
[Federal Register: August 31, 2009 (Volume 74, Number 167)]
[Proposed Rules]               
[Page 44969-45001]
From the Federal Register Online via GPO Access [wais.access.gpo.gov]
[DOCID:fr31au09-46]                         


[[Page 44969]]

-----------------------------------------------------------------------

Part III





Department of Homeland Security





-----------------------------------------------------------------------



Coast Guard



-----------------------------------------------------------------------



33 CFR Parts 151, 155, and 160



Nontank Vessel Response Plans and Other Vessel Response Plan 
Requirements; Proposed Rule


[[Page 44970]]


-----------------------------------------------------------------------

DEPARTMENT OF HOMELAND SECURITY

Coast Guard

33 CFR Parts 151, 155, and 160

[Docket No. USCG-2008-1070]
(RIN 1625-AB27)

 
Nontank Vessel Response Plans and Other Vessel Response Plan 
Requirements

AGENCY: Coast Guard, DHS.

ACTION: Notice of proposed rulemaking.

-----------------------------------------------------------------------

SUMMARY: The Department of Homeland Security, United States Coast 
Guard, proposes this nontank vessel response plan rulemaking to further 
protect the Nation from the threat of oil spills in the maritime 
domain. The rule proposes regulations requiring owners or operators of 
nontank vessels to prepare and submit oil spill response plans. The 
Federal Water Pollution Control Act defines nontank vessels as self-
propelled vessels of 400 gross tons or greater that operate on the 
navigable waters of the United States, carry oil of any kind as fuel 
for main propulsion, and are not tank vessels. The proposed rule would 
specify the content of a response plan, and among other issues, address 
the requirement to plan for responding to a worst case discharge and a 
substantial threat of such a discharge. Additionally, this proposed 
rule would update the international Shipboard Oil Pollution Emergency 
Plan (SOPEP) requirements that apply to certain nontank vessels and 
tank vessels. Finally, this proposed rule would require vessel owners 
and operators to submit their vessel response plan control number as 
part of already required notice of arrival information. This rulemaking 
supports the Coast Guard's strategic goals of protection of natural 
resources and maritime mobility.

DATES: Comments and related material must either be submitted to our 
online docket via http://www.regulations.gov on or before November 30, 
2009 or reach the Docket Management Facility by that date. Comments 
sent to the Office of Management and Budget (OMB) on collection of 
information must reach OMB on or before November 30, 2009.

ADDRESSES: You may submit comments identified by docket number USCG-
2008-1070 using any one of the following methods:
    (1) Federal eRulemaking Portal: http://www.regulations.gov.
    (2) Fax: 202-493-2251.
    (3) Mail: Docket Management Facility (M-30), U.S. Department of 
Transportation, West Building Ground Floor, Room W12-140, 1200 New 
Jersey Avenue, SE., Washington, DC 20590-0001.
    (4) Hand delivery: Same as mail address above, between 9 a.m. and 5 
p.m., Monday through Friday, except Federal holidays. The telephone 
number is 202-366-9329.
    To avoid duplication, please use only one of these methods. For 
instructions on submitting comments, see the ``Public Participation and 
Request for Comments'' portion of the SUPPLEMENTARY INFORMATION section 
below.
    Collection of Information Comments: If you have comments on the 
collection of information, you must also send comments to the Office of 
Information and Regulatory Affairs (OIRA), Office of Management and 
Budget. To ensure that your comments to OIRA are received on time, the 
preferred methods are by e-mail to oira_submission@omb.eop.gov 
(include the docket number and ``Attention: Desk Officer for Coast 
Guard, DHS'' in the subject line of the e-mail) or fax at 202-395-6566. 
An alternate, though slower, method is by U.S. mail to the Office of 
Information and Regulatory Affairs, Office of Management and Budget, 
725 17th Street, NW., Washington, DC 20503, Attn: Desk Officer, U.S. 
Coast Guard.

FOR FURTHER INFORMATION CONTACT: If you have questions on this proposed 
rule, call Lieutenant Jarrod DeWitz, U.S. Coast Guard, Office of Vessel 
Activities, Vessel Response Plan Review Team, telephone (202) 372-1219. 
You may also e-mail questions to Jarrod.M.DeWitz@ uscg.mil.

    Note: The technical expertise for the development of this 
proposed rule is credited to Commander Rob Smith. If you have 
questions on viewing or submitting material to the docket, call Ms. 
Renee V. Wright, Program Manager, Docket Operations, telephone 202-
366-9826.


SUPPLEMENTARY INFORMATION:

Table of Contents for Preamble

I. Public Participation and Request for Comments
    A. Submitting Comments
    B. Viewing Comments and Documents
    C. Privacy Act
    D. Public Meeting
II. Abbreviations
III. Background and Purpose
    A. Tank and Nontank Vessels--Oil and Hazardous Substance 
Discharge Response Plan Legislation
    B. Tank Vessels
    C. Nontank Vessels
    D. Access to the NVICs
    E. Shipboard Oil Pollution Emergency Plan (SOPEP)
    F. Notice of Arrival Requirements and Vessel Response Plans
    G. Customary International Law: Innocent Passage and Transit 
Passage
    H. Definition of ``United States'' for Purposes of Vessel 
Response Plan Requirements
IV. Discussion of Proposed Rule
V. Incorporation by Reference
VI. Regulatory Analyses
    A. Executive Order 12866
    B. Small Entities
    C. Assistance for Small Entities
    D. Collection of Information
    E. Federalism
    F. Unfunded Mandates Reform Act
    G. Taking of Private Property
    H. Civil Justice Reform
    I. Protection of Children
    J. Indian Tribal Governments
    K. Energy Effects
    L. Technical Standards

I. Public Participation and Request for Comments

    We encourage you to participate in this rulemaking by submitting 
comments and related materials. All comments received will be posted, 
without change, to http://www.regulations.gov and will include any 
personal information you have provided.

A. Submitting Comments

    If you submit a comment, please include the docket number for this 
rulemaking (USCG-2008-1070), indicate the specific section of this 
document to which each comment applies, and give your reason for each 
comment. We recommend that you include your name and a mailing address, 
an e-mail address, or a phone number in the body of your document so 
that we can contact you if we have questions regarding your submission. 
You may submit your comments and material by electronic means, mail, 
fax, or delivery to the Docket Management Facility at the address under 
ADDRESSES; but please submit your comments and material by only one 
means.
    To submit your comment online, go to http://www.regulations.gov and 
click on the ``submit a comment'' box, which will then become 
highlighted in blue. Insert ``USCG-2008-1070'' in the Keyword box, 
click ``Search'', and then click on the balloon shape in the Actions 
column. If you submit your comments by mail or hand delivery, submit 
them in an unbound format, no larger than 8\1/2\ by 11 inches, suitable 
for copying and electronic filing. If you submit them by mail and would 
like to know that they reached the Facility, please enclose a stamped, 
self-addressed postcard or envelope. We will consider

[[Page 44971]]

all comments and material received during the comment period and may 
change this proposed rule based on your comments.

B. Viewing Comments and Documents

    To view comments, as well as documents mentioned in this preamble 
as being available in the docket, go to http://www.regulations.gov at 
any time. Enter the docket number for this rulemaking (USCG-2008-1070) 
in the Keyword box, and click ``Search''. If you do not have access to 
the internet, you may view the docket online by visiting the Docket 
Management Facility in Room W12-140 on the ground floor of the 
Department of Transportation West Building, 1200 New Jersey Avenue, 
SE., Washington, DC 20590, between 9 a.m. and 5 p.m., Monday through 
Friday, except Federal holidays. We have an agreement with the 
Department of Transportation to use the Docket Management Facility.

C. Privacy Act

    Anyone can search the electronic form of comments received into any 
of our dockets by the name of the individual submitting the comment (or 
signing the comment, if submitted on behalf of an association, 
business, labor union, etc.). You may review a Privacy Act notice 
regarding our public dockets in the January 17, 2008 issue of the 
Federal Register (73 FR 3316).

D. Public Meeting

    We plan to hold one or more public meetings. The time and place of 
each public meeting will be announced by a later notice in the Federal 
Register.

II. Abbreviations

2004 Act Coast Guard and Maritime Transportation Act of 2004 (Pub. 
L. 108-293, 118 Stat. 102)
2006 Act Coast Guard and Maritime Transportation Act of 2006 (Pub. 
L. 109-241, 120 Stat. 516)
AMPD Average most probable discharge
BLS Bureau of Labor Statistics
CAP Capability
CFR Code of Federal Regulations
COTP Captain of the Port
DHS Department of Homeland Security
DOT Department of Transportation
EDAC Effective daily application capability
EEZ Exclusive economic zone
eNOAD Electronic Notice of Arrival/Departure
FOSC Federal On-Scene Coordinator
FWPCA Federal Water Pollution Control Act (33 U.S.C. 1251 through 
1387)
GSA Geographic-specific appendix
IAP Incident Action Plan
IMO International Maritime Organization
IOPP International Oil Pollution Prevention
ISM International Ship Management
ITB Integrated tug barge
MARPOL International Convention for the Prevention of Pollution from 
Ships
MEPC Marine Environment Protection Committee
MISLE Marine Information for Safety and Law Enforcement
MMPD Maximum most probable discharge
MOA Memorandum of Agreement
MOU Memorandum of Understanding
MTR Marine transportation-related
NCP National Oil and Hazardous Substances Pollution Contingency Plan 
(also known as National Contingency Plan)
NLS Noxious Liquid Substance
NM Nautical mile
NOA Notice of arrival
NTVRP Nontank vessel response plan
NVIC Navigation and Vessel Inspection Circular
NVMC National Vessel Movement Center
OCIMF Oil Companies International Marine Forum
OMB Office of Management and Budget
OPA 90 Oil Pollution Act of 1990 (Pub. L. 101-380, 104 Stat 484)
OSRO Oil spill removal organization
PV Present value
P&I Protection and Indemnity
PREP National Preparedness for Response Exercise Program
PWSA Ports and Waterways Safety Act (Pub. L. 92-340, 86 Stat. 424)
QI Qualified individual
SBA Small Business Administration
SLS Saint Lawrence Seaway
SLSDC Saint Lawrence Seaway Development Corporation
SOPEP Shipboard oil pollution emergency plans
SMT Spill management team
TVRP Tank vessel response plan
VRP Vessel response plan
UNCLOS United Nations Convention on the Law of the Sea, 1982
U.S.C. United States Code
WCD Worst case discharge

III. Background and Purpose

    This proposed rule is intended to improve our nation's pollution 
response planning and preparedness posture and help limit the 
environmental damage resulting from nontank vessel marine casualties.
    In recent years, several catastrophic nontank vessel oil spills 
have threatened the marine environment along the coastal areas of the 
United States. Among these spills were--
     The grounding of the M/V NEW CARISSA on the Oregon coast 
on February 4, 1999, during a storm, which resulted in the loss of the 
vessel and a spill of approximately 70,000 gallons of the 400,000 
gallons of ``Bunker C'' fuel oil on board;
     The grounding of the M/V SELENDANG AYU in the Aleutian 
Islands of Alaska on December 8, 2004, during a storm, which resulted 
in the loss of the vessel and a spill of approximately 336,000 gallons 
of fuel oil and diesel fuel; and
     The allision of the M/V COSCO BUSAN with the San 
Francisco-Oakland Bay Bridge in San Francisco Bay on November 7, 2007, 
in foggy conditions, which resulted in severe damage to the vessel and 
a spill of approximately 53,000 gallons of fuel oil.
    Each of these spills resulted in damage to the marine environment, 
including the loss of fish and wildlife. The spills have also affected 
key maritime industry stakeholders by disrupting maritime commerce and 
normal operations in the affected ports and waterways.
    Groundings, allisions, and collisions are among the many types of 
casualties that may befall any vessel while at sea or in port. Congress 
enacted the Oil Pollution Act of 1990 (OPA 90) (Pub. L. 101-380, 104 
Stat 484) following a series of tank vessel casualties, including most 
notably the grounding of the M/V EXXON VALDEZ on March 24, 1989, on 
Bligh Reef in Prince William Sound near Valdez, Alaska. OPA 90, which 
applies primarily to tank vessels, focuses on preventing and mitigating 
oil spills via actions in several broad areas, including Liability and 
Compensation, Prevention, Preparedness, Response, and Research and 
Development. Simultaneously at the international level, the 
International Maritime Organization (IMO) enhanced world-wide pollution 
prevention and response standards with a series of amendments to the 
International Convention for the Prevention of Pollution from Ships, 
1973 (MARPOL 73/78). Finally, in 2004 and 2006, Congress amended the 
Federal Water Pollution Control Act (FWPCA), section 311(j)(5), to 
require tank and nontank vessel owners and operators to prepare and 
submit oil and hazardous substance discharge response plans to the 
Coast Guard. The following sections will summarize these domestic and 
international pollution preparedness and planning actions.

A. Tank and Nontank Vessels--Oil and Hazardous Substance Discharge 
Response Plan Legislation

    Section 311(j)(5) of the Federal Water Pollution Control Act, 33 
U.S.C. 1321(j)(5), as established by section 4202 of the Oil Pollution 
Act of 1990; and as amended by the Coast Guard and Maritime 
Transportation Act of 2004 (the 2004 Act), Pub. L. 108-293, 118 Stat. 
102, and the Coast Guard and Maritime Transportation Act of 2006 (the 
2006 Act), Pub. L. 109-241, 120 Stat. 516, sets out a statutory mandate 
requiring tank and nontank vessel owners or operators to prepare and 
submit oil or hazardous substance discharge response plans for certain

[[Page 44972]]

vessels operating on the navigable waters of the United States. A 
response plan under this legislation must:
     Be consistent with the requirements of the National 
Contingency Plan and Area Contingency Plans \1\;
---------------------------------------------------------------------------

    \1\ FWPCA elements require consistency with 40 CFR 300.210 
(Federal contingency plans section of the National Contingency Plan 
(NCP)).
---------------------------------------------------------------------------

     Identify the qualified individual having full authority to 
implement removal actions, and require immediate communications between 
that individual and the appropriate Federal official and the persons 
providing personnel and equipment;
     Identify, and ensure by contract or other approved means 
the availability of, private personnel and equipment necessary to 
remove to the maximum extent practicable a worst case discharge 
(including a discharge resulting from fire or explosion), and to 
mitigate or prevent a substantial threat of such a discharge;
     Describe the training, equipment testing, periodic 
unannounced drills, and response actions of persons on the vessel or at 
the facility, to be carried out under the plan to ensure the safety of 
the vessel or facility and to mitigate or prevent the discharge, or the 
substantial threat of a discharge;
     Be updated periodically; and
     Be resubmitted for approval of each significant change.

B. Tank Vessels

    The response plan regulations for tank vessels were established 
during a previous rulemaking (61 FR 1052, January 12, 1996) and are 
located at 33 CFR part 155, subpart D. It is important to briefly 
discuss those regulations, because the proposed rule for nontank 
vessels is similar to the tank vessel regulations.
    Congress enacted OPA 90 in response to several marine pollution 
incidents. Section 4202 of OPA 90 amended section 311(j) of the FWPCA 
(33 U.S.C. 1321(j) by, among other requirements, requiring tank vessel 
owners or operators to prepare and submit a plan for responding, to the 
maximum extent practicable, to a worst case discharge, and to a 
substantial threat of such a discharge of oil or a hazardous substance. 
With the exceptions listed in paragraph (c) of 33 CFR 155.1015, these 
tank vessel response plan requirements apply to each vessel that 
carries oil in bulk as cargo or oil cargo residue, and that:
     Is a vessel of the United States;
     Operates on the navigable waters of the United States; or
     Transfers oil in a port or place subject to the 
jurisdiction of the United States.
    These requirements also apply to each vessel that engages in oil 
lightering operations in the marine environment beyond the baseline 
from which the territorial sea is measured, when the cargo lightered is 
destined for a port or place subject to the jurisdiction of the United 
States.

C. Nontank Vessels

    On August 9, 2004, the President signed the Coast Guard and 
Maritime Transportation Act of 2004. Section 701 of the 2004 Act 
amended subsections 311(a) and (j) of the FWPCA by requiring nontank 
vessel owners or operators to prepare and submit oil discharge response 
plans no later than August 8, 2005. The 2004 Act defines a ``nontank 
vessel'' as a self-propelled vessel of 400 gross tons or greater, other 
than a tank vessel, that carries oil of any kind as fuel for main 
propulsion, and that is a vessel of the United States or operates on 
the navigable waters of the United States.
    In addition to the preparation and submission of response plans by 
nontank vessel owners or operators, the 2004 Act also requires the 
issuance of response plan regulations detailing the requisite 
components of a response plan. In consideration of the time required to 
publish the regulations, and in an effort to assist industry in meeting 
the August 2005 statutory deadline, the Coast Guard announced the 
availability of the Navigation and Vessel Inspection Circular 01-05 
(NVIC 01-05) in the Federal Register on February 16, 2005 (70 FR 7955). 
NVIC 01-05 provides the public with guidance on the preparation and 
submission of oil spill response plans until regulations are in effect.
    Later, on June 24, 2005, the Coast Guard published further response 
plan guidance in a Notice and Request for Comments (70 FR 36649). That 
notice addressed concerns on the size of the vessel population to be 
affected by the 2004 Act; Coast Guard's enforcement of the 2004 Act; 
and the Coast Guard's actions to assist the public in conforming to the 
mandates of the 2004 Act.
    In February 2006, as a result of questions received from the marine 
industry, the Coast Guard announced the availability of Change 1 to 
NVIC 01-05 (71 FR 9367, February 23, 2006). Change 1 to NVIC 01-05 
provided guidance to the public on how to draft a nontank vessel 
response plan, suggested plan content, and addressed issues of concern 
regarding the development of these plans. Additionally, NVIC 01-05 
Change 1 discusses the Coast Guard process for issuing Interim 
Operating Authorization letters to nontank vessel owners or operators 
to document interim compliance with 33 U.S.C. 1321(j)(5).
    Finally, in July 2006, Congress amended the definition of nontank 
vessel in the Coast Guard and Maritime Transportation Act of 2006 (2006 
Act). Section 608 of the 2006 Act clarified the tonnage applicability 
of this statutory requirement, and therefore this proposed rule, by 
setting the tonnage threshold as 400 gross tons or greater, as measured 
under the convention measurement system in 46 U.S.C. 14302 or the 
regulatory measurement system of 46 U.S.C. 14502 for vessels not 
measured under 46 U.S.C. 14302. The 2006 Act further established that 
it applies to vessels that operate on the navigable waters of the 
United States, and it referenced a 12 nm territorial seas for those 
navigable waters, as defined in 46 U.S.C. 2101.

D. Access to the NVICs

    A copy of the nontank vessel response plan NVICs can be found in 
the docket at http://www.regulations.gov and at http://www.uscg.mil/hq/
g-m/nvic/. For those individuals without internet access, a copy of the 
NVIC may be obtained by contacting the Vessel Response Plan (VRP) 
Program staff at 202-372-1209 or your local U.S. Coast Guard Sector 
Office.

E. Shipboard Oil Pollution Emergency Plan (SOPEP)

    In addition to establishing a regulation for the preparation and 
submission of oil spill response plans for nontank vessels, this 
proposed rule would align our domestic shipboard oil pollution 
emergency plan (SOPEP) requirements in 33 CFR 151.26 with the current 
international SOPEP requirements reflected in Annex I of the 
International Convention for the Prevention of Pollution from Ships, 
1973, as modified by the Protocol of 1978, as amended (MARPOL Annex I).
    MARPOL Annex I contains international regulations for the 
prevention of pollution by oil. The Act to Prevent Pollution from Ships 
(33 U.S.C. 1901 et seq.) authorizes the Coast Guard to administer and 
enforce MARPOL Annex I and certain other MARPOL Annexes.
    In 1991, in response to Article 3(1)(a) of the International 
Convention on Oil Pollution Preparedness, Response and Co-operation, 
1990, the Marine Environment Protection Committee (MEPC) of the 
International Maritime Organization (IMO) adopted MARPOL

[[Page 44973]]

Annex I, Regulation 26. This regulation established an international 
requirement for SOPEPs and set out:
     Procedures to be followed to report an oil spill;
     Requirements to provide a list of authorities or persons 
to be contacted in the event of an oil pollution incident;
     Requirements to provide a detailed description of the 
immediate actions to mitigate the impact of a spill; and
     Procedures and point of contact information for 
coordinating shipboard action with national and local authorities in 
combating a pollution incident.
    In 1994, the Coast Guard issued regulations requiring all U.S. flag 
oil tankers of 150 gross tons and above and all other U.S. flag ships 
of 400 gross tons and above to carry approved SOPEPs (59 FR 51332, 
October 7, 1994). These regulations in 33 CFR part 151 implemented the 
requirements of Regulation 26 of MARPOL Annex I and required foreign 
oil tankers of 150 gross tons and above and other foreign ships of 400 
gross tons and above to carry on board a SOPEP approved by its flag 
State as evidence of compliance with Regulation 26 when in the 
navigable waters of the United States.
    Since 1994, the Coast Guard has updated our SOPEP regulations 
twice. Once, in 1997, to implement the provisions of Article 15 of the 
Protocol on Environmental Protection to the Antarctic Treaty and 
address response to pollution from vessels (62 FR 18045, April 14, 
1997) and once in 2001, when we inserted a reference to IMO Resolution 
A.851(20) that had superseded an earlier IMO resolution (66 FR 55571, 
November 2, 2001).
    In 2004, the IMO MEPC adopted Resolution MEPC.117(52) that revised 
MARPOL Annex I and redesignated Regulation 26 as Regulation 37. This 
revision incorporated new SOPEP guidelines from IMO Resolution 
MEPC.86(44), which are intended to assist parties to MARPOL Annex I in 
developing regulations for domestic implementation of Regulation 37. 
These changes to Regulation 37 pertain to required SOPEP text, 
additional categories addressing steps to control discharges, crew 
personnel assignments, and required notifications. Also, Regulation 37 
requires all oil tankers of 5,000 tons deadweight or more to have 
prompt access to computerized, shore-based damage stability and 
residual structural strength calculation programs. While the oil tanker 
amendment is already reflected elsewhere in our domestic regulation, 33 
CFR 155.240, this proposed rule would align our domestic SOPEP 
requirements in 33 CFR 151.26 with the current international SOPEP 
requirements reflected in MARPOL Annex I, Regulation 37.

F. Notice of Arrival Requirements and Vessel Response Plans

    Under authority of the Ports and Waterways Safety Act (PWSA) (Pub. 
L. 92-340, 86 Stat. 424), as amended, the Coast Guard has established 
notice of arrival (NOA) requirements in 33 CFR part 160. These NOA 
regulations require certain vessels bound for a U.S. port or place to 
submit information to the Coast Guard, including information about the 
vessel and its voyage.
    These NOA regulations do not currently require submission of the 
vessel response plan control number assigned by the Coast Guard to 
VRPs. For purposes of protecting navigation and the marine environment, 
this VRP-related addition to NOA reporting requirements is being 
proposed under authority of section 4 of the PWSA, 33 U.S.C. 1223. This 
additional information would better enable the Coast Guard to determine 
if a vessel has an approved VRP geographic-specific appendix (GSA) for 
the Captain of the Port (COTP) zone in which the vessel intends to 
call.

