Document ID: EPA-HQ-OAR-2010-0114-0003
Agency: epa
Document Type: Supporting & Related Material
Title: 
Posted Date: 2012-01-13T05:00Z

REVISIONS TO TEST METHODS AND TESTING REGULATIONS
        Redline/Strikeout of Proposed Revisions to Current Rules
                                   September 2011
                                          
      For the reasons stated in the preamble, the Environmental Protection Agency proposes to amend title 40, chapter I of the Code of Federal Regulations as follows:
PART 51  -  REQUIREMENTS FOR PREPARATION, ADOPTION, AND SUBMITTAL OF IMPLEMENTATION PLANS
	1.  The authority citation for part 51 continues to read as follows:
Authority:  42 U.S.C. 7401, et. seq.
	2.  In Appendix M by revising Section 4(a) of the introduction to read as follows: 
Appendix M to Part 51 -- Recommended Test Methods for State Implementation Plans
	4. * * * 
	a. The source owner, operator, or representative of the tested facility shall obtain an audit sample, if commercially available, from an AASP for each test method used for regulatory compliance purposes. No audit samples are required for the following test methods: Methods 3A and 3C of Appendix A-3 of Part 60, Methods 6C, 7E, 9, and 10 of Appendix A-4 of Part 60, Methods  18 and 19 of Appendix A-6 of Part 60, Methods 20, 22, and 25A of Appendix A-7 of Part 60, and Methods 303, 318, 320, and 321 of Appendix A of Part 63. If multiple sources at a single facility are tested during a compliance test event, only one audit sample is required for each method used during a compliance test. The compliance authority responsible for the compliance test may waive the requirement to include an audit sample if they believe that an audit sample is not necessary. "Commercially available" means that two or more independent AASPs have blind audit samples available for purchase. If the source owner, operator, or representative cannot find an audit sample for a specific method, the owner, operator, or representative shall consult the EPA Web site at the following URL, http://www.epa.gov/ttn/emc, to confirm whether there is a source that can supply an audit sample for that method. If the EPA Web site does not list an available audit sample at least 60 days prior to the beginning of the compliance test, the source owner, operator, or representative shall not be required to include an audit sample as part of the quality assurance program for the compliance test. When ordering an audit sample, the source owner, operator, or representative shall give the sample provider an estimate for the concentration of each pollutant that is emitted by the source or the estimated concentration of each pollutant based on the permitted level and the name, address, and phone number of the compliance authority. The source owner, operator, or representative shall report the results for the audit sample along with a summary of the emission test results for the audited pollutant to the compliance authority and shall report the results of the audit sample to the AASP. The source owner, operator, or representative shall make both reports at the same time and in the same manner or shall report to the compliance authority first and report to the AASP. If the method being audited is a method that allows the samples to be analyzed in the field and the tester plans to analyze the samples in the field, the tester may analyze the audit samples prior to collecting the emission samples provided a representative of the compliance authority is present at the testing site. The tester may request and the compliance authority may grant a waiver to the requirement that a representative of the compliance authority must be present at the testing site during the field analysis of an audit sample. The source owner, operator, or representative may report the results of the audit sample to the compliance authority and then report the results of the audit sample to the AASP prior to collecting any emission samples. The test protocol and final test report shall document whether an audit sample was ordered and utilized and the pass/fail results as applicable.
* * * * *
	3.  In Method 201A of Appendix M by revising Sections 8.3.4(b), 8.3.4.1, 8.7.2.2, 8.7.5.5(a), the introductory paragraph of Section 10.1, Section 11.2.1, Equation 9 in Section 12.5, and by deleting Section 10.5 and the term "Vb" and its definition from Section 12.1 to read as follows:
Method 201A  --  Determination of PM10 and PM2.5 Emissions from Stationary Sources (Constant Sampling Rate Procedure)
* * * * *
	8.3.4  * * * 
      (b) The appropriate nozzle to maintain the required gas sampling rate for the velocity pressure range and isokinetic range. If the isokinetic range cannot be met (e.g., batch processes, extreme process flow or temperature variation), void the sample or use methods subject to the approval of the Administrator to correct the data. The acceptable variation from isokinetic sampling is 80 to 120 percent and no more than 100 +- 21  percent (2  out of 12 or 5  out of 24) sampling points outside of this criteria.
* * * * *
      8.3.4.1   Preliminary traverse. You must use an S-type pitot tube with a conventional thermocouple to conduct the traverse. Conduct the preliminary traverse as close as possible to the anticipated testing time on sources that are subject to hour-by-hour gas flow rate variations of approximately +- 20 percent and/or gas temperature variations of approximately +- 10 °C (+- 18 °F). (Note: You should be aware that these variations can cause errors in the cyclone cut diameters and the isokinetic sampling velocities.)
* * * * *
      8.7.2.2   Probe blockage factor. You must use Equation 26 to calculate an average probe blockage correction factor (bf) if the diameter of your stack or duct is between 25.7 and 36.4 inches for the combined PM2.5/PM10 sampling head and pitot and between 18.8 and 26.5 inches for the PM2.5 cyclone and pitot. A probe blockage factor is calculated because of the flow blockage caused by the relatively large cross-sectional area of the cyclone sampling head, as discussed in Section 8.3.2.2 and illustrated in Figures 8 and 9 of Section 17. You must determine the cross-sectional area of the cyclone head you use and determine its stack blockage factor. (Note: Commercially-available sampling heads (including the PM10 cyclone, PM2.5 cyclone, pitot and filter holder) have a projected area of approximately 31.2 square inches when oriented into the gas stream. As the probe is moved from the outermost  to the innermost  point, the amount of blockage that actually occurs ranges from approximately 13 square inches to the full 31.2 inches plus the blockage caused by the probe extension. The average cross-sectional area blocked is 22 square inches.
* * * * *
      8.7.5.5   * * *
      (a) Container #1, Less than or equal to PM 2.5 micrometer filterable particulate. Use tweezers and/or clean disposable surgical gloves to remove the filter from the filter holder. Place the filter in the Petri dish that you labeled with the test identification and Container #1. Using a dry brush and/or a sharp-edged blade, carefully transfer any PM and/or filter fibers that adhere to the filter holder gasket or filter support screen to the Petri dish. Seal the container. This container holds particles less than or equal to 2.5 micrometers that are caught on the in-stack filter. (Note: If the test is conducted for PM10 only, then Container #1 would be for less than or equal to PM10  micrometer filterable particulate.)
* * * * *
      10.1  Gas Flow Velocities. You must use an S-type pitot tube that meets the required EPA specifications (EPA Publication 600/4 - 77 - 0217b) during these velocity measurements. (Note:If, as specified in Section 8.7.2.3, testing is performed in stacks less than 26.5 inches in diameter, testers may use a standard pitot tube according to the requirements in Method 1  or 2  of appendix A - 3 to part 60.) You must also complete the following:
* * * * *
      
* * * * *
      11.2.1  Container #1, Less than or Equal to PM2.5 Micrometer Filterable Particulate. Transfer the filter and any loose particulate from the sample container to a tared weighing dish or pan that is inert to solvent or mineral acids. Desiccate for 24 hours in a desiccators  containing anhydrous calcium sulfate. Weigh to a constant weight and report the results to the nearest 0.1 mg. (See Section 3.0 for a definition of constant weight.) If constant weight requirements cannot be met, data should be reported and flagged as a minimum value. (Note: Regardless of the stack temperature, you are not required to speciate the Method 201A nozzle, front half or in-stack filter sample into organic and inorganic fractions. Neither Method 17 nor 201A require separate analysis of the filter for inorganic and organic PM. Since the in-stack filter samples collected at <= 30C (85 F) may include both filterable insoluble particulate and condensable particulate, the filter should be weighed after desiccation but not extracted since insoluble particulate will not be recovered from the extraction.) 
--------------------------------------------------------------------------------
* * * * *
--------------------------------------------------------------------------------
	
      
--------------------------------------------------------------------------------

--------------------------------------------------------------------------------
	12.5 * * *
For Nre greater   than or equal to 3,162:
		(Eq. 9) 
--------------------------------------------------------------------------------

--------------------------------------------------------------------------------
* * * * *
      4.  In Method 202 of Appendix M by revising the introductory paragraph in Section 8.5.3.1, Section 11.2.2, and Figures 2, 3, 4, 5, and 6 in Section 18.0 to read as follows:
Method 202  --  Determination of PM10 and PM2.5 Emissions from Stationary Sources (Constant Sampling Rate Procedure)
* * * * *
      8.5.3.1  If you choose to conduct a pressurized nitrogen purge on the complete CPM sampling train, you may  quantitatively transfer the water collected in the condenser and the water dropout impinger to the backup impinger as an alternative to replacing the short stem impinger insert with a long stem insert prior to purging the sampling train. You must measure the water combined in the backup impinger and record the volume or weight as part of the moisture collected during sampling as specified in Section 8.5.3.4.
* * * * *   
      11.2.2  CPM Container #1, Aqueous Liquid Impinger Contents. Analyze the water soluble CPM in Container #1 as described in this section. Place the contents of Container #1 into a separatory funnel. Add approximately 30 ml of hexane to the funnel, mix well, and pour  off the upper  organic phase. Repeat this procedure twice with 30 ml of hexane each time combining the organic phase from each extraction. Each time, leave a small amount of the organic/hexane phase in the separatory funnel, ensuring that no water is collected in the organic phase. This extraction should yield about 90 ml of organic extract. Combine the organic extract from Container #1 with the organic train rinse in Container #2.

         Figure 2.  Nitrogen Purge Train Configuration (Vacuum Purge)
No check valve after impingers; Extended stem in first impinger; Condensed moisture and sample impingers identified

      Figure 3.  Nitrogen Purge Train Configuration (Pressure Purge) 

                        Extended stem in first impinger

* * * * *
      
      
  Figure 4 -- Field Train Recovery Blank Condensable Particulate Calculations
        Field Train Recovery Blank Condensable Particulate Calculations
                                       
Plant
Date

Blank No.

CPM Filter No.

Water volume added to purge train (Vp)

                          Field Reagent Blank Mass[a]
                                                                             ml
Water (Section 11.2.7)
                                                                               
Acetone (Section 11.2.6)
                                                                             mg
Hexane (Section 11.2.8)
                                                                             mg
                        Field Train Recovery Blank Mass
                                                                             mg
Mass of Organic CPM (m ob) (Section 11.2.3)
                                                                               
Mass of Inorganic CPM (mib) (Equation 3)
                                                                             mg
Mass of the Field Train Recovery Blank (not to exceed 2.0 mg) (Equation 2)
                                                                             mg

                                                                             mg
[a]Field reagent blanks are optional and intended to provide the testing contractor with information they can use to implement corrective actions, if necessary, to reduce the residual mass contribution from reagents used in the field. Field reagent blanks are not used to correct the CPM measurement results.
                     Table reprinted for improved clarity

                                       
       Figure 5 -- Other Field Train Sample Condensable Particulate Data
             Other Field Train Sample Condensable Particulate Data
Plant

Date

Run No.

CPM Filter No.

Water volume added to purge train (max 50 ml) (Vp)
                                                                             ml
Date
                                                                               
Run No.
                                                                               
CPM Filter No.
                                                                               
Water volume added to purge train (max 50 ml) (Vp)
                                                                             ml
Date
                                                                               
Run No.
                                                                               
CPM Filter No.
                                                                               
Water volume added to purge train (max 50 ml) (Vp)
                                                                             ml
                                       
                     Table reprinted for improved clarity
                                       

                                       
                           Figure 6 -- CPM Work Table
Calculations for Recovery of Condensable PM (CPM)
Plant
Date
Run No.
Sample Preparation -- CPM Containers No. 1 and 2 (Section 11.1):
Was significant volume of water lost during transport? Yes or No
If Yes, measure the volume received
Estimate the volume lost during transport                                          ml
Plant
Date
Run No.
Was significant volume of organic rinse lost during transport? Yes or No
If Yes, measure the volume received
Estimate the volume lost during transport.                                         ml
For Titration:
Normality of NH4OH (N) (Section 10.2)                                               N
Volume of titrant (Vt) (Section 11.2.2.2)                                          ml
Mass of NH4 added (mc) (Equation 1)                                                mg
For CPM Blank Weights:
Inorganic Field Train Recovery Blank Mass(mib) (Section 9.9)                       mg      
Organic Field Train Recovery Blank Mass (mob) (Section 9.9)                        mg
Mass of Field Train Recovery Blank (Mfb) (max. 2 mg) (Equation 2)                  mg
For CPM Train Weights:
Mass of Organic CPM (mo) (Section 11.2.3)                                          mg
Mass of Inorganic CPM (mi) (Equation 3)                                            mg          
Total CPM Mass (mcpm) (Equation 4)                                                 mg

                     Table reprinted for improved clarity

Part 60  -  STANDARDS OF PERFORMANCE FOR NEW STATIONARY SOURCES
               1.  The authority citation for part 60 continues to read as follows:
Authority:  42 U.S.C. 7401, et. seq.
§60.8  [Amended]
      2.  By revising §60.8(g)(1) and adding new paragraphs (h) and (i) to read as follows:
§60.8  Performance tests.
* * * * *
	(g)  * * *
	(1) The source owner, operator, or representative of the tested facility shall obtain an audit sample, if commercially available, from an AASP for each test method used for regulatory compliance purposes. No audit samples are required for the following test methods: Methods 3A and 3C of Appendix A-3 of Part 60, Methods 6C, 7E, 9, and 10 of Appendix A-4 of Part 60, Methods  18 and 19 of Appendix A-6 of Part 60, Methods 20, 22, and 25A of Appendix A-7 of Part 60, and Methods 303, 318, 320, and 321 of Appendix A of Part 63. If multiple sources at a single facility are tested during a compliance test event, only one audit sample is required for each method used during a compliance test. The compliance authority responsible for the compliance test may waive the requirement to include an audit sample if they believe that an audit sample is not necessary. "Commercially available" means that two or more independent AASPs have blind audit samples available for purchase. If the source owner, operator, or representative cannot find an audit sample for a specific method, the owner, operator, or representative shall consult the EPA web  site at the following URL, www.epa.gov/ttn/emc, to confirm whether there is a source that can supply an audit sample for that method. If the EPA web  site does not list an available audit sample at least 60 days prior to the beginning of the compliance test, the source owner, operator, or representative shall not be required to include an audit sample as part of the quality assurance program for the compliance test. When ordering an audit sample, the source owner, operator, or representative shall give the sample provider an estimate for the concentration of each pollutant that is emitted by the source or the estimated concentration of each pollutant based on the permitted level and the name, address, and phone number of the compliance authority. The source owner, operator, or representative shall report the results for the audit sample along with a summary of the emission test results for the audited pollutant to the compliance authority and shall report the results of the audit sample to the AASP. The source owner, operator, or representative shall make both reports at the same time and in the same manner or shall report to the compliance authority first and then report to the AASP. If the method being audited is a method that allows the samples to be analyzed in the field and the tester plans to analyze the samples in the field, the tester may analyze the audit samples prior to collecting the emission samples provided a representative of the compliance authority is present at the testing site. The tester may request, and the compliance authority may grant, a waiver to the requirement that a representative of the compliance authority must be present at the testing site during the field analysis of an audit sample. The source owner, operator, or representative may report the results of the audit sample to the compliance authority and report the results of the audit sample to the AASP prior to collecting any emission samples. The test protocol and final test report shall document whether an audit sample was ordered and utilized and the pass/fail results as applicable.
* * * * *
      (h)  Unless otherwise specified in the applicable subpart, each test location must be verified to be free of cyclonic flow and evaluated for the existence of emission gas stratification and the required number of sampling traverse points. If other procedures are not specified in the applicable subpart to the regulations, use the appropriate procedures in Method 1 to check for cyclonic flow and Method 7E to evaluate emission gas stratification and selection of sampling points.  
      (i)  Whenever the use of multiple calibration gases is required by a test method, performance specification, or quality assurance procedure in a part 60 standard or appendix, Method 205 of 40 CFR Part 51, Appendix M, "Verification of Gas Dilution Systems for Field Instrument Calibrations," may be used.
* * * * *
§60.13  [Amended]
      3.  By revising §60.13(d)(1) as follows: 
§60.13   Monitoring requirements.
* * * * *
      (d)(1) Owners and operators of a CEMS installed in accordance with the provisions of this part, must check the zero (or low level value between 0 and 20 percent of span value) and span (50 to 100 percent of span value) calibration drifts at least once daily in accordance with a written procedure. The zero and span must, at  a minimum, be adjusted whenever either the 24-hour zero drift or the 24-hour span drift exceeds two times the limit of the applicable performance specification in Appendix  B of this part. The system must allow the amount of the excess zero and span drift to be recorded and quantified whenever specified. Owners and operators of a COMS installed in accordance with the provisions of this part must check the zero and upscale (span) calibration drifts at least once daily. For a particular COMS, the acceptable range of zero and upscale calibration materials is defined in the applicable version of PS - 1 in Appendix  B of this part. For a COMS, the optical surfaces, exposed to the effluent gases, must be cleaned before performing the zero and upscale drift adjustments, except for systems using automatic zero adjustments. The optical surfaces must be cleaned when the cumulative automatic zero compensation exceeds 4 percent opacity.
* * * * *
§60.17  [Amended]
      4.  By revising §60.17(e) and (e)(1) as follows:
§60.17   Incorporations by reference.
* * * * *
      (e) The following material is available for purchase from the Water Environment  Federation, 2626 Pennsylvania Avenue N.W ., Washington, DC 20037.
      (1) Method 209A, Total Residue Dried at 103 - 105 °C, in Standard Methods for the Examination of Water and Wastewater, 20[th]  Edition, 1999 , IBR approved February 25, 1985, for §60.683(b).
* * * * *
§60.46b  [Amended]
      5.  By revising §60.46b (f)(1)(ii) and (h)(1) and (2) as follows:
§60.46b Compliance and performance test methods and procedures for particulate matter and nitrogen oxides.
* * * * *
      (f)* * * 
      (1)* * * 
      (ii) Method 7E of Appendix  A of this part or Method 320 of Appendix A of Part 63 shall be used to determine the NOX concentrations. Method 3A or 3B of Appendix  A of this part shall be used to determine O2 concentration.
* * * * *
      (h)* * * 
      (1) Conduct an initial performance test as required under §60.8 over a minimum of 24 consecutive steam generating unit operating hours at maximum heat input capacity to demonstrate compliance with the NOX emission standards under §60.44b using Method 7, 7A, or 7E of Appendix  A of this part, Method 320 of Appendix A of Part 63, or other approved reference methods; and
      (2) Conduct subsequent performance tests once per calendar year or every 400 hours of operation (whichever comes first) to demonstrate compliance with the NOX emission standards under §60.44b over a minimum of 3 consecutive steam generating unit operating hours at maximum heat input capacity using Method 7, 7A, or 7E of Appendix  A of this part, Method 320 of Appendix A of Part 63, or other approved reference methods.
* * * * *
§60.47b  [Amended]
	6.  By revising §60.47b(b)(2)as follows:
§60.47b Emission monitoring for sulfur dioxide.
* * * * *
      (b)* * * 
      (2) Measuring SO2 according to Method 6B of Appendix  A of this part at the inlet or outlet to the SO2 control system. An initial stratification test is required to verify the adequacy of the sampling location for Method 6B of Appendix  A of this part. The stratification test shall consist of three paired runs of a suitable SO2 and CO2 measurement train operated at the candidate location and a second similar train operated according to the procedures in Section  3.2 and the applicable procedures in Section  7 of Performance Specification 2. Method 6B of Appendix A of this part, Method 6A of Appendix  A of this part, or a combination of Methods 6 and 3 or 3B of Appendix  A of this part or Methods 6C or Method 320 of Appendix A of Part 63 and 3A of Appendix  A of this part are suitable measurement techniques. If Method 6B of Appendix  A of this part is used for the second train, sampling time and timer operation may be adjusted for the stratification test as long as an adequate sample volume is collected; however, both sampling trains are to be operated similarly. For the location to be adequate for Method 6B of Appendix  A of this part, 24-hour tests, the mean of the absolute difference between the three paired runs must be less than 10 percent.
* * * * *
§60.51c  [Amended]
      7.  By revising the definition of medical/infectious waste in §60.51c as follows:
§ 60.51c   Definitions.
* * * 
      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 are  listed in paragraphs (1) through (7) of this definition. The definition of medical/infectious waste does not include hazardous waste identified or listed under the regulations in part 261 of this chapter; household waste, as defined in §261.4(b)(1) of this chapter; 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 §261.4(a)(1) of this chapter.
* * * * *
§60.84  [Amended]
      8. By revising the equation in §60.84(d) as follows:
§60.84  Emission monitoring.
* * * * *
	(d) * * *
	Es = (Cs S)/[0.265 - (0.0126 %O2) - (A %CO2)]
* * * * *
§60.154  [Amended]
	9.  By revising §60.154(b)(5) as follows:
§60.154   Test methods and procedures.
* * * * *
      (b) * * * 
      (5) Samples of the sludge charged to the incinerator shall be collected in nonporous jars at the beginning of each run and at approximately 1-hour intervals thereafter until the test ends; and "2540 G. Total, Fixed, and Volatile Solids in Solid and Semisolid Samples, in Standard Methods for the Examination of Water and Wastewater, 20th Edition, 1998" (incorporated by reference -- see §60.17) shall be used to determine dry sludge content of each sample (total solids residue), except that:
* * * * *
§60.284  [Amended]
         10.  By revising the equation in §60.284(c)(3) as follows: 
§ 60.284   Monitoring of emissions and operations.
* * * * *
      (c)* * * 
      (3)* * * 
      C corr= C measx(21− X)/(21− Y )
* * * * *
§60.335  [Amended]
         11. By revising two terms for the equation in paragraph §60.335(b)(1) as follows:
§60.335   Test methods and procedures.
* * * * *
      (b)* * * 
      (1)* * * 
      Pr= reference combustor inlet absolute pressure at 101.3 kilopascals ambient pressure. Alternatively, you may use 760 mm Hg (29.92 in Hg),
      Po= observed combustor inlet absolute pressure at test, mm Hg.  Alternatively, you may use the barometric pressure for the date of the test,
* * * * * 
§60.374  [Amended]
         12. By revising §60.374(b)(1), (b)(2), and (c)(2) as follows:
§ 60.374   Test methods and procedures.
* * * * *
      (b) * * * 
      (1) Method 12 or Method 29 shall be used to determine the lead concentration (CPb) and, if applicable, the volumetric flow rate (Qsda) of the effluent gas. The sampling time and sample volume for each run shall be at least 60 minutes and 0.85 dscm (30 dscf).
      (2) When different operations in a three-process operation facility are ducted to separate control devices, the lead emission concentration (C) from the facility shall be determined as follows:

