whichever  is later. 
    F. To maintain qualification, the trained and qualified  HMIWI operator shall complete and pass an annual review or refresher course of  at least four hours covering, at a minimum, the following: 
    1. Update of regulations; 
    2. Incinerator operation, including startup and shutdown  procedures; 
    3. Inspection and maintenance; 
    4. Responses to malfunctions or conditions that may lead to  malfunction; and 
    5. Discussion of operating problems encountered by  attendees. 
    G. A lapsed qualification shall be renewed by one of the  following methods: 
    1. For a lapse of less than three years, the HMIWI operator  shall complete and pass a standard annual refresher course described in  subsection F of this section. 
    2. For a lapse of three years or more, the HMIWI operator  shall complete and pass a training course with the minimum criteria described  in subsection C of this section. 
    H. The owner of an affected facility shall maintain  documentation at the facility that address the following: 
    1. Summary of the applicable limits under this article; 
    2. Description of basic combustion theory applicable to an  HMIWI; 
    3. Procedures for receiving, handling, and charging waste; 
    4. HMIWI startup, shutdown, and malfunction procedures; 
    5. Procedures for maintaining proper combustion air supply  levels; 
    6. Procedures for operating the HMIWI and associated air  pollution control systems within the limits established under this article; 
    7. Procedures for responding to periodic malfunction or  conditions that may lead to malfunction; 
    8. Procedures for monitoring HMIWI emissions; 
    9. Reporting and recordkeeping procedures; and 
    10. Procedures for handling ash. 
    I. The owner of an affected facility shall establish a  program for reviewing the information listed in subsection H of this section  annually with each HMIWI operator. 
    1. The initial review of the information listed in  subsection H of this section shall be conducted by January 1, 2001, or prior to  assumption of responsibilities affecting HMIWI operation, whichever date is  later. 
    2. Subsequent reviews of the information listed in  subsection H of this section shall be conducted annually. 
    J. The information listed in subsection H of this section  shall be kept in a readily accessible location for all HMIWI operators. This  information, along with records of training shall be available for inspection  by the board. 
    K. The initial training requirements of this section shall  be performed by July 1, 2001. 
    L. The requirements of subsection B of this section with  regard to obtaining operator training qualifications through a program approved  by the board may be met by obtaining a license from the Board for Waste  Management Facilities Operators. All training and licensing shall be in  accordance with Chapter 22.1 (§ 54.1-2209 et seq.) of Title 54.1 of the Code of  Virginia, and with 18VAC155 Chapter 20. 
    M. No owner of an affected facility shall allow the  facility to be operated at any time unless a person is on duty who is  responsible for the proper operation of the facility and has a license from the  Board for Waste Management Facility operators in the correct classification. No  provision of this article shall relieve any owner from the responsibility to  comply in all respects with the requirements of Chapter 22.1 (§ 54.1-2209 et  seq.) of Title 54.1 of the Code of Virginia, and with 18VAC155 Chapter 20. 
    9VAC5-40-6160. Waste management plans. (Repealed.)
    A. The owner of an affected facility shall prepare a waste  management plan. The waste management plan shall identify both the feasibility  and the approach to separate certain components of solid waste from the health  care waste stream in order to reduce the amount of toxic emissions from  incinerated waste. A waste management plan may include, but is not limited to,  elements such as paper, cardboard, plastics, glass, battery, or metal  recycling; or purchasing recycled or recyclable products. A waste management  plan may include different goals or approaches for different areas or  departments of the facility and need not include new waste management goals for  every waste stream. It should identify, where possible, reasonably available  additional waste management measures, taking into account the effectiveness of  waste management measures already in place, the costs of additional measures,  the emission reductions expected to be achieved, and any other environmental or  energy impacts they might have. The American Hospital Association publication  entitled "An Ounce of Prevention: Waste Reduction Strategies for Health  Care Facilities" (see 9VAC5-20-21) shall be considered in the development  of the waste management plan. 
    B. The waste management plan shall be submitted to the  board no later than 60 days after the initial emissions test as required under  9VAC5-40-6180. 
    9VAC5-40-6170. Inspections. (Repealed.)
    A. The owner shall conduct an initial equipment inspection  of each affected small, rural HMIWI by July 1, 2001. At a minimum, each  inspection shall include the following: 
    1. Inspect all burners, pilot assemblies, and pilot sensing  devices for proper operation; clean pilot flame sensor, as necessary; 
    2. Ensure proper adjustment of primary and secondary  chamber combustion air, and adjust as necessary; 
    3. Inspect hinges and door latches, and lubricate as  necessary; 
    4. Inspect dampers, fans, and blowers for proper operation;  
    5. Inspect HMIWI door and door gaskets for proper sealing; 
    6. Inspect motors for proper operation; 
    7. Inspect primary chamber refractory lining; clean and  repair or replace lining as necessary; 
    8. Inspect incinerator shell for corrosion and hot spots; 
    9. Inspect secondary and tertiary chambers and stack, clean  as necessary; 
    10. Inspect mechanical loader, including limit switches,  for proper operation, if applicable; 
    11. Visually inspect waste bed (grates), and repair or  seal, as appropriate; 
    12. For the burn cycle that follows the inspection,  document that the incinerator is operating properly and make any necessary  adjustments; 
    13. Inspect air pollution control device(s) for proper  operation, if applicable; 
    14. Inspect waste heat boiler systems to ensure proper  operation, if applicable; 
    15. Inspect bypass stack components; 
    16. Ensure proper calibration of thermocouples, sorbent  feed systems and any other monitoring equipment; and 
    17. Generally observe that the equipment is maintained in  good operating condition. 
    B. The owner shall conduct an equipment inspection of each  affected small, rural HMIWI annually (no more than 12 months following the  previous annual equipment inspection), as outlined in subsection A of this  section. 
    C. Within 10 operating days following an equipment  inspection all necessary repairs shall be completed unless the owner obtains  written approval from the board establishing a date whereby all necessary  repairs of the affected facility shall be completed. 
    9VAC5-40-6180. Compliance, emissions testing, and  monitoring. (Repealed.) 
    A. The provisions governing compliance, emissions testing,  and monitoring shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-20 (Compliance),  9VAC5-40-30 (Emission testing) and 9VAC5-40-40 (Monitoring) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-20 B, C, D, and E. 
    b. 40 CFR 60.11. 
    c. 9VAC5-40-30 D and G. 
    d. 40 CFR 60.8, with the exception of paragraph (a). 
    e. 9VAC5-40-40 A and F. 
    f. 40 CFR 60.13. 
    g. Subsections B through N of this section. 
    B. The emission limits under this article apply at all  times except during periods of startup, shutdown, or malfunction, provided that  no hospital waste or medical/infectious waste is charged to the affected  facility during startup, shutdown, or malfunction. 
    C. Except as provided in subsection L of this section, the  owner of an affected facility shall conduct an initial emissions test by  December 27, 2001, as required under this section to determine compliance with  the emission limits using the procedures and test methods listed in this  subsection. The use of the bypass stack during an emissions test shall  invalidate the emissions test. 
    1. All emissions tests shall consist of a minimum of three  test runs conducted under representative operating conditions. 
    2. The minimum sample time shall be one hour per test run  unless otherwise indicated. 
    3. Reference Method 1 shall be used to select the sampling  location and number of traverse points. 
    4. Reference Method 3 or 3A shall be used for gas  composition analysis, including measurement of oxygen concentration. Reference Method  3 or 3A shall be used simultaneously with each reference method. 
    5. The pollutant concentrations shall be adjusted to 7.0%  oxygen using the following equation: 
    Cadj = Cmeas (20.9-7)/(20.9-% O2)  
    where: 
    Cadj = pollutant concentration adjusted to 7.0%  oxygen; 
    Cmeas = pollutant concentration measured on a  dry basis; 
    (20.9-7) = 20.9% oxygen-7.0% oxygen (defined oxygen  correction basis); 
    20.9 = oxygen concentration in air, percent; and 
    % O2 = oxygen concentration measured on a dry  basis, percent. 
    6. Reference Method 5 or 29 be used to measure the  particulate matter emissions. 
    7. Reference Method 9 shall be used to measure stack  opacity. 
    8. Reference Method 10 or 10B shall be used to measure the  carbon monoxide emissions. 
    9. Reference Method 23 shall be used to measure total  dioxin/furan emissions. The minimum sample time shall be four hours per test  run. If the affected facility has selected the toxic equivalency limits for  dioxin/furans, under 9VAC5-40-6040, the following procedures shall be used to  determine compliance: 
    a. Measure the concentration of each dioxin/furan  tetra-through octa-congener emitted using Reference Method 23. 
    b. For each dioxin/furan congener measured in accordance  with subdivision 9 a of this subsection, multiply the congener concentration by  its corresponding toxic equivalency factor specified in Table 4-44A of this  article. 
           |   | TABLE 4-44A. TOXIC EQUIVALANCY FACTORS.
 | 
       |   | Dioxon/furan congener
 | Toxic equivalency factor
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzo‑p‑dioxin
 | 1
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzo‑p‑dioxin
 | 0.5
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzo‑p‑dioxin
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated    dibenzo‑p‑dioxin
 | 0.01
 | 
       |   | octachlorinated dibenzo‑p‑dioxin
 | 0.001
 | 
       |   | 2,3,7,8‑tetrachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,7,8‑pentachlorinated dibenzofuran
 | 0.5
 | 
       |   | 1,2,3,7,8‑pentachlorinated dibenzofuran
 | 0.05
 | 
       |   | 1,2,3,4,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,7,8,9‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 2,3,4,6,7,8‑hexachlorinated dibenzofuran
 | 0.1
 | 
       |   | 1,2,3,4,6,7,8‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | 1,2,3,4,7,8,9‑heptachlorinated dibenzofuran
 | 0.01
 | 
       |   | Octachlorinated dibenzofuran
 | 0.001
 | 
  
    c. Sum the products calculated in accordance with  subdivision 9 b of this subsection to obtain the total concentration of  dioxins/furans emitted in terms of toxic equivalency. 
    10. Reference Method 26 shall be used to measure hydrogen  chloride emissions. If the affected facility has selected the percentage  reduction limits for hydrogen chloride under 9VAC5-40-6050, the percentage  reduction in hydrogen chloride emissions (% RHCl) is computed using  the following formula: 
    
    where: 
    % RHCl = percentage reduction of hydrogen  chloride emissions achieved; 
    Ei = hydrogen chloride emission concentration  measured at the control device inlet, corrected to 7.0% oxygen (dry basis); and  
    Eo = hydrogen chloride emission concentration  measured at the control device outlet, corrected to 7.0% oxygen (dry basis). 
    11. Reference Method 29 shall be used to measure lead,  cadmium, and mercury emissions. If the affected facility has selected the  percentage reduction limits for metals under 9VAC5-40-6080, 9VAC5-40-6090, or  9VAC5-40-6100, the percentage reduction in emissions (% Rmetal) is  computed using the following formula: 
    
    where: 
    % Rmetal = percentage reduction of metal  emission (lead, cadmium, or mercury) achieved; 
    Ei = metal emission concentration (lead,  cadmium, or mercury) measured at the control device inlet, corrected to 7.0%  oxygen (dry basis); and 
    Eo = metal emission concentration (lead,  cadmium, or mercury) measured at the control device outlet, corrected to 7.0%  oxygen (dry basis). 
    D. Following the date on which the initial emissions test  is completed or is required to be completed under this section, whichever date  comes first, the owner of an affected facility shall: 
    1. Determine compliance with the opacity limit by  conducting an annual emissions test (no more than 12 months following the  previous emissions test) using the applicable procedures and test methods  listed in subsection C of this section. 
    2. Determine compliance with the particulate matter, carbon  monoxide, and hydrogen chloride emission limits by conducting an annual  emissions test (no more than 12 months following the previous emissions test)  using the applicable procedures and test methods listed in subsection C of this  section. If all three emissions tests over a three-year period indicate  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for the subsequent two years. At a minimum, an emissions test  for particulate matter, carbon monoxide, and hydrogen chloride shall be  conducted every third year (no more than 36 months following the previous  emissions test). If an emissions test conducted every third year indicates  compliance with the emission limit for a pollutant (particulate matter, carbon  monoxide, or hydrogen chloride), the owner may forego an emissions test for  that pollutant for an additional two years. If any emissions test indicates  noncompliance with the respective emission limit, an emissions test for that  pollutant shall be conducted annually until all annual emissions tests over a  three-year period indicate compliance with the emission limit. The use of the  bypass stack during an emissions test shall invalidate the emissions test. 
    3. Facilities using a continuous emission monitoring system  to demonstrate compliance with any of the emission limits under 9VAC5-40-6020  through 9VAC5-40-6100 shall: 
    a. Determine compliance with the appropriate emission  limit(s) using a 12-hour rolling average, calculated each hour as the average  of the previous 12 operating hours (not including startup, shutdown, or  malfunction). 
    b. Operate all continuous emission monitoring systems in  accordance with the applicable procedures under Appendices B and F of 40 CFR  Part 60. 
    E. The owner of an affected facility equipped with a dry  scrubber followed by a fabric filter, a wet scrubber, or a dry scrubber  followed by a fabric filter and wet scrubber shall: 
    1. Establish the appropriate maximum and minimum operating  parameters, indicated in Table 4-44B of this article for each control system,  as site specific operating parameters during the initial emissions test to  determine compliance with the emission limits; and 
     
         
             | TABLE 4-44 B. OPERATING PARAMETERS TO BE MONITORED AND MINIMUM MEASUREMENT AND RECORDING    FREQUENCIES.
 |  
 | 
       | OPERATING PARAMETERS TO BE MONITORED
 | MINIMUM FREQUENCY
 | CONTROL SYSTEM
 |  
 | 
       | DATA MEASUREMENT
 | DATA RECORDING
 | DRY SCRUBBER/ FABRIC FILTER
 | WET SCRUBBER
 | DRY SCRUBBER/ FABRIC FILTER AND WET SCRUBBER
 |  | 
       |  | 
       |  | 
       | MAXIMUM OPERATING PARAMETERS
 |  
 | 
       | MAXIMUM CHARGE RATE
 | 1 X CHARGE
 | 1 X CHARGE
 | X
 | X
 | X
 |  
 | 
       | MAXIMUM FABRIC FILTER INLET TEMPERATURE
 | CONTINUOUS
 | 1 X MINUTE
 | X
 |  
 | X
 |  
 | 
       | MAXIMUM FLUE GAS TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 |  
 |  
 | 
       | MINIMUM OPERATING PARAMETERS
 |  
 | 
       | MINIMUM SECONDARY CHAMBER TEMP
 | CONTINUOUS
 | 1 X MINUTE
 | X
 | X
 | X
 |  
 | 
       | MINIMUM DIOXIN/FURAN SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM HCl SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM Hg SORBENT FLOW RATE
 | HOURLY
 | 1 X HOUR
 | X
 |  
 | X
 |  
 | 
       | MINIMUM PRESSURE DROP ACROSS WET SCRUBBER OR MINIMUM    HORSEPOWER OR AMPERAGE TO WET SCRUBBER
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR FLOW RATE
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
       | MINIMUM SCRUBBER LIQUOR pH
 | CONTINUOUS
 | 1 X MINUTE
 |  
 | X
 | X
 |  
 | 
  