G. Customary International Law: Innocent Passage and Transit Passage

Innocent Passage
    The Supreme Court has long held that, unless no other construction 
is possible, statutes of Congress must be construed consistent with 
those principles of international law recognized by the United States. 
Lauritzen v. Larsen, 345 U.S. 571, 578 (1953); Murray v. The Charming 
Betsey, 6 U.S. (2 Cranch.) 64, 118 (1804). The Coast Guard interprets 
``innocent passage'' in territorial seas consistent with customary 
international law as reflected in the 1982 United Nations Convention on 
the Law of the Sea (UNCLOS), principally articles 17 through 21. In 
1983, President Reagan issued policy guidance for the Federal 
government, requiring compliance with the navigational provisions of 
the UNCLOS. All subsequent Administrations have confirmed that approach 
to the law of the sea, and have sought to promote the inclusive rights 
of innocent passage and transit passage in coastal waters worldwide.
    Existing vessel response plan regulations for tank vessels in 33 
CFR part 155, subpart D, apply to vessels that operate on the navigable 
waters of the United States or transfer oil in a port or place subject 
to the jurisdiction of the United States, but specifically exclude 
foreign flag vessels merely engaged in innocent passage. See 33 CFR 
155.1015(c)(7). In this proposed rule, we are expanding the 
jurisdictional scope of the regulations. However, we have included an 
exception for foreign nontank vessels engaged in innocent passage. See 
proposed 33 CFR 155.1015(c)(7) and 155.5015(c)(2).
    The requirement that a vessel response plan include geographic-
specific appendices for each COTP zone a vessel transits has caused 
some confusion with respect to innocent passage through our territorial 
seas, perhaps because some COTP zones extend beyond the territorial 
seas and to the outer boundary of the exclusive economic zone (EEZ). 
See definition of COTP zone found in 33 CFR 155.1020. For purposes of 
nontank vessel response plan (NTVRP) regulations, our territorial seas 
extend out 12 nautical miles (nm) from the baseline from which the 
territorial sea is measured, 33 CFR 2.22(a)(1), while the EEZ normally 
extends out 200 nm seaward of the baseline. 33 CFR 2.30.
    If a foreign flag vessel is subject to Coast Guard regulations 
requiring it to have a USCG-approved vessel response plan, it would 
also be required to have a Coast Guard approved geographic-specific 
appendix for each COTP Zone where it intends to operate or transit 
through. See existing 33 CFR 155.1035(i), 155.1040(j) and 155.1045(i), 
and proposed 33 CFR 155.5035(i). However, a vessel merely engaged in 
innocent passage (see proposed 33 CFR 155.1015(c)(7) and 
155.5015(c)(2)) transiting through a COTP zone is not required to 
submit a vessel response plan.
    If a vessel is departing a foreign port and is bound for a U.S. 
port and must cross through one or several COTP zones in order to get 
there, the vessel would have to have a USCG-approved vessel response 
plan and an approved geographic-specific appendix for each of the COTP 
zones that it crosses, regardless if it intends to call upon the 
respective ports within these COTP zones to transfer cargo, take on 
bunkers, or engage in other activities. Geographic-specific appendices 
would need to be submitted and approved for each COTP zone that a 
vessel intends to transit through while calling upon the United States.
Transit Passage
    Transit passage through straits used for international navigation 
is a more inclusive right than innocent passage, extending to aircraft 
overflights, submerged transits, and transits of other

[[Page 44974]]

vessels in their normal mode of operations. UNCLOS, Arts. 37-39. 
International law provides that vessels passing through U.S. waters in 
transit passage may not pollute, conduct any other activity not having 
a direct bearing on transit, or engage in activities otherwise 
proscribed by international law. UNCLOS, Arts. 37-39. In most respects, 
however, coastal States may not suspend or even hamper the right of 
vessels to engage in transit passage. UNCLOS, Art. 44.
    The term `coastal State' in this proposed rule refers to a nation 
off whose coast a ship is transiting without calling at its internal 
waters, ports, or roadsteads. The explanation of this term is provided 
to assist the reader in understanding the provisions of this proposed 
rule, and is not intended as a comprehensive definition of this term. 
Nor is it to be understood to express a view as to the jurisdictional 
competence or authority of the nation in its capacity as a coastal 
State.
    One area of the United States where transit passage is of special 
concern is Unimak Pass in the Aleutian Islands. Unimak Pass is a strait 
used for international navigation located on the Great Circle Route 
from Asia to the West Coast of North America. Several thousand vessels 
a year use the Pass. Because the Pass narrows to as little as 10 nm, 
the 12-nm territorial sea of the United States overlaps the waters of 
Unimak Pass. Although the United States is not yet Party to UNCLOS, the 
United States has long accepted the navigational provisions of the 
Convention, including Art. 34 through 44 relevant to transit passage, 
as reflecting the applicable rules of customary international law. 
Vessels transiting Unimak Pass, other straits used for international 
navigation, and their approaches enjoy the right of transit passage.
    The United States may only exercise jurisdiction over foreign-
flagged vessels engaged in transit passage through Unimak Pass if the 
vessel is either bound to or from a port or place in the United States, 
or has engaged in activities that international law proscribes, such as 
intentional acts of serious pollution. Acknowledging the applicable 
rules of customary international law, we propose to exclude foreign 
vessels in transit passage from VRP requirements when not bound for, or 
departing from, the United States. See proposed 33 CFR 155.1015(c)(7) 
and 155.5015(c)(2).
    Although transit passage applies with respect to passage through 
straits, long-standing agreements between nations bordering a strait 
used for international navigation may limit transit rights. For 
example, the Saint Lawrence Seaway (SLS) is part of the Saint Lawrence 
River and is an international river governed by long-standing 
agreements between the United States and Great Britain/Canada. 
Although, based solely on its geographic location and its extensive use 
for international navigation, it could potentially be considered an 
international strait under which the right of transit or non-
suspendable innocent passage applies, Part III of UNCLOS (Straits Used 
for International Navigation) simply does not apply to the Saint 
Lawrence. The Danube River and the Turkish Straits offer examples of 
international waterways ``in which passage is regulated in whole or in 
part by long-standing international conventions in force specifically 
relating to such straits.'' UNCLOS, Art. 35(c). Nothing in Part III of 
UNCLOS affects the long-standing legal regime in the Saint Lawrence 
River.
    The international negotiations dealing with the Saint Lawrence 
River go back as far as 1854, with serious additional discussions or 
agreements in 1871, 1896, 1902, 1909, 1940, 1952, 1959, and 1963. The 
Boundary Water Treaty concluded between the United States and the 
United Kingdom (for Canada) of January 11, 1909, was a particularly 
important watershed in the development of the Saint Lawrence River 
regime. The focus of these various bilateral agreements was on three 
key subjects: (1) The use of the river for navigation; (2) development 
of its potential to produce hydro-electric power; and (3) combating 
pollution.
    The U.S. Congress has enacted several statutes to carry out its 
international responsibilities with respect to the Saint Lawrence 
River. Particularly relevant is the establishment of the Saint Lawrence 
Seaway Development Corporation, 33 U.S.C. 981-984, and the 
International Joint Commission, 22 U.S.C. 267b-268. These responsible 
agencies have issued implementing regulations. See, e.g., 33 CFR part 
401 and 22 CFR part 401.
    The U.S. Secretary of Transportation has delegated authority under 
Section 1223, 1224, 1225, 1227, 1231, and 1232 of Title 33 U.S.C. to 
the Administrator of the Saint Lawrence Seaway Development Corporation 
(SLSDC) with respect to the Saint Lawrence Seaway (SLS). The United 
States Coast Guard has jurisdiction over all remaining navigable waters 
of the United States.
    The U.S. Coast Guard and the SLSDC have established a Memorandum of 
Understanding (MOU) and a Memorandum of Agreement (MOA) to address 
areas of mutual interest and joint agency coordination. The current MOA 
was signed in May of 1992 and was last updated in March of 1997. The 
MOA addresses topics of concern such as policy, communications, ports 
and waterways safety, vessel traffic control, pilotage, pollution, 
vessel casualties, aids to navigation, search and rescue, vessel 
boardings, and ice breaking. The recent MOA was signed in February of 
2008 and addresses the collection of pre-arrival information from 
vessels entering the SLS system.
    Although the SLSDC has exclusive jurisdiction upon the SLS, the 
U.S. Coast Guard will, upon request and within its resources, assist 
the SLSDC in the execution of those responsibilities. The U.S. Coast 
Guard is the pre-designated Federal On-Scene Coordinator (FOSC) for oil 
or hazardous materials spilled into the U.S. waters of the SLS. The 
USCG and the SLSDC have agreed that, among other goals, the basic goals 
of their joint oversight of vessels navigating upon the SLS is to 
ensure that 100 percent of vessels are cleared in advance of Montreal 
and to ensure that the international shipping on the Great Lakes and 
the SLS continues to meet high standards of safety and environmental 
protection.
    One of the points agreed upon by both the USCG and the SLSDC are 
protocols for both screenings and inspections of vessels. The SLSDC is 
authorized to ask the USCG to receive pre-arrival information for the 
SLSDC electronically using the USCG's electronic Notice of Arrival/
Departure (eNOAD) system. In July of 2007, the SLSDC requested that the 
USCG National Vessel Movement Center (NVMC) be the direct clearinghouse 
for arrival information for vessels bound for the SLS.
    Passage through the Saint Lawrence River and into the Great Lakes 
is completely regulated by the existing bilateral agreements and the 
implementing regulations. Although there is a general presumption both 
in international law and in the agreements that the Saint Lawrence 
River is freely open to international navigation, any vessel operator 
who wishes to take advantage of this presumption must comply with both 
the applicable U.S. and Canadian statutory and regulatory provisions. 
Therefore, this proposed rule would apply to vessels transiting through 
the Saint Lawrence River.
    Jurisdiction of vessels on the navigable waters of the United 
States is clearly conveyed by the FWPCA (33 U.S.C. 1321(j)(5)). Since 
enforcement of the PWSA has been delegated to the SLSDC for the SLS, 
the Coast Guard works closely with the SLSDC regarding how vessels 
would be prohibited from

[[Page 44975]]

entering the SLS due to noncompliance with U.S. law.

H. Definition of ``United States'' for Purposes of Vessel Response Plan 
Requirements

    While the FWPCA contains a definition of ``United States'', that 
definition does not control in this context. For purposes of vessel oil 
spill response plans, for tank and nontank vessels, the ``United 
States'' as defined in Presidential Proclamation 5928 and 46 U.S.C. 114 
establishes the geographic parameters for determining applicability of 
vessel oil spill response plan requirements as set forth in 33 U.S.C. 
132l(j)(5) (as amended). Because both OPA 90 and the 2006 Act 
incorporate by reference definitions of tank vessel and nontank vessel, 
respectively, from title 46 of the United States Code, neither the 
definition of ``United States'' as set forth in OPA 90 (which created 
Sec.  1321(j)(5)), nor as set forth in the FWPCA, applies to vessel oil 
spill response plan requirements.
    The pertinent portion of the controlling definition of ``United 
States'', unlike the FWPCA definition, does not include reference to 
the ``Trust Territories of the Pacific Islands'', but instead refers to 
``the Northern Mariana Islands, and any other territory or possession 
of the United States.'' 46 U.S.C. 114. Of the former Trust Territories 
of the Pacific Islands, only the Northern Mariana Islands is considered 
part of the geographic definition of the United States for purposes of 
this proposed rule.

IV. Discussion of Proposed Rule

    This discussion provides a broad overview of our proposed changes 
to our SOPEP regulations, tank vessel oil spill response plan 
regulations, nontank vessel oil spill response plan regulations, and 
notice of arrival regulations. Immediately following the overview, we 
discuss specific sections of the regulatory text.

Proposed Changes to SOPEP Regulations

    We propose alignment of our existing SOPEP regulations with current 
IMO MARPOL 73/78 Shipboard Oil Pollution Emergency Plan regulations. 
Compliance with our domestic SOPEP regulations serve as, among other 
things, evidence of compliance with IMO MARPOL 73/78 Annex I 
Regulations.
    The Coast Guard implemented MARPOL Annex I SOPEP standards in 33 
CFR part 151. However, since our implementation, IMO has made 
substantive changes to the international SOPEP standards. These changes 
resulted in the promulgation of new IMO SOPEP requirements found at 
MARPOL Annex I, Regulation 37 (previously these requirements were 
located at Annex I, Regulation 26). Some of the changes found in 
Regulation 37 include: changes to required SOPEP text; changes to the 
categories for addressing steps to control discharges; changes for crew 
personnel assignment requirements; and updates to the required 
notifications in the event of an oil spill. (See generally, IMO 
Resolution MEPC.86(44).) Further, the IMO implemented a new section to 
Annex I requiring that all oil tankers of 5,000 tons deadweight or more 
have prompt access to computerized, shore-based damage stability and 
residual structural strength calculation programs. (See generally, 
MEPC.117(52).) Amending our SOPEP regulations to reflect changes to the 
international standard will, among other things, negate the need for 
more than one oil spill response plan aboard a vessel.

Proposed Changes to Existing Tank Vessel Response Plan Regulations

    We propose amendment to existing tank vessel response plan 
regulations found in 33 CFR part 155, subpart D, and the associated 
appendices (B and C) to ensure the relevant portions of that part are 
made applicable to nontank vessels and those nontank vessels carrying 
oil as a cargo.

Proposed Nontank Vessel Response Plan Regulations

    The Coast Guard proposes new oil spill response plan regulations 
for nontank vessels within 33 CFR part 155, subpart J. This rulemaking 
will deliver field-tested and proven regulations to the nontank vessel 
community, facilitating one national planning standard for applicable 
vessels. Most of the criteria that would apply to nontank vessels 
(e.g., general plan provisions, qualified individual (QI) & alternate 
QI provisions, training, and exercise requirements) would remain 
relatively consistent with subpart D. However, there are areas where 
tank vessel planning standards would not be applicable due to the 
differences in potential risk posed by nontank vessels. The proposed 
resource requirements for a nontank vessel will be tiered, based on the 
vessel's fuel and cargo oil capacity.
    This proposed rule would establish regulations under 33 U.S.C. 
1321(j)(5) requiring response plans from owners or operators of nontank 
vessels, which are defined by statute as self-propelled vessels of 400 
gross tons or greater that operate on the navigable waters of the 
United States as defined in 46 U.S.C. 2101(17a), carry oil of any kind 
as fuel for main propulsion, and are not tank vessels. The proposed 
rule would specify the content of a response plan, including the 
requirement to plan for responding to a worst case discharge and a 
substantial threat of such a discharge.

Proposed Changes to Notice of Arrival Regulations in 33 CFR Part 160

    We propose to amend 33 CFR part 160 by requiring vessel owners and 
operators to submit their vessel response plan control number as part 
of the notice of arrival information.

Section-specific Discussion of Proposed Rule Part 151 Discussion of 
Proposed Changes

Section 151.09 Applicability (SOPEP)

    We propose to amend this section to relieve vessel owners and 
operators who satisfy nontank vessel oil spill response plan 
requirements under subpart J from the burden of preparing and 
maintaining a separate oil spill response plan for the purposes of 
meeting IMO MARPOL 73/78 Annex I, Regulation 37 Shipboard Oil Pollution 
Emergency Plan requirements.

Section 151.26 Shipboard Oil Pollution Emergency Plans (SOPEP)

    We propose to amend this section to align our SOPEP regulations 
with IMO Resolution MEPC.86(44) in the areas of oil spill reporting, 
contact information, mitigation procedures, and response coordination. 
Certain language, including use of the term ``lightening,'' is taken 
directly from the SOPEP development guidelines. Lightening is the 
process of making a vessel less heavy by removing certain items, such 
as oil, cargo (liquid or dry), and any other items that are not 
permanently affixed to the vessel. Further, we propose amending this 
section so as to harmonize the data set reporting requirements for 
SOPEP and VRP standards and to clarify the requirements for identifying 
the party responsible for reporting the data. Also, for the purpose of 
assisting with the interpretation of worst case discharge and the 
harmonization of our regulation with MEPC.86(44), we propose amending 
this section to clearly articulate requirements for the submission of 
plans, requirements for drawings and ship-specific details, and 
requirements for tank capacity descriptions. Next, we propose to amend 
mitigation activity requirements so as to align our regulation with 
Resolution MEPC.86(44) and harmonize existing tank vessel response plan

[[Page 44976]]

regulations with the proposed nontank vessel response plan mitigation 
activities. Lastly, we propose to amend Sec.  151.26 to align our 
regulation with Resolution MEPC.117(52), which requires oil tankers of 
5,000 tons deadweight or more to have prompt access to computerized, 
shore-based damage stability and residual structural strength 
calculation programs.

Sections 151.27 and 151.28 Plan Submission, Approval, Review, and 
Revision

    In Sec.  151.27, we propose the removal of the Coast Guard's 
practice of returning a copy of the approved plan, however we will 
continue to issue approval letters.
    In Sec. Sec.  151.27 and 151.28, we propose the use of a Coast 
Guard form entitled ``Application for Approval/Revision of Vessel 
Pollution Response Plans'' (CG-6083) as an optional alternative to a 
cover letter for a plan submission and approval application. When 
submitted properly, this application form would satisfy the two 
certification statement requirements for submission. Submissions would 
be sent to the Coast Guard's Office of Vessel Activities (CG-543) and 
directed to the attention of that Office's Vessel Response Plan Review 
Team.

Part 155 Subpart D Discussion of Proposed Changes

Section 155.1020 Tank Vessel Response Plan (TVRP) Definitions

    The vessels carrying oil as a secondary cargo definition was 
revised to direct vessels over the 400 gross tons limit to subpart J. 
In revising that definition, we introduced the term nontank vessel and 
have provided a definition for that term in this section.

Sections 155.1065 and 155.1070 TVRP Plan Submission and Review 
Procedures

    In these sections we proposed amendments that would reference 
subpart J, where applicable, so as to provide vessel owners and 
operators with flexibility in adding nontank vessels to their existing 
tank vessel response plans in an effort to comply with both subparts D 
and J.
    We propose the use of Coast Guard form CG-6083. When submitted 
properly, this application form would satisfy the two certification 
statement requirements for submission.

Part 155 Subpart J Discussion of Proposed Regulations

Section 155.5010 Nontank Vessel Response Plan (NTVRP) Purpose

    In this section, we propose a description of the purpose of subpart 
J. We specifically note that the requirements set forth in the proposed 
rule are for improving oil spill response preparedness. The specific 
criteria for response resources and their arrival times are not 
performance standards. These proposed criteria are to be used by a 
vessel owner or operator in developing a plan to respond to a vessel's 
worst case discharge or threat of such a discharge. The text in this 
section varies slightly from 33 CFR part 155, subpart D, to 
specifically address nontank vessel response plans.

Section 155.5012 Deviation From Response Plan

    This section of the proposed rule describes when an owner or 
operator of a nontank vessel may be permitted to deviate from an 
approved nontank vessel oil spill response plan. The ``Chaffee 
Amendment,'' section 1144 of the Coast Guard Authorization Act of 1996 
[see Pub. L. 104-324, October 19, 1996, 110 Stat 3901], amended the 
FWPCA regarding the use of spill response plans by stating that an 
``owner or operator may deviate from the applicable response plan if 
the President or the Federal On-Scene Coordinator determines that 
deviation from the response plan would provide for a more expeditious 
or effective response to the spill or mitigation of its environmental 
effects.'' See 33 U.S.C. 1321(c)(3)(B). The Coast Guard interprets 
section 1144 as applicable to the use of contracted resources, 
qualified individuals, and other significant deviations from the plan. 
In the event of a marine casualty, the Coast Guard intends to give 
precedence to the Incident Action Plan (IAP) as developed by a Unified 
Command. The IAP may also include, as a sub plan, a salvage response 
plan, an emergency lightering plan, a shoreline clean up plan, etc.

Section 155.5015 Applicability

    Paragraph (a). In this paragraph, we propose the applicability of 
subpart J to be those vessels that are not tank vessels carrying oil of 
any kind as fuel for main propulsion, that operate on the navigable 
waters of the United States, and are 400 gross tons or greater, as 
measured under the convention measurement system in 46 U.S.C. 14302 or 
the regulatory measurement system of 46 U.S.C. 14502 for vessels not 
measured under 46 U.S.C. 14302.
    Paragraph (b). In this paragraph, we propose the applicability 
requirements for integrated tug barge (ITB) units that do not carry oil 
in bulk on the barge.
    Paragraph (c). In this paragraph, we provide a list of vessels the 
Coast Guard proposes to exempt from complying with subpart J. The 
proposed exemptions include public vessels, foreign flag vessels 
engaged in innocent passage, certain foreign flag vessels engaged in 
transit passage, vessels carrying oil as a primary cargo, vessels that 
are not constructed to carry oil as fuel or cargo, permanently moored 
craft, and inactive vessels.
    Public vessels. We exempted public vessels from subpart J 
requirements, because 33 U.S.C. 1321(a) defined ``vessel'' to exclude 
public vessels.
    Foreign flag vessels engaged in innocent passage. We proposed 
exemption of these vessels because of our recognition of the customary 
international law of the sea, as reflected in the UNCLOS. Our exemption 
of these vessels in this subpart is consistent with subpart D. For 
further information regarding foreign flag vessels engaged in innocent 
passage, please see Background and Purpose, section III.G.
    However, the public should take note that the Coast Guard intends 
to apply this proposed rule to foreign flag nontank vessels engaging in 
voyages to or from a port or place subject to the jurisdiction of the 
United States. Further, if a foreign flag vessel is subject to nontank 
vessel response plan requirements of this subpart, that foreign flag 
nontank vessel will also be required to have a Coast Guard-approved 
geographic-specific appendix for each COTP zone where it intends to 
operate or transit through bound for or departing from a port or place 
subject to the jurisdiction of the United States; this will be the 
standard regardless of whether the foreign flag vessel intends to call 
upon the respective ports within these COTP zones to transfer cargo, 
take on bunkers, etc. In contrast, when a nontank vessel is in innocent 
passage (see 33 CFR 155.5015(c)(2)) to a foreign port and must cross 
through a COTP zone (see definition in proposed 33 CFR 155.1020) to get 
there, the submission and approval of a USCG vessel response plan is 
not required.
    Foreign flag vessels engaged in transit passage. We propose 
exemption of foreign flag vessels engaged in transit passage through a 
straight used for international navigation, unless bound for or 
departing from a port or place of the United States. For an in depth 
discussion on the Coast Guard's interpretation of our proposed rule in

[[Page 44977]]

this area, please see Background and Purpose, section III.G.
    Vessels carrying oil as a primary cargo. All vessels carrying oil 
as a primary cargo that are required to submit a response plan under 
subpart D are exempt from subpart J. If you own or operate a vessel 
carrying oil as a secondary cargo, and that vessel is less than 400 
gross tons, then your vessel would not be a nontank vessel by 
definition, and would be covered by subpart D (see proposed 33 CFR 
155.1020 ``Vessels carrying oil as a secondary cargo'').
    Vessels not constructed or operated in such a manner allowing it to 
carry oil of any kind. These vessels are proposed to be exempted, 
because they pose no oil spill risk.
    Permanently moored craft. We propose exemptions for those 
watercraft that are permanently moored or rendered incapable of 
movement because they do not fit the definition of ``vessel'' under 1 
U.S.C. 3 as interpreted by Stewart v. Dutra Construction Co., 543 U.S. 
481 (2005). Further, these watercraft represent minimal risk due to 
their immobile status.
    Inactive vessels. We propose exemptions for inactive vessels, as 
defined in Sec.  155.5020, which is described immediately below.

