Source: http://laws.justice.gc.ca/eng/regulations/SOR-2012-167/FullText.html
Timestamp: 2018-01-19 23:14:12
Document Index: 336720526

Matched Legal Cases: ['art 1', 'art 2', 'art 3', 'art 4', 'ART 1', 'ART 4']

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Regulations are current to 2017-12-11 and last amended on 2015-07-01. Previous Versions
Registration 2012-08-30
P.C. 2012-1060 2012-08-30
Whereas, pursuant to subsection 332(1)Footnote a of the Canadian Environmental Protection Act, 1999 Footnote b, the Minister of the Environment published in the Canada Gazette , Part I, on August 27, 2011, a copy of the proposed Reduction of Carbon Dioxide Emissions from Coal-fired Generation of Electricity Regulations , substantially in the annexed form, and persons were given an opportunity to file comments with respect to the proposed Regulations or to file a notice of objection requesting that a board of review be established and stating the reasons for the objection;
Therefore, His Excellency the Governor General in Council, on the recommendation of the Minister of the Environment and the Minister of Health, pursuant to subsections 93(1)and 330(3.2)Footnote d of the Canadian Environmental Protection Act, 1999 Footnote b, makes the annexed Reduction of Carbon Dioxide Emissions from Coal-fired Generation of Electricity Regulations .
Return to footnote dS.C. 2008, c. 31, s. 5
1 (1) These Regulations establish a regime for the reduction of carbon dioxide (CO2) emissions that result from the production of electricity by means of thermal energy using coal as a fuel, whether in conjunction with other fuels or not.
(2) These Regulations are divided into four Parts as follows:
(a) Part 1 sets out a performance standard for the intensity of CO2 emissions from regulated units and provides for exceptions based on the substitution of units and for temporary exemptions in relation to emergencies and units integrated with carbon capture and storage systems;
(b) Part 2 sets out requirements for the reporting, sending, recording and retention of information;
(c) Part 3 sets out quantification rules for determining the intensity of CO2 emissions from regulated units; and
(d) Part 4 provides dates for the coming into force of these Regulations and, in particular, delays the coming into force of the performance standard in respect of standby units until January 1, 2030.
ASTM means ASTM International, formerly known as the American Society for Testing and Materials. (ASTM)
auditor means a person who
(a) is independent of the responsible person who is to be audited; and
(i) the certification, operation and relative accuracy test audit (RATA) of continuous emission monitoring systems, and
(ii) quality assurance and quality control procedures in relation to those systems. (vérificateur)
(a) in respect of a responsible person that is a corporation, an officer of the corporation who is authorized to act on its behalf;
(b) in respect of a responsible person that is an individual, that person or a person authorized to act on that individual’s behalf; and
(c) in respect of a responsible person that is another entity, a person authorized to act on that other entity’s behalf. (agent autorisé)
biomass means a fuel that consists only of non-fossilized, biodegradable organic material that originates from plants or animals but does not come from a geological formation, and includes gases and liquids recovered from organic waste. (biomasse)
(a) for 2015, the period of six consecutive months that begins on July 1, 2015; and
(b) in any other case, the period of 12 consecutive months that begins on January 1. (année civile)
capacity factor, in respect of a unit in a calendar year, means the ratio of the quantity of electricity referred to in section 19 that is produced by the unit to the quantity of electricity that would be produced by the unit in the calendar year if it were to operate at its production capacity at all times during the calendar year. (facteur de capacité)
coal includes petroleum coke and synthetic gas that is derived from coal or petroleum coke. (charbon)
commissioning date means
(a) for an electricity generator that began producing electricity by means of thermal energy using a fuel other than coal, and not in conjunction with coal, but that was converted into a unit before June 23, 2010, the day on which that generator began to produce electricity for sale to the electric grid using fuel other than coal, and not in conjunction with coal; and
(b) in any other case, the day on which a unit begins to produce electricity for sale to the electric grid. (date de mise en service)
existing unit means a unit that is neither an old unit nor a new unit. (groupe existant)
fossil fuel means a fuel other than biomass. (combustible fossile)
front end engineering design study
étude d’ingénierie d’avant-projet détaillé
front end engineering design study means a collection of studies that provide the necessary details to support the carrying out of a construction project for the capture element of a carbon capture and storage system, including
(a) technical drawings and documents that describe the capture element in sufficient detail to permit the tendering of a contract for its construction;
(b) an estimation of the capital cost of the capture element with a margin of error of ± 20%;
(c) a safety review of the capture element;
(d) a risk assessment of the carbon capture and storage system, namely an assessment of the risks that may delay or prevent the completion of the construction of the system, including technical, economic, environmental, legal and labour-related risks;
(e) a strategy to mitigate those risks; and
(f) a detailed plan to carry out the construction of the carbon capture and storage system, including a schedule for the completion of its major steps. (étude d’ingénierie d’avant-projet détaillé)
système de gazéification
gasification system includes a gasification system that is in part located underground. (système de gazéification)
GPA means the Gas Processors Association of the United States. (GPA)
équipement majeur
major equipment means a boiler, gasifier, shift reactor, turbine, air pollution control device, air separation unit, compressor, CO2 separation system or other equipment that
(a) is manufactured in accordance with specifications in its purchase order and takes more than 12 months after the date of the purchase order to be manufactured and delivered; or
(b) costs $10,000,000 or more. (équipement majeur)
new unit means a unit, other than an old unit, whose commissioning date is on or after July 1, 2015. (groupe nouveau)
groupe en fin de vie utile
old unit means a unit that has reached the end of its useful life but continues to produce electricity. (groupe en fin de vie utile)
operator means the person that operates or has the charge, management or control of a unit. (exploitant)
power plant means all units, buildings and other structures and all stationary equipment — including equipment for the separation and initial pressurization of CO2 of the capture element of a carbon capture and storage system — on a single site, or on adjacent sites that function as a single integrated site, whose primary purpose is the production of electricity for sale to the electric grid. (centrale électrique)
production capacity, in relation to a unit and a calendar year, means
(a) the maximum continuous rating of the unit, expressed in MW, as most recently reported to a provincial authority of competent jurisdiction or to the electric system operator in the province where the unit is located; or
(b) if no report has been made, the most electricity that was produced for sale by the unit, expressed in MW, during two continuous hours in that calendar year. (capacité de production)
Reference Method means the document entitled Reference Method for Source Testing: Quantification of Carbon Dioxide Releases by Continuous Emission Monitoring Systems from Thermal Power Generation , June 2012, published by the Department of the Environment. (Méthode de référence)
responsible person means an owner or operator of a unit. (personne responsable)
standard m3 has the meaning assigned to a cubic metre at standard pressure and standard temperature by the definition standard volume in subsection 2(1) of the Electricity and Gas Inspection Regulations . (m3 normalisé)
standby unit means an old unit that, for a given calendar year, operates at a capacity factor of 9% or less. (groupe de réserve)
unit means physically connected equipment located in a power plant — including boilers and other combustion devices, gasifiers, reactors, turbines, generators and emission control devices — that operates together to produce electricity by means of thermal energy using coal as a fuel, whether in conjunction with other fuels or not. (groupe)
useful life, in respect of a unit, means the period that begins on the commissioning date and ends on
(a) for a unit other than a unit referred to in paragraph (a) of the definition commissioning date,
(i) in the case of a unit whose commissioning date is before 1975, the earlier of
(A) December 31 of the calendar year that is 50 years after the commissioning date, and
(B) December 31, 2019; and
(ii) in the case of a unit whose commissioning date is after 1974 but before 1986, the earlier of
(B) December 31, 2029, and
(iii) in any other case, December 31 of the calendar year that is 50 years after the commissioning date, and
(b) for a unit referred to in paragraph (a) of the definition commissioning date, 18 months after the applicable date described in subparagraph (a)(i), (ii) or (iii). (vie utile)
Marginal note:Interpretation of incorporated documents
(2) For the purposes of interpreting documents incorporated by reference into these Regulations, “should” must be read to mean “must” and any recommendation or suggestion must be read as an obligation.