         
      2. Following the date on which the  initial emissions test is completed or is required to be completed under  subsection B of this section, whichever date comes first, ensure that the  affected facility does not operate above any of the applicable maximum  operating parameters or below any of the applicable minimum operating  parameters listed in Table 4-44B of this article and measured as three-hour  rolling averages (calculated each hour as the average of the previous three  operating hours) at all times except during periods of startup, shutdown and  malfunction. Operating parameter limits do not apply during emissions tests.  Operation above the established maximum or below the established minimum  operating parameters shall constitute a violation of established operating  parameters. 
    F. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum hydrogen chloride sorbent flow rate (each  measured on a three-hour rolling average) simultaneously shall constitute a  violation of the hydrogen chloride emission limit. 
    4. Operation of the affected  facility above the maximum charge rate and below the minimum mercury sorbent  flow rate (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    G. Except as provided in subsection I of this section, for  affected facilities equipped with a wet scrubber: 
    1. Operation of the affected  facility above the maximum charge rate and below the minimum pressure drop  across the wet scrubber or below the minimum horsepower or amperage to the  system (each measured on a three-hour rolling average) simultaneously shall  constitute a violation of the particulate matter emission limit. 
    2. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    3. Operation of the affected facility above the maximum  charge rate, below the minimum secondary chamber temperature, and below the  minimum scrubber liquor flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan  emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    5. Operation of the affected facility above the maximum  flue gas temperature and above the maximum charge rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    6. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    H. Except as provided in subsection I of this section, for  affected facilities equipped with a dry scrubber followed by a fabric filter  and a wet scrubber: 
    1. Operation of the affected facility above the maximum  charge rate and below the minimum secondary chamber temperature (each measured  on a three-hour rolling average) simultaneously shall constitute a violation of  the carbon monoxide emission limit. 
    2. Operation of the affected facility above the maximum  fabric filter inlet temperature, above the maximum charge rate, and below the  minimum dioxin/furan sorbent flow rate (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the dioxin/furan emission  limit. 
    3. Operation of the affected facility above the maximum  charge rate and below the minimum scrubber liquor pH (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  hydrogen chloride emission limit. 
    4. Operation of the affected facility above the maximum  charge rate and below the minimum mercury sorbent flow rate (each measured on a  three-hour rolling average) simultaneously shall constitute a violation of the  mercury emission limit. 
    5. Use of the bypass stack (except during startup,  shutdown, or malfunction) shall constitute a violation of the particulate  matter, dioxin/furan, hydrogen chloride, lead, cadmium, and mercury emission  limits. 
    I. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection  shall be conducted using the identical operating parameters that indicated a  violation under subsection F, G, or H of this section. 
    J. The owner of an affected facility using an air  pollution control device other than a dry scrubber followed by a fabric filter,  a wet scrubber, or a dry scrubber followed by a fabric filter and a wet  scrubber to comply with the emission limits under 9VAC5-40-6020 through  9VAC5-40-6100 shall petition the board for other site-specific operating  parameters to be established during the initial emissions test and continuously  monitored thereafter. The owner shall not conduct the initial emissions test  until after the petition has been approved by the board. 
    K. The owner of an affected facility may conduct a repeat  emissions test at any time to establish new values for the operating  parameters. The board may request a repeat emissions test at any time. 
    L. Small, rural HMIWIs subject to the emission limits  under 9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following compliance  and emissions testing requirements: 
    1. Conduct the emissions testing requirements in  subdivisions C 1 through 9, C 11 (mercury only), and D 1 of this section. The  2,000 lb/week limitation under 9VAC5-40-6010 does not apply during emissions  tests. 
    2. Establish maximum charge rate and minimum secondary  chamber temperature as site-specific operating parameters during the initial  emissions test to determine compliance with applicable emission limits. 
    3. Following the date on which the initial emissions test  is completed or is required to be completed under subsection C of this section,  whichever date comes first, ensure that the affected facility does not operate  above the maximum charge rate or below the minimum secondary chamber  temperature measured as three-hour rolling averages (calculated each hour as  the average of the previous three operating hours) at all times except during  periods of startup, shutdown and malfunction. Operating parameter limits do not  apply during emissions tests. Operation above the maximum charge rate or below  the minimum secondary chamber temperature shall constitute a violation of the  established operating parameters. 
    4. Except as provided in subdivision C 5 of this section,  operation of the affected facility above the maximum charge rate and below the  minimum secondary chamber temperature (each measured on a three-hour rolling  average) simultaneously shall constitute a violation of the particulate matter,  carbon monoxide, and dioxin/furan emission limits. 
    5. The owner of an affected facility may conduct a repeat  emissions test within 30 days of violation of applicable operating parameters  to demonstrate that the affected facility is not in violation of the applicable  emission limits. Repeat emissions tests conducted pursuant to this subsection must  be conducted using the identical operating parameters that indicated a  violation under subdivision 4 of this subsection. 
    M. Owners of affected facilities shall perform monitoring  as follows, except as provided for under subsection N of this section: 
    1. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate devices (or  establish methods) for monitoring the applicable maximum and minimum operating  parameters listed in Table 4-44B of this article such that these devices (or  methods) measure and record values for these operating parameters at the  frequencies indicated in Table 4-44B of this article at all times except during  periods of startup and shutdown. 
    2. The owner of an affected facility shall install,  calibrate (to manufacturers' specifications), maintain, and operate a device or  method for measuring the use of the bypass stack including date, time, and  duration. 
    3. The owner of an affected facility using something other  than a dry scrubber followed by a fabric filter, a wet scrubber, or a dry  scrubber followed by a fabric filter and a wet scrubber to comply with the  emission limits under 9VAC5-40-6020 through 9VAC5-40-6100 shall install,  calibrate (to the manufacturers' specifications), maintain, and operate the  equipment necessary to monitor the site-specific operating parameters developed  pursuant to subsection J of this section. 
    4. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating days per calendar quarter that the affected facility is combusting  hospital waste and medical/infectious waste or both. 
    N. Small, rural HMIWI subject to the emission limits under  9VAC5-40-6020 through 9VAC5-40-6100 shall meet the following monitoring  requirements: 
    1. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device for measuring and recording the temperature of  the secondary chamber on a continuous basis, the output of which shall be  recorded, at a minimum, once every minute throughout operation. 
    2. Install, calibrate (to manufacturers' specifications),  maintain, and operate a device which automatically measures and records the  date, time, and weight of each charge fed into the HMIWI. 
    3. The owner of an affected facility shall obtain  monitoring data at all times during HMIWI operation except during periods of  monitoring equipment malfunction, calibration, or repair. At a minimum, valid  monitoring data shall be obtained for 75% of the operating hours per day for  90% of the operating hours per calendar quarter that the affected facility is  combusting hospital waste and medical/infectious waste or both. 
    9VAC5-40-6190. Recordkeeping and reporting. (Repealed.)
    A. The provisions of governing recordkeeping and reporting  shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-40-50 (Notification,  records and reporting) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-40-50 F and H. 
    b. 40 CFR 60.7. 
    c. Subsections B through G of this section. 
    B. The owner of an affected facility shall maintain the  following information (as applicable) for a period of at least five years: 
    1. Calendar date of each record; 
    2. Records of the following data: 
    a. Concentrations of any pollutant listed in 9VAC5-40-6020  through 9VAC5-40-6100 or measurements of opacity as determined by the  continuous emission monitoring system (if applicable); 
    b. HMIWI charge dates, times, and weights and hourly charge  rates; 
    c. Fabric filter inlet temperatures during each minute of  operation, as applicable; 
    d. Amount and type of dioxin/furan sorbent used during each  hour of operation, as applicable; 
    e. Amount and type of mercury sorbent used during each hour  of operation, as applicable; 
    f. Amount and type of hydrogen chloride sorbent used during  each hour of operation, as applicable; 
    g. Secondary chamber temperatures recorded during each  minute of operation; 
    h. Liquor flow rate to the wet scrubber inlet during each  minute of operation, as applicable; 
    i. Horsepower or amperage to the wet scrubber during each  minute of operation, as applicable; 
    j. Pressure drop across the wet scrubber system during each  minute of operation, as applicable; 
    k. Temperature at the outlet from the wet scrubber during  each minute of operation, as applicable; 
    l. pH at the inlet to the wet scrubber during each minute of  operation, as applicable; 
    m. Records indicating use of the bypass stack, including  dates, times, and durations; and 
    n. For affected facilities complying with 9VAC5-40-6180 J  and 9VAC5-40-6180 M 3, the owner shall maintain all operating parameter data collected.  
    3. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection have not been obtained, with an identification of the emission rates  or operating parameters not measured, reasons for not obtaining the data, and a  description of corrective actions taken. 
    4. Identification of calendar days, times and durations of  malfunctions, a description of the malfunction and the corrective action taken.  
    5. Identification of calendar days for which data on  emission rates or operating parameters specified under subdivision 2 of this  subsection exceeded the applicable limits, with a description of the  exceedances, reasons for such exceedances, and a description of corrective  actions taken. 
    6. The results of the initial, annual, and any subsequent  emissions tests conducted to determine compliance with the emission limits or  to establish operating parameters, as applicable. 
    7. Records showing the names of HMIWI operators who have  completed review of the information in 9VAC5-40-6150 H as required by  9VAC5-40-6150 I, including the date of the initial review and all subsequent  annual reviews. 
    8. Records showing the names of the HMIWI operators who  have completed the HMIWI operator training requirements, including  documentation of training and the dates of the training. 
    9. Records showing the names of the HMIWI operators who  have met the criteria for qualification under 9VAC5-40-6150 and the dates of  their qualification. 
    10. Records of calibration of any monitoring devices as  required under 9VAC5-40-6180 M 1, 2 and 3. 
    C. The owner of an affected facility shall submit the  information specified in this subsection no later than 60 days following the  initial emissions test. All reports shall be signed by the facilities manager. 
    1. The initial emissions test data as recorded under  9VAC5-40-6180 C 1 through 11, as applicable. 
    2. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    3. The waste management plan as specified in 9VAC5-40-6150.  
    D. An annual report shall be submitted one year following  the submission of the information in subsection C of this section and  subsequent reports shall be submitted no more than 12 months following the  previous report (once the unit is subject to a federal operating permit as  provided in 9VAC5-40-6000 F, the owner of an affected facility must submit  these reports semiannually). The annual report shall include the information  specified in this subsection. All reports shall be signed by the facilities  manager. 
    1. The values for the site-specific operating parameters  established pursuant to 9VAC5-40-6180 E or J, as applicable. 
    2. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable, for each operating parameter  recorded for the calendar year being reported, pursuant to 9VAC5-40-6180 E or  J, as applicable. 
    3. The highest maximum operating parameter and the lowest  minimum operating parameter, as applicable for each operating parameter  recorded pursuant to 9VAC5-40-6180 E or J for the calendar year preceding the  year being reported, in order to provide the board with a summary of the  performance of the affected facility over a two-year period. 
    4. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year being reported. 
    5. Any information recorded under subdivisions B 3 through  5 of this section for the calendar year preceding the year being reported, in  order to provide the board with a summary of the performance of the affected  facility over a two-year period. 
    6. If an emissions test was conducted during the reporting  period, the results of that test. 
    7. If no exceedances or malfunctions were reported under  subdivisions B 3 through 5 of this section for the calendar year being  reported, a statement that no exceedances occurred during the reporting period.  
    8. Any use of the bypass stack, the duration, reason for  malfunction, and corrective action taken. 
    E. The owner of an affected facility shall submit  semiannual reports containing any information recorded under subdivisions B 3  through 5 of this section no later than 60 days following the reporting period.  The first semiannual reporting period ends six months following the submission  of information in subsection C of this section. Subsequent reports shall be  submitted no later than six calendar months following the previous report. All  reports shall be signed by the facilities manager. 
    F. All records specified under subsection B of this  section shall be maintained onsite in either paper copy or computer-readable  format, unless an alternative format is approved by the board. 
    G. The owner of each small, rural HMIWI shall: 
    1. Maintain records of the annual equipment inspections,  any required maintenance, and any repairs not completed within 10 days of an  inspection or the timeframe established by the board; and 
    2. Submit an annual report containing information recorded  under subdivision 1 of this subsection no later than 60 days following the year  in which data were collected. Subsequent reports shall be sent no later than 12  calendar months following the previous report (once the unit is subject to a  federal operating permit as provided in 9VAC5-40-6000 F, the owner must submit  these reports semiannually). The report shall be signed by the facilities  manager. 
    9VAC5-40-6200. Compliance schedules. (Repealed.)
    A. Except as provided in subsection B of this section,  owners shall: 
    1. Comply with the emission limits in this article as  expeditiously as possible but in no case later than July 1, 2001, and 
    2. Conduct the initial emissions test of the air pollution  control device no later than December 27, 2001. 
    B. Until January 1, 2001, owners of affected facilities  may petition the board for an extension to the compliance date in subsection A  of this section. This petition shall include the following: 
    1. Documentation of the analyses undertaken to support the  need for an extension, including an explanation of why until September 15,  2002, is needed to comply with this article while compliance by July 1, 2001,  is not feasible. The documentation shall also include an evaluation of the  option to transport the waste offsite to a commercial medical waste treatment  and disposal facility on a temporary or permanent basis; and 
    2. Documentation of measurable and enforceable incremental  steps of progress to be taken towards compliance with the emission guidelines,  including: 
    a. If applicable, date for submitting a petition for  site-specific operating parameters under 40 CFR 60.56c(i); 
    b. Date for submittal of the control plan; 
    c. Date for obtaining services of an architectural and  engineering firm regarding the air pollution control device(s); 
    d. Date for obtaining design drawings of the air pollution  control device(s); 
    e. Date for ordering the air pollution control device(s); 
    f. Date for obtaining the major components of the air  pollution control device(s); 
    g. Date for initiation of site preparation for installation  of the air pollution control device(s); 
    h. Date for initiation of installation of the air pollution  control device(s); 
    i. Date for initial startup of the air pollution control  device(s); 
    j. Date for initial emissions test(s) of the air pollution  control device(s); and 
    k. Date for final compliance. 
    9VAC5-40-6210. Registration. (Repealed.)
    The provisions of 9VAC5-20-160 (Registration) apply. 
    9VAC5-40-6220. Facility and control equipment maintenance or  malfunction. (Repealed.)
    The provisions governing facility and control equipment  maintenance or malfunction shall be as follows: 
    1. With regard to the emissions standards in 9VAC5-40-6120,  9VAC5-40-6130, and 9VAC5-40-6140, the provisions of 9VAC5-20-180 (Facility and  control equipment maintenance or malfunction) apply. 
    2. With regard to the emission limits in 9VAC5-40-6020  through 9VAC5-40-6110, the following provisions apply: 
    a. 9VAC5-20-180 A, B, C, D, H, and I. 
    b. 9VAC5-40-6180 B. 
    c. 9VAC5-40-6190 B 4, 7 and 8. 
    9VAC5-40-6230. Permits. (Repealed.)
    A permit may be required prior to beginning any of the  activities specified below if the provisions of 9VAC5 Chapter 50 (9VAC5-50-10  et seq.) and 9VAC5 Chapter 80 (9VAC5-80-10 et seq.) apply. Owners contemplating  such action should review those provisions and contact the appropriate regional  office for guidance on whether those provisions apply. 
    1. Construction of a facility. 
    2. Reconstruction (replacement of more than half) of a  facility. 
    3. Modification (any physical change to equipment) of a  facility. 
    4. Relocation of a facility. 
    5. Reactivation (restart-up) of a facility. 
    6. Operation of a facility. 
    VA.R. Doc. No. R12-3018; Filed July 23, 2012, 10:15 a.m. 
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Fast-Track Regulation
    Title of Regulation: 9VAC5-40. Existing Stationary  Sources (Rev. A12) (repealing 9VAC5-40-5490 through 9VAC5-40-7360).  
    Statutory Authority: § 10.1-1308 of the Code of  Virginia; federal Clean Air Act (§§ 110, 111, 123, 129, 171, 172, and  182); 40 CFR Parts 51 and 60.
    Public Hearing Information: No public hearings are  scheduled.
    Public Comment Deadline: September 12, 2012.
    Effective Date: September 27, 2012. 
    Agency Contact: Gary E. Graham, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4103, FAX (804) 698-4510, or email  gary.graham@deq.virginia.gov.
    Basis: Chapter 13 of Title 10.1 (§ 10.1-1300 et  seq.) of the Code of Virginia authorizes the State Air Pollution Control Board  to promulgate regulations abating, controlling, and prohibiting air pollution  to protect public health and welfare. Written assurance from the Office of the  Attorney General that the State Air Pollution Control Board possesses the  statutory authority to promulgate the proposed regulation amendments is  available upon request. 
    Identification of Specific Applicable Federal Requirements
    Ozone is formed by complex series of reactions between nitrogen  oxides (NOx) and volatile organic compounds (VOCs) under the influence of solar  ultraviolet radiation (sunlight). Ozone shows a very strong diurnal (daily) and  seasonal (April to October) cyclical character. Ozone injures vegetation, has  adverse effects on materials (rubber and fabrics), and is a pulmonary irritant  that affects respiratory mucous membranes, lung tissues, and respiratory  functions.
    The original ozone air quality standard that was the focus of  air quality planning requirements after the promulgation of the 1990 Amendments  to the Clean Air Act was a 1-hour standard. Since then, EPA has promulgated a  new 8-hour ozone air quality standard and associated designation of  nonattainment areas, which necessitates the initiation of new plans and  regulatory actions.
    40 CFR Part 81 specifies the designations of areas made under § 107(d)  of the CAA and the associated nonattainment classification (if any) under § 181  of the CAA or 40 CFR 51.903(a), as applicable. On April 30, 2004 (69 FR 23858),  EPA published its final decision as to the 8-hour nonattainment areas and associated  classifications. The new designations are effective June 15, 2004. The  Commonwealth of Virginia designations are in 40 CFR 81.347.
    40 CFR Part 51, Subpart X, contains the provisions for the  implementation of the 8-hour ozone NAAQS, along with the associated planning  requirements. On April 30, 2004 (69 FR 23951), EPA published phase 1 of its  final rule adding Subpart X to 40 CFR Part 51. Specifically, 40 CFR 51.903(a)  sets forth the classification criteria and nonattainment dates for 8-hour ozone  nonattainment areas once they are designated as such under 40 CFR Part 81. The  remainder of the planning requirements (phase 2) were published on November 29,  2005 (70 FR 71612).
    On March 27, 2008 (73 FR 16436), EPA published revised primary  and secondary ozone NAAQS, revising both downward to 0.075 ppm. EPA has yet to  publish implementation guidance for the change. States have until March 12,  2009, to recommend new nonattainment areas under the new standards.
    The state regulations established VOC and NOx emissions control  areas to provide the legal mechanism to define the geographic areas in which  Virginia implements control measures to attain and maintain the air quality  standards for ozone. The emissions control areas may or may not coincide with  the nonattainment areas, depending on the necessity of the planning  requirements.
    General Federal Requirements
    Sections 109 (a) and (b) of the Clean Air Act (CAA) require EPA  to prescribe primary and secondary air quality standards to protect public  health and welfare, respectively, for each air pollutant for which air quality  criteria were issued before the enactment of the 1970 Clean Air Act. These  standards are known as the National Ambient Air Quality Standards (NAAQS).  Section 109 (c) requires the U.S. Environmental Protection Agency (EPA) to  prescribe such standards simultaneously with the issuance of new air quality  criteria for any additional air pollutant. The primary and secondary air  quality criteria are authorized for promulgation under § 108.
    Once the NAAQS are promulgated pursuant to § 109, § 107(d)  sets out a process for designating those areas that are in compliance with the  standards (attainment or unclassifiable) and those that are not  (nonattainment). Governors provide the initial recommendations but EPA makes  the final decision. Section 107(d) also sets forth the process for  redesignations once the nonattainment areas are in compliance with the  applicable NAAQS.
    Section 110(a) of the CAA mandates that each state adopt and  submit to EPA a plan which provides for the implementation, maintenance, and  enforcement of each primary and secondary air quality standard within each air  quality control region in the state. The state implementation plan shall be  adopted only after reasonable public notice is given and public hearings are  held. The plan shall include provisions to accomplish, among other tasks, the  following:
    (1) establish enforceable emission limitations and other  control measures as necessary to comply with the provisions of the CAA,  including economic incentives such as fees, marketable permits, and auctions of  emissions rights;
    (2) establish schedules for compliance;
    (3) prohibit emissions which would contribute to nonattainment  of the standards or interference with maintenance of the standards by any  state; and 
    (4) require sources of air pollution to install, maintain, and  replace monitoring equipment as necessary and to report periodically on  emissions-related data.
    40 CFR Part 50 specifies the NAAQS: sulfur dioxide, particulate  matter, carbon monoxide, ozone (its precursors are nitrogen oxides and volatile  organic compounds), nitrogen dioxide, and lead.
    40 CFR Part 51 sets out requirements for the preparation,  adoption, and submittal of state implementation plans. These requirements  mandate that any such plan shall include several provisions, including those  summarized below.
    Subpart G (Control Strategy) specifies the description of  control measures and schedules for implementation, the description of emissions  reductions estimates sufficient to attain and maintain the standards, time  periods for demonstrations of the control strategy's adequacy, an emissions  inventory, an air quality data summary, data availability, special requirements  for lead emissions, stack height provisions, and intermittent control systems.
    Subpart K (Source Surveillance) specifies procedures for  emissions reports and record-keeping, procedures for testing, inspection,  enforcement, and complaints, transportation control measures, and procedures  for continuous emissions monitoring.
    Subpart L (Legal Authority) specifies the requirements for  legal authority to implement plans. Section 51.230 under Subpart L specifies  that each state implementation plan must show that the state has the legal  authority to carry out the plan, including the authority to perform the  following actions:
    (1) adopt emission standards and limitations and any other  measures necessary for the attainment and maintenance of the national ambient  air quality standards;
    (2) enforce applicable laws, regulations, and standards, and  seek injunctive relief;
    (3) abate pollutant emissions on an emergency basis to prevent  substantial endangerment to the health of persons;
    (4) prevent construction, modification, or operation of a  facility, building, structure, or installation, or combination thereof, which  directly or indirectly results or may result in emissions of any air pollutant  at any location which will prevent the attainment or maintenance of a national  standard;
    (5) obtain information necessary to determine whether air  pollution sources are in compliance with applicable laws, regulations, and  standards, including authority to require record-keeping and to make  inspections and conduct tests of air pollution sources;
    (6) require owners or operators of stationary sources to  install, maintain, and use emission monitoring devices and to make periodic  reports to the state on the nature and amounts of emissions from such  stationary sources; and 
    (7) make emissions data available to the public as reported and  as correlated with any applicable emission standards or limitations.
    Section 51.231 under Subpart L requires the identification of  legal authority as follows:
    (1) the provisions of law or regulation which the state  determines provide the authorities required under this section must be  specifically identified, and copies of such laws or regulations must be  submitted with the plan; and
    (2) the plan must show that the legal authorities specified in  this subpart are available to the state at the time of submission of the plan.
    Subpart N (Compliance Schedules) specifies legally enforceable  compliance schedules, final compliance schedule dates, and conditions for  extensions beyond one year.
    Part D describes how nonattainment areas are established,  classified, and required to meet attainment.
    Subpart 1 provides the overall framework of what nonattainment  plans are to contain, while Subpart 2 provides more detail on what is required  of areas designated nonattainment for ozone.
    Section 171 defines "reasonable further progress,"  "nonattainment area," "lowest achievable emission rate,"  and "modification."
    Section 172(a) authorizes EPA to classify nonattainment areas  for the purpose of assigning attainment dates. Section 172(b) authorizes EPA to  establish schedules for the submission of plans designed to achieve attainment  by the specified dates. Section 172(c) specifies the provisions to be included  in each attainment plan, as follows:
    (1) the implementation of all reasonably available control  measures as expeditiously as practicable and shall provide for the attainment  of the national ambient air quality standards;
    (2) the requirement of reasonable further progress;
    (3) a comprehensive, accurate, current inventory of actual  emissions from all sources of the relevant pollutants in the nonattainment  area;
    (4) an identification and quantification of allowable emissions  from the construction and modification of new and modified major stationary  sources in the nonattainment area;
    (5) the requirement for permits for the construction and operations  of new and modified major stationary sources in the nonattainment area;
    (6) the inclusion of enforceable emission limitations and such  other control measures (including economic incentives such as fees, marketable  permits, and auctions of emission rights) as well as schedules for compliance;
    (7) if applicable, the proposal of equivalent modeling,  emission inventory, or planning procedures; and
    (8) the inclusion of specific contingency measures to be  undertaken if the nonattainment area fails to make reasonable further progress  or to attain the national ambient air quality standards by the attainment date.
    Section 172(d) requires that attainment plans be revised if EPA  finds inadequacies. Section 172(e) authorizes the issuance of requirements for  nonattainment areas in the event of a relaxation of any national ambient air  quality standard. Such requirements shall provide for controls which are not  less stringent than the controls applicable to these same areas before such  relaxation.
    Section 107(d)(3)(D) provides that a state may petition EPA to  redesignate a nonattainment area as attainment and EPA may approve the  redesignation subject to certain criteria being met. Section 107(d)(3)(E)  stipulates one of these criteria, that EPA must fully approve a maintenance  plan that meets the requirements of § 175A.
    According to § 175A(a), the maintenance plan must be part  of a SIP submission, and must provide for maintenance of the NAAQS for at least  10 years after the redesignation. The plan must contain any additional  measures, as needed, to ensure maintenance. Section 175A(b) further requires  that 8 years after redesignation, a maintenance plan for the next 10 years must  then be submitted. As stated in § 175A(c), nonattainment requirements  continue to apply until the SIP submittal is approved. Finally, § 175A(d)  requires that the maintenance plan contain contingency provisions which will be  implemented should the area fail to maintain the NAAQS as provided for in the  original plan.
    Under Part D, Subpart 2, § 181 sets forth the classifications  and nonattainment dates for 1-hour ozone nonattainment areas once they are  designated as such under § 107(d).
    Section 182(a)(2)(A) requires that the existing regulatory  program requiring reasonably available control technology (RACT) for stationary  sources of volatile organic compounds (VOCs) in marginal nonattainment areas be  corrected by May 15, 1991, to meet the minimum requirements in existence prior  to the enactment of the 1990 amendments. RACT is the lowest emission limit that  a particular source is capable of meeting by the application of control  technology that is reasonably available considering technological and economic  feasibility. EPA has published control technology guidelines (CTGs) for various  types of sources, thereby defining the minimum acceptable control measure or  RACT for a particular source type.
    Section 182(b) requires stationary sources in moderate  nonattainment areas to comply with the requirements for sources in marginal  nonattainment areas. The additional, more comprehensive control measures in § 182(b)(2)(A)  require that each category of VOC sources employ RACT if the source is covered  by a CTG document issued between enactment of the 1990 amendments and the  attainment date for the nonattainment area. Section 182(b)(2)(B) requires that  existing stationary sources emitting VOCs for which a CTG existed prior to  adoption of the 1990 amendments also employ RACT.
    Section 182(c) requires stationary sources in serious  nonattainment areas to comply with the requirements for sources in both  marginal and moderate nonattainment areas.
    Section 182(d) requires stationary sources in severe  nonattainment areas to comply with the requirements for sources in marginal,  moderate and serious nonattainment areas.
    Section 182(f) extends the requirements for the control of VOC  emissions to emissions of NOx.
    Section 184 establishes an Ozone Transport Region comprised of  the States of Connecticut, Delaware, Maine, Maryland, Massachusetts, New  Hampshire, New Jersey, New York, Pennsylvania, Rhode Island, Vermont, and the  Consolidated Metropolitan Statistical Area that includes the District of  Columbia. The Ozone Transport Commission is to assess the degree of interstate  transport of the pollutant or precursors to the pollutant throughout the  transport region, assess strategies for mitigating the interstate pollution,  and to recommend control measures to ensure that the plans for the relevant  States meet the requirements of the Act.
    40 CFR Part 81 specifies the designations of areas made under §  107(d) of the CAA and the associated nonattainment classification (if any)  under § 181 of the CAA or 40 CFR 51.903(a), as applicable.
    EPA has issued detailed guidance that sets out its preliminary  views on the implementation of the air quality planning requirements applicable  to nonattainment areas. This guidance is titled the "General Preamble for  the Implementation of Title I of the Clean Air Act Amendments of 1990" (or  "General Preamble"). See 57 FR 13498 (April 16, 1992) and 57 FR 18070  (April 28, 1992). The General Preamble has been supplemented with further  guidance on Title I requirements. See 57 FR 55621 (Nov. 25, 1992) (guidance on  NOx RACT requirements in ozone nonattainment areas). For this subject, the  guidance provides little more than a summary and reiteration of the provisions  of the Act.
    On June 21, 2001, EPA issued formal guidelines for the  "Ozone Flex Program." These guidelines set out eligibility  requirements, what measures may be taken and how, and how localities, states  and EPA are to develop and implement early reduction plans. On November 14,  2002, EPA issued a schedule for 8-hour ozone designations and its effect on  early action compacts for potential 8-hour nonattainment areas.
    40 CFR Part 51, Subpart X, contains the provisions for the  implementation of the 8-hour ozone NAAQS, along with the associated planning  requirements. Specifically, 40 CFR 51.903(a) sets forth the classification  criteria and nonattainment dates for 8-hour ozone nonattainment areas once they  are designated as such under 40 CFR Part 81.
    State Requirements
    These specific amendments are not required by state mandate.  Rather, Virginia's Air Pollution Control Law gives the State Air Pollution  Control Board the discretionary authority to promulgate regulations "abating,  controlling and prohibiting air pollution throughout or in any part of the  Commonwealth" (§ 10.1-1308 A of the Code of Virginia). The law  defines such air pollution as "the presence in the outdoor atmosphere of  one or more substances which are or may be harmful or injurious to human  health, welfare or safety, to animal or plant life, or to property, or which  unreasonably interfere with the enjoyment by the people or life or  property" (§ 10.1-1300 of the Code of Virginia).
    The Air Pollution Control Law (§ 10.1-1308 B of the Code  of Virginia) specifically requires that any regulation that prohibits the  selling of a consumer product not restrict the continued sale of the product by  retailers of any existing inventories in stock at the time the regulation is  promulgated.
    Purpose: The purpose of Articles 39, 42, 49, and 50 of  9VAC5-40 was to require owners to limit emissions of VOC, a precursor of  ambient air ozone, from portable fuel containers, certain consumer products,  architectural and industrial maintenance coatings, and paving operations to the  level necessary for (i) the protection of public health and welfare and (ii)  the attainment and maintenance of the air quality standards in Virginia and in  the northern Virginia nonattainment area.
    On November 20, 2009, the board adopted revised consumer and  commercial product regulations in a new chapter, 9VAC5-45, which became  effective on March 17, 2010. These regulations were adopted to allow Virginia  to meet its obligation to implement control measures in areas designated as  nonattainment under the 8-hour ozone standard and to implement contingency  measures within former nonattainment areas that have been redesignated as ozone  maintenance areas. The purpose of adopting new regulations in a new chapter was  to consolidate the consumer and commercial product regulations to make it  easier for the regulated entities and the public to locate and use the  applicable regulations.
    The purpose of repealing the original four consumer product  regulations in 9VAC5-40 is to remove the outdated, less restrictive  requirements in Chapter 40 that duplicate and conflict with the corresponding  updated articles that were consolidated into the new Chapter 45. Repealing the  earlier regulations will complete the process of consolidation.
    Rationale for Using Fast Track Process: There are more  comprehensive and more restrictive consumer product requirements in 9VAC5-45  (that correspond to Articles 39, 42, 49, and 50 of 9VAC5-40) that are effective  and have already been federally approved. Therefore, no objections to the  repeal of the 9VAC5-40 consumer products requirements in Articles 39, 42, 49,  and 50 are anticipated and the fast-track process is appropriate.
    Substance: Article 39 (Emission Standards for Asphalt  Paving Operations) of 9VAC5-40 is repealed in its entirety. It has been  replaced by Article 7 of 9VAC5-45, which contains updated provisions for  controlling emissions from asphalt paving operations.
    Article 42 (Emission Standards for Portable Fuel Container  Spillage) of 9VAC5-40 is repealed in its entirety. It has been replaced by  Articles 1 and 2 of 9VAC5-45, which contain revised provisions for controlling  emissions from portable fuel containers.
    Article 49 (Emissions Standards for Architectural and  Industrial Maintenance Coatings) of 9VAC5-40 is repealed in its entirety. It  has been replaced by Article 5 of 9VAC5-45, which contains updated provisions  for controlling emissions from architectural and industrial maintenance  coatings.
    Article 50 (Emissions Standards for Consumer Products) of  9VAC5-40 is repealed in its entirety. It has been replaced by Articles 3 and 4  of 9VAC5-45, which contain revised provisions for controlling emissions from  consumer products. 
    The provisions of 9VAC5-45, Consumer and Commercial Products,  are not affected by this repeal.
    Issues: The primary advantage to the public is the  removal of duplicative and conflicting regulatory regulations, which improves  the public's ability to understand and comply with the most effective  regulatory requirements. There are no disadvantages to the public.
    The primary advantage to the department is the removal of  regulations that are no longer necessary. There are no disadvantages to the  department.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The State Air  Pollution Control Board (Board) proposes to repeal the consumer product portion  (Article 39, Article 42, 49, and Article 50) of these regulations since those  provisions have been duplicated and updated in the new chapter, 9VAC5-45  (Consumer and Commercial Products).
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. The regulatory language in question  has been superseded by provisions in the newly promulgated 9VAC5-45 (Consumer  and Commercial Products). Thus the proposed repeal of Article 39, Article 42,  49, and Article 50 in 9VAC540 will have no impact beyond perhaps reducing  potential confusion amongst the public.
    Businesses and Entities Affected. Since the regulatory language  proposed for repeal has been superseded by provisions in the newly promulgated  9VAC5-45, there are no businesses or entities which are affected by the  proposed repeal. The subject matter of the regulations applies to: 1) companies  and members of the public who provide asphalt paving services, 2) companies and  members of the public that use or consume portable fuel containers,  architectural coatings, or consumer products, 3) companies that manufacture or  supply asphalt paving products, portable fuel containers, architectural  coatings, or consumer products, and 4) businesses that apply asphalt pavement  surfaces and coatings or architectural coatings. The Department of  Environmental Quality estimates that there are as many as 3250 small businesses  that might have an interest in the proposed repeal, but none would be affected  in any significant way due to the promulgation of 9VAC5-45.
    Localities Particularly Affected. The proposed repeal of the  regulatory language does not have a disproportionate effect on any particular  localities. 
    Projected Impact on Employment. The proposed repeal of the  regulatory language will not affect employment.
    Effects on the Use and Value of Private Property. The proposed  repeal of the regulatory language will not affect the use and value of private  property. 
    Small Businesses: Costs and Other Effects. The proposed repeal  of the regulatory language will not significantly affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed repeal of the regulatory language will not significantly  affect small businesses.
    Real Estate Development Costs. The proposed repeal of the  regulatory language will not affect real estate development costs.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with § 2.2-4007.04  of the Administrative Process Act and Executive Order Number 14 (10). Section 2.2-4007.04 requires that such economic impact analyses include, but need not  be limited to, the projected number of businesses or other entities to whom the  regulation would apply, the identity of any localities and types of businesses  or other entities particularly affected, the projected number of persons and  employment positions to be affected, the projected costs to affected businesses  or entities to implement or comply with the regulation, and the impact on the  use and value of private property. Further, if the proposed regulation has  adverse effect on small businesses, § 2.2-4007.04 requires that such  economic impact analyses include (i) an identification and estimate of the  number of small businesses subject to the regulation; (ii) the projected  reporting, recordkeeping, and other administrative costs required for small  businesses to comply with the regulation, including the type of professional  skills necessary for preparing required reports and other documents; (iii) a  statement of the probable effect of the regulation on affected small  businesses; and (iv) a description of any less intrusive or less costly  alternative methods of achieving the purpose of the regulation. The analysis  presented above represents DPB's best estimate of these economic impacts.
    Agency's Response to Economic Impact Analysis: The State  Air Pollution Control Board has reviewed the economic impact analysis prepared  by the Department of Planning and Budget and has no comment.
    Summary:
    The provisions of Articles 39, 42, 49, and 50 of 9VAC5-40  have been duplicated and updated in a new chapter, 9VAC5-45, Consumer and  Commercial Products. This regulatory action repeals the older, outdated  consumer product regulations in 9VAC5-40, Existing Stationary Sources. 
    Article 39 
  Emission Standards for Asphalt Paving Operations (Rule 4-39)
    9VAC5-40-5490. Applicability and designation of affected  facility. (Repealed.)
    A. The affected facility to which the provisions of this  article apply is each asphalt paving operation. 
    B. The provisions of this article apply only to sources of  volatile organic compounds in volatile organic compound emissions control areas  designated in 9VAC5-20-206. 
    9VAC5-40-5500. Definitions. (Repealed.)
    A. For the purpose of these regulations and subsequent  amendments or any orders issued by the board, the words or terms shall have the  meanings given them in subsection C of this section. 
    B. As used in this article, all terms not defined here  shall have the meanings given them in 9VAC5 Chapter 10 (9VAC5-10-10 et seq.),  unless otherwise required by context. 
    C. Terms defined. 
    "Asphalt" means a dark-brown to black  cementitious material (solid, semisolid, or liquid in consistency) in which the  predominating constituents are bitumens which occur in nature as such or which  are obtained as residue in refining petroleum. 
    "Cutback asphalt" means asphalt cement which has  been liquefied by blending with petroleum solvents (diluents). Upon exposure to  atmospheric conditions the diluents evaporate, leaving the asphalt cement to  perform its function. 
    "Emulsified asphalt" means an emulsion of  asphalt cement and water which contains a small amount of an emulsifying agent;  a heterogeneous system containing two normally immiscible phases (asphalt and  water) in which the water forms the continuous phase of the emulsion, and  minute globules of asphalt form the discontinuous phase. 
    "Penetrating prime coat" means an application of  low-viscosity liquid asphalt to an absorbent surface. It is used to prepare an  untreated base for an asphalt surface. The prime penetrates the base and fills  the surface voids, hardens the top, and helps bind it to the overlying asphalt  course. It also reduces the necessity of maintaining an untreated base course  prior to placing the asphalt pavement. 
    9VAC5-40-5510. Standard for volatile organic compounds. (Repealed.)
    A. No owner or other person shall cause or permit the  manufacture, mixing, storage, use or application of liquefied asphalt for  paving operations unless such asphalt is of the emulsified asphalt type. 
    B. Regardless of the provisions of subsection A of this  section, the manufacture, mixing, storage, use or application of cutback  asphalt is permitted under any of the following circumstances: 
    1. When stockpile storage greater than one month is  necessary; 
    2. When use or application during the months of November  through March is necessary; 
    3. When use or application as a penetrating prime coat or  tack coat is necessary; or 
    4. When the user can demonstrate that there are no volatile  organic compound emissions from the asphalt under conditions of normal use. 
    C. The provisions of subsection A of this section do not  preclude the manufacture, mixing, storage, use or application of heated asphalt  cement as a component in asphaltic concrete mixing or for priming in surface  treatment. 
    D. Notwithstanding the provisions of subsection A of this  section, the manufacture, mixing, storage, use or application of emulsified  asphalt containing volatile organic compounds is permitted provided the annual  average of volatile organic compound content for all emulsified asphalts used  does not exceed 6% of volatile organic compounds by volume. 
    9VAC5-40-5520. Standard for visible emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of this  chapter (Emission Standards for Visible Emissions and Fugitive Dust/Emissions,  Rule 4-1) apply. 
    9VAC5-40-5530. Standard for fugitive dust/emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of this  chapter (Emission Standards for Visible Emissions and Fugitive Dust/Emissions,  Rule 4-1) apply. 
    9VAC5-40-5540. Standard for odor. (Repealed.)
    The provisions of Article 2 (9VAC5-40-130 et seq.) of this  chapter (Emission Standards for Odor, Rule 4-2) apply. 
    9VAC5-40-5550. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 3 (9VAC5-40-160 et seq.) of this  chapter (Emission Standards for Toxic Pollutants, Rule 4-3) apply. 
    9VAC5-40-5560. Compliance. (Repealed.)
    The provisions of 9VAC5-40-20 (Compliance) apply. 
    9VAC5-40-5570. Test methods and procedures. (Repealed.)
    The provisions of 9VAC5-40-30 (Emission Testing) apply. 
    9VAC5-40-5580. Monitoring. (Repealed.)
    The provisions of 9VAC5-40-40 (Monitoring) apply. 
    9VAC5-40-5590. Notification, records and reporting. (Repealed.)
    The provisions of 9VAC5-40-50 (Notification, Records and  Reporting) apply. 
    Article 42 
  Emission Standards for Portable Fuel Container Spillage (Rule 4-42) 
    9VAC5-40-5700. Applicability. (Repealed.)
    A. Except as provided in subsections C through H of this  section, the provisions of this article apply to any person who sells,  supplies, offers for sale, or manufactures for sale portable fuel containers or  spouts. 
    B. The provisions of this article apply only to sources  and persons in the Northern Virginia and Fredericksburg Volatile Organic Compound  Emissions Control Areas designated in 9VAC5-20-206. 
    C. The provisions of this article do not apply to any  portable fuel container or spout manufactured for shipment, sale, and use  outside of the Northern Virginia and Fredericksburg Volatile Organic Compound  Emissions Control Areas. 
    D. This article does not apply to a manufacturer or  distributor who sells, supplies, or offers for sale a portable fuel container  or spout that does not comply with the emission standards specified in  9VAC5-40-5720, as long as the manufacturer or distributor can demonstrate that:  (i) the portable fuel container or spout is intended for shipment and use  outside of the Northern Virginia and Fredericksburg Volatile Organic Compound  Emissions Control Areas; and (ii) that the manufacturer or distributor has  taken reasonable prudent precautions to assure that the portable fuel container  or spout is not distributed within the Northern Virginia and Fredericksburg  Volatile Organic Compound Emissions Control Areas. This subsection does not  apply to portable fuel containers or spouts that are sold, supplied, or offered  for sale to retail outlets. 
    E. This article does not apply to safety cans meeting the  requirements of 29 CFR Part 1926 Subpart F. 
    F. This article does not apply to portable fuel containers  with a nominal capacity less than or equal to one quart. 
    G. This article does not apply to rapid refueling devices  with nominal capacities greater than or equal to four gallons, provided such  devices are designed either (i) to be used in officially sanctioned off-highway  motorcycle competitions, (ii) to create a leak-proof seal against a stock  target fuel tank, or (iii) to operate in conjunction with a receiver  permanently installed on the target fuel tank. 
    H. This article does not apply to portable fuel tanks  manufactured specifically to deliver fuel through a hose attached between the  portable fuel tank and the outboard engine for the purpose of operating the  outboard engine. 
    I. For purposes of this article, the terms  "supply" or "supplied" do not include internal transactions  within a business or governmental entity. These terms only apply to  transactions between manufacturers/commercial distributors that sell, or  otherwise provide, products to business/governmental entities/individuals. 
    9VAC5-40-5710. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meanings given them in subsection C of  this section. 
    B. As used in this article, all terms not defined herein  shall have the meanings given them in 9VAC5 Chapter 10 (9VAC5-10), unless  otherwise required by context. 
    C. Terms defined. 
    "ASTM" means the American Society for Testing  and Materials. 
    "Consumer" means any person who purchases or  otherwise acquires a new portable fuel container or spout for personal, family,  household, or institutional use. Persons acquiring a portable fuel container or  spout for resale are not "consumers" for that product. 
    "Distributor" means any person to whom a  portable fuel container or spout is sold or supplied for the purpose of resale  or distribution in commerce. This term does not include manufacturers,  retailers, and consumers. 
    "Fuel" means all motor fuels subject to any  provision of Chapter 12 (§ 59.1-149 et seq.) of Title 59.1 of the Code of  Virginia. 
    "Manufacturer" means any person who imports,  manufactures, assembles, produces, packages, repackages, or relabels a portable  fuel container or spout. 
    "Nominal capacity" means the volume indicated by  the manufacturer that represents the maximum recommended filling level. 
    "Outboard engine" means a spark-ignition marine  engine that, when properly mounted on a marine watercraft in the position to  operate, houses the engine and drive unit external to the hull of the marine  watercraft. 
    "Permeation" means the process by which  individual fuel molecules may penetrate the walls and various assembly  components of a portable fuel container directly to the outside ambient air. 
    "Portable fuel container" means any container or  vessel with a nominal capacity of 10 gallons or less intended for reuse that is  designed or used primarily for receiving, transporting, storing, and dispensing  fuel. 
    "Product category" means the applicable category  that best describes the product with respect to its nominal capacity, material  construction, fuel flow rate, and permeation rate, as applicable, as determined  by the board. 
    "Retailer" means any person who owns, leases,  operates, controls, or supervises a retail outlet. 
    "Retail outlet" means any establishment at which  portable fuel containers or spouts are sold, supplied, or offered for sale. 
    "Spill-proof spout" means any spout that  complies with the standards specified in 9VAC5-40-5720 B. 
    "Spill-proof system" means any configuration of  portable fuel container and firmly attached spout that complies with the  standards in 9VAC5-40-5720 A. 
    "Spout" means any device that can be firmly  attached to a portable fuel container and through which the contents of the  container may be poured. 
    "Target fuel tank" means any receptacle that  receives fuel from a portable fuel container. 
    9VAC5-40-5720. Standard for volatile organic compounds. (Repealed.)
    A. No person shall sell, supply, offer for sale, or  manufacture for sale any portable fuel container that at the time of sale or  manufacture does not meet all of the following standards for spill-proof  systems: 
    1. Has an automatic shut-off that stops the fuel flow  before the target fuel tank overflows. 
    2. Automatically closes and seals when removed from the  target fuel tank and remains completely closed when not dispensing fuel. 
    3. Has only one opening for both filling and pouring. 
    4. Provides a fuel flow rate and fill level of: 
    a. Not less than one-half gallon per minute for portable  fuel containers with a nominal capacity of: 
    (1) Less than or equal to 1.5 gallons and fills to a level  less than or equal to one inch below the top of the target fuel tank opening;  or 
    (2) Greater than 1.5 gallons but less than or equal to 2.5  gallons and fills to a level less than or equal to one inch below the top of  the target fuel tank opening if the spill-proof system clearly displays the  phrase "Low Flow Rate" in type of 34 point or greater on each  spill-proof system or label affixed thereto and on the accompanying package, if  any; or 
    b. Not less than one gallon per minute for portable fuel  containers with a nominal capacity greater than 1.5 gallons but less than or  equal to 2.5 gallons and fills to a level less than or equal to 1.25 inches  below the top of the target fuel tank opening; or 
    c. Not less than two gallons per minute for portable fuel  containers with a nominal capacity greater than 2.5 gallons. 
    5. Does not exceed a permeation rate of 0.4 grams per  gallon per day. 
    6. Is warranted by the manufacturer for a period of not  less than one year against defects in materials and workmanship. 
    B. No person shall sell, supply, offer for sale, or  manufacture for sale any spout that at the time of sale or manufacture does not  meet all of the following standards for spill-proof spouts: 
    1. Has an automatic shut-off that stops the fuel flow  before the target fuel tank overflows. 
    2. Automatically closes and seals when removed from the  target fuel tank and remains completely closed when not dispensing fuel. 
    3. Provides a fuel flow rate and fill level of: 
    a. Not less than one-half gallon per minute for portable  fuel containers with a nominal capacity of: 
    (1) Less than or equal to 1.5 gallons and fills to a level  less than or equal to one inch below the top of the target fuel tank opening;  or 
    (2) Greater than 1.5 gallons but less than or equal to 2.5  gallons and fills to a level less than or equal to one inch below the top of  the target fuel tank opening if the spill-proof spout clearly displays the  phrase "Low Flow Rate" in type of 34 point or greater on the  accompanying package, or for spill-proof spouts sold without packaging, on  either the spill-proof spout or a label affixed thereto; or 
    b. Not less than one gallon per minute for portable fuel  containers with a nominal capacity greater than 1.5 gallons but less than or  equal to 2.5 gallons and fills to a level less than or equal to 1.25 inches  below the top of the target fuel tank opening; or 
    c. Not less than two gallons per minute for portable fuel  containers with a nominal capacity greater than 2.5 gallons. 
    4. Is warranted by the manufacturer for a period of not  less than one year against defects in materials and workmanship. 
    C. The test procedures for determining compliance with the  standards in this section are set forth in 9VAC5-40-5760. The manufacturer of  portable fuel containers or spouts shall perform the tests for determining  compliance as set forth in 9VAC5-40-5760 to show that its product meets the  standards of this section prior to allowing the product to be offered for sale.  The manufacturer shall maintain records of these compliance tests for as long  as the product is available for sale and shall make those test results  available within 60 days of request. 
    D. Compliance with the standards in this section does not  exempt spill-proof systems or spill-proof spouts from compliance with other  applicable federal and state statutes and regulations such as state fire codes,  safety codes, and other safety regulations, nor will the board test for or  determine compliance with such other statutes or regulations. 
    E. Notwithstanding the provisions of subsections A and B  of this section, a portable fuel container or spout manufactured before the  applicable compliance date specified in 9VAC5-40-5750 A, may be sold, supplied,  or offered for sale after the applicable compliance date, if the date of  manufacture or a date code representing the date of manufacture is clearly  displayed on the portable fuel container or spout. 
    9VAC5-40-5730. Administrative requirements. (Repealed.)
    A. Each manufacturer of a portable fuel container subject  to and complying with 9VAC5-40-5720 A shall clearly display on each spill-proof  system: 
    1. The phrase "Spill-Proof System"; 
    2. A date of manufacture or representative date; and 
    3. A representative code identifying the portable fuel  container as subject to and complying with 9VAC5-40-5720 A. 
    B. Each manufacturer of a spout subject to and complying  with 9VAC5-40-5720 B shall clearly display on the accompanying package, or for  spill-proof spouts sold without packaging on either the spill-proof spout or a  label affixed thereto: 
    1. The phrase "Spill-Proof Spout"; 
    2. A date of manufacture or representative date; and 
    3. A representative code identifying the spout as subject  to and complying with 9VAC5-40-5720 B. 
    C. Each manufacturer subject to subsection A or B of this  section shall file an explanation of both the date code and representative code  with the board no later than the later of three months after the effective date  of this article or within three months of production, and within three months  after any change in coding. 
    D. Each manufacturer subject to subsection A or B of this  section shall clearly display a fuel flow rate on each spill-proof system or  spill-proof spout, or label affixed thereto, and on any accompanying package. 
    E. Each manufacturer of a spout subject to subsection B of  this section shall clearly display the make, model number, and size of those  portable fuel containers the spout is designed to accommodate and for which the  manufacturer can demonstrate the container's compliance with 9VAC5-40-5720 A on  the accompanying package, or for spill-proof spouts sold without packaging on  either the spill-proof spout or a label affixed thereto. 
    F. Manufacturers of portable fuel containers not subject  to or not in compliance with 9VAC5-40-5720 may not display the phrase  "Spill-Proof System" or "Spill-Proof Spout" on the portable  fuel container or spout or on any sticker or label affixed thereto or on any  accompanying package. 
    G. Each manufacturer of a portable fuel container or spout  subject to and complying with 9VAC5-40-5720 that due to its design or other  features cannot be used to refuel on-road motor vehicles shall clearly display  the phrase "Not Intended For Refueling On-Road Motor Vehicles" in  type of 34 point or greater on each of the following: 
    1. For a portable fuel container sold as a spill-proof  system, on the system or on a label affixed thereto, and on the accompanying package,  if any; and 
    2. For a spill-proof spout sold separately from a  spill-proof system, on either the spill-proof spout, or a label affixed  thereto, and on the accompanying package, if any. 
    9VAC5-40-5740. Compliance. (Repealed.)
    The provisions of subsections B, D, F, and J of  9VAC5-40-20 (Compliance) apply. The other provisions of 9VAC5-40-20 do not  apply. 
    9VAC5-40-5750. Compliance schedules. (Repealed.)
    A. Affected persons shall comply with the provisions of  this article as expeditiously as possible but in no case later than: 
    1. January 1, 2005, in the Northern Virginia VOC Emissions  Control Area; or 
    2. January 1, 2008, in the Fredericksburg VOC Emissions  Control Area. 
    B. Any person who cannot comply with the provisions of  this article by the date specified in subsection A of this section, due to  extraordinary reasons beyond that person's reasonable control, may apply in  writing to the board for a waiver. The waiver application shall set forth: 
    1. The specific grounds upon which the waiver is sought; 
    2. The proposed date by which compliance with the  provisions of this article will be achieved; and 
    3. A compliance report detailing the methods by which compliance  will be achieved. 
    C. No waiver may be granted unless all of the following  findings are made: 
    1. That, due to reasons beyond the reasonable control of  the applicant, required compliance with this article would result in  extraordinary economic hardship; 
    2. That the public interest in mitigating the extraordinary  hardship to the applicant by issuing the waiver outweighs the public interest  in avoiding any increased emissions of air contaminants that would result from  issuing the waiver; and 
    3. That the compliance report proposed by the applicant can  reasonably be implemented and shall achieve compliance as expeditiously as  possible. 
    D. Any approval of a waiver shall specify a final  compliance date by which compliance with the requirements of this article shall  be achieved. Any approval of a waiver shall contain a condition that specifies  the increments of progress necessary to assure timely compliance and such other  conditions that the board finds necessary to carry out the purposes of this article.  
    E. A waiver shall cease to be effective upon the failure  of the party to whom the waiver was granted to comply with any term or  condition of the waiver. 
    F. Upon the application of any person, the board may  review, and for good cause, modify or revoke a waiver from requirements of this  article. 
    9VAC5-40-5760. Test methods and procedures. (Repealed.)
    A. The provisions of subsection G of 9VAC5-40-30 (Emission  testing) apply. The other provisions of 9VAC5-40-30 do not apply. 
    B. Testing to determine compliance with 9VAC5-40-5720 B of  this article shall be performed by using the following test procedures: 
    1. California Air Resources Board (CARB) Automatic Shut-Off  Test Procedure for Spill-Proof Systems and Spill-Proof Spouts. 
    2. CARB Automatic Closure Test Procedure for Spill-Proof  Systems and Spill-Proof Spouts. 
    3. CARB Determination of Fuel Flow Rate for Spill-Proof  Systems and Spill-Proof Spouts. 
    C. Testing to determine compliance with 9VAC5-40-5720 A of  this article shall be performed by using all test procedures in subsection B of  this section and the following test procedure: CARB Determination of Permeation  Rate for Spill-Proof Systems. These test methods are incorporated by reference  in 9VAC5-20-21. 
    9VAC5-40-5770. Notification, records and reporting. (Repealed.)
    The provisions of subsections D, E, F, and H of  9VAC5-40-50 (Notification, records and reporting) apply. The other provisions  of 9VAC5-40-50 do not apply. 
    Article 49 
  Emission Standards for Architectural and Industrial Maintenance Coatings (Rule  4-49) 
    9VAC5-40-7120. Applicability. (Repealed.)
    A. Except as provided in subsection C of this section, the  provisions of this article apply to any person who supplies, sells, offers for  sale, or manufactures any architectural coating for use, as well as any person  who applies or solicits the application of any architectural coating. 
    B. The provisions of this article apply only to persons in  the Northern Virginia and Fredericksburg Volatile Organic Compound Emissions  Control Areas designated in 9VAC5-20-206. 
    C. The provisions of this article do not apply to: 
    1. Any architectural coating that is sold or manufactured  for use exclusively outside of the Northern Virginia and Fredericksburg  Volatile Organic Compound Emission Control Areas or for shipment to other  manufacturers for reformulation or repackaging. 
    2. Any aerosol coating product. 
    3. Any architectural coating that is sold in a container  with a volume of one liter (1.057 quart) or less. 
    D. For purposes of this article, the terms  "supply" or "supplied" do not include internal transactions  within a business or governmental entity. These terms only apply to  transactions between manufacturers/commercial distributors that sell, or  otherwise provide, products to businesses/governmental entities/individuals. 
    9VAC5-40-7130. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meanings given them in subsection C of  this section. 
    B. As used in this article, all terms not defined herein  shall have the meanings given them in 9VAC5 Chapter 10 (9VAC5-10), unless  otherwise required by context. 
    C. Terms defined. 
    "Adhesive" means any chemical substance that is  applied for the purpose of bonding two surfaces together other than by  mechanical means. 
    "Aerosol coating product" means a pressurized  coating product containing pigments or resins that dispenses product  ingredients by means of a propellant, and is packaged in a disposable can for  hand-held application, or for use in specialized equipment for ground  traffic/marking applications. 
    "Antenna coating" means a coating labeled and  formulated exclusively for application to equipment and associated structural  appurtenances that are used to receive or transmit electromagnetic signals. 
    "Antifouling coating" means a coating labeled  and formulated for application to submerged stationary structures and their  appurtenances to prevent or reduce the attachment of marine or freshwater  biological organisms. To qualify as an antifouling coating, the coating shall  be registered with both the U.S. EPA under the Federal Insecticide, Fungicide  and Rodenticide Act (7 USC § 136 et seq.) and with the Pesticide Control Board  under the provisions of the Virginia Pesticide Control Act (Chapter 14.1 (§  3.1-249.27 et seq.) of Title 3.1 of the Code of Virginia). 
    "Appurtenance" means any accessory to a  stationary structure coated at the site of installation, whether installed or  detached, including but not limited to bathroom and kitchen fixtures; cabinets;  concrete forms; doors; elevators; fences; hand railings; heating equipment, air  conditioning equipment, and other fixed mechanical equipment or stationary  tools; lampposts; partitions pipes and piping systems; rain gutters and  downspouts; stairways; fixed ladders; catwalks and fire escapes; and window  screens. 
    "Architectural coating" means a coating to be  applied to stationary structures or the appurtenances at the site of  installation, to portable buildings at the site of installation, to pavements,  or to curbs. Coatings applied in shop applications or to nonstationary  structures such as airplanes, ships, boats, railcars, and automobiles, and  adhesives are not considered architectural coatings for the purposes of this  article. 
    "ASTM" means the American Society for Testing  and Materials. 
    "Bitumens" means black or brown materials  including, but not limited to, asphalt, tar, pitch, and asphaltite that are  soluble in carbon disulfide, consist mainly of hydrocarbons, and are obtained  from natural deposits of asphalt or as residues from the distillation of crude  petroleum or coal. 
    "Bituminous roof coating" means a coating that  incorporates bitumens that is labeled and formulated exclusively for roofing. 
    "Bituminous roof primer" means a primer that  consists of a coating or mastic formulated and recommended for roofing,  pavement sealing, or waterproofing that incorporates bitumens. 
    "Bond breaker" means a coating labeled and  formulated for application between layers of concrete to prevent a freshly  poured top layer of concrete from bonding to the layer over which it is poured.  
    "Calcimine recoater" means a flat solvent borne  coating formulated and recommended specifically for recoating calcimine-painted  ceilings and other calcimine-painted substrates. 
    "Clear brushing lacquers" means clear wood  finishes, excluding clear lacquer sanding sealers, formulated with  nitrocellulose or synthetic resins to dry by solvent evaporation without  chemical reaction and to provide a solid, protective film, that are intended exclusively  for application by brush and that are labeled as specified in subdivision 5 of  9VAC5-40-7150. 
    "Clear wood coatings" means clear and  semi-transparent coatings, including lacquers and varnishes, applied to wood  substrates to provide a transparent or translucent solid film. 
    "Coating" means a material applied onto or  impregnated into a substrate for protective, decorative, or functional  purposes. Such materials include, but are not limited to, paints, varnishes,  sealers, and stains. 
    "Colorant" means a concentrated pigment  dispersion in water, solvent, or binder that is added to an architectural  coating after packaging in sale units to produce the desired color. 
    "Concrete curing compound" means a coating  labeled and formulated for application to freshly poured concrete to retard the  evaporation of water. 
    "Concrete surface retarder" means a mixture of  retarding ingredients such as extender pigments, primary pigments, resin, and  solvent that interact chemically with the cement to prevent hardening on the  surface where the retarder is applied, allowing the retarded mix of cement and  sand at the surface to be washed away to create an exposed aggregate finish. 
    "Conversion varnish" means a clear acid curing  coating with an alkyd or other resin blended with amino resins and supplied as  a single component or two-component product. Conversion varnishes produce a  hard, durable, clear finish designed for professional application to wood  flooring. The film formation is the result of an acid-catalyzed condensation  reaction, effecting a transetherification at the reactive ethers of the amino  resins. 
    "Dry fog coating" means a coating labeled and  formulated only for spray application such that overspray droplets dry before  subsequent contact with incidental surfaces in the vicinity of the surface  coating activity. 
    "Exempt compound" means a compound identified as  exempt under the definition of Volatile Organic Compound (VOC) in 9VAC5-10-20.  An exempt compound's content of a coating shall be determined by Reference  Method 24 or South Coast Air Quality Management District (SCAQMD) Method for  Determination of Exempt Compounds (see 9VAC5-20-21). 
    "Extreme durability coating" means an air-dried  coating, including fluoropolymer-based coating, that is formulated and  recommended for application to exterior metal surfaces and touch up, repair and  overcoating of precoated metal surfaces, and that meets the weathering  requirements of American Architectural Manufacturers Association Voluntary  Specification—Performance Requirements and Test Procedures for High Performance  Organic Coatings on Aluminum Extrusions and Panels (see 9VAC5-20-21). 
    "Faux finishing coating" means a coating labeled  and formulated as a stain or a glaze to create artistic effects including, but  not limited to, dirt, old age, smoke damage, and simulated marble and wood  grain. 
    "Fire-resistive coating" means an opaque coating  labeled and formulated to protect the structural integrity by increasing the  fire endurance of interior or exterior steel and other structural materials,  that has been fire tested and rated by a testing agency and approved by building  code officials for use in bringing assemblies of structural materials into  compliance with federal, state, and local building code requirements. The  fire-resistive coating shall be tested in accordance with American Society for  Testing and Materials (ASTM) Standard Test Method for Fire Tests of Building  Construction Materials (see 9VAC5-20-21). 
    "Fire-retardant coating" means a coating labeled  and formulated to retard ignition and flame spread, that has been fire tested  and rated by a testing agency and approved by building code officials for use  in bringing building and construction materials into compliance with federal,  state, and local building code requirements. The fire-retardant coating shall  be tested in accordance with ASTM Standard Test Method for Surface Burning  Characteristics of Building Construction Materials (see 9VAC5-20-21). 
    "Flat coating" means a coating that is not  defined under any other definition in this article and that registers gloss  less than 15 on an 85-degree meter or less than five on a 60-degree meter  according to ASTM Standard Test Method for Specular Gloss (see 9VAC5-20-21). 
    "Floor coating" means an opaque coating that is  labeled and formulated for application to flooring, including, but not limited  to, decks, porches, steps, and other horizontal surfaces, that may be subjected  to foot traffic. 
    "Flow coating" means a coating labeled and  formulated exclusively for use by electric power companies or their  subcontractors to maintain the protective coating systems present on utility  transformer units. 
    "Form-release compound" means a coating labeled  and formulated for application to a concrete form to prevent the freshly poured  concrete from bonding to the form. The form may consist of wood, metal, or some  material other than concrete. 
    "Graphic arts coating or sign paint" means a  coating labeled and formulated for hand-application by artists using brush or  roller techniques to indoor and outdoor signs (excluding structural components)  and murals including letter enamels, poster colors, copy blockers, and bulletin  enamels. 
    "High-temperature coating" means a  high-performance coating labeled and formulated for application to substrates  exposed continuously or intermittently to temperatures above 204 degrees  Centigrade (400 degrees Fahrenheit). 
    "Impacted immersion coating" means a high  performance maintenance coating formulated and recommended for application to  steel structures subject to immersion in turbulent, debris-laden water. These  coatings are specifically resistant to high-energy impact damage caused by  floating ice or debris. 
    "Industrial maintenance coating" means a  high-performance architectural coating, including primers, sealers,  undercoaters, intermediate coats, and topcoats, formulated for application to  substrates exposed to one or more of the following extreme environmental  conditions, and labeled as specified in subdivision 4 of 9VAC5-40-7150: 
    1. Immersion in water, wastewater, or chemical solutions  (aqueous and nonaqueous solutions), or chronic exposures of interior surfaces  to moisture condensation; 
    2. Acute or chronic exposure to corrosive, caustic, or  acidic agents, or to chemicals, chemical fumes, or chemical mixtures or  solutions; 
    3. Repeated exposure to temperatures above 121 degrees  Centigrade (250 degrees Fahrenheit); 
    4. Repeated (frequent) heavy abrasion, including mechanical  wear and repeated (frequent) scrubbing with industrial solvents, cleansers, or  scouring agents; or 
    5. Exterior exposure of metal structures and structural  components. 
    "Lacquer" means a clear or opaque wood coating,  including clear lacquer sanding sealers, formulated with cellulosic or  synthetic resins to dry by evaporation without chemical reaction and to provide  a solid, protective film. 
    "Low-solids coating" means a coating containing  0.12 kilogram or less of solids per liter (one pound or less of solids per  gallon) of coating material. 
    "Magnesite cement coating" means a coating  labeled and formulated for application to magnesite cement decking to protect  the magnesite cement substrate from erosion by water. 
    "Mastic texture coating" means a coating labeled  and formulated to cover holes and minor cracks and to conceal surface  irregularities, and is applied in a single coat of at least 10 mils (0.010  inch) dry film thickness. 
    "Metallic pigmented coating" means a coating  containing at least 48 grams of elemental metallic pigment, mica particles or  any combination of metallic pigment or mica particles per liter of coating as  applied (0.4 pounds per gallon), when tested in accordance with South Coast Air  Quality Air Management District (SCAQMD) Method for Determination of Weight  Percent Elemental Metal in Coatings by X-Ray Diffraction (see 9VAC5-20-21). 
    "Multi-color coating" means a coating that is  packaged in a single container and that exhibits more than one color when  applied in a single coat. 
    "Nonflat coating" means a coating that is not  defined under any other definition in this article and that registers a gloss  of 15 or greater on an 85-degree meter and five or greater on a 60-degree meter  according to ASTM Standard Test Method for Specular Gloss (see 9VAC5-20-21). 
    "Nonflat high-gloss coating" means a nonflat  coating that registers a gloss of 70 or above on a 60-degree meter according to  ASTM Standard Test Method for Specular Gloss (see 9VAC5-20-21). 
    "Nonindustrial use" means any use of  architectural coatings except in the construction or maintenance of any of the  following: facilities used in the manufacturing of goods and commodities;  transportation infrastructure, including highways, bridges, airports and  railroads; facilities used in mining activities, including petroleum  extraction; and utilities infrastructure, including power generation and distribution,  and water treatment and distribution systems. 
    "Nuclear coating" means a protective coating  formulated and recommended to seal porous surfaces such as steel (or concrete)  that otherwise would be subject to intrusions by radioactive materials. These  coatings must be resistant to long-term (service life) cumulative radiation  exposure as determined by ASTM Standard Test Method for Effects of Gamma  Radiation on Coatings for Use in Light-Water Nuclear Power Plants (see  9VAC5-20-21), relatively easy to decontaminate, and resistant to various  chemicals to which the coatings are likely to be exposed as determined by ASTM  Standard Test Method for Chemical Resistance of Coatings Used in Light-Water  Nuclear Power Plants (see 9VAC5-20-21). 
    "Post-consumer coating" means a finished coating  that would have been disposed of in a landfill, having completed its usefulness  to a consumer, and does not include manufacturing wastes. 
    "Pretreatment wash primer" means a primer that  contains a minimum of 0.5 acid, by weight, when tested in accordance with ASTM  Standard Test Method for Acidity in Volatile Solvents and Chemical  Intermediates Used in Paint, Varnish, Lacquer and Related Products (see  9VAC5-20-21), that is labeled and formulated for application directly to bare  metal surfaces to provide corrosion resistance and to promote adhesion of  subsequent topcoats. 
    "Primer" means a coating labeled and formulated  for application to a substrate to provide a firm bind between the substrate and  subsequent coats. 
    "Quick-dry enamel" means a nonflat coating that  is labeled as specified in subdivision 8 of 9VAC5-40-7150 and that is  formulated to have the following characteristics: 
    1. Is capable of being applied directly from the container  under normal conditions with ambient temperatures between 16 and 27 degrees  Centigrade (60 and 80 degrees Fahrenheit); 
    2. When tested in accordance with ASTM Standard Methods for  Drying, Curing, or Film Formation of Organic Coatings at Room Temperature (see  9VAC5-20-21), sets to touch in two hours or less, is tack-free in four hours or  less, and dries hard in eight hours or less by the mechanical test method; and 
    3. Has a dried film gloss of 70 or above on a 60-degree  meter. 
    "Quick-dry primer sealer and undercoater" means  a primer, sealer, or undercoater that is dry to the touch in 30 minutes and can  be recoated in two hours when tested in accordance with ASTM Standard Methods  for Drying, Curing, or Film Formation of Organic Coatings at Room Temperature  (see 9VAC5-20-21). 
    "Recycled coating" means an architectural  coating formulated such that not less than 50% of the total weight consists of  secondary and post-consumer coating, with not less than 10% of the total weight  consisting of post-consumer coating. 
    "Residence" means areas where people reside or  lodge, including, but not limited to, single and multiple family dwellings,  condominiums, mobile homes, apartment complexes, motels, and hotels. 
    "Roof coating" means a nonbituminous coating  labeled and formulated exclusively for application to roofs for the primary  purpose of preventing penetration of the substrate by water or reflecting heat  and ultraviolet radiation. Metallic pigmented roof coatings, which qualify as  metallic pigmented coatings, shall not be considered in this category, but  shall be considered to be in the metallic pigmented coatings category. 
    "Rust-preventive coating" means a coating  formulated exclusively for nonindustrial use to prevent the corrosion of metal  surfaces and labeled as specified in subdivision 6 of 9VAC5-40-7150. 
    "Sanding sealer" means a clear or  semi-transparent wood coating labeled and formulated for application to bare  wood to seal the wood and to provide a coat that can be abraded to create a  smooth surface for subsequent applications of coatings. A sanding sealer that  also meets the definition of a lacquer is not included in this category, but it  is included in the lacquer category. 
    "Sealer" means a coating labeled and formulated  for application to a substrate for one or more of the following purposes: to  prevent subsequent coatings from being absorbed by the substrate, or to prevent  harm to subsequent coatings by materials in the substrate. 
    "Secondary coating (rework)" means a fragment of  a finished coating or a finished coating from a manufacturing process that has  converted resources into a commodity of real economic value, but does not  include excess virgin resources of the manufacturing process. 
    "Shellac" means a clear or opaque coating  formulated solely with the resinous secretions of the lac beetle (Laciffer  lacca), thinned with alcohol, and formulated to dry by evaporation without a  chemical reaction. 
    "Shop application" means the application of a  coating to a product or a component of a product in or on the premises of a  factory or a shop as part of a manufacturing, production, or repairing process  (e.g., original equipment manufacturing coatings). 
    "Solicit" means to require for use or to  specify, by written or oral contract. 
    "Specialty primer, sealer, and undercoater"  means a coating labeled as specified in subdivision 7 of 9VAC5-40-7150 and that  is formulated for application to a substrate to seal fire, smoke or water  damage; to condition excessively chalky surfaces; or to block stains. An  excessively chalky surface is one that is defined as having a chalk rating of  four or less as determined by ASTM Standard Test Methods for Evaluating the  Degree of Chalking of Exterior Paint Films (see 9VAC5-20-21). 
    "Stain" means a clear, semi-transparent, or  opaque coating labeled and formulated to change the color of a surface but not  conceal the grain pattern or texture. 
    "Swimming pool coating" means a coating labeled  and formulated to coat the interior of swimming pools and to resist swimming  pool chemicals. 
    "Swimming pool repair and maintenance coating"  means a rubber-based coating labeled and formulated to be used over existing  rubber-based coatings for the repair and maintenance of swimming pools. 
    "Temperature-indicator safety coating" means a  coating labeled and formulated as a color-changing indicator coating for the  purpose of monitoring the temperature and safety of the substrate, underlying  piping, or underlying equipment, and for application to substrates exposed  continuously or intermittently to temperatures above 204 degrees Centigrade  (400 degrees Fahrenheit). 
    "Thermoplastic rubber coating and mastic" means  a coating or mastic formulated and recommended for application to roofing or  other structural surfaces and that incorporates no less than 40% by weight of  thermoplastic rubbers in the total resin solids and may also contain other  ingredients including, but not limited to, fillers, pigments, and modifying  resins. 
    "Tint base" means an architectural coating to  which colorant is added after packaging in sale units to produce a desired  color. 
    "Traffic marking coating" means a coating  labeled and formulated for marking and striping streets, highways, or other  traffic surfaces including, but not limited to, curbs, berets, driveways,  parking lots, sidewalks, and airport runways. 
    "Undercoater" means a coating labeled and  formulated to provide a smooth surface for subsequent coatings. 
    "Varnish" means a clear or semitransparent wood  coating, excluding lacquers and shellacs, formulated to dry by chemical  reaction on exposure to air. Varnishes may contain small amounts of pigment to  color a surface, or to control the fetal sheen or gloss of the finish. 
    "VOC content" means the weight of VOC per volume  of coating, calculated according to the procedures specified in 9VAC5-40-7220  B. 
    "Waterproofing sealer" means a coating labeled  and formulated for application to a porous substrate for the primary purpose of  preventing the penetration of water. 
    "Waterproofing concrete/masonry sealer" means a  clear or pigmented film-forming coating that is labeled and formulated for  sealing concrete and masonry to provide resistance against water, alkalis, acids,  ultraviolet light, and staining. 
    "Wood preservative" means a coating labeled and  formulated to protect exposed wood from decay or insect attack that is  registered with both the U.S. EPA under the Federal Insecticide, Fungicide, and  Rodenticide Act (7 USC § 136 et seq.) and with the Pesticide Control Board  under the provisions of the Virginia Pesticide Control Act (Chapter 14. 1 (§ 3.1-249.27  et seq.) of the Code of Virginia). 
    9VAC5-40-7140. Standard for volatile organic compounds. (Repealed.)
    A. Except as provided in this section, no person shall (i)  manufacture, blend, or repackage for sale, (ii) supply, sell, or offer for  sale, or (iii) solicit for application or apply any architectural coating with  a VOC content in excess of the corresponding limit specified in Table 4-49A. 
    B. If anywhere on the container of any architectural  coating, or any label or sticker affixed to the container, or in any sales,  advertising, or technical literature supplied by a manufacturer or any person  acting on behalf of a manufacturer, any representation is made that indicates  that the coating meets the definition of or is recommended for use for more  than one of the coating categories listed in Table 4-49A, then the most  restrictive VOC content limit shall apply. This provision does not apply to the  following coating categories: 
    Lacquer coatings (including lacquer sanding sealers); 
    Metallic pigmented coatings; 
    Shellacs; 
    Fire-retardant coatings; 
    Pretreatment wash primers; 
    Industrial maintenance coatings; 
    Low-solids coatings; 
    Wood preservatives; 
    High-temperature coatings; 
    Temperature-indicator safety coatings; 
    Antenna coatings; 
    Antifouling coatings; 
    Flow coatings; 
    Bituminous roof primers; 
    Calcimine recoaters; 
    Impacted immersion coatings; 
    Nuclear coatings; 
    Thermoplastic rubber coating and mastic; and 
    Specialty primers, sealers, and undercoaters. 
     