Section 155.5020 Definitions

    The definitions in 33 CFR 155.110 and 155.1020 are applicable to 
nontank vessel response plans, unless otherwise defined in Sec.  
155.5020.
    In Sec.  155.5020, we propose the following definitions: cargo, 
contract or other approved means, fuel, inactive vessel, integrated tug 
barge or ITB, maximum most probable discharge or MMPD, navigable waters 
of the United States, nontank vessel, oil spill removal organization or 
OSRO, permanently moored craft, qualified individual or QI and 
alternative qualified individual, substantial threat of such a 
discharge, tier, and worst case discharge or WCD.
    A proposed definition of cargo is introduced in subpart J to 
clarify that oil carried in addition to fuel used for propulsion of the 
vessel is considered to be cargo and is subject to the provisions of 
subpart J where applicable.
    A proposed definition of contract or other approved means describes 
the options for fulfilling the requirement for contracting or providing 
response resources. Paragraph (1) describes a written contract between 
a vessel owner or operator and the particular response resource 
provider. Paragraph (2) proposes requirements for self certification by 
the vessel owner or operator that it can provide the response resources 
required. Paragraph (3) describes requirements when a vessel owner or 
operator chooses an active membership with a local or regional response 
resource provider. Paragraph (4) is an agreement between the vessel 
owner or operator and a resource provider that the resource provider 
intends to commit the agreed upon resources in the event of a response. 
Finally, paragraph (5) specifically describes when the use of ``other 
approved means'' may be permissible as a method of ensuring the 
availability of response resources in lieu of a contract. It also 
describes six proposed categories of vessels that may be eligible to 
use ``other approved means'' as a method of compliance.
    The Coast Guard interprets 33 U.S.C. 1321(j)(5)(D)(iii) as imposing 
an obligation for nontank vessel owners and operators to ensure the 
availability of response resources by contract or other approved means. 
Thus, agreements including contracts between nontank vessel owners or 
operators and entities that do not physically control response 
equipment or entities that merely serve as conduits to the owners of 
the response equipment will not satisfy the statutory mandate of 33 
U.S.C. 1321(j)(5) nor will such contracts meet the requirements of 
proposed subpart J.
    A proposed definition of fuel is introduced to include oils of any 
kind, which may be used to supply power or lubrication for primary or 
auxiliary purposes aboard the vessel in which it is carried. This 
definition was drafted to convey that, when planning for a worst case 
discharge, the vessel owner or operator must include in their analysis 
all oils carried aboard as fuel or cargo. While only vessels that use 
oil for primary fuel and not auxiliary fuel are required to submit 
nontank vessel response plans, those nontank vessels that do carry 
auxiliary fuel must include auxiliary fuel in the total fuel capacity 
for nontank vessel response planning volume calculations.
    A proposed definition of inactive vessel is introduced to include 
those vessels taken out of service or placed in a laid up status, 
maintaining only the minimum amount of fuel necessary for the 
maintenance of the material condition of the vessel. Such vessels are 
not considered to be in operation on the navigable waters of the United 
States by virtue of the minimal threat they pose to the marine 
environment in that status. This section further proposes that the 
local Coast Guard Captain of the Port will determine whether an 
inactive vessel poses a threat to the marine environment, thereby 
requiring the submission of a vessel response plan.
    A proposed definition of an integrated tug barge or ITB is 
introduced to describe when these vessels, operating as a single unit 
(for example, nontank barge with machinery and tug) pose the same level 
of oil spill threat as a large freight vessel of the same aggregate 
tonnage. Beyond the definition introduced in Sec.  155.5020, and 
consistent with Coast Guard Inspection Guidance Regarding Integrated 
Tug Barge Combinations (NVIC 2-81, Change 1), an integrated tug barge 
combination will be considered an ITB, when the tug:
     Cannot operate with barges other than those barges 
specifically designed for joint operation with the tug; or
     Cannot engage in hawser towing (does not meet the towline 
pull stability criteria or does not have necessary towing equipment 
installed); or
     Requires significant reinforcement of internal structure 
to accommodate shelves, wedges or other interlocking mechanisms; or
     Is restrained in the notch of a barge to the extent that 
the speed and weather operating capabilities of the combined unit 
approach those of a single vessel.
    A proposed definition of maximum most probable discharge or MMPD is 
introduced to provide that 2,500 barrels of discharged oil will be 
considered the maximum most probable discharge for those vessels with a 
fuel and cargo capacity equal or greater than 25,000 barrels; for those 
vessels with fuel and cargo capacity of less than 25,000 barrels, the 
maximum most probable discharge will be 10 percent of the vessel's fuel 
and cargo capacity. Maximum most probable discharge is a required level 
of oil spill removal organization coverage necessary to address spill 
scenarios less than a vessel's worst case discharge where the 
substantial threat of such a discharge may occur. Maximum most probable 
discharge planning standards are commonly applied to spills resulting 
from collisions, allisions, groundings, or other scenarios where a 
portion of a vessel's oil capacity is discharged or could be discharged 
and an appropriate response is mounted to mitigate the impact of the 
resulting spill or to prevent a discharge from occurring.
    A proposed definition of navigable waters of the United States is 
introduced to clarify that for nontank vessels regulations the 
territorial seas is considered to be 12 nm seaward of the baseline. The 
authority to require nontank vessel response plans comes from sec. 311 
of the FWPCA, 33 U.S.C. 1321. Generally, for 33 U.S.C. chapter 26, 
``navigable waters'' means ``the

[[Page 44978]]

waters of the United States, including the territorial seas,'' 33 
U.S.C. 1362(7). In 1972, when this ``navigable waters'' definition 
first appeared, our territorial seas were limited to 3 nm in breadth. 
(See sec. 502 (8) of FWPCA, Oct. 18, 1972, Pub. L. 92-500, Sec.  2, 86 
Stat. 886, specifically limiting territorial seas to 3 nm.) The 
Presidential Proclamation No. 5928 of December 27, 1988, which extended 
the territorial seas of the United States to 12 nm, is not construed to 
have changed that 3 nm limit. However, in 2006, Congress revised the 
FWPCA and defined nontank vessels to include self-propelled vessels 
``on the navigable waters of the United States, as defined in section 
2101(17a) of [46 U.S.C.].'' 33 U.S.C. 1321(a)(26). That Title 46 
navigable waters definition ``includes all waters of the territorial 
sea of the United States as described in Presidential Proclamation No. 
5928 of December 27, 1988,'' which states 12 nm. 33 CFR 2.22(a)(1). 
Therefore, while we generally construe seaward extent of FWPCA 
provisions to be limited to 3 nm out from our territorial sea 
baseline--see 33 CFR 2.22(a)(2) (limiting territorial seas to 3 nm) and 
2.28(a) (pointing to 3 nm limit of territorial seas when defining FWPCA 
contiguous zone)--our NTVRP regulations would extend out to 12 nm.
    A proposed definition of nontank vessel is introduced that is 
consistent with, and derived from, the 2004 and 2006 Acts. Section 701 
of the 2004 Act specified that an owner or operator of a self-propelled 
vessel of 400 gross tons or greater, which is a vessel of the United 
States or operates on the navigable waters of the United States and 
carries oil as fuel and is not a tank vessel, must prepare and submit 
an oil spill response plan. Section 608 of the 2006 Act clarified the 
tonnage applicability of this statutory requirement by setting the 
tonnage threshold as 400 gross tons or greater, as measured under the 
convention measurement system in 46 U.S.C. 14302 or the regulatory 
measurement system of 46 U.S.C. 14502 for vessels not measured under 46 
U.S.C. 14302. The 2006 Act further established that it applies to 
vessels that operate on the navigable waters of the United States, as 
described in Presidential Proclamation No. 5928, December 27, 1988.
    A proposed definition of oil spill removal organization or OSRO is 
introduced to describe who or what may be identified as an OSRO and the 
function(s) of an OSRO. This proposed definition is consistent with the 
Coast Guard's OSRO Classification guidelines. For more information on 
the OSRO classification system, see http://www.uscg.mil/hq/nsfweb/
nsfcc/ops/ResponseSupport/RRAB/informationonclassifiedosros.html.
    A proposed definition of permanently moored craft is introduced to 
provide that permanently moored, or otherwise rendered practically 
incapable of transportation or movement, watercraft would not be 
considered to be vessels under subpart J, because they do not meet the 
statutory definition in 1 U.S.C. 3, as interpreted by the Supreme Court 
in Stewart v. Dutra Construction Co., 543 U.S. 481 (2005). Stewart v. 
Dutra addressed the concept of permanently moored vessels, and the 
language used by the court regarding a description of such vessels was 
used to develop the definition of ``permanently moored craft'' and 
exempt such craft from the proposed rule. For tank and nontank vessels, 
the controlling definition of vessel is in 46 U.S.C. 115, which cites 1 
U.S.C. 3. We propose that permanently moored craft be excluded from the 
nontank vessel response plan regulations under Sec.  155.5015.
    A proposed definition of qualified individual or QI and alternative 
qualified individual is introduced, and provides that these individuals 
are shore-based representatives of a vessel owner or operator meeting 
specific requirements. This proposed definition is similar to subpart 
D.
    A proposed definition of substantial threat of such a discharge is 
introduced to include a threat of a discharge from fuel as well as 
cargo oil, as applicable to nontank vessels.
    A proposed definition of tier is introduced to describe the 
combination of required response resources and response times within 
which the response must arrive on scene.
    A proposed definition of worst case discharge or (WCD) is 
introduced to describe the discharge of a vessel's entire fuel and 
cargo oil during adverse weather conditions.

Section 155.5021 Operating Restrictions

    In this proposed section, we identify scenarios when a nontank 
vessel may not be permitted to operate on the navigable waters of the 
United States. These proposed operating restrictions are similar to 
those found in Sec.  155.1025(a).

Section 155.5023 Interim Operating Authorization

    In this section, we propose interim operating authorization for 
nontank vessels up to 2 years after the date of submission of the oil 
spill response plan if the owner or operator has received written 
authorization from the Coast Guard to continue such operations. We also 
describe the proposed steps the vessel owner or operator should 
complete to obtain the interim authorization. These proposed 
requirements are aligned with Sec.  155.1025(c) and (d).

Section 155.5025 One-Time Port Waiver

    In this section, we propose that an owner or an operator may seek 
one-time authorization to enter a geographic-specific area not covered 
by the nontank vessel response plan upon approval by a cognizant 
Captain of the Port. This provision could also be used in an emergency 
situation, such as an impending hurricane, where a vessel owner or 
operator may need to enter a geographic-specific area not covered by 
the nontank vessel response plan for a specified temporary period of 
time. The proposed requirements are aligned with Sec.  155.1025(e) to 
ensure consistency of this proposed procedure with the tank vessel 
response plan regulations.

Section 155.5026 Qualified Individual and Alternate Qualified 
Individual

    In this proposed section, we introduce the requirement to identify 
a qualified individual and an alternate qualified individual that must 
be available to the vessel owner or operator 24 hours a day. 
Identification of a qualified individual and alternate qualified 
individual is a statutory requirement from 33 U.S.C. 1321(j)(5) and is 
consistent with the existing qualified individual and alternate 
qualified individual requirements of 33 CFR 155.1026.

Section 155.5030 Nontank Vessel Response Plan Requirements: General 
Content

    In this proposed section, we describe the general content of a 
nontank vessel response plan. The requirements were taken directly from 
the existing tank vessel requirements of 33 CFR 155.1030, and modified 
to fit the requirements of a nontank vessel. Section 155.5030(h) 
proposes that compliance with subpart J will constitute compliance with 
33 CFR 151.26 and Regulation 37 of Annex I of MARPOL 73/78, eliminating 
the need to prepare two separate oil spill response plans. Lastly, in 
order to meet statutory mandates, the general content of nontank vessel 
response plan requirements are proposed to be consistent with the 
national contingency plan (40 CFR part 300.210).

[[Page 44979]]

Section 155.5035 Nontank Vessel Response Plan Requirements: Specific 
Content

    In this section, we propose additional specific content 
requirements for nontank vessel response plans. Except where noted 
below, the requirements were taken directly from the existing tank 
vessel requirements of Sec.  155.1035 and were modified to fit nontank 
vessel requirements and ensure consistency with Sec.  151.26 
requirements for SOPEPs. Section 155.5035(a)(2) proposes the submission 
of the nontank vessel owner or operator's mailing address, current e-
mail addresses, and telephone number to facilitate communications that 
are a central part of this plan. Section 155.5035(b)(5)(i)(O) adds to 
the list of initial notification requirements, details of the vessel 
owner or operator's pollution insurer, and/or Protection and Indemnity 
(P&I) Club and Local Correspondent, as applicable. Section 155.5035(c) 
proposes regulations that align Sec.  151.26 and Regulation 37 of Annex 
I of MARPOL 73/78 shipboard spill mitigation procedures with the 
existing requirements for shipboard mitigation procedures as listed in 
Sec.  155.1035(c). Section 155.5035(e) proposes an enhanced list of 
contact requirements to reflect the full spectrum of required response 
resources per proposed Sec.  155.5050. This proposed section contains 
fewer requirements for nontank vessels with fuel and cargo capacities 
less than 2,500 barrels. Section 155.5035(k) proposes the additional 
requirements that U.S. nontank vessels, certificated for coastwise or 
oceans operating routes must meet for compliance with Regulation 37 of 
Annex I of MARPOL 73/78.

Section 155.5050 Response Plan Development and Evaluation Criteria for 
Nontank Vessels Carrying Groups I Through IV Petroleum Oil

    The proposed requirements for the response plan development and 
evaluation criteria for nontank vessels carrying groups I through IV 
petroleum oil as fuel or cargo are contained in this section. Except 
where noted below, the requirements were taken directly from the 
existing tank vessel requirements of Sec.  155.1050, however modified 
to address specific nontank vessel requirements. To the maximum extent 
practicable, a tiered approach is proposed to classify three separate 
categories of NTVRP response resource requirements based upon a 
vessel's fuel and cargo oil capacity. See the proposed Table 
155.5050(p), Nontank Vessel Response Plan Required Response Resources 
Matrix, to better understand the intended tiered strategy.

Paragraph (a) of Section 155.5050 Criteria for Evaluating Operability 
of Response Resources

    This paragraph of the proposed rule, which adopts tank vessel 
criteria from Sec.  155.1050(a), identifies criteria that would need to 
be used to evaluate the operability of response resources identified in 
a nontank vessel response plan for specified operating environments. It 
directs that the criteria in 33 CFR part 155's Appendix B, Table 1 are 
to be used solely for identification of appropriate equipment in a 
response plan, and it notes these criteria do not reflect conditions 
that would limit response actions or affect normal vessel operations. 
Conditions identified in the Area Contingency Plans for the COTP zones 
in which the vessel operates, such as ice conditions, debris, 
temperature ranges, and weather-related visibility, would also need to 
be factored in.

Paragraph (b) of Section 155.5050 Operating Environment 
Reclassification of Specific Bodies of Water

    This paragraph of the proposed rule, which adopts tank vessel 
requirements from Sec.  155.1050(b), notes that a COTP may reclassify a 
specific body of water or location within the COTP zone to a more 
stringent operating environment or a less stringent operating 
environment based on the prevailing wave conditions. Any 
reclassifications would be identified in the applicable Area 
Contingency Plan.

Paragraph (c) of Section 155.5050 Criteria for Response Equipment

    This paragraph, which adopts tank vessel requirements from Sec.  
155.1050(c), would require that response equipment meet or exceed the 
response resource operating criteria listed in 33 CFR part 155's 
Appendix B, Table 1, be capable of functioning in the applicable 
operating environment, and be appropriate for the petroleum oil 
carried.

Paragraph (d) of Section 155.5050 Average Most Probable Discharge

    This paragraph of the proposed rule, like its tank vessel 
counterpart in subpart D, Sec.  155.1050(d), would require nontank 
vessels that carry groups I through IV petroleum oil as cargo to ensure 
the availability of average most probable discharge (AMPD) resources by 
contract or other approved means. Nontank vessels that only carry 
groups I through IV oil as fuel would not have to ensure the 
availability of AMPD resources by contract or other approved means 
because the facility providing the bunker to the nontank vessel is 
already required to have planned for the AMPD resources covering the 
transfer. However, the owner or operator of a nontank vessel carrying 
groups I through IV oil as fuel would be required to plan for and 
identify the response resources required in Sec.  155.1050(d)(1) for 
bunkering or fueling operations.
    Identification of a marine transportation-related (MTR) facility 
required to maintain a response plan under 33 CFR part 154 or a tank 
vessel's oil spill response resources does not relieve a nontank vessel 
owner or operator from the responsibility to independently identify 
appropriate response resources within a COTP zone to respond to an 
AMPD. Permission from the AMPD response provider is not required for 
the purpose of listing this resource in a nontank vessel response plan 
for this planning and identification purpose.

Paragraph (e) of Section 155.5050 Maximum Most Probable Discharge

    This paragraph of the proposed rule adopts tank vessel standards 
from Sec.  155.1050(e), but would impose one less requirement for 
nontank vessels with lower oil capacity. The owner or operator of a 
nontank vessel with a capacity of 250 barrels or greater carrying 
groups I through IV petroleum oil as fuel or cargo would need to comply 
with requirements in Sec.  155.1050(e) and identify in the response 
plan and ensure the availability of, through contract or other approved 
means, the response resources necessary to respond to a discharge up to 
the vessel's maximum most probable discharge volume.
    Under this paragraph of the proposed rule, nontank vessels with an 
oil capacity of less than 250 barrels would only be required to 
identify response resources planned for in the nontank vessel response 
plan to be within the stipulated response times in the specified 
geographic areas, but these nontank vessels would not be required to 
ensure by contract that these resources be made available.
    Submission of a written consent from the response resource provider 
to be listed in the response plan would need to accompany the plan for 
approval. Compliance with these requirements would be considered to be 
consistent with the ``other approved means,'' paragraph (5) portion of 
the definition of ``Contract or other approved means'' in 33 CFR 
155.5020.

[[Page 44980]]

Paragraph (f) of Section 155.5050 Worst Case Discharge

    This paragraph would adopt requirements from Sec.  155.1050(f), but 
contains some provisions specific to nontank vessels carrying oil as 
fuel or cargo. The owner or operator of a nontank vessel with a 
capacity of 2,500 barrels or greater carrying groups I through IV 
petroleum oil as fuel or cargo would need to comply with the 
requirements in Sec.  155.1050(f) and identify in the response plan and 
ensure the availability of, through contract or other approved means, 
the response resources necessary to respond to discharges up to the 
worst case discharge volume of oil to the maximum extent practicable.
    Nontank vessels need only plan for Tier 1 response resources. In 
proposed Sec.  155.5020, tier is defined as the combination of required 
response resources and the times within which the resources must arrive 
on the scene, with the times being prescribed in Sec.  155.5050(g) and 
Tables 5 and 6 of Appendix B offering guidance on calculating the 
response resources required by a tier for given categories of area: 
higher volume port areas, the Great Lakes, and all other operating 
environments.
    Nontank vessels with a capacity of less than 2,500 barrels would 
not be required to contract with an OSRO that has a USCG classification 
to respond to a WCD level of response resources in order to comply with 
the statute's requirement to plan for the vessels' worst case 
discharge, because their total oil capacity can be completely covered 
by an OSRO with a USCG maximum most probable discharge (MMPD) 
classification rating. For additional information on USCG Classified 
OSROs, use the following link to download USCG OSRO Classification 
matrices: http://www.uscg.mil/hq/nsfweb/nsfcc/ops/ResponseSupport/RRAB/
informationonclassifiedosros.html.

Paragraph (g) of Section 155.5050 Tier 1 Response Times

    This paragraph of the proposed rule is similar to tank vessel 
requirements in Sec.  155.1050(g), but would require nontank vessels to 
only plan for Tier 1 response resources and response times: 12 hours 
for higher volume port areas, 18 hours for the Great Lakes, and 24 
hours for all other operating environments.

Paragraph (h) of Section 155.5050 Planning Standards for the 
Mobilization and Response Times for Required MMPD and WCD Response 
Resources

    This paragraph of the proposed rule contains requirements similar 
to those in Sec.  155.1050(h) for tank vessels. Section 155.5050(h) 
proposes the planning standards for the mobilization and response times 
for maximum most probable discharge (MMPD) and worst case discharge 
(WCD) response resources.
    Consistent with what are currently required for tank vessel 
response coverage, nontank vessels will be required to ensure that Tier 
1 response resources are capable of being mobilized and enroute to the 
scene of a discharge within 2 hours of notification. The notification 
and mobilization of all required Tier 1 resources must be accomplished 
within 30 minutes or through notification of the qualified individual.
    To use an example, on November 7, 2007, an oil spill response was 
initiated in San Francisco Bay in response to oil spilled from the M/V 
COSCO BUSAN. In that incident, the notification of the required MMPD 
resources was accomplished well within 30 minutes, and initial response 
resources were on scene well within the required timelines.
    Initial MMPD response resources began to arrive on scene within 45 
minutes of notification. San Francisco Bay is considered to be a higher 
volume port area (see proposed Sec.  155.5020's reference to 
definitions in Sec.  155.1020), and 33 CFR part 155's Appendix B, 
paragraph 4.3 stipulates that oil recovery devices necessary to meet 
the applicable maximum most probable discharge volume planning criteria 
must be located such that they can arrive on scene within 12 hours of 
the discovery of a discharge in higher volume port areas. Therefore, 
the initial response of resources to the M/V COSCO BUSAN incident was 
well within the planning standards for such oil spills.

Paragraph (i) of Section 155.5050 Salvage, Emergency Lightering, and 
Marine Firefighting Requirements

    This proposed paragraph is designed to be consistent with Sec.  
155.1050(j), and vessels with a capacity of 2,500 barrels or greater 
would have to meet salvage, emergency lightering, and marine 
firefighting requirements in subpart I of 33 CFR part 155. Nontank 
vessels with a capacity less than 2,500 barrels, but greater than or 
equal to 250 barrels, need only plan for and identify these response 
resources in the response plan but do not have to ensure these 
resources by contract or a previous funding agreement. Nontank vessels 
with a capacity less than 250 barrels need only plan for and identify 
salvage response resources in the response plan, but do not have to 
ensure by contract or a previous funding agreement. See 33 CFR 
155.5020, ``Contract or other approved means,'' paragraph (5).

Paragraph (j) of Section 155.5050 Dispersants

    This proposed paragraph is designed to be consistent with Sec.  
155.1050(k) and it is proposed that vessels with a capacity of 2,500 
barrels or greater would be required to ensure the availability of 
these response resources by contract or other approved means. Only Tier 
1 for dispersant effective daily application capability (EDAC) would 
need to be met for nontank vessels. Nontank vessels with a capacity of 
less than 2,500 barrels, but greater than or equal to 250 barrels, 
would need to plan for and identify dispersant response resources per 
the other approved means standard described previously.

Paragraph (k) of Section 155.5050 Aerial Oil Spill Tracking and 
Observation Response Resources

    This proposed paragraph adopts tank vessel requirements from Sec.  
155.1050(m). It is proposed that nontank vessels with a capacity of 
2,500 barrels or greater would be required to ensure the availability 
of these response resources by contract or other approved means.
    Nontank vessels with a capacity of less than 2,500 barrels, but 
greater than or equal to 250 barrels, would need to plan for and 
identify aerial oil spill tracking and observation response resources 
under the other approved means standard described previously. The 
nontank vessel owner or operator would also be required to submit a 
written consent to be listed in the plan from the recognized response 
resource provider when submitting a plan for approval or revision. 
Compliance with these requirements would be considered to be consistent 
with the ``other approved means,'' paragraph (5) portion of the 
definition of ``Contract or other approved means'' in 33 CFR 155.5020.

Paragraph (l) of Section 155.5050 Response Resources Necessary To 
Perform Shoreline Protection Operations

    This proposed paragraph adopts requirements from Sec.  155.1050(n). 
It would require the owners and operators of nontank vessels carrying 
groups I through IV petroleum oil as fuel or cargo with a capacity of 
250 barrels or greater

[[Page 44981]]

to identify in the response plan, and ensure the availability of, 
through contract or other approved means, response resources necessary 
to perform shoreline protection operations. The response resources must 
include the quantities of boom listed in 33 CFR part 155's Appendix B, 
Table 2, based upon the specific COTP zones in which the vessel 
operates.

Paragraph (m) of Section 155.5050 Shoreline Cleanup Operations

    This paragraph of the proposed rule adopts tank vessel requirements 
from Sec.  155.1050(o). It would require the owner or operator of a 
nontank vessel carrying groups I through IV petroleum oil as fuel or 
cargo with a capacity of 250 barrels or greater to identify in the 
response plan, and ensure the availability of, through contract or 
other approved means, an oil spill removal organization capable of 
effecting a shoreline cleanup operation commensurate with the quantity 
of emulsified petroleum oil to be planned for in shoreline cleanup 
operations. These shoreline cleanup resources required would need to be 
determined as described in 33 CFR part 155's Appendix B.

Paragraph (n) of Section 155.5050 Practical and Technical Limits of 
Response Capabilities

    This paragraph of the proposed rule, which adopts tank vessel 
criteria from Sec.  155.1050(p), notes that Appendix B of 33 CFR part 
155 sets out response capability capacities (caps) that recognize the 
practical and technical limits of response capabilities for which an 
individual vessel owner or operator can contract in advance. Table 6 in 
Appendix B lists the contracting caps that are applicable.
    The owner or operator of a nontank vessel carrying groups I through 
IV petroleum oil as fuel or cargo, with a capacity of 2,500 barrels or 
greater, whose required daily recovery capacity exceeds the applicable 
contracting caps in Table 6, would need to identify commercial sources 
of additional equipment equal to twice the cap listed for Tier 1 or the 
amount necessary to reach the calculated planning volume, whichever is 
lower, to the extent that this equipment is available. The equipment so 
identified would need to be capable of arriving on scene no later than 
the applicable tier response times contained in proposed Sec.  
155.5050(g) or as quickly as the nearest available resource permits. A 
response plan would need to identify the specific sources, locations, 
and quantities of this additional equipment. No contract, however, 
would be required.

Paragraph (o) of Section 155.5050 Review of Response Capability Limits

    This paragraph of the proposed rule, which adopts tank vessel 
criteria from Sec.  155.1050(q), notes that the Coast Guard will 
continue to evaluate the environmental benefits, cost efficiency, and 
practicality of increasing mechanical recovery capability requirements. 
This continuing evaluation is part of the Coast Guard's long-term 
commitment to achieving and maintaining an optimum mix of oil spill 
response capability across the full spectrum of response modes. As best 
available technology demonstrates a need to evaluate or change 
mechanical recovery capacities, a review of cap increases and other 
requirements contained within this subpart may be performed.

Paragraph (p) of Section 155.5050 Nontank Vessel Response Plan Required 
Response Resources Matrix

    The table in this paragraph of the proposed rule summarizes nontank 
vessel response resources that would be required under the proposed 
rule. It shows the tiered regulatory approach toward how the 
requirements of Sec.  155.5050 apply to various nontank vessels with a 
fuel and cargo capacity of less than 250 barrels, between 250 barrels 
and 2,500 barrels, and 2,500 barrels or greater.

