Source: https://gov.ecfr.io/cgi-bin/text-idx?mc=true&node=pt49.6.554&rgn=div5
Timestamp: 2020-02-23 17:22:49
Document Index: 56241765

Matched Legal Cases: ['art 554', 'ART 554', '§554', '§554', '§554', '§554', '§554', '§554', '§554', '§554', '§554', '§554', '§554', 'art 552']

Title 49 → Subtitle B → Chapter V → Part 554
PART 554—STANDARDS ENFORCEMENT AND DEFECTS INVESTIGATION
§554.1 Scope.
§554.2 Purpose.
§554.3 Application.
§554.4 Office of Vehicle Safety Compliance.
§554.5 Office of Defects Investigation.
§554.6 Opening an investigation.
§554.7 Investigation priorities.
§554.8 Monthly reports.
§554.9 Availability of files.
§554.10 Initial determinations and public meetings.
§554.11 Final decisions.
Authority: 49 U.S.C. 30102-103, 30111-112, 30117-121, 30162, 30165-67; delegation of authority at 49 CFR 1.50.
Source: 45 FR 10797, Feb. 19, 1980, unless otherwise noted.
This part establishes procedures for enforcing Federal motor vehicle safety standards and associated regulations, investigating possible safety-related defects, and making non-compliance and defect determinations.
The purpose of this part is to inform interested persons of the procedures followed by the National Highway Traffic Safety Administration in order more fairly and effectively to implement 49 U.S.C. Chapter 301.
This part applies to actions, investigations, and defect and noncompliance decisions of the National Highway traffic Safety Administration under 49 U.S.C. 30116, 30117, 30118, 30120 and 30165.
The Office of Vehicle Safety Compliance, investigates compliance with Federal motor vehicle safety standards and associated regulations, and to this end may:
(a) Verify that manufacturers certify compliance with all applicable safety standards;
(b) Collect field reports from all sources;
(c) Inspect manufacturers' certification test data and other supporting evidence, including dealer communications;
(d) Inspect vehicles and equipment already in use or new vehicles and equipment at any stage of the manufacturing, distribution and sales chain;
(e) Conduct selective compliance tests; and
(f) Utilize other means necessary to conduct investigations.
The Office of Defects Investigation conducts investigations to implement the provisions of the Act concerning the identification and correction of safety-related defects in motor vehicles and motor vehicle equipment. It elicits from every available source and evaluates on a continuing basis any information suggesting the existence of a safety-related defect.
(a) A compliance or defect investigation is opened either on the motion of the Administrator or his delegate or on the granting of a petition of an interested party under part 552 of this chapter.
(b) A manufacturer is notified immediately by telephone of any compliance test failure in order to enable the manufacturer to begin his own investigation. Notification is sent by mail at the beginning of any defect or noncompliance investigation.
(a) Compliance investigation priorities are reviewed annually and are set according to the following criteria:
(1) Prior compliance test data;
(2) Accident data;
(3) Engineering analysis of vehicle and equipment designs;
(4) Consumer complaints; and
(5) Market share.
(b) Defects inputs are reviewed periodically by an appropriate panel of engineers in consultation with the Office of Chief Counsel to determine whether a formal investigation should be opened by the Office of Defects Investigation.
(a) Compliance. A monthly compliance report is issued which lists investigations opened, closed, and pending during that month, identifies compliance test reports accepted, and indicates how individual reports may be obtained.
(b) Defects. A monthly defects report is issued which lists investigations opened, closed, pending, and suspended during that month. An investigation may be designated “suspended” where the information available is insufficient to warrant further investigation. Suspended cases are automatically closed 60 days after appearing in a monthly report unless new information is received which justifies a different disposition.
All files of closed or suspended investigations are available for public inspection in the NHTSA Technical Reference Library. Communications between the agency and a manufacturer with respect to ongoing investigations are also available. Such files and communications may contain material which is considered confidential but has been determined to be necessary to the subject proceeding. Material which is considered confidential but has not been determined to be necessary to the subject proceeding will not be disclosed. Reproduction of entire public files or of individual documents can be arranged.
(a) An initial decision of failure to comply with safety standards or of a safety-related defect is made by the Administrator or his delegate based on the completed investigative file compiled by the appropriate office.
(b) The decision is communicated to the manufacturer in a letter which makes available all information on which the decision is based. The letter advises the manufacturer of his right to present information, views, and arguments to establish that there is no defect or failure to comply or that the alleged defect does not affect motor vehicle safety. The letter also specifies the time and place of a public meeting for the presentation of arguments or sets a date by which written comments must be submitted. Submission of all information, whether at a public meeting or in written form, is normally scheduled about 30 days after the initial decision. The deadline for submission of information can be extended for good cause shown.
(c) Public notice of an initial decision is made in a Federal Register notice that—
(1) Identifies the motor vehicle or item of equipment and its manufacturer;
(2) Summarizes the information on which the decision is based.
(3) Gives the location of all information available for public examination; and
(4) States the time and place of a public meeting or the deadline for written submission in which the manufacturer and interested persons may present information, views, and arguments respecting the decision.
(d) A transcript of the public meeting is kept and exhibits may be offered. There is no cross-examination of witnesses.
[45 FR 10797, Feb. 19, 1980, as amended at 60 FR 17267, Apr. 5, 1995]
(a) The Administrator bases his final decision on the completed investigative file and on information, views, and arguments submitted at the public meeting.
(b) If the Administrator decides that a failure to comply or a safety-related defect exists, he orders the manufacturer to furnish the notification specified in 49 U.S.C. 30118 and 30119 and to remedy the defect or failure to comply.
(c) If the Administrator closes an investigation following an initial determination, without making a final determination that a failure to comply or a safety-related defect exists, he or she will so notify the manufacturer and publish a notice of that closing in the Federal Register.
(d) A statement of the Administrator's final decision and the reasons for it appears in each completed public file.
[60 FR 17268, Apr. 5, 1995]