Marginal note:Standards incorporated by reference
(3) Any standard of the ASTM or GPA that is incorporated by reference into these Regulations is incorporated as amended from time to time.
PART 1Regulated Units and Emission Limit
Emission-intensity Limit
Marginal note:Limit — 420t/GWh
3 (1) A responsible person for a new unit or an old unit must not, on average, emit with an intensity of more than 420 tonnes CO2 emissions from the combustion of fossil fuels in the unit for each GWh of electricity produced by the unit during a calendar year.
Marginal note:Quantification of electricity and emissions
(2) The quantity of
(a) electricity referred to in subsection (1) is to be determined in accordance with section 19; and
(b) emissions referred to in subsection (1) are to be determined in accordance with the applicable provisions of sections 20 to 24.
Marginal note:CO2 released from sorbent
(3) The CO2 emissions released from the use of sorbent to control the emission of sulphur dioxide from a unit are to be included as CO2 emissions from the combustion of fossil fuels in that unit for the purpose of subsection (1).
Marginal note:Coal gasification systems
(4) Emissions from a gasification system that produces synthetic gas derived from coal or petroleum coke that is used as a fuel to produce electricity from a unit referred to in subsection (1) are to be included as emissions from that unit, for the purpose of subsection (1), if that coal gasification system has at least one responsible person in common with that unit.
Marginal note:CCS excluded
(5) The CO2 emissions from a unit referred to in subsection (1) do not include emissions that are captured in accordance with the laws of Canada or a province that regulate that capture and that are transported and stored in accordance with the laws of Canada or a province, or of the United States or one of its states, that regulate that transportation or storage, as the case may be.
Marginal note:Partial year application
(6) For greater certainty, if subsection (1) applies in respect of a unit only for a period during a calendar year, that period is considered to be the calendar year for the purpose of that subsection.
4 (1) A responsible person for a unit must register the unit by sending to the Minister a registration report that contains the information set out in Schedule 1
(a) for an existing unit and an old unit, on or before February 1, 2013; and
(b) for a new unit, on or before 30 days after its commissioning date.
(2) On receipt of the registration report, the Minister must assign a registration number to the unit and inform the responsible person of that registration number.
(3) If the information provided in the registration report changes, the responsible person must send a notice to the Minister that provides the updated information not later than 30 days after the change.
Substitution of Units and Deferred Application
Marginal note:Application of subsection 3(1) — substituted units
5 (1) For the purpose of subsection 3(1), a responsible person for a unit (referred to in this section as the “original unit”) that reaches the end of its useful life during a calendar year may apply to the Minister to have another unit (referred to in this section as the “substituted unit”) substituted for the original unit if the following conditions are satisfied:
(a) the substituted unit is an existing unit;
(b) the original unit and the substituted unit have a common owner who has an ownership interest of 50% or more in each of those two units;
(c) those two units are located in the same province; and
(d) the production capacity of the substituted unit, during the calendar year preceding the calendar year in which the application is made, was equal to or greater than the production capacity of the original unit during that preceding calendar year.
Marginal note:Period of application
(2) The application must be made
(a) if the original unit reaches the end of its useful life during a calendar year before 2015, in the period that begins on January 1, 2014 and that ends on May 31, 2014; and
(b) if the original unit reaches the end of its useful life during a calendar year after 2014, in the period that begins on January 1 and that ends on May 31 of that calendar year.
(3) The application must include the registration number of the original unit and of the substituted unit and information, with supporting documentation, to demonstrate that the conditions of paragraphs (1)(b) to (d) are satisfied.
Marginal note:Granting of substitution
(4) The Minister must, within 30 days after receiving the application, grant the substitution if the following conditions are satisfied:
(a) the substituted unit is not a shut-down unit referred to in subsection 6(4);
(b) the substituted unit is not involved in an exemption granted under subsection 14(4); and
(c) the Minister is satisfied that the conditions of paragraphs (1)(a) to (d) are satisfied.
(5) On the granting of the substitution, subsection 3(1) applies in respect of the substituted unit rather than the original unit as of the later of
(a) July 1, 2015, and
(b) the beginning of the calendar year that follows the calendar year in which the application is made.
(6) The substitution referred to in subsection (5) ceases to have effect, and subsection 3(1) applies in respect of the original unit, as of the earliest of
(a) the calendar year that follows the day on which the responsible person for that unit and the substituted unit sends the Minister a notice indicating that they wish the substitution to no longer have an effect,
(b) the calendar year that follows the day on which the condition of paragraph (1)(b) is no longer satisfied,
(c) the calendar year that follows a calendar year during which the production capacity of the original unit was more than the production capacity of the substituted unit referred to in paragraph (1)(d),
(d) the calendar year that follows the end of the useful life of the substituted unit, and
(e) a calendar year during which electricity is produced by the substituted unit by means of thermal energy using fossil fuel other than coal, and not in conjunction with coal.
SOR/2012-167, s. 5.