         
      Table 4-49A. 
    VOC Content Limits for Architectural Coatings 
    Limits are expressed in grams of VOC per liter1  of coating thinned to the manufacturer's maximum recommendation, excluding the  volume of any water, exempt compounds, or colorant added to tint bases.  "Manufacturers maximum recommendation" means the maximum  recommendation for thinning that is indicated on the label or lid of the  coating container. 
                                                                    VOC     
                                                                  Content   
     Coating Category                                              Limit    
                                                                            
     Flat Coatings                                                  100     
     Nonflat Coatings                                               150     
     Nonflat High Gloss Coatings                                    250     
     Specialty Coatings:                                                    
       Antenna Coatings                                             530     
       Antifouling Coatings                                         400     
       Bituminous Roof Coatings                                     300     
       Bituminous Roof Primers                                      350     
       Bond Breakers                                                350     
       Calcimine Recoater                                           475     
       Clear Wood Coatings                                                  
        Clear Brushing Lacquers                                    680     
        Lacquers (including lacquer sanding sealers)               550     
        Sanding Sealers (other than lacquer sanding sealers)       350     
        Conversion Varnishes                                       725     
        Varnishes (other than conversion varnishes)                350     
       Concrete Curing Compounds                                    350     
       Concrete Surface Retarder                                    780     
       Dry Fog Coatings                                             400     
       Extreme durability coating                                   400     
       Faux Finishing Coatings                                      350     
       Fire-Resistive Coatings                                      350     
       Fire-Retardant Coatings                                              
        Clear                                                      650     
        Opaque                                                     350     
       Floor Coatings                                               250     
       Flow Coatings                                                420     
       Form-Release Compounds                                       250     
       Graphic Arts Coatings (Sign Paints)                          500     
       High-Temperature Coatings                                    420     
       Impacted Immersion Coating                                   780     
       Industrial Maintenance Coatings                              340     
       Low-Solids Coatings                                          120     
       Magnesite Cement Coatings                                    450     
       Mastic Texture Coatings                                      300     
       Metallic Pigmented Coatings                                  500     
       Multi-Color Coatings                                         250     
       Nuclear Coatings                                             450     
       Pretreatment Wash Primers                                    420     
       Primers, Sealers, and Undercoaters                           200     
       Quick-Dry Enamels                                            250     
       Quick-Dry Primers, Sealers and Undercoaters                  200     
       Recycled Coatings                                            250     
       Roof Coatings                                                250     
       Rust Preventative Coatings                                   400     
       Shellacs                                                             
        Clear                                                      730     
        Opaque                                                     550     
       Specialty Primers, Sealers, and Undercoaters                 350     
       Stains                                                       250     
       Swimming Pool Coatings                                       340     
       Swimming Pool Repair and Maintenance Coatings                340     
       Temperature-Indicator Safety Coatings                        550     
       Thermoplastic Rubber Coating and Mastic                      550     
       Traffic Marking Coatings                                     150     
       Waterproofing Sealers                                        250     
       Waterproofing Concrete/Masonry Sealers                       400     
       Wood Preservatives                                           350     
         
      C. A coating manufactured prior to the applicable  compliance date specified in 9VAC5-40-7210, may be sold, supplied, or offered  for sale for two years following the applicable compliance date. In addition, a  coating manufactured before the applicable compliance date specified in  9VAC5-40-7210, may be applied at any time, both before and after the applicable  compliance date, so long as the coating complied with the standards in effect  at the time the coating was manufactured. This subsection does not apply to any  coating that does not display the date or date code required by subdivision 1  of 9VAC5-40-7150. 
    D. All architectural coating containers used to apply the  contents therein to a surface directly from the container by pouring,  siphoning, brushing, rolling, padding, ragging, or other means, shall be closed  when not in use. These architectural coatings containers include, but are not  limited to, drums, buckets, cans, pails, trays, or other application containers.  Containers of any VOC-containing materials used for thinning and cleanup shall  also be closed when not in use. 
    E. No person who applies or solicits the application of  any architectural coating shall apply a coating that contains any thinning  material that would cause the coating to exceed the applicable VOC limit  specified in Table 4-49A. 
    F. No person shall apply or solicit the application of any  rust preventive coating for industrial use, unless such a rust preventive  coating complies with the industrial maintenance coating VOC limit specified in  Table 4-49A. 
    G. For any coating that does not meet any of the  definitions for the specialty coatings categories listed in Table 4-49A, the  VOC content limit shall be determined by classifying the coating as a flat  coating or a nonflat coating, based on its gloss, as defined in 9VAC5-40-7130  C, and the corresponding flat or nonflat coating limit shall apply. 
    H. Notwithstanding the provisions of subsection A of this  section, up to 10% by volume of VOC may be added to a lacquer to avoid blushing  of the finish during days with relative humidity greater than 70% and  temperature below 65 degrees Fahrenheit, at the time of application, provided  that the coating contains acetone and no more than 550 grams of VOC per liter  of coating, less water and exempt compounds, prior to the addition of VOC. 
    1Conversion factor: one pound of VOC per gallon (U.S.) =  119.95 grams per liter. 
    9VAC5-40-7150. Container labeling requirements. (Repealed.)
    Each manufacturer of any architectural coatings subject to  this article shall display the information listed in subdivisions 1 through 8  of this section on the coating container (or label) in which the coating is  sold or distributed. 
    1. The date the coating was manufactured, or a date code  representing the date, shall be indicated on the label, lid, or bottom of the  container. If the manufacturer uses a date code for any coating, the manufacturer  shall file an explanation of each code with the board. 
    2. A statement of the manufacturer's recommendation  regarding thinning of the coating shall be indicated on the label or lid of the  container. This requirement does not apply to the thinning of architectural  coatings with water. If thinning of the coating prior to use is not necessary,  the recommendation shall specify that the coating is to be applied without  thinning. 
    3. Each container of any coating subject to this article  shall display either the maximum or the actual VOC content of the coating, as  supplied, including the maximum thinning as recommended by the manufacturer.  VOC content shall be displayed in grams of VOC per liter of coating. VOC  content displayed shall be calculated using product formulation data, or shall  be determined using the test methods in 9VAC5-40-7220 C. The equations in  9VAC5-40-7220 B shall be used to calculate VOC content. 
    4. In addition to the information specified in subdivisions  1, 2, and 3 of this section, each manufacturer of any industrial maintenance  coating subject to this article shall display on the label or the lid of the  container in which the coating is sold or distributed one or more of the  descriptions listed in a, b, and c of this subdivision. 
    a. "For industrial use only." 
    b. "For professional use only." 
    c. "Not for residential use" or "Not  intended for residential use." 
    5. The labels of all clear brushing lacquers shall  prominently display the statements "For brush application only," and  "This product shall not be thinned or sprayed." 
    6. The labels of all rust preventive coatings shall  prominently display the statement "For Metal Substrates Only." 
    7. The labels of all specialty primers, sealers, and  undercoaters shall prominently display one or more of the descriptions listed  in a through e of this subdivision. 
    a. For blocking stains. 
    b. For fire-damaged substrates. 
    c. For smoke-damaged substrates. 
    d. For water-damaged substrates. 
    e. For excessively chalky substrates. 
    8. The labels of all quick dry enamels shall prominently  display the words "Quick Dry" and the dry hard time. 
    9. The labels of all nonflat high-gloss coatings shall  prominently display the words "High Gloss." 
    9VAC5-40-7160. Standard for visible emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of 9VAC5  Chapter 40 (Emission Standards for Visible Emissions and Fugitive  Dust/Emissions, Rule 4-1) do not apply. 
    9VAC5-40-7170. Standard for fugitive dust/emissions. (Repealed.)
    The provisions of Article 1 (9VAC5-40-60 et seq.) of 9VAC5  Chapter 40 (Emission Standards for Visible Emissions and Fugitive  Dust/Emissions, Rule 4-1) apply. 
    9VAC5-40-7180. Standard for odor. (Repealed.)
    The provisions of Article 2 (9VAC5-40-130 et seq.) of  9VAC5 Chapter 40 (Emission Standards for Odor, Rule 4-2) apply. 
    9VAC5-40-7190. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 4 (9VAC5-60-200 et seq.) of  9VAC5 Chapter 60 (Emission Standards for Toxic Pollutants from Existing  Sources, Rule 6-4) do not apply. 
    9VAC5-40-7200. Compliance. (Repealed.) 
    The provisions of subsections B, D, F, and J of  9VAC5-40-20 (Compliance) apply. The other provisions of 9VAC5-40-20 do not  apply. 
    9VAC5-40-7210. Compliance schedules. (Repealed.)
    Affected persons shall comply with the provisions of this  article as expeditiously as possible but in no case later than: 
    1. January 1, 2005, in the Northern Virginia VOC Emissions  Control Area; or 
    2. January 1, 2008, in the Fredericksburg VOC Emissions  Control Area. 
    9VAC5-40-7220. Test methods and procedures. (Repealed.)
    A. The provisions of subsection G of 9VAC5-40-30 (Emission  testing) apply. The other provisions of 9VAC5-40-30 do not apply. 
    B. For the purpose of determining compliance with the VOC  content limits in Table 4-49A, the VOC content of a coating shall be determined  by using the procedures described in subdivision 1 or 2 of this subsection, as  appropriate. The VOC content of a tint base shall be determined without  colorant that is added after the tint base is manufactured. 
    1. With the exception of low solids coatings, determine the  VOC content in grams of VOC per liter of coating thinned to the manufacturer's  maximum recommendation, excluding the volume of any water and exempt compounds.  Determine the VOC content using equation 1 as follows: 
           |   | Equation 1: VOC Content =
 | (Ws - Ww - Wec)
 | 
       | (Vm - Vw - Vec)
 | 
  
    Where: 
           |   | VOC content
 | = grams of VOC per liter of coating
 | 
       |   | Ws
 | = weight of volatiles, in grams
 | 
       |   | Ww
 | = weight of water, in grams
 | 
       |   | Wec
 | = weight of exempt compounds, in grams
 | 
       |   | Vm
 | = volume of coating, in liters
 | 
       |   | Vw
 | = volume of water, in liters
 | 
       |   | Vec
 | = volume of exempt compounds, in liters
 | 
  
    2. For low solids coatings, determine the VOC content in  units of grams of VOC per liter of coating thinned to the manufacturer's maximum  recommendation, including the volume of any water and exempt compounds.  Determine the VOC content using equation 2 as follows: 
           |   | Equation 2: VOC Content (ls)=
 | (Ws - Ww - Wec)
 | 
       | (Vm)
 | 
  
    Where: 
           |   | VOC content (ls)
 | = the VOC content of a low solids coating in grams per    liter of coating
 | 
       |   | Ws
 | = weight of volatiles, in grams
 | 
       |   | Ww
 | = weight of water, in grams
 | 
       |   | Wec
 | = weight of exempt compounds, in grams
 | 
       |   | Vm
 | = volume of coating, in liters
 | 
  
    C. To determine the physical properties of a coating in  order to perform the calculations in subsection B, the reference method for VOC  content is Reference Method 24 (see 9VAC5-20-21). The exempt compounds content  shall be determined by SCAQMD Method for Determination of Exempt Compounds (see  9VAC5-20-21). To determine the VOC content of a coating, the manufacturer may  use Reference Method 24, formulation data, or any other reasonable means for  predicting that the coating has been formulated as intended (e.g. quality  assurance checks, recordkeeping). However, if there are any inconsistencies  between the results of a Reference Method 24 test and any other means for  determining VOC content, the Reference Method 24 results will govern. The board  may require the manufacturer to conduct a Reference Method 24 analysis. 
    D. Exempt compounds that are cyclic, branched, or linear,  completely methylated siloxanes shall be analyzed as exempt compounds by Bay  Area Quality Management District (BAAQMD) Method for Determination of Volatile  Methylsiloxanes in Solvent-Based Coatings, Inks, and Related Materials (see  9VAC5-20-21). 
    E. The exempt compound parachlorobenzotrifluoride shall be  analyzed as an exempt compound by BAAQMD Method for Determination of Volatile  Organic Compounds in Solvent-Based Coatings and Related Materials Containing  Parachlorobenzotrifluoride (see 9VAC5-20-21). 
    F. The content of compounds exempt under Reference Method  24 shall be determined by SCAQMD Method for Determination of Exempt Compounds,  Laboratory Methods of Analysis for Enforcement Samples (see 9VAC5-20-21). 
    G. The VOC content of a coating shall be determined by  Reference Method 24 (see 9VAC5-20-21). 
    H. The VOC content of coatings may be determined by either  Reference Method 24 or SCAQMD Method for Determination of Exempt Compounds,  Laboratory Methods of Analysis for Enforcement Samples (see 9VAC5-20-21). 
    I. Other test methods may be used for purposes of  determining compliance with this article consistent with the approval  requirements of 9VAC5-40-20 A 2. 
    J. Analysis of methacrylate multi-components used as  traffic marking coatings shall be conducted according to a modification of  Reference Method 24 (40 CFR Part 59, Subpart D, Appendix A; see 9VAC5-20-21).  This method has not been approved for methacrylate multicomponent coatings used  for purposes other than as traffic marking coatings or for other classes of  multicomponent coatings. 
    9VAC5-40-7230. Notification, records and reporting. (Repealed.)
    A. The provisions of subsections D, E, F, and H of  9VAC5-40-50 (Notification, records and reporting) apply. The other provisions  of 9VAC5-40-50 do not apply. 
    B. Each manufacturer of clear brushing lacquers shall, on  or before April 1 of each calendar year beginning in the year 2006, submit an  annual report to the board. The report shall specify the number of gallons of  clear brushing lacquers sold during the preceding calendar year, and shall  describe the method used by the manufacturer to calculate sales. 
    C. Each manufacturer of rust preventive coatings shall, on  or before April 1 of each calendar year beginning in the year 2006, submit an  annual report to the board. The report shall specify the number of gallons of  rust preventive coatings sold during the preceding calendar year, and shall  describe the method used by the manufacturer to calculate sales. 
    D. Each manufacturer of specialty primers, sealers, and  undercoaters shall, on or before April 1 of each calendar year beginning in the  year 2006, submit an annual report to the board. The report shall specify the  number of gallons of specialty primers, sealers, and undercoaters sold during  the preceding calendar year, and shall describe the method used by the  manufacturer to calculate sales. 
    E. For each architectural coating that contains  perchloroethylene or methylene chloride, the manufacturer shall, on or before  April 1 of each calendar year beginning with the year 2006, report to the board  the following information for products sold during the preceding year: 
    1. The product brand name and a copy of the product label  with the legible usage instructions; 
    2. The product category listed in Table 4-49A to which the  coating belongs; 
    3. The total sales during the calendar year to the nearest  gallon; 
    4. The volume percent, to the nearest 0.10%, of  perchloroethylene and methylene chloride in the coating. 
    F. Manufacturers of recycled coatings shall submit a  letter to the board certifying their status as a Recycled Paint Manufacturer.  The manufacturer shall, on or before April 1 of each calendar year beginning  with the year 2006, submit an annual report to the board. The report shall  include, for all recycled coatings, the total number of gallons distributed  during the preceding year, and shall describe the method used by the  manufacturer to calculate distribution. 
    G. Each manufacturer of bituminous roof coatings or  bituminous roof primers shall, on or before April 1 of each calendar year  beginning with the year 2006, submit an annual report to the board. The report  shall specify the number of gallons of bituminous roof coatings or bituminous  roof primers sold during the preceding calendar year, and shall describe the  method used by the manufacturer to calculate sales. 
    Article 50 
  Emission Standards for Consumer Products (Rule 4-50)
    9VAC5-40-7240. Applicability. (Repealed.)
    A. Except as provided in 9VAC5-40-7250, the provisions of  this article apply to those persons who sell, supply, offer for sale, or  manufacture for sale any consumer product that contains volatile organic  compounds (VOCs) as defined in 9VAC5-10-20. 
    B. The provisions of this article apply throughout the  Northern Virginia and Fredericksburg Volatile Organic Compound Emissions  Control Areas designated in 9VAC5-20-206. 
    C. For purposes of this article, the term  "supply" or "supplied" does not include internal  transactions within a business or governmental entity. The term only applies to  transactions between manufacturers/commercial distributors that sell, or  otherwise provide, products to businesses/governmental entities/individuals. 
    9VAC5-40-7250. Exemptions. (Repealed.)
    A. This article shall not apply to any consumer product  manufactured in the applicable volatile organic compound emissions control  areas designated in 9VAC5-40-7240 for shipment and use outside of those areas. 
    B. The provisions of this article shall not apply to a  manufacturer or distributor who sells, supplies, or offers for sale a consumer  product that does not comply with the VOC standards specified in 9VAC5-40-7270  A, as long as the manufacturer or distributor can demonstrate both that the  consumer product is intended for shipment and use outside of the applicable  volatile organic compound emissions control areas designated in 9VAC5-40-7240,  and that the manufacturer or distributor has taken reasonable prudent  precautions to assure that the consumer product is not distributed to those  applicable volatile organic compound emissions control areas. This subsection  does not apply to consumer products that are sold, supplied, or offered for  sale by any person to retail outlets in those applicable volatile organic  compound emissions control areas. 
    C. The medium volatility organic compound (MVOC) content  standards specified in 9VAC5-40-7270 A for antiperspirants or deodorants shall  not apply to ethanol. 
    D. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to fragrances up to a combined level of 2.0% by weight contained in any  consumer product and shall not apply to colorants up to a combined level of  2.0% by weight contained in any antiperspirant or deodorant. 
    E. The requirements of 9VAC5-40-7270 A for antiperspirants  or deodorants shall not apply to those volatile organic compounds that contain  more than 10 carbon atoms per molecule and for which the vapor pressure is unknown,  or that have a vapor pressure of 2 mm Hg or less at 20 degrees Centigrade. 
    F. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to any LVP-VOC. 
    G. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to air fresheners that are composed entirely of fragrance, less compounds  not defined as VOCs or exempted under subsection F of this section. 
    H. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to air fresheners and insecticides containing at least 98%  paradichlorobenzene. 
    I. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to adhesives sold in containers of one fluid ounce or less. 
    J. The VOC limits specified in 9VAC5-40-7270 A shall not  apply to bait station insecticides. For the purpose of this section, bait station  insecticides are containers enclosing an insecticidal bait that is not more  than 0.5 ounce by weight, where the bait is designed to be ingested by insects  and is composed of solid material feeding stimulants with less than 5.0% active  ingredients. 
    K. A person who cannot comply with the requirements set  forth in 9VAC5-40-7270 because of extraordinary reasons beyond the person's  reasonable control may apply in writing to the board for a waiver. 
    1. The application shall set forth: 
    a. The specific grounds upon which the waiver is sought,  including the facts that support the extraordinary reasons that compliance is  beyond the applicant's reasonable control; 
    b. The proposed dates by which compliance with the  provisions of 9VAC5-40-7270 will be achieved; and 
    c. A compliance report reasonably detailing the methods by  which compliance will be achieved. 
    2. Upon receipt of an application containing the  information required in subdivision 1 of this subsection, the board will hold a  public hearing to determine whether, under what conditions, and to what extent,  a waiver from the requirements in 9VAC5-40-7270 is necessary and will be  permitted. A hearing shall be initiated no later than 75 days after receipt of  a waiver application. Notice of the time and place of the hearing shall be sent  to the applicant by certified mail not less than 30 days prior to the hearing.  Notice of the hearing shall also be submitted for publication in the Virginia  Register. At least 30 days prior to the hearing, the waiver application shall  be made available to the public for inspection. Information submitted to the  board by a waiver applicant may be claimed as confidential, and such  information will be handled in accordance with the procedures specified in §§ 10.1-1314 and 10.1-1314.1 of the Virginia Air Pollution Control Law and  9VAC5-170-60. The board may consider such confidential information in reaching  a decision on an exemption application. Interested members of the public shall  be allowed a reasonable opportunity to testify at the hearing and their  testimony shall be considered. 
    3. No waiver shall be granted unless all of the following  findings are made: 
    a. That, because of reasons beyond the reasonable control  of the applicant, requiring compliance with 9VAC5-40-7270 would result in  extraordinary economic hardship; 
    b. That the public interest in mitigating the extraordinary  hardship to the applicant by issuing the waiver outweighs the public interest  in avoiding any increased emissions of air contaminants which would result from  issuing the waiver; and 
    c. That the compliance report proposed by the applicant can  reasonably be implemented and will achieve compliance as expeditiously as  possible. 
    4. Any waiver may be issued as an order of the board. The  waiver order shall specify a final compliance date by which the requirements of  9VAC5-40-7270 will be achieved. Any waiver order shall contain a condition that  specifies increments of progress necessary to assure timely compliance and such  other conditions that the board, in consideration of the testimony received at  the hearing, finds necessary to carry out the purposes of the Virginia Air  Pollution Control Law and the regulations of the board. 
    5. A waiver shall cease to be effective upon failure of the  party to whom the waiver was granted to comply with any term or condition of  the waiver order. 
    6. Upon the application of anyone, the board may review and  for good cause modify or revoke a waiver from requirements of 9VAC5-40-7270.  Modifications and revocations of waivers are considered case decisions and will  be processed using the procedures prescribed in 9VAC5-170 and Article 3 (§ 2.2-4018 et seq.) of the Administrative Process Act. 
    L. The requirements of 9VAC5-40-7300 A shall not apply to  consumer products registered under FIFRA. 
    9VAC5-40-7260. Definitions. (Repealed.)
    A. For the purpose of applying this article in the context  of the Regulations for the Control and Abatement of Air Pollution and related  uses, the words or terms shall have the meaning given them in subsection C of  this section. 
    B. As used in this article, all terms not defined herein  shall have the meaning given them in 9VAC5 Chapter 10 (9VAC5-10), unless  otherwise required by context. 
    C. Terms defined. 
    "ACP" or "alternative control plan"  means any emissions averaging program approved by the board pursuant to the  provisions of this article. 
    "ACP agreement" means the document signed by the  board that includes the conditions and requirements of the board and that  allows manufacturers to sell ACP products pursuant to the requirements of this  article. 
    "ACP emissions" means the sum of the VOC  emissions from every ACP product subject to an ACP agreement approving an ACP,  during the compliance period specified in the ACP agreement, expressed to the  nearest pound of VOC and calculated according to the following equation: 
    ACP Emissions = (Emissions)1 + (Emissions)2  + ... + (Emissions)N
           | Emissions =
 | (VOC Content) x (Enforceable Sales)
 | 
       | 100
 | 
  
    where 
    1,2,...N = each product in an ACP up to the maximum N. 
    Enforceable sales = (see definition in this section). 
    VOC content = one of the following: 
    1. For all products except for charcoal lighter material  products: 
           | VOC Content =
 | ((B–C) x 100)
 | 
       | A
 | 
  
    where 
    A = total net weight of unit (excluding container and  packaging). 
    B = total weight of all VOCs per unit. 
    C = total weight of all exempted VOCs per unit, as  specified in 9VAC5-40-7250. 
    2. For charcoal lighter material products only: 
           | VOC Content =
 | (Certified Emissions x 100)
 | 
       | Certified Use Rate
 | 
  
    where 
    Certified emissions = (see definition in this section). 
    Certified use rate = (see definition in this section). 
    "ACP limit" means the maximum allowable ACP  emissions during the compliance period specified in an ACP agreement approving  an ACP, expressed to the nearest pound of VOC and calculated according to the  following equation: 
    ACP Limit = (Limit)1 + (Limit)2 +...  + (Limit)N 
    where 
           | Limit =
 | (ACP Standard) x (Enforceable Sales)
 | 
       | 100
 | 
  
    where 
    Enforceable sales = (see definition in this section). 
    ACP standard = (see definition in this section). 
    1,2,...N = each product in an ACP up to the maximum N. 
    "ACP product" means any consumer product subject  to the VOC standards specified in 9VAC5-40-7270 A, except those products that  have been exempted as innovative products under 9VAC5-40-7290. 
    "ACP reformulation" or "ACP  reformulated" means the process of reducing the VOC content of an ACP  product within the period that an ACP is in effect to a level that is less than  the current VOC content of the product. 
    "ACP standard" means either the ACP product's  pre-ACP VOC content or the applicable VOC standard specified in 9VAC5-40-7270  A, whichever is the lesser of the two. 
    "ACP VOC standard" means the maximum allowable  VOC content for an ACP product, determined as follows: 
    1. The applicable VOC standard specified in 9VAC5-40-7270 A  for all ACP products except for charcoal lighter material; 
    2. For charcoal lighter material products only, the VOC  standard for the purposes of this article shall be calculated according to the  following equation: 
           | VOC Standard =
 | (0.020 pound VOC per start x 100)
 | 
       | Certified Use Rate
 | 
  