Section 155.5052 Response Plan Development and Evaluation Criteria for 
Nontank Vessels Carrying Group V Petroleum Oil

    This section of the proposed rule, which adopts the tank vessel 
requirements of Sec.  155.1052, would require owners and operators of 
nontank vessels that carry group V petroleum oil as fuel or cargo to 
provide information in their plan that identifies procedures and 
strategies for responding to discharges up to a worst case discharge of 
group V petroleum oils to the maximum extent practicable, and that 
identifies sources of the equipment and supplies necessary to locate, 
recover, and mitigate such discharges.
    The owner or operator would need to ensure that:
     Any equipment identified in a response plan is capable of 
operating in the conditions expected in the geographic area(s) in which 
the nontank vessel operates, and consider the limitations identified in 
the Area Contingency Plans for the COTP zones in which the vessel 
operates;
     Through contract or other approved means, equipment 
identified in this section, including sonar, sampling equipment for 
locating the oil on the bottom or suspended in the water column, 
sorbent boom, silt curtains, dredges, pumps, or other equipment 
necessary to recover oil from the bottom and shoreline is made 
available and capable of being deployed within 24 hours of discovery of 
a discharge to the port nearest the area where the vessel is operating.
    The owner or operator of a nontank vessel carrying group V 
petroleum oil as fuel or cargo would also need to identify in the 
response plan and ensure the availability, through contract or other 
approved means, a salvage company with appropriate expertise and 
equipment, a company with vessel firefighting capability that will 
respond to casualties in the area(s) in which the vessel is operating, 
and that the intended sources of these resources are capable of being 
deployed to the areas in which the vessel will operate.
    In addition, the owner or operator would be required to identify in 
the response plan and ensure the availability of certain equipment 
facilitating ship-to-ship transfers of fuel or cargo in an emergency, 
including fendering equipment, transfer hoses, portable pumps and 
ancillary equipment, and lightering vessels. And these identified 
resources would need to be capable of reaching the locations in which 
the vessel operates within 12-to-36 hours depending on the type of 
water (e.g., inland, offshore, or open ocean).

Section 155.5055 Training

    This section of the proposed rule, which adopts the requirements of 
Sec.  155.1055 for tank vessels, describes the training requirements 
that an owner or operator of a nontank vessel must identify in his or 
her plan. The proposed rule does not require training in specific 
subjects or minimum training periods, but instead it requires a vessel 
owner or operator to identify the training programs they will establish 
or adopt to train any person with responsibilities in the response 
plan.
    The training may vary widely based on those responsibilities. For 
example, a vessel's master would need different training than the 
engineer responsible for internal cargo transfers, just as the 
qualified individual would need different training than the cleanup 
manager in the vessel owner or operator's shore-based spill management 
team. This proposed section would require that the training program 
identified in the plan differentiate between training provided

[[Page 44982]]

to vessel personnel and shore-based personnel. This section points to 
33 CFR 155's Appendix C, described below, as providing additional 
training guidance.
    Under this proposed section, the owner or operator of a nontank 
vessel would need to maintain records sufficient to document training 
and make them available for inspection upon request by the Coast Guard, 
and ensure that any oil spill removal organization identified in its 
response plan also maintains records sufficient to document training 
for the organization's personnel. The owner or operator of the nontank 
vessel would need to maintain its training records for 3 years.

Section 155.5060 Exercises

    This section of the proposed rule would require a nontank vessel 
owner or operator to conduct, as necessary, announced and unannounced 
exercises to ensure that the plan will function in an emergency. This 
proposed section adopts the minimum exercise requirements from Sec.  
155.1060 for tank vessels, as well as its requirements to:
     Participate in unannounced exercises, as directed by the 
COTP,
     Participate in Area exercises as directed by the 
applicable on-scene coordinator, and
     Maintain adequate records for 3 years following completion 
of the exercises.
    This proposed section also adopts Sec.  155.1060's provision that 
compliance with the National Preparedness for Response Exercise Program 
(PREP) Guidelines will satisfy nontank vessel response plan exercise 
requirements, as will an alternative program that meets the minimum 
exercise requirements and has been approved under alternative planning 
criteria in proposed Sec.  155.5067.

Section 155.5062 Inspection and Maintenance of Response Resources

    This proposed section, which adopts the corresponding tank vessel 
requirements in Sec.  155.1062, would require nontank vessel owners or 
operators to ensure that containment boom, skimmers, vessels, and other 
major equipment listed or referenced in a vessel response plan are 
periodically inspected and maintained in good operating condition, in 
accordance with manufacturer's recommendations and best commercial 
practices. This proposed section notes that the Coast Guard may visit 
equipment locations listed in response plans to:
     Verify that the equipment inventories exist as 
represented;
     Verify that the records of inspection and maintenance 
reflect the actual condition of the equipment; and
     Inspect and require operational tests of equipment to 
verify readiness.

Section 155.5065 Procedures for Plan Submission and Approval

    This section of the proposed rule identifies the procedures for 
submission and approval of response plans. The owner or operator of a 
nontank vessel would need to submit a complete vessel response plan, 
written in English, along with a statement certifying that the plan 
meets the requirements of subpart J as well as any applicable 
requirements in subparts D, E, F, or G.
    In addition, the submission would need to include a statement 
specifically certifying that the ``owner or operator has ensured the 
availability of, through contract or other approved means, the 
necessary private resources to respond, to the maximum extent 
practicable, to a worst case discharge or substantial threat of such a 
discharge from their vessel.''
    We propose the use of a Coast Guard form entitled ``Application for 
Approval/Revision of Vessel Pollution Response Plans'' (CG-6083) as an 
optional alternative to a cover letter for a plan submission and 
approval application. When submitted properly, this application form 
would satisfy the two certification statement requirements for 
submission. Submissions would be sent in paper format to the Coast 
Guard's Office of Vessel Activities (CG-543), and directed to the 
attention of that Office's Vessel Response Plan Review Team.
    The proposed requirements of Sec.  155.5065 are derived from tank 
vessel requirements in Sec.  155.1065 to ensure consistency with the 
procedures for vessel response plan submission and approval, but have 
been modified to be consistent with subpart J applicability. 
Additionally, appeal and alternative planning criteria procedures have 
been removed and put in their own respective sections.

Section 155.5067 Alternative Planning Criteria

    This section of the proposed rule would allow the submission of a 
request for acceptance of alternative planning criteria from the owner 
or operator of a vessel who believes that national planning criteria 
contained elsewhere in 33 CFR part 155 are inappropriate, and explains 
who in the Coast Guard will grant or deny the request. The proposed 
requirements for alternative planning criteria have been derived from 
Sec.  155.1065(f) and expanded to identify essential elements of the 
request, and to require the endorsement (either favorable or 
unfavorable) of the COTP with jurisdiction over the geographic areas at 
issue before the request may be considered by the Coast Guard's Office 
of Vessel Activities (CG-543).
    There are numerous remote areas in Alaska, as well as Guam and 
American Samoa, where it is noted that the level of required response 
resources do not meet the national planning requirements even for tank 
vessels under subpart D. It is anticipated that nontank vessels that 
transit or plan to transit these remote areas may have initial 
difficulty in meeting the proposed requirements of subpart J. Once the 
final regulations are implemented for subpart J, it is expected that 
any vessel owner or operator required, but unable, to meet the 
requirements due to this reason will meet with the cognizant Coast 
Guard Captain of the Port to discuss what resources are available and 
what alternative planning and mitigation strategies can be put in place 
to receive authorization for operations in these areas. We encourage 
Area [Planning] Committees, established under the National Contingency 
Plan (40 CFR 300), to address this issue and facilitate solutions to 
include recommending acceptable alternative planning criteria for 
nontank vessel response plan approval and building up required response 
resources in applicable areas.

Section 155.5070 Procedures for Plan Review, Revision, and Amendment

    This section of the proposed rule would require nontank vessel 
owners or operators to review their response plans annually to ensure 
that the plan information is current. This review must occur within one 
month of the anniversary date of Coast Guard approval of the plan. 
Also, a vessel owner or operator would be required to submit a letter 
to Coast Guard certifying that they have conducted this review.
    These proposed requirements in Sec.  155.5070 are derived from 
Sec.  155.1070 to ensure consistency with the procedures for tank 
vessel response plan review, revision, and amendment procedures, except 
for the following. To be consistent with plan review and revision 
requirements in 33 CFR 151.28(a), the owner or operator of a nontank 
vessel must submit a letter to the Coast Guard certifying that the 
annual review has been completed. This certification is necessary even 
if no changes have occurred.
    We propose the use of a Coast Guard form entitled ``Application for 
Approval/Revision of Vessel Pollution

[[Page 44983]]

Response Plans'' (CG-6083) as an optional alternative to a cover letter 
for a plan annual review. When submitted properly, this application 
form would satisfy the annual review requirements found in proposed 
Sec.  155.5070. Submissions would be sent to the Coast Guard's Office 
of Vessel Activities, and directed to the attention of that Office's 
Vessel Response Plan Review Team.

Section 155.5075 Appeal Procedures

    Consistent with tank vessel procedures in Sec. Sec.  155.1065(h) 
and 155.1070(f), we propose allowing a nontank vessel owner or operator 
who disagrees with a deficiency determination to submit a petition for 
reconsideration to the Coast Guard and to appeal a Coast Guard decision 
not to approve the owner or operator's NTVRP.
    A petition for reconsideration of a deficiency determination would 
need to be filed within the period required for compliance or within 5 
days from receipt of the notice of deficiency determination to the 
owner or operator, whichever date occurs first. For 21 days following 
notification that a NTVRP is not approved, the vessel owner or operator 
would be allowed to appeal that determination to the Assistant 
Commandant for Marine Safety, Security, and Stewardship.

Appendix B of 33 CFR 155

    Appendix B of 33 CFR part 155 describes the procedures for 
identifying response resources to meet VRP requirements of subparts D, 
E, F, and G. We propose revising Appendix B so that it also addresses 
our proposed addition of NTVRP regulations in subpart J.
    In Appendix B paragraphs 1.1, 2.6, and 2.7, which describe the 
purpose of the Appendix and describe equipment operability and 
readiness, we simply propose adding a reference to subpart J. In 
paragraph 4.2.2 of Appendix B, we propose changing the 10 percent 
measure from ``total cargo oil capacity'' to ``total oil capacity'' in 
reference to maximum most probable discharge.
    Section 3 of Appendix B deals with determining response resources 
required for the AMPD. In paragraph 3.1, after the words ``vessel owner 
or operator,'' we propose adding the words ``as applicable under the 
regulations prescribed in this part.'' Also, after the reference to a 
vessel carrying oil as a primary cargo, we propose adding ``or a 
nontank vessel carrying oil as cargo as required by subpart J.''
    Section 5 of Appendix B deals with determining response resources 
required for the WCD to the maximum extent practicable. In paragraphs 
5.1, and 5.3 through 5.7, after the words ``vessel owner or operator,'' 
we propose adding the words ``as applicable under the regulations 
prescribed in this part.'' In paragraph 5.2, we propose to insert a 
reference to Sec.  155.5050(g) when identifying the applicable tier for 
response time.
    Section 7 of Appendix B describes determining the WCD planning 
volumes. In paragraphs 7.1, 7.2, and 7.2.4, after the words ``vessel 
owner or operator,'' we propose inserting the words ``as applicable 
under the regulations prescribed in this part.'' In paragraph 7.2.3, we 
propose inserting a clarifying statement that for nontank vessels, only 
Tier 1 is to be used with the oil recovery resource mobilization factor 
in determining the total on-water oil recovery capacity that must be 
identified or contracted for to arrive on scene within the applicable 
time for each response tier. In paragraph 7.2.4, we propose deleting a 
sentence on exceeding the 1993 planning volume cap that is no longer 
needed. In paragraph 7.3.1, we propose changing ``total volume of oil 
cargo carried'' to ``total volume of oil carried.''
    Section 8 of Appendix B provides guidance on determining the 
availability of high-rate response methods. In paragraph 8.1.1, after 
the words ``vessel owner or operator,'' we propose adding the words 
``as applicable under the regulations prescribed in this part.''

Appendix C of 33 CFR 155

    Appendix C of 33 CFR part 155 provides guidance to owners and 
operators of vessels on the development of the training portions of 
their response plans. We propose revising Appendix C so that it also 
addresses our proposed addition of NTVRP regulations in subpart J.
    In Appendix C, section 2, the elements-to-be-addressed section, we 
propose:
     Expanding organizational activities in paragraph 2.2.3.1 
from ``cargo transfers'' to ``fuel and cargo transfers'' in reference 
to procedures to mitigate or prevent any discharge or a substantial 
threat of a discharge of oil;
     Adding a suspected fuel tank leak in paragraph 2.2.14 to 
the list of items for which action must be taken; and
     Changing information on ``cargoes handled'' to information 
on ``oil handled'' in paragraph 2.2.15.
    For paragraphs within 2.2.15, we propose adding ``(including oil 
carried as fuel)'' to paragraph 2.2.15.1 in reference to cargo material 
safety data sheets; and in reference to chemical properties, special 
handling procedures, health and safety hazards, and spill and 
firefighting procedures, we propose revising ``cargo'' in paragraphs 
2.2.15.2 through 2.2.15.5 to ``all oils carried as fuel or cargo.''

33 CFR 160.206 Information Required in an NOA

    The proposed rule would amend 33 CFR part 160 by adding a 
requirement for vessel owners or operators to include the USCG vessel 
response plan control number in the notice of arrival submission. As 
noted in Section III.F, the VRP control number would better enable the 
Coast Guard to determine if the vessel has an authorized GSA for each 
of the USCG Captain of the Port Zones through which the vessel intends 
to transit. VRP GSA requirements are contained in proposed 33 CFR 
155.5035(i) for nontank vessels, and in 33 CFR 155.1035(i), 
155.1040(j), and 155.1045(i) for vessels subject to subpart D. For 
those vessels that are covered by more than one response plan, 
submission of the VRP control number will notify the Coast Guard as to 
which plan they are operating under.

V. Incorporation by Reference

    Material proposed for incorporation by reference appears in Sec.  
155.5035. You may inspect this material at U.S. Coast Guard 
Headquarters where indicated under ADDRESSES. Copies of the material 
are available from the sources listed in Sec.  155.140.
    Before publishing a binding rule, we will submit this material to 
the Director of the Federal Register for approval of the incorporation 
by reference.

VI. Regulatory Analyses

    We developed this proposed rule after considering numerous statutes 
and executive orders related to rulemaking. Below we summarize our 
analyses based on 13 of these statutes or executive orders.

A. Executive Order 12866

    This proposed rule is not a significant regulatory action under 
section 3(f) of Executive Order 12866, Regulatory Planning and Review, 
and does not require an assessment of potential costs and benefits 
under section 6(a)(3) of that Order. OMB has not reviewed it under that 
Order.
    A combined Regulatory Analysis and an Initial Regulatory 
Flexibility Analysis is available in the docket where indicated under 
the ``Public Participation and Request for Comments'' section of this 
preamble. A summary of the analysis follows:
    The proposed rule would implement the statutory requirements in 33 
U.S.C. 1321(j)(5) for a U.S. and foreign flag vessel owner or operator 
to prepare and

[[Page 44984]]

submit an oil spill response plan to the Coast Guard. The type of 
vessels affected would be self-propelled, nontank vessels of 400 tons 
or greater as measured under the convention measurement system or 
regulatory measurement system, which operate on the navigable waters of 
the U.S., and carries oil of any kind as fuel for main propulsion.
    The proposed rule would specify the content of a response plan, 
including the requirement to plan for a response to a worst-case 
discharge and a substantial threat of such a discharge. The proposed 
rule would also specify the procedures for submitting a plan to the 
Coast Guard.
    There are four cost elements associated with this proposed rule: 
(1) The cost for nontank vessel plan development, maintenance, and 
submission (2) the cost for a nontank vessel owner or planholder to 
obtain the service of an Oil Spill Response Organization (OSRO), (3) 
the cost for a nontank vessel owner or planholder to contract with a 
Qualified Individual (QI) along with a Spill Management Team (SMT), and 
(4) the cost for training and exercises.
    We base the cost estimates for plan development on information 
contained in an OMB-approved collection of information (OMB 1625-0066). 
We base the cost estimates associated with exercises on a combination 
of information from the Bureau of Labor Statistics (BLS), the General 
Services Administration, the OMB-approved collection of information, 
publicly available information from OSRO contractors, and other 
industry information. The OSRO and QI/SMT costs are based upon 
information that we received from contacting plan preparers.
    We estimate this proposed rule would affect about 2,951 U.S. flag 
vessels and 1,228 associated planholders. We estimate the proposed rule 
would also affect about 9,264 foreign flag vessels and about 1,544 
associated planholders.
    We present the costs of this proposed rule in 2008 dollars and 
discount these costs to their present value (PV) over a 10-year period 
of analysis, 2009-2018, using 7 and 3 percent discount rates. We also 
estimate annualized costs of this proposed rule over the same 10-year 
period of analysis. We estimate the total 10-year PV cost of this 
proposed rule to U.S. flag nontank vessel owners and operators to be 
about $111.4 million at a 7 percent discount rate and $134.8 million at 
a 3 percent discount rate. We found the training and exercise 
requirements to be the most costly element, or over 90 percent of the 
total discounted cost of the proposed rule for vessel owners. We 
estimate the total U.S. annualized cost of this proposed rule over the 
10-year period of analysis to be about $15.8 million at both discount 
rates.
    We estimate the total 10-year PV cost of this proposed rule to 
foreign flag nontank vessels owners and operators to be about $151.6 
million at a 7 percent discount rate and $183.6 million at a 3 percent 
discount rate. We estimate annualized costs of this proposed rule to 
foreign flag nontank vessel owners and operators over the 10-year 
period of analysis to be about $21.6 million at both discount rates. 
See Table 1 below.

 Table 1--Summary of Total 10-Year Discounted Costs of the Proposed Rule
         [2009-2018, 7 and 3 Percent discount rates, $Millions]
------------------------------------------------------------------------
                             Discount rates
-------------------------------------------------------------------------
                Cost item                    7 Percent       3 Percent
------------------------------------------------------------------------
U.S. vessel costs:
    Plan Development....................           $5.3            $6.0
    Contracted OSRO Service.............            0.46            0.56
    QI/SMT..............................            5.7             6.9
    Training, Drilling, and Exercises...           99.9           121.4
        Total U.S. Vessel Cost..........          111.4           134.8
        Total U.S. Annualized Cost......           15.8            15.8
Foreign vessel costs:
    Plan Development....................            6.7             7.5
    Contracted OSRO Service.............            1.5             1.8
    QI/SMT..............................           17.8            21.7
    Training, Drilling, and Exercises...          125.7           152.6
        Total Foreign Vessel Cost.......          151.6           183.6
        Total Foreign Annualized Cost...           21.6            21.6
        Total Cost of Proposed Rule.....          263.0           318.4
------------------------------------------------------------------------
Note: Totals may not sum due to rounding.

    We estimate the total cost of the proposed rule to both the U.S. 
and foreign fleets over the 10-year period of analysis to be $263.0 or 
$318.4 million at 7 and 3 percent discount rates, respectively, with an 
annualized cost of about $37.4 million at both discount rates. We 
expect this proposed rule to provide quantifiable benefits in the form 
of barrels of oil not spilled into the water in addition to qualitative 
benefits, which include improved preparedness and reaction to an 
incident, including a worst-case discharge, and improved effectiveness 
of onboard and shore-side response activities.
    We based quantifiable benefits on a review of marine casualty cases 
from our Marine Information for Safety and Law Enforcement (MISLE) 
database for the period 2002-2006 in order to obtain casualty reports 
involving self-propelled, nontank vessels of 400 gross tons or greater 
that operated on the navigable waters of the U.S. and that carried oil 
of any kind as fuel for main propulsion.
    We estimate the proposed rule would prevent between 2,014 and 2,446 
barrels of oil from being spilled into the water during the 10-year 
period of analysis, 2009-2018. See the regulatory analysis in the 
docket for further detail.

B. Small Entities

    Under the Regulatory Flexibility Act (5 U.S.C. 601-612), we have 
considered whether this proposed rule would have a significant economic 
impact on a substantial number of small entities. The term ``small 
entities'' comprises small businesses, not-for-profit organizations 
that are independently owned and operated and are not

[[Page 44985]]

dominant in their fields, and governmental jurisdictions with 
populations of less than 50,000.
    We estimate that this proposed rule would affect about 1,228 U.S. 
companies that own approximately 2,951 nontank vessels identified for 
this proposed rule. We researched all 1,228 companies and found 
company-specific information on 640 of them (about 52 percent). From 
our analysis, we determined that 376 (about 59 percent) entities are 
small entities based on the Small Business Administration (SBA) size 
criteria of annual revenues and employment data. These 376 small 
entities own 769 vessels or about two vessels per owner.
    Additionally, we found the remaining 588 of the 1,228 companies 
that we researched lacked company data such as revenues and employee 
size, which precluded us from using those companies in our analysis. We 
assume that a majority of these 588 companies may be small entities.
    Using publicly available and proprietary data on owner revenue, we 
estimated the initial and annual impact to small entities as a 
percentage of annual revenue. We then determined the initial and annual 
cost impact of this proposed rule on small entities.
    We found that the first year cost of the proposed rule would have a 
one percent or less impact on 50 percent of the small entities that we 
analyzed. We found that the first year cost of the proposed rule would 
have a 3 percent or less impact on 68 percent of the small entities 
that we analyzed.
    We found that the annual cost of the proposed rule would have a 1 
percent or less impact on 55 percent of the small entities that we 
analyzed. We found that the annual cost of the proposed rule would have 
a 3 percent or less impact on 73 percent of the small entities that we 
analyzed.
    We are interested in the potential direct impacts of this proposed 
rule on small entities and we request public comment on these potential 
direct impacts. If you think that your business, organization, or 
governmental jurisdiction qualifies as a small entity and that this 
rule would have a significant economic impact on it, please submit a 
comment to the Docket Management Facility at the address under 
ADDRESSES. In your comment, explain why you think it qualifies and how 
and to what degree this rule would economically affect it.

C. Assistance for Small Entities

    Under section 213(a) of the Small Business Regulatory Enforcement 
Fairness Act of 1996 (Pub. L. 104-121), we want to assist small 
entities in understanding this proposed rule so that they can better 
evaluate its effects on them and participate in the rulemaking. If the 
proposed rule would affect your small business, organization, or 
governmental jurisdiction and you have questions concerning its 
provisions or options for compliance, please consult Lieutenant Jarrod 
DeWitz at (202) 372-1219 or Jarrod.M.DeWitz@uscg.mil. The Coast Guard 
will not retaliate against small entities that question or complain 
about this rule or any policy or action of the Coast Guard.
    Small businesses may send comments on the actions of Federal 
employees who enforce, or otherwise determine compliance with, Federal 
regulations to the Small Business and Agriculture Regulatory 
Enforcement Ombudsman and the Regional Small Business Regulatory 
Fairness Boards. The Ombudsman evaluates these actions annually and 
rates each agency's responsiveness to small business. If you wish to 
comment on actions by employees of the Coast Guard, call 1-888-REG-FAIR 
(1-888-734-3247).