Marginal note:Deferral of application of subsection 3(1)
6 (1) A responsible person for an existing unit that ceases to produce electricity after June 30, 2015 (referred to in this section as the “shut-down unit”) may apply to the Minister to have the application of subsection 3(1) deferred in respect of another unit or units (referred to in this section as the “deferred units”) for the number of years in the period that begins on January 1 of the calendar year that follows that cessation and that ends on December 31 of the calendar year in which the useful life of the shut-down unit ends. If the application is granted, the application of subsection 3(1) is, in respect of each calendar year in that period, deferred for the deferred unit and the calendar year that begins after the end of that deferred unit’s useful life that the responsible person specifies in their application.
Marginal note:Conditions of application for deferral
(2) The application may be made only if the following conditions are satisfied:
(a) the shut-down unit and each of the specified deferred units have a common owner who has an ownership interest of 50% or more in the shut-down unit and in each of those specified deferred units;
(b) the shut-down unit and each of those specified deferred units are located in the same province; and
(c) the production capacity of the shut-down unit, during the calendar year preceding the day on which it ceased production, was greater than or equal to the production capacity of each of those specified deferred units during the calendar year preceding the day on which the application was made.
(3) The application must be made on or before May 31 of the calendar year preceding the earliest of the specified calendar years referred to in subsection (1) and must
(a) indicate the calendar years included in the period referred to in subsection (1);
(b) specify the deferred unit referred to in subsection (1) in respect of each of the calendar years referred to in paragraph (a);
(c) for each of those specified deferred units in respect of each of those calendar years, specify the calendar year that begins after the end of the useful life of the unit for which the application of subsection 3(1) is to be deferred;
(d) indicate the registration number of the shut-down unit and of each of the specified deferred units; and
(e) include information, with supporting documentation, to demonstrate that the conditions of paragraphs (2)(a) to (c) are satisfied.
Marginal note:Granting of deferral
(4) The Minister must, within 30 days after receiving the application, grant the deferral if the following conditions are satisfied:
(a) the shut-down unit is not a substituted unit referred to in subsection 5(5);
(b) no deferred unit is a unit that is involved in a temporary exemption granted under subsection 9(3); and
(c) the Minister is satisfied that the conditions of paragraphs (2)(a) to (c) are satisfied;
Marginal note:No recommencement of shut-down unit
(5) It is prohibited for any person to cause the shut-down unit to recommence producing electricity after the application of subsection 3(1) is deferred in respect of a specified deferred unit.
Marginal note:Changes to deferred units
(6) The responsible person referred to in subsection (1) may change the specified deferred unit in respect of a specified calendar year referred to in paragraph (3)(c) by sending a notice to the Minister if that specified calendar year is not one for which the application of subsection 3(1) has been deferred. The notice must include
(a) the registration number of the proposed new specified deferred unit;
(b) the calendar year that begins after the end of the useful life of the proposed new specified deferred unit for which the application of subsection 3(1) is to be deferred; and
(c) information, with supporting documentation, to demonstrate that the conditions of paragraphs (2)(a) and (b) are satisfied in respect of the proposed new specified deferred unit and the condition of paragraph (2)(c) is satisfied in respect of each specified deferred unit, including the proposed new specified deferred unit, during the calendar year preceding the day on which the notification is sent.
Marginal note:Allowance of changes
(7) The Minister must, within 30 days after receiving the notification, allow the change if the Minister is satisfied that the demonstration referred to in subsection (6) has been made.
(8) Despite subsection (1), the deferral ceases to have effect and subsection 3(1) applies in respect of the specified deferred units as of the earliest of
(a) the calendar year that follows the calendar year in which the application is made, if a shut-down unit referred to in subsection (1) has not ceased to produce electricity by January 1 of that following calendar year,
(b) any calendar year in which a shut-down unit referred to in subsection (1) recommences to produce electricity,
(c) the calendar year that follows the day on which the Minister receives a notice from the responsible person for the shut-down unit and the deferred units indicating that they wish the deferral to no longer have an effect,
(d) the calendar year that follows the day on which the condition of paragraph (2)(a) is no longer satisfied, and
(e) the calendar year that follows a specified calendar year referred to in paragraph (3)(c) in which the specified deferred unit referred to in that paragraph had a production capacity greater than the production capacity of the shut-down unit during the calendar year preceding the day on which it ceased production.
7 (1) A responsible person for a unit may, under emergency circumstances described in subsection (2), apply to the Minister for an exemption from the application of subsection 3(1) in respect of the unit if the following conditions are satisfied:
(a) as a result of the emergency circumstances, there is a disruption, or a significant risk of disruption, to the electricity supply in the province where the unit is located; and
(b) the operation of the unit will end, decrease the risk of, or mitigate the consequences of, the disruption.
Marginal note:Criteria of emergency circumstances
(2) An emergency circumstance is a circumstance
(a) that arises due to an extraordinary, unforeseen and irresistible event; or
(b) under which one or more of the measures referred to in paragraph 1(a) of the Regulations Prescribing Circumstances for Granting Waivers Pursuant to Section 147 of the Act has been made or issued in the province where the unit is located.
(3) The responsible person must, within 15 days after the emergency circumstance arises, provide the Minister with their application. The application must include the unit’s registration number, the date on which the emergency circumstance arose and information, with supporting documentation, to demonstrate that the conditions of paragraphs (1)(a) and (b) are satisfied.
Marginal note:Granting of exemption
(4) The Minister must, within 30 days after receiving the application, grant the exemption if the Minister is satisfied that the conditions of paragraphs (1)(a) and (b) are satisfied.
Marginal note:Period of exemption
(5) The exemption has effect as of the day on which the emergency circumstance arose and ceases to have effect on the earliest of
(a) the day that is 90 days after that day,
(b) the day specified by the Minister, and
(c) the earlier of
(i) the day on which the event referred to in paragraph (2)(a) ceases to cause a disruption, or a significant risk of disruption, to the electricity supply in the province where the unit is located, and
(ii) the day on which the measure, if any, referred to in paragraph (2)(b) ceases to be in effect.
8 (1) If paragraphs 7(1)(a) and (b) will continue to apply on and after the day on which an exemption granted under subsection 7(4) is to cease to have effect, the responsible person may, before that day, apply to the Minister for an extension of the exemption.
(2) The application must include the unit’s registration number and information, with supporting documentation, to demonstrate that
(a) paragraphs 7(1)(a) and (b) will continue to apply after the day on which the exemption is to cease to have effect; and
(b) steps — other than the operation of the unit during the period of the exemption — have been, and are being, taken to end, decrease the risk of, or mitigate the consequences of, the disruption.
Marginal note:Granting of extension
(3) The Minister must, within 15 days after receiving the application, grant the extension if the Minister is satisfied that paragraphs (2)(a) and (b) have been demonstrated.