Where:

	C   = concentration of lead emissions for the entire facility,mg/dscm (gr/dscf).
      Ca   = concentration of lead emissions from facility "a", mg/dscm (gr/dscf).
      Qsda = volumetric flow rate of effluent gas from facility "a", dscm/hr (dscf/hr).
      N   = total number of control devices to which separate operations in the facility are ducted.
* * * * *
      (c)* * * 
      (2) Method 12 or Method 29 shall be used to determine the lead concentration (CPb) and the volumetric flow rate (Qsd) of the effluent gas. The sampling time and sample volume for each run shall be at least 60 minutes and 0.85 dscm (30 dscf).
* * * * *
§60.382  [Amended]
         13. By revising paragraph 60.382(a)(1) as follows:
§ 60.382  Standard for particulate matter.
* * * * *
      (a)* * * 
      (1) Contain particulate matter in excess of 0.05 grams per dry standard cubic meter (0.05  g/dscm).
* * * * *
§60.386  [Amended]
	14.  By revising paragraph 60.386(b)(2) as follows:
§60.386  Test methods and procedures.
* * * * *
	(b)  * * *
	(2) Method 9 and the procedures in §60.11 shall be used to determine opacity from stack emissions and process fugitive emissions. The observer shall read opacity only when emissions are clearly identified as emanating solely from the affected facility being observed. A single visible emission observer may conduct visible emission observations for up to three fugitive, stack, or vent emission points within a 15-second interval. This option is subject to the following limitations:
	(i)  No more than three emission points are read concurrently;
	(ii)  All three emission points must be within a 70º viewing sector or angle in front of the observer such that the proper sun position can be maintained for all three points; and
	(iii)  If an opacity reading for any one of the three emission points is within 5 percent opacity of the application standard, then the observer must stop taking readings for the other two points and continue reading just that single point.
* * * * *
§60.472  [Amended]
         15. By revising §60.472(a)(1)(ii) as follows:
§ 60.472   Standards for particulate matter.
* * * * *
      (a) * * * 
      (1) * * * 
      (ii) 0.4 kg/Mg (0.8 lb/ton) of saturated felt or smooth-surfaced roll roofing produced;
* * * * *
§60.660  [Amended]
         16. By revising §60.660(c)(4) as follows:
§ 60.660   Applicability and designation of affected facility.
* * * * *
      (c) * * * 
      (4) Each affected facility that has a total resource effectiveness (TRE) index value greater than 8.0 is exempt from all provisions of this subpart except for §§60.662; 60.664 (e), (f), and (g); and 60.665 (h) and (l).
* * * * *
§60.665  [Amended]
         17. By revising §60.665(h)(2) and (3) as follows:
§ 60.665   Reporting and recordkeeping requirements.
* * * * *
      (h) * * * 
      (2) Any recalculation of the TRE index value performed pursuant to §60.664(g); and
      (3) The results of any performance test performed pursuant to the methods and procedures required by §60.664(e).
* * * * *
	18.  By revising Table 7 in the appendix to Subpart IIII as follows: 
Subpart IIII  --  Standards of Performance for Stationary Compression Ignition Internal Combustion Engines
* * * * *

Table 7 to Subpart IIII of Part 60 -- Requirements for Performance Tests for Stationary CI ICE With a Displacement of >=30 Liters per Cylinder
[As stated in §60.4213, you must comply with the following requirements for performance tests for stationary CI ICE with a displacement of >=30 liters per cylinder:]
                                     Each
                       Complying with the
requirement to
                                   You must
                                     Using
                    According to the following requirements
1. Stationary CI internal combustion engine with a displacement of >=30 liters per cylinder
a. Reduce NOX emissions by 90 percent or more
i. Measure NOX at the centroid of the exhaust at the inlet and outlet of the control device; 
(1) Method 7E of 40 CFR part 60, Appendix A, Method 320 of 40 CFR part 63, appendix A, or ASTM D 6348 - 03 (incorporated by reference, see §60.17)
(a) NOX concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.
  

ii. Measure O2 at the inlet and outlet of the control device; and,
(2) Method 3, 3A, or 3B of 40 CFR Part  60, Appendix  A
(b) Measurements to determine O2 concentration must be made at the same time as the measurements for NOX concentration.
  

iii. If necessary, measure moisture content at the inlet and outlet of the control device.
(3) Method 4 of 40 CFR Part  60, Appendix  A, Method 320 of 40 CFR Part  63, Appendix  A, or ASTM D 6348 - 03 (incorporated by reference, see §60.17)
(c) Measurements to determine moisture content must be made at the same time as the measurements for NOX concentration.
  
b. Limit the concentration of NOX in the stationary CI internal combustion engine exhaust.
i. Measure NOX  at the centroid of the exhaust of the stationary internal combustion engine;
(1) Method 7E of 40 CFR Part 60, Appendix  A, Method 320 of 40 CFR Part  63, Appendix  A, or ASTM D 6348 - 03 (incorporated by reference, see §60.17)
(a) If using a control device, the sampling site must be located at the outlet of the control device.  NOX concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.

  

ii. Determine the O2concentration of the stationary internal combustion engine exhaust at the sampling port location; and,
(2) Method 3, 3A, or 3B of 40 CFR Part  60, Appendix  A
(b) Measurements to determine O2 concentration must be made at the same time as the measurement for NOX concentration.
  

iii. If necessary, measure moisture content of the stationary internal combustion engine exhaust at the sampling port location.
(3) Method 4 of 40 CFR Part  60, Appendix  A, Method 320 of 40 CFR Part  63, Appendix  A, or ASTM D 6348 - 03 (incorporated by reference, see §60.17)
(c) Measurements to determine moisture content must be made at the same time as the measurement for NOX concentration.

  
c. Reduce PM emissions by 60 percent or more
i. Select the sampling port location and the number of traverse points;
(1) Method 1 or 1A of 40 CFR Part  60, Appendix  A
(a) Sampling sites must be located at the inlet and outlet of the control device.
  

ii. Measure O2 at the inlet and outlet of the control device;
(2) Method 3, 3A, or 3B of 40 CFR Part  60, Appendix  A
(b) Measurements to determine O2 concentration must be made at the same time as the measurements for PM concentration.
  

iii. If necessary, measure moisture content at the inlet and outlet of the control device; and
(3) Method 4 of 40 CFR Part  60, Appendix  A
(c) Measurements to determine and moisture content must be made at the same time as the measurements for PM concentration.
  

iv. Measure PM at the inlet and outlet of the control device
(4) Method 5 of 40 CFR Part  60, appendix A
(d) PM concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.
  
d. Limit the concentration of PM in the stationary CI internal combustion engine exhaust
i. Select the sampling port location and the number of traverse points;
(1) Method 1 or 1A of 40 CFR Part 60, Appendix  A
(a) If using a control device, the sampling site must be located at the outlet of the control device.
  

ii. Determine the O2 concentration of the stationary internal combustion engine exhaust at the sampling port location; and
(2) Method 3, 3A, or 3B of 40 CFR Part  60, Appendix  A
(b) Measurements to determine O2 concentration must be made at the same time as the measurements for PM concentration.
  

iii. If necessary, measure moisture content of the stationary internal combustion engine exhaust at the sampling port location; 
(3) Method 4 of 40 CFR Part  60, Appendix  A
(c) Measurements to determine moisture content must be made at the same time as the measurements for PM concentration.
  

iv. Measure PM at the exhaust of the stationary internal combustion engine.
(4) Method 5 of 40 CFR Part  60, Appendix  A
(d) PM concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.

19.  By revising Table 2 in the appendix to Subpart JJJJ as follows: 
Subpart JJJJ -- Standards of Performance for Stationary Spark Ignition Internal Combustion Engines
* * * * *

Table 2 to Subpart JJJJ of Part 60 -- Requirements for Performance Tests
[As stated in §60.4244, you must comply with the following requirements for performance tests within 10 percent of 100 percent peak (or the highest achievable) load]
                                   For each
                       Complying with the
requirement to
                                   You must
                                     Using
                    According to the following requirements
1. Stationary SI internal combustion engine demonstrating compliance according to §60.4244.
a. limit the concentration of NOX  in the stationary SI internal combustion engine exhaust.
i. Measure NOX at the centroid of the exhaust of the stationary internal combustion engine;
(1) Method 7E of 40 CFR Part  60, Appendix  A, Method D6522 - 00(2005)[a], Method 320 of 40 CFR Part 63, Appendix A, or ASTM D6348 - 03 (incorporated by reference, see §60.17).
(a) If using a control device, the sampling site must be located at the outlet of the control device. Results of this test consist of the average of the three 1-hour or longer runs.
  

ii. Determine the O2 concentration of the stationary internal combustion engine exhaust;
(2) Method 3, 3A, or 3B[b]of 40 CFR Part 60, Appendix A or ASTM Method D6522 - 00(2005)[a] 
(b) Measurements to determine O2 concentration must be made at the same time as the measurements for NOX concentration.
  

iii. Determine the exhaust flow rate of the stationary internal
combustion engine exhaust; and
(3) Method 2 or 19 of 40 CFR Part 60.

  

iv. If necessary, measure moisture content of the stationary internal combustion engine exhaust at the sampling port location.
(4) Method 4 of 40 CFR Part 60, Appendix A, Method 320 of 40 CFR Part 63, Appendix A, or ASTM D6348 - 03 (incorporated by reference, see §60.17).
(c) Measurements to determine moisture must be made at the same time as the measurement for NOX concentration.
  
b. limit the concentration of CO in the stationary SI internal combustion engine exhaust.
 i. Sample for CO at the centroid of the stack of the stationary internal combustion engine;
. (1) Method 10 of 40 CFR Part 60, Appendix A, ASTM Method D6522 - 00(2005)[a], Method 320 of 40 CFR Part 63, Appendix A, or ASTM D 6348 - 03 (incorporated by reference, see §60.17).
(a) If using a control device, the sampling site must be located at the outlet of the control device. Results of this test consist of the average of the three 1-hour or longer runs.

  

ii. Determine the O2concentration of the stationary internal combustion engine exhaust at the sampling port location;
. (2) Method 3, 3A, or 3Bb of 40 CFR Part 60, Appendix A or ASTM Method D6522 - 00(2005)[a].
(b) Measurements to determine O2concentration must be made at the same time as the measurements for CO concentration.
  

iii. Determine the exhaust flow rate of the stationary internal combustion engine exhaust; and,
(3) Method 2 or 19 of 40 CFR Part 60.

  

iv. If necessary, measure moisture content of the stationary internal combustion engine exhaust at the sampling port location.
. (4) Method 4 of 40 CFR Part 60, Appendix A, Method 320 of 40 CFR Part 63, Appendix A, or ASTM D6348 - 03 (incorporated by reference, see §60.17).
(c) Measurements to determine moisture must be made at the same time as the measurement for CO concentration.
  
c. limit the concentration of VOC in the stationary SI internal combustion engine exhaust.
i. Measure VOC at the centroid of the exhaust of the stationary internal combustion engine;
. (1) Methods 25A and 18 of 40 CFR Part 60, Appendix A, Method 25A with the use of a methane cutter as described in 40 CFR 1065.265, Method 18 or 40 CFR Part 60, Appendix A, [cd]Method 320 of 40 CFR part 63, Appendix A, or ASTM D6348 - 03 (incorporated by reference, see §60.17).
(a) If using a control device, the sampling site must be located at the outlet of the control device. Results of this test consist of the average of the three 1-hour or longer runs.

  

ii. Determine the O2concentration of the stationary internal combustion engine exhaust at the sampling port location;
. (2) Method 3, 3A, or 3B[b]of 40 CFR Part 60, Appendix A or ASTM Method D6522 - 00(2005)[a].
(b) Measurements to determine O2 concentration must be made at the same time as the measurements for VOC concentration.
  

iii. Determine the exhaust flow rate of the stationary internal combustion engine exhaust; and
(3) Method 2 or 19 of 40 CFR part 60.

  

iv. If necessary, measure moisture content of the stationary internal combustion engine exhaust at the sampling port location.
. (4) Method 4 of 40 CFR Part 60, Appendix A, Method 320 of 40 CFR Part 63, Appendix A, or ASTM D6348 - 03 (incorporated by reference, see §60.17).
(c) Measurements to determine moisture must be made at the same time as the measurement for VOC concentration

[a]ASTM D6522 - 00 is incorporated by reference; see 40 CFR 60.17. Also, you may petition the Administrator for approval to use alternative methods for portable analyzer.
[b]You may use ASME PTC 19.10 - 1981, Flue and Exhaust Gas Analyses, for measuring the O2content of the exhaust gas as an alternative to EPA Method 3B.
[c]You may use EPA Method 18 of 40 CFR part 60, appendix A, provided that you conduct an adequate presurvey test prior to the emissions test, such as the one described in OTM 11 on EPA's Web site ( http://www.epa.gov/ttn/emc/prelim/otm11.pdf ).
[d]You may use ASTM D6420 - 99 (2004), Test Method for Determination of Gaseous Organic Compounds by Direct Interface Gas Chromatography/Mass Spectrometry as an alternative to EPA Method 18 for measuring total nonmethane organic.