D. Collection of Information

    This proposed rule would call for a collection of information under 
the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520). As defined 
in 5 CFR 1320.3(c), ``collection of information'' comprises reporting, 
recordkeeping, monitoring, posting, labeling, and other, similar 
actions. The title and description of the information collections, a 
description of those who must collect the information, and an estimate 
of the total annual burden follow. The estimate covers the time for 
reviewing instructions, searching existing sources of data, gathering 
and maintaining the data needed, and completing and reviewing the 
collection.
    This rulemaking modifies two existing OMB-approved collections of 
information, 1625-0066 and 1625-0100. Details are provided below.
    OMB Control Number: 1625-0066.
    Title: Vessel and Facility Response Plans (Domestic and Int'l), and 
Additional Response Requirements for Prince William Sound, Alaska.
    Summary of the Collection of Information: A nontank vessel owner or 
operator would need to prepare and submit to the Coast Guard a nontank 
vessel response plan in accordance with proposed 33 CFR part 155, 
subpart J. The content of the response plan would include the 
requirement to plan for responding to a worst case discharge and a 
substantial threat of such a discharge. Additionally, submissions of 
international SOPEPs for certain U.S. flag nontank and tank vessels 
will require alignment with updated SOPEP rules.
    Need for Information: The information is necessary to show evidence 
that planholders have properly planned to prevent or mitigate oil 
outflow and to provide information to the Coast Guard for its use in 
emergency response.
    Proposed Use of Information: The Coast Guard will use the 
information to determine whether a nontank vessel response plan meets 
the requirements.
    Description of the Respondents: The respondents are nontank vessel 
response planholders and SOPEP planholders.
    Number of Respondents: The existing OMB-approved number of 
respondents is 9,834. This proposed rule would increase that number by 
772 respondents. The total number of respondents would be 10,606.
    Frequency of Response: The existing OMB-approved number of 
responses is 32,675. This proposed rule would increase that number by 
1,453 responses.
    Burden of Response: The existing OMB-approved burden of response is 
a range of 3 to 40 hours per NTVRP activity (i.e., initial plan 
development, plan revision, annual recordkeeping, 5-year resubmission).
    Estimate of Total Annual Burden: The existing OMB-approved total 
annual burden is 220,559 hours. This proposed rule would increase that 
number by 14,415 hours.
    OMB Control Number: 1625-0100.
    Title: Advance Notice of Vessel Arrival.
    Summary of the Collection of Information: The Coast Guard requires 
pre-arrival notices from certain vessels entering a port or place of 
the United States. This proposed rule would add one new data element 
(the VRP control number) to the 40 data elements that are currently 
required by 33 CFR part 160.
    Need for Information: In general, the Coast Guard uses notice of 
arrival information to ensure port safety and security, and to ensure 
the uninterrupted flow of commerce. In particular, the addition of the 
VRP control number would enable the Coast Guard to determine if the 
vessel has an authorized GSA for each COTP zone through which the 
vessel intends to transit.
    Proposed Use of Information: This information is required to 
control vessel traffic, develop contingency plans, and enforce 
regulations.
    Description of the Respondents: Respondents are the owner, agent,

[[Page 44986]]

master, operator, or person in charge of a vessel that arrives at a 
port or place of the United States.
    Number of Respondents: The existing OMB-approved number of 
respondents is 9,206. This proposed rule would not change that number. 
The total number of respondents would remain 9,206.
    Frequency of Response: The existing OMB-approved number of 
responses is 78,538. This proposed rule would not change that number. 
The total number of responses would remain 78,538.
    Burden of Response: The existing OMB-approved burden of response is 
approximately 2.5 hours (150 minutes) per response. The additional 
burden imposed by this proposed rule is estimated to be so minimal that 
it does not merit changing the approved collection. For this 
collection, we propose to add one data element, the VRP control number, 
to the currently required 40 data elements for the notice of arrival. 
The VRP control number is a ``static'' data element issued once every 5 
years or longer, while some of the 40 other data elements change with 
each voyage (such as last port of call, cargo, or crew list). 
Therefore, we believe the 150-minute burden currently approved for this 
collection more than adequately covers the post rulemaking 41 data 
elements and the burden of response should remain unchanged.
    Estimate of Total Annual Burden: The existing OMB-approved total 
annual burden is 200,039 hours. Because the additional burden imposed 
by this proposed rule is estimated to be so minimal, it does not merit 
changing the approved annual burden. The estimated total annual burden 
would remain 200,039 hours.
    In addition to this rulemaking, COI 1625-0066 is being revised by 
two other Coast Guard rulemakings. These rulemakings are: (1) Salvage 
and Marine Firefighting Requirements; Vessel Response Plans for Oil 
[Docket No. USCG-1998-3417; RIN 1625-AA19]; and (2) Vessel and Facility 
Response Plans for Oil: 2003 Removal Equipment Requirements and 
Alternative Technology Revisions [Docket No. USCG-2001-8661; RIN 1625-
AA26]. Once these rulemakings are finalized, the hour burden for 1625-
0066 will differ from the figures noted above. See the COI preamble 
section of each rulemaking for details on how the hour burden will 
differ.
    In addition to this rulemaking, COI 1625-0100 is being revised by 
two other Coast Guard rulemakings. These rulemakings are: (1) Vessel 
Requirements for Notices of Arrival and Departure, and Automatic 
Identification System [Docket No. USCG-2005-21869; RIN 1625-AA99]; and 
(2) Notification of Arrival in U.S. Ports; Certain Dangerous Cargoes; 
Electronic Submission [Docket No. USCG-2004-19963; RIN 1625-AA93]. Once 
these rulemakings are finalized, the hour burden for 1625-0100 will 
differ from the figures noted above. See the COI preamble section of 
each rulemaking for details on how the hour burden will differ.
    As required by the Paperwork Reduction Act of 1995 (44 U.S.C. 
3507(d)), we have submitted a copy of this proposed rule to the Office 
of Management and Budget (OMB) for its review of the collection of 
information.
    We ask for public comment on the proposed collection of information 
to help us determine how useful the information is; whether it can help 
us perform our functions better; whether it is readily available 
elsewhere; how accurate our estimate of the burden of collection is; 
how valid our methods for determining burden are; how we can improve 
the quality, usefulness, and clarity of the information; and how we can 
minimize the burden of collection.
    If you submit comments on the collection of information, submit 
them both to OMB and to the Docket Management Facility where indicated 
under ADDRESSES, by the date under DATES.
    You need not respond to a collection of information unless it 
displays a currently valid control number from OMB. Before the Coast 
Guard could enforce the collection of information requirements in this 
proposed rule, OMB would need to approve the Coast Guard's request to 
collect this information.

E. Federalism

    A rule has implications for federalism under Executive Order 13132, 
Federalism, if it has a substantial direct effect on State or local 
governments and would either preempt State law or impose a substantial 
direct cost of compliance on them. It is well settled that States may 
not regulate in categories reserved for regulation by the Coast Guard. 
It is also well settled, that all of the categories covered in 46 
U.S.C. 3306, 3703, 7101, or 8101 (design, construction, alteration, 
repair, maintenance, operation, equipping, personnel qualification, and 
manning of vessels), as well as casualty reporting and any other 
category in which Congress intended the Coast Guard to be the sole 
source of government-imposed vessel obligations, are within the field 
foreclosed from regulation by the States. (See the decision of the 
Supreme Court in the consolidated cases of United States v. Locke and 
Intertanko v. Locke, 529 U.S. 89, 120 S.Ct. 1135 (2000)).
    This NPRM describes the proposed standards to which nontank vessel 
owners and operators would adhere when preparing and submitting plans 
for responding to a discharge of oil from their vessels. We have 
drafted this proposed rule to ensure that, to the extent practicable, 
it is consistent with any applicable State-mandated response plan in 
effect on August 9, 2004. To that end, we have conducted a search of 
State laws addressing NTVRPs and conclude that no State law would be 
preempted when this rule is made final. That said, we have found that a 
few State laws authorize nontank vessel owners and operators to, among 
other options, contract with intermediaries as a method of complying 
with State laws that require nontank vessel owners or operators to 
ensure the availability of oil spill removal organization by contract 
or other approved means. Those intermediaries, generally, do not own 
the oil spill removal resources and usually contract with third-party 
companies to fulfill the State requirement. Our proposed rule does not 
allow for the third-party intermediary option, because we interpret the 
OPA 90 to require a direct contractual relationship between vessel 
owners or operators and the organization owning the oil spill removal 
organization. Because the vessel owner or operator may comply with both 
State law and Federal law on this topic so long as, among other things, 
there is a direct contractual relationship between the vessel owner or 
operator and the oil spill removal organization, we believe this 
proposed rule will not preempt the various State laws on this topic. 
However, to ensure that those States that may have an interest in this 
rulemaking are provided with adequate opportunity to comment upon 
potential federalism issues, we will provide separate notice of this 
NPRM to the States.

F. Unfunded Mandates Reform Act

    The Unfunded Mandates Reform Act of 1995 (2 U.S.C. 1531-1538) 
requires Federal agencies to assess the effects of their discretionary 
regulatory actions. In particular, the Act addresses actions that may 
result in the expenditure by a State, local, or tribal government, in 
the aggregate, or by the private sector of $100,000,000 or more in any 
one year. Though this proposed rule would not result in such an 
expenditure, we do discuss the effects of this rule elsewhere in this 
preamble.

[[Page 44987]]

G. Taking of Private Property

    This proposed rule would not effect a taking of private property or 
otherwise have taking implications under Executive Order 12630, 
Governmental Actions and Interference with Constitutionally Protected 
Property Rights.

H. Civil Justice Reform

    This proposed rule meets applicable standards in sections 3(a) and 
3(b)(2) of Executive Order 12988, Civil Justice Reform, to minimize 
litigation, eliminate ambiguity, and reduce burden.

I. Protection of Children

    We have analyzed this proposed rule under Executive Order 13045, 
Protection of Children from Environmental Health Risks and Safety 
Risks. This rule is not an economically significant rule and would not 
create an environmental risk to health or risk to safety that might 
disproportionately affect children.

J. Indian Tribal Governments

    We do not expect this proposed rule to have tribal implications 
under Executive Order 13175, Consultation and Coordination with Indian 
Tribal Governments, because we do not expect it to have a substantial 
direct effect on one or more Indian tribes, on the relationship between 
the Federal Government and Indian tribes, or on the distribution of 
power and responsibilities between the Federal Government and Indian 
tribes. We invite your comments on this assessment and if tribal 
implications are identified during the comment period we will undertake 
appropriate consultations with the affected Indian tribal officials.

K. Energy Effects

    We have analyzed this proposed rule under Executive Order 13211, 
Actions Concerning Regulations That Significantly Affect Energy Supply, 
Distribution, or Use. We have determined that it is not a ``significant 
energy action'' under that order because it is not a ``significant 
regulatory action'' under Executive Order 12866 and is not likely to 
have a significant adverse effect on the supply, distribution, or use 
of energy. The Administrator of the Office of Information and 
Regulatory Affairs has not designated it as a significant energy 
action. Therefore, it does not require a Statement of Energy Effects 
under Executive Order 13211.

L. Technical Standards

    The National Technology Transfer and Advancement Act (NTTAA) (15 
U.S.C. 272 note) directs agencies to use voluntary consensus standards 
in their regulatory activities unless the agency provides Congress, 
through the Office of Management and Budget, with an explanation of why 
using these standards would be inconsistent with applicable law or 
otherwise impractical. Voluntary consensus standards are technical 
standards (e.g., specifications of materials, performance, design, or 
operation; test methods; sampling procedures; and related management 
systems practices) that are developed or adopted by voluntary consensus 
standards bodies.
    This proposed rule uses the following voluntary consensus 
standards:
     IMO Resolution A.741(18), International Management Code 
for the Safe Operation of Ships and for Pollution Prevention 
(International Safety Management (ISM) Code), November 4, 1993.
     IMO Resolution A.851(20), General Principles for Ship 
Reporting Systems and Ship Reporting Requirements, Including Guidelines 
for Reporting Incidents Involving Dangerous Goods, Harmful Substances 
and/or Marine Pollutants, November 27, 1997.
     IMO Resolution MSC.104(73), Adoption of Amendments to the 
International Safety Management (ISM) Code, December 5, 2000.
     Oil Companies International Marine Forum's Ship to Ship 
Transfer Guide (Petroleum), Fourth Edition 2005. The proposed sections 
that reference these standards and the locations where these standards 
are available are listed in Sec.  155.140.

M. Environment

    We have analyzed this proposed rule under Commandant Instruction 
M16475.lD and Department of Homeland Security Management Directive 023-
01, which guide the Coast Guard in complying with the National 
Environmental Policy Act of 1969 (NEPA) (42 U.S.C. 4321-4370f), and 
have made a preliminary determination that, under the Commandant 
Instruction, this action is not likely to have a significant effect on 
the human environment. A preliminary environmental analysis checklist 
supporting this preliminary determination is available in the docket 
where indicated under the ``Public Participation and Request for 
Comments'' section of this preamble. We seek any comments or 
information that may lead to the discovery of a significant 
environmental impact from this proposed rule.

List of Subjects

33 CFR Part 151

    Administrative practice and procedure, Oil pollution, Penalties, 
Reporting and recordkeeping requirements, Water pollution control.

33 CFR Part 155

    Administrative practice and procedure, Alaska, Hazardous 
substances, Oil pollution, Reporting and recordkeeping requirements.

33 CFR Part 160

    Administrative practice and procedure, Harbors, Hazardous materials 
transportation, Marine safety, Navigation (water), Reporting and 
recordkeeping requirements, Vessels, Waterways.
    For the reasons discussed in the preamble, the Coast Guard proposes 
to amend 33 CFR parts 151, 155, and 160 as follows:

PART 151--VESSELS CARRYING OIL, NOXIOUS LIQUID SUBSTANCES, GARBAGE, 
MUNICIPAL OR COMMERCIAL WASTE, AND BALLAST WATER

    1. The authority citation for part 151 continues to read as 
follows:


    Authority:  33 U.S.C. 1321, 1903, 1908; 46 U.S.C. 6101; Pub. L. 
104-227 (110 Stat. 3034); E.O. 12777, 3 CFR, 1991 Comp. p. 351; 
Department of Homeland Security Delegation No. 0170.1.

    2. In Sec.  151.09, add a note to paragraph (c), remove the note 
following paragraph (e), and revise paragraph (d) to read as follows:


Sec.  151.09  Applicability.

* * * * *
    (c) * * *
    Note to Sec.  151.09(c): The term ``internal waters'' is defined in 
Sec.  2.24 of this chapter.
    (d) Sections 151.26 through 151.28--
    (1) Do not apply to--
    (i) The ships specified in paragraph (b) of this section;
    (ii) Any barge or other ship which is constructed or operated in 
such a manner that no oil in any form can be carried aboard.
    (2) Are considered to be met if a U.S. flag nontank vessel holds a 
USCG-approved nontank vessel response plan and provides evidence of 
compliance with 33 CFR part 155, subpart J requirements.
* * * * *
    3. In Sec.  151.26--

[[Page 44988]]

    a. In paragraph (b)(1)(i), remove ``Regulation 26'' and add 
``Regulation 37'' in its place; and add the words ``as amended by 
Resolution MEPC.86(44)'' immediately after ``MEPC.54(32))'';
    b. Revise paragraph (b)(2) to read as set out below;
    c. Revise paragraphs (b)(3)(i)(A) and (b)(3)(ii) introductory text 
to read as set out below;
    d. Redesignate the introductory text of paragraph (b)(3)(iii)(A) as 
(b)(3)(iii)(A)(1), and add paragraphs (b)(3)(iii)(A)(2) and 
(b)(3)(iii)(D) to read as set out below;
    e. Revise the introductory text of paragraph (b)(4)(i) and all of 
paragraph (b)(4)(ii) to read as set out below;
    f. Revise paragraph (b)(4)(iii)(B), and add new paragraph 
(b)(4)(iii)(D) and (b)(4)(iii)(E) to read as set out below;
    g. Revise paragraph (b)(5)(i) to read as set out below;
    h. Remove paragraph (b)(7)(i); and
    i. Redesignate paragraphs (b)(7)(ii) through (b)(7)(vi) as 
(b)(7)(i) through (b)(7)(v).


Sec.  151.26  Shipboard oil pollution emergency plans.

* * * * *
    (b) * * *
    (2) Preamble. The plan must be realistic, practical, and easy to 
use, and the Preamble section of the plan must reflect these three 
features of the plan. The use of flowcharts, checklists, and appendices 
within the plan will aid in addressing this requirement. This section 
must contain an explanation of the purpose and use of the plan and 
indicate how the shipboard plan relates to other shore-based plans. 
Additionally, the Preamble section of the plan must clearly recognize 
coastal States' rights to approve oil pollution response in their 
waters by stating the following: ``Without interfering with shipowner's 
liability, some coastal States consider that it is their responsibility 
to define techniques and means to be taken against an oil pollution 
incident and approve such operations that might cause further 
pollution, i.e., lightening. States are entitled to do so under the 
International Convention relating to Intervention on the High Seas in 
Cases of Oil Pollution Casualties, 1969 (Intervention Convention).''
* * * * *
    (3) * * *
    (i) * * *
    (A) A discharge of oil above the permitted level for any reason, 
including those for the purpose of securing the safety of the ship or 
saving life at sea;
* * * * *
    (ii) Information required. This section of the plan must include a 
notification form, such as the one depicted in Table 151.26(b)(3)(ii), 
that includes all the data elements required in Resolution A.851(20) 
and contains information to be provided in the initial and follow-up 
notifications. The official number of the vessel and current conditions 
of the vessel are to be included. In addition, the initial notification 
should include as much of the information on the form as possible, and 
supplemental information, as appropriate. However, the initial 
notification must not be delayed pending collection of all information. 
Copies of the form must be placed at the location(s) on the ship from 
which notification may be made.
* * * * *
    (iii) * * *
    (A) * * *
    (2) In order to expedite response and minimize damage from a 
pollution incident, it is essential that appropriate coastal States 
should be notified without delay. This process begins with the initial 
report required by article 8 and Protocol I of MARPOL 73/78.
* * * * *
    (D) The plan must clearly specify who will be responsible for 
informing the necessary parties from the coastal State contacts, the 
port contacts, and the ship interest contacts.
    (4) * * *
    (i) Operational spills: The plan must outline procedures for safe 
removal of oil spilled and contained on deck. The plan must also 
provide guidance to ensure proper disposal of recovered oil and cleanup 
materials;
* * * * *
    (ii) Spills resulting from casualties: Casualties should be treated 
in the plan as a separate section. The plan should include various 
checklists or other means that will ensure the master considers all 
appropriate factors when addressing the specific casualty (Reference is 
made here to the International Safety Management (ISM) Code, Section 
8.). These checklists must be tailored to the specific ship and to the 
specific product or product types. In addition to the checklists, 
specific personnel assignments for anticipated tasks must be 
identified. Reference to existing fire control plans and muster lists 
is sufficient to identify personnel responsibilities. The following are 
examples of casualties that must be considered:
    (A) Grounding;
    (B) Fire or explosion;
    (C) Collision;
    (D) Hull failure;
    (E) Excessive list;
    (F) Containment system failure;
    (G) Submerged/Foundered;
    (H) Wrecked/Stranded; and
    (I) Hazardous vapor release.
    (iii) * * *
    (B) Stability and strength considerations: The plan should provide 
the master with detailed guidance to ensure that great care in casualty 
response must be taken to consider stability and strength when taking 
actions to mitigate the spillage of oil or the free the vessel if 
aground. Information for making damage stability and longitudinal 
strength assessments, or contacting classification societies to acquire 
such information, should be included. Where appropriate, the plan 
should provide a list of information for making damage stability and 
damage longitudinal strength assessments. The damage stability 
information for oil tankers and offshore oil barges in 33 CFR 155.240 
is required to be provided in the SOPEP; and
* * * * *
    (D) Mitigating activities: The spill mitigation requirements of 33 
CFR 155.1035(c) must be met for tankships, the requirements of 33 CFR 
155.1040(c) must be met for unmanned vessels, and the requirements of 
33 CFR 155.5035(c) must be met for nontank vessels. Additionally, the 
following personnel safety mitigation strategies must be addressed for 
all personnel involved:
    (1) Assessment and monitoring activities;
    (2) Personnel protection issues;
    (3) Protective equipment;
    (4) Threats to health and safety;
    (5) Containment and other response techniques;
    (6) Isolation procedures;
    (7) Decontamination of personnel; and
    (8) Disposal of removed oil and clean-up materials; and
    (E) Drawings and ship-specific details: Supporting plans, drawings, 
and ship-specific details such as a layout of a general arrangement 
plan, midship section, lines or tables of offsets, and tank tables must 
be included with the plan. The plan shall show where current cargo, 
bunker or ballast information, including quantities and specifications, 
are available.
    (5) National and Local Coordination. (i) This section of the plan 
must contain information to assist the master in initiating action by 
the coastal State, local government, or other involved parties. This 
information must include guidance to assist the master with organizing 
a response to the incident, should a response not be organized by the 
shore authorities. Detailed information for specific areas may be

[[Page 44989]]

included as appendices to the plan. See 33 CFR 151.26(b)(2) (Preamble) 
regarding a ship owner's responsibility to comply with individual state 
requirements for oil spill response.
* * * * *
    4. In Sec.  151.27,
    a. Revise paragraphs (e) and (f);
    b. Add paragraph (g) to read as set out below.


Sec.  151.27  Plan submission and approval.

* * * * *
    (e) If the Coast Guard determines that the plan meets the 
requirements of this section, the Coast Guard will issue an approval 
letter. The approval period for a plan expires 5 years after the 
approval date.
    (f) If the Coast Guard determines that the plan does not meet the 
requirements, the Coast Guard will notify the owner or operator of the 
plan's deficiency. The owner or operator must then resubmit the 
corrected portions of the plan, within the time period specified in the 
written notice provided by the Coast Guard.
    (g) CG Form ``Application for Approval/Revision of Vessel Pollution 
Response Plans'' (CG-6083) located at: https://homeport.uscg.mil/
vrpapplication can be used in lieu of a cover letter to make initial 
application for plan submission and approval.
    5. In Sec.  151.28, add paragraph (g) to read as set out below:


Sec.  151.28  Plan review and revision.

* * * * *
    (g) CG Form ``Application for Approval/Revision of Vessel Pollution 
Response Plans'' (CG-6083) located at: https://homeport.uscg.mil/
vrpapplication can be used in lieu of a cover letter to request the 
required resubmission, plan amendment, or revision and to document the 
annual review required by paragraph (a) of this section.

PART 155--OIL OR HAZARDOUS MATERIAL POLLUTION PREVENTION 
REGULATIONS FOR VESSELS

    6. The authority citation for part 155 is revised to read as 
follows:


    Authority: 3 U.S.C. 301 through 303, 33 U.S.C. 1231, 1321(j); 
E.O. 11735, 3 CFR, 1971-1975 Comp., p. 793. Sections 155.100 through 
155.130, 150.350 through 155.400, 155.430, 155.440, 155.470, 
155.1030(j) and (k), and 155.1065(g) are also issued under 33 U.S.C. 
1903(b). Sections 155.480, 155.490, 155.750(e), and 155.775 are also 
issued under 46 U.S.C. 3703. Section 155.490 also issued under 
section 4110(b) of Pub. L. 101-380.

    Note: Additional requirements for vessels carrying oil or 
hazardous materials are contained in 46 CFR parts 30 through 40, 
150, 151, and 153.


    7. In Sec.  155.140--
    a. Redesignate paragraph (d)(2) as (d)(4);
    b. Add paragraphs (d)(2), (d)(3), and (d)(5) to read as set out 
below; and
    c. Add paragraph (f)(2) to read as set out below:


Sec.  155.140  Incorporation by reference.

* * * * *
    (d) * * *
    (2) Resolution A.741(18), International Management Code for the 
Safe Operation of Ships and for Pollution Prevention (International 
Safety Management (ISM) Code), November 4, 1993, incorporation by 
reference approved for Sec.  155.5035.
    (3) Resolution A.851(20), General Principles for Ship Reporting 
Systems and Ship Reporting Requirements, Including Guidelines for 
Reporting Incidents Involving Dangerous Goods, Harmful Substances and/
or Marine Pollutants, November 27, 1997, incorporation by reference 
approved for Sec.  155.5035.
* * * * *
    (5) Resolution MSC.104(73), Adoption of Amendments to the 
International Safety Management (ISM) Code, December 5, 2000, 
incorporation by reference approved for Sec.  155.5035.
* * * * *
    (f) * * *
    (2) Ship to Ship Transfer Guide (Petroleum), Fourth Edition, 2005, 
incorporation by reference approved for Sec.  155.5035.
    8. In Sec.  155.1015--
    a. Revise (c)(7); and
    b. Add a note to the end of the section as set out below.


Sec.  155.1015  Applicability.

* * * * *
    (c) * * *
    (7) Foreign flag vessels engaged in innocent passage through the 
territorial sea or transit passage through a strait used for 
international navigation, unless bound for or departing from a port or 
place of the United States;
* * * * *
    Note to Sec.  155.1015: Response plan requirements for nontank 
vessels are found in subpart J of this part.
    9. In Sec.  155.1020--
    a. Revise the definition for ``vessels carrying oil as a secondary 
cargo'' to read as set out below; and
    b. Add a definition for ``nontank vessel'' as set out below.


Sec.  155.1020  Definitions.

* * * * *
    Nontank vessel means a self-propelled vessel of 400 gross tons or 
greater, as measured under the convention measurement system in 46 
U.S.C. 14302 or the regulatory measurement system of 46 U.S.C. 14502 
for vessels not measured under 46 U.S.C. 14302, that operates on the 
navigable waters of the United States, as defined in 46 U.S.C. 
2101(17a), carries oil of any kind as fuel for main propulsion, and is 
not a tank vessel.
* * * * *
    Vessels carrying oil as a secondary cargo means vessels, other than 
vessels that carry oil as a primary cargo, and nontank vessels, 
carrying oil in bulk as cargo or cargo residue pursuant to a permit 
issued under 46 CFR 30.01-5, 70.05-30, or 90.05-35; an International 
Oil Pollution Prevention (IOPP) certificate (33 CFR 151.19) or Noxious 
Liquid Substance (NLS) certificate required by 33 CFR 151.33 or 151.35; 
or any uninspected vessel that carries oil in bulk as cargo or cargo 
residue.
* * * * *


Sec.  155.1055  [Amended]

    10. In Sec.  155.1055, amend paragraph (a) by removing the phrase 
``Sec.  155.1035'' and adding, in its place, the phrase ``Sec. Sec.  
155.1035 or 155.5035''.