(4) The extension ceases to have effect on the earliest of
(a) the day that is 90 days after the day on which the application for the extension was made,
(c) the day referred to in paragraph 7(5)(c).
Temporary Exemption — System to be Constructed
9 (1) A responsible person for a new unit or an old unit may apply to the Minister for a temporary exemption from the application of subsection 3(1) in respect of the unit if
(a) in the case of a new unit, the unit is designed to permit its integration with a carbon capture and storage system; and
(b) in the case of an old unit, the unit may be retrofitted to permit its integration with a carbon capture and storage system.
Marginal note:Granting and content of application
(2) The application must indicate the unit’s registration number and include the following supporting documents and information:
(a) a declaration that includes statements indicating that
(i) based on the economic feasibility study referred to in paragraph (b), the unit, when operating with an integrated carbon capture and storage system is, to the best of the responsible person’s knowledge and belief, economically viable, and
(ii) based on the technical feasibility study referred to in paragraph (c) and the implementation plan referred to in paragraph (e), the responsible person expects to satisfy the requirements set out in section 10 and, as a result, to be in compliance with subsection 3(1) by January 1, 2025;
(b) an economic feasibility study that demonstrates the economic viability of the unit when it operates with an integrated carbon capture and storage system and that
(i) provides project cost estimates, with their margin of error, for the construction of the integrated carbon capture and storage system, and
(ii) identifies the source of financing for that construction;
(c) a technical feasibility study that establishes — based on information referred to in Schedule 2 related to the capture, transportation and storage elements of the carbon capture and storage system — that there are no insurmountable technical barriers to carrying out the following activities:
(i) capturing a sufficient volume of CO2 emissions from the combustion of fossil fuels in the unit to enable the responsible person to comply with subsection 3(1),
(ii) transporting the captured CO2 emissions to suitable geological sites for storage, and
(iii) storing the captured CO2 emissions in those suitable geological sites;
(d) a description of any work that has been done to satisfy the requirements set out in section 10, along with the information referred to in Schedule 3 with respect to that work; and
(e) an implementation plan that provides a description of the work to be done, with a schedule for the steps necessary to achieve the following objectives:
(i) satisfaction of the requirements set out in section 10, and
(ii) compliance of the responsible person with subsection 3(1) by January 1, 2025 when the unit is operating with an integrated carbon capture and storage system that captures CO2 emissions from the combustion of fossil fuels in the unit in accordance with the laws of Canada or a province that regulate that capture and that transports and stores those emissions in accordance with the laws of Canada or a province, or of the United States or one of its states, that regulate that transportation or storage, as the case may be.
Marginal note:Granting of temporary exemption
(3) The Minister must, within 120 days after receiving the application, grant the temporary exemption if
(a) the application includes the documents referred to in subsection (2); and
(b) the information contained in those documents can reasonably be regarded as establishing that
(i) the unit, when operating with an integrated carbon capture and storage system, will be economically viable,
(ii) the capture, transportation and storage elements of the carbon capture and storage system will be technically feasible,
(iii) if applicable, a requirement set out in section 10 has been satisfied by work done before the application was made, and
(iv) the responsible person will satisfy the requirements set out in section 10 and, as a result, will be in compliance with subsection 3(1) by January 1, 2025 when the unit is operating with an integrated carbon capture and storage system.
(4) A temporary exemption, unless revoked under section 13, remains in effect until December 31, 2024.
10 A responsible person who has been granted a temporary exemption in respect of a unit under subsection 9(3) must satisfy the following requirements:
(a) carry out a front end engineering design study is to be carried out by January 1, 2020;
(b) purchase any major equipment that is necessary for the capture element is to be purchased by January 1, 2021;
(c) enter into any contract required for the transportation and storage of CO2 emissions from the unit is to be entered into by January 1, 2022;
(d) take all necessary steps to obtain all permits or approvals required in relation to the construction of the capture element are to be taken by January 1, 2022; and
(e) ensure that the unit, when operating with an integrated carbon capture and storage system, captures CO2 emissions from the combustion of fossil fuels in the unit in accordance with the laws of Canada or a province that regulate that capture and transports and stores those emissions in accordance with the laws of Canada or a province, or of the United States or one of its states, that regulate that transportation or storage, as the case may be, by January 1, 2024.
Marginal note:Implementation report
11 (1) A responsible person who has been granted a temporary exemption in respect of a unit must, for each calendar year following the granting of the temporary exemption, provide the Minister with an implementation report that indicates the unit’s registration number and includes supporting documents that contain the following information:
(a) the steps taken during that year to construct the capture, transportation and storage elements of the carbon capture and storage system and to integrate those elements with the unit;
(b) any requirement set out in section 10 that was satisfied during that year, along with the information and documents referred to in Schedule 3;
(c) a description of the manner in which those steps were carried out or those requirements were satisfied;
(d) any changes, with respect to the information most recently provided to the Minister, to the proposed engineering design for the capture element, to the preferred transportation methods or routes or to the preferred storage sites, for the carbon capture and storage system; and
(e) a description of any steps necessary, with a schedule for those steps, to achieve the following objectives:
(i) the satisfaction of any requirements set out in section 10 that remain to be satisfied, and
(ii) the compliance of the responsible person with subsection 3(1) by January 1, 2025 when the unit is operating with an integrated carbon capture and storage system that captures CO2 emissions from the combustion of fossil fuels in the unit in accordance with laws of Canada or a province that regulate that capture and transports and stores those emissions in accordance with laws of Canada or a province, or of the United States or one of its states, that regulate, as the case may be, that transportation or storage.
(2) The implementation report must be provided by March 31 of the calendar year that follows the calendar year in question.
Marginal note:Updated information
12 If any event occurs or any circumstance arises that may prejudice the ability of the responsible person to achieve an objective referred to in paragraph 11(1)(e), the responsible person must send to the Minister, without delay, a notice that indicates the unit’s registration number and contains the following information:
(a) a description of the event or circumstance and the nature of the prejudice;
(b) an explanation of how the prejudice is to be overcome in order to ensure that the objective will be achieved; and
(c) in relation to that explanation, an update to any information previously provided to the Minister under paragraphs 11(1)(c) to (e), together with any necessary supporting documents.
Marginal note:Revocation — non-satisfaction or misleading information
13 (1) The Minister must revoke a temporary exemption granted under subsection 9(3) if
(a) the responsible person does not satisfy a requirement set out in section 10; or
(b) any information indicated or contained in the application for the temporary exemption, in an implementation report referred to in section 11 or in a notice referred to in section 12 is false or misleading.