* * * * *
	20.  In Method 1 of Appendix A-1 by revising Sections 11.2.2, 11.4.1, and Figures 1-1 and 1-2 as follows:
Method 1  -  Sample and Velocity Traverses from Stationary Sources

* * * * *
	11.2.2  Velocity and Gaseous (Non-Particulate) Traverses.
Perform a stratification test to determine the appropriate number of sample traverse points. If testing for multiple pollutants or diluents at  the same site, a stratification test using only one pollutant or diluent satisfies this requirement. A stratification test is not required for small stacks  that are less than 4 inches in diameter. When the 8- and 2-diameter criterion can be met, the minimum number of traverse points for the stratification test will be 12. Test for stratification using a probe of appropriate length to measure the gas concentration at the required traverse points located according to Table 1 - 2. Alternatively (if the 8- and 2-diameter criterion is met), you may measure the gas concentration at three points on a line passing through the centroidal area. Space the three points at 16.7, 50.0, and 83.3 percent of the measurement line. Sample for a minimum of twice the system response time at each traverse point. Calculate the individual point and mean concentrations. If the concentration at each traverse point differs from the mean concentration for all traverse points by no more than: (a) +- 5.0 percent of the mean concentration; or (b) +- 0.5 ppm (whichever is less restrictive), the gas stream is considered unstratified and you may collect samples from a single point that most closely matches the mean. If the 5.0 percent or 0.5 ppm criterion is not met, but the concentration at each traverse point differs from the mean concentration for all traverse points by no more than: (a) +- 10.0 percent of the mean; or (b) +- 1.0 ppm (whichever is less restrictive), the gas stream is considered to be minimally stratified, and you may take samples from three points. Space the three points at 16.7, 50.0, and 83.3 percent of the measurement line. Alternatively, if a 12-point stratification test was performed and the emissions were shown to be minimally stratified (all points within +- 10.0 percent of their mean or within +- 1.0 ppm), and if the stack diameter (or equivalent diameter, for a rectangular stack or duct) is greater than 2.4 meters (7.8 ft), then you may use 3-point sampling and locate the three points along the measurement line exhibiting the highest average concentration during the stratification test at 0.4, 1.0 and 2.0 meters from the stack or duct wall. If the gas stream is found to be stratified because the 10.0 percent or 1.0 ppm criterion for a 3-point test is not met, locate 12 traverse points for the test in accordance with Table 1 - 2.
* * * * *
      11.4.1  In most stationary sources, the direction of stack gas flow is essentially parallel to the stack walls. However, cyclonic flow may exist (1) after such devices as cyclones and inertial demisters following venturi scrubbers, or (2) in stacks having tangential inlets or other duct configurations which tend to induce swirling. Determine the presence or absence of cyclonic flow at each  sampling location. The following techniques are acceptable for this determination.
* * * * *

* * * * *
         21. In Method 2 of Appendix A-1 by revising Sections 8.1, 10.4, 12.6, and 12.7, by revising the note at the end of 10.1.1, and by adding a term to Section 12.1 as follows: 
Method 2  --  Determination of Stack Gas Velocity and Volumetric Flow Rate (Type S Pitot Tube)
* * * * *
	8.1  Set up the apparatus as shown in Figure 2-1. Capillary tubing or surge tanks installed between the manometer and pitot tube may be used to dampen ΔP  fluctuations. It is recommended, but not required, that a pretest leak-check be conducted as follows: (1) blow through the pitot impact opening until at least 7.6 cm (3.0 in.) H2O velocity head registers on the manometer; then, close off the impact opening. The pressure shall remain stable (+-2.5 mm H2O, +-0.10 in. H2O) for at least 15 seconds; (2) do the same for the static pressure side, except using suction to obtain the minimum of 7.6 cm (3.0 in.) H2O. Other leak-check procedures, subject to the approval of the Administrator, may be used.
* * * * *
      10.1.1  * * *  
Note: Do not use a Type S pitot tube assembly that is constructed such that the impact pressure opening plane of the pitot tube is below the entry plane of the nozzle (see Figure 2 - 7B ).
* * * * *
      10.4  Barometer. Calibrate the barometer used against a mercury barometer or NIST-traceable barometer prior to each field test.
* * * * *
      12.1  Nomenclature
* * * 
Ts(abavg)  -  Average absolute stack temperature, °K (°R).
* * * * *
      12.6  Average Stack Gas Velocity.
      Vs= Kp Cp 1n  i=1n∆piTs(Abs)PsMs        Eq.  2-7    
 Where:
      Kp = 
 	         
 	

      12.7  Average Stack Gas Dry Volumetric Flow Rate.
Q=36001-BwsvsATstdPsTs(Abs)Pstd  Eq.2-8

* * * * *
         22. In Method 2A of Appendix A-1 by revising Sections 10.3 and 12.2 as follows:
Method 2A  --  Direct Measurement of Gas Volume Through Pipes and Small Ducts
* * * * *
      10.3  Barometer. Calibrate the barometer used against a mercury barometer or NIST-traceable barometer prior to the field test.
* * * * *
	12.2  Test Meter Calibration Coefficient.
      

* * * * *
	23.  In Method 2B of Appendix A-1 by revising Section 12.1 as follows:
Method 2B  -  Determination of Exhaust Gas Volume Flow Rate from Gasoline Vapor Incinerators
* * * * *
12.1  Nomenclature.
      COe    = Mean carbon monoxide concentration in system exhaust, ppm.
      (CO2)a= Ambient carbon dioxide concentration, ppm (if not measured during the test period, may be assumed to equal 380  ppm).
      (CO2)e = Mean carbon dioxide concentration in system exhaust, ppm.
      HCe     = Mean organic concentration in system exhaust as defined by the calibration gas, ppm.
      Hci     = Mean organic concentration in system inlet as defined by the calibration gas, ppm.
      Ke      = Hydrocarbon calibration gas factor for the exhaust hydrocarbon analyzer, unitless [equal to the number of carbon atoms per molecule of the gas used to calibrate the analyzer (2 for ethane, 3 for propane, etc.)].
      Ki      = Hydrocarbon calibration gas factor for the inlet hydrocarbon analyzer, unitless.
      Ves     = Exhaust gas volume, m[3] .
      Vis     = Inlet gas volume, m[3] .
      Qes     = Exhaust gas volume flow rate, m[3] /min.
      Qis     = Inlet gas volume flow rate, m[3] /min.
      Θ     = Sample run time, min.
      S     = Standard conditions: 20 °C, 760 mm Hg.
* * * * *
         24.  In Method 2D of Appendix A-1 by revising Section 10.4 as follows: 
Method 2D  --  Measurement of Gas Volume Flow Rates in Small Pipes and Ducts
* * * * *
      10.4  Barometer. Calibrate the barometer used against  a mercury barometer or NIST-traceable barometer prior to the field test.
* * * * *
	25.  In Method 3A of Appendix A-2 by revising Section 7.1 as follows:
Method 3A  -  Determination of Oxygen and Carbon Dioxide Concentrations in Emissions From Stationary Sources (Instrumental Analyzer Procedure)
* * * * *
      7.1   Calibration Gas. What calibration gases  do I need? Refer to Section 7.1 of Method 7E for the calibration gas requirements. Example calibration gas mixtures are listed below.  Pre-cleaned  or scrubbed air may be used for the O2 high-calibration gas provided it does not contain other gases that interfere with the O2 measurement.
      (a)  CO2 in Nitrogen (N2).
      (b)  CO2 in air.
      (c) CO2/SO2 gas mixture in N2.
      (d) O2/SO2 gas mixture in N2.
      (e) O2/CO2/
      
      SO2 gas mixture in N2.
	(f)  CO2/NOx gas mixture in N2.
	(g)  CO2/SO2/NOx gas mixture in N2.
      The tests for analyzer calibration error and system bias require high-, mid-, and low-level gases.
* * * * *
         26. In Method 4 of Appendix A-3 by revising Sections 9.1 and 16 as follows: 
Method 4  --  Determination of Moisture Content in Stack Gases
* * * * *
      9.1  Miscellaneous Quality Control Measures.
                                    Section
                            Quality control measure
                                    Effect
Section 8.1.1.4
Leak rate of the sampling system cannot exceed four percent of the average sampling rate or 0.00057 m[3]/min (0.020  cfm)
Ensures the accuracy of the volume of gas sampled. (Reference Method)
Section 8.2.1
Leak rate of the sampling system cannot exceed two percent of the average sampling rate
Ensures the accuracy of the volume of gas sampled. (Approximation Method)

* * * * *
16.0  Alternative Procedures
      16.1  The procedure described in Method 5 for determining moisture content is an acceptable alternative to Method 4.
      16.2  The procedures in Method 6A for determining moisture is an acceptable alternative to Method 4.
      16.3  Method 320 is an acceptable alternative to Method 4 for determining moisture.
      16.4  Using F-factors to determine moisture is an acceptable alternative to Method 4. For a combustion stack not using a scrubber, the moisture content may be calculated as follows:
      
      Bws=BH+BA+BF
Where:  
	BA  = Mole fraction of moisture in the ambient air.
      =%RH100 Pbar[10[6.6912(-3144T+390.86)]
      BF  = Mole fraction of moisture from free water in the fuel.
      BF=0.0036 W2+0.075 W100[20.9-O220.9]
	BH  = Mole fraction of moisture from the hydrogen in the fuel.
      
	Bws = Mole fraction of moisture in the stack gas.
      Fd  = Volume of dry combustion components per unit of heat content at 0 percent oxygen, dscf/10[6] Btu (scm/J). See Table 19-2 in Method 19.
      FW  = Volume of wet combustion components per unit of heat content at 0 percent oxygen, wet scf/10[6] Btu (scm/J). See Table 19-2 in Method 19.
      %RH = Percent relative humidity (calibrated hydrometer acceptable), percent.
      PBar = Barometric pressure, in. Hg (mm Hg).
      T  = Ambient temperature, ºF (ºC).
      W  = Percent free water by weight, percent.
      O2 = Percent oxygen in stack gas, dry basis, percent.
* * * * *
         27. In Method 5 of Appendix A-3 by deleting Section 7.1.5 and by revising Sections 6.1.1.5, 6.1.1.7, 6.1.1.9, 7.1.3, 8.1, 8.3.4, 8.7.3, 8.7.5, 10.3.3, 10.4, 10.5, 10.6, Equation 5-13 in Section 16.2.3.3, Section 16.3, and by adding Section 16.3 and reference 13 to Section 17.0 as follows:
Method 5  --  Determination of Particulate Matter Emissions From Stationary Sources
* * * * *
      6.1.1.5  Filter Holder. Borosilicate glass, with a glass frit filter support and a silicone rubber gasket. Alternatively, Teflon filter holders may be used. Other materials of construction ( e.g., stainless steel or Viton) may be used, subject to the approval of the Administrator. The holder design shall provide a positive seal against leakage from the outside or around the filter. The holder shall be attached immediately at the outlet of the probe (or cyclone, if used).
* * * * *
      6.1.1.7  Temperature Sensor. A calibrated temperature sensor (rechecked at at least one point after each test ) shall be installed so that the sensing tip of the temperature sensor is in direct contact with the sample gas, and the temperature around the filter holder can be regulated and monitored during sampling.
* * * * *
      6.1.1.9  Metering System. Vacuum gauge, leak-free pump, calibrated temperature sensors (rechecked at at least one point after each test ), dry gas meter (DGM) capable of measuring volume to within 2 percent, and related equipment, as shown in Figure 5 - 1. Alternatively, an Isostack metering system may be used if all Method 5 calibrations are performed, with the exception of those related to ∆H@ in Section 9.2.1, wherein the sample flow rate system shall be calibrated in lieu of ∆H@ and shall not deviate by more than 5 percent. Other metering systems capable of maintaining sampling rates within 10 percent of isokinetic and of determining sample volumes to within 2 percent may be used, subject to the approval of the Administrator. When the metering system is used in conjunction with a pitot tube, the system shall allow periodic checks of isokinetic rates.
* * * * *
      7.1.3  Water. When analysis of the material caught in the impingers is required, deionized distilled water (to conform to ASTM D 1193 - 77 or 91 Type 3 (incorporated by reference -- see §60.17)) with <=0.001 percent residue shall be used. Run blanks prior to field use to eliminate a high blank on test samples, and use only water with low blank values (<=0.001 percent).  
* * * * *
      

	8.1  Pretest Preparation. It is suggested that sampling equipment be maintained according to the procedures described in APTD-0576. Alternative mercury-free thermometers may be used if the thermometers are at a minimum equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
      8.3.4  Set up the train as shown in Figure 5 - 1 ensuring that the connections are leak-tight. Subject to the approval of the Administrator, a glass cyclone may be used between the probe and filter holder when the total particulate catch is expected to exceed 100 mg or when water droplets are present in the stack gas.
* * * * *
      8.7.3  Before moving the sample train to the cleanup site, remove the probe from the sample train and cap the open outlet of the probe. Be careful not to lose any condensate that might be present. Cap  the filter inlet where the probe was fastened. Remove the umbilical cord from the last impinger, and cap the impinger. If a flexible line is used between the first impinger or condenser and the filter holder, disconnect the line at the filter holder, and let any condensed water or liquid drain into the impingers or condenser. Cap  off the filter holder outlet and impinger inlet. Either ground-glass stoppers, plastic caps, or serum caps may be used to close these openings.
* * * * *
      8.7.5  Save a portion of the acetone used for cleanup as a blank. For each container of acetone used for cleanup, save 200 ml and place it in a glass sample container labeled "acetone blank." To minimize any particulate contamination, rinse the wash bottle prior to filling from the tested container. Take 200 ml of this acetone directly from the wash bottle being used, and place it in a glass sample container labeled "acetone blank."
* * * * *
      10.3.3  Acceptable Variation in Calibration Check. If the DGM coefficient values obtained before and after a test series differ by more than 5 percent, the test series shall either be voided, or calculations for the test series shall be performed using whichever meter coefficient value ( i.e., before or after) gives the lower value of total sample volume.
* * * * *
      10.4  Probe Heater Calibration. Use a heat source to generate air heated to selected temperatures that approximate those expected to occur in the sources to be sampled. Pass this air through the probe at a typical sample flow rate while measuring the probe inlet and outlet temperatures at various probe heater settings. For each air temperature generated, construct a graph of probe heating system setting versus probe outlet temperature. The procedure outlined in APTD - 0576 can also be used. Probes constructed according to APTD - 0581 need not be calibrated if the calibration curves in APTD - 0576 are used. Also, probes with outlet temperature monitoring capabilities do not require calibration. As an alternative, the following single-point calibration procedure may be used. After each test run series, check the accuracy (and, hence, the calibration) of each thermocouple system at ambient temperature, or any other temperature, within the range specified by the manufacturer, using a reference thermometer (either ASTM reference thermometer or a thermometer that has been calibrated against an ASTM reference thermometer). The temperatures of the thermocouple and reference thermometers shall agree to within +-2 ºF. NOTE: The probe heating system shall be calibrated before its initial use in the field.

      10.5  Temperature Sensors. Use the procedure in Section 10.3 of Method 2 to calibrate in-stack temperature sensors. Dial thermometers, such as are used for the DGM and condenser outlet, shall be calibrated against mercury-in-glass thermometers. An alternative mercury-free NIST-traceable thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application. 
      10.6  Barometer. Calibrate against a mercury barometer or NIST-traceable barometer prior to the field test. Alternatively, barometric pressure may be obtained from a weather report that has been adjusted for the test point (on the stack) elevation.
* * * * *
	16.2.3.3  * * * 
		Vcr(std)=K'PbarθTamb   Eq. 5-13
* * * * *
      16.3  Alternative Post-Test Metering System Calibration. The following procedure may be used as an alternative to the post-test calibration described in Section 10.3.2. This alternative procedure does not detect leakages between the inlet of the metering system and the dry gas meter. Therefore, two steps must be included to make it an equivalent alternative: 1) The metering system must pass the post-test leak-check from either the inlet of the sampling train or the inlet of the metering system. Therefore, if the train fails the former leak-check, another leak-check from the inlet of the metering system must be conducted; 2) The metering system must pass the leak-check of that portion of the train from the pump to the orifice meter as described in Section 10.3.1.1.
      16.3.1  After each test run, do the following:
      16.3.1.1  Ensure that the metering system has passed the post-test leak-check. If not, conduct a leak-check of the metering system from its inlet.
      16.3.1.2  Conduct the leak-check of that portion of the train from the pump to the orifice meter as described in Section 10.3.1.1.
      16.3.1.3  Calculate Yqa for each test run using the following equation:

	Yqa= θVm0.0319Tm∆H@Pbar+∆Havg13.629Md ∆Havg	Eq. 5-15

Where: 
      Yqa = Dry gas meter calibration check value, dimensionless.
0.0319 = (29.92/528)(0.75)[2](in. Hg/R) cfm[2].
      ∆H@ = Orifice meter calibration coefficient, in. H2O.
      Md = Dry molecular weight of stack gas, lb/lb-mole.
      29 = Dry molecular weight of air, lb/lb-mole.
      16.3.2  After each test run series, do the following:
      16.3.2.1  Average the three or more Yqa's obtained from the test run series and compare this average Yqa with the dry gas meter calibration factor Y. The average Yqa must be within 5 percent of Y.
      16.3.2.2  If the average Yqa does not meet the 5 percent criterion, recalibrate the meter over the full range of orifice settings as detailed in Section 10.3.1. Then follow the procedure in Section 10.3.3.
* * * * *
17.0  References.
* * * 
      13.  Shigehara, Roger T., P.G. Royals, and E.W. Steward. "Alternative Method 5 Post-Test Calibration." Entropy Incorporated, Research Triangle Park, NC 27709.
* * * * *
         28. In Method 5A of Appendix A-3 by revising Section 8.1 as follows:
Method 5A  --  Determination of Particulate Matter Emissions From the Asphalt Processing and Asphalt Roofing Industry
* * * * * 
	8.1 Pretest Preparation. Unless otherwise specified, maintain and calibrate all components according to the procedure described in APTD-0576, "Maintenance, Calibration, and Operation of Isokinetic Source-Sampling Equipment" (Reference 3 in Method 5, Section 17.0). Alternative mercury-free thermometers may be used if the thermometers are, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * * 
         29. In Method 5E of Appendix A-3 by redesignating Section 16 as 17, Section 17 as 18, and by adding a new Section 16 as follows:
Method 5E  --  Determination of Particulate Matter Emissions From the Wool Fiberglass Insulation Manufacturing Industry
* * * * *
16.0  Alternative Procedures
      16.1  Total Organic Carbon Analyzer. Tekmar-Dohrmann analyzers using the single injection technique may be used as an alternative to Rosemount Model 2100A analyzers. 
      
      

* * * * *
         30. In Method 5H of Appendix A-3 by revising Section 12.1, adding Section 12.15, redesignating Section 16 as 17 and Section 17 as 18, and adding a new Section 16 as follows:
Method 5H  -  Determination of Particulate Matter Emissions From Wood Heaters From a Stack Location
* * * * *
      12.1  Nomenclature.
      A = Sample flow rate adjustment factor.
      BR = Dry wood burn rate, kg/hr (lb/hr), from Method 28, Section 8.3.
      Bws = Water vapor in the gas stream, proportion by volume.
      Ci = Tracer gas concentration at inlet, ppmv.
      Co = Tracer gas concentration at outlet, ppmv.
      Cs = Concentration of particulate matter in stack gas, dry basis, corrected to standard conditions, g/dscm (g/dscf).
      E = Particulate emission rate, g/hr (lb/hr).
      ΔH = Average pressure differential across the orifice meter (see Figure 5H - 1), mm H2O (in. H2O).
      La = Maximum acceptable leakage rate for either a post-test leak-check or for a leak-check following a component change; equal to 0.00057 cmm (0.020 cfm) or 4 percent of the average sampling rate, whichever is less.
      L1 = Individual leakage rate observed during the leak-check conducted before a component change, cmm (cfm).
      Lp = Leakage rate observed during the post-test leak-check, cmm (cfm).
      mn = Total amount of particulate matter collected, mg.
      Ma = Mass of residue of solvent after evaporation, mg.
      NC = Grams of carbon/gram of dry fuel (lb/lb), equal to 0.0425.
      NT = Total dry moles of exhaust gas/kg of dry wood burned, g-moles/kg (lb-moles/lb).
      PR = Percent of proportional sampling rate.
      Pbar= Barometric pressure at the sampling site, mm Hg (in.Hg).
      Pstd = Standard absolute pressure, 760 mm Hg (29.92 in.Hg).
      Qi = Gas volumetric flow rate at inlet, cfm (l/min).
      Qo = Gas volumetric flow rate at outlet, cfm (l/min).
* * * * *
      12.15  Alternative Tracer Gas Flow Rate Determination.