Sec.  155.1060  [Amended]

    11. In Sec.  155.1060, amend paragraph (a) by removing the phrase 
``Sec. Sec.  155.1035 and 155.1040'' and adding, in its place, the 
phrase ``Sec. Sec.  155.1035, 155.1040 or 155.5035''.
    12. In Sec.  155.1065--
    a. In paragraph (b), remove the phrase ``subparts D, E, F, and G of 
this part'' and add, in its place, the phrase ``subparts D, E, F, G, 
and J of this part, as applicable,''.
    b. In paragraph (b), add two new sentences at the end of the 
paragraph to read as set out below.


Sec.  155.1065  Procedures for plan submission, approval, requests for 
acceptance of alternative planning criteria, and appeal.

* * * * *
    (b) * * * CG Form ``Application for Approval/Revision of Vessel 
Pollution Response Plans'' (CG-6083) located at: https://
homeport.uscg.mil/vrp application can be used in lieu of a cover letter 
to make initial application for plan submission and approval. When 
submitted properly, this application form meets the requirement for a 
vessel response plan certification statement as required by this 
paragraph.
* * * * *
    13. In Sec.  155.1070--

[[Page 44990]]

    a. In paragraph (a)(2), add a new sentence at the end of the 
paragraph to read as set out below.
    b. Revise paragraph (b) to read as set out below;
    c. Revise paragraphs (c)(1), (c)(2), (c)(4), (c)(5), and (c)(8) to 
read as set out below; and
    d. Revise paragraph (d) to read as set out below:


Sec.  155.1070  Procedures for plan review, revision, amendment, and 
appeal.

    (a) * * *
    (2) * * * CG Form ``Application for Approval/Revision of Vessel 
Pollution Response Plans'' (CG-6083) located at: https://
homeport.uscg.mil/vrpapplication can be used in lieu of a cover letter 
to request the required resubmission, plan amendment, or revision and 
to document the annual review required by this paragraph (a).
* * * * *
    (b) The owner or operator of a vessel subject to subparts D, E, F, 
G, or J of this part must resubmit the entire plan to the Coast Guard 
for approval:
    (1) Six months before the end of the Coast Guard approval period 
identified in Sec. Sec.  155.1065(c) or 155.5065(c); and
    (2) Whenever there is a change in the owner or operator of the 
vessel, if the previous owner or operator provided the certifying 
statement required by Sec.  155.1065(b), then the new owner or operator 
must submit a new statement certifying that the plan continues to meet 
the applicable requirements of subparts D, E, F, G, or J of this part.
    (c) * * *
    (1) A change in the owner or operator of the vessel, if that owner 
or operator is not the one who provided the certifying statement 
required by Sec. Sec.  155.1065(b) or 155.5065(b);
    (2) A change in the vessel's operating area that includes ports or 
geographic area(s) not covered by the previously approved plan. A 
vessel may operate in an area not covered in a previously approved plan 
upon receipt of written acknowledgment by the Coast Guard that a new 
geographic-specific appendix has been submitted for approval by the 
vessel's owner or operator and the certification required in Sec. Sec.  
155.1025(c)(2) or 155.5023(b) has been provided;
* * * * *
    (4) A change in the type of oil carried aboard (oil group) that 
affects the required response resources, except as authorized by the 
COTP for purposes of assisting in an oil spill response activity;
    (5) A change in the identification of the oil spill removal 
organization(s) or other response-related resource required by 
Sec. Sec.  155.1050, 155.1052, 155.1230, 155.2230, 155.5050, or 
155.5052 as appropriate, except an oil spill removal organization 
required by Sec. Sec.  155.1050(d) or 155.5050(d) that may be changed 
on a case-by-case basis for an oil spill removal organization 
previously classified by the Coast Guard, which has been ensured to be 
available by contract or other approved means;
* * * * *
    (8) The addition of a vessel to the plan. This change must include 
the vessel-specific appendix required by this subpart and the owner or 
operator's certification required in Sec. Sec.  155.1025(c) or 
155.5023(b); or
* * * * *
    (d) Thirty days in advance of operation, the owner or operator must 
submit any revision or amendments identified in paragraph (c) of this 
section. The certification required in Sec. Sec.  155.1065(b) or 
155.5065(b) must be submitted along with the revisions or amendments.
* * * * *
    14. Add subpart J, consisting of Sec. Sec.  155.5010 through 
155.5075, to read as follows:
Subpart J--Nontank Vessel Response Plans
Sec.
155.5010 Purpose.
155.5012 Deviation from response plan.
155.5015 Applicability.
155.5020 Definitions.
155.5021 Operating restrictions.
155.5023 Interim operating authorization.
155.5025 One-time port waiver.
155.5026 Qualified individual and alternate qualified individual.
155.5030 Nontank vessel response plan requirements: general content.
155.5035 Nontank vessel response plan requirements: specific 
content.
155.5050 Response plan development and evaluation criteria for 
nontank vessels carrying groups I through IV petroleum oil.
155.5052 Response plan development and evaluation criteria for 
nontank vessels carrying group V petroleum oil.
155.5055 Training.
155.5060 Exercises.
155.5062 Inspection and maintenance of response resources.
155.5065 Procedures for plan submission and approval.
155.5067 Alternative planning criteria.
155.5070 Procedures for plan review, revision, and amendment.
155.5075 Appeal procedures.

Subpart J--Nontank Vessel Response Plans


Sec.  155.5010  Purpose.

    The purpose of this subpart is to establish requirements for oil 
spill response plans for nontank vessels. The planning criteria in this 
subpart are intended for use in nontank vessel oil spill response plan 
development and the identification of resources necessary to respond to 
a nontank vessel's worst case discharge or substantial threat of such a 
discharge. The development of a nontank vessel response plan prepares 
the vessel's crew and ship management to respond to an oil spill. The 
specific criteria for response resources and their arrival times are 
not performance standards. They are planning criteria based upon a set 
of assumptions that may not exist during an actual oil spill incident.


Sec.  155.5012  Deviation from response plan.

    The owner or operator of a nontank vessel required to have a 
response plan under this subpart may not deviate from the approved plan 
unless the Federal On-Scene Coordinator determines that the deviation 
from the response plan would provide for a more expeditious or 
effective response to the spill or mitigation of its environmental 
effects.


Sec.  155.5015  Applicability.

    (a) Except as provided in paragraph (c) of this section, this 
subpart applies to each self-propelled vessel that:
    (1) Carries oil of any kind as fuel for main propulsion;
    (2) Is not a tank vessel;
    (3) Operates upon the navigable waters of the United States, as 
defined in 46 U.S.C. 2101(17a); and
    (4) Is 400 gross tons or more as measured under the convention 
measurement system in 46 U.S.C. 14302 or the regulatory measurement 
system of 46 U.S.C. 14502 for vessels not measured under 46 U.S.C. 
14302.
    (b) For Integrated Tug Barge (ITB) units that are not certificated 
as tank vessels, the tonnage used to determine applicability of these 
regulations is the aggregate tonnage of the ITB combination, and the 
oil capacity used to determine the WCD volume is the aggregate fuel oil 
capacity of the ITB combination.
    (c) This subpart does not apply to the following types of vessels:
    (1) Public vessels;
    (2) Foreign flag vessels engaged in innocent passage through the 
territorial sea or transit passage through a strait used for 
international navigation, unless bound for or departing from a port or 
place of the United States;
    (3) Vessels that carry oil as a primary cargo and are required to 
submit a response plan in accordance with 33 CFR part 155, subpart D;
    (4) Vessels constructed or operated in such a manner that no oil in 
any form can be carried aboard as fuel for propulsion or cargo;

[[Page 44991]]

    (5) Permanently moored craft; and
    (6) Inactive vessels.
    Note to Sec.  155.5015: Response plan requirements for tank vessels 
are found in subpart D of this part.


Sec.  155.5020  Definitions.

    Except as otherwise defined in this section, the definitions in 
Sec.  155.110 and Sec.  155.1020 apply to this subpart. For the 
purposes of this subpart only, the term--
    Cargo means oil, not carried as fuel, which is carried in bulk, 
secondary to the class or type of the vessel and is transported to, and 
off-loaded at, a destination by a vessel. It includes oil or oil 
residue carried pursuant to a permit issued under 46 CFR 30.01-5, 
70.05-30, or 90.05-35; an International Oil Pollution Prevention (IOPP) 
certificate (33 CFR 151.19) or Noxious Liquid Substance (NLS) 
certificate required by 33 CFR 151.33 or 151.35; or any uninspected 
vessel that carries oil in bulk as cargo or cargo residue. It does not 
include oil that is carried as a primary cargo.
    Contract or other approved means includes:
    (1) A written contractual agreement between a vessel owner or 
operator and a required response resource provider. The agreement must 
identify and ensure the availability of specified personnel and 
equipment required under this subpart within stipulated response times 
in the applicable COTP zone or specified geographic areas;
    (2) Certification by the vessel owner or operator that specified 
personnel and equipment required under this subpart are owned, 
operated, or under the direct control of the vessel owner or operator, 
and are available within stipulated response times in the applicable 
COTP zone or specified geographic areas;
    (3) Active membership with a local or regional required response 
resource provider that has identified specific personnel and equipment 
required under this subpart that are available to respond to a 
discharge within stipulated response times in the COTP zone or 
specified geographic areas;
    (4) A document that:
    (i) Identifies the personnel, equipment, and services capable of 
being provided by the required response resource provider within 
stipulated response times in the COTP zone or specified geographic 
areas;
    (ii) Sets out the parties' acknowledgment that the required 
response resource provider intends to commit the resources in the event 
of a response;
    (iii) Permits the Coast Guard to verify the availability of the 
identified response resources through tests, inspections, and 
exercises; and
    (iv) Is referenced in the response plan; or
    (5) With the written consent of the required response resource 
provider, the identification of a required response resource provider 
with specified equipment and personnel that are available within 
stipulated response times in the COTP zone, port area, or specified 
geographic area. This paragraph is ``another approved means'' for only:
    (i) Nontank vessels with a fuel and cargo oil capacity of less than 
a 250 barrels for maximum most probable discharge oil spill removal 
response resource requirements per 33 CFR 155.5050(e);
    (ii) Nontank vessels that carry group I through group IV petroleum 
oils as fuel or cargo with a capacity of 250 barrels or greater, but 
less than 2,500 barrels, for salvage, emergency lightering, and marine 
firefighting response resources per 33 CFR 155.5050(i)(2);
    (iii) Nontank vessels that carry group I through group IV petroleum 
oils as fuel or cargo with a capacity less than 250 barrels for salvage 
response resources in 33 CFR 155.5050(i)(3);
    (iv) Nontank vessels that carry group II through group IV petroleum 
oils as fuel or cargo with a capacity of 250 barrels or greater, but 
less than 2,500 barrels, for dispersant response resources per 33 CFR 
155.5035(i)(10) and 33 CFR 155.5050(j); and
    (v) Nontank vessels that carry groups I through IV petroleum oils 
as fuel or cargo with a capacity of 250 barrels or greater, but less 
than 2,500 barrels, for aerial oil spill tracking to support oil spill 
assessment and cleanup activities per 33 CFR 155.5050(k).
    Fuel means all oils of any kind, which may be used to supply power 
or lubrication for primary or auxiliary purposes aboard the vessel in 
which it is carried.
    Inactive vessel means a vessel that is out of service or laid up 
and has emptied its tanks of fuel except for the minimum amount of fuel 
necessary for the maintenance of the vessel's material condition. Such 
a vessel is considered not to be operating on the navigable waters of 
the United States for the purposes of 33 U.S.C. 1321(j)(5), unless the 
cognizant COTP determines that it poses an unacceptable risk to the 
marine environment due to the amount of oil carried for maintenance. A 
vessel would not be considered inactive if it carried oil as a cargo or 
cargo residue.
    Integrated Tug Barge or ITB means any tug barge combination in 
which a specially designed propulsion unit (tug) is mated to a cargo 
unit (barge) of a compatible special design or where a propulsion unit 
(tug) is mated to a cargo unit (barge) with a specially designed 
connection system such that the combined unit has operating 
characteristics and seakeeping capabilities that exceed, under all 
anticipated weather conditions, those of a tug and barge, where the tug 
is secured in the barge notch or on fenders by means such as wire rope, 
chains, lines, or other tackle now commonly used in offshore towing.
    Maximum most probable discharge or MMPD means a discharge of--
    (1) Two thousand five hundred (2,500) barrels of oil, for vessels 
with a fuel and cargo capacity equal to or greater than 25,000 barrels; 
or
    (2) Ten percent of the vessel's fuel and cargo capacity, for 
vessels with a fuel and cargo capacity of less than 25,000 barrels.
    Navigable waters of the United States includes all waters of the 
territorial seas of the United States, extending 12 nautical miles (nm) 
seaward of the baseline, as described in Presidential Proclamation No. 
5928, December 27, 1988.
    Nontank vessel means a self-propelled vessel of 400 gross tons or 
greater, as measured under the convention measurement system in 46 
U.S.C. 14302 or the regulatory measurement system of 46 U.S.C. 14502 
for vessels not measured under 46 U.S.C. 14302, that operates on the 
navigable waters of the United States, carries oil of any kind as fuel 
for main propulsion, and is not a tank vessel.
    Oil spill removal organization or OSRO means any person or persons 
who own(s) or otherwise control(s) oil spill removal resources that are 
designed for, or are capable of, removing oil from the water or 
shoreline. Control of such resources through means other than ownership 
includes leasing or subcontracting of equipment or, in the case of 
trained personnel, by having contracts, evidence of employment, or 
consulting agreements. OSROs provide response equipment and services, 
individually or in combination with subcontractors or associated 
contractors, under contract or other approved means, directly to an 
owner or operator of a vessel or a facility required to have a response 
plan under 33 U.S.C. 1321(j)(5). OSROs are able to mobilize and deploy 
equipment or trained personnel and remove, store, and transfer 
recovered oil. Persons such as sales and marketing organizations (e.g., 
distributorships and manufacturer's

[[Page 44992]]

representatives) that warehouse or store equipment for sale are not 
OSROs.
    Permanently moored craft means a watercraft that is not considered 
to be a vessel under the rule of construction in 1 U.S.C. 3, because it 
is not practically (as opposed to theoretically) used or capable of 
being used as a means of transportation on the water.
    P&I Club means a protection and indemnity insurance group that 
provides liability insurance cover for the vessel owner or operator 
that would respond to an oil discharge or substantial threat of such a 
discharge by the vessel.
    Public vessel means a vessel owned or bareboat--chartered and 
operated by the United States, or by a State or political subdivision 
thereof, or by a foreign nation, except when such vessel is engaged in 
commerce.
    Qualified individual or QI and alternate qualified individual means 
a shore-based representative of a vessel owner or operator who meets 
the requirements of 33 CFR 155.5026.
    Substantial threat of such a discharge means any incident involving 
a vessel that may create a significant risk of discharge of fuel or 
cargo oil. Such incidents include, but are not limited to, groundings, 
allisions, strandings, collisions, hull damage, fires, explosions, loss 
of propulsion, floodings, on-deck spills, or other similar occurrences.
    Tier means the combination of required response resources and the 
times within which the resources must arrive on scene. Appendix B of 
this part, especially Tables 5 and 6, provide specific guidance on 
calculating the response resources required by a respective tier. 
Section 155.5050(g) sets forth the required times within which the 
response resources must arrive on scene. Tiers are applied to three 
categories of areas:
    (1) Higher volume port areas;
    (2) The Great Lakes; and
    (3) All other operating environments, including rivers and canals, 
inland, nearshore, offshore, and open ocean areas.
    Worst case discharge or WCD means a discharge in adverse weather 
conditions of a vessel's entire fuel and cargo oil.


Sec.  155.5021  Operating restrictions.

    Nontank vessels subject to this subpart may not--
    (a) Operate upon the navigable waters of the United States unless 
in compliance with a plan approved under Sec.  155.5065.
    (b) Continue to operate on the navigable waters of the United 
States if:
    (1) The Coast Guard determines that the response resources 
identified in the vessel's certification statement do not meet the 
requirements of this subpart;
    (2) The contracts or agreements required in Sec. Sec.  155.5050 and 
155.5052 and the vessel's certification statement are no longer valid;
    (3) The vessel is not operating in compliance with the submitted 
plan; or
    (4) The period of the response plan authorization has expired.


Sec.  155.5023  Interim operating authorization.

    (a) Notwithstanding the requirements of Sec.  155.5021, a vessel 
may continue to operate for up to 2 years after the date of submission 
of a response plan pending approval of that plan, if the vessel has 
received written authorization for continued operations from the Coast 
Guard.
    (b) To receive this authorization, the nontank vessel owner or 
operator must certify in writing with an original or electronic 
signature to the Coast Guard that the owner or operator has identified 
and has ensured, by contract or other approved means, the availability 
of the necessary private resources to respond, to the maximum extent 
practicable, to a worst case discharge or substantial threat of such a 
discharge from their vessel.
    (c) Those nontank vessels temporarily authorized to operate without 
an approved plan pending formal Coast Guard approval must comply with 
the provisions of 33 CFR 155.1070(c), (d), and (e).


Sec.  155.5025  One-time port waiver.

    An owner or operator of a nontank vessel may be authorized by the 
cognizant U.S. Coast Guard Captain of the Port to have that vessel make 
one voyage in a geographic-specific area not covered by the vessel's 
response plan. All requirements of this subpart must be met for any 
subsequent voyages to a previously requested geographic-specific area. 
To be considered for a one-time port waiver, the owner or operator must 
certify in writing, prior to the vessel's entry into the COTP zone, 
that it has met the requirements of 33 CFR 155.1025(e)(1) through (4).


Sec.  155.5026  Qualified individual and alternate qualified 
individual.

    The response plan must identify a qualified individual and at least 
one alternate who meet the requirements of 33 CFR 155.1026. The 
qualified individual or alternate qualified individual must be 
available on a 24-hour basis.


Sec.  155.5030  Nontank vessel response plan requirements: general 
content.

    (a) The entire vessel response plan must be written in English and, 
if applicable, in a language that is understood by the crew members 
with responsibilities under the plan.
    (b) The plan must cover all geographic areas of the United States 
in which the vessel intends to handle, store, or transport oil, 
including port areas and offshore transit areas.
    (c) The nontank vessel response plan (NTVRP) must be divided into 
the following sections:
    (1) General information and introduction;
    (2) Notification procedures;
    (3) Shipboard spill mitigation procedures;
    (4) Shore-based response activities;
    (5) List of contacts;
    (6) Training procedures;
    (7) Exercise procedures;
    (8) Plan review and update procedures;
    (9) Geographic-specific appendix for each COTP zone in which the 
vessel or vessels operate; and
    (10) An appendix for vessel-specific information for the vessel or 
vessels covered by the plan.
    (d) A vessel owner or operator with multiple vessels may submit one 
plan for each class of vessel (i.e., subpart D--Manned vessels carrying 
oil as primary cargo & unmanned vessels carrying oil as primary cargo; 
subpart E--Tankers loading cargo at a facility permitted under the 
Trans-Alaska Pipeline Authorization Act; subpart F--Vessels carrying 
animal fats and vegetable oils as primary cargo; and subpart G--Vessels 
carrying other non-petroleum oils as a primary cargo) with a separate 
vessel-specific appendix for each vessel covered by the plan and a 
separate geographic-specific appendix for each COTP zone in which the 
vessel(s) will operate.
    (e) A vessel response plan must be divided into the sections 
described in paragraph (c) of this section unless the plan is 
supplemented with a cross-reference table to identify the location of 
the information required by this subpart.
    (f) The information contained in a vessel response plan must be 
consistent with the:
    (1) National Oil and Hazardous Substances Pollution Contingency 
Plan (NCP) (40 CFR part 300) and the Area Contingency Plan(s) (ACP) in 
effect on the date 6 months prior to the submission date of the 
response plan; or
    (2) More recent NCP and ACP(s).
    Note to Sec.  155.5030(f)(1): See diagram of ``Relationship of 
Plans'' at 40 CFR 300.210.

[[Page 44993]]

    (g) Copies of the submitted and approved vessel response plan must 
be available as follows:
    (1) The owner or operator of all vessels must ensure that one 
English language copy of the plan and the original Coast Guard approval 
letter or notarized copy of the approval letter are maintained aboard 
the vessel. If applicable, additional copies of the required plan 
sections must be in the language understood by crew members with 
responsibilities under the plan and maintained aboard the vessel.
    (2) The vessel owner or operator must also maintain a current copy 
of the entire plan and ensure that each person identified as a 
qualified individual and alternate qualified individual in the plan has 
a current copy of the entire plan.
    (h) Compliance with this subpart will also constitute compliance 
for a U.S. flag nontank vessel required to submit a Shipboard Oil 
Pollution Emergency Plan (SOPEP) pursuant to 33 CFR 151.09(c) and 
Regulation 37 of Annex I of MARPOL 73/78 as long as the additional 
requirements listed in Sec.  155.5035(k) are met. A U.S. flagged 
nontank vessel holding a valid Certificate of Inspection endorsed for 
Coastwise or Oceans operating routes with authorization to engage on an 
international voyage must maintain a U.S. Coast Guard SOPEP approval 
letter per 33 CFR 151.27(e). A separate SOPEP is not required.


Sec.  155.5035  Nontank vessel response plan requirements: specific 
content.