    where 
    0.020 = the certification emissions level for the product,  as specified in 9VAC5-40-7270 E. 
    Certified use rate = (see definition in this section). 
    "Adhesive" means any product that is used to  bond one surface to another by attachment. Adhesive does not include products  used on humans and animals, adhesive tape, contact paper, wallpaper, shelf  liners, or any other product with an adhesive incorporated onto or in an inert  substrate. For contact adhesive only, adhesive also does not include units of product,  less packaging, which consist of more than one gallon. In addition, for  construction, panel, and floor covering adhesive and general purpose adhesive  only, adhesive does not include units of product, less packaging, which consist  of more than one pound and consist of more than 16 fluid ounces. The package  size limitations do not apply to aerosol adhesives. 
    "Adhesive remover" means a product designed  exclusively for the removal of adhesives, caulk, and other bonding materials  from either a specific substrate or a variety of substrates. 
    "Aerosol adhesive" means an aerosol product in  which the spray mechanism is permanently housed in a nonrefillable can designed  for hand-held application without the need for ancillary hoses or spray  equipment. 
    "Aerosol cooking spray" means any aerosol  product designed either to reduce sticking on cooking and baking surfaces or to  be applied on food or both. 
    "Aerosol product" means a pressurized spray  system that dispenses product ingredients by means of a propellant or  mechanically induced force. Aerosol product does not include pump sprays. 
    "Agricultural use" means the use of any  pesticide or method or device for the control of pests in connection with the  commercial production, storage, or processing of any animal or plant crop.  Agricultural use does not include the sale or use of pesticides in properly  labeled packages or containers that are intended for home use, use in  structural pest control, industrial use, or institutional use. For the purposes  of this definition only: 
    1. "Home use" means use in a household or its  immediate environment. 
    2. "Structural pest control" means a use  requiring a license under the applicable state pesticide licensing requirement.  
    3. "Industrial use" means use for or in a  manufacturing, mining, or chemical process or use in the operation of  factories, processing plants, and similar sites. 
    4. "Institutional use" means use within the  perimeter of, or on property necessary for the operation of, buildings such as  hospitals, schools, libraries, auditoriums, and office complexes. 
    "Air freshener" means any consumer product  including, but not limited to, sprays, wicks, powders, and crystals, designed  for the purpose of masking odors or freshening, cleaning, scenting, or  deodorizing the air. Air fresheners do not include products that are used on  the human body, products that function primarily as cleaning products,  disinfectant products claiming to deodorize by killing germs on surfaces, or  institutional or industrial disinfectants when offered for sale solely through  institutional and industrial channels of distribution. Air fresheners do  include spray disinfectants and other products that are expressly represented  for use as air fresheners, except institutional and industrial disinfectants when  offered for sale through institutional and industrial channels of distribution.  To determine whether a product is an air freshener, all verbal and visual  representations regarding product use on the label or packaging and in the  product's literature and advertising may be considered. The presence of, and  representations about, a product's fragrance and ability to deodorize  (resulting from surface application) shall not constitute a claim of air  freshening. 
    "All other carbon-containing compounds" means  all other compounds that contain at least one carbon atom and are not an  "exempt compound" or an "LVP-VOC." 
    "All other forms" means all consumer product  forms for which no form-specific VOC standard is specified. Unless specified  otherwise by the applicable VOC standard, all other forms include, but are not  limited to, solids, liquids, wicks, powders, crystals, and cloth or paper wipes  (towelettes). 
    "Alternative control plan" or "ACP"  means any emissions averaging program approved by the board pursuant to the  provisions of this article. 
    "Antimicrobial hand or body cleaner or soap"  means a cleaner or soap which is designed to reduce the level of microorganisms  on the skin through germicidal activity. Antimicrobial hand or body cleaner or  soap includes, but is not limited to, antimicrobial hand or body washes or  cleaners, food handler hand washes, healthcare personnel hand washes,  preoperative skin preparations, and surgical scrubs. Antimicrobial hand or body  cleaner or soap does not include prescription drug products, antiperspirants,  astringent or toner, deodorant, facial cleaner or soap, general-use hand or  body cleaner or soap, hand dishwashing detergent (including antimicrobial),  heavy-duty hand cleaner or soap, medicated astringent or medicated toner, and  rubbing alcohol. 
    "Antiperspirant" means any product including,  but not limited to, aerosols, roll-ons, sticks, pumps, pads, creams, and  squeeze bottles, that is intended by the manufacturer to be used to reduce  perspiration in the human axilla by at least 20% in at least 50% of a target  population. 
    "Architectural coating" means a coating applied  to stationary structures and their appurtenances, to mobile homes, to  pavements, or to curbs. 
    "ASTM" means the American Society for Testing  and Materials. 
    "Astringent or toner" means any product not  regulated as a drug by the United States Food and Drug Administration that is  applied to the skin for the purpose of cleaning or tightening pores. This  category also includes clarifiers and substrate-impregnated products. This  category does not include any hand, face, or body cleaner or soap product,  medicated astringent or medicated toner, cold cream, lotion, or antiperspirant.  
    "Automotive brake cleaner" means a cleaning  product designed to remove oil, grease, brake fluid, brake pad material, or  dirt from motor vehicle brake mechanisms. 
    "Automotive hard paste wax" means an automotive  wax or polish that is: 
    1. Designed to protect and improve the appearance of  automotive paint surfaces; 
    2. A solid at room temperature; and 
    3. Contains no water. 
    "Automotive instant detailer" means a product  designed for use in a pump spray that is applied to the painted surface of  automobiles and wiped off prior to the product being allowed to dry. 
    "Automotive rubbing or polishing compound" means  a product designed primarily to remove oxidation, old paint, scratches or swirl  marks, and other defects from the painted surfaces of motor vehicles without  leaving a protective barrier. 
    "Automotive wax, polish, sealant, or glaze"  means a product designed to seal out moisture, increase gloss, or otherwise  enhance a motor vehicle's painted surfaces. Automotive wax, polish, sealant, or  glaze includes, but is not limited to, products designed for use in auto body  repair shops and drive-through car washes, as well as products designed for the  general public. Automotive wax, polish, sealant, or glaze does not include  automotive rubbing or polishing compounds, automotive wash and wax products,  surfactant-containing car wash products, and products designed for use on  unpainted surfaces such as bare metal, chrome, glass, or plastic. 
    "Automotive windshield washer fluid" means any  liquid designed for use in a motor vehicle windshield washer system either as  an antifreeze or for the purpose of cleaning, washing, or wetting the  windshield. Automotive windshield washer fluid also includes liquids that are  (i) packaged as a pre-wetted, single-use manual wipe and (ii) designed  exclusively for cleaning, washing or wetting automotive glass surfaces for the  purpose of restoring or maintaining visibility for the driver. Glass cleaners  that are intended for use on other glass surfaces are not included in this  definition. Automotive windshield washer fluid does not include fluids placed  by the manufacturer in a new vehicle. 
    "Bathroom and tile cleaner" means a product  designed to clean tile or surfaces in bathrooms. Bathroom and tile cleaners do  not include products specifically designed to clean toilet bowls or toilet  tanks. 
    "Bug and tar remover" means a product designed  to remove either or both of the following from painted motor vehicle surfaces  without causing damage to the finish: (i) biological residues, such as insect  carcasses and tree sap and (ii) road grime, such as road tar, roadway paint  markings, and asphalt. 
    "CARB" means the California Air Resources Board.  
    "Carburetor or fuel-injection air intake  cleaners" means a product designed to remove fuel deposits, dirt, or other  contaminants from a carburetor, choke, throttle body of a fuel-injection  system, or associated linkages. Carburetor or fuel-injection air intake  cleaners do not include products designed exclusively to be introduced directly  into the fuel lines or fuel storage tank prior to introduction into the  carburetor or fuel injectors. 
    "Carpet and upholstery cleaner" means a cleaning  product designed for the purpose of eliminating dirt and stains on rugs,  carpeting, and the interior of motor vehicles or on household furniture or objects  upholstered or covered with fabrics such as wool, cotton, nylon, or other  synthetic fabrics. Carpet and upholstery cleaners include, but are not limited  to, products that make fabric protectant claims. Carpet and upholstery cleaners  do not include general purpose cleaners, spot removers, vinyl or leather  cleaners, dry cleaning fluids, or products designed exclusively for use at  industrial facilities engaged in furniture or carpet manufacturing. 
    "Certified emissions" means the emissions level  for products approved under 9VAC5-40-7270 E, as determined pursuant to South  Coast Air Quality Management District Rule 1174 Ignition Method Compliance  Certification Protocol (see 9VAC5-20-21), expressed to the nearest 0.001 pound  VOC per start. 
    "Certified use rate" means the usage level for  products approved under 9VAC5-40-7270 E, as determined pursuant to South Coast  Air Quality Management District Rule 1174 Ignition Method Compliance  Certification Protocol, expressed to the nearest 0.001 pound certified product used  per start. 
    "Charcoal lighter material" means any  combustible material designed to be applied on, incorporated in, added to, or  used with charcoal to enhance ignition. Charcoal lighter material does not  include any of the following: 
    1. Electrical starters and probes, 
    2. Metallic cylinders using paper tinder, 
    3. Natural gas, 
    4. Propane, or 
    5. Fat wood. 
    "Colorant" means any pigment or coloring  material used in a consumer product for an aesthetic effect or to dramatize an  ingredient. 
    "Compliance period" means the period of time,  not to exceed one year, for which the ACP limit and ACP emissions are  calculated and for which compliance with the ACP limit is determined, as  specified in the ACP agreement approving an ACP. 
    "Construction, panel, and floor covering  adhesive" means any one-component adhesive that is designed exclusively  for the installation, remodeling, maintenance, or repair of: 
    1. Structural and building components that include, but are  not limited to, beams, trusses, studs, paneling (drywall or drywall laminates,  fiberglass reinforced plastic (FRP), plywood, particle board, insulation board,  pre-decorated hardboard or tileboard, etc.), ceiling and acoustical tile,  molding, fixtures, countertops or countertop laminates, cove or wall bases, and  flooring or subflooring; or 
    2. Floor or wall coverings that include, but are not  limited to, wood or simulated wood covering, carpet, carpet pad or cushion,  vinyl-backed carpet, flexible flooring material, nonresilient flooring  material, mirror tiles and other types of tiles, and artificial grass. 
    Construction, panel, and floor covering adhesive does not  include floor seam sealer. 
    "Consumer" means a person who purchases or  acquires a consumer product for personal, family, household, or institutional  use. Persons acquiring a consumer product for resale are not consumers for that  product. 
    "Consumer product" means a chemically formulated  product used by household and institutional consumers including, but not  limited to, detergents; cleaning compounds; polishes; floor finishes;  cosmetics; personal care products; home, lawn, and garden products;  disinfectants; sanitizers; aerosol paints; and automotive specialty products,  but does not include other paint products, furniture coatings, or architectural  coatings. 
    "Contact adhesive" means an adhesive that: 
    1. Is designed for application to both surfaces to be  bonded together, 
    2. Is allowed to dry before the two surfaces are placed in  contact with each other, 
    3. Forms an immediate bond that is impossible, or  difficult, to reposition after both adhesive-coated surfaces are placed in  contact with each other, and 
    4. Does not need sustained pressure or clamping of surfaces  after the adhesive-coated surfaces have been brought together using sufficient  momentary pressure to establish full contact between both surfaces. 
    Contact adhesive does not include rubber cements that are  primarily intended for use on paper substrates. 
    "Container or packaging" means the part or parts  of the consumer or institutional product that serve only to contain, enclose,  incorporate, deliver, dispense, wrap, or store the chemically formulated  substance or mixture of substances which is solely responsible for  accomplishing the purposes for which the product was designed or intended.  Containers or packaging include any article onto or into which the principal  display panel and other accompanying literature or graphics are incorporated,  etched, printed, or attached. 
    "Contact person" means a representative that has  been designated by the responsible ACP party for the purpose of reporting or  maintaining information specified in the ACP agreement approving an ACP. 
    "Crawling bug insecticide" means an insecticide  product that is designed for use against ants, cockroaches, or other household  crawling arthropods, including, but not limited to, mites, silverfish or  spiders. Crawling bug insecticide does not include products designed to be used  exclusively on humans or animals or a house dust mite product. For the purposes  of this definition only: 
    1. "House dust mite product" means a product  whose label, packaging, or accompanying literature states that the product is  suitable for use against house dust mites, but does not indicate that the  product is suitable for use against ants, cockroaches, or other household  crawling arthropods. 
    2. "House dust mite" means mites that feed  primarily on skin cells shed in the home by humans and pets and which belong to  the phylum Arthropoda, the subphylum Chelicerata, the class Arachnida, the  subclass Acari, the order Astigmata, and the family Pyroglyphidae. 
    "Date-code" means the day, month, and year on  which the consumer product was manufactured, filled, or packaged, or a code  indicating such a date. 
    "Deodorant" means a product including, but not  limited to, aerosols, roll-ons, sticks, pumps, pads, creams, and squeeze  bottles, that is intended by the manufacturer to be used to minimize odor in  the human axilla by retarding the growth of bacteria which cause the  decomposition of perspiration. 
    "Device" means an instrument or contrivance  (other than a firearm) that is designed for trapping, destroying, repelling, or  mitigating a pest or other form of plant or animal life (other than human and  other than bacteria, virus, or other microorganism on or in living human or  other living animals); but not including equipment used for the application of  pesticides when sold separately therefrom. 
    "Disinfectant" means a product intended to  destroy or irreversibly inactivate infectious or other undesirable bacteria,  pathogenic fungi, or viruses on surfaces or inanimate objects and whose label  is registered under the FIFRA. Disinfectant does not include any of the  following: 
    1. Products designed solely for use on humans or animals, 
    2. Products designed for agricultural use, 
    3. Products designed solely for use in swimming pools,  therapeutic tubs, or hot tubs, or 
    4. Products that, as indicated on the principal display  panel or label, are designed primarily for use as bathroom and tile cleaners,  glass cleaners, general purpose cleaners, toilet bowl cleaners, or metal  polishes. 
    "Distributor" means a person to whom a consumer  product is sold or supplied for the purposes of resale or distribution in  commerce, except that manufacturers, retailers, and consumers are not  distributors. 
    "Double phase aerosol air freshener" means an aerosol  air freshener with the liquid contents in two or more distinct phases that  require the product container to be shaken before use to mix the phases,  producing an emulsion. 
    "Dry cleaning fluid" means a nonaqueous liquid  product designed and labeled exclusively for use on: 
    1. Fabrics that are labeled "for dry clean only,"  such as clothing or drapery; or 
    2. S-coded fabrics. 
    Dry cleaning fluid includes, but is not limited to, those  products used by commercial dry cleaners and commercial businesses that clean  fabrics such as draperies at the customer's residence or work place. Dry  cleaning fluid does not include spot remover or carpet and upholstery cleaner.  For the purposes of this definition, "S-coded fabric" means an  upholstery fabric designed to be cleaned only with water-free spot cleaning  products as specified by the American Furniture Manufacturers Association Joint  Industry Fabrics Standards Committee, Woven and Knit Residential Upholstery  Fabric Standards and Guidelines (see 9VAC5-20-21). 
    "Dusting aid" means a product designed to assist  in removing dust and other soils from floors and other surfaces without leaving  a wax or silicone based coating. Dusting aid does not include products that  consist entirely of compressed gases for use in electronic or other specialty  areas. 
    "Electronic cleaner" means a product designed  specifically for the removal of dirt, grease, or grime from electrical  equipment such as electric motors, circuit boards, electricity panels, and  generators. 
    "Enforceable sales" means the total amount of an  ACP product sold for use in the applicable volatile organic compound emissions  control areas designated in 9VAC5-40-7240 during the applicable compliance  period specified in the ACP agreement approving an ACP, as determined through  enforceable sales records (expressed to the nearest pound, excluding product  container and packaging). 
    "Enforceable sales record" means a written,  point-of-sale record or another board-approved system of documentation from  which the mass, in pounds (less product container and packaging), of an ACP  product sold to the end user in the applicable volatile organic compound emissions  control areas designated in 9VAC5-40-7240 during the applicable compliance  period can be accurately documented. For the purposes of this article,  enforceable sales records include, but are not limited to, the following types  of records: 
    1. Accurate records of direct retail or other outlet sales  to the end user during the applicable compliance period; 
    2. Accurate compilations, made by independent market  surveying services, of direct retail or other outlet sales to the end users for  the applicable compliance period, provided that a detailed method that can be  used to verify data composing such summaries is submitted by the responsible  ACP party and approved by the board; and 
    3. Other accurate product sales records acceptable to the  board. 
    "Engine degreaser" means a cleaning product  designed to remove grease, grime, oil and other contaminants from the external  surfaces of engines and other mechanical parts. 
    "Exempt compound" means acetone, ethane, methyl  acetate, parachlorobenzotrifluoride (1-chloro-4-trifluoromethyl benzene), or  perchloroethylene (tetrachloroethylene). 
    "Fabric protectant" means a product designed to  be applied to fabric substrates to protect the surface from soiling from dirt  and other impurities or to reduce absorption of liquid into the fabric's  fibers. Fabric protectant does not include waterproofers, products designed for  use solely on leather, or products designed for use solely on fabrics which are  labeled "for dry clean only" and sold in containers of 10 fluid  ounces or less. 
    "Facial cleaner or soap" means a cleaner or soap  designed primarily to clean the face. Facial cleaner or soap includes, but is  not limited to, facial cleansing creams, gels, liquids, lotions, and  substrate-impregnated forms. Facial cleaner or soap does not include  prescription drug products, antimicrobial hand or body cleaner or soap,  astringent or toner, general-use hand or body cleaner or soap, medicated  astringent or medicated toner, or rubbing alcohol. 
    "Fat wood" means pieces of wood kindling with  high naturally-occurring levels of sap or resin that enhance ignition of the  kindling. Fat wood does not include kindling with substances added to enhance  flammability, such as wax-covered or wax-impregnated wood-based products. 
    "FIFRA" means the Federal Insecticide,  Fungicide, and Rodenticide Act (7 USC § 136-136y). 
    "Flea and tick insecticide" means an insecticide  product that is designed for use against fleas, ticks, their larvae, or their  eggs. Flea and tick insecticide does not include products that are designed to  be used exclusively on humans or animals and their bedding. 
    "Flexible flooring material" means asphalt,  cork, linoleum, no-wax, rubber, seamless vinyl and vinyl composite flooring. 
    "Floor polish or wax" means a wax, polish, or  other product designed to polish, protect, or enhance floor surfaces by leaving  a protective coating that is designed to be periodically replenished. Floor  polish or wax does not include spray buff products, products designed solely  for the purpose of cleaning floors, floor finish strippers, products designed  for unfinished wood floors, and coatings subject to architectural coatings  regulations. 
    "Floor seam sealer" means a product designed and  labeled exclusively for bonding, fusing, or sealing (coating) seams between  adjoining rolls of installed flexible sheet flooring. 
    "Floor wax stripper" means a product designed to  remove natural or synthetic floor polishes or waxes through breakdown of the  polish or wax polymers or by dissolving or emulsifying the polish or wax. Floor  wax stripper does not include aerosol floor wax strippers or products designed  to remove floor wax solely through abrasion. 
    "Flying bug insecticide" means an insecticide  product that is designed for use against flying insects or other flying  arthropods, including but not limited to flies, mosquitoes, moths, or gnats.  Flying bug insecticide does not include wasp and hornet insecticide, products  that are designed to be used exclusively on humans or animals, or a  moth-proofing product. For the purposes of this definition only,  "moth-proofing product" means a product whose label, packaging, or  accompanying literature indicates that the product is designed to protect  fabrics from damage by moths, but does not indicate that the product is  suitable for use against flying insects or other flying arthropods. 
    "Fragrance" means a substance or complex mixture  of aroma chemicals, natural essential oils, and other functional components,  the sole purpose of which is to impart an odor or scent, or to counteract a  malodor. 
    "Furniture maintenance product" means a wax,  polish, conditioner, or other product designed for the purpose of polishing,  protecting or enhancing finished wood surfaces other than floors. Furniture  maintenance products do not include dusting aids, products designed solely for  the purpose of cleaning, and products designed to leave a permanent finish such  as stains, sanding sealers, and lacquers. 
    "Furniture coating" means a paint designed for  application to room furnishings including, but not limited to, cabinets  (kitchen, bath and vanity), tables, chairs, beds, and sofas. 
    "Gel" means a colloid in which the disperse  phase has combined with the continuous phase to produce a semisolid material,  such as jelly. 
    "General purpose adhesive" means a nonaerosol  adhesive designed for use on a variety of substrates. General purpose adhesive  does not include: 
    1. Contact adhesives, 
    2. Construction, panel, and floor covering adhesives, 
    3. Adhesives designed exclusively for application on one  specific category of substrates (i.e., substrates that are composed of similar  materials, such as different types of metals, paper products, ceramics,  plastics, rubbers, or vinyls), or 
    4. Adhesives designed exclusively for use on one specific  category of articles (i.e., articles that may be composed of different  materials but perform a specific function, such as gaskets, automotive trim,  weather-stripping, or carpets). 
    "General purpose cleaner" means a product  designed for general all-purpose cleaning, in contrast to cleaning products  designed to clean specific substrates in certain situations. General purpose  cleaner includes products designed for general floor cleaning, kitchen or  countertop cleaning, and cleaners designed to be used on a variety of hard  surfaces and does not include general purpose degreasers and electronic  cleaners. 
    "General purpose degreaser" means a product  designed to remove or dissolve grease, grime, oil and other oil-based contaminants  from a variety of substrates, including automotive or miscellaneous metallic  parts. General purpose degreaser does not include engine degreaser, general  purpose cleaner, adhesive remover, electronic cleaner, metal polish or  cleanser, products used exclusively in solvent cleaning tanks or related  equipment, or products that are (i) sold exclusively to establishments which  manufacture or construct goods or commodities; and (ii) labeled "not for  retail sale." Solvent cleaning tanks or related equipment includes, but is  not limited to, cold cleaners, vapor degreasers, conveyorized degreasers, film  cleaning machines, or products designed to clean miscellaneous metallic parts  by immersion in a container. 
    "General-use hand or body cleaner or soap" means  a cleaner or soap designed to be used routinely on the skin to clean or remove  typical or common dirt and soils. General-use hand or body cleaner or soap  includes, but is not limited to, hand or body washes, dual-purpose shampoo-body  cleaners, shower or bath gels, and moisturizing cleaners or soaps. General-use  hand or body cleaner or soap does not include prescription drug products,  antimicrobial hand or body cleaner or soap, astringent or toner, facial cleaner  or soap, hand dishwashing detergent (including antimicrobial), heavy-duty hand  cleaner or soap, medicated astringent or medicated toner, or rubbing alcohol. 
    "Glass cleaner" means a cleaning product  designed primarily for cleaning surfaces made of glass. Glass cleaner does not  include products designed solely for the purpose of cleaning optical materials  used in eyeglasses, photographic equipment, scientific equipment, and  photocopying machines. 
    "Gross sales" means the estimated total sales of  an ACP product in the applicable volatile organic compound emissions control  areas designated in 9VAC5-40-7240 during a specific compliance period  (expressed to the nearest pound), based on either of the following methods,  whichever the responsible ACP party demonstrates to the satisfaction of the  board will provide an accurate sales estimate: 
    1. Apportionment of national or regional sales of the ACP  product to sales, determined by multiplying the average national or regional  sales of the product by the fraction of the national or regional population,  respectively, that is represented by the current population of the applicable  volatile organic compound emissions control areas designated in 9VAC5-40-7240;  or 
    2. Another documented method that provides an accurate  estimate of the total current sales of the ACP product. 
    "Hair mousse" means a hairstyling foam designed  to facilitate styling of a coiffure and provide limited holding power. 
    "Hair shine" means a product designed for the  primary purpose of creating a shine when applied to the hair. Hair shine  includes, but is not limited to, dual-use products designed primarily to impart  a sheen to the hair. Hair shine does not include hair spray, hair mousse, hair  styling gel or spray gel, or products whose primary purpose is to condition or  hold the hair. 
    "Hair styling gel" means a high viscosity, often  gelatinous, product that contains a resin and is designed for the application  to hair to aid in styling and sculpting of the hair coiffure. 
    "Hair spray" means a consumer product designed  primarily for the purpose of dispensing droplets of a resin on and into a hair  coiffure that will impart sufficient rigidity to the coiffure to establish or retain  the style for a period of time. 
    "Heavy-duty hand cleaner or soap" means a  product designed to clean or remove difficult dirt and soils such as oil,  grease, grime, tar, shellac, putty, printer's ink, paint, graphite, cement,  carbon, asphalt, or adhesives from the hand with or without the use of water.  Heavy-duty hand cleaner or soap does not include prescription drug products,  antimicrobial hand or body cleaner or soap, astringent or toner, facial cleaner  or soap, general-use hand or body cleaner or soap, medicated astringent or  medicated toner, or rubbing alcohol. 
    "Herbicide" means a pesticide product designed  to kill or retard a plant's growth, but excludes products that are (i) for  agricultural use, or (ii) restricted materials that require a permit for use  and possession. 
    "High volatility organic compound" or  "HVOC" means a volatile organic compound that exerts a vapor pressure  greater than 80 millimeters of mercury (mm Hg) when measured at 20 degrees  Centigrade. 
    "Household product" means a consumer product  that is primarily designed to be used inside or outside of living quarters or  residences that are occupied or intended for occupation by people, including  the immediate surroundings. 
    "Insecticide" means a pesticide product that is  designed for use against insects or other arthropods, but excluding products  that are: 
    1. For agricultural use; 
    2. For a use which requires a structural pest control  license under applicable state laws or regulations; or 
    3. Restricted materials that require a permit for use and  possession. 
    "Insecticide fogger" means an insecticide  product designed to release all or most of its content as a fog or mist into  indoor areas during a single application. 
    "Institutional product" or "industrial and  institutional (I&I) product" means a consumer product that is designed  for use in the maintenance or operation of an establishment that: 
    1. Manufactures, transports, or sells goods or commodities,  or provides services for profit; or 
    2. Is engaged in the nonprofit promotion of a particular  public, educational, or charitable cause. 
    Establishments include, but are not limited to, government  agencies, factories, schools, hospitals, sanitariums, prisons, restaurants,  hotels, stores, automobile service and parts centers, health clubs, theaters,  or transportation companies. Institutional product does not include household  products and products that are incorporated into or used exclusively in the  manufacture or construction of the goods or commodities at the site of the  establishment. 
    "Label" means written, printed, or graphic  matter affixed to, applied to, attached to, blown into, formed, molded into,  embossed on, or appearing upon a consumer product or consumer product package,  for purposes of branding, identifying, or giving information with respect to  the product or to the contents of the package. 
    "Laundry prewash" means a product that is  designed for application to a fabric prior to laundering and that supplements  and contributes to the effectiveness of laundry detergents or provides  specialized performance. 
    "Laundry starch product" means a product that is  designed for application to a fabric, either during or after laundering, to  impart and prolong a crisp, fresh look and may also act to help ease ironing of  the fabric. Laundry starch product includes, but is not limited to, fabric  finish, sizing, and starch. 
    "Lawn and garden insecticide" means an  insecticide product designed primarily to be used in household lawn and garden  areas to protect plants from insects or other arthropods. 
    "Liquid" means a substance or mixture of  substances that is capable of a visually detectable flow as determined under  ASTM "Standard Test Method for Determining Whether a Material is a Liquid  or a Solid" (see 9VAC5-20-21). Liquid does not include powders or other  materials that are composed entirely of solid particles. 
    "Lubricant" means a product designed to reduce  friction, heat, noise, or wear between moving parts, or to loosen rusted or  immovable parts or mechanisms. Lubricant does not include automotive power  steering fluids; products for use inside power generating motors, engines, and  turbines, and their associated power-transfer gearboxes; two-cycle oils or  other products designed to be added to fuels; products for use on the human  body or animals; or products that are: 
    1. Sold exclusively to establishments which manufacture or  construct goods or commodities, and 
    2. Labeled "not for retail sale." 
    "LVP content" means the total weight, in pounds,  of LVP-VOC in an ACP product multiplied by 100 and divided by the product's  total net weight (in pounds, excluding container and packaging), expressed to  the nearest 0.1. 
    "LVP-VOC" means a chemical compound or mixture  that contains at least one carbon atom and meets one of the following: 
    1. Has a vapor pressure less than 0.1 mm Hg at 20 degrees  Centigrade, as determined by CARB Method 310 (see 9VAC5-20-21); 
    2. Is a chemical compound with more than 12 carbon atoms,  or a chemical mixture composed solely of compounds with more than 12 carbon  atoms, and the vapor pressure is unknown; 
    3. Is a chemical compound with a boiling point greater than  216 degrees Centigrade, as determined by CARB Method 310 (see 9VAC5-20-21); or 
    4. Is the weight percent of a chemical mixture that boils  above 216 degrees Centigrade, as determined by CARB Method 310 (see  9VAC5-20-21). 
    For the purposes of the definition of LVP-VOC,  "chemical compound" means a molecule of definite chemical formula and  isomeric structure, and "chemical mixture" means a substrate composed  of two or more chemical compounds. 
    "Manufacturer" means a person who imports,  manufactures, assembles, produces, packages, repackages, or relabels a consumer  product. 
    "Medicated astringent or medicated toner" means  a product regulated as a drug by the United States Food and Drug Administration  that is applied to the skin for the purpose of cleaning or tightening pores.  Medicated astringent or medicated toner includes, but is not limited to,  clarifiers and substrate-impregnated products. Medicated astringent or  medicated toner does not include hand, face, or body cleaner or soap products,  astringent or toner, cold cream, lotion, antiperspirants, or products that must  be purchased with a doctor's prescription. 
    "Medium volatility organic compound" or  "MVOC" means a volatile organic compound that exerts a vapor pressure  greater than 2 mm Hg and less than or equal to 80 mm Hg when measured at 20  degrees Centigrade. 
    "Metal polish or cleanser" means a product  designed primarily to improve the appearance of finished metal, metallic, or  metallized surfaces by physical or chemical action. To "improve the  appearance" means to remove or reduce stains, impurities, or oxidation  from surfaces or to make surfaces smooth and shiny. Metal polish or cleanser  includes, but is not limited to, metal polishes used on brass, silver, chrome,  copper, stainless steel and other ornamental metals. Metal polish or cleanser  does not include automotive wax, polish, sealant, or glaze, wheel cleaner,  paint remover or stripper, products designed and labeled exclusively for  automotive and marine detailing, or products designed for use in degreasing  tanks. 
    "Missing data days" means the number of days in  a compliance period for which the responsible ACP party has failed to provide  the required enforceable sales or VOC content data to the board, as specified  in the ACP agreement. 
    "Mist spray adhesive" means an aerosol that is  not a special purpose spray adhesive and which delivers a particle or mist  spray, resulting in the formation of fine, discrete particles that yield a  generally uniform and smooth application of adhesive to the substrate. 
    "Multi-purpose dry lubricant" means a lubricant  that is: 
    1. Designed and labeled to provide lubricity by depositing  a thin film of graphite, molybdenum disulfide ("moly"), or  polytetrafluoroethylene or closely related fluoropolymer ("teflon")  on surfaces, and 
    2. Designed for general purpose lubrication, or for use in  a wide variety of applications. 
    "Multi-purpose lubricant" means a lubricant  designed for general purpose lubrication, or for use in a wide variety of  applications. Multi-purpose lubricant does not include multi-purpose dry  lubricants, penetrants, or silicone-based multi-purpose lubricants. 
    "Multi-purpose solvent" means an organic liquid  designed to be used for a variety of purposes, including cleaning or degreasing  of a variety of substrates, or thinning, dispersing, or dissolving other  organic materials. Multi-purpose solvent includes solvents used in institutional  facilities, except for laboratory reagents used in analytical, educational,  research, scientific, or other laboratories. Multi-purpose solvent does not  include solvents used in cold cleaners, vapor degreasers, conveyorized  degreasers or film cleaning machines, or solvents that are incorporated into,  or used exclusively in the manufacture or construction of, the goods or  commodities at the site of the establishment. 
    "Nail polish" means a clear or colored coating  designed for application to the fingernails or toenails and including but not  limited to, lacquers, enamels, acrylics, base coats, and top coats. 
    "Nail polish remover" means a product designed  to remove nail polish and coatings from fingernails or toenails. 
    "Nonaerosol product" means a consumer product  that is not dispensed by a pressurized spray system. 
    "Noncarbon containing compound" means a compound  that does not contain carbon atoms. 
    "Nonresilient flooring" means flooring of a  mineral content that is not flexible. Nonresilient flooring includes but is not  limited to terrazzo, marble, slate, granite, brick, stone, ceramic tile, and  concrete. 
    "Nonselective terrestrial herbicide" means a  terrestrial herbicide product that is toxic to plants without regard to  species. 
    "One-product business" means a responsible ACP  party that sells, supplies, offers for sale, or manufactures for use in the  applicable volatile organic compound emissions control areas designated in  9VAC5-40-7240: 
    1. Only one distinct ACP product, sold under one product  brand name, which is subject to the requirements of 9VAC5-40-7270; or 
    2. Only one distinct ACP product line subject to the  requirements of 9VAC5-40-7270, in which all the ACP products belong to the same  product category and the VOC contents in the products are within 98.0% and  102.0% of the arithmetic mean of the VOC contents over the entire product line.  
    "Oven cleaner" means a cleaning product designed  to clean and to remove dried food deposits from oven walls. 
    "Paint" means a pigmented liquid, liquefiable,  or mastic composition designed for application to a substrate in a thin layer  which is converted to an opaque solid film after application and is used for  protection, decoration or identification, or to serve some functional purpose such  as the filling or concealing of surface irregularities or the modification of  light and heat radiation characteristics. 
    "Paint remover or stripper" means a product  designed to strip or remove paints or other related coatings, by chemical  action, from a substrate without markedly affecting the substrate. Paint  remover or stripper does not include multi-purpose solvents, paint brush  cleaners, products designed and labeled exclusively to remove graffiti, and  hand cleaner products that claim to remove paints and other related coatings  from skin. 
    "Penetrant" means a lubricant designed and  labeled primarily to loosen metal parts that have bonded together due to  rusting, oxidation, or other causes. Penetrant does not include multi-purpose  lubricants that claim to have penetrating qualities but are not labeled  primarily to loosen bonded parts. 
    "Pesticide" means and includes a substance or  mixture of substances labeled, designed, or intended for use in preventing,  destroying, repelling, or mitigating a pest, or a substance or mixture of  substances labeled, designed, or intended for use as a defoliant, desiccant, or  plant regulator, provided that the term "pesticide" will not include  a substance, mixture of substances, or device that the U.S. Environmental  Protection Agency does not consider to be a pesticide. 
    "Pre-ACP VOC content" means the lowest VOC  content of an ACP product between January 1, 1990, and the date on which the  application for a proposed ACP is submitted to the board, based on the data  obtained from accurate records available to the board that yields the lowest  VOC content for the product. 
    "Principal display panel" means that part of a  label that is so designed as to most likely be displayed, presented, shown, or  examined under normal and customary conditions of display or purchase. Whenever  a principal display panel appears more than once, all requirements pertaining  to the principal display panel shall pertain to all such principal display  panels. 
    "Product brand name" means the name of the  product exactly as it appears on the principal display panel of the product. 
    "Product category" means the applicable category  that best describes the product as listed in this section. 
    "Product line" means a group of products of  identical form and function belonging to the same product category. 
    "Propellant" means a liquefied or compressed gas  that is used in whole or in part, such as a cosolvent, to expel a liquid or  other material from the same self-pressurized container or from a separate  container. 
    "Pump spray" means a packaging system in which  the product ingredients within the container are not under pressure and in  which the product is expelled only while a pumping action is applied to a  button, trigger, or other actuator. 
    "Reconcile or reconciliation" means to provide  sufficient VOC emission reductions to completely offset shortfalls generated  under the ACP during an applicable compliance period. 
    "Reconciliation of shortfalls plan" means the  plan to be implemented by the responsible ACP party when shortfalls have  occurred, as approved by the board pursuant to 9VAC5-40-7280 B 1 g (10). 
    "Responsible party" means the company, firm, or  establishment which is listed on the product's label. If the label lists two  companies, firms, or establishments, the responsible party is the party that  the product was "manufactured for" or "distributed by," as  noted on the label. 
    "Responsible ACP party" means the company, firm,  or establishment which is listed on the ACP product's label. If the label lists  two or more companies, firms, or establishments, the responsible ACP party is  the party that the ACP product was "manufactured for" or  "distributed by," as noted on the label. 
    "Restricted materials" means pesticides  established as restricted materials under the Virginia Pesticide Control Act (§  3.1-249.27 et seq. of the Code of Virginia). 
    "Retailer" means a person who sells, supplies,  or offers consumer products for sale directly to consumers. 
    "Retail outlet" means an establishment at which  consumer products are sold, supplied, or offered for sale directly to  consumers. 
    "Roll-on product" means an antiperspirant or  deodorant that dispenses active ingredients by rolling a wetted ball or wetted  cylinder on the affected area. 
    "Rubber and vinyl protectant" means a product  designed to protect, preserve or renew vinyl, rubber, and plastic on vehicles,  tires, luggage, furniture, and household products such as vinyl covers,  clothing, and accessories. Rubber and vinyl protectant does not include  products primarily designed to clean the wheel rim, such as aluminum or  magnesium wheel cleaners, and tire cleaners that do not leave an  appearance-enhancing or protective substance on the tire. 
    "Rubbing alcohol" means a product containing  isopropyl alcohol (also called isopropanol) or denatured ethanol and labeled  for topical use, usually to decrease germs in minor cuts and scrapes, to  relieve minor muscle aches, as a rubefacient, and for massage. 
    "Sealant and caulking compound" means a product  with adhesive properties that is designed to fill, seal, waterproof, or  weatherproof gaps or joints between two surfaces. Sealant and caulking compound  does not include roof cements and roof sealants; insulating foams; removable  caulking compounds; clear or paintable or water resistant caulking compounds;  floor seam sealers; products designed exclusively for automotive uses; or  sealers that are applied as continuous coatings. Sealant and caulking compound  also does not include units of product, less packaging, which weigh more than  one pound and consist of more than 16 fluid ounces. For the purposes of this  definition only, "removable caulking compounds" means a compound that  temporarily seals windows or doors for three- to six-month time intervals; and  "clear or paintable or water resistant caulking compounds" means a  compound that contains no appreciable level of opaque fillers or pigments,  transmits most or all visible light through the caulk when cured, is paintable,  and is immediately resistant to precipitation upon application. 
    "Semisolid" means a product that, at room  temperature, will not pour, but will spread or deform easily, including gels,  pastes, and greases. 
    "Shaving cream" means an aerosol product which  dispenses a foam lather intended to be used with a blade or cartridge razor or  other wet-shaving system, in the removal of facial or other bodily hair. 
    "Shortfall" means the ACP emissions minus the  ACP limit when the ACP emissions were greater than the ACP limit during a  specified compliance period, expressed to the nearest pound of VOC. Shortfall  does not include emissions occurring prior to the date that the ACP agreement  approving an ACP is signed by the board. 
    "Silicone-based multi-purpose lubricant" means a  lubricant that is: 
    1. Designed and labeled to provide lubricity primarily  through the use of silicone compounds including, but not limited to,  polydimethylsiloxane, and 
    2. Designed and labeled for general purpose lubrication, or  for use in a wide variety of applications. 
    Silicone-based multi-purpose lubricant does not include  products designed and labeled exclusively to release manufactured products from  molds. 
    "Single phase aerosol air freshener" means an  aerosol air freshener with the liquid contents in a single homogeneous phase  and which does not require that the product container be shaken before use. 
    "Small business" means any stationary source  that: is owned or operated by a person that employs 100 or fewer individuals;  is a small business concern as defined in the federal Small Business Act; is  not a major stationary source; does not emit 50 tons or more per year of any  regulated pollutant; and emits less than 75 tons per year of all regulated  pollutants. 
    "Solid" means a substance or mixture of  substances which, either whole or subdivided (such as the particles composing a  powder), is not capable of visually detectable flow as determined under ASTM  "Standard Test Method for Determining Whether a Material is a Liquid or a  Solid" (see 9VAC5-20-21). 
    "Special purpose spray adhesive" means an  aerosol adhesive that meets any of the following definitions: 
    1. "Mounting adhesive" means an aerosol adhesive  designed to permanently mount photographs, artwork, or other drawn or printed  media to a backing (paper, board, cloth, etc.) without causing discoloration to  the artwork. 
    2. "Flexible vinyl adhesive" means an aerosol  adhesive designed to bond flexible vinyl to substrates. "Flexible  vinyl" means a nonrigid polyvinyl chloride plastic with at least% 5%, by  weight, of plasticizer content. A plasticizer is a material, such as a high  boiling point organic solvent, that is incorporated into a plastic to increase  its flexibility, workability, or distensibility, and may be determined using  ASTM "Standard Practice for Packed Column Gas Chromatography" (see  9VAC5-20-21) or from product formulation data. 
    3. "Polystyrene foam adhesive" means an aerosol  adhesive designed to bond polystyrene foam to substrates. 
    4. "Automobile headliner adhesive" means an  aerosol adhesive designed to bond together layers in motor vehicle headliners. 
    5. "Polyolefin adhesive" means an aerosol  adhesive designed to bond polyolefins to substrates. 
    6. "Laminate repair or edgebanding adhesive"  means an aerosol adhesive designed for: 
    a. The touch-up or repair of items laminated with high  pressure laminates (e.g., lifted edges, delaminates, etc.); or 
    b. The touch-up, repair, or attachment of edgebonding  materials, including but not limited to, other laminates, synthetic marble,  veneers, wood molding, and decorative metals. 
    For the purposes of this definition, "high pressure  laminate" means sheet materials that consist of paper, fabric, or other  core material that have been laminated at temperatures exceeding 265 degrees  Fahrenheit and at pressures between 1,000 and 1,400 psi. 
    7. "Automotive engine compartment adhesive" means  an aerosol adhesive designed for use in motor vehicle under-the-hood  applications which require oil and plasticizer resistance, as well as high  shear strength, at temperatures of 200-275 degrees Fahrenheit. 
    "Spot remover" means a product designed to clean  localized areas or remove localized spots or stains on cloth or fabric, such as  drapes, carpets, upholstery, and clothing, that does not require subsequent  laundering to achieve stain removal. Spot remover does not include dry cleaning  fluid, laundry prewash, carpet and upholstery cleaner, or multi-purpose  solvent. 
    "Spray buff product" means a product designed to  restore a worn floor finish in conjunction with a floor buffing machine and  special pad. 
    "Stick product" means an antiperspirant or a  deodorant that contains active ingredients in a solid matrix form, and that  dispenses the active ingredients by frictional action on the affected area. 
    "Structural waterproof adhesive" means an  adhesive whose bond lines are resistant to conditions of continuous immersion  in fresh or salt water and that conforms with the definition in the federal  consumer products regulation, 40 CFR Part 59, Subpart C. 
    "Surplus reduction" means the ACP limit minus  the ACP emissions when the ACP limit was greater than the ACP emissions during  a given compliance period, expressed to the nearest pound of VOC. Except as  provided in 9VAC5-40-7280 F 3, surplus reduction does not include emissions  occurring prior to the date that the ACP agreement approving an ACP is signed  by the board. 
    "Surplus trading" means the buying, selling, or  transfer of surplus reductions between responsible ACP parties. 
    "Terrestrial" means to live on or grow from  land. 
    "Tire sealant and inflation" means a pressurized  product that is designed to temporarily inflate and seal a leaking tire. 
    "Total maximum historical emissions" or  "TMHE" means the total VOC emissions from all ACP products for which  the responsible ACP party has failed to submit the required VOC content or  enforceable sales records. The TMHE shall be calculated for each ACP product  during each portion of a compliance period for which the responsible ACP party  has failed to provide the required VOC content or enforceable sales records.  The TMHE shall be expressed to the nearest pound and calculated according to  the following calculation: 
    TMHE = (MHE)1 + (MHE)2 + ... + (MHE)N  
           | MHE =
 | (Highest VOC Content x Highest Sales) x Missing Data Days
 | 
       | 100 x 365
 | 
  
    where 
    Highest VOC content = the maximum VOC content which the ACP  product has contained in the previous five years, if the responsible ACP party  has failed to meet the requirements for reporting VOC content data (for any  portion of the compliance period), as specified in the ACP agreement approving  the ACP, or the current actual VOC content, if the responsible ACP party has  provided all required VOC Content data (for the entire compliance period), as  specified in the ACP agreement. 
    Highest sales = the maximum one-year gross sales of the ACP  product in the previous five years, if the responsible ACP party has failed to  meet the requirements for reporting enforceable sales records (for any portion  of the compliance period), as specified in the ACP agreement approving the ACP,  or the current actual one-year enforceable sales for the product, if the  responsible ACP party has provided all required enforceable sales records (for  the entire compliance period), as specified in the ACP agreement approving the  ACP. 
    Missing Data Days = (see definition in this section). 
    1, 2,..., N = each product in an ACP, up to the maximum N,  for which the responsible ACP party has failed to submit the required  enforceable sales or VOC content data as specified in the ACP agreement. 
    "Type A propellant" means a compressed gas such  as CO2, N2, N2O, or compressed air that is  used as a propellant and is either incorporated with the product or contained  in a separate chamber within the product's packaging. 
    "Type B propellant" means a halocarbon that is  used as a propellent including chlorofluorocarbons (CFCs),  hydrochlorofluorocarbons (HCFCs), and hydrofluorocarbons (HFCs). 
    "Type C propellant" means a propellant that is  not a Type A or Type B propellant, including propane, isobutane, n-butane, and  dimethyl ether (also known as dimethyl oxide). 
    "Undercoating" means an aerosol product designed  to impart a protective, nonpaint layer to the undercarriage, trunk interior, or  firewall of motor vehicles to prevent the formation of rust or to deaden sound.  Undercoating includes, but is not limited to, rubberized, mastic, or asphaltic  products. 
    "Usage directions" means the text or graphics on  the product's principal display panel, label, or accompanying literature which  describes to the end user how and in what quantity the product is to be used. 
    "VOC content" means, except for charcoal lighter  products, the total weight of VOC in a product expressed as a percentage of the  product weight (exclusive of the container or packaging), as determined  pursuant to 9VAC5-40-7340 B and C. 
    For charcoal lighter material products only, 
           | VOC Content =
 | (Certified Emissions x 100)
 | 
       | Certified Use Rate
 | 
  
    where 
    Certified emissions = (see definition in this section). 
    Certified use rate = (see definition in this section). 
    "Volatile organic compound" or "VOC"  means volatile organic compound as defined in 9VAC5-10-20. 
    "Wasp and hornet insecticide" means an  insecticide product that is designed for use against wasps, hornets, yellow  jackets or bees by allowing the user to spray from a distance a directed stream  or burst at the intended insects or their hiding place. 
    "Waterproofer" means a product designed and  labeled exclusively to repel water from fabric or leather substrates.  Waterproofer does not include fabric protectants. 
    "Wax" means a material or synthetic  thermoplastic substance generally of high molecular weight hydrocarbons or high  molecular weight esters of fatty acids or alcohols, except glycerol and high  polymers (plastics). Wax includes, but is not limited to, substances derived  from the secretions of plants and animals such as carnauba wax and beeswax, substances  of a mineral origin such as ozocerite and paraffin, and synthetic polymers such  as polyethylene. 
    "Web spray adhesive" means an aerosol adhesive  which is not a mist spray or special purpose spray adhesive. 
    "Wood floor wax" means wax-based products for  use solely on wood floors. 
    "Working day" means a day between Monday through  Friday, inclusive, except for federal holidays. 
     
     
     
     
     
         
          9VAC5-40-7270. Standard for volatile organic compounds. (Repealed.)
    A. Except as provided in 9VAC5-40-7250, 9VAC5-40-7280, and  9VAC5-40-7290, no person shall (i) sell, supply, or offer for sale a consumer  product manufactured on or after the applicable compliance date specified in  9VAC5-40-7330, or (ii) manufacture for sale a consumer product on or after the  applicable compliance date specified in 9VAC5-40-7330, that contains volatile  organic compounds in excess of the limits specified in Table 4-50A. 
    TABLE 4-50A 
    
  Product Category: Percent VOC by Weight                                       
                                                                                  
    Adhesives                                                                     
      Aerosol                                                                     
        Mist spray: 65%                                                           
        Web spray: 55%                                                            
        Special purpose spray adhesives                                           
          Mounting, automotive engine compartment, and flexible vinyl: 70%        
          Polystyrene foam and automotive headliner: 65%                          
          Polyolefin and laminate repair/Edgebanding: 60%                         
      Contact: 80%                                                                
      Construction, panel, and floor covering: 15%                                
      General purpose: 10%                                                        
      Structural waterproof: 15%                                                  
                                                                                  
    Air fresheners                                                                
      Single-phase aerosols: 30%                                                  
      Double-phase aerosols: 25%                                                  
      Liquids/Pump sprays: 18%                                                    
      Solids/Gels: 3%                                                             
                                                                                  
    Antiperspirants                                                               
      Aerosol: 40% HVOC/10% MVOC                                                  
      Nonaerosol: 0% HVOC/0% MVOC                                                 
                                                                                  
    Automotive brake cleaners: 45%                                                
                                                                                  
    Automotive rubbing or polishing compound: 17%                                 
                                                                                  
    Automotive wax, polish, sealant, or glaze                                     
      Hard paste waxes: 45%                                                       
      Instant detailers: 3%                                                       
      All other forms: 15%                                                        
                                                                                  
    Automotive windshield washer fluids: 35%                                      
                                                                                  
    Bathroom and tile cleaners                                                    
      Aerosols: 7%                                                                
      All other forms: 5%                                                         
                                                                                  
    Bug and tar remover: 40%                                                      
                                                                                  
    Carburetor or fuel-injection air intake cleaners: 45%                         
                                                                                  
    Carpet and upholstery cleaners                                                
      Aerosols: 7%                                                                
      Nonaerosols (dilutables): 0.1%                                              
      Nonaerosols (ready-to-use): 3.0%                                            
                                                                                  
    Charcoal lighter material: see subsection E of this section.                  
                                                                                  
    Cooking spray, aerosols: 18%                                                  
                                                                                  
    Deodorants                                                                    
      Aerosol: 0% HVOC/10% MVOC                                                   
      Nonaerosol: 0% HVOC/0% MVOC                                                 
                                                                                  
    Dusting aids                                                                  
      Aerosols: 25%                                                               
      All other forms: 7%                                                         
                                                                                  
    Engine degreasers                                                             
      Aerosol: 35%                                                                
      Nonaerosol: 5%                                                              
                                                                                  
    Fabric protectants: 60%                                                       
                                                                                  
    Floor polishes/Waxes                                                          
      Products for flexible flooring materials: 7%                                
      Products for nonresilient flooring: 10%                                     
      Wood floor wax: 90%                                                         
                                                                                  
     Floor wax strippers, nonaerosol: see 9VAC5-40-7270 G                         
                                                                                  
    Furniture maintenance products                                                
      Aerosols: 17%                                                               
      All other forms except solid or paste: 7%                                   
                                                                                  
    General purpose cleaners                                                      
      Aerosols: 10%                                                               
      Nonaerosols: 4%                                                             
                                                                                  
    General purpose degreasers                                                    
      Aerosols: 50%                                                               
      Nonaerosols: 4%                                                             
                                                                                  
    Glass cleaners                                                                
      Aerosols: 12%                                                               
      Nonaerosols: 4%                                                             
                                                                                  
    Hair mousses: 6%                                                              
                                                                                  
    Hair shines: 55%                                                              
                                                                                  
    Hair sprays: 55%                                                              
                                                                                  
    Hair styling gels: 6%                                                         
                                                                                  
    Heavy-duty hand cleaner or soap: 8%                                           
                                                                                  
    Insecticides                                                                  
      Crawling bug (aerosol): 15%                                                 
      Crawling bug (all other forms): 20%                                         
      Flea and tick: 25%                                                          
      Flying bug (aerosol): 25%                                                   
      Flying bug (all other forms): 35%                                           
      Foggers: 45%                                                                
      Lawn and garden (all other forms): 20%                                      
      Lawn and garden (nonaerosol): 3%                                            
      Wasp and hornet: 40%                                                        
                                                                                  
    Laundry prewash                                                               
      Aerosols/Solids: 22%                                                        
      All other forms: 5%                                                         
                                                                                  
    Laundry starch products: 5%                                                   
                                                                                  
    Metal polishes and cleansers: 30%                                             
                                                                                  
    Multi-purpose lubricant (excluding solid or semi-solid products): 50%         
                                                                                  
    Nail polish remover: 75%                                                      
                                                                                  
    Nonselective terrestrial herbicide, nonaerosols: 3%                           
                                                                                  
    Oven cleaners                                                                 
      Aerosols/Pump sprays: 8%                                                    
      Liquids: 5%                                                                 
                                                                                  
    Paint remover or strippers: 50%                                               
                                                                                  
    Penetrants: 50%                                                               
                                                                                  
    Rubber and vinyl protectants                                                  
      Nonaerosols: 3%                                                             
      Aerosols: 10%                                                               
                                                                                  
    Sealants and caulking compounds: 4%                                           
                                                                                  
    Shaving creams: 5%                                                            
                                                                                  
    Silicone-based multi-purpose lubricants (excluding solid or semi-solid        
      products): 60%                                                              
                                                                                  
    Spot removers                                                                 
      Aerosols: 25%                                                               
      Nonaerosols: 8%                                                             
                                                                                  