Qo  = Qix CiCo     Eq.5H-10

      Note:  This gives Q for a single instance only. Repeated multiple determinations are needed to track temporal variations. Very small variations in Qi, Ci, or Co may give very large variations in Qo.
* * * * *
16.0  Alternative Procedures
      16.1  Alternative Stack Gas Volumetric Flow Rate Determination (Tracer Gas).
      16.1.1  Apparatus.
      16.1.1.1  Tracer Gas Injector System. This is to inject a known concentration of tracer gas into the stack. This system consists of a cylinder of tracer gas, a gas cylinder regulator, a stainless steel needle valve or a flow controller, a nonreactive (stainless steel or glass) rotameter, and an injection loop to disperse the tracer gas evenly in the stack.
      16.1.1.2  Tracer Gas Probe.  A glass or stainless steel sampling probe.
      16.1.1.3  Gas Conditioning System. A gas conditioning is a system suitable for delivering a cleaned sample to the analyzer consisting of a filter to remove particulate and a condenser capable of lowering the dew point of the sample gas to less than 5C (40F). A desiccant such as anhydrous calcium sulfate may be used to dry the sample gas. Desiccants which react or absorb tracer gas or stack gas may not be used, e.g. silica gel absorbs CO2.
      16.1.1.4.  Pump. An inert (i.e., stainless steel or Teflon head)  pump to deliver more than the total sample required by the manufacturer's specifications for the analyzer used to measure the downstream tracer gas concentration.
	16.1.1.5  Gas Analyzer. A gas analyzer is any analyzer capable of measuring the tracer gas concentration in the range necessary at least every 10 minutes. A means of controlling the analyzer flow rate and a device for determining proper sample flow rate shall be provided unless data is provided to show that the analyzer is insensitive to flow variations over the range encountered during the test. The gas analyzer needs to meet or exceed the flowing performance specifications:  
Linearity
+- 1 percent of full scale
Calibration Error
<= 2 percent of span
Response Time
<= 10 seconds
Zero Drift (24 hour)
<= 2 percent of full scale
Span Drift (24 hour)
<= 2 percent of full scale
Resolution
<= 0.5 percent of span

      16.1.1.6  Recorder (optional). To provide a permanent record of the analyzer output.
      16.1.2  Reagents.
      16.1.2.1 Tracer Gas. The tracer gas is sulfur hexafluoride in an appropriate concentration for accurate analyzer measurement or pure sulfur dioxide. The gas used must be nonreactive with the stack effluent and give minimal (<3 percent) interference to measurement by the gas analyzer.
      16.1.3 Procedure. Select upstream and downstream locations in the stack or duct for introducing the tracer gas and delivering the sampled gas to the analyzer. The inlet location should be 8 or more duct diameters beyond any upstream flow disturbance. The outlet should be 8 or more undisturbed duct diameters from the inlet and 2 or more duct diameters from the duct exit. After installing the apparatus, meter a known concentration of the tracer gas into the stack at the inlet location. Use the gas sample probe and analyzer to show that no stratification of the tracer gas is found in the stack at the measurement locations. Monitor the tracer gas concentration from the outlet location and record the concentration at 10-minute intervals or more often at the option of the tester. A minimum of three measured intervals is recommended to determine the stack gas volumetric flow rate. Other statistical procedures may be applied for complete flow characterization and additional QA/QC.
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      
      

      

* * * * *
         31. In Method 6 of Appendix A-4 by revising Sections 10.2 and 10.4 as follows: 
Method 6  --  Determination of Sulfur Dioxide Emissions From Stationary Sources
* * * * *
      10.2  Temperature Sensors. Calibrate against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
      10.4  Barometer. Calibrate against a mercury barometer or NIST-traceable barometer prior to the field test.
* * * * *
         32. In Method 6C of Appendix A-4 by revising Sections 4.0 and 8.3 as follows: 
Method 6C  --  Determination of Sulfur Dioxide Emissions From Stationary Sources (Instrumental Analyzer Procedure)
* * * * *
      4.0  Interferences
Refer to Section 4.0 of Method 7E .
* * * * *
	8.3  Interference Check. You must follow the procedures of Section 8.2.7 of Method 7E to conduct an interference check, substituting SO2 for NOX as the method pollutant. For dilution-type measurement systems, you must use the alternative interference check procedure in Section 16 and a co-located, unmodified Method 6 sampling train. Quenching in fluorescence analyzers must be evaluated and remedied unless a dilution system and ambient-level analyzer is used. This may be done by preparing the calibration gas to contain within 1 percent of the absolute oxygen and carbon dioxide content of the measured gas, preparing the calibration gas in air and using vendor nomographs, or by other acceptable means.
* * * * *
         33. In Method 7 of Appendix A-4 by revising Sections 4.0, 10.2, and 10.3 as follows:
Method 7  --  Determination of Nitrogen Oxide Emissions From Stationary Sources
* * * * *
4.0  Interferences
      Biased results have been observed when sampling under conditions of high sulfur dioxide concentrations. At or above 2100 ppm SO2, use five times the H2O2 concentration of the Method 7 absorbing solution. Laboratory tests have shown that high concentrations of SO2 (about 2100 ppm) cause low results in Method 7 and 7A. Increasing the H2O2 concentration to five times the original concentration eliminates this bias. However, when no SO2 is present, increasing the concentration by five times results in a low bias.
* * * * *
      10.2  Barometer. Calibrate against a mercury barometer or NIST-traceable barometer prior to the field test.
      10.3  Temperature Gauge. Calibrate dial thermometers against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
         34. In Method 7A of Appendix A-4 by revising Sections 4.0 and 10.4 as follows: 
Method 7A  -  Determination of Nitrogen Oxide Emissions From Stationary Sources (Ion Chromatographic Method)
* * * * *
	4.0  Interferences	
      Biased results have been observed when sampling under conditions of high sulfur dioxide concentrations. At or above 2100  ppm SO2, use five times the H2O2 concentration of the Method 7 absorbing solution. Laboratory tests have shown that high concentrations of SO2 (about 2100 ppm) cause low results in Method 7 and 7A. Increasing the H2O2 concentration to five times the original concentration eliminates this bias. However, when no SO2 is present, increasing the concentration by five times results in a low bias.
* * * * *
      10.4  Temperature Gauge. Calibrate dial thermometers against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
         35. In Method 7E of Appendix A-4 by revising Sections 6.1, 7.1.1, 8.1.2, 8.2.5, and 16.2.2 as follows:
Method 7E  --  Determination of Nitrogen Oxides Emissions From Stationary Sources (Instrumental Analyzer Procedure)
* * * * *
	6.1  What do I need for the measurement system? You may use any equipment and supplies meeting the following specifications:
      1) Sampling system components that are not evaluated in the system bias or system calibration error test must be glass, Teflon, or stainless steel. Other materials are potentially acceptable, subject to approval by the Administrator.
      2) The interference, calibration error, and system bias criteria must be met.
      3) Sample flow rate must be maintained within 10 percent of the flow rate at which the system response time was measured.
      4) All system components (excluding sample conditioning components, if used) must maintain the sample temperature above the moisture dew point.
       Ensure minimal contact between any condensate and the sample gas. Section 6.2 provides example equipment specifications for a NOx measurement system. Figure 7E-1 is a diagram of an example dry-basis measurement system that is likely to meet the method requirements and is provided as guidance. For wet-basis systems, you may use alternative equipment and supplies as needed (some of which are described in Section 6.2), provided that the measurement system meets the applicable performance specifications of this method.
* * * * *
	7.1.1  High-Level Gas. This concentration is chosen to set  the calibration span as defined  in Section 3.4. Choose this high-level concentration so that emission measurements will be within 20 to 100 percent of this concentration .
* * * * *
	8.1.2  Determination of Stratification. Perform a stratification test at each test site to determine the appropriate number of sample traverse points. If testing for multiple pollutants or diluents at the same site, a stratification test using only one pollutant or diluent satisfies this requirement. A stratification test is not required for small stacks that are less than 4 inches in diameter. To test for stratification, use a probe of appropriate length to measure the NOx (or pollutant of interest) concentration at 12  traverse points located according to Table 1-1 or Table 1-2 of Method 1. Alternatively, you may measure at three points on a line passing through the centroidal area. Space the three points at 16.7, 50.0, and 83.3 percent of the measurement line. Sample for a minimum of twice the system response time (see Section 8.2.6) at each traverse point. Calculate the individual point and mean NOx concentrations. If the concentration at each traverse point differs from the mean concentration for all traverse points by no more than: (a) +- 5.0 percent of the mean concentration; or (b) +- 0.5 ppm (whichever is less restrictive), the gas stream is considered unstratified and you may collect samples from a single point that most closely matches the mean. If the 5.0 percent or 0.5 ppm criterion is not met, but the concentration at each traverse point differs from the mean concentration for all traverse points by no more than: (a) +- 10.0 percent of the mean; or (b) +- 1.0 ppm (whichever is less restrictive), the gas stream is considered to be minimally stratified, and you may take samples from three points. Space the three points at 16.7, 50.0, and 83.3 percent of the measurement line. Alternatively, if a 12 point stratification test was performed and the emissions shown to be minimally stratified (all points within +- 10.0 percent of their mean or within +- 1.0 ppm), and if the stack diameter (or equivalent diameter for a rectangular stack or duct) is greater than 2.4 meters (7.8 ft), then you may use 3-point sampling and locate the three points along the measurement line exhibiting the highest average concentration during the stratification test at 0.4, 1.2, and 2.0 meters from the stack or duct wall. If the gas stream is found to be stratified because the 10.0 percent or 1.0 ppm criterion for a 3-point test is not met, locate 12  traverse points for the test in accordance with Table 1-1 or Table 1-2 of Method 1. This stratification test may not be meaningful at sources with temporally varying emissions or where emission concentrations are low. In these cases, the stratification test is not required. 
* * * * *
      8.2.5  Initial System Bias and System Calibration Error Checks. Before sampling begins, determine whether the high-level or mid-level calibration gas best approximates the emissions and use it as the upscale gas. Introduce the upscale gas at the probe upstream of all sample conditioning components in system calibration mode. Record the time it takes for the measured concentration to increase to a value that is within 95 percent or 0.5 ppm (whichever is less restrictive) of a stable response for both the low-level and upscale gases.  Continue to observe the gas concentration reading until it has reached a final, stable value. Record this value on a form similar to Table 7E - 2.
      
      
      

* * * * *
      16.2.2  Bag Procedure. Perform the analyzer calibration error test to document the calibration (both NO and NOX modes, as applicable). Fill a Tedlar or equivalent bag approximately half full with either ambient air, pure oxygen, or an oxygen standard gas with at least 19.5 percent by volume oxygen content. Fill the remainder of the bag with mid- to high-level NO in N2(or other appropriate concentration) calibration gas. (Note that the concentration of the NO standard should be sufficiently high enough for the diluted concentration to be easily and accurately measured on the scale used. The size of the bag should be large enough to accommodate the procedure and time required. Contact the bag manufacturer for guidance on the applicability of Tedlar equivalent materials for NO.)
      
* * * * *
         36. In Method 8 of Appendix A-4 by revising Sections 11.2.1 and 11.2.2, by revising two definitions in Section 12.1, and by revising Figure 8-1 as follows:
Method 8  -  Determination of Sulfuric Acid Mist and Sulfur Dioxide Emissions From Stationary Sources
* * * * *
      11.2.1  Container No. 1. Shake the container holding the isopropanol solution and the filter. If the filter breaks up, allow the fragments to settle for a few minutes before removing a sample aliquot. For determination of SO3/H2SO4 concentration, pipette a 10 -ml aliquot of this solution into a 250-ml Erlenmeyer flask, add 2 to 4 drops of thorin indicator, and titrate to a pink endpoint using 0.0100 N barium standard solution. Repeat the titration with a second aliquot of sample, and average the titration values. Replicate titrations must agree within 1 percent or 0.2 ml, whichever is greater.
      11.2.2  Container No. 2. Thoroughly mix the solution in the container holding the contents of the second and third impingers. For determination of SO2 concentration, pipette a 100-ml aliquot of sample into a 250-ml Erlenmeyer flask. Add 40 ml of isopropanol, 2 to 4 drops of thorin indicator, and titrate to a pink endpoint using 0.0100 N barium standard solution. Repeat the titration with a second aliquot of sample, and average the titration values. Replicate titrations must agree within 1 percent or 0.2 ml, whichever is greater.
* * * * *
      12.1 * * *  
      Va= Volume of sample aliquot titrated, 10 ml for H2SO4 and 100 ml for  SO2.
      Vsoln= Total volume of solution in which the sample is contained, 1000 ml for the SO2 sample  and 250 ml for the H2SO4 sample.