Marginal note:Revocation — implementation report or reasonable grounds
(2) The Minister may revoke the temporary exemption if
(a) the responsible person has not provided an implementation report in accordance with section 11;
(b) there are reasonable grounds for the Minister to believe that the carbon capture and storage system will not operate so as to capture, transport and store CO2 emissions as described in paragraph 10(e) by the date referred to in that paragraph; or
(c) there are reasonable grounds for the Minister to believe that the responsible person will not emit CO2 from the combustion of fossil fuels in the unit in accordance with subsection 3(1) by January 1, 2025.
Marginal note:Reasons and representations
(3) The Minister must not revoke the temporary exemption under subsection (1) or (2) unless the Minister has provided the responsible person with
Twenty-four Month Exemption — Existing Unit with System
14 (1) A responsible person for an old unit may, on application made to the Minister, be exempted from the application of subsection 3(1) in respect of the old unit for a period of 24 consecutive months that begins on January 1 of the calendar year that follows the calendar year in which the application is made if the following conditions are satisfied:
(a) an existing unit and the old unit have a common owner who has a ownership interest of 50% or more in each of those two units;
(b) the production capacity of the existing unit, during the calendar year preceding the calendar year in which the application is made, was equal to or greater than the production capacity of the old unit during that preceding calendar year;
(c) the existing unit and the old unit are located in the same province;
(d) the quantity of CO2 emissions from the combustion of fossil fuels in the existing unit are determined in an accordance with a system or method referred to in subsection 20(1);
(e) the quantity of CO2 emissions from the combustion of fossil fuels in the existing unit that are captured, transported and stored is determined using a direct measure of the flow of, and the concentration of CO2 in, the emissions from that combustion of fuel;
(f) the emissions referred to in paragraph (e) are captured in accordance with the laws of Canada or a province that regulate that capture and are transported and stored in accordance with the laws of Canada or a province, or of the United States or one of its states, that regulate that transportation or storage, as the case may be;
(g) the emissions referred to in paragraph (e) are captured, transported and stored for a period of seven consecutive calendar years;
(h) the emissions referred to in paragraph (e) comprise at least 30% of the quantity of CO2 emissions produced from the combustion of fossil fuels in the existing unit for each calendar year during that seven-year period; and
(i) the existing unit does not reach the end of its useful life during that seven-year period.
(2) A responsible person for an old unit must apply for the exemption before September 1 of the calendar year preceding the calendar year for which the exemption is sought.
(3) The application must include the registration number of the old unit and of the existing unit and information, with supporting documentation, to demonstrate that
(a) the conditions of paragraphs (1)(a) to (f), (h) and (i) are satisfied; and
(b) at least 30 consecutive months of the period referred to in paragraph (g) have occurred before the day on which the application is made.
(4) The Minister must, within 30 days after receiving the application, grant the exemption if
(a) no exemption referred to in subsection (1) has been previously granted in respect of the old unit;
(b) no exemption referred to in subsection (1) that involved the existing unit has been previously granted;
(c) the existing unit referred to in subsection (1) is not a substituted unit referred to in subsection 5(5); and
(d) the Minister is satisfied that the requirements set out in subsection (3) are satisfied.
Marginal note:Obligation to capture 30% of CO2 emissions
(5) A responsible person who has been exempted under subsection (4) in respect of an existing unit must ensure that the conditions of paragraphs (1)(a) to (f), (h) and (i) are satisfied for the portion of the period referred to in paragraph (1)(g) that remains after the occurrence of the period of consecutive months described in paragraph (3)(b).
is the quantity of electricity that is used by the power plant in which the unit is located during the calendar year to operate infrastructure and equipment that is attributed to the unit for electricity generation and for separation, but not for pressurization, of CO2, expressed in GWh , determined in accordance with an appropriate method of attribution, based on data collected using meters that comply with the requirements of the Electricity and Gas Inspection Act and the Electricity and Gas Inspection Regulations .
Marginal note:Measuring devices — installation, maintenance and calibration
25 (1) A responsible person for a unit must install, maintain and calibrate any measuring device — other than a CEMS referred to in paragraph 20(1)(a) and any measuring device that is subject to the Electricity and Gas Inspection Act — that is used for the purpose of section 3 or 15 in accordance with the manufacturer’s instructions or any applicable generally recognized national or international industry standard.
(2) The responsible person must calibrate each of those measuring devices at the greater of the following two frequencies:
(a) at least once in every calendar year but at least five months after a previous calibration, and
(b) the minimum frequency recommended by the manufacturer.
Marginal note:Accuracy of measurements
(3) Each of those measuring devices must enable measurements to be made with a margin of error of ± 5%.
Marginal note:CEMS
26 (1) A responsible person who uses a CEMS referred to in paragraph 20(1)(a) for the purpose of section 3 or 15 must ensure that the Reference Method is complied with.
(2) Before a CEMS referred to in paragraph 20(1)(a) is used for the purpose of that paragraph, it must be certified by the responsible person in accordance with section 5 of the Reference Method.
(3) For each calendar year during which a responsible person uses a CEMS referred to in paragraph 20(1)(a), an auditor must
(b) ensure that the Quality Assurance/Quality Control manual has been updated in accordance with sections 6.1 and 6.5.2 of the Reference Method; and
(c) assess whether, in the auditor’s opinion, the responsible person complied with the Reference Method and the CEMS met the specifications set out in the Reference Method, in particular, in its sections 3 and 4.
(4) The responsible person must obtain a report, signed by the auditor, that contains the information set out in Schedule 6 and send the auditor’s report to the Minister with their annual report referred to in section 15.
Fuel Sampling and Testing Requirements
Marginal note:Fuel sampling
27 (1) The determination of the value for the elements related to carbon content and higher heating values referred to in sections 21 to 24 must be based on fuel samples taken in accordance with this section.
(2) Each fuel sample must be taken at a time and location in the fuel handling system of the power plant that provides the following representative sample of the fuel combusted at the following minimum frequency:
(a) for coal other than synthetic gas derived from coal or derived from petroleum coke, one composite sample, during each week that the unit produces electricity, that is prepared in accordance with ASTM D2013 / D2013M - 11, entitled Standard Practice for Preparing Coal Samples for Analysis , and that consists of sub-samples taken at least twice from coal that was fed for combustion during that week and at least 48 hours apart, in accordance with
(i) ASTM D2234 / D2234M - 10, entitled Standard Practice for Collection of a Gross Sample of Coal , or
(ii) ASTM D7430 - 11ae1, entitled Standard Practice for Mechanical Sampling of Coal ;
(b) for a type of solid fuel other than coal, one composite sample per month that consists of sub-samples of fuel of that type, each having the same mass, that were taken from fuel that was fed for combustion during each week that begins in that month and during which the unit produces electricity and that were taken at least 48 hours after any previous sub-sample and after all fuel treatment operations had been carried out but before any mixing of the fuel from which the sub-sample is taken with other fuels;
(c) for a type of liquid fuel and of a gaseous fuel other than natural gas, one sample per quarter, with each sample of fuel of that type being taken at least one month after any previous sample has been taken; and
(d) for natural gas, two samples per calendar year, with each sample being taken at least four months after any previous sample has been taken.