    Tire sealants and inflators: 20%                                              
                                                                                  
    Undercoatings, aerosols: 40%                                                  
         
      B. No person shall sell, supply, offer for sale, or  manufacture for sale an antiperspirant or a deodorant that contains a compound  that has been defined as a toxic pollutant in 9VAC5-60-210 C. 
    C. Provisions follow concerning products that are diluted  prior to use. 
    1. For consumer products for which the label, packaging, or  accompanying literature specifically states that the product should be diluted  with water or non-VOC solvent prior to use, the limits specified in Table 4-50A  shall apply to the product only after the minimum recommended dilution has  taken place. For purposes of this subsection, "minimum recommended  dilution" shall not include recommendations for incidental use of a  concentrated product to deal with limited special applications such as  hard-to-remove soils or stains. 
    2. For consumer products for which the label, packaging, or  accompanying literature states that the product should be diluted with a VOC  solvent prior to use, the limits specified in Table 4-50A shall apply to the  product only after the maximum recommended dilution has taken place. 
    D. For those consumer products that are registered under  FIFRA, the effective date of the VOC standards is one year after the applicable  compliance date specified in 9VAC5-40-7330. 
    E. The following requirements shall apply to all charcoal  lighter material products: 
    1. Effective as of the applicable compliance date specified  in 9VAC5-40-7330, no person shall (i) sell, supply, or offer for sale a  charcoal lighter material product manufactured on or after the applicable  compliance date or (ii) manufacture for sale a charcoal lighter material  product unless at the time of the transaction: 
    a. The manufacturer can demonstrate to the board's  satisfaction that they have been issued a currently effective certification by  CARB under the Consumer Products provisions under Subchapter 8.5, Article 2, § 94509(h),  of Title 17 of the California Code of Regulations (see 9VAC5-20-21). This  certification remains in effect for as long as the CARB certification remains  in effect. A manufacturer claiming such a certification on this basis must  submit to the board a copy of the certification decision (i.e., the Executive  Order), including all conditions established by CARB applicable to the  certification. 
    b. The manufacturer or distributor of the charcoal lighter  material has been issued a currently effective certification pursuant to  subdivision 2 of this subsection. 
    c. The charcoal lighter material meets the formulation  criteria and other conditions specified in the applicable ACP agreement issued  pursuant to subdivision 2 of this subsection. 
    d. The product usage directions for the charcoal lighter  material are the same as those provided to the board pursuant to subdivision 2  c of this subsection. 
    2. Provisions follow concerning certification requirements.  
    a. No charcoal lighter material formulation shall be  certified under this subdivision unless the applicant for certification  demonstrates to the board's satisfaction that the VOC emissions from the  ignition of charcoal with the charcoal lighter material are less than or equal  to 0.020 pound of VOC per start, using the procedures specified in the South  Coast Air Quality Management District Rule 1174 Ignition Method Compliance  Certification Protocol (see 9VAC5-20-21). The provisions relating to LVP-VOC in  9VAC5-40-7250 F and 9VAC5-40-7260 C shall not apply to a charcoal lighter  material subject to the requirements of 9VAC5-40-7270 A and E. 
    b. The board may approve alternative test procedures which  are shown to provide equivalent results to those obtained using the South Coast  Air Quality Management District Rule 1174 Ignition Method Compliance  Certification Protocol (see 9VAC5-20-21). 
    c. A manufacturer or distributor of charcoal lighter  material may apply to the board for certification of a charcoal lighter  material formulation in accordance with this subdivision. The application shall  be in writing and shall include, at a minimum, the following: 
    (1) The results of testing conducted pursuant to the  procedures specified in South Coast Air Quality Management District Rule 1174 Testing  Protocol (see 9VAC5-20-21); and 
    (2) The exact text or graphics that will appear on the  charcoal lighter material's principal display panel, label, or accompanying  literature. The provided material shall clearly show the usage directions for  the product. These directions shall accurately reflect the quantity of charcoal  lighter material per pound of charcoal that was used in the South Coast Air  Quality Management District Rule 1174 Testing Protocol (see 9VAC5-20-21) for  that product, unless: 
    (a) The charcoal lighter material is intended to be used in  fixed amounts independent of the amount of charcoal used, such as certain  paraffin cubes, or 
    (b) The charcoal lighter material is already incorporated  into the charcoal, such as certain "bag light," "instant  light" or "match light" products. 
    (3) For a charcoal lighter material which meets the  criteria specified in subdivision 2 c (2) (a) of this subsection, the usage  instructions provided to the board will accurately reflect the quantity of  charcoal lighter material used in the South Coast Air Quality Management  District Rule 1174 Testing Protocol (see 9VAC5-20-21) for that product. 
    (4) Physical property data, formulation data, or other  information required by the board for use in determining when a product  modification has occurred and for use in determining compliance with the  conditions specified on the ACP agreement issued pursuant to subdivision 2 e of  this subsection. 
    d. Within 30 days of receipt of an application, the board  will advise the applicant in writing either that it is complete or that  specified additional information is required to make it complete. Within 30  days of receipt of additional information, the board will advise the applicant  in writing either that the application is complete, or that specified  additional information or testing is still required before it can be deemed  complete. 
    e. If the board finds that an application meets the  requirements of subdivision 2 of this subsection, then an ACP agreement shall  be issued certifying the charcoal lighter material formulation and specifying  such conditions as are necessary to insure that the requirements of this  subsection are met. The board will act on a complete application within 90 days  after the application is deemed complete. 
    3. For charcoal lighter material for which certification  has been granted pursuant to subdivision 2 of this subsection, the applicant  for certification shall notify the board in writing within 30 days of: (i) a  change in the usage directions, or (ii) a change in product formulation, test  results, or other information submitted pursuant to subdivision 2 of this  subsection which may result in VOC emissions greater than 0.020 pound of VOC  per start. 
    4. If the board determines that a certified charcoal  lighter material formulation results in VOC emissions from the ignition of  charcoal which are greater than 0.020 pound of VOC per start, as determined by  the South Coast Air Quality Management District Rule 1174 Testing Protocol (see  9VAC5-20-21) and the statistical analysis procedures contained therein, the  board will revoke or modify the certification as is necessary to assure that  the charcoal lighter material will result in VOC emissions of less than or  equal to 0.020 pound of VOC per start. Modifications and revocations of  certifications are considered case decisions and will be processed using the  procedures prescribed in 9VAC5-170 and Article 3 (§ 2.2-4018 et seq.) of the  Administrative Process Act. 
    F. Requirements for aerosol adhesives. 
    1. The standards for aerosol adhesives apply to all uses of  aerosol adhesives, including consumer, industrial, and commercial uses. Except  as otherwise provided in 9VAC5-40-7250 and 9VAC5-40-7290, no person shall sell,  supply, offer for sale, use or manufacture for sale an aerosol adhesive which,  at the time of sale, use, or manufacture, contains VOCs in excess of the  specified standard. 
    2. a. In order to qualify as a "special purpose spray  adhesive," the product must meet one or more of the definitions specified  in 9VAC5-40-7260 C, but if the product label indicates that the product is  suitable for use on a substrate or application not listed in 9VAC5-40-7260 C,  then the product shall be classified as either a "web spray adhesive"  or a "mist spray adhesive." 
    b. If a product meets more than one of the definitions  specified in 9VAC5-40-7260 C for "special purpose spray adhesive,"  and is not classified as a "web spray adhesive" or "mist spray  adhesive" under subdivision 2 a of this subsection, then the VOC limit for  the product shall be the lowest applicable VOC limit specified in 9VAC5-40-7270  A. 
    3. Effective as of the applicable compliance date specified  in 9VAC5-40-7330, no person shall (i) sell, supply, or offer for sale an  aerosol adhesive manufactured on or after the applicable compliance date, or  (ii) manufacture for sale an aerosol adhesive that contains any of the  following compounds: methylene chloride, perchloroethylene, or  trichloroethylene. 
    4. All aerosol adhesives must comply with the labeling  requirements specified in 9VAC5-40-7300 D. 
    G. Effective as of the applicable compliance date  specified in 9VAC5-40-7330, no person shall sell, supply, offer for sale, or  manufacture for use a floor wax stripper unless the following requirements are  met: 
    1. The label of each nonaerosol floor wax stripper must  specify a dilution ratio for light or medium build-up of polish that results in  an as-used VOC concentration of 3.0% by weight or less. 
    2. If a nonaerosol floor wax stripper is also intended to  be used for removal of heavy build-up of polish, the label of that floor wax  stripper must specify a dilution ratio for heavy build-up of polish that  results in an as-used VOC concentration of 12% by weight or less. 
    3. The terms "light build-up," "medium  build-up" or "heavy build-up" are not specifically required, as  long as comparable terminology is used. 
    H. For a consumer product for which standards are  specified under subsection A of this section, no person shall sell, supply,  offer for sale, or manufacture for sale a consumer product which contains any  of the following ozone-depleting compounds: 
    CFC-11 (trichlorofluoromethane), CFC-12  (dichlorodifluoromethane); 
    CFC-113 (1,1,1-trichloro-2,2,2-trifluoroethane); 
    CFC-114  (1-chloro-1,1-difluoro-2-chloro-2,2-difluoroethane); 
    CFC-115 (chloropentafluoroethane), halon 1211  (bromochlorodifluoromethane); 
    halon 1301 (bromotrifluoromethane), halon 2402  (dibromotetrafluoroethane); 
    HCFC-22 (chlorodifluoromethane), HCFC-123  (2,2-dichloro-1,1,1-trifluoroethane); 
    HCFC-124 (2-chloro-1,1,1,2-tetrafluoroethane); 
    HCFC-141b (1,1-dichloro-1-fluoroethane), HCFC-142b  (1-chloro-1,1-difluoroethane); 
    1,1,1-trichloroethane; or 
    carbon tetrachloride. 
    I. The requirements of subsection H of this section shall  not apply to an existing product formulation that complies with Table 4-50A or  an existing product formulation that is reformulated to meet Table 4-50A,  provided the ozone-depleting compound content of the reformulated product does  not increase. 
    J. The requirements of subsection H of this section shall  not apply to ozone-depleting compounds that may be present as impurities in a  consumer product in an amount equal to or less than 0.01% by weight of the  product. 
    9VAC5-40-7280. Alternative control plan (ACP) for consumer  products. (Repealed.)
    A. Manufacturers of consumer products may seek an ACP  agreement in accordance with subsections B through L of this section. 
    B. Provisions follow concerning the requirements and  process for approval of an ACP. 
    1. To be considered by the board for approval, an application  for a proposed ACP shall be submitted in writing to the board by the  responsible ACP party and shall contain all of the following: 
    a. An identification of the contact persons, phone numbers,  names and addresses of the responsible ACP party which is submitting the ACP  application and will be implementing the ACP requirements specified in the ACP  agreement; 
    b. A statement of whether the responsible ACP party is a  small business or a one-product business; 
    c. A listing of the exact product brand name, form,  available variations (flavors, scents, colors, sizes, etc.), and applicable  product category for each distinct ACP product that is proposed for inclusion  in the ACP; 
    d. For each proposed ACP product identified in subdivision  1 c of this subsection, a demonstration to the satisfaction of the board that  the enforceable sales records to be used by the responsible ACP party for  tracking product sales meet the minimum criteria specified in subdivision 1 d  (5) of this subsection. To provide this demonstration, the responsible ACP  party shall do all of the following: 
    (1) Provide the contact persons, phone numbers, names,  street and mail addresses of all persons and businesses who will provide  information that will be used to determine the enforceable sales; 
    (2) Determine the enforceable sales of each product using  enforceable sales records; 
    (3) Demonstrate, to the satisfaction of the board, the  validity of the enforceable sales based on enforceable sales records provided  by the contact persons or the responsible ACP party; 
    (4) Calculate the percentage of the gross sales, which is  composed of enforceable sales; 
    (5) Determine which ACP products have enforceable sales  which are 75% or more of the gross sales. Only ACP products meeting this  criteria shall be allowed to be sold under an ACP. 
    e. For each of the ACP products identified in subdivision 1  d (5) of this subsection, the inclusion of the following: 
    (1) Legible copies of the existing labels for each product;  
    (2) The VOC content and LVP content for each product. The  VOC content and LVP content shall be reported for two different periods, as  follows: 
    (a) The VOC and LVP contents of the product at the time the  application for an ACP is submitted, and 
    (b) The VOC and LVP contents of the product that were used  at any time within the four years prior to the date of submittal of the  application for an ACP, if either the VOC or LVP contents have varied by more  than plus or minus 10% of the VOC or LVP contents reported in subdivision 1 e  (2) (a) of this subsection. 
    f. A written commitment obligating the responsible ACP  party to date-code every unit of each ACP product approved for inclusion in the  ACP. The commitment shall require the responsible ACP party to display the  date-code on each ACP product container or package no later than five working  days after the date an ACP agreement approving an ACP is signed by the board. 
    g. An operational plan covering all the products identified  under subdivision 1 d (5) of this subsection for each compliance period that  the ACP will be in effect. The operational plan shall contain all of the  following: 
    (1) An identification of the compliance periods and dates  for the responsible ACP party to report the information required by the board  in the ACP agreement approving an ACP. The length of the compliance period  shall be chosen by the responsible ACP party (not to exceed 365 days). The  responsible ACP party shall also choose the dates for reporting information  such that all required VOC content and enforceable sales data for all ACP  products shall be reported to the board at the same time and at the same  frequency; 
    (2) An identification of specific enforceable sales records  to be provided to the board for enforcing the provisions of this article and  the ACP agreement approving an ACP. The enforceable sales records shall be  provided to the board no later than the compliance period dates specified in  subdivision 1 g (1) of this subsection; 
    (3) For a small business or a one-product business which  will be relying to some extent on surplus trading to meet its ACP limits, a  written commitment from the responsible ACP party that they will transfer the  surplus reductions to the small business or one-product business upon approval  of the ACP; 
    (4) For each ACP product, all VOC content levels which will  be applicable for the ACP product during each compliance period. The plan shall  also identify the specific method by which the VOC content will be determined  and the statistical accuracy and precision (repeatability and reproducibility)  will be calculated for each specified method. 
    (5) The projected enforceable sales for each ACP product at  each different VOC content for every compliance period that the ACP will be in  effect; 
    (6) A detailed demonstration showing the combination of  specific ACP reformulations or surplus trading (if applicable) that is  sufficient to ensure that the ACP emissions will not exceed the ACP limit for  each compliance period that the ACP will be in effect, the approximate date  within each compliance period that such reformulations or surplus trading are  expected to occur, and the extent to which the VOC contents of the ACP products  will be reduced (i.e., by ACP reformulation). This demonstration shall use the  equations specified in 9VAC5-40-7260 C for projecting the ACP emissions and ACP  limits during each compliance period. This demonstration shall also include all  VOC content levels and projected enforceable sales for all ACP products to be  sold during each compliance period; 
    (7) A certification that all reductions in the VOC content  of a product will be real, actual reductions that do not result from changing  product names, mischaracterizing ACP product reformulations that have occurred  in the past, or other attempts to circumvent the provisions of this article; 
    (8) Written explanations of the date-codes that will be  displayed on each ACP product's container or packaging; 
    (9) A statement of the approximate dates by which the  responsible ACP party plans to meet the applicable ACP VOC standards for each  product in the ACP; 
    (10) An operational plan ("reconciliation of  shortfalls plan") which commits the responsible ACP party to completely  reconcile shortfalls, even, to the extent permitted by law, if the responsible  ACP party files for bankruptcy protection. The plan for reconciliation of  shortfalls shall contain all of the following: 
    (a) A clear and convincing demonstration of how shortfalls  of up to 5.0%, 10%, 15%, 25%, 50%, 75% and 100% of the applicable ACP limit  will be completely reconciled within 90 working days from the date the  shortfall is determined; 
    (b) A listing of the specific records and other information  that will be necessary to verify that the shortfalls were reconciled as  specified in this subsection; and 
    (c) A commitment to provide a record or information  requested by the board to verify that the shortfalls have been completely  reconciled. 
    h. A declaration, signed by a legal representative for the  responsible ACP party, which states that all information and operational plans  submitted with the ACP application are true and correct. 
    2. a. In accordance with the time periods specified in  subsection C of this section, the board will issue an ACP agreement approving  an ACP which meets the requirements of this article. The board will specify  such terms and conditions as are necessary to ensure that the emissions from  the ACP products do not exceed the emissions that would have occurred if the  ACP products subject to the ACP had met the VOC standards specified in  9VAC5-40-7270 A. The ACP shall also include: 
    (1) Only those ACP products for which the enforceable sales  are at least 75% of the gross sales, as determined in subdivision 1 d (5) of  this subsection; 
    (2) A reconciliation of shortfalls plan meeting the  requirements of this article; 
    (3) Operational terms, conditions, and data to be reported  to the board to ensure that all requirements of this article are met. 
    b. The board will not approve an ACP submitted by a  responsible ACP party if the board determines, upon review of the responsible  ACP party's compliance history with past or current ACPs or the requirements  for consumer products in this article, that the responsible ACP party has a  recurring pattern of violations and has consistently refused to take the  necessary steps to correct those violations. 
    C. Provisions follow concerning ACP approval time frames. 
    1. The board will take appropriate action on an ACP within  the following time periods: 
    a. Within 30 working days of receipt of an ACP application,  the board will inform the applicant in writing that either: 
    (1) The application is complete and accepted for filing, or  
    (2) The application is deficient, and identify the specific  information required to make the application complete. 
    b. Within 30 working days of receipt of additional  information provided in response to a determination that an ACP application is  deficient, the board will inform the applicant in writing that either: 
    (1) The additional information is sufficient to make the  application complete, and the application is accepted for filing, or 
    (2) The application is deficient, and identify the specific  information required to make the application complete. 
    c. If the board finds that an application meets the  requirements of subsection B of this section, then it shall issue an ACP  agreement in accordance with the requirements of this article. The board will  act to approve or disapprove a complete application within 90 working days  after the application is deemed complete. 
    2. Before the end of each time period specified in this  section, the board and the responsible ACP party may mutually agree to a longer  time period for the board to take the appropriate action. 
    D. Provisions follow concerning recordkeeping and  availability of requested information. 
    1. All information specified in the ACP agreement approving  an ACP shall be maintained by the responsible ACP party for a minimum of three  years after such records are generated. Such records shall be clearly legible  and maintained in good condition during this period. 
    2. The records specified in subdivision 1 of this  subsection shall be made available to the board or its authorized  representative: 
    a. Immediately upon request, during an on-site visit to a  responsible ACP party; 
    b. Within five working days after receipt of a written  request from the board; or 
    c. Within a time period mutually agreed upon by both the  board and the responsible ACP party. 
    E. Provisions follow concerning violations. 
    1. Failure to meet a requirement of this article or a  condition of an applicable ACP agreement shall constitute a single, separate  violation of this article for each day until such requirement or condition is  satisfied, except as otherwise provided in subdivisions 2 through 8 of this  subsection. 
    2. False reporting of information in an ACP application or  in any supporting documentation or amendments thereto shall constitute a  single, separate violation of the requirements of this article for each day  that the approved ACP is in effect. 
    3. An exceedance during the applicable compliance period of  the VOC content specified for an ACP product in the ACP agreement approving an  ACP shall constitute a single, separate violation of the requirements of this  article for each ACP product which exceeds the specified VOC content that is  sold, supplied, offered for sale, or manufactured for use. 
    4. Any of the following actions shall each constitute a  single, separate violation of the requirements of this article for each day  after the applicable deadline until the requirement is satisfied: 
    a. Failure to report data or failure to report data  accurately in writing to the board regarding the VOC content, LVP content,  enforceable sales, or other information required by the deadline specified in  the applicable ACP agreement; 
    b. False reporting of information submitted to the board  for determining compliance with the ACP requirements; 
    c. Failure to completely implement the reconciliation of  shortfalls plan that is set forth in the ACP agreement, within 30 working days  from the date of written notification of a shortfall by the board; or 
    d. Failure to completely reconcile the shortfall as  specified in the ACP agreement, within 90 working days from the date of written  notification of a shortfall by the board. 
    5. False reporting or failure to report any of the  information specified in subdivision F 2 i of this section or the sale or  transfer of invalid surplus reductions shall constitute a single, separate  violation of the requirements of this article for each day during the time  period for which the surplus reductions are claimed to be valid. 
    6. Except as provided in subdivision 7 of this subsection,  an exceedance of the ACP limit for a compliance period that the ACP is in  effect shall constitute a single, separate violation of the requirements of  this article for each day of the applicable compliance period. The board will  determine whether an exceedance of the ACP limit has occurred as follows: 
    a. If the responsible ACP party has provided all required  information for the applicable compliance period specified in the ACP agreement  approving an ACP, then the board will determine whether an exceedance has  occurred using the enforceable sales records and VOC content for each ACP  product, as reported by the responsible ACP party for the applicable compliance  period; 
    b. If the responsible ACP party has failed to provide all  the required information specified in the ACP agreement for an applicable  compliance period, the board will determine whether an exceedance of the ACP  limit has occurred as follows: 
    (1) For the missing data days, the board will calculate the  total maximum historical emissions, as specified in 9VAC5-40-7260 C; 
    (2) For the remaining portion of the compliance period  which are not missing data days, the board will calculate the emissions for  each ACP product using the enforceable sales records and VOC content that were  reported for that portion of the applicable compliance period; 
    (3) The ACP emissions for the entire compliance period  shall be the sum of the total maximum historical emissions, determined pursuant  to subdivision 6 b (1) of this subsection, and the emissions determined  pursuant to subdivision 6 b (2) of this subsection; 
    (4) The board will calculate the ACP limit for the entire  compliance period using the ACP Standards applicable to each ACP product and  the enforceable sales records specified in subdivision 6 b (2) of this  subsection. The enforceable sales for each ACP product during missing data  days, as specified in subdivision 6 b (1) of this subsection, shall be zero; 
    (5) An exceedance of the ACP limit has occurred when the  ACP emissions, determined pursuant to subdivision 6 b (3) of this subsection,  exceeds the ACP limit, determined pursuant to subdivision 6 b (4) of this  subsection. 
    7. If a violation specified in subdivision 6 of this  subsection occurs, the responsible ACP party may, pursuant to this subdivision,  establish the number of violations as calculated according to the following  equation: 
           |   | NEV =
 | (ACP Emissions - ACP limit)
 | 
       | 40 pounds
 | 
  
    where 
    NEV = number of ACP limit violations. 
    ACP emissions = the ACP emissions for the compliance  period. 
    ACP limit = the ACP limit for the compliance period. 
    40 pounds = number of pounds of emissions equivalent to one  violation. 
    The responsible ACP party may determine the number of ACP  limit violations pursuant to this subdivision only if it has provided all  required information for the applicable compliance period, as specified in the  ACP agreement approving the ACP. By choosing this option, the responsible ACP  party waives all legal objections to the calculation of the ACP limit  violations pursuant to this subdivision. 
    8. A cause of action against a responsible ACP party under  this section shall be deemed to accrue on the date when the records  establishing a violation are received by the board. 
    9. The responsible ACP party is fully liable for compliance  with the requirements of this article, even if the responsible ACP party  contracts with or otherwise relies on another person to carry out some or all  of the requirements of this article. 
    F. Provisions follow concerning surplus reductions and  surplus trading. 
    1. The board will issue surplus reduction certificates  which establish and quantify, to the nearest pound of VOC reduced, the surplus  reductions achieved by a responsible ACP party operating under an ACP. The  surplus reductions can be bought from, sold to, or transferred to a responsible  ACP party operating under an ACP, as provided in subdivision 2 of this  subsection. All surplus reductions shall be calculated by the board at the end  of each compliance period within the time specified in the approved ACP.  Surplus reduction certificates shall not constitute instruments, securities, or  another form of property. 
    2. The issuance, use, and trading of all surplus reductions  shall be subject to the following provisions: 
    a. For the purposes of this article, VOC reductions from  sources of VOCs other than consumer products subject to the VOC standards  specified in 9VAC5-40-7270 A may not be used to generate surplus reductions; 
    b. Surplus reductions are valid only when generated by a  responsible ACP party and only while that responsible ACP party is operating  under an approved ACP; 
    c. Surplus reductions are valid only after the board has  issued an ACP agreement pursuant to subdivision 1 of this subsection. 
    d. Surplus reductions issued by the board may be used by  the responsible ACP party who generated the surplus until the reductions  expire, are traded, or until the ACP is canceled pursuant to subdivision J 2 of  this section; 
    e. Surplus reductions cannot be applied retroactively to a  compliance period prior to the compliance period in which the reductions were  generated; 
    f. Except as provided in subdivision 2 g (2) of this  subsection, only small or one-product businesses selling products under an  approved ACP may purchase surplus reductions. An increase in the size of a  small business or one-product business shall have no effect on surplus  reductions purchased by that business prior to the date of the increase. 
    g. While valid, surplus reductions can be used only for the  following purposes: 
    (1) To adjust the ACP emissions of either the responsible  ACP party who generated the reductions or the responsible ACP party to which  the reductions were traded, provided the surplus reductions are not to be used  by a responsible ACP party to further lower its ACP emissions when its ACP  emissions are equal to or less than the ACP limit during the applicable  compliance period; or 
    (2) To be traded for the purpose of reconciling another  responsible ACP party's shortfalls, provided such reconciliation is part of the  reconciliation of shortfalls plan approved by the board pursuant to subdivision  B 1 g (10) of this section. 
    h. A valid surplus reduction shall be in effect starting  five days after the date of issuance by the board for a continuous period equal  to the number of days in the compliance period during which the surplus  reduction was generated. The surplus reduction shall then expire at the end of  its effective period. 
    i. At least five working days prior to the effective date  of transfer of surplus reductions, both the responsible ACP party which is  selling surplus reductions and the responsible ACP party which is buying the  surplus reductions shall, either together or separately, notify the board in  writing of the transfer. The notification shall include all of the following: 
    (1) The date the transfer is to become effective; 
    (2) The date the surplus reductions being traded are due to  expire; 
    (3) The amount (in pounds of VOCs) of surplus reductions  that are being transferred; 
    (4) The total purchase price paid by the buyer for the  surplus reductions; 
    (5) The contact persons, names of the companies, street and  mail addresses, and phone numbers of the responsible ACP parties involved in  the trading of the surplus reductions; 
    (6) A copy of the board-issued surplus reductions  certificate, signed by both the seller and buyer of the certificate, showing  transfer of all or a specified portion of the surplus reductions. The copy  shall show the amount of any remaining nontraded surplus reductions, if  applicable, and shall show their expiration date. The copy shall indicate that  both the buyer and seller of the surplus reductions fully understand the  conditions and limitations placed upon the transfer of the surplus reductions  and accept full responsibility for the appropriate use of such surplus  reductions as provided in this section. 
    j. Surplus reduction credits shall only be traded between  ACP products. 
    3. Provisions follow concerning limited-use surplus  reduction credits for early reformulations of ACP products. 
    a. For the purposes of this subdivision, "early  reformulation" means an ACP product which is reformulated to result in a  reduction in the product's VOC content, and which is sold, supplied, or offered  for sale for the first time during the one-year (365 day) period immediately  prior to the date on which the application for a proposed ACP is submitted to  the board. Early reformulation does not include reformulated ACP products which  are sold, supplied, or offered for sale more than one year prior to the date on  which the ACP application is submitted to the board. 
    b. If requested in the application for a proposed ACP, the  board will, upon approval of the ACP, issue surplus reduction credits for early  reformulation of ACP products, provided that all of the following documentation  has been provided by the responsible ACP party to the satisfaction of the  board: 
    (1) Accurate documentation showing that the early  reformulation reduced the VOC content of the ACP product to a level that is  below the pre-ACP VOC content of the product, or below the applicable VOC  standard specified in 9VAC5-40-7270 A, whichever is the lesser of the two; 
    (2) Accurate documentation demonstrating that the early  reformulated ACP product was sold in retail outlets within the time period  specified in subdivision 3 a of this subsection; 
    (3) Accurate sales records for the early reformulated ACP  product that meet the definition of enforceable sales records and that  demonstrate that the enforceable sales for the ACP product are at least 75% of  the gross sales for the product, as specified in subdivision B 1 d of this section;  
    (4) Accurate documentation for the early reformulated ACP  product that meets the requirements specified in subdivisions B 1 c and d and B  1 g (7) and (8) of this section and that identifies the specific test methods  for verifying the claimed early reformulation and the statistical accuracy and  precision of the test methods as specified in subdivision B 1 g (4) of this  section. 
    c. Surplus reduction credits issued pursuant to this  subsection shall be calculated separately for each early reformulated ACP  product by the board according to the following equation: 
           |   | SR =
 | Enforceable Sales x ((VOC Content)initial -    (VOC Content)final)
 | 
       | 100
 | 
  
    where 
    SR = surplus reductions for the ACP product, expressed to  the nearest pound. 
    Enforceable sales = the enforceable sales for the early  reformulated ACP product, expressed to the nearest pound of ACP product. 
    VOC contentinitial = the pre-ACP VOC content of  the ACP product, or the applicable VOC standard specified in 9VAC5-40-7270 A,  whichever is the lesser of the two, expressed to the nearest 0.1 pounds of VOC  per 100 pounds of ACP product. 
    VOC contentfinal = the VOC content of the early  reformulated ACP product after the early reformulation is achieved, expressed  to the nearest 0.1 pounds of VOC per 100 pounds of ACP product. 
    d. The use of limited use surplus reduction credits issued  pursuant to this subdivision shall be subject to all of the following  provisions: 
    (1) Limited use surplus reduction credits shall be used  solely to reconcile the responsible ACP party's shortfalls, if any, generated  during the first compliance period occurring immediately after the issuance of  the ACP agreement approving an ACP, and shall not be used for another purpose; 
    (2) Limited use surplus reduction credits shall not be  transferred to, or used by, another responsible ACP party; 
    (3) Except as provided in this subdivision, limited use  surplus reduction credits shall be subject to all requirements applicable to  surplus reductions and surplus trading, as specified in subdivisions 1 and 2 of  this subsection. 
    G. Provisions follow concerning the reconciliation of  shortfalls. 
    1. At the end of each compliance period, the responsible  ACP party shall make an initial calculation of shortfalls occurring in that  compliance period, as specified in the ACP agreement approving the ACP. Upon  receipt of this information, the board will determine the amount of a shortfall  that has occurred during the compliance period and shall notify the responsible  ACP party of this determination. 
    2. The responsible ACP party shall implement the  reconciliation of shortfalls plan as specified in the ACP agreement approving  the ACP within 30 working days from the date of written notification of a  shortfall by the board. 
    3. All shortfalls shall be completely reconciled within 90  working days from the date of written notification of a shortfall by the board  by implementing the reconciliation of shortfalls plan specified in the ACP  agreement approving the ACP. 
    4. All requirements specified in the ACP agreement  approving an ACP, including all applicable ACP limits, shall remain in effect  while shortfalls are in the process of being reconciled. 
    H. Provisions follow concerning the notification of  modifications to an ACP by the responsible ACP party. 
    1. Board preapproval is not required for modifications that  are a change to an ACP product's (i) product name, (ii) product formulation,  (iii) product form, (iv) product function, (v) applicable product category,  (vi) VOC content, (vii) LVP content, (viii) date-codes, or (ix) recommended  product usage directions. The responsible ACP party shall notify the board of  such changes in writing no later than 15 working days from the date such a  change occurs. For each modification, the notification shall fully explain the  following: 
    a. The nature of the modification; 
    b. The extent to which the ACP product formulation, VOC  content, LVP content, or recommended usage directions will be changed; 
    c. The extent to which the ACP emissions and ACP limit  specified in the ACP agreement will be changed for the applicable compliance  period; and 
    d. The effective date and corresponding date-codes for the  modification. 
    2. The responsible ACP party may propose modifications to  the enforceable sales records or the reconciliation of shortfalls plan  specified in the ACP agreement approving the ACP; however, such modifications  require board preapproval. Any such proposed modifications shall be fully  described in writing and forwarded to the board. The responsible ACP party  shall clearly demonstrate that the proposed modifications will meet the  requirements of this article. The board will act on the proposed modifications  using the procedure set forth in subsection C of this section. The responsible  ACP party shall meet all applicable requirements of the existing ACP until such  time as a proposed modification is approved in writing by the board. 
    3. Except as otherwise provided in subdivisions 1 and 2 of  this subsection, the responsible ACP party shall notify the board, in writing,  of information known by the responsible ACP party which may alter the  information submitted pursuant to the requirements of subsection B of this  section. The responsible ACP party shall provide such notification to the board  no later than 15 working days from the date such information is known to the  responsible ACP party. 
    I. Provisions follow concerning the modification of an ACP  by the board. 
    1. If the board determines that: (i) the enforceable sales  for an ACP product are no longer at least 75% of the gross sales for that  product, or (ii) the information submitted pursuant to the approval process set  forth in subsection C of this section is no longer valid, or (iii) the ACP  emissions are exceeding the ACP limit specified in the ACP agreement approving  an ACP, then the board will modify the ACP as necessary to ensure that the ACP  meets all requirements of this article and that the ACP emissions will not  exceed the ACP limit. Modifications of ACPs are considered case decisions and  will be processed using the procedures prescribed in 9VAC5-170 and Article 3 (§ 2.2-4018 et seq.) of the Administrative Process Act. 
    2. If any applicable VOC standards specified in  9VAC5-40-7270 A are modified by the board in a future rule-making, the board  will modify the ACP limit specified in the ACP agreement approving an ACP to  reflect the modified ACP VOC standards as of their effective dates. 
    J. Provisions follow concerning the cancellation of an  ACP. 
    1. An ACP shall remain in effect until: 
    a. The ACP reaches the expiration date specified in the ACP  agreement; 
    b. The ACP is modified by the responsible ACP party and  approved by the board, as provided in subsection H of this section; 
    c. The ACP is modified by the board, as provided in  subsection I of this section; 
    d. The ACP includes a product for which the VOC standard  specified in 9VAC5-40-7270 A is modified by the board in a future rule-making,  and the responsible ACP party informs the board in writing that the ACP will  terminate on the effective date of the modified standard; 
    e. The ACP is cancelled pursuant to subdivision 2 of this  subsection. 
    2. The board will cancel an ACP if any of the following  circumstances occur: 
    a. The responsible ACP party demonstrates to the  satisfaction of the board that the continuation of the ACP will result in an  extraordinary economic hardship; 
    b. The responsible ACP party violates the requirements of  the approved ACP, and the violation results in a shortfall that is 20% or more  of the applicable ACP limit (i.e., the ACP emissions exceed the ACP limit by  20% or more); 
    c. The responsible ACP party fails to meet the requirements  of subsection G of this section within the time periods specified in that  subsection. 
    d. The responsible ACP party has demonstrated a recurring  pattern of violations and has consistently failed to take the necessary steps  to correct those violations. 
    3. Cancellations of ACPs are considered case decisions and  will be processed using the procedures prescribed in 9VAC5-170 and Article 3 (§ 2.2-4018 et seq.) of the Administrative Process Act. 
    4. The responsible ACP party for an ACP which is canceled  pursuant to this section and who does not have a valid ACP to immediately  replace the canceled ACP shall meet all of the following requirements: 
    a. All remaining shortfalls in effect at the time of ACP  cancellation shall be reconciled in accordance with the requirements of  subsection G of this section, and 
    b. All ACP products subject to the ACP shall be in  compliance with the applicable VOC standards in 9VAC5-40-7270 A immediately  upon the effective date of ACP cancellation. 
    5. Violations incurred pursuant to subsection E of this  section shall not be cancelled or affected by the subsequent cancellation or  modification of an ACP pursuant to subsection H, I, or J of this section. 
    K. The information required by subdivisions B 1 a and b  and F 2 i of this section is public information that may not be claimed as  confidential. All other information submitted to the board to meet the  requirements of this article shall be handled in accordance with the procedures  specified in §§ 10.1-1314 and 10.1-1314.1 of the Virginia Air Pollution Control  Law and 9VAC5-170-60. 
    L. A responsible ACP party may transfer an ACP to another  responsible ACP party, provided that all of the following conditions are met: 
    1. The board will be notified, in writing, by both  responsible ACP parties participating in the transfer of the ACP and its  associated ACP agreement. The written notifications shall be postmarked at  least five working days prior to the effective date of the transfer and shall  be signed and submitted separately by both responsible parties. The written  notifications shall clearly identify the contact persons, business names, mail  and street addresses, and phone numbers of the responsible parties involved in  the transfer. 
    2. The responsible ACP party to which the ACP is being  transferred shall provide a written declaration stating that the transferee  shall fully comply with all requirements of the ACP agreement approving the ACP  and this article. 
    M. In approving agreements under subsections B through L  of this section, the board will take into consideration whether the applicant  has been granted an ACP by CARB. A manufacturer of consumer products that has  been granted an ACP agreement by the CARB under the provisions in Subchapter  8.5, Article 4, §§ 94540-94555, of Title 17 of the California Code of  Regulations (see 9VAC5-20-21) may be exempt from Table 4-50A for the period of  time that the CARB ACP agreement remains in effect provided that all ACP  products within the CARB ACP agreement are contained in Table 4-50A. A  manufacturer claiming such an ACP agreement on this basis must submit to the  board a copy of the CARB ACP decision (i.e., the Executive Order), including  all conditions established by CARB applicable to the exemption and  certification that the manufacturer will comply with the CARB ACP decision for  those ACP products in the areas specified in 9VAC5-40-7240 B. 
    9VAC5-40-7290. Innovative products. (Repealed.)
    A. Manufacturers of consumer products may seek an innovative  products exemption in accordance with the following criteria: 
    1. The board will exempt a consumer product from the VOC  limits specified in 9VAC5-40-7270 A if a manufacturer demonstrates by clear and  convincing evidence that, due to some characteristic of the product  formulation, design, delivery systems or other factors, the use of the product  will result in less VOC emissions as compared to: 
    a. The VOC emissions from a representative consumer product  that complies with the VOC limits specified in 9VAC5-40-7270 A, or 
    b. The calculated VOC emissions from a noncomplying  representative product, if the product had been reformulated to comply with the  VOC limits specified in 9VAC5-40-7270 A. VOC emissions shall be calculated  using the following equation: 
        where 
    ER = The VOC emissions from the noncomplying  representative product, had it been reformulated. 
    ENC = The VOC emissions from the noncomplying  representative product in its current formulation. 
    VOCSTD = the VOC limit specified in Table 4-50A.  
    VOCNC = the VOC content of the noncomplying  product in its current formulation. 
    If a manufacturer demonstrates that this equation yields  inaccurate results due to some characteristic of the product formulation or  other factors, an alternative method which accurately calculates emissions may  be used upon approval of the board. 
    2. For the purposes of this subsection,  "representative consumer product" means a consumer product that meets  all of the following criteria: 
    a. The representative product shall be subject to the same  VOC limit in 9VAC5-40-7270 A as the innovative product; 
    b. The representative product shall be of the same product  form as the innovative product, unless the innovative product uses a new form  which does not exist in the product category at the time the application is  made; and 
    c. The representative product shall have at least a similar  efficacy as other consumer products in the same product category based on tests  generally accepted for that product category by the consumer products industry.  
    3. A manufacturer shall apply in writing to the board for  an exemption claimed under subdivision A 1 of this section. The application  shall include the supporting documentation that demonstrates the emissions from  the innovative product, including the actual physical test methods used to  generate the data and, if necessary, the consumer testing undertaken to  document product usage. In addition, the applicant must provide the information  necessary to enable the board to establish enforceable conditions for granting  the exemption, including the VOC content for the innovative product and test  methods for determining the VOC content. All information submitted by a  manufacturer pursuant to this section shall be handled in accordance with the  procedures specified in §§ 10.1-1314 and 10.1-1314.1 of the Virginia Air  Pollution Control Law and 9VAC5-170-60. 
    4. Within 30 days of receipt of the exemption application,  the board will determine whether an application is complete. 
    5. Within 90 days after an application has been deemed  complete, the board will determine whether, under what conditions, and to what  extent an exemption from the requirements of 9VAC5-40-7270 A will be permitted.  The applicant and the board may mutually agree to a longer time period for  reaching a decision, and additional supporting documentation may be submitted  by the applicant before a decision has been reached. The board will notify the  applicant of the decision in writing and specify such terms and conditions as  are necessary to insure that emissions from the product will meet the emissions  reductions specified in subdivision 1 of this subsection, and that such  emissions reductions can be enforced. 
    6. In granting an exemption for a product, the board will  establish enforceable conditions. These conditions shall include the VOC  content of the innovative product, dispensing rates, application rates, and  other parameters determined by the board to be necessary. The board will also  specify the test methods for determining conformance to the conditions  established. The test methods shall include criteria for reproducibility,  accuracy, sampling, and laboratory procedures. 
    7. For a product for which an exemption has been granted  pursuant to this section, the manufacturer shall notify the board in writing  within 30 days of a change in the product formulation or recommended product  usage directions and shall also notify the board within 30 days if the  manufacturer learns of information which would alter the emissions estimates  submitted to the board in support of the exemption application. 
    8. If the VOC limits specified in 9VAC5-40-7270 A are  lowered for a product category through a subsequent rulemaking, all innovative  product exemptions granted for products in the product category, except as  provided in this subdivision, shall have no force and effect as of the  effective date of the modified VOC standard. This subdivision shall not apply  to those innovative products that have VOC emissions less than the applicable  lowered VOC limit and for which a written notification of the product's  emissions status versus the lowered VOC limit has been submitted to and  approved by the board at least 60 days before the effective date of such  limits. 
    9. If the board believes that a consumer product for which  an exemption has been granted no longer meets the criteria for an innovative  product specified in subdivision 1 of this subsection, the board may modify or  revoke the exemption as necessary to assure that the product will meet these  criteria. Modifications and revocations of exemptions are considered case  decisions and will be processed using the procedures prescribed in 9VAC5-170  and Article 3 (§ 2.2-4018 et seq.) of the Administrative Process Act. 
    B. In granting an exemption under this section, the board  will take into consideration whether the applicant has been granted an  innovative product exemption by CARB. A manufacturer of consumer products that  has been granted an innovative product exemption by the CARB under the  innovative products provisions in Subchapter 8.5, Article 2, § 94511, or  Subchapter 8.5, Article 1, § 94503.5 of Title 17 of the California Code of  Regulations (see 9VAC5-20-21) may be exempt from Table 4-50A for the period of  time that the CARB innovative products exemption remains in effect provided  that all consumer products within the CARB innovative products exemption are  contained in Table 4-50A. A manufacturer claiming such an exemption on this  basis must submit to the board a copy of the CARB innovative product exemption  decision (i.e., the Executive Order), including all conditions established by  CARB applicable to the exemption and certification that the manufacturer will  comply with the CARB innovative product exemption decision for those products  in the areas specified in 9VAC5-40-7240 B. 
    9VAC5-40-7300. Administrative requirements. (Repealed.)
    A. Each manufacturer of a consumer product subject to  9VAC5-40-7270 shall clearly display on each consumer product container or  package, the day, month, and year on which the product was manufactured or a  code indicating such date. The date or code shall be located on the container  or inside the cover or cap so that it is readily observable or obtainable (by  simply removing the cap or cover) without disassembling a part of the container  or packaging. This date or code shall be displayed on each consumer product  container or package no later than the effective date of the applicable  standard specified in 9VAC5-40-7270 A. No person shall erase, alter, deface, or  otherwise remove or make illegible a date or code from a regulated product  container without the express authorization of the manufacturer. The  requirements of this provision shall not apply to products containing no VOCs  or containing VOCs at 0.10% by weight or less. 
    B. If a manufacturer uses a code indicating the date of  manufacture for a consumer product subject to 9VAC5-40-7270, an explanation of  the code must be filed with the board upon request by the board. 
    C. Notwithstanding the definition of "product  category" in 9VAC5-40-7260 C, if anywhere on the principal display panel  of a consumer product, a representation is made that the product may be used as  or is suitable for use as a consumer product for which a lower VOC limit is  specified in 9VAC5-40-7270 A, then the lowest VOC limit shall apply. This  requirement does not apply to general purpose cleaners and antiperspirant or  deodorant products. 
    D. Provisions follow concerning additional labeling  requirements for aerosol adhesives. 
    1. In addition to the requirements specified in subsections  A and C of this section and in 9VAC5-40-7360, both the manufacturer and  responsible party for each aerosol adhesive product subject to this article  shall ensure that all products clearly display the following information on  each product container which is manufactured on or after the applicable  compliance date specified in 9VAC5-40-7330. 
    a. The aerosol adhesive category as specified in  9VAC5-40-7270 A or an abbreviation of the category shall be displayed; 
    b. (1) The applicable VOC standard for the product that is  specified in 9VAC5-40-7270 A, expressed as a percentage by weight, shall be  displayed unless the product is included in an alternative control plan  approved by the board, as provided in 9VAC5-40-7280; 
    (2) If the product is included in an alternative control  plan approved by the board, and the product exceeds the applicable VOC standard  specified in 9VAC5-40-7270 A, the product shall be labeled with the term  "ACP" or "ACP product"; 
    (3) If the product is classified as a special purpose spray  adhesive, the applicable substrate or application or an abbreviation of the  substrate or application that qualifies the product as special purpose shall be  displayed; 
    (4) If the manufacturer or responsible party uses an  abbreviation as allowed by this subsection, an explanation of the abbreviation  must be filed with the board before the abbreviation is used. 
    2. The information required in subdivision 1 of this  subsection shall be displayed on the product container such that it is readily  observable without removing or disassembling a portion of the product container  or packaging. For the purposes of this subsection, information may be displayed  on the bottom of a container as long as it is clearly legible without removing  product packaging. 
    3. No person shall remove, alter, conceal, or deface the  information required in subdivision 1 of this subsection prior to final sale of  the product. 
    9VAC5-40-7310. Standard for toxic pollutants. (Repealed.)
    The provisions of Article 4 (9VAC5-60-200 et seq.) of  9VAC5 Chapter 60 (Emission Standards for Toxic Pollutants from Existing  Sources, Rule 6-4) do not apply. 
    9VAC5-40-7320. Compliance. (Repealed.)
    The provisions of subsections B, D, F, and J of 9VAC5-40-20  (Compliance) apply. The other provisions of 9VAC5-40-20 do not apply. 
    9VAC5-40-7330. Compliance schedules. (Repealed.)
    Affected persons shall comply with the provisions of this  article as expeditiously as possible but in no case later than: 
    1. July 1, 2005, in the Northern Virginia VOC Emissions  Control Area; or 
    2. January 1, 2008, in the Fredericksburg VOC Emissions  Control Area. 
    9VAC5-40-7340. Test methods and procedures. (Repealed.)
    A. The provisions of 9VAC5-40-30 (Emission testing) apply.  
    B. 1. Testing to determine compliance with the  requirements of this article shall be performed using CARB Method 310 (see  9VAC5-20-21). Alternative methods that can accurately determine the  concentration of VOCs in a subject product or its emissions may be used  consistent with the approval requirements of 9VAC5-40-20 A 2. 
    2. In sections 3.5, 3.6, and 3.7 of CARB Method 310 (see  9VAC5-20-21), a process is specified for the "Initial Determination of VOC  Content" and the "Final Determination of VOC Content." Information  submitted to the board may be claimed as confidential; such information will be  handled in accordance with the confidentiality procedures specified in §§ 10.1-1314 and 10.1-1314.1 of the Virginia Air Pollution Control Law and  9VAC5-170-60. 
    C. For VOC content determinations using product  formulation and records, testing to determine compliance with the requirements  of this article may also be demonstrated through calculation of the VOC content  from records of the amounts of constituents used to make the product pursuant  to the following criteria: 
    1. Compliance determinations based on these records may not  be used unless the manufacturer of a consumer product keeps accurate records  for each day of production of the amount and chemical composition of the  individual product constituents. These records must be kept for at least three  years. 
    2. For the purposes of this subsection, the VOC content  shall be calculated according to the following equation: 
           |   | VOC Content =
 | ((B - C) x 100)
 | 
       | A
 | 
  