    (a) General information and introduction section. This section of 
the plan must include:
    (1) The vessel's name, country of registry, call sign, official 
number, and International Maritime Organization (IMO) international 
number (if applicable). If the plan covers multiple vessels, this 
information should be provided for each vessel;
    (2) The name, mailing address, e-mail address, telephone number and 
facsimile number, and procedures for contacting the nontank vessel's 
owner or operator on a 24-hour basis;
    (3) A list of the COTP zones, ports, and offshore transit areas in 
which the vessel intends to operate;
    (4) A table of contents or index of sufficient detail to permit 
personnel with responsibilities under the response plan to locate the 
specific sections of the plan; and
    (5) A record of change(s) page to record information on plan 
reviews, updates, or revisions.
    (b) Notification procedures section. This section of the plan must 
include the following information:
    (1) A checklist with all notifications, including telephone or 
other contact numbers, in order of priority to be made by shipboard or 
shore-based personnel and the information needed for those 
notifications. Notifications should include those required by:
    (i) MARPOL 73/78 (33 CFR 151.26) and 33 CFR part 153; and
    (ii) Any applicable State.
    (2) Identification of the person(s) to be notified of a discharge 
or substantial threat of a discharge of oil. If the notifications vary 
due to vessel location, the persons to be notified also should be 
identified in a geographic-specific appendix. This section should 
separately identify:
    (i) The individual(s) or organization(s) to be notified by 
shipboard personnel; and
    (ii) The individual(s) or organization(s) to be notified by shore-
based personnel.
    (3) The procedures for notifying the qualified individual(s) 
designated by the nontank vessel's owner or operator.
    (4) Descriptions of the primary and, if available, secondary 
communications methods by which the notifications would be made. These 
should be consistent with those in Sec.  155.5035(b)(1).
    (5) The information that is to be provided in the initial and any 
follow-up notifications under paragraph (b)(1) of this section.
    (i) The initial notification may be submitted in accordance with 
IMO Resolution A.851(20), ``General Principles for Ship Reporting 
Systems and Ship Reporting Requirements, Including Guidelines for 
Reporting Incidents Involving Dangerous Goods, Harmful Substances and/
or Marine Pollutants'' (Incorporated by reference, see Sec.  155.140). 
However, the plan must specify that the notification include at least 
the following information:
    (A) Vessel name, country of registry, call sign, and official 
number (if any);
    (B) Date and time of the incident;
    (C) Location of the incident;
    (D) Course, speed, and intended track of vessel;
    (E) Radio station(s) and frequencies guarded;
    (F) Date and time of next report;
    (G) Type and quantity of oil on board;
    (H) Nature and detail of defects, deficiencies, and damage (e.g., 
overfill of tanks, grounding, collision, hull failure, etc.);
    (I) Details of pollution, including estimate of amount of oil 
discharged or threat of discharge;
    (J) Weather and sea conditions on scene;
    (K) Ship size and type;
    (L) Actions taken or planned by persons on scene;
    (M) Current conditions of the vessel;
    (N) Number of crew and details of injuries, if any; and
    (O) Details of P&I Club and Local Correspondent, as applicable.
    (ii) The plan must state that after transmission of the initial 
notification, as much information as possible that is essential for the 
protection of the marine environment will be reported to the 
appropriate on-scene coordinator in follow-up reports. This information 
must include:
    (A) Additional details on the type of oil on board;
    (B) Additional details on the condition of the vessel and ability 
to offload cargo and transfer ballast and fuel;
    (C) Additional details on the quantity, extent, and movement of the 
pollution and whether the discharge is continuing;
    (D) Any changes in the on-scene weather or sea conditions; and
    (E) Actions being taken with regard to the discharge and the 
movement of the ship.
    (6) Identification of the person(s) to be notified of a vessel 
casualty potentially affecting the seaworthiness of a vessel and the 
information to be provided by the vessel's crew to shore-based 
personnel to facilitate the assessment of damage stability and stress.
    (c) Shipboard spill mitigation procedures section. This section of 
the plan must include:
    (1) Procedures for the crew to mitigate or prevent any discharge or 
a substantial threat of a discharge of oil resulting from shipboard 
operational activities associated with internal or external oil 
transfers. Responsibilities of vessel personnel should be identified by 
job title and licensed/unlicensed position, if applicable. These 
procedures should address personnel actions in reference to:
    (i) Internal transfer system leak;
    (ii) Fuel tank overflow;
    (iii) Suspected tank or hull leak;
    (iv) Assessment and monitoring activities;
    (v) Personnel protection issues;
    (vi) Protective equipment;
    (vii) Threats to health and safety;
    (viii) Containment and other response techniques;
    (ix) Isolation procedures;
    (x) Decontamination of personnel; and
    (xi) Disposal of removed oil and clean-up materials.
    (2) Procedures in the order of priority for the crew to mitigate or 
prevent any

[[Page 44994]]

discharge or a substantial threat of a discharge in the event of a 
casualty or emergency as listed below in paragraphs (c)(2)(i) through 
(x) of this section. These procedures should be listed separately and 
reference specific vessel checklists required by the International Ship 
Management (ISM) Code, Section 8 (Resolution A.741(18), as amended by 
Resolution MSC.104(73)) (Incorporated by reference, see Sec.  155.140), 
or other means that will ensure consideration of all appropriate 
factors when addressing a specific casualty. In addition to the 
checklists, specific personnel assignments for anticipated tasks must 
be identified. Reference to existing fire control plans and muster 
lists is sufficient to identify personnel responsibilities in the 
following scenarios:
    (i) Grounding or stranding;
    (ii) Explosion or fire, or both;
    (iii) Collision or allision;
    (iv) Hull failure;
    (v) Excessive list;
    (vi) Containment system failure;
    (vii) Submerged and foundered;
    (viii) Wrecked and stranded;
    (ix) Hazardous vapor release; and
    (x) Equipment failure (e.g., main propulsion, steering gear, etc.).
    (3) Procedures for the crew to deploy discharge removal equipment 
if the vessel is equipped with such equipment.
    (4) The procedures for internal transfers of fuel in an emergency.
    (5) The procedures for ship-to-ship transfers of fuel in an 
emergency:
    (i) The format and content of the ship-to-ship transfer procedures 
should be consistent with the ``Ship to Ship Transfer Guide 
(Petroleum),'' Fourth Edition 2005, published jointly by the 
International Chamber of Shipping and the Oil Companies International 
Marine Forum (OCIMF) (Incorporated by reference, see Sec.  155.140).
    (ii) The procedures should identify the specific response resources 
necessary to carry out the transfers, including:
    (A) Fendering equipment (ship-to-ship only);
    (B) Transfer hoses and connection equipment;
    (C) Portable pumps and ancillary equipment;
    (D) Lightering or fuel removal and mooring masters (ship-to-ship 
only); and
    (E) Vessel and barge brokers (ship-to-ship only);
    (iii) Reference may be made to a separate fuel oil transfer 
procedure and lightering plan carried aboard the vessel, if safety 
considerations are summarized in the plan;
    (iv) The location of all equipment and fittings, if any, carried 
aboard the vessel to perform the transfers should be identified;
    (6) The procedures and arrangements for emergency towing, including 
the rigging and operation of any emergency towing equipment, if any, 
carried aboard the vessel;
    (7) The location, crew responsibilities, and procedures for use of 
shipboard equipment that might be carried to mitigate an oil discharge;
    (8) The crew's responsibility, if any, for recordkeeping and 
sampling of spilled oil. Any requirements for sampling must address 
safety procedures to be followed by the crew;
    (9) The crew's responsibilities, if any, to initiate a response and 
supervise shore-based response resources;
    (10) Damage stability and hull stress considerations when 
performing shipboard mitigation measures. This section of the plan 
should identify and describe:
    (i) Activities in which the crew is trained and qualified to 
execute absent shore-based support or advice; and
    (ii) The information to be collected by the vessel's crew to 
facilitate shore-based assistance.
    (11) Location of vessel plans necessary to perform salvage, 
stability, and hull stress assessments.
    (i) The owner or operator should ensure that a copy of these plans 
are maintained ashore by either the vessel owner or operator or the 
vessel's recognized classification society, unless the vessel has 
prearranged for a shore-based damage stability and residual strength 
calculation program with the vessel's baseline strength and stability 
characteristics pre-entered. The response plan should indicate the 
shore location and 24-hour access procedures of the calculation program 
or the following plans, where available:
    (A) General arrangement plan;
    (B) Midship section plan;
    (C) Lines plan or table of offsets;
    (D) Tank tables;
    (E) Load line assignment; and
    (F) Light ship characteristics.
    (ii) The plan should identify the shore location and 24-hour access 
procedures for the computerized, shore-based damage stability and 
residual structural strength calculation programs, if available.
    (12) Procedures for implementing personnel safety mitigation 
strategies for all personnel involved. These procedures may contain 
more, but the following must be addressed:
    (i) Assessment and monitoring activities;
    (ii) Personnel protection issues;
    (iii) Protective equipment;
    (iv) Threats to health and safety;
    (v) Containment and other response techniques;
    (vi) Isolation procedures;
    (vii) Decontamination of personnel; and
    (viii) Disposal of removed oil and clean-up materials.
    (d) Shore-based response activities section. This section of the 
plan should include the following information:
    (1) The qualified individual's responsibilities and authority, 
including immediate communication with the Federal On-Scene Coordinator 
and notification of the oil spill removal organization(s) identified in 
the plan.
    (2) If applicable, procedures for transferring responsibility for 
direction of response activities from vessel personnel to the shore-
based spill management team.
    (3) The procedures for coordinating the actions of the nontank 
vessel owner or operator or qualified individual with the predesignated 
Federal On-Scene Coordinator responsible for overseeing or directing 
those actions.
    (4) The organizational structure that would be used to manage the 
response actions. This structure should include the following 
functional areas and information for key components within each 
functional area:
    (i) Command and control;
    (ii) Public information;
    (iii) Safety;
    (iv) Liaison with government agencies;
    (v) Spill response operations;
    (vi) Planning;
    (vii) Logistics support; and
    (viii) Finance.
    (5) The responsibilities of, duties of, and functional job 
descriptions for each oil spill management team position within the 
organizational structure identified in paragraph (d)(4) of this 
section.
    (e) List of contacts. The name, location, and 24-hour contact 
information for the following key individuals and organizations must be 
included in this section of the response plan or, if more appropriate, 
in a geographic-specific appendix and referenced in this section of the 
response plan:
    (1) Vessel owner or operator.
    (2) Qualified individual and alternate qualified individual for the 
vessel's area of operation.
    (3) Applicable insurance representatives or surveyors for the 
vessel's area of operation.
    (4) The vessel's local agent(s) for the vessel's area of operation.
    (5) Person(s) within the oil spill removal organization to notify 
for

[[Page 44995]]

activation of that oil spill removal organization for the three spill 
scenarios identified in paragraph (i)(5) of this section for the 
vessel's area of operation.
    (6) Person(s) within the identified response organization to notify 
for activating the organizations to provide:
    (i) The required emergency lightering and fuel offloading required 
by Sec. Sec.  155.5050(i) and 155.5052 as applicable;
    (ii) The required salvage and marine firefighting required by 
Sec. Sec.  155.5050(i) and 155.5052 as applicable;
    (iii) The required dispersant response equipment required by Sec.  
155.5050(j), as applicable; and
    (iv) The required aerial oil spill tracking and observation 
resources required by Sec.  155.5050(k), as applicable.
    (7) Person(s) to notify for activation of the spill management team 
for the spill response scenarios identified in paragraph (i)(5) of this 
section for the vessel's area of operation.
    (f) Training procedures. This section of the response plan must 
address the training procedures and programs of the nontank vessel 
owner or operator to meet the requirements in Sec.  155.5055.
    (g) Exercise procedures. This section of the response plan must 
address the exercise program to be carried out by the nontank vessel 
owner or operator to meet the requirements in Sec.  155.5060.
    (h) Plan review, update, revision, amendment, and appeal procedure. 
This section of the response plan must address:
    (1) The procedures to be followed by the nontank vessel owner or 
operator to meet the requirements of Sec. Sec.  155.5070 and 155.5075; 
and
    (2) The procedures to be followed for any post-discharge review of 
the plan to evaluate and validate its effectiveness.
    (i) Geographic-specific appendices for each COTP zone in which a 
vessel operates. A geographic-specific appendix must be included for 
each COTP zone identified. The appendices must include the following 
information or identify the location of such information within the 
plan:
    (1) A list of the geographic areas (port areas, rivers and canals, 
Great Lakes, inland, nearshore, offshore, and open ocean areas) in 
which the vessel intends to handle, store, or transport oil as fuel or 
cargo within the applicable COTP zone.
    (2) The volume and group of oil on which the required level of 
response resources is calculated.
    (3) Required Federal or State notifications applicable to the 
geographic areas in which a vessel operates.
    (4) Identification of the qualified individuals.
    (5) Identification of the oil spill removal organization(s) that 
are identified and ensured available, through contract or other 
approved means, and the spill management team to respond to the 
following spill scenarios, as applicable:
    (i) Average most probable discharge.
    (ii) Maximum most probable discharge.
    (iii) Worst case discharge.
    (iv) Nontank vessels with a capacity less than 250 barrels must 
plan for and identify maximum most probable discharge response 
resources in the response plan but do not have to ensure by contract or 
a previous funding agreement. Submission of a written consent for plan 
listing from the recognized response resource provider must accompany 
the plan for approval or revision. This is considered an acceptable 
``other approved means.'' See 33 CFR 155.5020, ``Contract or other 
approved means,'' paragraph (5).
    (6) The organization(s) identified to meet the requirements of 
paragraph (i)(5) of this section must be capable of providing the 
equipment and supplies necessary to meet the requirements of Sec. Sec.  
155.5050 and 155.5052, as appropriate, and sources of trained personnel 
to continue operation of the equipment and staff the oil spill removal 
organization, required response resource providers and spill management 
team identified for the first seven days of the response.
    (7) The geographic-specific appendix must list the response 
resources and related information required under Sec. Sec.  155.5050, 
155.5052, and Appendix B of this part, as appropriate.
    (8) If an oil spill removal organization has been evaluated by the 
Coast Guard and its capability has been determined to equal or exceed 
the response capability needed by the vessel, the appendix may identify 
only the organization and their applicable classification and not the 
information required in paragraph (i)(7) of this section. This 
information is subject to USCG verification at any time during the 
validity of the vessel response plan.
    (9) The appendix must also separately list the companies identified 
to provide the salvage, emergency lightering, and marine firefighting 
resources required in this subpart. The appendix must list the response 
resources and related information required in paragraph (7) of this 
section. This information is subject to USCG verification at any time 
during the validity of the vessel response plan.
    (i) Nontank vessels with a capacity less than 2,500 barrels, but 
greater than or equal to 250 barrels, need only plan for and identify 
salvage, emergency lightering, and marine firefighting response 
resources in the response plan but do not have to ensure by contract or 
a previous funding agreement. Submission of a written consent for plan 
listing from the recognized response resource provider must accompany 
the plan for approval or revision. This is considered an acceptable 
``other approved means.'' See 33 CFR 155.5020, ``Contract or other 
approved means,'' paragraph (5).
    (ii) Nontank vessels with a capacity less than 250 barrels need 
only plan for and identify salvage response resources in the response 
plan but do not have to ensure by contract or a previous funding 
agreement. Submission of a written consent for plan listing from the 
recognized response resource provider must accompany the plan for 
approval or revision. This is considered an acceptable ``other approved 
means.'' See 33 CFR 155.5020, ``Contract or other approved means,'' 
paragraph (5).
    (10) For nontank vessels with a capacity of 2,500 barrels or 
greater that carry group II through group IV petroleum oils as fuel or 
cargo and that operate in waters where dispersant use pre-authorization 
agreements exist, the appendix must also separately list the resource 
providers and specific resources, including appropriately trained 
dispersant-application personnel, necessary to provide, if appropriate, 
the dispersant capabilities required in this subpart. All resource 
providers and resources must be available by contract or other approved 
means. The dispersant resources to be listed within this section must 
include the following:
    (i) Identification of each primary dispersant staging site to be 
used by each dispersant-application platform to meet the requirements 
of Sec.  155.5050(j) of this chapter;
    (ii) Identification of the platform type, resource provider, 
location, and dispersant payload for each dispersant-application 
platform identified. Location data must identify the distance between 
the platform's home base and the identified primary dispersant-staging 
site(s) for this section.
    (iii) For each unit of dispersant stockpile required to support the 
effective daily application capacity (EDAC) of each dispersant-
application platform necessary to sustain each intended response tier 
of operation, identify the dispersant product resource provider, 
location, and volume. Location data must include the distance from the 
stockpile to the primary staging sites where the stockpile would be 
loaded on to the corresponding platforms. If an oil spill removal

[[Page 44996]]

organization has been evaluated by the Coast Guard and its capability 
has been determined to meet the response capability needed by the owner 
or operator, the section may identify the oil spill removal 
organization only, and not the information required in paragraphs 
(i)(10)(i) through (i)(10)(iii) of this section.
    (iv) Nontank vessels with an oil capacity of 250 barrels or 
greater, but less than 2,500 barrels, that carry group II through group 
IV petroleum oils as fuel or cargo and that operate in waters where 
dispersant use pre-authorization agreements exist, need only plan for 
and identify dispersant response resources but not ensure their 
availability by contract. Submission of a written consent from the 
dispersant response resource provider must accompany the plan for 
approval or revision. This is considered an acceptable ``other approved 
means.'' See 33 CFR 155.5020, ``Contract or other approved means,'' 
paragraph (5).
    (11) For nontank vessels with a fuel and cargo capacity of 2,500 
barrels or greater not operating exclusively on the inland rivers of 
the United States, the appendix must also separately list the resource 
providers and specific resources necessary to provide oil spill 
tracking capabilities required in this subpart. The oil spill tracking 
resources to be listed within this section must include the following:
    (i) The identification of a resource provider; and
    (ii) The type and location of aerial surveillance aircraft that 
have been ensured available, through contract or other approved means, 
to meet the oil spill tracking requirements of Sec.  155.1050(k) of 
this chapter.
    (iii) Nontank vessels with a capacity of 250 barrels or greater, 
but less than 2,500 barrels, need only plan for and identify aerial oil 
spill tracking response resources in the response plan, but do not have 
to ensure by contract or a previous funding agreement. Submission of a 
written consent for plan listing from the recognized response resource 
provider must accompany the plan for approval or revision. This is 
considered an acceptable ``other approved means.'' See 33 CFR 155.5020, 
``Contract or other approved means,'' paragraph (5).
    (j) Appendices for vessel-specific information. This section of the 
plan must include for each vessel covered by the plan the following 
information, as applicable:
    (1) List of the vessel's principal characteristics.
    (2) Capacities of all cargo, fuel, lube oil, ballast, and fresh 
water tanks.
    (3) The total volume and groups of oil that would be involved in 
the:
    (i) Maximum most probable discharge; and
    (ii) Worst case discharge.
    (4) Diagrams showing location of all cargo, fuel, lube oil, and 
slop tanks, as applicable.
    (5) General arrangement plan (can be maintained separately aboard 
the vessel providing the response plan identifies the specific 
location).
    (6) Midships section plan (can be maintained separately aboard the 
vessel providing the response plan identifies the specific location).
    (7) Cargo and fuel piping diagrams and pumping plan, as applicable 
(can be maintained separately aboard the vessel providing the response 
plan identifies the specific location).
    (8) Damage stability data (can be maintained separately, providing 
the response plan identifies the specific location).
    (9) Location of cargo and fuel stowage plan for vessel.
    (10) Location of information on the name, description, physical and 
chemical characteristics, health and safety hazards, and spill and 
firefighting procedures for the fuel or cargo oil aboard the vessel. A 
material safety data sheet meeting the requirements of 29 CFR 
1910.1200, cargo information required by 33 CFR 154.310, or equivalent, 
will meet this requirement. This information can be maintained 
separately.
    (k) Required appendices for MARPOL 73/78 Annex I, Regulation 37, 
Shipboard Oil Pollution Emergency Plan (SOPEP) information. U.S. flag 
vessels not certificated for coastwise or oceans operating routes and 
foreign flag vessels that are in compliance with Regulation 37 of Annex 
I or MARPOL 73/78 are not required to comply with this paragraph. An 
owner or operator of a U.S. flag vessel constructed or certificated for 
coastwise or oceans operating routes, but that does not engage in 
international voyages, may request to be exempted from compliance with 
this paragraph through submission of a certified statement, attesting 
same, to Commandant, Office of Vessel Activities (CG-543), which must 
accompany the new nontank vessel response submission or resubmission. 
U.S. flag vessels that must comply with this paragraph must label the 
cover of their nontank vessel response plan as a MARPOL 73/78 Annex I, 
Regulation 37 Shipboard Oil Pollution Emergency Plan (SOPEP) and USCG 
Nontank Vessel Response Plan. The following information is required to 
be submitted consistent with Regulation 37 of Annex I of MARPOL 73/78 
and 33 CFR 151.26:
    (1) The introductory text required by 33 CFR 151.26(b)(1).
    (2) The preamble statement regarding the purpose of the plans and 
how the plan relates to other shore-related plans as required by 33 CFR 
151.26(b)(2).
    (3) The information on authorities or persons to be contacted in 
the event of an oil pollution incident as required 33 CFR 
151.26(b)(3)(iii). This information must also clearly specify who will 
be responsible for informing the necessary parties from the coastal 
State contacts, the port contacts, and the ship interest contact. This 
information must include:
    (i) An appendix containing coastal State contacts for those coastal 
States in which the vessel regularly transits the exclusive economic 
zone. The appendix should list those agencies or officials of 
administrations responsible for receiving and processing pollution 
incident reports;
    (ii) An appendix of port contacts for those ports at which the 
vessel regularly calls; and
    (iii) For Antarctica, reports must also be directed to any 
Antarctic station that may be affected in accordance with 33 CFR 
151.26(b)(3)(iii)(C).
    (4) Include the procedures and point of contact on the ship for 
coordinating shipboard activities with national and local authorities 
in combating an oil spill incident in accordance with 33 CFR 
151.26(b)(5). The plan should address the need to contact the coastal 
State to advise them of action(s) being implemented and determine what 
authorization(s), if any, are needed.
    (5) Required information lists in separate appendices per 33 CFR 
151.26(b)(6)(ii).


Sec.  155.5050  Response plan development and evaluation criteria for 
nontank vessels carrying groups I through IV petroleum oil.

    (a) Criteria for evaluating operability of response resources. The 
criteria used to evaluate the operability of response resources 
identified in a nontank vessel response plan for specified operating 
environments must be in accordance with 33 CFR 155.1050(a).
    (b) Operating environment reclassification of specific bodies of 
water. COTP reclassification of a specific body of water or location 
within the COTP zone must be in accordance with 33 CFR 155.1050(b).
    (c) Criteria for response equipment. Response equipment must:
    (1) Meet or exceed the criteria listed in Table 1 of Appendix B of 
this part;
    (2) Be capable of functioning in the applicable operating 
environment; and
    (3) Be appropriate for the petroleum oil carried.

[[Page 44997]]

    (d) Average most probable discharge. The owner or operator of a 
nontank vessel that carries groups I through IV petroleum as cargo must 
identify in the response plan and ensure the availability of, through 
contract or other approved means, the response resources that will 
respond to a discharge up to the vessel's average most probable 
discharge (AMPD). Nontank vessels that carry oil as cargo must meet the 
requirements for average most probable discharge coverage, as 
applicable, per 33 CFR 155.1050(d). Nontank vessels that only carry 
groups I through IV oil as fuel do not have to ensure the availability 
of average most probable discharge resources by contract or other 
approved means, but must plan for and identify response resources 
required in Sec.  155.1050(d)(1) and list this information in the 
applicable geographic-specific appendix for bunkering or fueling 
operations. Permission or acknowledgment from the listed resource 
providers is not required. Their contact information is for nontank 
vessel owner or operator reference purposes only. Listing of a marine 
transportation-related facility's or a bunker supplier's AMPD resources 
is not authorized, as these AMPD resources are already required by 
either 33 CFR 154.545, Sec.  154.1045(c), or Sec.  155.1050(d)(2).
    (e) Maximum most probable discharge. The owner or operator of a 
nontank vessel with a capacity of 250 barrels or greater carrying 
groups I through IV petroleum oil as fuel or cargo must identify in the 
response plan and ensure the availability of, through contract or other 
approved means, the response resources necessary to respond to a 
discharge up to the vessel's maximum most probable discharge volume. 
For the purposes of meeting the requirements of this paragraph, the 
standards listed in 33 CFR 155.1050(e) must be met. Nontank vessels 
with a capacity less than 250 barrels must plan for and identify 
maximum most probable discharge response resources in the response plan 
but do not have to ensure by contract or a previous funding agreement. 
Submission of a written consent for plan listing from the recognized 
response resource provider must accompany the plan for approval or 
revision. This is considered an acceptable ``other approved means.'' 
See 33 CFR 155.5020, ``Contract or other approved means,'' paragraph 
(5).
    (f) Worst case discharge. The owner or operator of a nontank vessel 
with a capacity of 2,500 barrels or greater carrying groups I through 
IV petroleum oil as fuel or cargo must identify in the response plan 
and ensure the availability of, through contract or other approved 
means, the response resources necessary to respond to discharges up to 
the worst case discharge volume of the oil to the maximum extent 
practicable. For the purposes of meeting this paragraph, the standards 
listed in 33 CFR 155.1050(f) must be met. Nontank vessels need only 
plan for Tier 1 response resources.
    (g) Tier 1 response times. Response equipment identified to respond 
to a worst case discharge should be capable of arriving on scene within 
the times specified in this paragraph for the applicable response tier 
in a higher volume port area, Great Lakes, and in other areas. Response 
times for this tier, from the time of discovery of a discharge, are 
found in Table 155.5050(g).