 
* * * * *

                  Figure 8-1.  Sulfuric Acid Sampling Train.
              H2SO4/SO3 and SO2 collection components identified
* * * * *
         37. In Method 10 of Appendix A-4 by revising Sections 6.2.5 and 8.4.2 as follows: 
Method 10  -  Determination of Carbon Monoxide Emissions From Stationary Sources
* * * * *
      6.2.5  Flexible Bag. Tedlar, or equivalent, with a capacity of 60 to 90 liters (2 to 3 ft[3]). (Contact the bag manufacturer for guidance on the applicability of Tedlar equivalent materials for the compound of interest.) Leak-test the bag in the laboratory before using by evacuating with a pump followed by a dry gas meter. When the evacuation is complete, there should be no flow through the meter. Gas tanks may be used in place of bags if the samples are analyzed within one week.
* * * * *
      8.4.2  Integrated Sampling. Evacuate the flexible bag. Set up the equipment as shown in Figure 10 - 1 with the bag disconnected. Place the probe in the stack and purge the sampling line. Connect the bag, making sure that all connections are leak-free. Sample at a rate proportional to the stack velocity. If needed, the CO2 content of the gas may be determined by using the Method 3 integrated sample procedures, or by weighing an ascarite CO2 removal tube used and computing CO2 concentration from the gas volume sampled and the weight gain of the tube. Data may be recorded on a form similar to Table 10 - 1. If a tank is used for sample collection, follow procedures similar to those in Sections 8.1.2, 8.2.3, 8.3, and 12.4 of Method 25 as appropriate to prepare the tank, conduct the sampling, and correct the measured sample concentration.
* * * * *
         38. In Method 10A of Appendix A-4 by revising Sections 2.0, 8.2.1, 8.2.3, 11.1, 11.2, and 13.5 and by revising the narrative in Section 12.3 as follows: 
Method 10A  --  Determination of Carbon Monoxide Emissions in Certifying Continuous Emission Monitoring Systems at Petroleum Refineries
* * * * *
2.0  Summary of Method
      An integrated gas sample is extracted from the stack, passed through an alkaline permanganate solution to remove sulfur oxides and nitrogen oxides, and collected in a Tedlar or equivalent bag. (Contact the bag manufacturer for guidance on the applicability of Tedlar equivalent materials for the compound of interest.) The CO concentration in the sample is measured spectrophotometrically using the reaction of CO with p -sulfaminobenzoic acid.
* * * * *
      8.2.1  Evacuate the  bag completely using a vacuum pump. Assemble the apparatus as shown in Figure 10A - 1. Loosely pack glass wool in the tip of the probe. Place 400 ml of alkaline permanganate solution in the first two impingers and 250 ml in the third. Connect the pump to the third impinger, and follow this with the surge tank, rate meter, and 3-way valve. Do not connect the  bag to the system at this time.
* * * * *
      8.2.3  Purge the system with sample gas by inserting the probe into the stack and drawing the sample gas through the system at 300 ml/min +-10 percent for 5 minutes. Connect the evacuated bag to the system, record the starting time, and sample at a rate of 300 ml/min for 30 minutes, or until the bag is nearly full. Record the sampling time, the barometric pressure, and the ambient temperature. Purge the system as described above immediately before each sample.
* * * * *
      11.1  Assemble the system shown in Figure 10A - 3, and record the information required in Table 10A - 1 as it is obtained. Pipet 10.0 ml of the colorimetric reagent into each gas reaction bulb, and attach the bulbs to the system. Open the stopcocks to the reaction bulbs, but leave the valve to the bag closed. Turn on the pump, fully open the coarse-adjust flow valve, and slowly open the fine-adjust valve until the pressure is reduced to at least 40 mm Hg. Now close the coarse adjust valve, and observe the manometer to be certain that the system is leak-free. Wait a minimum of 2 minutes. If the pressure has increased less than 1 mm Hg, proceed as described below. If a leak is present, find and correct it before proceeding further.
      11.2  Record the vacuum pressure (Pv) to the nearest 1 mm Hg, and close the reaction bulb stopcocks. Open the bag valve, and allow the system to come to atmospheric pressure. Close the bag valve, open the pump coarse adjust valve, and evacuate the system again. Repeat this fill/evacuation procedure at least twice to flush the manifold completely. Close the pump coarse adjust valve, open the bag valve, and let the system fill to atmospheric pressure. Open the stopcocks to the reaction bulbs, and let the entire system come to atmospheric pressure. Close the bulb stopcocks, remove the bulbs, record the room temperature and barometric pressure (Pbar, to nearest mm Hg), and place the bulbs on the shaker table with their main axis either parallel to or perpendicular to the plane of the table top. Purge the bulb-filling system with ambient air for several minutes between samples. Shake the samples for exactly 2 hours.
* * * * *
      12.3  CO Concentration in the Bag. Calculate Cb using Equations 10A - 2 and 10A - 3. If condensate is visible in the bag, calculate Bw using Table 10A - 2 and the temperature and barometric pressure in the analysis room. If condensate is not visible, calculate Bw using the temperature and barometric pressure at the sampling site. * * * 
* * * * *
      13.5  Stability. The individual components of the colorimetric reagent are stable for at least one  month. The colorimetric reagent must be used within two  days after preparation to avoid excessive blank correction. The samples in the bag should be stable for at least one  week if the bags are leak-free.
* * * * *
         39. In Method 10B of Appendix A-4 by revising Sections 2.1 and 6.2.3 and by revising the narrative in Section 12.2 as follows: 
Method 10B  --  Determination of Carbon Monoxide Emissions From Stationary Sources
* * * * *
      2.1  An integrated gas sample is extracted from the sampling point, passed through a conditioning system to remove interferences, and collected in a Tedlar or equivalent bag. (Contact the bag manufacturer for guidance on the applicability of Tedlar equivalent materials for the compound of interest.) The CO is separated from the sample by gas chromatography (GC) and catalytically reduced to methane (CH4) which is determined by flame ionization detection (FID). The analytical portion of this method is identical to applicable sections in Method 25 detailing CO measurement.
* * * * *
      6.2.3  Sample Injection System. Same as in Method 25, Section 6.3.1.4, equipped to accept a sample line from the bag.
* * * * *
      12.2  CO Concentration in the Bag. Calculate Cb using Equations 10B - 1 and 10B - 2. If condensate is visible in the bag, calculate Bw using Table 10A - 2 of Method 10A and the temperature and barometric pressure in the analysis room. If condensate is not visible, calculate Bw using the temperature and barometric pressure at the sampling site. * * *
* * * * *
         40. In Method 11 of Appendix A-5 by revising Sections 8.5 and 10.1.2 as follows: 
Method 11  --  Determination of Hydrogen Sulfide Content of Fuel Gas Streams in Petroleum Refineries
* * * * *
      8.5  Sample for at least 10 minutes. At the end of the sampling time, close the sampling valve, and record the final volume and temperature readings. Conduct a leak-check as described in Section 8.2. A yellow color in the final cadmium sulfate impinger indicates depletion of the absorbing solution. An additional cadmium sulfate impinger should be added for subsequent samples and the sample with yellow color in the final impinger should be voided.
* * * * *
      10.1.2  Temperature Sensors. Calibrate against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is at a minimum equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
         41. In Method 12 of Appendix A-5 by revising Section 16.1 and adding Sections 16.4, 16.4.1, and 16.4.2 as follows: 
Method 12  -  Determination of Inorganic Lead Emissions From Stationary Sources
* * * * *
	16.1  Simultaneous Determination of Particulate Matter and Lead Emissions. Method 12  may be used to simultaneously determine Pb provided: (1) acetone is used to remove particulate from the probe and inside of the filter holder as specified by Method 5, (2) 0.1 N HNO3 is used in the impingers, (3) a glass fiber filter with a low Pb background is used, and (4) the entire train contents, including the impingers, are treated and analyzed for Pb as described in Sections 8.0 and 11.0 of this method.
* * * * *
      16.4  Alternative Analyzer.  Inductively coupled plasma-atomic emission spectrometry (ICP-AES) may be used as an alternative to atomic absorption analysis provided the following conditions are met:
      16.4.1  Sample collection, sample preparation, and analytical preparation procedures are as defined in the method except as necessary for the ICP-AES application.
      16.4.2  The limit of quantitation for the ICP-AES must be demonstrated, and the sample concentrations reported should be no less than two times the limit of quantitation. The limit of quantitation is defined as ten times the standard deviation of the blank value. The standard deviation of the blank value is determined from the analysis of seven blanks. It has been reported that for mercury and those elements that form hydrides, a continuous-flow generator coupled to an ICP-AES offers detection limits comparable to cold vapor atomic absorption.
* * * * *
         42. In Method 14A of Appendix A-5 by adding a sentence to Section 10.1.1 as follows: 
Method 14A  --  Determination of Total Fluoride Emissions from Selected Sources at Primary Aluminum Production Facilities
* * * * *
      10.1.1   Metering system. * * * 
      Allowable tolerances for Y and ΔH@ are given in Figure 5 - 5 6 of Method 5 of this appendix.
* * * * *
         43. In Method 16A of Appendix A-6 by revising Section 1.2 as follows: 
Method 16A  --  Determination of Total Reduced Sulfur Emissions From Stationary Sources (Impinger Technique)
* * * * *
      1.2  Applicability. This method is applicable for the determination of TRS emissions from recovery boilers, lime kilns, and smelt dissolving tanks at kraft pulp mills, reduced sulfur compounds (H2S, carbonyl sulfide, and carbon disulfide) from sulfur recovery units at onshore natural gas processing facilities, and from other sources when specified in an applicable subpart of the regulations. The flue gas must contain at least 1 percent oxygen for complete oxidation of all TRS to SO2. Note: If sources other than kraft pulp mills experience low oxygen levels in the emissions, the method results may be biased low.
* * * * *
         44. In Method 18 of Appendix A-6 by revising Sections 8.2.1.1.2, 8.2.1.4, 8.2.1.4.2, 8.2.1.5.2.2, 16.1.1.12, 16.1.3.2, and the titles to Figures 18-3 and 18-10 as follows: 
Method 18  --  Measurement of Gaseous Organic Compound Emissions By Gas Chromatography
* * * * *
      8.2.1.1.2  Sampling Procedure. To obtain a sample, assemble the sample train as shown in Figure 18 - 9. Leak-check both the bag and the container. Connect the vacuum line from the needle valve to the Teflon sample line from the probe. Place the end of the probe at the centroid of the stack or at a point no closer to the walls than 1 m, and start the pump. Set the flow rate so that the final volume of the sample is approximately 80 percent of the bag capacity. After allowing sufficient time to purge the line several times, connect the vacuum line to the bag, and evacuate until the rotameter indicates no flow. Then position the sample and vacuum lines for sampling, and begin the actual sampling, keeping the rate proportional to the stack velocity. As a precaution, direct the gas exiting the rotameter away from sampling personnel. At the end of the sample period, shut off the pump, disconnect the sample line from the bag, and disconnect the vacuum line from the bag container. Record the source temperature, barometric pressure, ambient temperature, sampling flow rate, and initial and final sampling time on the data sheet shown in Figure 18 - 10. Protect the bag and its container from sunlight. Record the time lapsed between sample collection and analysis, and then conduct the recovery procedure in Section 8.4.2.
* * * * *
      8.2.1.4  Other Modified Bag Sampling Procedures. In the event that condensation is observed in the bag while collecting the sample and a direct interface system cannot be used, heat the bag during collection and maintain it at a suitably elevated temperature during all subsequent operations. (Note:Take care to leak-check the system prior to the dilutions so as not to create a potentially explosive atmosphere.) As an alternative, collect the sample gas, and simultaneously dilute it in the bag.
* * * * *
      8.2.1.4.2  Second Alternative Procedure. Prefill the bag with a known quantity of inert gas. Meter the inert gas into the bag according to the procedure for the preparation of gas concentration standards of volatile liquid materials (Section 10.1.2.2), but eliminate the midget impinger section. Take the partly filled bag to the source, and meter the source gas into the bag through heated sampling lines and a heated flowmeter, or Teflon positive displacement pump. Verify the dilution factors before sampling each bag through dilution and analysis of gases of known concentration.
* * * * *
      8.2.1.5.2.2  Analyze the two field audit samples as described in Section 9.2 by connecting each bag containing an audit gas mixture to the sampling valve. Calculate the results; record and report the data to the audit supervisor.
* * * * *
      16.1.1.12  Flexible Bags. Tedlar or equivalent, 10- and 50-liter capacity, for preparation of standards. (Contact the bag manufacturer for guidance on the applicability of Tedlar equivalent materials for the compound of interest.)  
* * * * *
      16.1.3.2  Flexible Bag Procedure. Any leak-free plastic (e.g., Tedlar, Mylar, Teflon) or plastic-coated aluminum (e.g., aluminized Mylar) bag, or equivalent, can be used to obtain the pre-survey sample. Use new bags, and leak-check them before field use. In addition, check the bag before use for contamination by filling it with nitrogen or air and analyzing the gas by GC at high sensitivity. Experience indicates that it is desirable to allow the inert gas to remain in the bag about 24 hours or longer to check for desorption of organics from the bag. Follow the leak-check and sample collection procedures given in Section 8.2.1.
* * * * *
      Figure 18 - 3. Preparation of Standards in Tedlar or Tedlar-Equlivalent Bags and Calibration Curve
* * * * *
      Figure 18 - 10. Field Sample Data Sheet -- Tedlar or Tedlar-Equivalent Bag Collection Method
* * * * *
         45. In Method 23 of Appendix A-7 by revising Sections 2.2.7, 4.1.1.3, and 4.2.7 as follows: 
Method 23  --  Determination of Polychlorinated Dibenzo-p-Dioxins and Polychlorinated Dibenzofurans From Stationary Sources
* * * * *
	2.2.7 Storage Container. Air -tight container to store silica gel.
* * * * *
      4.1.1.3  Sample Train. It is suggested that all components be maintained according to the procedure described in APTD-0576. Alternative mercury-free thermometers may be used if the thermometers are, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
      4.2.7  Silica Gel. Note the color of the indicating silica gel to determine if it has been completely spent and make a mention of its condition. Transfer the silica gel from the fifth impinger to its original container and seal. If a moisture determination is made, follow the applicable procedures in sections 8.7.6.3 and 11.2.3 of Method 5 to handle and weigh the silica gel. If moisture is not measured, the silica gel may be disposed.
* * * * *
         46. In Method 24 of Appendix A-7 by revising Section 11.2.2 as follows: 
Method 24  --  Determination of Volatile Matter Content, Water Content, Density, Volume Solids, and Weight Solids of Surface Coatings
* * * * *
      11.2.2  Volatile Content. To determine total volatile content, use the apparatus and reagents described in ASTM D2369 (incorporated by reference -- see §60.17 for the approved versions of the standard), respectively, and use the following procedures:
* * * * *
         47. In Method 25 of Appendix A-7 by revising Section 7.1.3 as follows: 
Method 25  -  Determination of Total Gaseous Nonmethane Organic Emissions as Carbon
* * * * *
      7.1.3  Filters. Glass fiber filters, without organic binder, exhibiting at least 99.95 percent efficiency (<0.05 percent penetration) on 0.3 micron dioctyl phthalate smoke particles. The filter efficiency test shall be conducted in accordance with ASTM Method D2986-71, 78, or 95a (incorporated by reference  -  see §60.17). Test data from the supplier's quality control program are sufficient for this purpose.
* * * * *
         48. In Method 25C of Appendix A-7 by revising Sections 6.1 and 12.1, redesignating Equation 25C-2 in Section 12.3 as Equation 25C-3, redesignating Section 12.3 as 12.4, and adding new Sections 8.2.3 and 12.3 as follows:
Method 25C  -  Determination of Nonmethane Organic Compounds (NMOC) in MSW Landfill Gases
* * * * *
      6.1  Sample Probe. Stainless steel, with the bottom third perforated. Teflon probe liners and sampling lines are also allowed.  Non-perforated probes are allowed as long as they are withdrawn to create a gap equivalent to having the bottom third perforated. The sample probe must be capped at the bottom and must have a threaded cap with a sampling attachment at the top. The sample probe must be long enough to go through and extend no less than 0.9 m (3 ft) below the landfill cover. If the sample probe is to be driven into the landfill, the bottom cap should be designed to facilitate driving the probe into the landfill.
* * * * *
      8.2.3  Driven Probes. Closed-point probes may be driven directly into the landfill in a single step. This method may not require backfilling if the probe is adequately sealed by its insertion. Unperforated probes that are inserted in this manner and withdrawn a distance from a detachable tip to create an open space are also acceptable.
* * * * *
      12.1  Nomenclature.
      Bw = Moisture content in the sample, fraction.
      CN2 = Measured N2concentration (by Method 3C), fraction.
      CN2Corr = Measured N2  concentration corrected for dilution, fraction.
      Ct = Calculated NMOC concentration, ppmv C equivalent.
      Ctm = Measured NMOC concentration, ppmv C equivalent.
      Pb = Barometric pressure, mm Hg.
      Pt = Gas sample tank pressure after sampling, but before pressurizing, mm Hg absolute.
      Ptf = Final gas sample tank pressure after pressurizing, mm Hg absolute.
      Pti = Gas sample tank pressure after evacuation, mm Hg absolute.
      Pw = Vapor pressure of H2O (from Table 25C - 1), mm Hg.
      r = Total number of analyzer injections of sample tank during analysis (where j=injection number, 1  *  *  * r).
      Tt = Sample tank temperature at completion of sampling, °K.
      Tti = Sample tank temperature before sampling, °K.
      Ttf = Sample tank temperature after pressurizing, °K.
* * * * *
      12.3  Measured N2 Concentration Correction.  Use the following equation to correct the measured concentration of N2 as determined by Method 3C for dilution.
      CN2Corr= PtfTtfPtTt-PtiTtiCN2     Eq.25C-2
* * * * *
         49. In Method 25D of Appendix A-7 by revising the first sentence in Section 9.1 as follows: 
Method 25D  --  Determination of the Volatile Organic Concentration of Waste Samples
* * * * *	
      9.1  Quality Control Samples. If audit samples are not available, prepare and analyze the two types of quality control samples (QCS) listed in Sections 9.1.1 and 9.1.2.  * * * 
* * * * *
         50. In Method 26 of Appendix A-8 by revising Sections 6.1.1 and 8.1.2, by redesignating Section 16 as 17 and Section 17 as 18, and by adding a new Section 16 as follows:
Method 26  --  Determination of Hydrogen Halide and Halogen Emissions From Stationary Sources Non-Isokinetic Method
* * * * *
      6.1.1  Probe. Borosilicate glass, approximately 3/8-in. (9-mm) I.D. with a heating system capable of maintaining a probe gas temperature during sampling of 120 +-14 °C (248 +-25 °F) to prevent moisture condensation; or Teflon where stack probes are below 210C. If HF is a target analyte, then preconditioning of new teflon components by heating should be considered to prevent potential HF outgassing. A Teflon-glass filter in a mat configuration should be installed in the gas stream, not the filter box, to remove particulate matter from the gas stream (see Section 6.1.6).
* * * * *
      8.1.2  Adjust the probe temperature and the temperature of the filter and the stopcock (i.e., the heated area in Figure 26 - 1) to a temperature sufficient to prevent water condensation. This temperature should be greater than 120 °C (248 °F). The temperature should be monitored throughout a sampling run to ensure that the desired temperature is maintained. It is important to maintain a temperature around the probe and filter of greater than 120 °C (248 °F) since it is extremely difficult to purge acid gases off these components. (These components are not quantitatively recovered and, hence, any collection of acid gases on these components would result in potential undereporting of these emissions. The applicable subparts may specify alternative higher temperatures.)
* * * * * 
16.0  Alternative Procedures
	Method 26A.  Method 26A, which uses isokinetic sampling equipment, is an acceptable alternative to Method 26.
* * * * *
         51. In Method 29 of Appendix A-8 by redesignating Section 16 as Section 17 and redesignating Section 17 as Section 18 and by adding a new Section 16 as follows:
Method 29  -  Determination of Metals Emissions From Stationary Sources
* * * * *
16.0  Alternative Procedures
      16.1  Alternative Analyzer. Samples may also be analyzed by cold vapor atomic fluorescence spectrometry. 
* * * * *
         52. In Method 30B of Appendix A-8 by revising Table 9-1 in Section 9 and revising Section 10.3 as follows:
Method 30B  --  Determination of Total Vapor Phase Mercury Emissions From Coal-Fired Combustion Sources Using Carbon Sorbent Traps
* * * * *
9.0  Quality Assurance and Quality Control
* * * 
   Table 9 - 1  --  Quality Assurance/Quality Control Criteria for Method 30B
                          QA/QC test or specification
                              Acceptance criteria
                                   Frequency
                            Consequences if not met
Gas flow meter calibration (At 3 settings or points)
Calibration factor (Yi) at each flow rate must be within +-2% of the average value (Y)
Prior to initial use and when post-test check is not within +-5% of Y
Recalibrate at 3 points until the acceptance criteria are met.
Gas flow meter post-test calibration check (Single-point)
Calibration factor (Yi) must be within +-5% of the Y value from the most recent 3-point calibration
After each field test. For mass flow meters, must be done on-site, using stack gas
Recalibrate gas flow meter at 3 points to determine a new value of Y. For mass flow meters, must be done on-site, using stack gas. Apply the new Y value to the field test data.
Temperature sensor calibration
Absolute temperature measures by sensor within +-1.5% of a reference sensor
Prior to initial use and before each test thereafter
Recalibrate; sensor may not be used until specification is met.
Barometer calibration
Absolute pressure measured by instrument within +-10 mm Hg of reading with a mercury barometer or NIST traceable barometer
Prior to initial use and before each test thereafter
Recalibrate; instrument may not be used until specification is met.
Pre-test leak check
<=4% of target sampling rate
Prior to sampling
Sampling shall not commence until the leak check is passed.
Post-test leak check
<=4% of average sampling rate
After sampling
Sample invalidated.*
Analytical matrix interference test (wet chemical analysis, only)
Establish minimum dilution (if any) needed to eliminate sorbent matrix interferences
Prior to analyzing any field samples; repeat for each type of sorbent used
Field sample results not validated.
Analytical bias test
Average recovery between 90% and 110% for Hg[0]and HgCl2at each of the 2 spike concentration levels
Prior to analyzing field samples and prior to use of new sorbent media
Field samples shall not be analyzed until the percent recovery criteria has been met.
Multipoint analyzer calibration
Each analyzer reading within  +-10% of true value and r[2]>=0.99
On the day of analysis, before analyzing any samples
Recalibrate until successful.
Analysis of independent calibration standard
Within +-10% of true value
Following daily calibration, prior to analyzing field samples
Recalibrate and repeat independent standard analysis until successful.
Analysis of continuing calibration verification standard (CCVS)
Within +-10% of true value
Following daily calibration, after analyzing <=10 field samples, and at end of each set of analyses
Recalibrate and repeat independent standard analysis, reanalyze samples until successful, if possible; for destructive techniques, samples invalidated.
Test run total sample volume
Within +-20% of total volume sampled during field recovery test
Each individual sample
Sample invalidated.
Sorbent trap section 2 breakthrough
<=10% of section 1 Hg mass for Hg concentrations > 1 ug/dscm;
Every sample
Sample invalidated.*
  
<=20% of section 1 Hg mass for Hg concentrations <=1 ug/dscm

Paired sorbent trap agreement
<=10% Relative Deviation (RD) mass for Hg concentrations >1 ug/dscm;
Every run
Run invalidated.*
  