    where 
    A = total net weight of unit (excluding container and  packaging). 
    B = total weight of all VOCs per unit. 
    C = total weight of all exempted VOCs per unit, as  specified in 9VAC5-40-7250. 
    3. If product records appear to demonstrate compliance with  the VOC limits, but these records are contradicted by product testing performed  using CARB Method 310 (see 9VAC5-20-21), the results of CARB Method 310 shall  take precedence over the product records and may be used to establish a  violation of the requirements of this article. 
    D. Testing to determine whether a product is a liquid or  solid shall be performed using ASTM "Standard Test Method for Determining  Whether a Material is a Liquid or a Solid" (see 9VAC5-20-21). 
    E. Testing to determine compliance with the certification  requirements for charcoal lighter material shall be performed using the  procedures specified in the South Coast Air Quality Management District Rule  1174 Ignition Method Compliance Certification Protocol (see 9VAC5-20-21). 
    F. Testing to determine distillation points of petroleum  distillate-based charcoal lighter materials shall be performed using ASTM  "Standard Test Method for Distillation of Petroleum Products at  Atmospheric Pressure" (see 9VAC5-20-21). 
    G. No person shall create, alter, falsify, or otherwise  modify records in such a way that the records do not accurately reflect the  constituents used to manufacture a product, the chemical composition of the  individual product, and other tests, processes, or records used in connection  with product manufacture. 
    9VAC5-40-7350. Monitoring. (Repealed.)
    The provisions of 9VAC5-40-40 (Monitoring) apply. 
    9VAC5-40-7360. Notification, records and reporting. (Repealed.)
    A. The provisions of subsections D, E, F, and H of  9VAC5-40-50 (Notification, records and reporting) apply. The other provisions  of 9VAC5-40-50 do not apply. 
    B. Upon 90 days written notice, the board may require a  responsible party to report information for a consumer product the board may  specify, including, but not limited to, all or part of the following  information: 
    1. The name of the responsible party and the party's  address, telephone number, and designated contact person; 
    2. A claim of confidentiality made pursuant to applicable  state confidentiality requirements; 
    3. The product brand name for each consumer product subject  to registration and, upon request by the board, the product label; 
    4. The product category to which the consumer product belongs;  
    5. The applicable product forms listed separately; 
    6. An identification of each product brand name and form as  a "Household Product," "I&I Product," or both; 
    7. Separate sales in pounds per year, to the nearest pound,  and the method used to calculate sales for each product form; 
    8. For registrations submitted by two companies, an  identification of the company which is submitting relevant data separate from  that submitted by the responsible party. All registration information from both  companies shall be submitted by the date specified in this subsection; 
    9. For each product brand name and form, the net percent by  weight of the total product, less container and packaging, composed of the  following, rounded to the nearest one-tenth of a percent (0.1%): 
    a. Total exempt compounds; 
    b. Total LVP-VOCs that are not fragrances; 
    c. Total all other carbon-containing compounds that are not  fragrances; 
    d. Total all noncarbon-containing compounds; 
    e. Total fragrance; 
    f. For products containing greater than 2.0% by weight  fragrance: 
    (1) The percent of fragrances that are LVP-VOCs; and 
    (2) The percent of fragrances that are all other  carbon-containing compounds; 
    g. Total paradichlorobenzene; 
    10. For each product brand name and form, the identity,  including the specific chemical name and associated Chemical Abstract Services  (CAS) number, of the following: 
    a. Each exempt compound; and 
    b. Each LVP-VOC that is not a fragrance; 
    11. If applicable, the weight percent composed of  propellent for each product; 
    12. If applicable, an identification of the type of  propellent. 
    C. In addition to the requirements of subdivision B 10 of  this section, the responsible party shall report to the board the net percent  by weight of each ozone-depleting compound which is: 
    1. Listed in 9VAC5-40-7270 H; and 
    2. Contained in a product subject to registration under  subsection A of this section in an amount greater than 1.0% by weight. 
    D. All information submitted by responsible parties  pursuant to this section shall be handled in accordance with the procedures  specified in §§ 10.1-1314 and 10.1-1314.1 of the Virginia Air Pollution Control  Law and 9VAC5-170-60. 
    E. Provisions follow concerning special reporting requirements  for consumer products that contain perchloroethylene or methylene chloride. 
    1. The requirements of this subsection shall apply to all  responsible parties for consumer products that are subject to 9VAC5-40-7270 A  and contain perchloroethylene or methylene chloride. For the purposes of this  subsection, a product contains perchloroethylene or methylene chloride if the  product contains 1.0% or more by weight (exclusive of the container or  packaging) of either perchloroethylene or methylene chloride. 
    2. For each consumer product that contains  perchloroethylene or methylene chloride, the responsible party shall report the  following information for products sold during each calendar year, beginning  with the year of the applicable compliance date specified in 9VAC5-40-7330, and  ending with the year 2010: 
    a. The product brand name and a copy of the product label  with legible usage instructions; 
    b. The product category to which the consumer product  belongs; 
    c. The applicable product form, listed separately; 
    d. For each product form listed in subdivision 2 c of this  subsection, the total sales during the calendar year, to the nearest pound  (exclusive of the container or packaging), and the method used for calculating  sales; 
    e. The weight percent, to the nearest 0.10%, of  perchloroethylene and methylene chloride in the consumer product; 
    3. The information specified in subdivision 2 of this  subsection shall be reported for each calendar year by March 1 of the following  year. The first report shall be due on March 1 of the calendar year following  the year of the applicable compliance date specified in 9VAC5-40-7330. A new  report is due on March 1 of each year thereafter, until March 1, 2011, when the  last report is due. 
    VA.R. Doc. No. R12-3114; Filed July 23, 2012, 10:47 a.m. 
TITLE 9. ENVIRONMENT
STATE AIR POLLUTION CONTROL BOARD
Fast-Track Regulation
    Title of Regulation: 9VAC5-140. Regulation for  Emissions Trading Programs (Rev. K11) (repealing 9VAC5-140-5010 through  9VAC5-140-5750). 
    Statutory Authority: §§ 10.1-1308 and 10.1-1322.3  of the Code of Virginia; federal Clean Air Act (§§ 108, 109, 110, and  302); 40 CFR Part 51.
    Public Hearing Information: No public hearings are  scheduled. 
    Public Comment Deadline: September 12, 2012.
    Effective Date: September 27, 2012. 
    Agency Contact: Mary E. Major, Department of  Environmental Quality, 629 East Main Street, P.O. Box 1105, Richmond, VA 23218,  telephone (804) 698-4423, FAX (804) 698-4510, or email mary.major@deq.virginia.gov.
    Basis: Section 10.1-1308 of the Virginia Air Pollution  Control Law (Chapter 13 (§ 10.1-1300 et seq.) of Title 10.1 of the Code of  Virginia) authorizes the State Air Pollution Control Board to promulgate  regulations abating, controlling, and prohibiting air pollution to protect  public health and welfare. Section 10.1-1328 C of the Code of Virginia requires  that the board adopt a "state model rule" or "state trading  rule" that will allow the state to implement the Environmental Protection  Agency (EPA) Clean Air Mercury Rule (CAMR) and facilitate the trading of Hg  allowances within the United States. 
    On May 18, 2005 (70 FR 28606), EPA published the CAMR, a rule  designed to significantly reduce mercury emissions from coal-fired power plants  across the country and to reduce the regional deposition of mercury and its  subsequent entry into the food chain. CAMR was effective July 11, 2005. On June  9, 2006 (71 FR 33388), and December 22, 2006 (71 FR 77121), EPA published  amendments to the CAMR.
    EPA assigned each state an emissions "budget" for  mercury, and each state was required to submit a plan detailing how it will  meet its budget for reducing mercury from coal-fired power plants. The CAMR  included emissions guidelines for the affected coal-fired utility units. States  had some flexibility in how to implement the program but, at a minimum,  regulations must be at least as stringent as the guidelines.
    Purpose: The Virginia State Air Pollution Control Board  adopted its final regulation to implement the federal CAMR program on January  16, 2007. The regulation was published in the Virginia Register on March 5,  2007, and became effective on April 4, 2007. 
    On February 8, 2008, the District of Columbia Circuit Court of  Appeals, in a unanimous decision, vacated CAMR and the associated New Source  Performance Standard (NSPS). In the decision, the court found that EPA's action  to remove oil- and coal-fired electric generating units (EGUs) from the list of  source categories to be regulated under the Clean Air Act § 112 did not  comply with the requirements of the statute. CAMR was vacated because the court  determined that EGUs must be regulated under CAA § 112 standards, rather  than the § 111-based standards (NSPS). The vacatur was mandated by the  court on March 14, 2008, and the associated mercury rules were no longer  effective at the federal level. Because the underlying federal rule has been  vacated, there is no longer a basis on which the state rule can operate, thus  rendering the state rule unnecessary and inconsistent with the federal program.
    Rationale for Using Fast-Track Process: As explained in  the Purpose statement above, the underlying federal rule has been vacated,  rendering the state rule unnecessary and inconsistent with the federal program.  There is no stakeholder group that is likely to object to repeal of the  regulation. The use of the fast-track rulemaking process is, therefore,  appropriate. 
    Substance: This action repeals all provisions of Part VI  of 9VAC5-140 (Hg Budget Trading Program for Coal-Fired Electric Steam  Generating Units).
    Issues: The primary advantage to the public is the  removal of unusable regulatory requirements. There are no disadvantages to the  public. The primary advantage to the department is the removal of regulations  that are no longer necessary. There are no disadvantages to the department.
    Department of Planning and Budget's Economic Impact  Analysis:
    Summary of the Proposed Amendments to Regulation. The Virginia  State Air Pollution Control Board adopted this regulation to implement the  federal Clean Air Mercury Rule (CAMR) program on January 16, 2007. The  regulation was published in the Virginia Register on March 5, 2007, and became  effective on April 4, 2007.
    On February 8, 2008, the District of Columbia Circuit Court of  Appeals, in a unanimous decision, vacated CAMR and the associated New Source  Performance Standard (NSPS). In the decision, the DC Circuit Court found that  EPA's action to remove oil and coal-fired electric generating units (EGUs) from  the list of source categories to be regulated under the Clean Air Act  § 112 did not comply with the requirements of the statute. CAMR was  vacated because the court determined that EGUs must be regulated under CAA  § 112 standards, rather than the § 111-based standards (NSPS). The  vacatur was mandated by the Court on March 14, 2008 and the associated mercury  rules are no longer effective at the federal level. Since the underlying  federal rule has been vacated, there is no longer a basis on which the state  rule can operate, thus rendering the state rule unnecessary and inconsistent  with the federal program.
    Result of Analysis. The benefits likely exceed the costs for  all proposed changes.
    Estimated Economic Impact. Since the underlying federal rule  has been vacated, there is no longer an applicable program to regulate. Thus  the proposed repeal of this regulation will not affect any individual, business  or other entity beyond potentially reducing confusion amongst the public. 
    Businesses and Entities Affected. Coal-fired electric  generating units with a nameplate capacity greater than 25 megawatts were  subject to this regulation. Such entities would not be affected by the repeal  of this regulation since the underlying federal rule has been vacated and thus  there is no longer an applicable program to regulate.
    Localities Particularly Affected. The proposed repeal of this  regulation does not have a disproportionate effect on any particular  localities. 
    Projected Impact on Employment. The proposed repeal of this  regulation will not affect employment.
    Effects on the Use and Value of Private Property. The proposed  repeal of this regulation will not affect the use and value of private  property. 
    Small Businesses: Costs and Other Effects. The proposed repeal  of this regulation will not affect small businesses.
    Small Businesses: Alternative Method that Minimizes Adverse  Impact. The proposed repeal of this regulation will not affect small  businesses.
    Real Estate Development Costs. The proposed repeal of this  regulation will not affect real estate development costs.
    Legal Mandate. The Department of Planning and Budget (DPB) has  analyzed the economic impact of this proposed regulation in accordance with  § 2.2-4007.04 of the Administrative Process Act and Executive Order Number  14 (10). Section 2.2-4007.04 requires that such economic impact analyses  include, but need not be limited to, the projected number of businesses or  other entities to whom the regulation would apply, the identity of any  localities and types of businesses or other entities particularly affected, the  projected number of persons and employment positions to be affected, the  projected costs to affected businesses or entities to implement or comply with  the regulation, and the impact on the use and value of private property.  Further, if the proposed regulation has adverse effect on small businesses,  § 2.2-4007.04 requires that such economic impact analyses include (i) an  identification and estimate of the number of small businesses subject to the  regulation; (ii) the projected reporting, recordkeeping, and other  administrative costs required for small businesses to comply with the  regulation, including the type of professional skills necessary for preparing  required reports and other documents; (iii) a statement of the probable effect  of the regulation on affected small businesses; and (iv) a description of any  less intrusive or less costly alternative methods of achieving the purpose of  the regulation. The analysis presented above represents DPB's best estimate of  these economic impacts.
    Agency's Response to Economic Impact Analysis: The State  Air Pollution Control Board has reviewed the economic impact analysis prepared  by the Department of Planning and Budget and has no comment.
    Summary: 
    This action repeals the Hg Budget Trading Program for  Coal-Fired Electric Steam Generating Units (Part VI of 9VAC5-140). The federal  Clean Air Mercury Rule, which was the underlying federal rule for this program,  has been vacated and the associated mercury rules are no longer effective at  the federal level. Therefore, the state rule is repealed as it is unnecessary  and inconsistent with the federal program.
    Part VI 
  Hg Budget Trading Program For Coal-Fired Electric Steam Generating Units
    Article 1 
  Hg Budget Trading Program General Provisions
    9VAC5-140-5010. Purpose. (Repealed.)
    This part establishes the general provisions and the  designated representative, permitting, allowance, and monitoring provisions for  the Mercury (Hg) Budget Trading Program, under § 111 of the Clean Air Act (CAA)  and 40 CFR 60.24(h)(6), as a means of reducing Hg emissions. The board  authorizes the administrator to assist the board in implementing the Hg Budget  Trading Program by carrying out the functions set forth for the administrator  in this part. 
    9VAC5-140-5020. Definitions. (Repealed.)
    A. As used in this part, all words or terms not defined  here shall have the meanings given them in 9VAC5 Chapter 10 (9VAC5-10), unless  otherwise required by context. 
    B. For the purpose of this part and any related use, the  words or terms shall have the meanings given them in this section. 
    "Administrator" means the administrator of the  United States Environmental Protection Agency or the administrator's duly  authorized representative. 
    "Allocate" or "allocation" means, with  regard to Hg allowances, the determination by a permitting authority or the  administrator of the amount of Hg allowances to be initially credited to a Hg  Budget unit, a new unit set-aside, a new energy efficiency/renewable energy  unit set-aside, or other entity. 
    "Allowance transfer deadline" means, for a  control period, midnight of March 1 (if it is a business day), or midnight of  the first business day thereafter (if March 1 is not a business day),  immediately following the control period and is the deadline by which a Hg allowance  transfer must be submitted for recordation in a Hg Budget source's compliance  account in order to be used to meet the source's Hg Budget emissions limitation  for such control period in accordance with 9VAC5-140-5540. 
    "Alternate Hg designated representative" means,  for a Hg Budget source and each Hg Budget unit at the source, the natural  person who is authorized by the owners and operators of the source and all such  units at the source, in accordance with Article 2 (9VAC5-140-5100 et seq.) of  this part, to act on behalf of the Hg designated representative in matters  pertaining to the Hg Budget Trading Program. If the Hg Budget source is also a  CAIR NOX source, then this natural person shall be the same person  as the alternate CAIR designated representative under the CAIR NOX  Annual Trading Program. If the Hg Budget source is also a CAIR SO2  source, then this natural person shall be the same person as the alternate CAIR  designated representative under the CAIR SO2 Trading Program. If the  Hg Budget source is also a CAIR NOX Ozone Season source, then this  natural person shall be the same person as the alternate CAIR designated  representative under the CAIR NOX Ozone Season Trading Program. If  the Hg Budget source is also subject to the Acid Rain Program, then this  natural person shall be the same person as the alternate designated  representative under the Acid Rain Program. 
    "Automated data acquisition and handling system"  or "DAHS" means that component of the continuous emission monitoring  system (CEMS), or other emissions monitoring system approved for use under  Article 8 (9VAC5-140-5700 et seq.) of this part, designed to interpret and  convert individual output signals from pollutant concentration monitors, flow  monitors, diluent gas monitors, and other component parts of the monitoring  system to produce a continuous record of the measured parameters in the  measurement units required under Article 8 (9VAC5-140-5700 et seq.) of this  part. 
    "Biomass energy" means energy derived from the  combustion or electro-chemical reaction (as with a fuel cell) of hydrocarbon  materials of a biogenic origin using a solid, liquid or gaseous fuel. Biomass  fuel materials include, but are not limited to, animal wastes (e.g., manure)  and clean plant materials (e.g., wood chips, waste paper and crop wastes).  Biomass fuels exclude products that have emissions that include heavy metals  and other neurotoxins (e.g., municipal solid wastes). Biomass fuel materials  may be converted to a gaseous fuel, such as landfills (i.e., landfill gas) or  waste treatment facilities (i.e., digester gas), or to liquid fuels (e.g.,  biodiesel). To be considered a biomass facility, the facility must (i) employ maximum  achievable control technology and continuous emission stack monitors for all  chemical emissions of concern to human health and (ii) be listed in one of the  following categories: anaerobic digestion systems operating on animal or plant  wastes, methane gas, combustion of clean wood, bark or other plant material; or  on combustion of fuels derived entirely from processing of clean wood, bark, or  other plant or animal material, including processing by gasification,  pyrolysis, fermentation, distillation, or densification. 
    "Boiler" means an enclosed fossil- or  other-fuel-fired combustion device used to produce heat and to transfer heat to  recirculating water, steam, or other medium. 
    "Bottoming-cycle cogeneration unit" means a  cogeneration unit in which the energy input to the unit is first used to  produce useful thermal energy and at least some of the reject heat from the  useful thermal energy application or process is then used for electricity  production. 
    "CAIR NOX Annual Trading Program"  means a multi-state nitrogen oxides air pollution control and emission  reduction program approved and administered by the administrator in accordance  with Part II (9VAC5-140-1010 et seq.) of this chapter and 40 CFR 51.123(o)(1)  or (2) or established by the administrator in accordance with Part II  (9VAC5-140-1010 et seq.) of this chapter and 40 CFR 51.123(p) and 40 CFR 52.35,  as a means of mitigating interstate transport of fine particulates and nitrogen  oxides. 
    "CAIR NOX Ozone Season source" means  a source that is subject to the CAIR NOX Ozone Season Trading  Program. 
    "CAIR NOX Ozone Season Trading  Program" means a multi-state nitrogen oxides air pollution control and  emission reduction program approved and administered by the administrator in  accordance with Part III (9VAC5-140-2010 et seq.) of this chapter and 40 CFR  51.123(aa)(1) or (2) and (bb)(1), (bb)(2), or (dd) or established by the  administrator in accordance with Part III (9VAC5-140-2010 et seq.) of this  chapter and 40 CFR 51.123(ee) and 40 CFR 52.35, as a means of mitigating  interstate transport of ozone and nitrogen oxides. 
    "CAIR NOX source" means a source that  is subject to the CAIR NOX Annual Trading Program. 
    "CAIR SO2 source" means a source that  is subject to the CAIR SO2 Trading Program. 
    "CAIR SO2 Trading Program" means a  multi-state sulfur dioxide air pollution control and emission reduction program  approved and administered by the administrator in accordance with Part IV  (9VAC5-140-3010 et seq.) of this chapter and 40 CFR 51.124(o)(1) or (2) or established  by the administrator in accordance with Part IV (9VAC5-140-3010 et seq.) of  this chapter and 40 CFR 51.124(r) and 40 CFR 52.36, as a means of mitigating  interstate transport of fine particulates and sulfur dioxide. 
    "Clean Air Act" or "CAA" means the Clean  Air Act, 42 USC 7401 et seq. 
    "Coal" means any solid fuel classified as  anthracite, bituminous, subbituminous, or lignite by the American Society of  Testing and Materials (ASTM) "Standard Classification of Coals by  Rank" (see 9VAC5-20-21). 
    "Coal-derived fuel" means any fuel (whether in a  solid, liquid, or gaseous state) produced by the mechanical, thermal, or  chemical processing of coal. 
    "Coal-fired" means combusting any amount of coal  or coal-derived fuel, alone or in combination with any amount of any other  fuel, during any year. 
    "Cogeneration unit" means a stationary,  coal-fired boiler or stationary, coal-fired combustion turbine: 
    1. Having equipment used to produce electricity and useful  thermal energy for industrial, commercial, heating, or cooling purposes through  the sequential use of energy; and 
    2. Producing during the 12-month period starting on the  date the unit first produces electricity and during any calendar year after the  calendar year in which the unit first produces electricity: 
    a. For a topping-cycle cogeneration unit, 
    (1) Useful thermal energy not less than 5.0% of total  energy output; and 
    (2) Useful power that, when added to one-half of useful  thermal energy produced, is not less then 42.5% of total energy input, if  useful thermal energy produced is 15% or more of total energy output, or not  less than 45% of total energy input, if useful thermal energy produced is less  than 15% of total energy output. 
    b. For a bottoming-cycle cogeneration unit, useful power  not less than 45% of total energy input. 
    "Combustion turbine" means: 
    1. An enclosed device comprising a compressor, a combustor,  and a turbine and in which the flue gas resulting from the combustion of fuel  in the combustor passes through the turbine, rotating the turbine; and 
    2. If the enclosed device under subdivision 1 of this  definition is combined cycle, any associated duct burner, heat recovery steam  generator, and steam turbine. 
    "Commence commercial operation" means, with  regard to a unit: 
    1. To have begun to produce steam, gas, or other heated  medium used to generate electricity for sale or use, including test generation,  except as provided in 9VAC5-140-5050. 
    a. For a unit that is a Hg Budget unit under 9VAC5-140-5040  on the later of November 15, 1990, or the date the unit commences commercial  operation as defined in subdivision 1 of this definition and that subsequently  undergoes a physical change (other than replacement of the unit by a unit at  the same source), such date shall remain the date of commencement of commercial  operation of the unit, which shall continue to be treated as the same unit. 
    b. For a unit that is a Hg Budget unit under 9VAC5-140-5040  on the later of November 15, 1990, or the date the unit commences commercial  operation as defined in subdivision 1 of this definition and that is  subsequently replaced by a unit at the same source (e.g., repowered), such date  shall remain the replaced unit's date of commencement of commercial operation,  and the replacement unit shall be treated as a separate unit with a separate  date for commencement of commercial operation as defined in subdivision 1 or 2  of this definition as appropriate. 
    2. Notwithstanding subdivision 1 of this definition and  except as provided in 9VAC5-140-5050, for a unit that is not a Hg Budget unit  under 9VAC5-140-5040 on the later of November 15, 1990, or the date the unit  commences commercial operation as defined in subdivision 1 of this definition,  the unit's date for commencement of commercial operation shall be the date on  which the unit becomes a Hg Budget unit under 9VAC5-140-5040. 
    a. For a unit with a date for commencement of commercial  operation as defined in subdivision 2 of this definition and that subsequently  undergoes a physical change (other than replacement of the unit by a unit at  the same source), such date shall remain the date of commencement of commercial  operation of the unit, which shall continue to be treated as the same unit. 
    b. For a unit with a date for commencement of commercial  operation as defined in subdivision 2 of this definition and that is  subsequently replaced by a unit at the same source (e.g., repowered), such date  shall remain the replaced unit's date of commencement of commercial operation,  and the replacement unit shall be treated as a separate unit with a separate  date for commencement of commercial operation as defined in subdivision 1 or 2  of this definition as appropriate. 
    "Commence operation" means: 
    1. To have begun any mechanical, chemical, or electronic  process, including, with regard to a unit, start-up of a unit's combustion  chamber. 
    2. For a unit that undergoes a physical change (other than  replacement of the unit by a unit at the same source) after the date the unit  commences operation as defined in subdivision 1 of this definition, such date  shall remain the date of commencement of operation of the unit, which shall  continue to be treated as the same unit. 
    3. For a unit that is replaced by a unit at the same source  (e.g., repowered) after the date the unit commences operation as defined in  subdivision 1 of this definition, such date shall remain the replaced unit's  date of commencement of operation and the replacement unit shall be treated as  a separate unit with a separate date for commencement of operation as defined  in subdivision 1 of this definition, as appropriate. 
    "Common stack" means a single flue through which  emissions from 2 or more units are exhausted. 
    "Compliance account" means a Hg Allowance  Tracking System account, established by the administrator for a Hg Budget  source under Article 6 (9VAC5-140-5500 et seq.) of this part, in which any Hg  allowance allocations for the Hg Budget units at the source are initially  recorded and in which are held any Hg allowances available for use for a  control period in order to meet the source's Hg Budget emissions limitation in  accordance with 9VAC5-140-5540. 
    "Continuous emission monitoring system" or  "CEMS" means the equipment required under Article 8 (9VAC5-140-5700  et seq.) of this part to sample, analyze, measure, and provide, by means of  readings recorded at least once every 15 minutes (using an automated data  acquisition and handling system (DAHS)), a permanent record of Hg emissions,  stack gas volumetric flow rate, stack gas moisture content, and oxygen or  carbon dioxide concentration (as applicable), in a manner consistent with 40  CFR Part 75. The following systems are the principal types of continuous  emission monitoring systems required under Article 8 (9VAC5-140-5700 et seq.)  of this part: 
    1. A flow monitoring system, consisting of a stack flow  rate monitor and an automated data acquisition and handling system and  providing a permanent, continuous record of stack gas volumetric flow rate, in  standard cubic feet per hour (scfh); 
    2. A Hg concentration monitoring system, consisting of a Hg  pollutant concentration monitor and an automated data acquisition and handling  system and providing a permanent, continuous record of Hg emissions in  micrograms per dry standard cubic meter (μg/dscm); 
    3. A moisture monitoring system, as defined in 40 CFR  75.11(b)(2) and providing a permanent, continuous record of the stack gas  moisture content, in percent H2O. 
    4. A carbon dioxide monitoring system, consisting of a CO2  concentration monitor (or an oxygen monitor plus suitable mathematical  equations from which the CO2 concentration is derived) and an  automated data acquisition and handling system and providing a permanent,  continuous record of CO2 emissions, in percent CO2; and 
    5. An oxygen monitoring system, consisting of an O2  concentration monitor and an automated data acquisition and handling system and  providing a permanent, continuous record of O2, in percent O2.  
    "Control period" means the period beginning  January 1 of a calendar year, except as provided in 9VAC5-140-5060 C 2, and  ending on December 31 of the same year, inclusive. 
    "Emissions" means air pollutants exhausted from  a unit or source into the atmosphere, as measured, recorded, and reported to  the administrator by the Hg designated representative and as determined by the  administrator in accordance with Article 8 (9VAC5-140-5700 et seq.) of this  part. 
    "EERE proponent" means any person who owns,  leases, operates or controls an energy efficiency unit or a renewable energy  unit, or an EERE representative. 
    "EERE representative" means a party that  aggregates one or more energy efficiency units or renewable energy units. An  EERE representative may include, without limitation, a common owner of  projects, an energy service company, an emission trading broker or a state or  municipal entity. 
    "Energy efficiency unit" means an end-use energy  efficiency project implemented after January 1, 2001, that reduces electricity  consumption at a building or facility located in Virginia according to an  energy efficiency verification protocol acceptable to the permitting authority.  Projects resulting in energy savings at a Hg Budget unit are not encompassed  within this definition. 
    "Excess emissions" means any ounce of mercury  emitted by the Hg Budget units at a Hg Budget source during a control period  that exceeds the Hg Budget emissions limitation for the source. 
    "General account" means a Hg Allowance Tracking  System account, established under 9VAC5-140-5510, that is not a compliance  account. 
    "Generator" means a device that produces  electricity. 
    "Gross electrical output" means, with regard to  a cogeneration unit, electricity made available for use, including any such  electricity used in the power production process (which process includes, but  is not limited to, any on-site processing or treatment of fuel combusted at the  unit and any on-site emission controls). 
    "Heat input" means, with regard to a specified  period of time, the product (in MMBtu/time) of the gross calorific value of the  fuel (in Btu/lb) divided by 1,000,000 Btu/MMBtu and multiplied by the fuel feed  rate into a combustion device (in lb of fuel/time), as measured, recorded, and  reported to the administrator by the Hg designated representative and  determined by the administrator in accordance with Article 8 (9VAC5-140-5700 et  seq.) of this part and excluding the heat derived from preheated combustion  air, recirculated flue gases, or exhaust from other sources. 
    "Heat input rate" means the amount of heat input  (in MMBtu) divided by unit operating time (in hr) or, with regard to a specific  fuel, the amount of heat input attributed to the fuel (in MMBtu) divided by the  unit operating time (in hr) during which the unit combusts the fuel. 
    "Hg allowance" means a limited authorization  issued by a permitting authority or the administrator under Article 5  (9VAC5-140-5400 et seq.) of this part, or under 40 CFR 62.15940 through  62.15943, to emit one ounce of mercury during a control period of the specified  calendar year for which the authorization is allocated or of any calendar year  thereafter under the Hg Budget Trading Program. An authorization to emit  mercury that is not issued under Article 5 (9VAC5-140-5400 et seq.) of this  part or or under 40 CFR 62.15940 through 62.15943 shall not be a Hg allowance.  No provision of the Hg Budget Trading Program, the Hg Budget permit  application, the Hg Budget permit, or an exemption under 9VAC5-140-5040 B or  9VAC5-140-5050 and no provision of law shall be construed to limit the  authority of the United States or board to terminate or limit such  authorization, which does not constitute a property right. 
    "Hg allowance deduction" or "deduct Hg  allowances" means the permanent withdrawal of Hg allowances by the  administrator from a compliance account, e.g., in order to account for a  specified number of ounces of total mercury emissions from all Hg Budget units  at a Hg Budget source for a control period, determined in accordance with  Article 8 (9VAC5-140-5700 et seq.) of this part, or to account for excess  emissions. No provision of the Hg Budget Trading Program, the Hg permit  application, the Hg permit, or an exemption under 9VAC5-140-5040 B or  9VAC5-140-5050 and no provision of law shall be construed to limit the  authority of the United States or state to terminate or limit such  authorization, which does not constitute a property right. 
    "Hg allowances held" or "hold Hg  allowances" means the Hg allowances recorded by the administrator, or  submitted to the administrator for recordation, in accordance with Article 6  (9VAC5-140-5500 et seq.) and Article 7 (9VAC5-140-5600 et seq.) of this part,  in a Hg Allowance Tracking System account. 
    "Hg Allowance Tracking System" means the system  by which the administrator records allocations, deductions, and transfers of Hg  allowances under the Hg Budget Trading Program. Such allowances will be  allocated, held, deducted, or transferred only as whole allowances. 
    "Hg Allowance Tracking System account" means an  account in the Hg Allowance Tracking System established by the administrator  for purposes of recording the allocation, holding, transferring, or deducting  of Hg allowances. 
    "Hg authorized account representative" means,  with regard to a general account, a responsible natural person who is  authorized, in accordance with Article 2 (9VAC5-140-5100 et seq.) and Article 6  (9VAC5-140-5500 et seq.), to transfer and otherwise dispose of Hg allowances  held in the general account and, with regard to a compliance account, the Hg  designated representative of the source. 
    "Hg Budget emissions limitation" means, for a Hg  Budget source, the equivalent, in ounces of Hg emissions in a control period,  of mercury of the Hg allowances available for deduction for the source under  9VAC5-140-5540 A and B for the control period. 
    "Hg Budget permit" means the terms and  conditions in a title V operating permit or state operating permit, issued by  the permitting authority under Article 3 (9VAC5-140-5200 et seq.) of this part,  including any permit revisions, specifying the Hg Budget Trading Program  requirements applicable to a Hg Budget source, to each Hg Budget unit at the  source, and to the owners and operators and the Hg designated representative of  the source and each such unit. 
    "Hg Budget source" means a source that includes  one or more Hg Budget units. 
    "Hg Budget Trading Program" means a multi-state  Hg air pollution control and emission reduction program approved and  administered by the administrator in accordance with this part and 40 CFR  60.24(h)(6) or established by the administrator in accordance with Subpart LLL  of 40 CFR Part 62, 40 CFR 60.24(h)(9), and 40 CFR 62.13(f), as a means of  reducing national Hg emissions. 
    "Hg Budget unit" means a unit that is subject to  the Hg Budget Trading Program under 9VAC5-140-5040. 
    "Hg core trading budget" means the amount of  ounces (pounds multiplied by 16 ounces/lb) of Hg emissions in the Hg trading  budget for the control period minus the new unit set-aside budget and the new  energy efficiency/renewable energy unit set-aside budget. 
    "Hg designated representative" means, for a Hg  Budget source and each Hg Budget unit at the source, the natural person who is  authorized by the owners and operators of the source and all such units at the  source, in accordance with Article 2 (9VAC5-140-5100 et seq.) of this part, to  represent and legally bind each owner and operator in matters pertaining to the  Hg Budget Trading Program. If the Hg Budget source is also a CAIR NOX  source, then this natural person shall be the same person as the CAIR  designated representative under the CAIR NOX Annual Trading Program.  If the Hg Budget source is also a CAIR SO2 source, then this natural  person shall be the same person as the CAIR designated representative under the  CAIR SO2 Trading Program. If the Hg Budget source is also a CAIR NOX  Ozone Season source, then this natural person shall be the same person as the  CAIR designated representative under the CAIR NOX Ozone Season  Trading Program. If the Hg Budget source is also subject to the Acid Rain  Program, then this natural person shall be the same person as the designated  representative under the Acid Rain Program. 
    "Hg Trading Budget" means the total number of  mercury pounds set forth in 9VAC5-140-5400 and apportioned to all Hg Budget  units and energy efficiency/renewable energy units in accordance with the Hg  Trading Budget Program, for use in a given control period. 
    "Implementation plan" means the portion or  portions of the state implementation plan, or the most recent revision thereof,  which has been approved in subpart VV of 40 CFR Part 52 by the administrator  under § 110 of the CAA, or promulgated under § 110(c) of the CAA, or  promulgated or approved pursuant to regulations promulgated under § 301(d) of  the CAA and which implements the relevant requirements of the CAA. 
    "Life-of-the-unit, firm power contractual  arrangement" means a unit participation power sales agreement under which  a utility or industrial customer reserves, or is entitled to receive, a  specified amount or percentage of nameplate capacity and associated energy  generated by any specified unit and pays its proportional amount of such unit's  total costs, pursuant to a contract: 
    1. For the life of the unit; 
    2. For a cumulative term of no less than 30 years,  including contracts that permit an election for early termination; or 
    3. For a period no less than 25 years or 70% of the  economic useful life of the unit determined as of the time the unit is built,  with option rights to purchase or release some portion of the nameplate  capacity and associated energy generated by the unit at the end of the period. 
    "Lignite" means coal that is classified as  lignite A or B according to the American Society of Testing and Materials  (ASTM) "Standard Classification of Coals by Rank" (see 9VAC5-20-21). 
    "Maximum design heat input" means the maximum  amount of fuel per hour (in Btu/hr) that a unit is capable of combusting on a  steady-state basis as of the initial installation of the unit as specified by  the manufacturer of the unit. 
    "Monitoring system" means any monitoring system  that meets the requirements of Article 8 (9VAC5-140-5700 et seq.) of this part,  including a continuous emissions monitoring system, an alternative monitoring  system, or an excepted monitoring system under 40 CFR Part 75. 
    "Municipal waste" means municipal waste as  defined in § 129(g)(5) of the Clean Air Act. 
    "Nameplate capacity" means, starting from the  initial installation of a generator, the maximum electrical generating output  (in MWe) that the generator is capable of producing on a steady-state basis and  during continuous operation (when not restricted by seasonal or other  deratings) as of such installation as specified by the manufacturer of the  generator or, starting from the completion of any subsequent physical change in  the generator resulting in an increase in the maximum electrical generating  output (in MWe) that the generator is capable of producing on a steady-state  basis and during continuous operation (when not restricted by seasonal or other  deratings), such increased maximum amount as of such completion as specified by  the person conducting the physical change. 
    "New energy efficiency/renewable energy unit  set-aside budget" means the amount of ounces (pounds multiplied by 16  ounces/lb) of Hg emissions in the Hg trading budget for each control period in  2010 and thereafter multiplied by 1.0%, rounded to the nearest whole allowance  as appropriate. 
    "New unit set-aside budget" means the amount of  ounces (pounds multiplied by 16 ounces/lb) of Hg emissions in the Hg trading  budget for the control period to which the new unit set-aside applies  multiplied by the new unit set-aside percentage, rounded to the nearest whole  allowance as appropriate. 
    "New unit set-aside percentage" means 4.0% for  each control period in 2010 through 2014, or 1.0% for each control period in  2015 and thereafter. 
    "Operator" means any person who operates,  controls, or supervises a Hg Budget unit or a Hg Budget source and shall  include, but not be limited to, any holding company, utility system, or plant  manager of such a unit or source. 
    "Ounce" means 2.84 x 107 micrograms.  For the purpose of determining compliance with the Hg Budget emissions  limitation, total ounces of mercury emissions for a control period shall be  calculated as the sum of all recorded hourly emissions (or the mass equivalent  of the recorded hourly emission rates) in accordance with Article 8  (9VAC5-140-5700 et seq.) of this part, but with any remaining fraction of an  ounce equal to or greater than 0.50 ounces deemed to equal one ounce and any  remaining fraction of an ounce less than 0.50 ounces deemed to equal zero  ounces. 
    "Owner" means any of the following persons: 
    1. With regard to a Hg Budget source or a Hg Budget unit at  a source, respectively: 
    a. Any holder of any portion of the legal or equitable  title in a Hg Budget unit at the source or the Hg Budget unit; 
    b. Any holder of a leasehold interest in a Hg Budget unit  at the source or the Hg Budget unit; or 
    c. Any purchaser of power from a Hg Budget unit at the  source or the Hg Budget unit under a life-of-the-unit, firm power contractual  arrangement; provided that, unless expressly provided for in a leasehold  agreement, owner shall not include a passive lessor, or a person who has an  equitable interest through such lessor, whose rental payments are not based  (either directly or indirectly) on the revenues or income from such Hg Budget  unit; or 
    2. With regard to any general account, any person who has  an ownership interest with respect to the Hg allowances held in the general  account and who is subject to the binding agreement for the Hg authorized  account representative to represent the person's ownership interest with  respect to Hg allowances. 
    "Permitting authority" means the state air  pollution control agency, local agency, other State agency, or other agency  authorized by the administrator to issue or revise permits to meet the  requirements of the Hg Budget Trading Program or, if no such agency has been so  authorized, the administrator. For the Commonwealth of Virginia, the permitting  authority shall be the State Air Pollution Control Board. 
    "Potential electrical output capacity" means 33%  of a unit's maximum design heat input, divided by 3,413 Btu/kWh, divided by  1,000 kWh/MWh, and multiplied by 8,760 hr/yr. 
    "Receive" or "receipt of" means, when  referring to the permitting authority or the administrator, to come into  possession of a document, information, or correspondence (whether sent in hard  copy or by authorized electronic transmission), as indicated in an official  log, or by a notation made on the document, information, or correspondence, by  the permitting authority or the administrator in the regular course of  business. 
    "Recordation," "record," or  "recorded" means, with regard to Hg allowances, the movement of Hg  allowances by the administrator into or between Hg Allowance Tracking System  accounts, for purposes of allocation, transfer, or deduction. 
    "Reference method" means any direct test method  of sampling and analyzing for an air pollutant as specified in 40 CFR 75.22. 
    "Renewable energy unit" means an electric  generator that began commercial operation after January 1, 2001 and is powered  by (i) wind, solar, ocean thermal, wave, tidal, geothermal, or biomass energy,  or (ii) fuel cells powered by hydrogen generated by a renewable energy source.  Renewable energy does not include energy derived from: (i) material that has  been treated or painted or derived from demolition or construction material;  (ii) municipal, industrial or other multiple source solid waste; and (iii)  co-firing of biomass with fossil fuels or solid waste. 
    "Replacement," "replace," or  "replaced" means, with regard to a unit, the demolishing of a unit,  or the permanent shutdown and permanent disabling of a unit, and the  construction of another unit (the replacement unit) to be used instead of the  demolished or shutdown unit (the replaced unit). 
    "Repowered" means, with regard to a unit,  replacement of a coal-fired boiler with one of the following coal-fired  technologies at the same source as the coal-fired boiler: 
    1. Atmospheric or pressurized fluidized bed combustion; 
    2. Integrated gasification combined cycle; 
    3. Magnetohydrodynamics; 
    4. Direct and indirect coal-fired turbines; 
    5. Integrated gasification fuel cells; or 
    6. As determined by the administrator in consultation with  the Secretary of Energy, a derivative of one or more of the technologies under  subdivisions 1 through 5 of this definition and any other coal-fired technology  capable of controlling multiple combustion emissions simultaneously with  improved boiler or generation efficiency and with significantly greater waste  reduction relative to the performance of technology in widespread commercial  use as of January 1, 2005. 
    "Section 111(d) plan" means the portion or  portions of the plan, or the most recent revision thereof, which has been  approved under 40 CFR 60.24(h)(6) in accordance with § 111(d)(1) of the  Clean Air Act, or promulgated under 40 CFR 60.24(h)(6) in accordance with §  111(d)(2) of the Clean Air Act, and which implements the relevant requirements  of the Clean Air Act. 
    "Sequential use of energy" means: 
    1. For a topping-cycle cogeneration unit, the use of reject  heat from electricity production in a useful thermal energy application or  process; or 
    2. For a bottoming-cycle cogeneration unit, the use of  reject heat from useful thermal energy application or process in electricity  production. 
    "Serial number" means, for a Hg allowance, the  unique identification number assigned to each Hg allowance by the  administrator. 
    "Solid waste incineration unit" means a  stationary, coal-fired boiler or stationary, coal-fired combustion turbine that  is a "solid waste incineration unit" as defined in § 129(g)(1) of the  Clean Air Act. 
    "Source" means all buildings, structures, or  installations located in one or more contiguous or adjacent properties under  common control of the same person or persons. For purposes of § 502(c) of  the Clean Air Act, a "source," including a "source" with  multiple units, shall be considered a single "facility." 
    "State" means the Commonwealth of Virginia. The  term "state" shall have its conventional meaning where such meaning  is clear from the context. 
    "State operating permit" means a permit issued  under Article 5 (9VAC5-80-800 et seq.) of Part II of 9VAC5 Chapter 80. 
    "State operating permit regulations" means the  regulations codified in Article 5 (9VAC5-80-800 et seq.) of Part II of 9VAC5 Chapter  80. 
    "Subbituminous" means coal that is classified as  subbituminous A, B, or C, according to the American Society of Testing and  Materials (ASTM) "Standard Classification of Coals by Rank" (see  9VAC5-20-21). 
    "Submit" or "serve" means to send or  transmit a document, information, or correspondence to the person specified in  accordance with the applicable regulation: 
    1. In person; 
    2. By United States Postal Service; or 
    3. By other means of dispatch or transmission and delivery.  Compliance with any "submission" or "service" deadline  shall be determined by the date of dispatch, transmission, or mailing and not  the date of receipt. 
    "Title V operating permit" means a permit issued  under Article 1 (9VAC5-80-50 et seq.) or Article 3 (9VAC5-80-360 et seq.) of  Part II of 9VAC5 Chapter 80. 
    "Title V operating permit regulations" means the  regulations codified in Article 1 (9VAC5-80-50 et seq.), Article 2  (9VAC5-80-310 et seq.), Article 3 (9VAC5-80-360 et seq.), and Article 4  (9VAC5-80-710 et seq.) of Part II of 9VAC5 Chapter 80. 
    "Topping-cycle cogeneration unit" means a  cogeneration unit in which the energy input to the unit is first used to  produce useful power, including electricity, and at least some of the reject  heat from the electricity production is then used to provide useful thermal  energy. 
    "Total energy input" means, with regard to a  cogeneration unit, total energy of all forms supplied to the cogeneration unit,  excluding energy produced by the cogeneration unit itself. 
    "Total energy output" means, with regard to a  cogeneration unit, the sum of useful power and useful thermal energy produced  by the cogeneration unit. 
    "Unit" means a stationary coal-fired boiler or a  stationary coal-fired combustion turbine. 
    "Unit operating day" means a calendar day in  which a unit combusts any fuel. 
    "Unit operating hour" or "hour of unit  operation" means an hour in which a unit combusts any fuel. 
    "Useful power" means, with regard to a  cogeneration unit, electricity or mechanical energy made available for use, excluding  any such energy used in the power production process (which process includes,  but is not limited to, any on-site processing or treatment of fuel combusted at  the unit and any on-site emission controls). 
    "Useful thermal energy" means, with regard to a  cogeneration unit, thermal energy that is: 
    1. Made available to an industrial or commercial process  (not a power production process), excluding any heat contained in condensate  return or makeup water; 
    2. Used in a heating application (e.g., space heating or  domestic hot water heating); or 
    3. Used in a space cooling application (i.e., thermal  energy used by an absorption chiller). 
    "Utility power distribution system" means the  portion of an electricity grid owned or operated by a utility and dedicated to  delivering electricity to customers. 
    9VAC5-140-5030. Measurements, abbreviations, and acronyms.  (Repealed.)
    Measurements, abbreviations, and acronyms used in this  part are defined as follows: 
    Btu-British thermal unit. 
    CO2-carbon dioxide. 
    H2O-water. 
    Hg-mercury. 
    hr-hour. 
    kW-kilowatt electrical. 
    kWh-kilowatt hour. 
    lb-pound. 
    MMBtu-million Btu. 
    MWe-megawatt electrical. 
    MWh-megawatt hour. 
    NOX-nitrogen oxides. 
    O2-oxygen. 
    ppm-parts per million. 
    scfh-standard cubic feet per hour. 
    SO2-sulfur dioxide. 
    yr-year. 
    9VAC5-140-5040. Applicability. (Repealed.) 
    A. Except as provided in subsection B of this section: 
    1. The following units shall be Hg Budget units, and any  source that includes one or more such units shall be a Hg Budget source,  subject to the requirements of this part: Any stationary, coal-fired boiler or  stationary, coal-fired combustion turbine serving at any time, since the later  of November 15, 1990, or the start-up of the unit's combustion chamber, a  generator with nameplate capacity of more than 25 MWe producing electricity for  sale. 
    2. If a stationary boiler or stationary combustion turbine  that, under subdivision 1 of this subsection, is not a Hg Budget unit begins to  combust coal or coal-derived fuel or to serve a generator with nameplate  capacity of more than 25 MWe producing electricity for sale, the unit shall  become a Hg Budget unit as provided in subdivision 1 of this subsection on the  first date on which it both combusts coal or coal-derived fuel and serves such  generator. 
    B. The units that meet the requirements set forth in  subdivision 1 a or 2 of this subsection shall not be Hg Budget units: 
    1. a. Any unit that is a Hg Budget unit under subdivision A  1 or 2 of this section: 
    (1) Qualifying as a cogeneration unit during the 12-month  period starting on the date the unit first produces electricity and continuing  to qualify as a cogeneration unit; and 
    (2) Not serving at any time, since the later of November  15, 1990, or the start-up of the unit's combustion chamber, a generator with  nameplate capacity of more than 25 MWe supplying in any calendar year more than  one-third of the unit's potential electric output capacity or 219,000 MWh,  whichever is greater, to any utility power distribution system for sale. 
    b. If a unit qualifies as a cogeneration unit during the  12-month period starting on the date the unit first produces electricity and  meets the requirements of subdivision 1 a of this subsection for at least one  calendar year, but subsequently no longer meets all such requirements, the unit  shall become an Hg Budget unit starting on the earlier of January 1 after the  first calendar year during which the unit first no longer qualifies as a  cogeneration unit or January 1 after the first calendar year during which the  unit no longer meets the requirements of subdivision 1 a (2) of this subsection.  
    2. Any unit that is an Hg Budget unit under subdivision A 1  or 2 of this section, is a solid waste incineration unit combusting municipal  waste, and is subject to the requirements of: 