Marginal note:Additional samples
(3) For greater certainty, the responsible person who takes, for the purpose of these Regulations, more samples than the minimum required under subsection (2) must make the determination referred to in subsection (1) based on each sample — and, in the case of composite samples, each sub-sample — taken, including those additional samples.
Marginal note:Missing Data
28 (1) Subject to subsections (2) and (3), if, for any reason beyond the responsible person’s control, the emission-intensity referred to in subsection 3(1) cannot be determined in accordance with a formula set out in any of sections 19 and 21 to 24 because data required to determine the value of an element of that formula has not been obtained for a given period during a calendar year, replacement data for that given period obtained in accordance with an appropriate method must be used to determine that value.
Marginal note:Replacement data — CEMS
(2) If a CEMS referred to in paragraph 20(1)(a) is used for the determination of an element of a formula set out in section 21 but data has not been obtained for that determination during a given period, the replacement data is to be obtained in accordance with section 3.5.2 of the Reference Method.
Marginal note:Replacement data — Fuel-based methods
(3) If a fuel-based method referred to in paragraph 20(1)(b) is used for the determination of an element — related to the higher heating value, carbon content or molecular mass of a fuel — of a formula set out in any of sections 21 to 24 for which data has not been obtained during a given period, the replacement data is to be the average of the determinations for that element, using the fuel-based method in question, during the equivalent period prior to and, if available, subsequent to that given period. However, if the determination of that element is not available during the equivalent period prior to that given period, the replacement data is to be the determination for that element, using the fuel-based method in question, during the equivalent period subsequent to the given period.
Marginal note:Replacement data — multiple periods
(4) During a calendar year, there may be more than one given period, but replacement data may be obtained under subsection (1) or (3) for a maximum of 28 days during the calendar year, distributed among any or all of those periods.
PART 4Coming into Force
29 (1) Subject to subsections (2) and (3), these Regulations come into force on July 1, 2015.
(2) Sections 1, 2 and 4, subsections 5(1) to (4) and sections 9 to 14 and 29 come into force on January 1, 2013.
Marginal note:January 1, 2030
(3) Section 3, in respect of standby units, comes into force on January 1, 2030.
SCHEDULE 1(Subsection 4(1))Registration Report — Information Required
(a) an indication of whether they are the owner or operator of the unit and their name and civic address;
(b) the name, title, civic and postal addresses, telephone number and, if any, email address and fax number, of their authorized official; and
(c) the name, title, civic and postal addresses, telephone number and, if any, email address and fax number, of a contact person, if different from the authorized official.
2 The following information respecting the unit:
(a) for each responsible person for the unit, other than the responsible person mentioned in paragraph 1(a), if any
(i) their name and civic address,
(ii) an indication of whether they are an owner or operator, and
(iii) in the case of an owner, their percentage of ownership interest;
(b) its name and civic address, if any;
(c) if applicable, its National Pollutant Release Inventory identification number assigned by the Minister for the purpose of section 48 of the Act;
(d) for an existing or old unit
(i) the calendar year in which it reaches, or has reached, the end of its useful life, and
(ii) an indication of whether it will cease to produce electricity for sale before July 1, 2015 and, if known, the date by which it will cease production;
(e) its commissioning date; and
(f) its production capacity.
SCHEDULE 2(Paragraph 9(2)(c))Technical Feasibility Study — Information Required
1 The following information respecting the capture element of the carbon capture and storage system:
(a) a description of how the emissions are to be captured, including a preliminary engineering design and a description of the preferred technology and processes to be used;
(b) a description of the principal modifications to the unit that are needed for its integration with the capture element to enable the responsible person to comply with subsection 3(1) of these Regulations;
(c) an identification of any major equipment to be installed and of any other significant equipment to be modified or replaced;
(d) process flow diagrams and mass and energy balances, including external energy inputs;
(e) a summary of auxiliary energy loads;
(f) an estimate of the unit’s production capacity when it is operating with an integrated capture element;
(g) an estimate of the unit’s gross quantity of electricity produced for a calendar year — set out in the description of Ggross in subsection 19(1) of these Regulations — when it is operating with an integrated capture element;
(h) an estimate of the rate of capture of CO2 emissions and of the volume of CO2 emissions, expressed in standard m3, to be captured for a calendar year and for the operating life of the unit;
(i) a preliminary resource analysis for the unit when it is operating with an integrated capture element, including water consumption, heat and power consumption, raw material consumption and fuel consumption;
(j) documents establishing that adequate space has been set aside at the power plant in which the unit is located and that adequate access is to be provided for the purpose of installing the required equipment, including site plans that show
(i) the outline and location of all significant electricity generating equipment, carbon capture equipment and compression equipment, as well as any ancillary equipment necessary, sized to capture the sufficient volume of CO2 referred to in subparagraph 9(2)(c)(i) of these Regulations,
(ii) all areas that are to be used for carrying out the construction of the capture element, and
(iii) the point of exit of the pipeline to transport the captured CO2 emissions from the power plant to the storage site, if the captured CO2 emissions are not stored at the power plant;
(k) an identification of the potential risks and obstacles, based on the preferred capture technology, to the construction and operation of the capture element integrated with the unit;
(l) a list of each environmental, safety and other approval or permit that is required for the construction or operation of the unit integrated with the capture element; and
(m) a list of potential suppliers of equipment, materials or services that are needed for the construction and operation of the unit integrated with the capture element.
2 The following information respecting the transportation element of the carbon capture and storage system:
(a) an identification of, and justification for, one or more preferred transport methods and routes to an appropriate geological storage site referred to in paragraph 3(b), supported by a routing map and a geographic information system (GIS) file for each method and route;
(b) the expected location and size of pumping stations, of receipt and delivery points and of any interconnects on the pipeline for each preferred route;
(c) an estimation of the diameter of the pipeline for each preferred route that is required to transport the sufficient volume of CO2 referred to in subparagraph 9(2)(c)(i) of these Regulations;
(d) if applicable, a detailed description of how any tankers that are to be used to transport the captured CO2 emissions are to be obtained and, if required, commissioned and a plan detailing how any required port infrastructure for shipping the captured CO2 emissions on those tankers is to be developed;
(e) an identification of the potential risks and obstacles, for each preferred route, to the construction and operation of the pipeline or shipping network along that route, including any surface or subsurface land use that may conflict with that construction or operation, along with an explanation of how those risks and obstacles are to be overcome ;
(f) a list of each environmental, safety and other approval or permit that is required for the construction or operation of the transportation element; and
(g) a list of potential suppliers of equipment, materials or services that are needed for the construction and operation of the transportation element.