              Table 155.5050(g)--Response Times for Tier 1
------------------------------------------------------------------------
                   Tier 1
------------------------------------------------------------------------
Higher volume port area.....................  12 hrs.
Great Lakes.................................  18 hrs.
All other operating environments, including   24 hrs.
 rivers and canals, inland, nearshore,
 offshore, and open ocean areas.
------------------------------------------------------------------------

     (h) Planning standards for the mobilization and response times for 
required MMPD and WCD response resources. For the purposes of arranging 
for maximum most probable discharge (MMPD) or worst case discharge 
(WCD) response resources through contract or other approved means, 
response equipment identified for plan credit should be capable of 
being mobilized and enroute to the scene of a discharge within 2 hours 
of notification. The notification procedures identified in the plan 
should provide for notification and authorization for mobilization of 
response resources:
    (1) Either directly or through the qualified individual; and
    (2) Within 30 minutes of a discovery of a discharge or substantial 
threat of discharge.
    (i) Salvage, emergency lightering, and marine firefighting 
requirements. The owner or operator of a nontank vessel carrying groups 
I through IV petroleum oil as fuel or cargo must plan for salvage, 
emergency lightering, and marine firefighting response resources.
    (1) Nontank vessels with a capacity of 2,500 barrels or greater 
must meet the salvage, emergency lightering, and marine firefighting 
requirements found in subpart I of this part.
    (2) Nontank vessels with a capacity less than 2,500 barrels, but 
greater than or equal to 250 barrels, need only plan for and identify 
salvage, emergency lightering, and marine firefighting response 
resources in the response plan but do not have to ensure by contract or 
a previous funding agreement. Submission of a written consent for plan 
listing from the recognized response resource provider must accompany 
the plan for approval or revision. This is considered an acceptable 
``other approved means.'' See 33 CFR 155.5020, ``Contract or other 
approved means,'' paragraph (5).
    (3) Nontank vessels with a capacity less than 250 barrels need only 
plan for and identify salvage response resources in the response plan 
but do not have to ensure by contract or a previous funding agreement. 
Submission of a written consent for plan listing from the recognized 
response resource provider must accompany the plan for approval or 
revision. This is considered an acceptable ``other approved means.'' 
See 33 CFR 155.5020, ``Contract or other approved means,'' paragraph 
(5).
    (j) Dispersants. The owner or operator of a nontank vessel carrying 
groups II through IV petroleum oil as fuel or cargo with a capacity of 
2,500 barrels or greater that operates in any area pre-authorized for 
dispersant use must identify in their response plan, and ensure the 
availability of, through contract or other approved means, response 
resources capable of conducting dispersant operations within those 
areas. The standards of 33 CFR 155.1050(k) must be met. Only Tier 1 for 
dispersant effective daily application capability (EDAC) must be met 
for nontank vessels. Nontank vessels with a capacity less than 2,500 
barrels, but greater than or equal to 250 barrels, need only plan for 
and identify dispersant response resources in the response plan but do 
not have to ensure by contract or a previous funding agreement. 
Submission of a written consent for plan listing from the recognized 
response resource provider must accompany the plan for approval or 
revision. This is considered an acceptable ``other approved means.'' 
See 33 CFR 155.5020, ``Contract or other approved means,'' paragraph 
(5).
    (k) Aerial oil spill tracking and observation response resources. 
The owner or operator of a nontank vessel carrying groups I through IV 
petroleum oil as fuel or cargo with a capacity of 2,500 barrels or 
greater must identify in the response plan, and ensure their 
availability, through contract or other approved means, response 
resources necessary to provide aerial oil spill tracking to support oil 
spill assessment and cleanup activities. The standards of

[[Page 44998]]

33 CFR 155.1050(l) must be met. Nontank vessels operating exclusively 
on the inland rivers of the United States are not required to comply 
with this paragraph. Nontank vessels with a capacity of 250 barrels or 
greater, but less than 2,500 barrels, need only plan for and identify 
aerial oil tracking response resources in the response plan but do not 
have to ensure by contract or a previous funding agreement. Submission 
of a written consent for plan listing from the recognized response 
resource provider must accompany the plan for approval or revision. 
This is considered an acceptable ``other approved means.'' See 33 CFR 
155.5020, ``Contract or other approved means,'' paragraph (5).
    (l) Response resources necessary to perform shoreline protection 
operations. The owner or operator of a nontank vessel carrying groups I 
through IV petroleum oil as fuel or cargo with a capacity of 250 
barrels or greater must identify in the response plan, and ensure the 
availability of, through contract or other approved means, response 
resources necessary to perform shoreline protection operations. The 
response resources must include the quantities of boom listed in Table 
2 of appendix B of this part, based upon the specific COTP zones in 
which the vessel operates.
    (m) Shoreline cleanup operations. The owner or operator of a 
nontank vessel carrying groups I through IV petroleum oil as fuel or 
cargo with a capacity of 250 barrels or greater must identify in the 
response plan, and ensure the availability of, through contract or 
other approved means, an oil spill removal organization capable of 
effecting a shoreline cleanup operation commensurate with the quantity 
of emulsified petroleum oil to be planned for in shoreline cleanup 
operations. The shoreline cleanup resources required must be determined 
as described in appendix B of this part.
    (n) Practical and technical limits of response capabilities. 
Appendix B of this part sets out response capability capacities (caps) 
that recognize the practical and technical limits of response 
capabilities for which an individual vessel owner or operator can 
contract in advance. Table 6 in appendix B lists the contracting caps 
that are applicable. The owner or operator of a nontank vessel carrying 
groups I through IV petroleum oil as fuel or cargo, with a capacity of 
2,500 barrels or greater, whose required daily recovery capacity 
exceeds the applicable contracting caps in Table 6, must identify 
commercial sources of additional equipment equal to twice the cap 
listed for each tier or the amount necessary to reach the calculated 
planning volume, whichever is lower, to the extent that this equipment 
is available. The equipment so identified must be capable of arriving 
on scene no later than the applicable tier response times contained in 
Sec.  155.5050(g) or as quickly as the nearest available resource 
permits. A response plan must identify the specific sources, locations, 
and quantities of this additional equipment. No contract is required.
    (o) Review of response capability limits. The Coast Guard will 
continue to evaluate the environmental benefits, cost efficiency, and 
practicality of increasing mechanical recovery capability requirements. 
This continuing evaluation is part of the Coast Guard's long term 
commitment to achieving and maintaining an optimum mix of oil spill 
response capability across the full spectrum of response modes. As best 
available technology demonstrates a need to evaluate or change 
mechanical recovery capacities, a review of cap increases and other 
requirements contained within this subpart may be performed. Any 
changes in the requirements of this section will occur through a 
rulemaking process. During this review, the Coast Guard will determine 
if established caps remain practicable and if increased caps will 
provide any benefit to oil spill recovery operations. The review will 
include, at least, an evaluation of:
    (1) Best available technologies for containment and recovery;
    (2) Oil spill tracking technology;
    (3) High rate response techniques;
    (4) Other applicable response technologies; and
    (5) Increases in the availability of private response resources.
    (p) Nontank vessel response plan required response resources 
matrix. Table 155.5050(p) is a summary of the nontank vessel response 
plan required response resources.

                                                       Table 155.5050(p)--Nontank Vessel Response Plan Required Response Resources Matrix
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
 Nontank vessel's fuel and cargo                                                             Emergency                                          Aerial tracking      Shoreline       Shore line
          oil capacity                AMPD          MMPD         WCD         Salvage        lightering       Fire fighting    Dispersant \3\          \4\           protection        cleanup
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
2,500 barrels or greater........  NO \1\......  YES........  YES........  YES..........  YES.............  YES.............  YES.............  YES.............  YES.............  YES.
Less than 2,500 barrels, but      NO \1\......  YES........  NO.........  YES \2\......  YES \2\.........  YES \2\.........  YES \2\.........  YES \2\.........  YES.............  YES.
 greater than or equal to 250
 barrels.
Less than 250 barrels...........  NO \1\......  YES \2\....  NO.........  YES \2\......  NO..............  NO..............  NO..............  NO..............  NO..............  NO.
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ For nontank vessels carrying oil as fuel only. Nontank vessels carrying oil as cargo must meet AMPD response resources in 33 CFR 155.5050(d) as applicable.
\2\ For nontank vessels with a fuel and cargo capacity less than 2,500 barrels, the indicated response resources that must be located within the stipulated response times in the specified
  geographic areas need only be identified and planned for in the nontank vessel response plan, but not ensured available by contract. Submission of a written consent from the response
  resource provider must accompany the plan for approval. This is considered an acceptable ``other approved means.'' See 33 CFR 155.5020, ``Contract or other approved means,'' paragraph (5).
\3\ Dispersant response resources are only required for waters where dispersant pre-authorization has been authorized IAW the Area Contingency Plan. See 33 CFR 155.5050(j).
\4\ Aerial oil spill tracking response resources are not required on Rivers.

Sec.  155.5052  Response plan development and evaluation criteria for 
nontank vessels carrying group V petroleum oil.

    Owners and operators of nontank vessels that carry group V 
petroleum oil as fuel or cargo must meet the requirements of 33 CFR 
155.1052.


Sec.  155.5055  Training.

    (a) A nontank vessel response plan submitted to meet the 
requirements of Sec.  155.5035 must identify the training to be 
provided to persons having responsibilities under the plan, including 
members of the vessel crew, the qualified individual, and the spill 
management team. The training program must differentiate between that 
training provided to vessel personnel and that training provided to 
shore-based personnel. Appendix C of this part provides additional 
guidance regarding training.
    (b) A nontank vessel owner or operator must comply with the vessel 
response plan training requirements of 33 CFR 155.1055(b) through (f).


Sec.  155.5060  Exercises.

    (a) A nontank vessel owner or operator required by Sec.  155.5035 
to have a response plan must conduct exercises as necessary to ensure 
that the plan will function in an emergency. Both

[[Page 44999]]

announced and unannounced exercises must be included.
    (b) A nontank vessel owner or operator must comply with the vessel 
response plan exercise requirements of 33 CFR 155.1060.


Sec.  155.5062  Inspection and maintenance of response resources.

    The owner or operator of a nontank vessel required to submit a 
response plan under this part must comply with the response resource 
inspection and maintenance requirements of 33 CFR 155.1062.


Sec.  155.5065  Procedures for plan submission and approval.

    (a) An owner or operator of a nontank vessel to which this subpart 
applies must submit one complete English language copy, in paper 
format, of a nontank vessel response plan to Commandant, Office of 
Vessel Activities (CG-543), U.S. Coast Guard Headquarters, 2100 Second 
Street, SW., Washington, DC 20593-0001, Attn: Vessel Response Plan 
Review Team. The plan must be submitted at least 60 days before the 
vessel intends to operate upon the navigable waters of the United 
States.
    (b) The owner or operator of a nontank vessel must include a 
statement certifying that the nontank vessel response plan meets the 
applicable requirements of this subpart and the requirements of 
subparts D, E, F, and G if applicable. The owner or operator must also 
include a statement certifying that the owner or operator has ensured 
the availability of, through contract or other approved means, the 
necessary private resources to respond, to the maximum extent 
practicable, to a worst case discharge or substantial threat of such a 
discharge from their vessel as required under this subpart. CG Form 
``Application for Approval/Revision of Vessel Pollution Response 
Plans'' (CG-6083) located at: http://homeport.uscg.mil/vrpapplication 
can be used in lieu of a cover letter to make initial application for 
plan submission and approval. When submitted properly, this application 
form meets the requirement for a vessel response plan certification 
statement as required by this paragraph.
    (c) If the Coast Guard determines that the plan meets all 
requirements of this subpart, the Coast Guard will notify the vessel 
owner or operator with an approval letter. The plan will be valid for a 
period of 5 years from the date of approval, conditional upon 
satisfactory annual updates.
    (d) If the Coast Guard reviews the plan and determines that it does 
not meet all of the requirements, the Coast Guard will notify the 
vessel owner or operator of the nontank vessel response plan 
deficiencies. The nontank vessel owner or operator must then resubmit 
the revised plan or corrected portions or pages of the plan, within the 
time period specified in the written notice provided by the Coast 
Guard.


Sec.  155.5067  Alternative planning criteria.

    (a) When the owner or operator of a nontank vessel believes that 
national planning criteria contained elsewhere in this part are 
inappropriate to the vessel for the areas in which it is intended to 
operate, the owner or operator may request acceptance of alternative 
planning criteria by the Coast Guard. Submission of an alternative 
planning criteria request must be made 120 days before the vessel 
intends to operate under the proposed alternative, or as soon as is 
practicable. The alternative planning criteria request must be endorsed 
by the COTP with jurisdiction over the geographic area(s) affected 
before being considered by Commandant, Office of Vessel Activities (CG-
543), for the review and approval of the respective nontank vessel 
response plan. In any case, the request must be received by CG-543 with 
an endorsement by the respective COTP no later than 45 days before the 
vessel intends to operate under the alternative planning criteria.
    (b) The alternative planning criteria request should detail all 
elements of the nontank plan where deviations from the requirements in 
this subpart are being proposed or have not been met. Response 
equipment, techniques, or procedures identified in the alternative 
planning criteria request should be submitted in accordance with the 
evaluation criteria of appendix B of this part. The request should 
contain at a minimum:
    (1) Reason(s) and supporting information for the alternative 
planning criteria request;
    (2) Identification of regulations necessitating the alternative 
planning criteria request;
    (3) Proposals for alternative procedures, methods, or equipment 
standards, where applicable, to provide for an equivalent level of 
planning, response, or pollution mitigation strategies;
    (4) Prevention and mitigation strategies that ensure low risk of 
spills and adequate response measures as a result of the alternative 
planning criteria; and
    (5) Environmental and economic impact assessments of the effects.
    (c) The granting or denial of an alternative planning criteria 
request will be decided by Commandant, Office of Vessel Activities (CG-
543), and will be issued in writing.


Sec.  155.5070  Procedures for plan review, revision, and amendment.

    (a) The owner or operator of a nontank vessel must review the 
nontank vessel response plan annually and submit a letter to 
Commandant, Office of Vessel Activities (CG-543) certifying that the 
review has been completed. This review must occur within one month of 
the anniversary date of Coast Guard approval of the plan.
    (b) A nontank vessel response plan prepared and submitted under 
this subpart must be revised and amended, as necessary, in accordance 
with Sec.  155.1070.


Sec.  155.5075  Appeal procedures.

    (a) A nontank vessel owner or operator who disagrees with a 
deficiency determination may submit a petition for reconsideration to 
the Assistant Commandant for Marine Safety, Security and Stewardship, 
Commandant (CG-5), Coast Guard Headquarters, 2100 Second Street, SW., 
Washington, DC 20593-0001, within the time period required for 
compliance or within seven days from the date of receipt of the Coast 
Guard notice of a deficiency determination, whichever is less. After 
considering all relevant material presented, the Coast Guard will 
notify the vessel owner or operator of the final decision.
    (1) Unless the vessel owner or operator petitions for 
reconsideration of the Coast Guard's decision, the vessel's owner or 
operator must correct the response plan deficiencies within the period 
specified in the Coast Guard's initial determination.
    (2) If the vessel owner or operator petitions the Coast Guard for 
reconsideration, the effective date of the Coast Guard notice of 
deficiency determination may be delayed pending a decision by the Coast 
Guard. Petitions to the Coast Guard must be submitted in writing, via 
the Coast Guard official who issued the requirement to amend the 
response plan, within five days of receipt of the notice.
    (b) Within 21 days of notification that a nontank vessel response 
plan is not approved, the vessel owner or operator may appeal that 
determination to the Assistant Commandant for Marine Safety, Security 
and Stewardship. This appeal must be submitted in writing to Commandant 
(CG-5), Coast Guard, 2100 Second Street, SW., Washington, DC 20593-
0001.

[[Page 45000]]

    15. In appendix B to Part 155,
    a. Revise paragraphs 1.1, 2.6, 2.7, 3.1, 4.2.2, 5.1, 5.2, 5.3, 5.4, 
5.5, 5.6, 5.7, 7.1, 7.2, 7.2.3, 7.2.4, and 7.3.1; and
    b. Add paragraph 8.1.1 to read as follows:

Appendix B To Part 155--Determining and Evaluating Required Response 
Resources for Vessel Response Plans

* * * * *
    1.1 The purpose of this appendix is to describe the procedures 
for identifying response resources to meet the requirements of 
subparts D, E, F, G, and J of this part. These guidelines will be 
used by the vessel owner or operator in preparing the response plan 
and by the Coast Guard to review vessel response plans. Response 
plans submitted under subparts F and G of this part will be 
evaluated under the guidelines in section 2 and Table 1 of this 
appendix.
* * * * *
    2.6 The requirements of subparts D, E, F, G, and J of this part 
establish response resource mobilization and response times. The 
location that the vessel operates farthest from the storage location 
of the response resources must be used to determine whether the 
resources are capable of arriving on scene within the time required. 
A vessel owner or operator shall include the time for notification, 
mobilization, and travel time of resources identified to meet the 
maximum most probable discharge and Tier 1 worst case discharge 
requirements. For subparts D and E of this part, Tier 2 and 3 
resources must be notified and mobilized as necessary to meet the 
requirements for arrival on scene. An on-water speed of 5 knots and 
a land speed of 35 miles per hour is assumed, unless the vessel 
owner or operator can demonstrate otherwise.
    2.7 For subparts D, E, and J of this part, in identifying 
equipment, the vessel owner or operator must list the storage 
location, quantity, and manufacturer's make and model, unless the 
oil spill removal organization(s) providing the necessary response 
resources have been evaluated by the Coast Guard, and their 
capability has been determined to equal or exceed the response 
capability needed by the vessel. For oil recovery devices, the 
effective daily recovery capacity, as determined using section 6 of 
this appendix, must be included. For boom, the overall boom height 
(draft plus freeboard) must be included. A vessel owner or operator 
is responsible for ensuring that the identified boom has compatible 
connectors.
* * * * *
    3.1 A vessel owner or operator must identify and ensure, by 
contract or other approved means, that sufficient response resources 
are available to respond to the 50-barrel average most probable 
discharge at the point of an oil transfer involving a vessel that 
carries oil as a primary cargo or a nontank vessel carrying oil as 
cargo. The equipment must be designed to function in the operating 
environment at the point of oil transfer. These resources must 
include--
* * * * *
    4.2.2 Ten percent of the total oil capacity.
* * * * *
    5.1 A vessel owner or operator, as applicable under the 
regulations prescribed in this part, must identify and ensure, by 
contract or other approved means, that sufficient response resources 
are available to respond to the worst case discharge of oil to the 
maximum extent practicable. Section 7 of this appendix describes the 
method to determine the required response resources.
    5.2 Oil spill recovery devices identified to meet the applicable 
worst case discharge planning volume must be located such that they 
can arrive at the scene of a discharge within the time specified for 
the applicable response tier listed in Sec. Sec.  155.1050(g) and 
155.5050(g).
    5.3 The effective daily recovery capacity for oil recovery 
devices identified in a response plan must be determined using the 
criteria in section 6 of this appendix. A vessel owner or operator, 
as applicable under the regulations prescribed in this part, shall 
identify the storage locations of all equipment that must be used to 
fulfill the requirements for each tier.
    5.4 A vessel owner or operator, as applicable under the 
regulations prescribed in this part, must identify the availability 
of temporary storage capacity to meet the requirements of section 
9.2 of this appendix. If available storage capacity is insufficient 
to meet this requirement, then the effective daily recovery capacity 
must be downgraded to the limits of the available storage capacity.
    5.5 When selecting response resources necessary to meet the 
response plan requirements, the vessel owner or operator, as 
applicable under the regulations prescribed in this part, must 
ensure that a portion of those resources are capable of being used 
in close-to-shore response activities in shallow water. The 
following percentages of the on-water response equipment identified 
for the applicable geographic area must be capable of operating in 
waters of 6 feet or less depth:
    (i) Open ocean--none.
    (ii) Offshore--10 percent.
    (iii) Nearshore, inland, Great Lakes, and rivers and canals--20 
percent.
    5.6 In addition to oil spill recovery devices and temporary 
storage capacity, a vessel owner or operator, as applicable under 
the regulations prescribed in this part, must identify in the 
response plan and ensure the availability of, through contract or 
other approved means, sufficient boom that can arrive on scene 
within the required response times for oil containment and 
collection. The specific quantity of boom required for collection 
and containment will depend on the specific recovery equipment and 
strategies employed. Table 2 of this appendix lists the minimum 
quantities of additional boom required for shoreline protection that 
a vessel owner or operator shall identify in the response plan and 
ensure the availability of, through contract or other approved 
means.
    5.7 A vessel owner or operator, as applicable under the 
regulations prescribed in this part, must also identify in the 
response plan and ensure, by contract or other approved means, the 
availability of an oil spill removal organization capable of 
responding to a shoreline cleanup operation involving the calculated 
volume of emulsified oil that might impact the affected shoreline. 
The volume of oil for which a vessel owner or operator should plan 
for should be calculated through the application of factors 
contained in Tables 3 and 4 of this appendix. The volume calculated 
from these tables is intended to assist the vessel owner or operator 
in identifying a contractor with sufficient resources. This planning 
volume is not used explicitly to determine a required amount of 
equipment and personnel.
* * * * *
    7.1 A vessel owner or operator, as applicable under the 
regulations prescribed in this part, must plan for a response to a 
vessel's worst case discharge oil planning volume. The planning for 
on-water recovery must take into account a loss of some oil to the 
environment due to evaporations and natural dissipation, potential 
increases in volume due to emulsification, and the potential for 
deposit of some oil on the shoreline.
    7.2 The following procedures must be used to calculate the 
planning volume used by a vessel owner or operator, as applicable 
under the regulations prescribed in this part, for determining 
required on-water recovery capacity:
* * * * *
    7.2.3 The adjusted volume is multiplied by the on-water oil 
recovery resource mobilization factor found in Table 5 of this 
appendix from the appropriate operating area and response tier to 
determine the total on-water oil recovery capacity in barrels per 
day that must be identified or contracted for to arrive on scene 
within the applicable time for each response tier. Three tiers are 
specified. For higher volume port areas, the contracted tiers of 
resources must be located such that they can arrive on scene within 
12, 36, and 60 hours of the discovery of an oil discharge. For the 
Great Lakes, these tiers are 18, 42, and 66 hours. For rivers and 
canals, inland, nearshore, and offshore, these tiers are 24, 48, and 
72 hours. For the open ocean area, these tiers are 24, 48, and 72 
hours with an additional travel time allowance of 1 hour for every 
additional 5 nautical miles from shore. For nontank vessels, only 
Tier 1 is specified.
    7.2.4 The resulting on-water recovery capacity in barrels per 
day for each tier is used to identify response resources necessary 
to sustain operations in the applicable geographic area. The 
equipment must be capable of sustaining operations for the time 
period specified in Table 3 of this appendix. A vessel owner or 
operator, as applicable under the regulations prescribed in this 
part, shall identify and ensure the availability of, through 
contract or other approved means, sufficient oil spill recovery 
devices to provide the effective daily oil recovery capacity 
required. If the required capacity exceeds the applicable cap 
described in Table 6 of this appendix, then a vessel owner or 
operator must contract only for the quantity of resources required 
to meet the cap, but shall identify sources of additional resources 
as indicated in Sec.  155.1050(p). For a vessel that carries 
multiple groups of oil, the required effective daily recovery 
capacity

[[Page 45001]]

for each group is calculated and summed before applying the cap.
* * * * *
    7.3.1 The following must be determined: The total volume of oil 
carried; the appropriate group for the type of petroleum oil carried 
[persistent (groups II, III, and IV) or non-persistent (group I)]; 
and the geographic area(s) in which the vessel operates. For a 
vessel carrying different oil groups, each group must be calculated 
separately. Using this information, Table 3 of this appendix must be 
used to determine the percentages of the total oil volume to be used 
for shoreline cleanup resource planning.
* * * * *
    8.1.1 A vessel owner or operator, as applicable under the 
regulations prescribed in this part, must plan either for a 
dispersant capacity to respond to a vessel's worst case discharge 
(WCD) of oil, or for the amount of the dispersant resource 
capability as required by Sec.  155.1050(k)(3) of this chapter, 
whichever is the lesser amount. When planning for the cumulative 
application capacity that is required, the calculations should 
account for the loss of some oil to the environment due to natural 
dissipation causes (primarily evaporation). The following procedure 
should be used to determine the cumulative application requirements:
* * * * *
    16. In appendix C to Part 155--
    a. Revise paragraphs 2.2.3.1, 2.2.14, 2.2.15, 2.2.15.1, 2.2.15.2, 
2.2.15.3, 2.2.15.4, and 2.2.15.5 to read as follows:

Appendix C to Part 155--Training Elements for Oil Spill Response Plans

* * * * *
    2.2.3.1 Operational activities associated with internal or 
external fuel and cargo transfers;
* * * * *
    2.2.14 Actions to take, in accordance with designated job 
responsibilities, in the event of a transfer system leak, tank 
overflow, or suspected fuel or cargo tank or hull leak.
    2.2.15 Information on the oil handled by the vessel or facility, 
including familiarity with:
    2.2.15.1 Cargo material safety data sheets (including oil 
carried as fuel);
    2.2.15.2 Chemical characteristics of all oils carried as fuel or 
cargo;
    2.2.15.3 Special handling procedures for all oils carried as 
fuel or cargo;
    2.2.15.4 Health and safety hazards associated with all oils 
carried as fuel or cargo; and
    2.2.15.5 Spill and firefighting procedures for all oils carried 
as fuel or cargo.
* * * * *

PART 160--PORTS AND WATERWAYS SAFETY--GENERAL

    17. The authority citation for part 160 continues to read as 
follows:

    Authority: 33 U.S.C. 1223, 1231; 46 U.S.C. Chapter 701; 
Department of Homeland Security Delegation No. 0170.1. Subpart C is 
also issued under the authority of 33 U.S.C. 1225 and 46 U.S.C. 
3715.


Sec.  160.206  [Amended]

    18. In Sec.  160.206, in Table 160.206--
    a. In Required information column, after item (1)(viii), add ``(ix) 
USCG Vessel Response Plan Control Number, if applicable'' and
    b. In each of remaining three columns of the newly added row 
(1)(ix), add an ``X''.

    Dated: August 14, 2009.
Lincoln D. Stroh,
Captain, U.S. Coast Guard, Acting Director of Prevention Policy.
[FR Doc. E9-20310 Filed 8-28-09; 8:45 am]

BILLING CODE 4910-15-P