    a. Article 54 (9VAC5-40-7950 et seq.) of Part II of 9VAC5  Chapter 40 (emission standards for large municipal waste combustors); 
    b. Subpart Eb in 9VAC5-50-410 (standards of performance for  large municipal waste combustors); 
    c. Subpart AAAA in 9VAC5-50-410 (standards of performance  for small municipal waste combustors); or 
    d. Article 46 (9VAC5-40-6550) of Part II of 9VAC5 Chapter  40 (emission standards for small municipal waste combustors). 
    9VAC5-140-5050. Retired unit exemption. (Repealed.)
    A. 1. Any Hg Budget unit that is permanently retired shall  be exempt from the Hg Budget Trading Program, except for the provisions of this  section, 9VAC5-140-5020, 9VAC5-140-5030, 9VAC5-140-5040, 9VAC5-140-5060 C 4  through 7, 9VAC5-140-5070, 9VAC5-140-5080, Article 2 (9VAC5-10-5100 et seq.) of  this part, and 9VAC5-140-5400. 
    2. The exemption under subdivision 1 of this subsection  shall become effective the day on which the Hg Budget unit is permanently  retired. Within 30 days of the unit's permanent retirement, the Hg designated  representative shall submit a statement to the permitting authority and shall  submit a copy of the statement to the administrator. The statement shall state,  in a format acceptable to the permitting authority, that the unit was  permanently retired on a specific date and will comply with the requirements of  subsection B of this section. 
    3. After receipt of the statement under subdivision 2 of  this subsection, the permitting authority will amend any permit under Article 3  (9VAC5-140-5200 et seq.) of this part covering the source at which the unit is  located to add the provisions and requirements of the exemption under  subdivision 1 of this subsection and subsection B of this section. 
    B. Special provisions for exempt units shall be as  follows. 
    1. A unit exempt under subsection A of this section shall  not emit any mercury, starting on the date that the exemption takes effect. 
    2. The permitting authority will allocate Hg allowances  under Article 5 (9VAC5-140-5400 et seq.) of this part to a unit exempt under  subsection A of this section. 
    3. For a period of five years from the date the records are  created, the owners and operators of a unit exempt under subsection A of this  section shall retain, at the source that includes the unit, records  demonstrating that the unit is permanently retired. The five-year period for keeping  records may be extended for cause, at any time before the end of the period, in  writing by the permitting authority or the administrator. The owners and  operators bear the burden of proof that the unit is permanently retired. 
    4. The owners and operators and, to the extent applicable,  the Hg designated representative of a unit exempt under subsection A of this  section shall comply with the requirements of the Hg Budget Trading Program  concerning all periods for which the exemption is not in effect, even if such  requirements arise, or must be complied with, after the exemption takes effect.  
    5. A unit exempt under subsection A of this section and  located at a source that is required, or but for this exemption would be  required, to have a title V operating permit shall not resume operation unless  the Hg designated representative of the source submits a complete Hg Budget  permit application under 9VAC5-140-5220 for the unit not less than 18 months  (or such lesser time provided by the permitting authority) before the later of  January 1, 2010, or the date on which the unit resumes operation. 
    6. On the earlier of the following dates, a unit exempt  under subsection A of this section shall lose its exemption: 
    a. The date on which the Hg designated representative  submits a Hg Budget permit application for the unit under subdivision 5 of this  subsection; 
    b. The date on which the Hg designated representative is  required under subdivision 5 of this subsection to submit a Hg Budget permit  application for the unit; or 
    c. The date on which the unit resumes operation, if the Hg  designated representative is not required to submit a Hg Budget permit  application for the unit. 
    7. For the purpose of applying monitoring, reporting, and  recordkeeping requirements under Article 8 (9VAC5-140-5700 et seq.) of this  part, a unit that loses its exemption under subsection A of this section shall  be treated as a unit that commences commercial operation on the first date on  which the unit resumes operation. 
    9VAC5-140-5060. Standard requirements. (Repealed.)
    A. Permit requirements shall be as follows: 
    1. The Hg designated representative of each Hg Budget  source required to have a title V operating permit and each Hg Budget unit  required to have a title V operating permit at the source shall: 
    a. Submit to the permitting authority a complete Hg Budget  permit application under 9VAC5-140-5220 in accordance with the deadlines  specified in 9VAC5-140-5210; and 
    b. Submit in a timely manner any supplemental information  that the permitting authority determines is necessary in order to review a Hg  Budget permit application and issue or deny a Hg Budget permit. 
    2. The owners and operators of each Hg Budget source  required to have a title V operating permit and each Hg Budget unit required to  have a title V operating permit at the source shall have a Hg Budget permit  issued by the permitting authority under Article 3 (9VAC5-140-5200 et seq.) of  this part for the source and operate the source and the unit in compliance with  such Hg Budget permit. 
    3. The owners and operators of a Hg Budget source that is  not otherwise required to have a title V operating permit and each Hg Budget  unit that is not otherwise required to have a title V operating permit are not  required to submit a Hg Budget permit application, and to have a Hg Budget  permit, under Article 3 (9VAC5-140-5200 et seq.) of this part for such Hg  Budget source and such Hg Budget unit. 
    B. Monitoring, reporting, and recordkeeping shall be  performed as follows: 
    1. The owners and operators, and the Hg designated  representative, of each Hg Budget source and each Hg Budget unit at the source  shall comply with the monitoring, reporting, and recordkeeping requirements of  Article 8 (9VAC5-140-5700 et seq.) of this part. 
    2. The emissions measurements recorded and reported in  accordance with Article 8 (9VAC5-140-5700 et seq.) of this part shall be used  to determine compliance by each Hg Budget source with the Hg Budget emissions  limitation under subsection C of this section. 
    C. Mercury emission requirements shall be as follows: 
    1. As of the allowance transfer deadline for a control  period, the owners and operators of each Hg Budget source and each Hg Budget  unit at the source shall hold, in the source's compliance account, Hg  allowances available for compliance deductions for the control period under  9VAC5-140-5540 A in an amount not less than the ounces of total mercury  emissions for the control period from all Hg Budget units at the source, as  determined in accordance with Article 8 (9VAC5-140-5700 et seq.) of this part. 
    2. A Hg Budget unit shall be subject to the requirements  under subdivision 1 of this subsection for the control period starting on the  later of January 1, 2010, or the deadline for meeting the unit's monitor  certification requirements under 9VAC5-140-5700 C 1 or 2 and for each control  period thereafter. 
    3. A Hg allowance shall not be deducted, for compliance  with the requirements under subdivision 1 of this subsection, for a control  period in a calendar year before the year for which the Hg allowance was allocated.  
    4. Hg allowances shall be held in, deducted from, or  transferred into or among Hg Allowance Tracking System accounts in accordance  with Article 6 (9VAC5-140-5500 et seq.) and Article 7 (9VAC5-140-5600 et seq.)  of this part. 
    5. A Hg allowance is a limited authorization to emit one  ounce of mercury in accordance with the Hg Budget Trading Program. No provision  of the Hg Budget Trading Program, the Hg Budget permit application, the Hg  Budget permit, or an exemption under 9VAC5-140-5050 and no provision of law  shall be construed to limit the authority of the board or the United States to  terminate or limit such authorization. 
    6. A Hg allowance does not constitute a property right. 
    7. Upon recordation by the administrator under Article 5  (9VAC5-140-5400 et seq.), Article 6 (9VAC5-140-5500 et seq.) and Article 7  (9VAC5-140-5600 et seq.) of this part, every allocation, transfer, or deduction  of a Hg allowance to or from a Hg Budget source's compliance account is  incorporated automatically in any Hg Budget permit of the source. 
    D. If a Hg Budget source emits mercury during any control  period in excess of the Hg Budget emissions limitation: 
    1. The owners and operators of the source and each Hg  Budget unit at the source shall surrender the Hg allowances required for  deduction under 9VAC5-140-5540 D 1 and pay any fine, penalty, or assessment or  comply with any other remedy imposed, for the same violations, under the Clean  Air Act or the Virginia Air Pollution Control Law; and 
    2. Each ounce of such excess emissions and each day of such  control period shall constitute a separate violation of this part, the Clean  Air Act, and the Virginia Air Pollution Control Law. 
    E. Recordkeeping and reporting shall be performed as  follows: 
    1. Unless otherwise provided, the owners and operators of  the Hg Budget source and each Hg Budget unit at the source shall keep on site  at the source each of the following documents for a period of five years from  the date the document is created. This period may be extended for cause, at any  time before the end of five years, in writing by the permitting authority or  the administrator. 
    a. The certificate of representation under 9VAC5-140-5130  for the Hg designated representative for the source and each Hg Budget unit at  the source and all documents that demonstrate the truth of the statements in  the certificate of representation; provided that the certificate and documents  shall be retained on site at the source beyond such five-year period until such  documents are superseded because of the submission of a new certificate of  representation under 9VAC5-140-5130 changing the Hg designated representative. 
    b. All emissions monitoring information, in accordance with  Article 8 (9VAC5-140-5700 et seq.) of this part, provided that to the extent  that Article 8 (9VAC5-140-5700 et seq.) of this part provides for a three-year  period for recordkeeping, the three-year period shall apply. 
    c. Copies of all reports, compliance certifications, and  other submissions and all records made or required under the Hg Budget Trading  Program. 
    d. Copies of all documents used to complete a Hg Budget  permit application and any other submission under the Hg Budget Trading Program  or to demonstrate compliance with the requirements of the Hg Budget Trading  Program. 
    2. The Hg designated representative of a Hg Budget source  and each Hg Budget unit at the source shall submit the reports required under  the Hg Budget Trading Program, including those under Article 8 (9VAC5-140-5700  et seq.) of this part. 
    F. Liability shall be assigned as follows. 
    1. Each Hg Budget source and each Hg Budget unit shall meet  the requirements of the Hg Budget Trading Program. 
    2. Any provision of the Hg Budget Trading Program that  applies to a Hg Budget source or the Hg designated representative of a Hg  Budget source shall also apply to the owners and operators of such source and  of the Hg Budget units at the source. 
    3. Any provision of the Hg Budget Trading Program that  applies to a Hg Budget unit or the Hg designated representative of a Hg Budget  unit shall also apply to the owners and operators of such unit. 
    G. No provision of the Hg Budget Trading Program, a Hg  Budget permit application, a Hg Budget permit, or an exemption under  9VAC5-140-5050 shall be construed as exempting or excluding the owners and  operators, and the Hg designated representative, of a Hg Budget source or Hg  Budget unit from compliance with any other provision of the applicable,  approved implementation plan, a federally enforceable permit, the Virginia Air  Pollution Control Law or the Clean Air Act. 
    9VAC5-140-5070. Computation of time. (Repealed.)
    A. Unless otherwise stated, any time period scheduled, under  the Hg Budget Trading Program, to begin on the occurrence of an act or event  shall begin on the day the act or event occurs. 
    B. Unless otherwise stated, any time period scheduled,  under the Hg Budget Trading Program, to begin before the occurrence of an act  or event shall be computed so that the period ends the day before the act or  event occurs. 
    C. Unless otherwise stated, if the final day of any time  period, under the Hg Budget Trading Program, falls on a weekend or a state or  federal holiday, the time period shall be extended to the next business day. 
    9VAC5-140-5080. Appeal procedures. (Repealed.)
    The appeal procedures for decisions of the administrator  under the Hg Budget Trading Program are set forth in 40 CFR Part 78. 
    9VAC5-140-5090. [Reserved] (Repealed.)
    Article 2 
  Hg Designated Representative for Hg Budget Sources 
    9VAC5-140-5100. Authorization and responsibilities of Hg  designated representative. (Repealed.)
    A. Except as provided under 9VAC5-140-5110, each Hg Budget  source, including all Hg Budget units at the source, shall have one and only  one Hg designated representative, with regard to all matters under the Hg  Budget Trading Program concerning the source or any Hg Budget unit at the  source. 
    B. The Hg designated representative of the Hg Budget  source shall be selected by an agreement binding on the owners and operators of  the source and all Hg Budget units at the source and shall act in accordance  with the certification statement in 9VAC5-140-5130 A 4 d. 
    C. Upon receipt by the administrator of a complete  certificate of representation under 9VAC5-140-5130, the Hg designated  representative of the source shall represent and, by his representations,  actions, inactions, or submissions, legally bind each owner and operator of the  Hg Budget source represented and each Hg Budget unit at the source in all  matters pertaining to the Hg Budget Trading Program, notwithstanding any  agreement between the Hg designated representative and such owners and  operators. The owners and operators shall be bound by any decision or order  issued to the Hg designated representative by the permitting authority, the  administrator, or a court regarding the source or unit. 
    D. No Hg Budget permit will be issued, no emissions data  reports will be accepted, and no Hg Allowance Tracking System account will be  established for a Hg Budget unit at a source, until the administrator has  received a complete certificate of representation under 9VAC5-140-5130 for a Hg  designated representative of the source and the Hg Budget units at the source. 
    E. 1. Each submission under the Hg Budget Trading Program  shall be submitted, signed, and certified by the Hg designated representative  for each Hg Budget source on behalf of which the submission is made. Each such  submission shall include the following certification statement by the Hg  designated representative: "I am authorized to make this submission on  behalf of the owners and operators of the source or units for which the  submission is made. I certify under penalty of law that I have personally  examined, and am familiar with, the statements and information submitted in  this document and all its attachments. Based on my inquiry of those individuals  with primary responsibility for obtaining the information, I certify that the  statements and information are to the best of my knowledge and belief true,  accurate, and complete. I am aware that there are significant penalties for  submitting false statements and information or omitting required statements and  information, including the possibility of fine or imprisonment." 
    2. The permitting authority and the administrator will  accept or act on a submission made on behalf of owners or operators of a Hg  Budget source or a Hg Budget unit only if the submission has been made, signed,  and certified in accordance with subdivision 1 of this subsection. 
    9VAC5-140-5110. Alternate Hg designated representative. (Repealed.)
    A. A certificate of representation under 9VAC5-140-5130  may designate one and only one alternate Hg designated representative, who may  act on behalf of the Hg designated representative. The agreement by which the  alternate Hg designated representative is selected shall include a procedure  for authorizing the alternate Hg designated representative to act in lieu of  the Hg designated representative. 
    B. Upon receipt by the administrator of a complete  certificate of representation under 9VAC5-1140-5130, any representation,  action, inaction, or submission by the alternate Hg designated representative  shall be deemed to be a representation, action, inaction, or submission by the  Hg designated representative. 
    C. Except in this section and 9VAC5-140-5020,  9VAC5-140-5100 A and D, 9VAC5-140-5120, 9VAC5-140-5130, 9VAC5-140-5150, and  9VAC5-140-5510, whenever the term "Hg designated representative" is  used in this part, the term shall be construed to include the Hg designated  representative or any alternate Hg designated representative. 
    9VAC5-140-5120. Changing Hg designated representative and  alternate Hg designated representative; changes in owners and operators. (Repealed.)
    A. The Hg designated representative may be changed at any  time upon receipt by the administrator of a superseding complete certificate of  representation under 9VAC5-140-5130. Notwithstanding any such change, all  representations, actions, inactions, and submissions by the previous Hg  designated representative before the time and date when the administrator  receives the superseding certificate of representation shall be binding on the  new Hg designated representative and the owners and operators of the Hg Budget source  and the Hg Budget units at the source. 
    B. The alternate Hg designated representative may be  changed at any time upon receipt by the administrator of a superseding complete  certificate of representation under 9VAC5-140-5130. Notwithstanding any such change,  all representations, actions, inactions, and submissions by the previous  alternate Hg designated representative before the time and date when the  administrator receives the superseding certificate of representation shall be  binding on the new alternate Hg designated representative and the owners and  operators of the Hg Budget source and the Hg Budget units at the source. 
    C. Changes in owners and operators shall be established as  follows. 
    1. In the event an owner or operator of a Hg Budget source  or a Hg Budget unit is not included in the list of owners and operators in the  certificate of representation under 9VAC5-140-5130, such owner or operator  shall be deemed to be subject to and bound by the certificate of  representation, the representations, actions, inactions, and submissions of the  Hg designated representative and any alternate Hg designated representative of  the source or unit, and the decisions and orders of the permitting authority,  the administrator, or a court, as if the owner or operator were included in  such list. 
    2. Within 30 days following any change in the owners and  operators of a Hg Budget source or a Hg Budget unit, including the addition of  a new owner or operator, the Hg designated representative or any alternate Hg  designated representative shall submit a revision to the certificate of  representation under 9VAC5-140-5130 amending the list of owners and operators  to include the change. 
    9VAC5-140-5130. Certificate of representation. (Repealed.)
    A. A complete certificate of representation for a Hg  designated representative or an alternate Hg designated representative shall  include the following elements in a format prescribed by the administrator: 
    1. Identification of the Hg Budget source, and each Hg  Budget unit at the source, for which the certificate of representation is  submitted, including identification and nameplate capacity of each generator  served by each such unit. 
    2. The name, address, e-mail address (if any), telephone  number, and facsimile transmission number (if any) of the Hg designated  representative and any alternate Hg designated representative. 
    3. A list of the owners and operators of the Hg Budget  source and of each Hg Budget unit at the source. 
    4. The following certification statements by the Hg  designated representative and any alternate Hg designated representative: 
    a. "I certify that I was selected as the Hg designated  representative or alternate Hg designated representative, as applicable, by an  agreement binding on the owners and operators of the source and each Hg Budget  unit at the source." 
    b. "I certify that I have all the necessary authority  to carry out my duties and responsibilities under the Hg Budget Trading Program  on behalf of the owners and operators of the source and of each Hg Budget unit  at the source and that each such owner and operator shall be fully bound by my  representations, actions, inactions, or submissions." 
    c. "I certify that the owners and operators of the  source and of each Hg Budget unit at the source shall be bound by any order  issued to me by the administrator, the permitting authority, or a court  regarding the source or unit." 
    d. "Where there are multiple holders of a legal or  equitable title to, or a leasehold interest in, a Hg Budget unit, or where a  utility or industrial customer purchases power from a Hg Budget unit under a  life-of-the-unit, firm power contractual arrangement, I certify that: I have  given a written notice of my selection as the %31Hg designated representative'  or %31alternate Hg designated representative,' as applicable, and of the  agreement by which I was selected to each owner and operator of the source and  of each Hg Budget unit at the source; and Hg allowances and proceeds of  transactions involving Hg allowances will be deemed to be held or distributed  in proportion to each holder's legal, equitable, leasehold, or contractual  reservation or entitlement, except that, if such multiple holders have  expressly provided for a different distribution of Hg allowances by contract,  Hg allowances and proceeds of transactions involving Hg allowances will be  deemed to be held or distributed in accordance with the contract." 
    5. The signature of the Hg designated representative and  any alternate Hg designated representative and the dates signed. 
    B. Unless otherwise required by the permitting authority  or the administrator, documents of agreement referred to in the certificate of  representation shall not be submitted to the permitting authority or the  administrator. Neither the permitting authority nor the administrator shall be  under any obligation to review or evaluate the sufficiency of such documents,  if submitted. 
    9VAC5-140-5140. Objections concerning Hg designated  representative. (Repealed.)
    A. Once a complete certificate of representation under  9VAC5-140-5130 has been submitted and received, the permitting authority and  the administrator will rely on the certificate of representation unless and  until a superseding complete certificate of representation under 9VAC5-140-5130  is received by the administrator. 
    B. Except as provided in 9VAC5-140-5120 A or B, no  objection or other communication submitted to the permitting authority or the  administrator concerning the authorization, or any representation, action,  inaction, or submission, of the Hg designated representative shall affect any  representation, action, inaction, or submission of the Hg designated  representative or the finality of any decision or order by the permitting  authority or the administrator under the Hg Budget Trading Program. 
    C. Neither the permitting authority nor the administrator  will adjudicate any private legal dispute concerning the authorization or any  representation, action, inaction, or submission of any Hg designated  representative, including private legal disputes concerning the proceeds of Hg  allowance transfers. 
    9VAC5-140-5150. Delegation by Hg designated representative  and alternate Hg designated representative. (Repealed.)
    A. A Hg designated representative may delegate, to one or  more natural persons, his authority to make an electronic submission to the  administrator provided for or required under this part. 
    B. An alternate Hg designated representative may delegate,  to one or more natural persons, his authority to make an electronic submission  to the administrator provided for or required under this part. 
    C. In order to delegate authority to make an electronic  submission to the administrator in accordance with subsection A or B of this  section, the Hg designated representative or alternate Hg designated  representative, as appropriate, must submit to the administrator a notice of  delegation, in a format prescribed by the administrator, that includes the  following elements: 
    1. The name, address, e-mail address, telephone number, and  facsimile transmission number (if any) of such Hg designated representative or  alternate Hg designated representative; 
    2. The name, address, e-mail address, telephone number, and  facsimile transmission number (if any) of each such natural person (referred to  as an "agent"); 
    3. For each such natural person, a list of the type or  types of electronic submissions under subsection A or B of this section for  which authority is delegated to him or her; and 
    4. The following certification statements by such Hg  designated representative or alternate Hg designated representative: 
    a. "I agree that any electronic submission to the  administrator that is by an agent identified in this notice of delegation and  of a type listed for such agent in this notice of delegation and that is made  when I am a Hg designated representative or alternate Hg designated  representative, as appropriate, and before this notice of delegation is  superseded by another notice of delegation under 9VAC5-140-5150 D shall be  deemed to be an electronic submission by me." 
    b. "Until this notice of delegation is superseded by  another notice of delegation under 9VAC5-140-5150 D, I agree to maintain an  e-mail account and to notify the administrator immediately of any change in my  e-mail address, unless all delegation of authority by me under 9VAC5-140-5150  is terminated." 
    D. A notice of delegation submitted under subsection C of  this section shall be effective, with regard to the Hg designated  representative or alternate Hg designated representative identified in such  notice, upon receipt of such notice by the administrator and until receipt by  the administrator of a superseding notice of delegation submitted by such Hg  designated representative or alternate Hg designated representative, as  appropriate. The superseding notice of delegation may replace any previously  identified agent, add a new agent, or eliminate entirely any delegation of  authority. 
    E. Any electronic submission covered by the certification  in subdivision C 4 a of this section and made in accordance with a notice of  delegation effective under subsection D of this section shall be deemed to be  an electronic submission by the Hg designated representative or alternative Hg  designated representative submitting such notice of delegation. 
    9VAC5-140-5160 to 9VAC5-140-5190. [Reserved] (Repealed.)
    Article 3 
  Permits 
    9VAC5-140-5200. General Hg Budget Trading Program permit  requirements. (Repealed.)
    A. For each Hg Budget source required to have a title V  operating permit, such permit shall include a Hg Budget permit administered by  the permitting authority for the title V operating permit. The Hg Budget  portion of the title V permit shall be administered in accordance with the  permitting authority's title V operating permit regulations, except as provided  otherwise by subsection B of this section, 9VAC5-140-5050, and 9VAC5-140-5210  through 9VAC5-140-5240. 
    B. Each Hg Budget permit shall contain, with regard to the  Hg Budget source and the Hg Budget units at the source covered by the Hg Budget  permit, all applicable Hg Budget Trading Program requirements and shall be a complete  and separable portion of the title V operating permit. 
    9VAC5-140-5210. Submission of Hg Budget permit applications.  (Repealed.)
    A. The Hg designated representative of any Hg Budget  source required to have a title V operating permit shall submit to the  permitting authority a complete Hg Budget permit application under  9VAC5-140-5220 for the source covering each Hg Budget unit at the source at  least 18 months (or such lesser time provided by the permitting authority)  before the later of January 1, 2010, or the date on which the Hg Budget unit  commences commercial operation. 
    B. For a Hg Budget source required to have a title V  operating permit, the Hg designated representative shall submit a complete Hg  Budget permit application under 9VAC5-140-5220 for the source covering each Hg  Budget unit at the source to renew the Hg Budget permit in accordance with the  permitting authority's title V operating permits regulations addressing permit  renewal. 
    9VAC5-140-5220. Information requirements for Hg Budget permit  applications. (Repealed.)
    A complete Hg Budget permit application shall include the  following elements concerning the Hg Budget source for which the application is  submitted, in a format prescribed by the permitting authority: 
    1. Identification of the Hg Budget source; 
    2. Identification of each Hg Budget unit at the Hg Budget  source; and 
    3. The standard requirements under 9VAC5-140-5060. 
    9VAC5-140-5230. Hg Budget permit contents and term. (Repealed.)
    A. Each Hg Budget permit will contain, in a format  prescribed by the permitting authority, all elements required for a complete Hg  Budget permit application under 9VAC5-140-5220. 
    B. Each Hg Budget permit is deemed to incorporate  automatically the definitions of terms under 9VAC5-140-5020 and, upon  recordation by the administrator under Article 5 (9VAC5-140-5400 et seq.),  Article 6 (9VAC5-140-5500 et seq.) and Article 7 (9VAC5-140-5600 et seq.) of  this part, every allocation, transfer, or deduction of a Hg allowance to or  from the compliance account of the Hg Budget source covered by the permit. 
    C. The term of the Hg Budget permit will be set by the  permitting authority, as necessary to facilitate coordination of the renewal of  the Hg Budget permit with issuance, revision, or renewal of the Hg Budget  source's title V operating permit. 
    9VAC5-140-5240. Hg Budget permit revisions. (Repealed.)
    Except as provided in 9VAC5-140-5230 B, the permitting  authority will revise the Hg Budget permit, as necessary, in accordance with  the permitting authority's title V operating permits regulations addressing  permit revisions. 
    9VAC5-140-5250 to 9VAC5-140-5290. [Reserved] (Repealed.)
    Article 4 
  (Reserved.) 
    9VAC5-140-5300 to 9VAC5-140-5390. [Reserved] (Repealed.)
    Article 5 
  Hg Allowance Allocations 
    9VAC5-140-5400. Hg trading budgets. (Repealed.)
    The Hg trading budgets for annual allocations of Hg  allowances apportioned to all Hg Budget units and energy efficiency units and  renewable energy units for the control periods are as follows: 
    1. For use in each control period in 2010-2017, the total  number of Hg pounds is 1,184. 
    2. For use in each control period in 2018 and thereafter,  the total number of Hg pounds is 468. 
    9VAC5-140-5410. Timing requirements for Hg allowance  allocations. (Repealed.)
    A. By November 17, 2006, the permitting authority will  submit to the administrator the Hg allowance allocations, in a format  prescribed by the administrator and in accordance with 9VAC5-140-5420 A and B,  for the control periods in 2010, 2011, 2012, 2013, and 2014. 
    B. By October 31, 2009, and October 31 of each year  thereafter, the permitting authority will submit to the administrator the Hg  allowance allocations, in a format prescribed by the administrator and in  accordance with 9VAC5-140-5420 A and B, for the control period in the sixth  year after the year of the applicable deadline for submission under this  section. 
    C. By October 31, 2010, and October 31 of each year  thereafter, the permitting authority will submit to the administrator the Hg  allowance allocations, in a format prescribed by the administrator and in  accordance with 9VAC5-140-5420 A, C, and D, for the control period in the year  of the applicable deadline for submission under this section. 
    9VAC5-140-5420. Hg allowance allocations. (Repealed.)
    A. 1. The baseline heat input (in MMBtu) used with respect  to Hg allowance allocations under subsection B of this section for each Hg  Budget unit will be: 
    a. For units commencing operation before January 1, 2001,  the average of the three highest amounts of the unit's control period heat  input for 2000 through 2004. 
    b. For units commencing operation on or after January 1,  2001 and operating each calendar year during a period of 5 or more consecutive  calendar years, the average of the 3 highest amounts of the unit's total  converted control period heat input over the first such 5 years. 
    2. a. A unit's control period heat input for a calendar  year under subdivision 1 a of this subsection, and a unit's total ounces of Hg  emissions during a calendar year under subdivision C 3 of this section, will be  determined in accordance with 40 CFR Part 75, to the extent the unit was  otherwise subject to the requirements of 40 CFR Part 75 for the year, or will  be based on the best available data reported to the permitting authority for  the unit, to the extent the unit was not otherwise subject to the requirements  of 40 CFR Part 75 for the year. The unit's types and amounts of fuel combusted,  under subdivision 1 a of this subsection, will be based on the best available  data reported to the permitting authority for the unit. 
    b. A unit's converted control period heat input for a  calendar year specified under subdivision 1 b of this subsection equals: 
    (1) Except as provided in subdivision 2 b (2) of this  subsection, the control period gross electrical output of the generator or  generators served by the unit multiplied by 7,900 Btu/kWh and divided by  1,000,000 Btu/MMBtu, provided that if a generator is served by two or more  units, then the gross electrical output of the generator will be attributed to  each unit in proportion to the unit's share of the total control period heat  input of such units for the year; 
    (2) For a unit that has equipment used to produce  electricity and useful thermal energy for industrial, commercial, heating, or  cooling purposes through the sequential use of energy, the control period gross  electrical output of the unit multiplied by 7,900 Btu/kWh, plus the useful  thermal energy (in Btu) produced during the control period, divided by 0.8, and  with the sum divided by 1,000,000 Btu/MMBtu. 
    B. 1. For each control period in 2010 and thereafter, the  permitting authority will allocate to all Hg Budget units that have a baseline  heat input (as determined under subsection A of this section) a total amount of  Hg allowances equal to the Hg core trading budget (except as provided in  subsection D of this section). 
    2. The permitting authority will allocate Hg allowances to  each Hg Budget unit under subdivision 1 of this subsection in an amount  determined by multiplying the total amount of Hg allowances allocated under  subdivision 1 of this subsection by the ratio of the baseline heat input of  such Hg Budget unit to the total amount of baseline heat input of all such Hg  Budget units and rounding to the nearest whole allowance as appropriate. 
    C. For each control period in 2010 and thereafter, the  permitting authority will allocate Hg allowances to Hg Budget units that are  not allocated Hg allowances under subsection B of this section because the  units do not yet have a baseline heat input under subsection A of this section  or because the units have a baseline heat input but all Hg allowances available  under subsection B of this section for the control period are already  allocated, in accordance with the following procedures: 
    1. The permitting authority will establish a separate new  unit set-aside for each control period. Each new unit set-aside will be  allocated Hg allowances equal to the new unit set-aside budget. 
    2. The Hg designated representative of such a Hg Budget  unit may submit to the permitting authority a request, in a format acceptable  to the permitting authority, to be allocated Hg allowances, starting with the  later of the control period in 2010 or the first control period after the  control period in which the Hg Budget unit commences commercial operation and  until the first control period for which the unit is allocated Hg allowances  under subsection B of this section. A separate Hg allowance allocation request  for each control period for which Hg allowances are sought must be submitted on  or before May 1 of such control period and after the date on which the Hg  Budget unit commences commercial operation. 
    3. In a Hg allowance allocation request under subdivision 2  of this subsection, the Hg designated representative may request for a control  period Hg allowances in an amount not exceeding the Hg Budget unit's total  ounces of Hg emissions during the calendar year immediately before such control  period. 
    4. The permitting authority will review each Hg allowance  allocation request under subdivision 2 of this subsection and will allocate Hg  allowances for each control period pursuant to such request as follows: 
    a. The permitting authority will accept an allowance  allocation request only if the request meets, or is adjusted by the permitting  authority as necessary to meet, the requirements of subdivisions 2 and 3 of  this subsection. 
    b. On or after May 1 of the control period, the permitting  authority will determine the sum of the Hg allowances requested (as adjusted  under subdivision 4 a of this subsection) in all allowance allocation requests  accepted under subdivision 4 a of this subsection for the control period. 
    c. If the amount of Hg allowances in the new unit set-aside  for the control period is greater than or equal to the sum under subdivision 4  b of this subsection, then the permitting authority will allocate the amount of  Hg allowances requested (as adjusted under subdivision a of this subdivision)  to each Hg Budget unit covered by an allowance allocation request accepted  under subdivision 4 a of this subsection. 
    d. If the amount of Hg allowances in the new unit set-aside  for the control period is less than the sum under subdivision 4 b of this  subsection, then the permitting authority will allocate to each Hg Budget unit  covered by an allowance allocation request accepted under subdivision 4 a of  this subsection the amount of the Hg allowances requested (as adjusted under  subdivision 4 a of this subsection), multiplied by the amount of Hg allowances  in the new unit set-aside for the control period, divided by the sum determined  under subdivision 4 b of this subsection, and rounded to the nearest whole  allowance as appropriate. 
    e. The permitting authority will notify each Hg designated  representative that submitted an allowance allocation request of the amount of  Hg allowances (if any) allocated for the control period to the Hg Budget unit  covered by the request. 
    D. If, after completion of the procedures under  subdivision C 4 of this section for a control period, any unallocated Hg  allowances remain in the new unit set-aside for the control period, the  permitting authority will allocate to each Hg Budget unit that was allocated Hg  allowances under subsection B of this section an amount of Hg allowances equal  to the total amount of such remaining unallocated Hg allowances, multiplied by  the unit's allocation under subsection B of this section, divided by the Hg  core trading budget, and rounded to the nearest whole allowance as appropriate.  
    E. For each control period in 2010 and thereafter, the  permitting authority will allocate Hg allowances not to exceed the new energy  efficiency/renewable energy unit set-aside budget to qualifying energy  efficiency units and renewable energy units in accordance with the following  procedures: 
    1. The EERE proponent of an energy efficiency unit or a  renewable energy unit may submit to the permitting authority a request, in a  format acceptable to the permitting authority, to be allocated Hg allowances,  starting with the later of the control period in 2010 or the first control  period after the control period in which the energy efficiency unit is  implemented or the renewable energy unit commences commercial operation. The Hg  allowance allocation request must be submitted on or before July 1 of each  control period for which the Hg allowances are requested and after the date on  which the energy efficiency unit is implemented or the renewable energy unit  commences commercial operation. 
    2. EERE proponents may submit an application that  aggregates two or more energy efficiency units or renewable energy units. The  permitting authority will not allocate Hg allowances for energy efficiency  units or renewable energy units totaling less than one whole allowance or any  fraction thereof. If more than one proponent submits an application for  allowances for the same energy efficiency unit or renewable energy unit for the  same calendar year, the permitting authority, at its discretion, may refuse to  accept the applications. 
    3. In a Hg allowance allocation request under subdivisions  1 and 2 of this subsection, the EERE proponent may request for a control period  Hg allowances in an amount not exceeding: 
    a. For a renewable energy unit, the control period gross  electrical output of the facility during the calendar year immediately before  such control period multiplied by 20x10-6 lb/MWh and multiplied by  16 and rounded to nearest whole allowance as appropriate. 
    b. For an energy efficiency unit, the control period  verified reduction in electricity consumption during the calendar year  immediately before such control period multiplied by 20x10-6 lb/MWh  and multiplied by 16 and rounded to the nearest whole allowance as appropriate.  
    4. The permitting authority will review each Hg allowance  allocation request under subdivisions 1 and 2 of this subsection and will  allocate Hg allowances for each control period pursuant to such request as  follows: 
    a. The permitting authority will accept an allowance  allocation request only if the request meets, or is adjusted by the permitting  authority as necessary to meet, the requirements of subdivisions 1, 2 and 3 of  this subsection. 
    b. On or after October 1 of the control period, the  permitting authority will determine the sum of the Hg allowances requested (as  adjusted under subdivision 4 a of this subsection) in all allowance allocation  requests accepted under subdivision 4 a of this subsection for the control  period. 
    c. If the amount of Hg allowances in the new energy  efficiency/renewable energy unit set-aside budget for the control period is  greater than or equal to the sum under subdivision 4 b of this subsection, the  permitting authority will allocate the amount of Hg allowances requested (as  adjusted under subdivision 4 a of this subsection) to each energy efficiency  unit or renewable energy unit covered by an allowance allocation request  accepted under subdivision 4 a of this subsection. 
    d. If the amount of Hg allowances in the new energy  efficiency/renewable energy unit set-aside budget for the control period is  less than the sum under subdivision 4 b of this subsection, the permitting  authority will allocate to each energy efficiency unit or renewable energy unit  covered by an allowance allocation request accepted under subdivision 4 a of  this subsection the amount of the Hg allowances requested (as adjusted under  subdivision 4 a of this subsection), multiplied by the amount of Hg allowances  in the new energy efficiency/renewable energy unit set-aside budget for the  control period, divided by the sum determined under subdivision 4 b of this  subsection, and rounded to the nearest whole allowance as appropriate. 
    5. By October 31, 2009, and October 31 of each year  thereafter, the permitting authority will notify each EERE proponent that  submitted an allowance allocation request under subdivisions 1 and 2 of this  subsection of the amount of Hg allowances (if any) allocated under subdivision  4 of this subsection for the control period to the energy efficiency unit or  renewable energy unit covered by the request. 
    6. If, after completion of the procedures under  subdivisions 4 and 5 of this subsection for a control period, any unallocated  Hg allowances have remained in the new energy efficiency/renewable energy unit  set-aside budget for more than three control periods, the permitting authority  will permanently retire those allowances, and they will not be available for  compliance for any Hg budget unit. 
    7. The permitting authority will not submit to the  administrator the Hg allowance allocations under subdivision 4 of this  subsection. 
    8. Hg allowances allocated under subdivision 4 of this  subsection (i) shall be retired permanently by the EERE proponent making the  request under subdivision 2 of this subsection, (ii) shall not be considered  valid or capable of being lawfully traded under the Hg Budget Trading Program,  and (iii) shall not be available for compliance for any Hg budget unit. 
    9VAC5-140-5430 to 9VAC5-140-5490. [Reserved] (Repealed.)
    Article 6 
  Hg Allowance Tracking System 
    9VAC5-140-5500. [Reserved] (Repealed.)
    9VAC5-140-5510. Establishment of accounts. (Repealed.)
    A. Upon receipt of a complete certificate of  representation under 9VAC5-140-5130, the administrator will establish a  compliance account for the Hg Budget source for which the certificate of  representation was submitted unless the source already has a compliance  account. 
    B. General accounts shall be established as follows. 
    1. Applications for general accounts shall be submitted as  follows. 
    a. Any person may apply to open a general account for the  purpose of holding and transferring Hg allowances. An application for a general  account may designate one and only one Hg authorized account representative and  one and only one alternate Hg authorized account representative who may act on behalf  of the Hg authorized account representative. The agreement by which the  alternate Hg authorized account representative is selected shall include a  procedure for authorizing the alternate Hg authorized account representative to  act in lieu of the Hg authorized account representative. 
    b. A complete application for a general account shall be  submitted to the administrator and shall include the following elements in a  format prescribed by the administrator: 
    (1) Name, mailing address, e-mail address (if any),  telephone number, and facsimile transmission number (if any) of the Hg  authorized account representative and any alternate Hg authorized account  representative; 
    (2) Organization name and type of organization, if  applicable; 
    (3) A list of all persons subject to a binding agreement  for the Hg authorized account representative and any alternate Hg authorized  account representative to represent their ownership interest with respect to  the Hg allowances held in the general account; 
    (4) The following certification statement by the Hg  authorized account representative and any alternate Hg authorized account  representative: "I certify that I was selected as the Hg authorized  account representative or the alternate Hg authorized account representative,  as applicable, by an agreement that is binding on all persons who have an  ownership interest with respect to Hg allowances held in the general account. I  certify that I have all the necessary authority to carry out my duties and  responsibilities under the Hg Budget Trading Program on behalf of such persons  and that each such person shall be fully bound by my representations, actions,  inactions, or submissions and by any order or decision issued to me by the  administrator or a court regarding the general account." 
    (5) The signature of the Hg authorized account  representative and any alternate Hg authorized account representative and the  dates signed. 
    c. Unless otherwise required by the permitting authority or  the administrator, documents of agreement referred to in the application for a  general account shall not be submitted to the permitting authority or the  administrator. Neither the permitting authority nor the administrator shall be  under any obligation to review or evaluate the sufficiency of such documents,  if submitted. 
    2. Hg authorized account representatives and alternate Hg  authorized account representatives shall be authorized as follows. 
    a. Upon receipt by the administrator of a complete  application for a general account under subdivision 1 of this subsection: 
    (1) The administrator will establish a general account for  the person or persons for whom the application is submitted. 
    (2) The Hg authorized account representative and any  alternate Hg authorized account representative for the general account shall  represent and, by his representations, actions, inactions, or submissions,  legally bind each person who has an ownership interest with respect to Hg  allowances held in the general account in all matters pertaining to the Hg Budget  Trading Program, notwithstanding any agreement between the Hg authorized  account representative or any alternate Hg authorized account representative  and such person. Any such person shall be bound by any order or decision issued  to the Hg authorized account representative or any alternate Hg authorized  account representative by the administrator or a court regarding the general  account. 
    (3) Any representation, action, inaction, or submission by  any alternate Hg authorized account representative shall be deemed to be a  representation, action, inaction, or submission by the Hg authorized account  representative. 
    b. Each submission concerning the general account shall be  submitted, signed, and certified by the Hg authorized account representative or  any alternate Hg authorized account representative for the persons having an  ownership interest with respect to Hg allowances held in the general account.  Each such submission shall include the following certification statement by the  Hg authorized account representative or any alternate Hg authorized account  representative: "I am authorized to make this submission on behalf of the  persons having an ownership interest with respect to the Hg allowances held in  the general account. I certify under penalty of law that I have personally  examined, and am familiar with, the statements and information submitted in  this document and all its attachments. Based on my inquiry of those individuals  with primary responsibility for obtaining the information, I certify that the  statements and information are to the best of my knowledge and belief true,  accurate, and complete. I am aware that there are significant penalties for  submitting false statements and information or omitting required statements and  information, including the possibility of fine or imprisonment." 
    c. The administrator will accept or act on a submission  concerning the general account only if the submission has been made, signed,  and certified in accordance with subdivision 2 b of this subsection. 
    3. Hg authorized account representatives, alternate Hg  authorized account representatives, and persons with ownership interest shall  be changed as follows. 
    a. The Hg authorized account representative for a general  account may be changed at any time upon receipt by the administrator of a  superseding complete application for a general account under subdivision 1 of  this subsection. Notwithstanding any such change, all representations, actions,  inactions, and submissions by the previous Hg authorized account representative  before the time and date when the administrator receives the superseding  application for a general account shall be binding on the new Hg authorized  account representative and the persons with an ownership interest with respect  to the Hg allowances in the general account. 
    b. The alternate Hg authorized account representative for a  general account may be changed at any time upon receipt by the administrator of  a superseding complete application for a general account under subdivision 1 of  this subsection. Notwithstanding any such change, all representations, actions,  inactions, and submissions by the previous alternate Hg authorized account  representative before the time and date when the administrator receives the  superseding application for a general account shall be binding on the new  alternate Hg authorized account representative and the persons with an  ownership interest with respect to the Hg allowances in the general account. 
    c. (1) In the event a person having an ownership interest  with respect to Hg allowances in the general account is not included in the  list of such persons in the application for a general account, such person  shall be deemed to be subject to and bound by the application for a general  account, the representation, actions, inactions, and submissions of the Hg  authorized account representative and any alternate Hg authorized account  representative of the account, and the decisions and orders of the  administrator or a court, as if the person were included in such list. 
    (2) Within 30 days following any change in the persons  having an ownership interest with respect to Hg allowances in the general  account, including the addition of a new person, the Hg authorized account  representative or any alternate Hg authorized account representative shall  submit a revision to the application for a general account amending the list of  persons having an ownership interest with respect to the Hg allowances in the  general account to include the change. 
    4. Objections concerning Hg authorized account  representative and alternate Hg authorized account representative are subject  to the following. 
    a. Once a complete application for a general account under  subdivision 1 of this subsection has been submitted and received, the  administrator will rely on the application unless and until a superseding  complete application for a general account under subdivision 1 of this  subsection is received by the administrator. 
    b. Except as provided in subdivision 3 a or b of this  subsection, no objection or other communication submitted to the administrator  concerning the authorization, or any representation, action, inaction, or  submission of the Hg authorized account representative or any alternate Hg  authorized account representative for a general account shall affect any  representation, action, inaction, or submission of the Hg authorized account  representative or any alternate Hg authorized account representative or the  finality of any decision or order by the administrator under the Hg Budget  Trading Program. 
    c. The administrator will not adjudicate any private legal  dispute concerning the authorization or any representation, action, inaction,  or submission of the Hg authorized account representative or any alternate Hg  authorized account representative for a general account, including private  legal disputes concerning the proceeds of Hg allowance transfers. 
    5. Delegation by Hg authorized account representative and  alternate Hg authorized account representative shall be accomplished as  follows. 