3 The following information respecting the storage element of the carbon capture and storage system:
(a) an estimation of the volume of CO2 emissions, expressed in standard m3, to be captured and stored during each calendar year and over the anticipated operating life of the unit;
(b) an identification of one or more suitable geological sites for storage that are expected to be used to store the captured CO2 emissions, supported by a delineation of the geographical extent of each storage site and at least one study showing that the required capacity to store the sufficient volume of CO2 referred to in subparagraph 9(2)(c)(i) of these Regulations is available based on generally accepted national or international protocols for storage capacity estimation;
(c) an identification of any requirement under federal or provincial laws for the purity of captured CO2 emissions, along with an explanation of how that requirement is to be met;
(d) a preliminary assessment of the integrity of the storage element in preserving an impervious barrier to leakage of stored CO2 emissions and of any risk to breaching that integrity, at each feasible storage site referred to in paragraph (b), along with a preliminary strategy to mitigate the risk;
(e) a preliminary plan for measuring and verifying the volume of stored CO2 emissions and for monitoring any leak of the stored CO2 emissions from the storage element;
(f) an identification of any surface or subsurface land use that may conflict with the operation of the storage element at each feasible storage site referred to in paragraph (b), along with an explanation of how the conflict is to be resolved in order to ensure access to each of those sites;
(g) a list of each environmental, safety and other approval or permit that is required for the construction or operation of the storage element; and
(h) a list of potential suppliers of equipment, materials or services that are needed for the construction and operation of the storage element for each feasible site referred to in paragraph (b).
SCHEDULE 4(Section 15)Annual Report — Information Required
(c) its registration number and, if applicable, its National Pollutant Release Inventory identification number assigned by the Minister for the purpose of section 48 of the Act;
(d) if applicable, the number of other units located at the power plant in which the unit is located and, for each of those other units, the information referred to in paragraph (a); and
(e) if applicable, a statement that indicates that the unit shares a common stack with one or more of those other units, along with a statement that identifies each of those other units.
3 The following information respecting the emission-intensity referred to in subsection 3(1) of these Regulations from the combustion of fuel in the unit — other than a unit referred to in paragraph 4(d) — during the calendar year:
(a) the emission-intensity for the unit, namely the ratio of the quantity of CO2 emissions referred to in paragraph (c) to the quantity of electricity referred to in subparagraph (b)(i), expressed in tonnes per GWh;
(b) in respect of the quantity of electricity produced by the unit
(i) that quantity determined in accordance with section 19 of these Regulations, expressed in GWh,
(ii) the value determined for Ggross and Gaux in the formula set out in subsection 19(1) of these Regulations, expressed in GWh,
(iii) the gross electricity produced by the units located at the power plant for the calendar year, namely the sum of the value determined for Ggross referred to in subparagraph (ii) and of the gross electricity produced by all other units located at the power plant determined in accordance with that description of Ggross,
(iv) the quantity of electricity, expressed in GWh, that is used by the power plant in which the unit is located during the calendar year to operate infrastructure and equipment for electricity generation and for separation, but not pressurization, of CO2, based on data collected using meters that comply with the requirements of the Electricity and Gas Inspection Act and the Electricity and Gas Inspection Regulations ,
(v) if that calendar year is the calendar year referred to in subsection 19(2) of these Regulations for which a method of attribution was first used, a detailed description of that method of attribution and an explanation of why it is appropriate, and
(vi) if that calendar year is a subsequent calendar year referred to in subsection 19(3) of these Regulations, a detailed description of the method of attribution referred to in that subsection used for that subsequent calendar year and an explanation of why it is appropriate;
(c) in respect of the quantity of CO2 emissions from the combustion of fuels in the unit,
(i) if paragraph 20(1)(a) of these Regulations applies for the determination of that quantity,
(A) that quantity, expressed in tonnes, determined in accordance with section 21 of these Regulations,
(B) the values, expressed in tonnes, determined for Eu, Ebio and Enon-ccs in the formula set out in subsection 21(1) of these Regulations,
(C) a statement that indicates which of paragraphs (a) and (b) of the description of that Ebio was used to determine the value of that element, and
(D) the value, expressed in tonnes, determined for Es in the formula set out in subparagraph 21(2)(d)(ii) of these Regulations, and
(ii) if paragraph 20(1)(b) of these Regulations applies for the determination of that quantity,
(A) that quantity, expressed in tonnes, determined in accordance with section 22 of these Regulations and, as the case may be, section 23 or 24 of these Regulations,
(B) the values, expressed in tonnes, determined for Ei for each fuel combusted, and for Eccs, in the formula in section 22 of these Regulations,
(C) the value, expressed in tonnes, determined for Es in the formula set out in subparagraph 21(2)(d)(ii) of these Regulations,
(D) a statement for each fuel combusted that indicates which of section 23 and 24 of these Regulations was used to determine the quantity referred to in clause (A),
(E) if that quantity was determined in accordance with section 23 of these Regulations,
(I) the value of CCA in the formula set out in paragraph 23(1)(a), (b) or (c) of these Regulations, as the case may be, for each fuel combusted, and
(II) a statement that indicates which of the ASTM standards and of the methods referred to in the description of CCi in the formula in subsection 23(2) of these Regulations were used to determine the value of CCA referred to in subclause (I) or, for a sample of gaseous fuel, that indicates that a direct measuring device was used to determine that value, and
(F) if that quantity was determined in accordance with section 24 of these Regulations,
(I) for each fuel combusted,
1. its type,
2. a statement that indicates which of paragraphs 24(2)(a) to (d) of these Regulations describes the fuel, and
3. in the case of a fuel described by paragraph 24(2)(b) of these Regulations, the average daily rate at which the fuel was combusted,
(II) if paragraph 24(1)(a) of these Regulations applies,
1. the value of HHV, as described in paragraph (a) of that element, in the formula set out in subsection 24(4) of these Regulations, for each fuel combusted,
2. if the fuel’s type is set out in column 1 of the applicable table to Schedule 5, its default CO2 emission factor as set out in column 3 and, if that fuel’s type is not so set out, the default CO2 emission factor for that fuel’s type established by a body that is internationally recognized as being competent to establish default CO2 emission factors for fuels and a statement that indicates the name of the body, and
3. a statement that indicates which of the ASTM and GPA standards and of the methods referred to in subsection 24(6) of these Regulations were used to determine the measured value of HHV referred to in sub-subclause 1 or, for a gaseous fuel, that indicates that a direct measuring device was used to determine that measured value, and
(III) if paragraph 24(1)(b) of these Regulations applies
1. the default value of HHV, as described in paragraph (b) of that element, in the formula set out in subsection 24(4) of these Regulations, for each fuel combusted,
3. if the fuel’s type is set out in column 1 of the applicable table to Schedule 5, its default CO2 emission factor as set out in column 3 and, if that fuel’s type is not so set out, the default CO2 emission factor for that fuel’s type established by a body that is internationally recognized as being competent to establish default CO2 emission factors for fuels and a statement that indicates the name of the body;
(d) if applicable, documents that establish that the captured CO2 emissions were captured, transported and stored as described in subsection 3(5) of these Regulations;
(e) if applicable, the quantity of CO2 emissions that were captured, determined using a direct measure of the flow of, and the concentration of CO2 in, those emissions; and
(f) for each type of fuel combusted,
(i) the type and, if that type is biomass, an explanation of why that type is biomass as defined in subsection 2(1) of these Regulations, and
(ii) the quantity of fuel combusted.