<=20% RD or <=0.2 ug/dscm absolute difference for Hg concentrations <=1 ug/dscm

Sample analysis
Within valid calibration range (within calibration curve)
All Section 1 samples where stack Hg concentation is >=0.5 ug/dscm
Reanalyze at more concentrated level if possible, samples invalidated if not within calibrated range.
Sample analysis
Within bounds of Hg[0] and HgCl2 Analytical Bias Test
All Section 1 samples where stack Hg concentration is >=0.5 ug/dscm
Expand bounds of Hg[0]and HgCl2 Analytical Bias Test; if not successful, samples invalidated.
Field recovery test
Average recovery between 85% and 115% for Hg[0]
Once per field test
Field sample runs not validated without successful field recovery test.
*And data from the pair of sorbent traps are also invalidated.
* * * * *
      10.3  Thermocouples and Other Temperature Sensors. Use the procedures and criteria in Section 10.3 of Method 2 in Appendix A - 1 to this part to calibrate in-stack temperature sensors and thermocouples. Dial thermometers shall be calibrated against mercury-in-glass thermometers or equivalent.  * * * 
* * * * *
         53. In Performance Specification 1 of Appendix B by revising Section 3.5 to read as follows:
Performance Specification 1  --  Specifications and Test Procedures for Continuous Opacity Monitoring Systems in Stationary Sources
* * * * *
      3.5   Full Scale. The maximum data display output of the COMS. For purposes of recordkeeping and reporting, full scale will be greater than 80 percent opacity.
Note: "Full scale" means "span."
* * * * *
	54.  In Performance Specification 3 of Appendix B by revising Section 13.2 as follows:
Performance Specification 3  --  Specifications and Test Procedures for O2 and CO2 Continuous Emission Monitoring Systems in Stationary Sources
* * * * *
      13.2  CEMS Relative Accuracy Performance Specification. The RA of the CEMS must be no greater than 20 percent of the mean value of the RM test data or 1.0 percent O2 or CO2, whichever is greater.
* * * * *
      55.  In Performance Specification 4 of Appendix B by 
revising Section 8.2 as follows:
Performance Specification 4  --  Specifications and Test Procedures for Carbon Monoxide Continuous Emission Monitoring Systems in Stationary Sources
* * * * *
      8.2  Reference Methods. Unless otherwise specified in an applicable subpart of the regulation, Method 10, 10A, 10B or other approved alternative are the RM for this PS. 
* * * * *
	56.  In Performance Specification 4B of Appendix B by revising Section 7.1.1 as follows:
Performance Specification 4B  --  Specifications and Test Procedures for Carbon Monoxide and Oxygen Continuous Monitoring Systems in Stationary Sources
* * * * *
	7.1.1   Calculations. Summarize the results on a data sheet. Average the differences between the instrument response and the certified cylinder gas value for each gas. Calculate the CE results for the CO monitor according to:
		CE = |d/FS| x 100      (1)
      Where
 d is the mean difference between the CEMS response and the known reference concentration, and FS is the span value. The CE for the O2 monitor is the average percent O2 difference between the O2 monitor and the certified cylinder gas value for each gas.
*  *  *  *  *
      57.  In Performance Specification 7 of Appendix B by
revising Section 8.4 and adding a reference to the end of Section 16.0.
Performance Specification 7  --  Specifications and Test Procedures for Hydrogen Sulfide Continuous Emission Monitoring Systems in Stationary Sources
* * * * *
      8.4  Relative Accuracy Test Procedure.
      8.4.1  Sampling Strategy for RM Tests, Number of RM Tests, Correlation of RM and CEMS Data, and Calculations . These are the same as that in PS -2, Sections 8.4.3 (except as specified below), 8.4.4, 8.4.5, and 8.4.6 , respectively.
      8.4.2  Reference Methods. Unless otherwise specified in an applicable subpart of the regulation, Methods 11, 15, and 16 may be used for the RM for this PS.
      8.4.2.1  Sampling Time Per Run - Method 11. A sampling run, when Method 11 (integrated sampling) is used, shall consist of a single measurement for at least 10 minutes and 0.010 dscm (0.35 dscf). Each sample shall be taken at approximately 30-minute intervals. 
      8.4.2.2 Sampling Time Per Run - Methods 15 and 16. The sampling run shall consist of two injections equally spaced over a 30-minute period following the procedures described in the particular method.  NOTE: Caution! Heater or non-approved electrical probes should not be used around explosive or flammable sources.
* * * * *
16.0  References.
* * * 
	5.  Letter to RAMCON Environmental Corp. from Robert Kellam, December 27, 1992.
* * * * *
      58.   In Performance Specification 11 of Appendix B by revising Sections 12.1(1) and (2) as follows:
Performance Specification 11  --  Specifications and Test Procedures for Particulate Matter Continuous Emission Monitoring Systems at Stationary Sources
* * * * *
      12.1 * * * 
      (1) Calculate the upscale drift (UD) using Equation 11 - 1:
                        UD=RCEM-RUFSx100   (Eq. 11-1)
      
Where:
      UD = The upscale (high-level) drift of your PM CEMS in percent,
      RCEM= The measured PM CEMS response to the upscale reference standard, and
      RU= The pre-established  numerical value of the upscale reference standard.
      FS= Full-scale value.
      (2) Calculate the zero drift (ZD) using Equation 11 - 2:
                        ZD=RCEM-RLFSx100   (Eq. 11-2)
      
Where:
      ZD = The zero (low-level) drift of your PM CEMS in percent,
      RCEM= The measured PM CEMS response to the zero reference standard,
      RL= The pre-established  numerical value of the zero reference standard, and
      FS= Full-scale  value.
* * * * *
      59.   In Performance Specification 15 of Appendix B by
revising Sections 11.1.1.4.2 and 11.1.1.4.3 as follows:
Performance Specification 15  --  Performance Specification for Extractive FTIR Continuous Emission Monitoring Systems in Stationary Sources
* * * * *
	11.1.1.4.2  RMs Using a Grab Sampling Technique. Synchronize the RM and FTIR CEM measurements as closely as possible. For a grab sampling RM, record the volume collected and the exact sampling period for each sample. Synchronize the FTIR CEM so that the FTIR measures a spectrum of a similar cell volume at the same time as the RM grab sample was collected. Measure at least five  independent samples with both the FTIR CEM and the RM for each of the minimum nine runs. Compare the run  concentration averages by using the relative accuracy analysis procedure in Performance Specification 2 of Appendix B of 40 CFR Part 60.
      11.1.1.4.3  Continuous Emission Monitors as RMs. If the RM is a CEM, synchronize the sampling flow rates of the RM and the FTIR CEM. Each run is at least 1hour long and consists of at least 10 FTIR CEM measurements and the corresponding 10 RM measurements (or averages). For the statistical comparison, use the relative accuracy analysis procedure in Performance Specification 2 of Appendix B of 40 CFR Part 60. If the RM time constant is < (1/2) the  FTIR CEM time constant, brief fluctuations in analyte concentrations that  are not adequately measured with the slower FTIR CEM time constant can be excluded from the run average along with the corresponding RM measurements. However, the FTIR CEM run average must still include at least 10 measurements over a 1-hour  period.
* * * * *
      60.   In Performance Specification 16 of Appendix B by
revising Sections 6.1.7, 8.2.1, 9.1, 9.3, 9.4, 12.4, and 13.5 as follows:
Performance Specification 16  --  Specifications and Test Procedures for Predictive Emission Monitoring Systems in Stationary Sources
* * * * *
      6.1.7  Sensor Location and Repair. We recommend you install sensors in an accessible location in order to perform repairs and replacements. Permanently -installed platforms or ladders may not be needed. If you install sensors in an area that is not accessible, you may be required to shut down the emissions unit to repair or replace a sensor. Conduct a new RATA after replacing a sensor that supplies a critical PEMS parameter if the new sensor provides a different output or scaling or changes the historical training dataset of the PEMS. Replacement of a non-critical sensor that does not cause an impact in the accuracy of the PEMS does not trigger a RATA. All sensors must be calibrated as often as needed but at least as often as recommended by the manufacturers.
* * * * *
      8.2.1  Reference Methods. Unless otherwise specified in the applicable regulations, you must use the test methods in Appendix A of this part for the RM test. Conduct the RM tests at three operating levels. The RM tests shall be performed at a low-load (or production) level between the minimum safe, stable load and  50 percent of the maximum level load, at the mid-load level (an intermediary level between the low and high levels), and at a high-load level between 80 percent and the maximum load. Alternatively, if practicable, you may test at three levels of the key operating parameter (e.g. selected based on a covariance analysis between each parameter and the PEMS output) equally spaced within the normal range of the parameter.
* * * * *
9.1  QA/QC Summary. Conduct the applicable ongoing tests listed below.
                                       

           Ongoing Quality Assurance Tests
                                     Test
                       PEMS Regulatory          Purpose
                                 Acceptability
                                   Frequency
Sensor Evaluation Check
All

Daily
RAA
Compliance
3-test avg  <=10% of simultaneous analyzer or RM  average
Each quarter except quarter when RATA performed
RATA
All
Same as for RA in Sec. 13.1
Yearly in quarter when RAA not performed
Bias Correction
All
If davg <= cc
Bias test passed (no correction factor needed)
PEMS Training
All
If Fcritical F r 0.8
Optional after initial and subsequent RATAs
Sensor Evaluation Alert Test (optional)
All
See Section 6.1.8
After each PEMS training

* * * * *
      9.3  Quarterly Relative Accuracy Audits. In the first year of operation after the initial certification, perform a RAA consisting of at least three 30-minute portable analyzer or RM determinations each quarter a RATA is not performed. To conduct a RAA, follow the procedures in Section 8.2 for the relative accuracy test, except that only three sets of measurement data are required, and the statistical tests are not required. The average of the three or more portable analyzer or RM determinations must not exceed the limits given in Section 13.5. Report the data from all sets of measurement data. If a PEMS passes all quarterly RAAs in the first year and also passes the subsequent yearly RATA in the second year, you may elect to perform a single mid-year RAA in the second year in place of the quarterly RAAs. This option may be repeated, but only until the PEMS fails either a mid-year RAA or a yearly RATA. When such a failure occurs, you must resume quarterly RAAs in the quarter following the failure and continue conducting quarterly RAAs until the PEMS successfully passes both a year of quarterly RAAs and a subsequent RATA.
      9.4  Yearly Relative Accuracy Test. Perform a minimum 9-run RATA at the normal operating level on a yearly basis in the quarter that the RAA is not performed. The statistical tests in Section 8.3 are not required for the yearly RATA.
* * * * *
      12.4  Relative Accuracy Audit. Calculate the quarterly RAA using Equation 16-9.
				Eq. 16-9	
	
* * * * *
      13.5  Relative Accuracy Audits. The average of the three  portable analyzer or RM determinations must not differ from the simultaneous PEMS average value by more than 10 percent of the analyzer or RM for concentrations greater than 100 ppm or 20 percent for concentrations between 100 and 20 ppm, or the test is failed. For measurements at 20 ppm or less, this difference must not exceed 2 ppm for a pollutant PEMS and 1 percent absolute for a diluents PEMS.
* * * * *	
	61.  In Procedure 1 of Appendix F by revising Section 6.2 as follows:
Procedure 1  --  Quality Assurance Requirements for Gas Continuous Emission Monitoring Systems Used for Compliance Determination
* * * * *
	6.2  RAA Accuracy Calculation. Use the calculation procedure in the relevant performance specification  to calculate the accuracy for the RAA. The RAA must be calculated in the units of the applicable emission standard.
* * * * *
         62. In Procedure 2 of Appendix F by revising paragraphs (3) and (4) in Section 12.0 as follows:
Procedure 2  --  Quality Assurance Requirements for Particulate Matter Continuous Emission Monitoring Systems at Stationary Sources
* * * * *
      12.0 * * * 
      (3) How do I calculate daily upscale and zero drift? You must calculate the upscale drift using Equation 2-2 and the zero drift using  Equation 2-3:
                         UD=RCEM-RUFSx100   (Eq. 2-2)
      
Where:
      UD = The upscale drift of your PM CEMS, in percent,
      RCEM= Your PM CEMS response to the upscale check value, and
      RU= The upscale check value.
      FS = Full-scale value.
                         ZD=RCEM-RLFSx100   (Eq. 2-3)
      
Where:
      ZD = The zero (low-level) drift of your PM CEMS, in percent,
      RCEM= Your PM CEMS response of the zero check value,
      RL= The zero check value, and
* * * 
      
      (4) How do I calculate SVA accuracy? You must use Equation 2-4 to calculate the accuracy, in percent, for each of the three SVA tests or the daily sample volume check:
                     Accuracy=(VR- VM)VRx100   (Eq. 2-4)
      
Where:
      VM= Sample gas volume determined/reported by your PM CEMS ( e.g., dscm),
      VR= Sample gas volume measured by the independent calibrated reference device ( e.g., dscm) for the SVA or the reference value for the daily sample volume check
.
      Note: Before calculating SVA accuracy, you must correct the sample gas volumes measured by your PM CEMS and the independent calibrated reference device to the same basis of temperature, pressure, and moisture content. You must document all data and calculations.
* * * * *
         63. In Procedure 5 of Appendix F by redesignating the second listing of Section 6.2.6 as Section 6.2.7. 
PART 61  -  NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS
         1. The authority citation for part 61 continues to read as follows:  42 U.S.C. 7401, et seq. 
§ 61.13  [Amended]
      2.  By revising § 61.13(e)(1)(i) to read as follows:
61.13  Emission tests and waiver of emission tests.
* * * * *
	(e)  * * *
	(1)  * * *
	(i) The source owner, operator, or representative of the tested facility shall obtain an audit sample, if commercially available, from an AASP for each test method used for regulatory compliance purposes. No audit samples are required for the following test methods: Methods 3A and 3C of Appendix A-3 of Part 60; Methods 6C, 7E, 9, and 10 of Appendix A-4 of Part 60; Method 18 and 19 of Appendix A-6 of Part 60; Methods 20, 22, and 25A of Appendix A-7 of Part 60; and Methods 303, 318, 320, and 321 of Appendix A of Part 63. If multiple sources at a single facility are tested during a compliance test event, only one audit sample is required for each method used during a compliance test. The compliance authority responsible for the compliance test may waive the requirement to include an audit sample if they believe that an audit sample is not necessary. "Commercially available" means that two or more independent AASPs have blind audit samples available for purchase. If the source owner, operator, or representative cannot find an audit sample for a specific method, the owner, operator, or representative shall consult the EPA web  site at the following URL, www.epa.gov/ttn/emc, to confirm whether there is a source that can supply an audit sample for that method. If the EPA web  site does not list an available audit sample at least 60 days prior to the beginning of the compliance test, the source owner, operator, or representative shall not be required to include an audit sample as part of the quality assurance program for the compliance test. When ordering an audit sample, the source owner, operator, or representative shall give the sample provider an estimate for the concentration of each pollutant that is emitted by the source or the estimated concentration of each pollutant based on the permitted level and the name, address, and phone number of the compliance authority. The source owner, operator, or representative shall report the results for the audit sample along with a summary of the emission test results for the audited pollutant to the compliance authority and shall report the results of the audit sample to the AASP. The source owner, operator, or representative shall make both reports at the same time and in the same manner or shall report to the compliance authority first and report to the AASP. If the method being audited is a method that allows the samples to be analyzed in the field and the tester plans to analyze the samples in the field, the tester may analyze the audit samples prior to collecting the emission samples provided a representative of the compliance authority is present at the testing site. The tester may request, and the compliance authority may grant, a waiver to the requirement that a representative of the compliance authority must be present at the testing site during the field analysis of an audit sample. The source owner, operator, or representative may report the results of the audit sample to the compliance authority and then report the results of the audit sample to the AASP prior to collecting any emission samples. The test protocol and final test report shall document whether an audit sample was ordered and utilized and the pass/fail results as applicable.
* * * * *
§61.33  [Amended]  
      3.  By revising §61.33(a) as follows: 
§ 61.33   Stack sampling.
      (a) Unless a waiver of emission testing is obtained under §61.13, each owner or operator required to comply with §61.32(a) shall test emissions from the source according to Method 104 of Appendix  B to this part or according to Method 29 of Appendix A to Part 60. Method 103 of Appendix  B to this part is approved by the Administrator as an alternative method for sources subject to §61.32(a). The emission test shall be performed -- 
       (1) Within 90 days of the effective date in the case of an existing source or a new source which has an initial startup date preceding the effective date; or
      (2) Within 90 days of startup in the case of a new source which did not have an initial startup date preceding the effective date.
* * * * *
         4. By revising §61.42(a) as follows: 
§ 61.42   Emission standard.
      (a) Emissions to the atmosphere from rocket-motor test sites shall not cause time-weighted atmospheric concentrations of beryllium to exceed 75 microgram minutes per cubic meter (ug-min/m[3] ) (4.68 x 10-9 pound minutes per cubic foot (lb-min/ft[3] )) of air within the limits of 10 to 60 minutes, accumulated during any 2 consecutive weeks, in any area in which an adverse effect to public health could occur.
* * * * *
         5.  By revising §61.53(d)(2) as follows: 
§ 61.53   Stack sampling.
* * * * *
      (d) * * * 
      (2) Method 101A in Appendix  B or Method 29 in Appendix A to part 60 shall be used to test emissions as follows:
      
      
* * * * *
         6. By revising §61.164(d)(2)(i), (e)(1)(i), and (e)(2) as follows: 
§ 61.164   Test methods and procedures.
* * * * *
      (d) * * * 
      (2) * * * 
      (i) Use Method 108 in Appendix  B to this part or Method 29 in Appendix A to part 60 for determining  the arsenic emission rate, g/hr (lb/hr). The emission rate shall equal the arithmetic mean of the results of three 60-minute test runs.
* * * * *
      (e) * * * 
      (1) * * * 
      (i) Use Method 108 in Appendix  B to this part or Method 29 in Appendix A to part 60 to determine the concentration of arsenic in the gas streams entering and exiting the control device. Conduct three 60-minute test runs, each consisting of simultaneous testing of the inlet and outlet gas streams. The gas streams shall contain all the gas exhausted from the glass melting furnace.
* * * * *
      (2) Calculate the percent emission reduction for each run as follows:
 			
      
Where:
      D = the percent emission reduction.
      Cb = the arsenic concentration of the stack gas entering the control device, as measured by Method 108 or Method 29.
 Ca = the arsenic concentration of the stack gas exiting the control device, as measured by Method 108 or Method 29.
* * * * *
         7. In Method 101 of Appendix B by redesignating Section 16 as Section 17 and redesignating Section 17 as Section 18, and by adding a new Section 16 as follows:
Method 101  -  Determination of Particulate and Gaseous Mercury Emissions From Chlor-Alkali Plants (Air Streams)
* * * * *
      16.0  Alternative Procedures
      16.1  Alternative Analyzer. Samples may also be analyzed by cold vapor atomic fluorescence spectrometry. 
* * * * *
         8.  In Method 101A of Appendix B by redesignating Section 16 as Section 17 and redesignating Section 17 as Section 18, and by adding a new Section 16 as follows:
Method 101A  -  Determination of Particulate and Gaseous Mercury Emissions From Sewage Sludge Incinerators
* * * * *
      16.0  Alternative Procedures
      16.1  Alternative Analyzers.  
      16.1.1  Inductively coupled plasma-atomic emission spectrometry (ICP-AES) may be used as an alternative to atomic absorption analysis provided the following conditions are met:
      16.1.1.1  Sample collection, sample preparation, and analytical preparation procedures are as defined in the method except as necessary for the ICP-AES application.
      16.1.1.2  The quality control procedures are conducted as prescribed.
      16.1.1.3  The limit of quantitation for the ICP-AES must be demonstrated and the sample concentrations reported should be no less than two times the limit of quantitation. The limit of quantitation is defined as ten times the standard deviation of the blank value. The standard deviation of the blank value is determined from the analysis of seven blanks. It has been reported that for mercury and those elements that form hydrides, a continuous-flow generator coupled to an ICP-AES offers detection limits comparable to cold vapor atomic absorption.
6.1.2  Samples may also be analyzed by cold vapor atomic fluorescence spectrometry. 
* * * * *
 