    a. A Hg authorized account representative may delegate, to  one or more natural persons, his authority to make an electronic submission to  the administrator provided for or required under Article 6 (9VAC5-140-5500 et  seq.) and Article 7 (9VAC5-140-5600 et seq.) of this part. 
    b. An alternate Hg authorized account representative may  delegate, to one or more natural persons, his authority to make an electronic  submission to the administrator provided for or required under Article 6  (9VAC5-140-5500 et seq.) and Article 7 (9VAC5-140-5600 et seq.) of this part. 
    c. In order to delegate authority to make an electronic  submission to the administrator in accordance with subdivision 5 a or b of this  subsection, the Hg authorized account representative or alternate Hg authorized  account representative, as appropriate, must submit to the administrator a  notice of delegation, in a format prescribed by the administrator, that  includes the following elements: 
    (1) The name, address, e-mail address, telephone number,  and facsimile transmission number (if any) of such Hg authorized account  representative or alternate Hg authorized account representative; 
    (2) The name, address, e-mail address, telephone number,  and, facsimile transmission number (if any) of each such natural person  (referred to as an "agent"); 
    (3) For each such natural person, a list of the type or  types of electronic submissions under subdivision 5 a or b of this subsection  for which authority is delegated to him; 
    (4) The following certification statement by such Hg  authorized account representative or alternate Hg authorized account  representative: "I agree that any electronic submission to the  administrator that is by an agent identified in this notice of delegation and  of a type listed for such agent in this notice of delegation and that is made when  I am a Hg authorized account representative or alternate Hg authorized  representative, as appropriate, and before this notice of delegation is  superseded by another notice of delegation under 9VAC5-140-5510 B 5 d shall be  deemed to be an electronic submission by me."; and 
    (5) The following certification statement by such Hg  authorized account representative or alternate Hg authorized account  representative: "Until this notice of delegation is superseded by another  notice of delegation under 9VAC5-140-5510 B 5 d, I agree to maintain an email  account and to notify the administrator immediately of any change in my e-mail  address unless all delegation of authority under 9VAC5-140-5510 B 5 is  terminated." 
    d. A notice of delegation submitted under subdivision 5 c  of this subsection shall be effective, with regard to the Hg authorized account  representative or alternate Hg authorized account representative identified in  such notice, upon receipt of such notice by the administrator and until receipt  by the administrator of a superseding notice of delegation submitted by such Hg  authorized account representative or alternate Hg authorized account  representative, as appropriate. The superseding notice of delegation may  replace any previously identified agent, add a new agent, or eliminate entirely  any delegation of authority. 
    e. Any electronic submission covered by the certification  in subdivision 5 c (4) of this subsection and made in accordance with a notice  of delegation effective under subdivision 5 d of this subsection shall be deemed  to be an electronic submission by the Hg designated representative or alternate  Hg designated representative submitting such notice of delegation. 
    C. The administrator will assign a unique identifying  number to each account established under subsection A or B of this section. 
    9VAC5-140-5520. Responsibilities of Hg authorized account  representative. (Repealed.)
    Following the establishment of a Hg Allowance Tracking  System account, all submissions to the administrator pertaining to the account,  including, but not limited to, submissions concerning the deduction or transfer  of Hg allowances in the account, shall be made only by the Hg authorized  account representative for the account. 
    9VAC5-140-5530. Recordation of Hg allowance allocations.  (Repealed.)
    A. By December 1, 2007, the administrator will record in  the Hg Budget source's compliance account the Hg allowances allocated for the  Hg Budget units at the source, as submitted by the permitting authority in  accordance with 9VAC5-140-5410 A, for the control periods in 2010, 2011, 2012,  2013, and 2014. 
    B. By December 1, 2009, the administrator will record in  the Hg Budget source's compliance account the Hg allowances allocated for the  Hg Budget units at the source, as submitted by the permitting authority in  accordance with 9VAC5-140-5410 B, for the control period in 2015. 
    C. By December 1, 2010, and December 1 of each year  thereafter, the administrator will record in the Hg Budget source's compliance  account the Hg allowances allocated for the Hg Budget units at the source, as  submitted by the permitting authority in accordance with 9VAC5-140-5410 B, for  the control period in the sixth year after the year of the applicable deadline  for recordation under this section. 
    D. By December 1, 2010, and December 1 of each year  thereafter, the administrator will record in the Hg Budget source's compliance  account the Hg allowances allocated for the Hg Budget units at the source, as  submitted by the permitting authority in accordance with 9VAC5-140-5410 C, for  the control period in the year of the applicable deadline for recordation under  this section. 
    E. When recording the allocation of Hg allowances for a Hg  Budget unit in a compliance account, the administrator will assign each Hg  allowance a unique identification number that will include digits identifying  the year of the control period for which the Hg allowance is allocated. 
    9VAC5-140-5540. Compliance with Hg Budget emissions  limitation. (Repealed.)
    A. The Hg allowances are available to be deducted for  compliance with a source's Hg Budget emissions limitation for a control period  in a given calendar year only if the Hg allowances: 
    1. Were allocated for the control period in the year or a  prior year; and 
    2. Are held in the compliance account as of the allowance  transfer deadline for the control period or are transferred into the compliance  account by a Hg allowance transfer correctly submitted for recordation under  9VAC5-140-5600 and 9VAC5-140-5610 by the allowance transfer deadline for the  control period. 
    B. Following the recordation, in accordance with  9VAC5-140-5610, of Hg allowance transfers submitted for recordation in a  source's compliance account by the allowance transfer deadline for a control  period, the administrator will deduct from the compliance account Hg allowances  available under subsection A of this section in order to determine whether the  source meets the Hg Budget emissions limitation for the control period, as  follows: 
    1. Until the amount of Hg allowances deducted equals the  number of ounces of total Hg emissions, determined in accordance with Article 8  (9VAC5-140-5700 et seq.) of this part, from all Hg Budget units at the source  for the control period; or 
    2. If there are insufficient Hg allowances to complete the  deductions in subdivision 1 of this subsection, until no more Hg allowances  available under subsection A of this section remain in the compliance account. 
    C. 1. The Hg authorized account representative for a  source's compliance account may request that specific Hg allowances, identified  by serial number, in the compliance account be deducted for emissions or excess  emissions for a control period in accordance with subsection B or D of this  section. Such request shall be submitted to the administrator by the allowance  transfer deadline for the control period and include, in a format prescribed by  the administrator, the identification of the Hg Budget source and the  appropriate serial numbers. 
    2. The administrator will deduct Hg allowances under  subsection B or D of this section from the source's compliance account, in the  absence of an identification or in the case of a partial identification of Hg  allowances by serial number under subdivision 1 of this subsection, on a  first-in, first-out accounting basis in the following order: 
    a. Any Hg allowances that were allocated to the units at  the source, in the order of recordation; and then 
    b. Any Hg allowances that were allocated to any entity and  transferred and recorded in the compliance account pursuant to 9VAC5-140-5600  and 9VAC5-140-5610, in the order of recordation. 
    D. Deductions for excess emissions shall meet the  following: 
    1. After making the deductions for compliance under  subsection B of this section for a control period in a calendar year in which  the Hg Budget source has excess emissions, the administrator will deduct from  the source's compliance account an amount of Hg allowances, allocated for the  control period in the immediately following calendar year, equal to three times  the number of ounces of the source's excess emissions. 
    2. Any allowance deduction required under subdivision 1 of  this subsection shall not affect the liability of the owners and operators of  the Hg Budget source or the Hg Budget units at the source for any fine,  penalty, or assessment, or their obligation to comply with any other remedy,  for the same violations, as ordered under the Clean Air Act or the Virginia Air  Pollution Control Law. 
    E. The administrator will record in the appropriate  compliance account all deductions from such an account under subsections B and  D of this section. 
    F. The administrator's action on submissions may include  the following: 
    1. The administrator may review and conduct independent  audits concerning any submission under the Hg Budget Trading Program and make  appropriate adjustments of the information in the submissions. 
    2. The administrator may deduct Hg allowances from or  transfer Hg allowances to a source's compliance account based on the  information in the submissions, as adjusted under subdivision 1 of this  subsection, and record such deductions and transfers. 
    9VAC5-140-5550. Banking. (Repealed.)
    A. Hg allowances may be banked for future use or transfer  in a compliance account or a general account in accordance with subsection B of  this section. 
    B. Any Hg allowance that is held in a compliance account  or a general account will remain in such account unless and until the Hg  allowance is deducted or transferred under 9VAC5-140-5540, 9VAC5-140-5560, or  Article 7 (9VAC5-140-5600 et seq.) of this part. 
    9VAC5-140-5560. Account error. (Repealed.)
    The administrator may, at his sole discretion and on his  own motion, correct any error in any Hg Allowance Tracking System account.  Within 10 business days of making such correction, the administrator will  notify the Hg authorized account representative for the account. 
    9VAC5-140-5570. Closing of general accounts. (Repealed.)
    A. The Hg authorized account representative of a general  account may submit to the administrator a request to close the account, which  shall include a correctly submitted allowance transfer under 9VAC5-140-5600 and  9VAC5-140-5610 for any Hg allowances in the account to one or more other Hg  Allowance Tracking System accounts. 
    B. If a general account has no allowance transfers in or  out of the account for a 12-month period or longer and does not contain any Hg  allowances, the administrator may notify the Hg authorized account  representative for the account that the account will be closed following 20  business days after the notice is sent. The account will be closed after the  20-day period unless, before the end of the 20-day period, the administrator  receives a correctly submitted transfer of Hg allowances into the account under  9VAC5-140-5600 and 9VAC5-140-5610 or a statement submitted by the Hg authorized  account representative demonstrating to the satisfaction of the administrator  good cause as to why the account should not be closed. 
    9VAC5-140-5580 to 9VAC5-140-5590. [Reserved] (Repealed.)
    Article 7 
  Hg Allowance Transfers 
    9VAC5-140-5600. Submission of Hg allowance transfers. (Repealed.)
    A Hg authorized account representative seeking recordation  of a Hg allowance transfer shall submit the transfer to the administrator. To  be considered correctly submitted, the Hg allowance transfer shall include the  following elements, in a format specified by the administrator: 
    1. The account numbers for both the transferor and  transferee accounts; 
    2. The serial number of each Hg allowance that is in the  transferor account and is to be transferred; and 
    3. The name and signature of the Hg authorized account  representative of the transferor account and the date signed. 
    9VAC5-140-5610. EPA recordation. (Repealed.)
    A. Within five business days (except as provided in  subsection B of this section) of receiving a Hg allowance transfer, the  administrator will record a Hg allowance transfer by moving each Hg allowance  from the transferor account to the transferee account as specified by the  request, provided that: 
    1. The transfer is correctly submitted under  9VAC5-140-5600; and 
    2. The transferor account includes each Hg allowance identified  by serial number in the transfer. 
    B. A Hg allowance transfer that is submitted for  recordation after the allowance transfer deadline for a control period and that  includes any Hg allowances allocated for any control period before such  allowance transfer deadline will not be recorded until after the administrator  completes the deductions under 9VAC5-140-5540 for the control period  immediately before such allowance transfer deadline. 
    C. Where a Hg allowance transfer submitted for recordation  fails to meet the requirements of subsection A of this section, the  administrator will not record such transfer. 
    9VAC5-140-5620. Notification. (Repealed.)
    A. Within five business days of recordation of a Hg  allowance transfer under 9VAC5-140-5610, the administrator will notify the Hg  authorized account representatives of both the transferor and transferee  accounts. 
    B. Within 10 business days of receipt of a Hg allowance  transfer that fails to meet the requirements of 9VAC5-140-5610 A, the  administrator will notify the Hg authorized account representatives of both  accounts subject to the transfer of: 
    1. A decision not to record the transfer; and 
    2. The reasons for such nonrecordation. 
    C. Nothing in this section shall preclude the submission  of a Hg allowance transfer for recordation following notification of  nonrecordation. 
    9VAC5-140-5630 to 9VAC5-140-5690. [Reserved] (Repealed.)
    Article 8 
  Monitoring and Reporting 
    9VAC5-140-5700. General requirements. (Repealed.)
    A. The owners and operators, and to the extent applicable,  the Hg designated representative, of a Hg Budget unit shall comply with the  monitoring, recordkeeping, and reporting requirements as provided in this  article and subpart I of 40 CFR Part 75. For purposes of complying with such requirements,  the definitions in 9VAC5-140-5020 and in 40 CFR 72.2 shall apply, and the terms  "affected unit," "designated representative," and  "continuous emission monitoring system (CEMS)" in 40 CFR Part 75  shall be deemed to refer to the terms "Hg Budget unit," "Hg  designated representative," and "continuous emission monitoring  system (CEMS)" respectively, as defined in 9VAC5-140-5020. The owner or  operator of a unit that is not a Hg Budget unit but that is monitored under 40  CFR 75.82(b)(2)(i) shall comply with the same monitoring, recordkeeping, and  reporting requirements as a Hg Budget unit. 
    B. The owner or operator of each Hg Budget unit shall: 
    1. Install all monitoring systems required under this  article for monitoring Hg mass emissions and individual unit heat input  (including all systems required to monitor Hg concentration, stack gas moisture  content, stack gas flow rate, and CO2 or O2  concentration, as applicable, in accordance with 40 CFR 75.81 and 75.82); 
    2. Successfully complete all certification tests required  under 9VAC5-140-5710 and meet all other requirements of this article, and  subpart I of 40 CFR Part 75 applicable to the monitoring systems under  subdivision 1 of this subsection; and 
    3. Record, report, and quality-assure the data from the  monitoring systems under subdivision 1 of this subsection. 
    C. Except as provided in subsection F of this section, the  owner or operator shall meet the monitoring system certification and other  requirements of subdivisions B 1 and 2 of this section on or before the  following dates. The owner or operator shall record, report, and quality-assure  the data from the monitoring systems under subdivision B 1 of this section on  and after the following dates. 
    1. For the owner or operator of a Hg Budget unit that  commences commercial operation before July 1, 2008, by January 1, 2009. 
    2. For the owner or operator of a Hg Budget unit that  commences commercial operation on or after July 1, 2008, by the later of the  following dates: 
    a. January 1, 2009; or 
    b. Ninety unit operating days or 180 calendar days,  whichever occurs first, after the date on which the unit commences commercial  operation. 
    3. For the owner or operator of a Hg Budget unit for which  construction of a new stack or flue or installation of add-on Hg emission  controls, a flue gas desulfurization system, a selective catalytic reduction  system, or a compact hybrid particulate collector system is completed after the  applicable deadline under subdivision 1 or 2 of this subsection, by 90 unit  operating days or 180 calendar days, whichever occurs first, after the date on  which emissions first exit to the atmosphere through the new stack or flue,  add-on Hg emissions controls, flue gas desulfurization system, selective  catalytic reduction system, or compact hybrid particulate collector system. 
    D. The owner or operator of a Hg Budget unit that does not  meet the applicable compliance date set forth in subsection C of this section  for any monitoring system under subdivision B 1 of this section shall, for each  such monitoring system, determine, record, and report maximum potential (or, as  appropriate, minimum potential) values for Hg concentration, stack gas flow  rate, stack gas moisture content, and any other parameters required to  determine Hg mass emissions and heat input in accordance with 40 CFR 75.80(g). 
    E. The following prohibitions shall apply: 
    1. No owner or operator of a Hg Budget unit shall use any  alternative monitoring system, alternative reference method, or any other  alternative to any requirement of this article without having obtained prior  written approval in accordance with 9VAC5-140-5750. 
    2. No owner or operator of a Hg Budget unit shall operate  the unit so as to discharge, or allow to be discharged, Hg emissions to the  atmosphere without accounting for all such emissions in accordance with the  applicable provisions of this article, and subpart I of 40 CFR Part 75. 
    3. No owner or operator of a Hg Budget unit shall disrupt  the continuous emission monitoring system, any portion thereof, or any other  approved emission monitoring method, and thereby avoid monitoring and recording  Hg mass emissions discharged into the atmosphere or heat input, except for  periods of recertification or periods when calibration, quality assurance  testing, or maintenance is performed in accordance with the applicable  provisions of this article, and subpart I of 40 CFR Part 75. 
    4. No owner or operator of a Hg Budget unit shall retire or  permanently discontinue use of the continuous emission monitoring system, any  component thereof, or any other approved monitoring system under this article,  except under any one of the following circumstances: 
    a. During the period that the unit is covered by an  exemption under 9VAC5-140-5050 that is in effect; 
    b. The owner or operator is monitoring emissions from the  unit with another certified monitoring system approved, in accordance with the  applicable provisions of this article, and subpart I of 40 CFR Part 75, by the  permitting authority for use at that unit that provides emission data for the  same pollutant or parameter as the retired or discontinued monitoring system;  or 
    c. The Hg designated representative submits notification of  the date of certification testing of a replacement monitoring system for the  retired or discontinued monitoring system in accordance with 9VAC5-140-5710 C 3  a. 
    F. The owner or operator of a Hg Budget unit is subject to  the applicable provisions of 40 CFR Part 75 concerning units in long-term cold  storage. 
    9VAC5-140-5710. Initial certification and recertification  procedures. (Repealed.) 
    A. The owner or operator of a Hg Budget unit shall be  exempt from the initial certification requirements of this section for a  monitoring system under 9VAC5-140-5700 B 1 if the following conditions are met:  
    1. The monitoring system has been previously certified in  accordance with 40 CFR Part 75; and 
    2. The applicable quality-assurance and quality-control  requirements of 40 CFR 75.21 and appendix B to 40 CFR Part 75 are fully met for  the certified monitoring system described in subdivision 1 of this subsection. 
    B. The recertification provisions of this section shall  apply to a monitoring system under 9VAC5-140-5700 B 1 exempt from initial  certification requirements under subsection A of this section. 
    C. Except as provided in subsection A of this section, the  owner or operator of a Hg Budget unit shall comply with the following initial  certification and recertification procedures for a continuous monitoring system  (i.e., a continuous emission monitoring system and an excepted monitoring  system (sorbent trap monitoring system) under 40 CFR 75.15) under  9VAC5-140-5700 B 1. The owner or operator of a unit that qualifies to use the  Hg low mass emissions excepted monitoring methodology under 40 CFR 75.81(b) or  that qualifies to use an alternative monitoring system under subpart E of 40 CFR  Part 75 shall comply with the procedures in subsection D or E of this section  respectively. 
    1. The owner or operator shall ensure that each continuous  monitoring system under 9VAC5-140-5700 B 1 (including the automated data  acquisition and handling system) successfully completes all of the initial  certification testing required under 40 CFR 75.20 by the applicable deadline in  9VAC5-140-5700 C. In addition, whenever the owner or operator installs a  monitoring system to meet the requirements of this part in a location where no  such monitoring system was previously installed, initial certification in  accordance with 40 CFR 75.20 is required. 
    2. Whenever the owner or operator makes a replacement,  modification, or change in any certified continuous emission monitoring system,  or an excepted monitoring system (sorbent trap monitoring system) under 40 CFR  75.15, under 9VAC5-140-5700 B 1 that may significantly affect the ability of  the system to accurately measure or record Hg mass emissions or heat input rate  or to meet the quality-assurance and quality-control requirements of 40 CFR  75.21 or appendix B to 40 CFR Part 75, the owner or operator shall recertify  the monitoring system in accordance with 40 CFR 75.20(b). Furthermore, whenever  the owner or operator makes a replacement, modification, or change to the flue  gas handling system or the unit's operation that may significantly change the  stack flow or concentration profile, the owner or operator shall recertify each  continuous emission monitoring system, and each excepted monitoring system  (sorbent trap monitoring system) under 40 CFR 75.15, whose accuracy is  potentially affected by the change, in accordance with 40 CFR 75.20(b).  Examples of changes to a continuous emission monitoring system that require recertification  include: replacement of the analyzer, complete replacement of an existing  continuous emission monitoring system, or change in location or orientation of  the sampling probe or site. 
    3. Subdivisions 3 a through d of this subsection apply to  both initial certification and recertification of a continuous monitoring  system under 9VAC5-140-5700 B 1. For recertifications, replace the words  "certification" and "initial certification" with the word  "recertification," replace the word "certified" with the  word "recertified," and follow the procedures in 40 CFR 75.20(b)(5)  in lieu of the procedures in subdivision 3 e of this subsection. 
    a. The Hg designated representative shall submit to the  permitting authority, the appropriate EPA Regional Office, and the  administrator written notice of the dates of certification testing, in  accordance with 9VAC5-140-5730. 
    b. The Hg designated representative shall submit to the  permitting authority a certification application for each monitoring system. A  complete certification application shall include the information specified in  40 CFR 75.63. 
    c. The provisional certification date for a monitoring  system shall be determined in accordance with 40 CFR 75.20(a)(3). A  provisionally certified monitoring system may be used under the Hg Budget  Trading Program for a period not to exceed 120 days after receipt by the  permitting authority of the complete certification application for the  monitoring system under subdivision 3 b of this subsection. Data measured and  recorded by the provisionally certified monitoring system, in accordance with  the requirements of 40 CFR Part 75, will be considered valid quality-assured  data (retroactive to the date and time of provisional certification), provided  that the permitting authority does not invalidate the provisional certification  by issuing a notice of disapproval within 120 days of the date of receipt of  the complete certification application by the permitting authority. 
    d. The permitting authority will issue a written notice of  approval or disapproval of the certification application to the owner or  operator within 120 days of receipt of the complete certification application  under subdivision 3 b of this subsection. In the event the permitting authority  does not issue such a notice within such 120-day period, each monitoring system  that meets the applicable performance requirements of 40 CFR Part 75 and is  included in the certification application will be deemed certified for use  under the Hg Budget Trading Program. 
    (1) If the certification application is complete and shows  that each monitoring system meets the applicable performance requirements of 40  CFR Part 75, then the permitting authority will issue a written notice of  approval of the certification application within 120 days of receipt. 
    (2) If the certification application is not complete, then  the permitting authority will issue a written notice of incompleteness that  sets a reasonable date by which the Hg designated representative shall submit  the additional information required to complete the certification application.  If the Hg designated representative does not comply with the notice of  incompleteness by the specified date, then the permitting authority may issue a  notice of disapproval under subdivision 3 d (3) of this subsection. The 120-day  review period shall not begin before receipt of a complete certification  application. 
    (3) If the certification application shows that any  monitoring system does not meet the performance requirements of 40 CFR Part 75  or if the certification application is incomplete and the requirement for  disapproval under subdivision 3 d (2) of this subsection is met, then the  permitting authority will issue a written notice of disapproval of the  certification application. Upon issuance of such notice of disapproval, the  provisional certification is invalidated by the permitting authority and the  data measured and recorded by each uncertified monitoring system shall not be  considered valid quality-assured data beginning with the date and hour of provisional  certification (as defined under 40 CFR 75.20(a)(3)). The owner or operator  shall follow the procedures for loss of certification in subdivision 3 e of  this subsection for each monitoring system that is disapproved for initial  certification. 
    (4) The permitting authority may issue a notice of  disapproval of the certification status of a monitor in accordance with  9VAC5-140-5720. 
    e. If the permitting authority issues a notice of  disapproval of a certification application under subdivision 3 d (3) of this  subsection or a notice of disapproval of certification status under subdivision  3 d (4) of this subsection, then: 
    (1) The owner or operator shall substitute the following  values, for each disapproved monitoring system, for each hour of unit operation  during the period of invalid data specified under 40 CFR 75.20(a)(4)(iii) or 40  CFR 75.21(e) and continuing until the applicable date and hour specified under  40 CFR 75.20(a)(5)(i): 
    (a) For a disapproved Hg pollutant concentration monitor  and disapproved flow monitor, respectively, the maximum potential concentration  of Hg and the maximum potential flow rate, as defined in sections 2.1.7.1 and  2.1.4.1 of appendix A to 40 CFR Part 75. 
    (b) For a disapproved moisture monitoring system and  disapproved diluent gas monitoring system, respectively, the minimum potential  moisture percentage and either the maximum potential CO2  concentration or the minimum potential O2 concentration (as  applicable), as defined in sections 2.1.5, 2.1.3.1, and 2.1.3.2 of appendix A  to 40 CFR Part 75. 
    (c) For a disapproved excepted monitoring system (sorbent  trap monitoring system) under 40 CFR 75.15 and disapproved flow monitor,  respectively, the maximum potential concentration of Hg and maximum potential  flow rate, as defined in sections 2.1.7.1 and 2.1.4.1 of appendix A to 40 CFR  Part 75. 
    (2) The Hg designated representative shall submit a  notification of certification retest dates and a new certification application  in accordance with subdivisions 3 a and b of this subsection. 
    (3) The owner or operator shall repeat all certification  tests or other requirements that were failed by the monitoring system, as  indicated in the permitting authority's notice of disapproval, no later than 30  unit operating days after the date of issuance of the notice of disapproval. 
    D. The owner or operator of a unit qualified to use the Hg  low mass emissions (HgLME) excepted methodology under 40 CFR 75.81(b) shall  meet the applicable certification and recertification requirements in 40 CFR  75.81(c) through (f). 
    E. The Hg designated representative of each unit for which  the owner or operator intends to use an alternative monitoring system approved  by the administrator under subpart E of 40 CFR Part 75 shall comply with the  applicable notification and application procedures of 40 CFR 75.20(f). 
    9VAC5-140-5720. Out of control periods. (Repealed.)
    A. Whenever any monitoring system fails to meet the  quality-assurance and quality-control requirements or data validation  requirements of 40 CFR Part 75, data shall be substituted using the applicable  missing data procedures in subpart D of 40 CFR Part 75. 
    B. Whenever both an audit of a monitoring system and a  review of the initial certification or recertification application reveal that  any monitoring system should not have been certified or recertified because it  did not meet a particular performance specification or other requirement under  9VAC5-140-5710 or the applicable provisions of 40 CFR Part 75, both at the time  of the initial certification or recertification application submission and at  the time of the audit, the permitting authority will issue a notice of  disapproval of the certification status of such monitoring system. For the  purposes of this section, an audit shall be either a field audit or an audit of  any information submitted to the permitting authority or the administrator. By  issuing the notice of disapproval, the permitting authority revokes  prospectively the certification status of the monitoring system. The data  measured and recorded by the monitoring system shall not be considered valid  quality-assured data from the date of issuance of the notification of the  revoked certification status until the date and time that the owner or operator  completes subsequently approved initial certification or recertification tests  for the monitoring system. The owner or operator shall follow the applicable  initial certification or recertification procedures in 9VAC5-140-5710 for each  disapproved monitoring system. 
    9VAC5-140-5730. Notifications. (Repealed.)
    The Hg designated representative for a Hg Budget unit  shall submit written notice to the permitting authority and the administrator  in accordance with 40 CFR 75.61. 
    9VAC5-140-5740. Recordkeeping and reporting. (Repealed.)
    A. The Hg designated representative shall comply with all  recordkeeping and reporting requirements in this section, the applicable  recordkeeping and reporting requirements of 40 CFR 75.84, and the requirements  of 9VAC5-140-5100 E 1. 
    B. The owner or operator of a Hg Budget unit shall comply  with requirements of 40 CFR 75.84(e). 
    C. The Hg designated representative shall submit an application  to the permitting authority within 45 days after completing all initial  certification or recertification tests required under 9VAC5-140-5710, including  the information required under 40 CFR 75.63. 
    D. The Hg designated representative shall submit quarterly  reports, as follows: 
    1. The Hg designated representative shall report the Hg  mass emissions data and heat input data for the Hg Budget unit, in an  electronic quarterly report in a format prescribed by the administrator, for  each calendar quarter beginning with: 
    a. For a unit that commences commercial operation before  July 1, 2008, the calendar quarter covering January 1, 2009, through March 31,  2009; or 
    b. For a unit that commences commercial operation on or  after July 1, 2008, the calendar quarter corresponding to the earlier of the  date of provisional certification or the applicable deadline for initial  certification under 9VAC5-140-5700 C, unless that quarter is the third or  fourth quarter of 2008, in which case reporting shall commence in the quarter  covering January 1, 2009, through March 31, 2009. 
    2. The Hg designated representative shall submit each  quarterly report to the administrator within 30 days following the end of the  calendar quarter covered by the report. Quarterly reports shall be submitted in  the manner specified in 40 CFR 75.84(f). 
    3. For Hg Budget units that are also subject to an Acid  Rain emissions limitation or the CAIR NOX Annual Trading Program,  CAIR SO2 Trading Program, or CAIR NOX Ozone Season  Trading Program, quarterly reports shall include the applicable data and  information required by subparts F through H of 40 CFR Part 75 as applicable,  in addition to the Hg mass emission data, heat input data, and other  information required by this section, 9VAC5-140 5700 through 9VAC5-140-5730,  and 9VAC5-140-5750. 
    E. The Hg designated representative shall submit to the  administrator a compliance certification (in a format prescribed by the  administrator) in support of each quarterly report based on reasonable inquiry  of those persons with primary responsibility for ensuring that all of the  unit's emissions are correctly and fully monitored. The certification shall  state that: 
    1. The monitoring data submitted were recorded in  accordance with the applicable requirements of this section, 9VAC5-140-5700  through 9VAC5-140-5730, 9VAC5-140-5750, and 40 CFR Part 75, including the  quality assurance procedures and specifications; and 
    2. For a unit with add-on Hg emission controls, a flue gas  desulfurization system, a selective catalytic reduction system, or a compact  hybrid particulate collector system and for all hours where Hg data are  substituted in accordance with 40 CFR 75.34(a)(1), 
    a. (1) The Hg add-on emission controls, flue gas  desulfurization system, selective catalytic reduction system, or compact hybrid  particulate collector system were operating within the range of parameters  listed in the quality assurance/quality control program under appendix B to 40  CFR Part 75; or 
    (2) With regard to a flue gas desulfurization system or a  selective catalytic reduction system, quality-assured SO2 emission  data recorded in accordance with 40 CFR Part 75 document that the flue gas  desulfurization system was operating properly, or quality-assured NOX  emission data recorded in accordance with 40 CFR Part 75 document that the  selective catalytic system was operating properly, as applicable, and 
    b. The substitute data values do not systematically  underestimate Hg emissions. 
    9VAC5-140-5750. Petitions. (Repealed.) 
    The Hg designated representative of a Hg Budget unit may  submit a petition under 40 CFR 75.66 to the administrator requesting approval  to apply an alternative to any requirement of 9VAC5-140-5700 through  9VAC5-140-5740. Application of an alternative to any requirement of  9VAC5-140-5700 through 9VAC5-140-5740 is in accordance with this section and  9VAC5-140-5700 through 9VAC5-140-5740 only to the extent that the petition is  approved in writing by the administrator, in consultation with the permitting  authority. 
    VA.R. Doc. No. R12-3019; Filed July 11, 2012, 4:44 p.m. 
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Extension of Emergency Regulation
    Titles of Regulations: 12VAC30-50. Amount, Duration,  and Scope of Medical and Remedial Care Services (amending 12VAC30-50-130, 12VAC30-50-226).
    12VAC30-60. Standards Established and Methods Used to Assure  High Quality Care (amending 12VAC30-60-61, 12VAC30-60-143).
    12VAC30-130. Amount, Duration and Scope of Selected Services (adding 12VAC30-130-2000). 
    Statutory Authority: § 32.1-325 of the Code of  Virginia.
    Effective Dates: July 18, 2011, through January 16,  2013.
    On July 16, 2012, the Governor approved the Department of  Medical Assistance Services' (DMAS) request to extend the expiration date of  the above-referenced emergency regulation as provided in § 2.2-4011 D of  the Code of Virginia. The emergency regulation was published in 27:24 VA.R.  2608-2628 August 1, 2011 (http://register.dls.virginia.gov/vol27/iss24/v27i24.pdf).  The extension allows DMAS to continue enforcing the legislative mandate set out  in Item 297 YY of Chapter 890 of the 2011 Acts of the Assembly, which  implements the requirement to review intensive in-home services and community  mental health services for appropriate utilization and cost efficiency. This  regulatory action is essential to curtailing loss of tax dollars through  pervasive provider fraud and questionable practices in community mental health  services. The expiration date of the emergency regulation is extended to January  16, 2013.
    Agency Contact: Brian McCormick, Regulatory Supervisor,  Department of Medical Assistance Services, 600 East Broad Street, Suite 1300,  Richmond, VA 23219, telephone (804) 371-8856, FAX (804) 786-1680, or email  brian.mccormick@dmas.virginia.gov.
    VA.R. Doc. No. R11-2790; Filed July 13, 2012, 2:59 p.m. 
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Extension of Emergency Regulation
    Titles of Regulations: 12VAC30-50. Amount, Duration,  and Scope of Medical and Remedial Care Services (amending 12VAC30-50-130, 12VAC30-50-226).
    12VAC30-60. Standards Established and Methods Used to Assure  High Quality Care (amending 12VAC30-60-61, 12VAC30-60-143).
    12VAC30-130. Amount, Duration and Scope of Selected Services (adding 12VAC30-130-2000). 
    Statutory Authority: § 32.1-325 of the Code of  Virginia.
    Effective Dates: July 18, 2011, through January 16,  2013.
    On July 16, 2012, the Governor approved the Department of  Medical Assistance Services' (DMAS) request to extend the expiration date of  the above-referenced emergency regulation as provided in § 2.2-4011 D of  the Code of Virginia. The emergency regulation was published in 27:24 VA.R.  2608-2628 August 1, 2011 (http://register.dls.virginia.gov/vol27/iss24/v27i24.pdf).  The extension allows DMAS to continue enforcing the legislative mandate set out  in Item 297 YY of Chapter 890 of the 2011 Acts of the Assembly, which  implements the requirement to review intensive in-home services and community  mental health services for appropriate utilization and cost efficiency. This  regulatory action is essential to curtailing loss of tax dollars through  pervasive provider fraud and questionable practices in community mental health  services. The expiration date of the emergency regulation is extended to January  16, 2013.
    Agency Contact: Brian McCormick, Regulatory Supervisor,  Department of Medical Assistance Services, 600 East Broad Street, Suite 1300,  Richmond, VA 23219, telephone (804) 371-8856, FAX (804) 786-1680, or email  brian.mccormick@dmas.virginia.gov.
    VA.R. Doc. No. R11-2790; Filed July 13, 2012, 2:59 p.m. 
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Extension of Emergency Regulation
    Titles of Regulations: 12VAC30-50. Amount, Duration,  and Scope of Medical and Remedial Care Services (amending 12VAC30-50-130, 12VAC30-50-226).
    12VAC30-60. Standards Established and Methods Used to Assure  High Quality Care (amending 12VAC30-60-61, 12VAC30-60-143).
    12VAC30-130. Amount, Duration and Scope of Selected Services (adding 12VAC30-130-2000). 
    Statutory Authority: § 32.1-325 of the Code of  Virginia.
    Effective Dates: July 18, 2011, through January 16,  2013.
    On July 16, 2012, the Governor approved the Department of  Medical Assistance Services' (DMAS) request to extend the expiration date of  the above-referenced emergency regulation as provided in § 2.2-4011 D of  the Code of Virginia. The emergency regulation was published in 27:24 VA.R.  2608-2628 August 1, 2011 (http://register.dls.virginia.gov/vol27/iss24/v27i24.pdf).  The extension allows DMAS to continue enforcing the legislative mandate set out  in Item 297 YY of Chapter 890 of the 2011 Acts of the Assembly, which  implements the requirement to review intensive in-home services and community  mental health services for appropriate utilization and cost efficiency. This  regulatory action is essential to curtailing loss of tax dollars through  pervasive provider fraud and questionable practices in community mental health  services. The expiration date of the emergency regulation is extended to January  16, 2013.
    Agency Contact: Brian McCormick, Regulatory Supervisor,  Department of Medical Assistance Services, 600 East Broad Street, Suite 1300,  Richmond, VA 23219, telephone (804) 371-8856, FAX (804) 786-1680, or email  brian.mccormick@dmas.virginia.gov.
    VA.R. Doc. No. R11-2790; Filed July 13, 2012, 2:59 p.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Withdrawal of Proposed Regulation
    Title of Regulation: 13VAC5-21. Virginia  Certification Standards (amending 13VAC5-21-51). 
    Statutory Authority: § 36-137 of the Code of  Virginia. 
    Notice is hereby given that the Board of Housing and Community  Development has WITHDRAWN the proposed regulation entitled 13VAC5-21, Virginia  Certification Standards, which was published in 27:11 VA.R. 1152-1154 January  31, 2011. The provisions will be reevaluated for the 2012 codes cycle currently  underway.
    Agency Contact: Stephen W. Calhoun, Regulatory  Coordinator, Department of Housing and Community Development, Main Street  Center, 600 East Main Street, Suite 300, Richmond, VA 23219, telephone (804)  371-7000, FAX (804) 371-7090, TTY (804) 371-7089, or email  steve.calhoun@dhcd.virginia.gov.
    VA.R. Doc. No. R09-1897; Filed July 23, 2012, 2:22 p.m. 
TITLE 13. HOUSING
BOARD OF HOUSING AND COMMUNITY DEVELOPMENT
Withdrawal of Proposed Regulation
    Title of Regulation: 13VAC5-95. Virginia Manufactured  Home Safety Regulations (amending 13VAC5-95-10 through 13VAC5-95-60,  13VAC5-95-80, 13VAC5-95-90, 13VAC5-95-100; repealing 13VAC5-95-70). 
    Statutory Authority: § 36-85.7 of the Code of  Virginia.
    Notice is hereby given that the Board of Housing and Community  Development has WITHDRAWN the proposed regulation entitled 13VAC5-95, Virginia  Manufactured Home Safety Regulations, which was published in 27:11 VA.R.  1154-1159 January 31, 2011. The provisions will be reevaluated for the 2012  codes cycle currently underway.
    Agency Contact: Stephen W. Calhoun, Regulatory Coordinator,  Department of Housing and Community Development, Main Street Center, 600 East  Main Street, Suite 300, Richmond, VA 23219, telephone (804) 371-7000, FAX (804)  371-7090, TTY (804) 371-7089, or email steve.calhoun@dhcd.virginia.gov.
    VA.R. Doc. No. R09-1896; Filed July 23, 2012, 2:25 p.m. 
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Final Regulation
        REGISTRAR'S NOTICE: The  Board of Nursing is claiming an exemption from the Administrative Process Act  in accordance with § 2.2-4006 A 4 a of the Code of Virginia, which  excludes regulations that are necessary to conform to changes in Virginia  statutory law where no agency discretion is involved. The Board of Nursing will  receive, consider, and respond to petitions from any interested person at any  time with respect to reconsideration or revision.
         Title of Regulation: 18VAC90-50. Regulations  Governing the Certification of Massage Therapists (amending 18VAC90-50-40). 
    Statutory Authority: § 54.1-2400 of the Code of  Virginia.
    Effective Date: September 12, 2012. 
    Agency Contact: Jay P. Douglas, R.N., Executive  Director, Board of Nursing, 9960 Mayland Drive, Sutie 300, Richmond, VA  23233-1463, telephone (804) 367-4515, FAX (804) 527-4455, or email  jay.douglas@dhp.virginia.gov.
    Summary:
    The amendment adds the Licensing Examination of the  Federation of State Massage Therapy Boards as an acceptable examination for initial  certification and deletes the requirement that an exam acceptable to the board  leads to national certification. The amendments conform the regulation to  changes in the Code of Virginia enacted by Chapter 764 of the 2012 Acts of  Assembly.
    Part II 
  Requirements for Certification 
    18VAC90-50-40. Initial certification. 
    A. An applicant seeking initial certification shall submit a  completed application and required fee and verification of meeting the  requirements of § 54.1-3029 A of the Code of Virginia as follows: 
    1. Is at least 18 years old; 
    2. Has successfully completed a minimum of 500 hours of  training from a massage therapy program certified or approved by the State  Council of Higher Education or an agency in another state, the District of  Columbia or a United States territory that approves educational programs,  notwithstanding the provisions of § 22.1-320 of the Code of Virginia; 
    3. Has passed the National Certification Exam for Therapeutic  Massage and Bodywork, the National Certification Exam for Therapeutic Massage, the  Licensing Examination of the Federation of State Massage Therapy Boards, or  an exam deemed acceptable to the board leading to national certification;  and
    4. Has not committed any acts or omissions that would be  grounds for disciplinary action or denial of certification as set forth in § 54.1-3007 of the Code of Virginia and 18VAC90-50-90. 
    B. No application for certification under provisions of § 54.1-3029 B of the Code of Virginia shall be considered unless submitted prior  to July 1, 1998. 
    C. An applicant who has been licensed or certified in another  country and who, in the opinion of the board, meets the educational  requirements shall take and pass the national certifying examination as  required in subsection A of this section in order to become certified. 
    VA.R. Doc. No. R12-3341; Filed July 25, 2012, 9:05 a.m. 
TITLE 19. PUBLIC SAFETY
DEPARTMENT OF STATE POLICE
Final Regulation
        REGISTRAR'S NOTICE: The  Department of State Police is claiming an exemption from the Administrative  Process Act pursuant to § 2.2-4002 B 6 of the Code of Virginia, which  exempts agency action relating to customary military, navy, or police  functions.
         Title of Regulation: 19VAC30-220. Virginia  Methamphetamine Precursor Information System (adding 19VAC30-220-10, 19VAC30-220-20,  19VAC30-220-30). 
    Statutory Authority: §§ 18.2-265.8 and 18.2-265.12  of the Code of Virginia.
    Effective Date: January 1, 2013. 
    Agency Contact: Lt. Colonel Robert Kemmler, Regulatory  Coordinator, Department of State Police, Bureau of Administrative and Support  Services, P.O. Box 27472, Richmond, VA 23261-7472, telephone (804) 674-4606,  FAX (804) 674-2234, or email robert.kemmler@vsp.virginia.gov.
    Summary: 
    Chapters 160 and 252 of the 2012 Acts of Assembly require  all pharmacies and retailers in the Commonwealth of Virginia that sell  over-the-counter cold and allergy medications containing ephedrine and/or  pseudoephedrine products (PSE) to participate in a statewide, real-time  electronic PSE monitoring program for the purpose of tracking illegal PSE  purchases. The Virginia Methamphetamine Precursor Information System is a  web-accessed database available at no charge to pharmacies and retailers.  Pursuant to the Combat Methamphetamine Epidemic Act of 2005 (CMEA) (Title VII  of Pub. L. 109-177) pharmacies and retailers are currently required to capture  certain data regarding PSE sales. This system enables pharmacies to easily  enter the same PSE sales data currently being gathered online rather than  recording the information into a manual log or in-store computer system. Data  will be stored in a secure, central repository that treats the data collected  as if it were HIPAA data. Furthermore, the collected data will be viewable at  no cost by authorized city, state, and federal law enforcement in keeping with  CMEA, the Code of Virginia, and these regulations.
    CHAPTER 220
  VIRGINIA METHAMPHETAMINE PRECURSOR INFORMATION SYSTEM
    19VAC30-220-10. Purpose and authority.
    Section 18.2-265.8 of the Code of Virginia requires all  pharmacies and retailers in the Commonwealth of Virginia that sell  over-the-counter cold and allergy medications containing ephedrine and/or  pseudoephedrine products (PSE) to participate in a statewide, real-time  electronic PSE monitoring program for the purpose of tracking illegal PSE  purchases. The Virginia Methamphetamine Precursor Information System is a  web-accessed database available at no charge to pharmacies and retailers.  Pursuant to the Combat Methamphetamine Epidemic Act of 2005 (CMEA) (Title VII  of Pub. L. 109-177) pharmacies and retailers are currently required to capture  certain data regarding PSE sales. This system enables pharmacies to easily  enter the same PSE sales data currently being gathered online rather than  recording the information into a manual log or in-store computer system. Data  will be stored in a secure, central repository that treats the data collected  as if it were HIPAA data. Furthermore, the collected data will be viewable (at  no cost) by authorized city, state, and federal law enforcement in keeping with  CMEA, the Code of Virginia, and these regulations.
    19VAC30-220-20. Exemptions from electronic reporting.
    A. Pharmacies are exempt from entering purchase  information into the methamphetamine precursor tracking system when the sale of  products containing ephedrine, pseudoephedrine, or phenylpropanolamine or their  salts or isomers, or salts of isomers is sold pursuant to a prescription  written by a licensed authorized practitioner.
    B. A pharmacy or retail distributor pursuant to § 18.2-265.8 of the Code of Virginia that lacks broadband access or maintains a  sales volume of less than 72 grams of ephedrine or related compounds in a  30-day period may be temporarily exempt from the requirement to report  transactions to the electronic system if an exemption is granted by the  Department of State Police pursuant to § 18.2-265.8 C of the Code of Virginia.
    1. In order to be granted an exemption, a pharmacy or  retail distributor must submit a written request on the Electronic Reporting  Exemption Application provided by the Department of State Police that shall  include the following information:
    a. The reason for the exemption; and
    b. The anticipated duration for which the exemption will be  required.
    2. An exemption from electronic reporting may not exceed  one year.
    3. A retailer may request additional exemptions by submitting  the form defined in subdivision 1 of this subsection at least 30 days before  the current exemption expires. 
    4. For all sales transactions involving the sale or  attempted sale of a restricted product occurring during the period of an  exemption at the time of the sale or attempted sale, the retailer shall record  into a written logbook, the information required under § 18.2-265.8 A 6 of the  Code of Virginia.
    5. The written logbook of each sale or attempted sale shall  be available for inspection by any law-enforcement officer or board inspector  during normal business hours. 
    6. A pharmacy or retail distributor exempt from electronic  reporting shall comply with the provisions of § 18.2-265.10 of the Code of  Virginia unless exempted pursuant to § 18.2-265.11 of the Code of Virginia.
    C. The Department of State Police will respond in writing  to all exemption requests.  The response will contain a determination if  the exemption is granted or denied and either the duration of the exemption or  the reason for denial.
    19VAC30-220-30. Maintenance of and access to retail sales  records of restricted products.
    A. The retail sales records required under §§ 18.2-265.8  and 18.2-265.10 of the Code of Virginia shall be confidential pursuant to § 18.2-265.13  of the Code of Virginia. The department or other law-enforcement agency of the  Commonwealth or any federal agency conducting a criminal investigation  involving the manufacture of methamphetamine consistent with state or federal  law may access data, records, and reports regarding the sale of ephedrine or  related compounds. 
    B. The chief law-enforcement officer of an agency of the  Commonwealth or a federal agency within the Commonwealth seeking access shall  appoint and register an agency administrator with the system.
    C. The chief law-enforcement officer and agency  administrator shall ensure:
    1. Only authorized employees with law enforcement need have  access to the databases.
    2. Each employee shall use only his unique password or  access code to access the databases. Passwords and access codes shall not be  used by other employees.
    3. Each employee shall adhere to all state and federal laws  regarding confidentiality.
    4. Records related to accessing system logs are kept and  retained for a minimum of two years.
    5. Data, records, and reports must be destroyed in a manner  that renders the record unidentifiable and nonretrievable.
    6. The department is to be notified in writing within 30  days from the date when an authorized employee with access to the data,  records, and reports regarding the sale of ephedrine or related compounds  leaves the agency or when their duties no longer require access to the system. 
    D. Failure to strictly comply with the provisions of this  section may result in loss of individual or agency access privileges.
        NOTICE: The following  forms used in administering the regulation were filed by the agency. The forms  are not being published; however, online users of this issue of the Virginia  Register of Regulations may click on the name to access a form. The forms are also  available from the agency contact or may be viewed at the Office of the  Registrar of Regulations, General Assembly Building, 2nd Floor, Richmond,  Virginia 23219.
         FORMS (19VAC30-220)
    Virginia  Methamphetamine Precursor Information System Electronic Reporting Exemption  Instructions and Application (eff. 07/12).
    VA.R. Doc. No. R12-3242; Filed July 24, 2012, 9:51 a.m.