4 Information for the calendar year respecting
(a) the number of hours during which the unit produced electricity;
(b) if a substituted unit referred to in subsection 5(1) of these Regulations has been substituted for an original unit, the production capacity of that substituted unit;
(c) for a standby unit, the capacity factor for the standby unit;
(d) for a unit granted an exemption under subsection 7(4) of these Regulations,
(i) the emergency period for the calendar year, namely, the period that begins on the first day in the calendar year on which the emergency existed and that ends on the last day in the calendar year on which it existed,
(ii) the number of hours in the emergency period during which the unit operated, and
(iii) the information referred to in item 3 for each emergency period for, and any other period of, the calendar year; and
(e) for an existing unit referred to in subsection 14(4) of these Regulations, the percentage of CO2 emissions from the unit that are captured, transported and stored, along with supporting documents to establish the validity of that percentage.
5 A copy of the auditor’s report referred to in subsection 26(4) of these Regulations.
6 If replacement data referred to in section 28 of these Regulations was used for a day or days for a given period referred to in subsection 28(1) of these Regulations during the calendar year,
(a) the reason for which data required to determine the value of an element of a formula set out in section 19 or any of sections 21 to 24 of these Regulations was not obtained and an explanation as to why that reason was out of the control of the responsible person;
(b) the element of the formula for which data was not obtained and the date of the day on which the data was not obtained and, if that data was not obtained for a period of several days, the dates of the days on which the period begins and ends; and
(c) the value determined for that element using replacement data, along with details of that determination, including
(i) the data used to make that determination for each period of one or several days,
(ii) the method used to obtain that data, and
(iii) in the case of a determination of the value of an element referred to in subsection 28(3) of these Regulations for a given period, a justification for the given period being used as the basis of that determination.
SCHEDULE 5(Paragraphs 21 (2)(b) and 24 (1)(b) and (2)(c) and Subsection 24(4))List of Fuels
Default higher heating value (GJ/tonne)Footnote for Solid Fuels1
Default CO2 emission factor (kg CO2/GJ)
Bituminous Canadian coal – Western
25.6 86.1
Bituminous Canadian coal – Eastern
27.9 82.1
Bituminous non-Canadian coal – U.S.
25.7 95.6
Bituminous non-Canadian coal – Other Countries
29.9 85.2
Sub-bituminous Canadian coal – Western
19.2 89.9
Sub-bituminous non-Canadian coal – U.S.
19.2 95.0
15.0 92.7
27.7 86.3
Coal coke and metallurgical coke
28.8 86.0
Petroleum coke from refineries
46.4 82.3
Petroleum coke from upgraders
40.6 86.1
11.5 86.0
31.2 81.5
Wood and wood wasteFootnote for Solid Fuels1
19.0 88.0
Agricultural byproductsFootnote for Solid Fuels1
17.0 112.0
PeatFootnote for Solid Fuels1
9.3 106.0
Return to footnote 1The default higher heating values for wood and wood waste, agricultural byproducts and peat are on a totally dry basis. The default higher heating values for the other types of fuel are on a wet basis.
Default higher heating value (GJ/kL)
38.3 69.5
42.5 73.5
21.0 64.9
Default higher heating value (GJ/standard m3)
0.0281 49.4
List of Fuels for the Purpose of Subsection 24(2)
Default higher heating value (GJ/kL)Footnote for List of Fuels for the Purpose of Subsection 24(2)2
Distillate fuel oil No.1
38.78 69.37
38.50 70.05
40.73 71.07
37.68 67.25
25.66 59.65
Propane (pure, not mixtures of LPGs)Footnote for List of Fuels for the Purpose of Subsection 24(2)1
25.31 59.66
25.39 62.46
17.22 56.68
27.90 63.86
27.06 61.48
28.73 64.16
28.44 60.83
28.73 64.15
30.69 63.29
34.87 65.40
33.52 69.87
Kerosene-type aviation
37.66 68.40
0.03793Footnote for List of Fuels for the Purpose of Subsection 24(2)2 50.12
Return to footnote 1The default higher heating value and the default CO2 emission factor for propane are only for pure gas propane. The product commercially sold as propane is to be considered LPG for the purpose of these Regulations.
Return to footnote 2The default higher heating value for pipeline quality natural gas is expressed in GJ/standard m3
SCHEDULE 6(Subsection 26(4))Auditor’s Report — Information Required
1 The name, civic address and telephone number of the responsible person.
2 The name, civic address, telephone number and qualifications of the auditor and, if any, the auditor’s fax number and email address.
3 The procedures followed by the auditor to assess whether
(a) the responsible person’s use of the CEMS complied with the Quality Assurance/Quality Control manual referred to in section 6 of the Reference Method; and
(b) the responsible person complied with the Reference Method and the CEMS meets the specifications set out in the Reference Method, in particular, in its sections 3 and 4.
4 A declaration of the auditor’s opinion as to whether
(b) the responsible person complied with the Reference Method and the CEMS has met the specifications set out in the Reference Method, in particular, in its sections 3 and 4.
5 A statement of the auditor’s opinion as to whether the responsible person has ensured that the Quality Assurance/Quality Control manual was updated in accordance with sections 6.1 and 6.5.2 of the Reference Method.