         9. In Method 102 in Appendix B by revising Section 8.1.1.1 as follows:
Method 102  -  Determination of Particulate and Gaseous Mercury Emissions from Chlor-Alkali Plants (Hydrogen Streams)
* * * * *
	8.1.1.1  Calibrate the meter box orifice. Use the techniques described in APTD-0576 (see Reference 9 in Section 17.0 of Method 5 of Appendix A to Part 60). Calibration of the orifice meter at flow conditions that simulate the conditions at the source is suggested. Calibration should either be done with hydrogen or with some other gas having a similar Reynolds Number so that there is similarity between the Reynolds Numbers during calibration and during sampling. Alternative mercury-free thermometers may be used if the thermometers are, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
 	10.  In Method 104 in Appendix B by revising Sections 4.1 and 11.5.3, by redesignating Sections 16 and 17 as Sections 17 and 18 respectively, and by adding a new Section 16 as follows:
Method 104  -  Determination of Beryllium Emissions From Stationary Sources
* * * * *
      4.1  Matrix Effects. Analysis for Be by flame atomic absorption spectrophotometry is sensitive to the chemical composition and to the physical properties ( e.g., viscosity, pH) of the sample. Aluminum and silicon, in particular, are known to interfere when present in appreciable quantities. The analytical procedure includes (optionally) the use of the Method of Standard Additions to check for these matrix effects, and sample analysis using the Method of Standard Additions if significant matrix effects are found to be present (see Reference 2 in Section 17 .0).
* * * * *
      11.5.3  Check for Matrix Effects (optional). Use the Method of Standard Additions (see Reference 2 in Section 17 .0) to check at least one sample from each source for matrix effects on the Be results. If the results of the Method of Standard Additions procedure used on the single source sample do not agree to within 5 percent of the value obtained by the routine atomic absorption analysis, then reanalyze all samples from the source using the Method of Standard Additions procedure.
* * * * *
16.0  Alternative Procedures
      16.1  Alternative Analyzer. Inductively coupled plasma-atomic emission spectrometry (ICP-AES) may be used as an alternative to atomic absorption analysis provided the following conditions are met:
      16.1.1  Sample collection, sample preparation, and analytical preparation procedures are as defined in the method except as necessary for the ICP-AES application.
      16.1.2  Quality Assurance/Quality Control procedures, including audit material analysis, are conducted as prescribed in the method. The QA acceptance conditions must be met.
      16.1.3  The limit of quantitation for the ICP-AES must be demonstrated and the sample concentrations reported should be no less than two times the limit of quantitation. The limit of quantitation is defined as ten times the standard deviation of the blank value. The standard deviation of the blank value is determined from the analysis of seven blanks. It has been reported that for mercury and those elements that form hydrides, a continuous-flow generator coupled to an ICP-AES offers detection limits comparable to cold vapor atomic absorption.
* * * * *
         11.  In Method 108 of Appendix B by redesignating Sections 16 and 17 as Sections 17 and 18 respectively, and by adding a new Section 16 as follows:
Method 108  -  Determination of Particulate and Gaseous Arsenic Emissions
* * * * *
16.0  Alternative Procedures
      16.1  Alternative Analyzer. Inductively coupled plasma-atomic emission spectrometry (ICP-AES) may be used as an alternative to atomic absorption analysis provided the following conditions are met:
      16.1.1  Sample collection, sample preparation, and analytical preparation procedures are as defined in the method except as necessary for the ICP-AES application.
      16.1.2  Quality Assurance/Quality Control procedures, including audit material analysis, are conducted as prescribed in the method. The QA acceptance conditions must be met.
      16.1.3  The limit of quantitation for the ICP-AES must be demonstrated and the sample concentrations reported should be no less than two times the limit of quantitation. The limit of quantitation is defined as ten times the standard deviation of the blank value. The standard deviation of the blank value is determined from the analysis of seven blanks. It has been reported that for mercury and those elements that form hydrides, a continuous-flow generator coupled to an ICP-AES offers detection limits comparable to cold vapor atomic absorption.
* * * * *
         12. In Method 108A of Appendix B by redesignating Sections 16 and 17 as Sections 17 and 18 respectively, and by adding a new Section 16 as follows:
Method 108A  -  Determination of Arsenic Content in Ore Samples from Nonferrous Smelters
* * * * *
16.0  Alternative Procedures
      16.1  Alternative Analyzer. Inductively coupled plasma-atomic emission spectrometry (ICP-AES) may be used as an alternative to atomic absorption analysis provided the following conditions are met:
      16.1.1  Sample collection, sample preparation, and analytical preparation procedures are as defined in the method except as necessary for the ICP-AES application.
      16.1.2  Quality Assurance/Quality Control procedures, including audit material analysis, are conducted as prescribed in the method.  The QA acceptance conditions must be met.
      16.1.3  The limit of quantitation for the ICP-AES must be demonstrated and the sample concentrations reported should be no less than two times the limit of quantitation. The limit of quantitation is defined as ten times the standard deviation of the blank value. The standard deviation of the blank value is determined from the analysis of seven blanks. It has been reported that for mercury and those elements that form hydrides, a continuous-flow generator coupled to an ICP-AES offers detection limits comparable to cold vapor atomic absorption.
* * * * *
PART 63  -  NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS FOR SOURCE CATEGORIES
         1.  The authority citation for part 63 continues to read as follows:  Authority:  42 U.S.C. 7401 et seq.
§63.7  [Amended]
         2.  By revising Section 63.7(c)(iii)(A) as follows:
§63.7  Performance testing requirements.
* * * * *
	(c)  * * *
	(2)  * * *
	(iii)  * * *
      (A) The source owner, operator, or representative of the tested facility shall obtain an audit sample, if commercially available, from an AASP for each test method used for regulatory compliance purposes. No audit samples are required for the following test methods: Methods 3A and 3C of Appendix A-3 of Part 60; Methods 6C, 7E, 9, and 10 of Appendix A-4 of Part 60; Methods 18 and 19 of Appendix A-6 of Part 60; Methods 20, 22, and 25A of Appendix A-7 of Part 60; and Methods 303, 318, 320, and 321 of Appendix A of Part 63. If multiple sources at a single facility are tested during a compliance test event, only one audit sample is required for each method used during a compliance test. The compliance authority responsible for the compliance test may waive the requirement to include an audit sample if they believe that an audit sample is not necessary. "Commercially available" means that two or more independent AASPs have blind audit samples available for purchase. If the source owner, operator, or representative cannot find an audit sample for a specific method, the owner, operator, or representative shall consult the EPA web  site at the following URL, www.epa.gov/ttn/emc, to confirm whether there is a source that can supply an audit sample for that method. If the EPA web  site does not list an available audit sample at least 60 days prior to the beginning of the compliance test, the source owner, operator, or representative shall not be required to include an audit sample as part of the quality assurance program for the compliance test. When ordering an audit sample, the source owner, operator, or representative shall give the sample provider an estimate for the concentration of each pollutant that is emitted by the source or the estimated concentration of each pollutant based on the permitted level and the name, address, and phone number of the compliance authority. The source owner, operator, or representative shall report the results for the audit sample along with a summary of the emission test results for the audited pollutant to the compliance authority and shall report the results of the audit sample to the AASP. The source owner, operator, or representative shall make both reports at the same time and in the same manner or shall report to the compliance authority first and report to the AASP. If the method being audited is a method that allows the samples to be analyzed in the field and the tester plans to analyze the samples in the field, the tester may analyze the audit samples prior to collecting the emission samples provided a representative of the compliance authority is present at the testing site. The tester may request, and the compliance authority may grant, a waiver to the requirement that a representative of the compliance authority must be present at the testing site during the field analysis of an audit sample. The source owner, operator, or representative may report the results of the audit sample to the compliance authority and then report the results of the audit sample to the AASP prior to collecting any emission samples. The test protocol and final test report shall document whether an audit sample was ordered and utilized and the pass/fail results as applicable.
* * * * *
§63.8  [Amended]
         3. By adding a sentence to the end of §63.8(f)(6)(iii) as follows: 
§63.8   Monitoring requirements.
* * * * *
      (f) * * * 
      (6) * * * 
      (iii) * * *  The Administrator will review the notification and may rescind permission to use an alternative and require the owner or operator to conduct a relative accuracy test of the CEMS as specified in section 8.4 of Performance Specification 2.
* * * * *
§63.144  [Amended]
         4.        By revising §63.144(b)(5)(i) by adding paragraphs (G) and (H) as follows: 
§63.144  Process wastewater provisions -- test methods and procedures for determining applicability and Group 1/Group 2 determinations (determining which wastewater streams require control).
* * * * *
      (b)* * * 
      (5)* * * 
      (i)* * * 
      (G) Method 8260B.  Use procedures specified in Method 8260B in the SW-846 Compendium of Methods.
      (H)  Method 316.  Use Method 316 to determine formaldehyde concentration.
* * * * *
§63.344  [Amended]
	5.  By adding §63.344(c)(5) as follows:
§63.344  Performance test requirements and test methods.
* * * * *
	(c)  * * *
	(5)  The South Coast Air Quality Management District (SCAQMD) Method 205.1 (which is available by contacting the South Coast AQMD, 21865 Copley Dr, Diamond Bar, CA 91765) may be used to determine the total chromium concentration from hard and decorative chromium electroplating tanks and chromium anodizing tanks.
* * * * *
§63.364  [Amended]
6. By revising §63.364(e) as follows: 
§63.364  Monitoring requirements.
* * * * *
	(e) Measure and record once per hour the ethylene oxide concentration at the outlet to the atmosphere after any control device according to the procedures specified in §63.365(c)(1). The owner or operator shall compute and record a 24-hour average daily. The owner or operator will install, calibrate, operate, and maintain a monitor consistent with the requirements of performance specification (PS) 8 or 9 in 40 CFR Part  60, Appendix  B, to measure ethylene oxide. The daily calibration requirements of section 7.2 of PS -9 or Section 13.1  of PS -8 are required only on days when ethylene oxide emissions are vented to the control device.
* * * * *
§63.365  [Amended]
         7.  By revising the introductory paragraph to §63.365(b) as follows: 
§63.365  Test methods and procedures.
* * * * *
      (b) Efficiency at the sterilization chamber vent.  California Air Resources Board (CARB) Method 431 or the  following procedures shall be used to determine the efficiency of all types of control devices used to comply with §63.362(c), sterilization chamber vent standard.
* * * * *
§63.565  [Amended]
         8.  By revising §63.565(d)(5), (8), and (10) and §63.565(g) as follows: 
§63.565  Test methods and procedures.
* * * * *
      (d)* * * 
      (5) Recovery devices. The average VOC concentration in the vent upstream and downstream of the control device shall be determined using Method 25A or 25B of Appendix  A to  part 60 of this chapter for recovery devices. The average VOC concentration shall correspond to the volume measurement by taking into account the sampling system response time.
* * * * *
      (8) Where Method 25, 25A, or 25B is used to measure the percent reduction in VOC, the percent reduction across the combustion or recovery device shall be calculated as follows:

      
Where:
      R = control efficiency of control device, percent.
      Ei = mass  flow rate of VOC at the inlet to the combustion or recovery device as calculated under paragraph (c)(7) of this section, kg/hr.
      Eo = mass flow rate of VOC at the outlet of the combustion or recovery device, as calculated under paragraph (c)(7) of this section, kg/hr.
* * * * *
      (10) Use of methods other than Method 25, 25A, or 25B  shall be validated pursuant to Method 301 of Appendix  A to  part 63 of this chapter.
* * * * *
      (g) Baseline outlet VOC concentration. The procedures in this paragraph shall be used to determine the outlet VOC concentration required in §63.563(b)(4), (6), (7), and (8) for combustion devices except flare, carbon adsorbers, condenser/refrigeration units, and absorbers, respectively, and to monitor the VOC concentration as required in §63.564(e), (g), (h), and (i). The owner or operator shall use the procedures outlined in Method 25A or 25B. For the baseline VOC concentration, the arithmetic average of the outlet VOC concentration from three test runs from paragraph (d) of this section shall be calculated for the control device. The VOC concentration shall be measured at least every 15 minutes. Compliance testing of VOC CEMS shall be performed using PS 8.
* * * * *
§63.750  [Amended]
         9.  By revising §63.750(o) as follows: 
§63.750  Test methods and procedures.
* * * * *
      (o) Inorganic HAP emissions -- dry particulate filter certification requirements. Dry particulate filters used to comply with §63.745(g)(2) or §63.746(b)(4) must be certified by the filter manufacturer or distributor, paint/depainting booth supplier, and/or the facility owner or operator using method 319 in Appendix  A of this part, to meet or exceed the efficiency data points found in Tables 1 and 2, or 3 and 4 of §63.745 for existing or new sources respectively.
* * * * *
§63.1251  [Amended]
         10.  By revising the definition of "process vent" in §63.1251 as follows:
§63.1251  Definitions.
* * * 
      Process vent means a vent from a unit operation or vents from multiple unit operations within a process that are manifolded together into a common header, through which a HAP-containing gas stream is, or has the potential to be, released to the atmosphere. Examples of process vents include, but are not limited to, vents on condensers used for product recovery, bottom receivers, surge control vessels, reactors, filters, centrifuges, and process tanks. Emission streams that are undiluted and uncontrolled containing less than 50 ppmv HAP, as determined through process knowledge that no HAP are present in the emission stream or using an engineering assessment as discussed in §63.1257(d)(2)(ii); test data using Method  18 of 40 CFR part 60, Appendix  A; Method 320 of 40 CFR part 63; or any other test method that has been validated according to the procedures in Method 301 of Appendix  A of this part, are not considered process vents. Process vents do not include vents on storage tanks regulated under §63.1253, vents on wastewater emission sources regulated under §63.1256, or pieces of equipment regulated under §63.1255.
* * * * *
§63.1511  [Amended]
         11. By revising §63.1511(c)(9) as follows: 
§63.1511   Performance test/compliance demonstration general requirements.
* * * * *
      (c)* * * 
      (9) Method 26A for the concentration of HCl. Where a lime-injected fabric filter is used as the control device to comply with the 90 percent reduction standard, the owner or operator must measure the fabric filter inlet concentration of HCl at a point before lime is introduced to the system. Method 26 may be used in place of Method 26A where it can be demonstrated that there are no water droplets in the emission stream. This can be demonstrated by showing that the vapor pressure of water in the emission stream that you are testing is less than the equilibrium vapor pressure of water at the emission stream temperature, and by certifying that the emission stream is not controlled by a wet scrubber.
* * * * *
         12. By revising Table 2 of Subpart CCCC as follows: 
Subpart CCCC -- National Emission Standards for Hazardous Air Pollutants: Manufacturing of Nutritional Yeast
* * * * *

Table 2 to Subpart CCCC of Part 63  --  Requirements for Performance Tests
As stated in §63.2161, if you demonstrate compliance by monitoring brew ethanol, you must comply with the requirements for performance tests in the following table:
[Brew Ethanol Monitoring Only]
For each fed-batch fermenter for which compliance is determined by monitoring brew ethanol concentration and calculating VOC concentration in the fermenter exhaust according to the procedures in §63.2161, you must...
                                   Using...
                  According to the following requirements...
1. Measure VOC as propane
Method 25A*, or an alternative validated by EPA Method 301* and approved by the Administrator
You must measure the VOC concentration in the fermenter exhaust at any point prior to the dilution of the exhaust stream.

*EPA Test Methods found in Appendix A of 40 CFR part 60
* * * * *
         13. By revising Table 4 in the appendix to Subpart UUUU as follows: 
Subpart UUUU -- National Emission Standards for Hazardous Air Pollutants for Cellulose Products Manufacturing
* * * * *
Table 4 to Subpart UUUU of Part 63  --  Requirements for Performance Tests
As required in §§63.5530(b) and 63.5535(a), (b), (g)(1), and (h)(1), you must conduct performance tests, other initial compliance demonstrations, and CEMS performance evaluations and establish operating limits according to the requirements in the following table:
                                   For . . .
                                   at . . .
                                you must . . .
                                  using . . .
                 according to the following requirements . . .
1. the sum of all process vents
a. each existing or new affected source
i. select sampling port's location and the number of traverse points;
EPA Method 1 or 1A in Appendix A to 40 CFR  §63.7(d)(1)(i);
sampling sites must be located at the inlet and outlet to each control device;
  

ii. determine velocity and volumetric flow rate;
EPA Method 2, 2A, 2C, 2D, 2F, or 2G in Appendix  A to part 60 of this chapter;
you may use EPA Method 2A, 2C, 2D, 2F, or 2G as an alternative to using EPA Method 2, as appropriate;
  

iii. conduct gas analysis; and,
(1) EPA Method 3, 3A, or 3B in Appendix  A to part 60 of this chapter; or,
you may use EPA Method 3A or 3B as an alternative to using EPA Method 3; or,
  

(2) ASME PTC 19.10 - 1981 -- Part 10; and,
you may use ASME PTC 19.10 - 1981 -- Part 10 (available for purchase from Three Park Avenue, New York, NY 10016 - 5990) as an alternative to using EPA Method 3B.

iv. measure moisture content of the stack gas.
EPA Method 4 in Appendix  A to part 60 of this chapter.

2. the sum of all viscose process vents
a. each existing or new viscose process source
i. measure total sulfide emissions
(1) EPA Method 15 in Appendix A to part 60 of this chapter; or
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
(b) you must conduct testing of emissions from continuous viscose process vents and combinations of batch and continuous viscose process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
(c) you must conduct testing of emissions from batch viscose process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and
(d) you must collect CPMS data during the period of the initial compliance demonstration and determine the CPMS operating limit during the period of the initial compliance demonstration; or
  

(2) carbon disulfide and/or hydrogen sulfide CEMS, as applicable;
(a) you must measure emissions at the inlet and outlet of each control device using CEMS;
(b) you must install, operate, and maintain the CEMS according to the applicable performance specification (PS - 7, PS - 8, PS - 9, or PS - 15) of 40 CFR part 60, appendix B; and
(c) you must collect CEMS emissions data at the inlet and outlet of each control device during the period of the initial compliance demonstration and determine the CEMS operating limit during the period of the initial compliance demonstration.
3. the sum of all solvent coating process vents
a. each existing or new cellophane operation
i. measure toluene emissions
(1) EPA Method 18 in Appendix A to part 60 of this chapter, or Method 320 in appendix A to part 63, or
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
(b) you may use EPA Method 18 or 320 to determine the control efficiency of any control device for organic compounds; for a combustion device, you must use only HAP that are present in the inlet to the control device to characterize the percent reduction across the combustion device;
  

(c) you must conduct testing of emissions from continuous solvent coating process vents and combinations of batch and continuous solvent coating process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
  

(d) you must conduct testing of emissions from batch solvent coating process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and
  

(e) you must collect CPMS data during the period of the initial compliance demonstration and determine the CPMS operating limit during the initial compliance demonstration; or
  

(2) ASTM D6420 - 99
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use ASTM D6420 - 99 (available for purchase from at least one of the following addresses: 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959; or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106) as an alternative to EPA Method 18 only where: the target compound(s) are those listed in Section 1.1 of ASTM D6420 - 99; and the target concentration is between 150 parts per billion by volume (ppbv) and 100 ppmv; for target compound(s) not listed in Section 1.1 of ASTM D6420 - 99, but potentially detected by mass spectrometry, the additional system continuing calibration check after each run, as detailed in Section 10.5.3 of the ASTM method, must be followed, met, documented, and submitted with the data report even if there is no moisture condenser used or the compound is not considered water soluble; and for target compound(s) not listed in Section 1.1 of ASTM D6420 - 99 and not amenable to detection by mass spectrometry, ASTM D6420 - 99 does not apply;
  

(c) you must conduct testing of emissions from continuous solvent coating process vents and combinations of batch and continuous solvent coating process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
  

(d) you must conduct testing of emissions from batch solvent coating process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and,
  

(e) you must collect CPMS data during the period of the initial compliance demonstration and determine the CPMS operating limit during the period of the initial compliance demonstration.
4. the sum of all cellulose ether process vents
a. each existing or new cellulose ether operation
i. measure total organic HAP emissions
(1) EPA Method 18 in Appendix A to part 60 of this chapter or Method 320 in appendix A to part 63, or
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use EPA Method 18 or 320 to determine the control efficiency of any control device for organic compounds; for a combustion device, you must use only HAP that are present in the inlet to the control device to characterize the percent reduction across the combustion device;
  

(c) you must conduct testing of emissions from continuous cellulose ether process vents and combinations of batch and continuous cellulose ether process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
  

(d) you must conduct testing of emissions from batch cellulose ether process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and
  

(e) you must collect CPMS data during the period of the initial performance test and determine the CPMS operating limit during the period of the initial performance test;
  

(2) ASTM D6420 - 99
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use ASTM D6420 - 99 (available for purchase from at least one of the following addresses: 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959; or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106) as an alternative to EPA Method 18 only where: the target compound(s) are those listed in Section 1.1 of ASTM D6420 - 99; and the target concentration is between 150 ppbv and 100 ppmv; for target compound(s) not listed in Section 1.1 of ASTM D6420 - 99, but potentially detected by mass spectrometry, the additional system continuing calibration check after each run, as detailed in Section 10.5.3 of the ASTM method, must be followed, met, documented, and submitted with the data report even if there is no moisture condenser used or the compound is not considered water soluble; and for target compound(s) not listed in Section 1.1 of ASTM D6420 - 99 and not amenable to detection by mass spectrometry, ASTM D6420 - 99 does not apply; target concentration is between 150 ppbv and 100 ppmv for target compound(s).
  

(c) you must conduct testing of emissions from continuous cellulose ether process vents and combinations of batch and continuous cellulose ether process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
  

(d) you must conduct testing of emissions from batch cellulose ether process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and
  

(e) you must collect CPMS data during the period of the initial performance test and determine the CPMS operating limit during the period of the initial performance test.
  

(3) EPA Method 25 in Appendix  A to part 60 of this chapter; or
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use EPA Method 25 to determine the control efficiency of combustion devices for organic compounds; you may not use EPA Method 25 to determine the control efficiency of noncombustion control devices;
  

(c) you must conduct testing of emissions from continuous cellulose ether process vents and combinations of batch and continuous cellulose ether process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
(d) you must conduct testing of emissions from batch cellulose ether process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and
  

(e) you must collect CPMS data during the period of the initial performance test and determine the CPMS operating limit during the period of the initial performance test; or
  

(4) EPA Method 25A in Appendix  A to part 60 of this chapter
(a) you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use EPA Method 25A if: an exhaust gas volatile organic matter concentration of 50 ppmv or less is required in order to comply with the emission limit; the volatile organic matter concentration at the inlet to the control device and the required level of control are such as to result in exhaust volatile organic matter concentrations of 50 ppmv or less; or because of the high control efficiency of the control device, the anticipated volatile organic matter concentration at the control device exhaust is 50 ppmv or less, regardless of the inlet concentration;
  

(c) you must conduct testing of emissions from continuous cellulose ether process vents and combinations of batch and continuous cellulose ether process vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535;
  

(d) you must conduct testing of emissions from batch cellulose ether process vents as specified in §63.490(c), except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and,
  

(e) you must collect CPMS data during the period of the initial performance test and determine the CPMS operating limit during the period of the initial performance test.
5. each toluene storage vessel
a. each existing or new cellophane operation
i. measure toluene emissions
(1) EPA Method 18 in Appendix A to part 60 of this chapter or Method 320 in appendix A to part 63 ; or
(a) if venting to a control device to reduce emissions, you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use EPA Method 18 or 320 to determine the control efficiency of any control device for organic compounds; for a combustion device, you must use only HAP that are present in the inlet to the control device to characterize the percent reduction across the combustion device;
  

(c) you must conduct testing of emissions from continuous storage vessel vents and combinations of batch and continuous storage vessel vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535 for continuous process vents;
  

(d) you must conduct testing of emissions from batch storage vessel vents as specified in §63.490(c) for batch process vents, except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and,
  

(e) you must collect CPMS data during the period of the initial compliance demonstration and determine the CPMS operating limit during the period of the initial compliance demonstration; or
  

(2) ASTM D6420 - 99
(a) if venting to a control device to reduce emissions, you must conduct testing of emissions at the inlet and outlet of each control device;
  

(b) you may use ASTM D6420 - 99 (available for purchase from at least one of the following addresses: 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959; or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106) as an alternative to EPA Method 18 only where: the target compound(s) are those listed in Section 1.1 of ASTM D6420 - 99, and the target concentration is between 150 ppbv and 100 ppmv; for target compound(s) not listed in Section 1.1 of ASTM D6420- 99, but potentially detected by mass spectrometry, the additional system continuing calibration check after each run, as detailed in Section 10.5.3 of the ASTM method, must be followed, met, documented, and submitted with the data report even if there is no moisture condenser used or the compound is not considered water soluble; and for target compound(s) not listed in Section 1.1 of ASTM D6420 - 99 and not amenable to detection by mass spectrometry, ASTM D6420 - 99 does not apply;
  

(c) you must conduct testing of emissions from continuous storage vessel vents and combinations of batch and continuous storage vessel vents at normal operating conditions, as specified in §§63.7(e)(1) and 63.5535 for continuous process vents;
  

(d) you must conduct testing of emissions from batch storage vessel vents as specified in §63.490(c) for batch process vents, except that the emission reductions required for process vents under this subpart supersede the emission reductions required for process vents under subpart U of this part; and,
  

(e) you must collect CPMS data during the period of the initial compliance demonstration and determine the CPMS operating limit during the period of the initial compliance demonstration.
6. the sum of all process vents controlled using a flare
a. each existing or new affected source
i. measure visible emissions
(1) EPA Method 22 in Appendix  A to part 60 of this chapter
(a) you must conduct the flare visible emissions test according to §63.11(b).
7. equipment leaks
a. each existing or new cellulose ether operation
i. measure leak rate
(1) applicable equipment leak test methods in §63.180; or
(a) you must follow all requirements for the applicable equipment leak test methods in §63.180; or
  

(2) applicable equipment leak test methods in §63.1023
(a) you must follow all requirements for the applicable equipment leak test methods in §63.1023.
8. all sources of wastewater emissions
a. each existing or new cellulose ether operation
i. measure wastewater HAP emissions
(1) applicable wastewater test methods and procedures in §§63.144 and 63.145; or
(a) You must follow all requirements for the applicable wastewater test methods and procedures in §§63.144 and 63.145; or
  

(2) applicable wastewater test methods and procedures in §§63.144 and 63.145, using ASTM D5790 - 95 as an alternative to EPA Method 624 in Appendix  A to part 163 of this chapter
(a) you must follow all requirements for the applicable waste water test methods and procedures in §§63.144 and 63.145, except that you may use ASTM D5790 - 95 (available for purchase from at least one of the following addresses: 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959; or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106) as an alternative to EPA Method 624, under the condition that this ASTM method be used with the sampling procedures of EPA Method 25D or an equivalent method.
9. any emission point
a. each existing or new affected source using a CEMS to demonstrate compliance
i. conduct a CEMS performance evaluation
(1) applicable requirements in §63.8 and applicable performance specification (PS - 7, PS - 8, PS - 9, or PS - 15) in Appendix  B to part 60 of this chapter
(a) you must conduct the CEMS performance evaluation during the period of the initial compliance demonstration according to the applicable requirements in §63.8 and the applicable performance specification (PS - 7, PS - 8, PS - 9, or PS - 15) of 40 CFR part 60, Appendix  B;
(b) you must install, operate, and maintain the CEMS according to the applicable performance specification (PS - 7, PS - 8, PS - 9, or PS - 15) of 40 CFR part 60, Appendix  B; and
(c) you must collect CEMS emissions data at the inlet and outlet of each control device during the period of the initial compliance demonstration and determine the CEMS operating limit during the period of the initial compliance demonstration.

* * * * *
         14. By revising Table 4 in the appendix to Subpart ZZZZ as follows: 
Subpart ZZZZ -- National Emission Standards for Hazardous Air Pollutants for Stationary Reciprocating Internal Combustion Engines
* * * * *
Table 4 to Subpart ZZZZ of Part 63 -- Requirements for Performance Tests
[As stated in §§63.6610, 63.6611, 63.6620, and 63.6640, you must comply with the following requirements for performance tests for stationary RICE]
                                For each . . .
                    Complying with the
requirement to . . .
                                You must . . .
                                  Using . . .
                 According to the following requirements . . .
1. 2SLB, 4SLB, and CI stationary RICE
a. Reduce CO emissions
i. Measure the O2 at the inlet and outlet of the control device; and
(1) Portable CO and O2 analyzer
(a) Using ASTM D6522 - 00 (2005)[a] (heated probe not necessary; single-point sampling) (incorporated by reference, see §63.14). Measurements to determine O2 must be made at the same time as the measurements for CO concentration.
  
  
ii. Measure the CO at the inlet and the outlet of the control device.
(1) Portable CO and O2 analyzer
(a) Using ASTM D6522 - 00 (2005)a (heated probe not necessary; single-point sampling) (incorporated by reference, see §63.14) or Method 10 of 40 CFR part 60, appendix A. The CO concentration must be at 15 percent O2, dry basis.
2. 4SRB stationary RICE
a. Reduce formaldehyde emissions
i. Sample at the centroid of the exhaust; 

(a) Sampling sites must be located at the inlet and outlet of the control device.
  
  
ii. Measure O2 at the inlet and outlet of the control device; 
(1) Method 3 or 3A or 3B of 40 CFR part 60, Appendix  A, or ASTM Method D6522 - 00 (2005) (heated probe not necessary; single-point sampling).
(a) Measurements to determine O2 concentration must be made at the same time as the measurements for formaldehyde concentration.
  
  
iii. Measure moisture content at the inlet and outlet of the control device; and,
(1) Method 4 of 40 CFR part 60, Appendix  A, or Test Method 320 of 40 CFR part 63, Appendix  A, or ASTM D 6348 - 03
(a) Measurements to determine moisture content must be made at the same time and location as the measurements for formaldehyde concentration.
  
  
iv. Measure formaldehyde at the inlet and the outlet of the control device.
(1) Method 320 or 323 of 40 CFR part 63, Appendix  A; or ASTM D6348 - 03[b], provided in ASTM D6348 - 03 Annex A5 (Analyte Spiking Technique), the percent R must be greater than or equal to 70 and less than or equal to 130
(a) Formaldehyde concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.
3. Stationary RICE
a. Limit the concentration of formaldehyde in the stationary RICE exhaust
i. Sample at the centroid of the exhaust; 

(a) If using a control device, the sampling site must be located at the outlet of the control device.
  
  
ii. Determine the O2 concentration of the stationary RICE exhaust at the sampling port location; 
(1) Method 3 or 3A or 3B of 40 CFR part 60, Appendix  A, or ASTM Method D6522 - 00 (2005) (heated probe not necessary; single-point sampling).
(a) Measurements to determine O2 concentration must be made at the same time and location as the measurements for formaldehyde concentration.
  
  
iii. Measure moisture content of the stationary RICE exhaust at the sampling port location; and,
(1) Method 4 of 40 CFR part 60, Appendix  A, or Test Method 320 of 40 CFR part 63, Appendix  A, or ASTM D 6348 - 03
(a) Measurements to determine moisture content must be made at the same time and location as the measurements for formaldehyde concentration.
  
  
iv. Measure formaldehyde at the exhaust of the stationary RICE.
(1) Method 320 or 323 of 40 CFR part 63, Appendix  A; or ASTM D6348 - 03[b], provided in ASTM D6348 - 03 Annex A5 (Analyte Spiking Technique), the percent R must be greater than or equal to 70 and less than or equal to 130
(a) Formaldehyde concentration must be at 15 percent O2, dry basis. Results of this test consist of the average of the three 1-hour or longer runs.

[a]You may also use Methods 3A and 10 as options to ASTM - D6522 - 00 (2005). You may obtain a copy of ASTM - D6522 - 00 (2005) from at least one of the following addresses: American Society for Testing and Materials, 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959, or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106.
[b]You
 may obtain a copy of ASTM - D6348 - 03 from at least one of the following addresses: American Society for Testing and Materials, 100 Barr Harbor Drive, West Conshohocken, PA 19428 - 2959, or University Microfilms International, 300 North Zeeb Road, Ann Arbor, MI 48106.

* * * * *
         15. In Method 306 of Appendix A by revising Sections 2.2.1, 6.1.4, and 8.0 as follows: 
Method 306 -- Determination of Chromium Emissions From Decorative and Hard Chromium Electroplating and Chromium Anodizing Operations -- Isokinetic Method
* * * * *
      2.2.1  Total chromium samples with high chromium concentrations (>=35 ug/L) may be analyzed using inductively coupled plasma emission spectrometry (ICP) at 267.72 nm.
      Note: The ICP analysis is applicable for this method only when the solution analyzed has a Cr concentration greater than or equal to 35 ug/L or five times the method detection limit as determined according to Appendix B in 40 CFR part 136.  Similarly, inductively coupled plasma-mass spectroscopy (ICP-MS) may be used for total chromium analysis provided the procedures for ICP-MS analysis described in Method 6020 or 6020A (EPA Office of Solid Waste, publication SW-846) are followed .
* * * * *
	6.1.4  Operating and maintenance procedures for the sampling train are described in APTD - 0576 of Method 5. Users should read the APTD - 0576 document and adopt the outlined procedures. Alternative mercury-free thermometers may be used if the thermometers are, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
      8.0  Sample Collection, Preservation, Holding Times, Storage, and Transport
Note: Prior to sample collection, consideration should be given to the type of analysis (Cr[+6] or total Cr) that will be performed. Which analysis option(s) will be performed will determine which sample recovery and storage procedures will be required to process the sample.
* * * * *
         16. In Method 306A of Appendix A by revising Section 8.2 as follows: 
Method 306A  --  Determination of Chromium Emissions From Decorative and Hard Chromium Electroplating and Chromium Anodizing Operations
* * * * *
      8.2  Sample Recovery. After the train has been transferred to the sample recovery area, disconnect the tubing that connects the jar/impingers. The tester shall select either the total Cr or Cr+[6] sample recovery option. Samples to be analyzed for both total Cr and Cr+6 shall be recovered using the Cr+6 sample option (Section 8.2.2). Note: Collect a reagent blank sample for each of the total Cr or the Cr+6 analytical options. If both analyses (Cr and Cr+6) are to be conducted on the samples, collect separate reagent blanks for each analysis. Also, since particulate matter is not usually present at chromium electroplating and/or chromium anodizing operations, it is not necessary to filter the Cr[+6] samples unless there is observed sediment in the collected solutions. If it is necessary to filter the Cr[+6] solutions, please refer to Method 0061, Determination of Hexavalent Chromium Emissions from Stationary Sources, Section 7.4, Sample Preparation in SW-846 (see Reference 1).
* * * * *
         17. In Method 308 of Appendix A by revising Section 10.1.3 as follows: 
Method 308  --  Procedure for Determination of Methanol Emission From Stationary Sources
* * * * *
      10.1.3  Temperature Sensors. Calibrate against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
         18. In Method 315 of Appendix A by revising Sections 6.1.1 and 10.5 and by redesignating Section 8.11 as 8.1 and revising as follows: 
Method 315  --  Determination of Particulate and Methylene Chloride Extractable Matter (MCEM) From Selected Sources at Primary Aluminum Production Facilities
* * * * *
	6.1.1  Sampling train. A schematic of the sampling train used in this method is shown in Figure 5 - 1, Method 5, 40 CFR part 60, Appendix  A. Complete construction details are given in APTD - 0581 (Reference 2 in section 17.0 of this method); commercial models of this train are also available. For changes from APTD - 0581 and for allowable modifications of the train shown in Figure 5 - 1, Method 5, 40 CFR part 60, Appendix  A, see the following subsections. Note: The operating and maintenance procedures for the sampling train are described in APTD - 0576 (Reference 3 in section 17.0 of this method). Since correct usage is important in obtaining valid results, all users should read APTD - 0576 and adopt the operating and maintenance procedures outlined in it, unless otherwise specified herein.  Alternative mercury-free thermometers may be used if the thermometers are, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application. The use of grease for sealing sampling train components is not recommended because many greases are soluble in methylene chloride. The sampling train consists of the following components:
* * * * *
      8.1  Pretest preparation. It is suggested that sampling equipment be maintained according to the procedures described in APTD - 0576. Alternative mercury-free thermometers may be used if the thermometers are at a minimum equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
      10.5  Temperature sensors. Use the procedure in Section  10.3 of Method 2, 40 CFR part 60, Appendix  A to calibrate in-stack temperature sensors. Dial thermometers, such as are used for the DGM and condenser outlet, shall be calibrated against mercury-in-glass thermometers. An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * *
         19. In Method 316 of Appendix A by revising Section 10.5 as follows: 
Method 316  --  Sampling and Analysis for Formaldehyde Emissions From Stationary Sources in the Mineral Wool and Wool Fiberglass Industries
* * * * *
      10.5  Temperature gauges: Use the procedure in Section  4.3 of EPA  Method 2 to calibrate in-stack temperature gauges. Dial thermometers, such as are used for the dry gas meter and condenser outlet, shall be calibrated against mercury-in-glass thermometers.  An alternative mercury-free thermometer may be used if the thermometer is, at a minimum, equivalent in terms of performance or suitably effective for the specific temperature measurement application.
* * * * * 
         20. In Method 321 of Appendix A by revising the definition for the term "Df" after equation (2) in Section 9.3.1 as follows: 
Test Method 321 -- Measurement of Gaseous Hydrogen Chloride Emissions at Portland Cement Kilns by Fourier Transform Infrared (FTIR) Spectroscopy
* * * * *
	9.3  * * *
	DF = Dilution  Factor (Total flow/Spike flow). Total  flow = spike flow plus effluent flow.
* * * * *