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EPA-HQ-OPP-2002-0280-0002 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
14
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
January
31,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
November
13,
2001
and
December
18,
2001
Meeting
of
the
IIFG
Decision
Memo
Please
find
attached
the
Inert
Ingredient
Focus
Group
recommendations
for
the
inert
ingredients
associated
with
the
"weathered
materials"
grouping.
Page
2
of
14
INERT
INGREDIENT
FOCUS
GROUP
MEETING
November
13,
2001
and
December
18,
2001
Chemical
Name:
Several,
see
below.
Category:
Weathered
materials.
CAS
Reg.
No.:
Several,
see
below.
PC
Code:
Several,
see
below.
Introduction:
There
were
two
meetings
of
the
Inert
Ingredient
Focus
Group
to
discuss
the
"weathered
materials"
grouping.
The
first
was
held
on
November
13,
2001,
and
the
second
on
December
18,
2001.
Focus
Group
members
in
attendance
at
both
meetings
were:
Kathryn
Boyle
(RD),
Kerry
Leifer
(RD),
Michael
Doherty
(HED),
Pauline
Wagner
(HED),
Diana
Locke
(HED),
Sid
Abel
(EFED),
and
Mark
Perry
(SRRD).
Robert
Forrest
(RD),
Tom
Brennan
(HED),
Henry
Craven
(EFED),
and
Larry
Schnaubelt
(SRRD)
were
present
for
the
November
13
meeting
only.
Kelly
O'Rourke
(HED)
attended
only
the
December
18
meeting.
The
presenters
were:
Kathryn
Boyle
(RD)
and
Sid
Abel
(EFED).
The
Executive
Secretary
for
the
November
13
meeting
was
Linda
Gerber
(RD).
Also
in
attendance
at
the
November
13
meeting
were:
John
Redden
(RD),
Jeanie
McAndrew
(RD),
Christina
Jarvis
(RD),
and
Carol
Christensen
(HED).
Jeanie
McAndrew
also
attended
the
December
18
meeting.
At
both
meetings
the
available
information
on
various
weathered
materials
were
discussed
to
determine
if
sufficient
information
were
available
to
make
tolerance
reassessment
decisions
assessment
on
the
various
materials
and
to
make
the
determination
as
to
whether
the
various
materials
should
be
classified
as
List
4A
or
List
4B
substances.
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as,
°EPA(
www.
epa.
gov),
°CDC(
www.
atsdr.
cdc.
gov/
toxprofiles/),
°NIOSH,(
www.
cdc.
gov/
niosh/
ipcsneng/
neng0000.html)
and
(www.
cdc.
gov/
niosh/
npg/
npg.
html)
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.),
Page
3
of
14
°NTP(
ntp
server.
niehs.
nih.
gov.),
°Firstgov(
www.
firstgov.
gov/),
°IARC(
www.
iarc.
fr/)
Additional
information
included
parts
of
the
FDA
GRAS
assessment
of
sodium
silicoaluminate..
Also,
SAR
(structure
activity
relationship)
assessments
as
performed
by
OPPT
were
available
for
some
of
the
oxides
and
silicates.
Three
handouts
were
provided
at
the
meeting
on
the
13th:
(1)
a
listing
of
the
substances
for
which
there
are
existing
tolerance
exemptions;
(2)
a
short
summary
dividing
the
substances
into
15
groups
for
discussion
purposes;
and
(3)
the
following
description/
explanation
of
weathered
materials.
Description
of
Weathered
Materials
Weathered
materials
is
the
term
that
the
Agency
is
using
to
describe
a
group
of
substances
that
could
also
be
referred
to
as
rocks
and
minerals.
Generally,
weathered
materials
are
decayed
or
weathered
rocks
that
are
mostly
unrefined,
i.
e.,
not
altered
or
manufactured
by
man.
When
referring
to
weathered
materials
as
mostly
unrefined,
the
Agency
is
including
the
mechanical
grinding
of
larger
rocks
into
smaller
pieces
that
are
essentially
the
same,
but
not
the
chemical
or
physical
alteration
of
the
rock
into
a
different
substance.
A
mineral
is
a
naturally
occurring,
inorganic
solid
substance
characterized
by
a
definite
chemical
composition
or
a
range
of
chemical
compositions
and
by
a
specific,
regular
architecture
of
the
atoms
that
make
it
up.
Simply
put,
minerals
are
chemicals
arranged
in
an
orderly
regular
pattern
to
form
a
substance
that
cannot
be
separated
mechanically,
i.
e.,
by
crushing,
into
different
substances.
Quartz,
a
very
common
mineral,
is
made
of
the
basic
elements
silicon
and
oxygen.
By
simply
crushing
the
quartz,
silicon
and
oxygen
cannot
be
separated;
but
crushed
finely,
quartz
is
a
major
component
of
the
sand
found
at
the
beach
or
in
the
soil
around
our
homes.
Some
minerals
can
be
seen
with
the
naked
eye
especially
in
coarse
grain
rocks,
but
others
need
magnifying
glasses
or
powerful
microscopes
to
be
seen.
There
are
several
thousand
minerals,
each
with
characteristic
chemical
and
physical
properties.
Minerals
are
the
building
blocks
of
rocks.
Minerals
can
be
combined,
aggregated,
in
a
great
variety
of
patterns
just
as
bricks
may
make
up
a
walkway
in
an
infinite
array
of
schemes.
Rocks
are
not
as
uniquely
defined
by
their
properties
as
minerals
because
of
the
immense
number
of
ways
the
thousands
of
minerals
can
be
combined.
The
major
divisions
of
rocks
are
igneous
(formed
from
cooling
magmas),
sedimentary
(formed
from
the
settling,
cementing
and
compacting
of
eroding
igneous
and
metamorphic
rock),
and
metamorphic
(igneous
or
sedimentary
rock
that
has
undergone
change
due
to
heat
and
pressure).
Weathered
materials
are
derived
from
these
major
groups.
Rocks
are
"weathered"
by
a
twofold
process,
mechanical
weathering
(the
physical
Page
4
of
14
breakdown,
grinding,
of
the
rocks
into
smaller
pieces),
and
chemical
weathering
(the
breaking
of
the
chemical
bonds
between
elements).
Both
processes
operate
together,
each
assisting
the
other
in
the
slow
progress
of
decomposing
the
rock
to
materials
such
as
sands
and
clays
or
dissolving
the
rock
altogether
as
happens
when
water
flows
over
limestone.
The
smaller
the
rock
pieces,
the
greater
the
surface
area,
the
faster
the
breakdown.
Over
great
periods
of
time,
the
weathering
of
rocks
may
become
the
great
deposits
of
weathered
minerals
that
are
mined
or
become
part
of
the
soils
in
the
gardens
that
are
around
our
homes.
The
conditions
(climate)
under
which
this
weathering
occurs
can
determine
the
minerals
formed.
Feldspar
of
granite
(an
igneous
rock)
may
decay
to
form
kaolinite,
a
common
mineral
and
in
its
pure
form,
a
raw
material
for
everyday
pottery
and
china.
Under
certain
climatic
conditions,
kaolinite
will
dissolve
leaving
a
solid
residue
called
gibbsite.
Gibbsite
makes
up
the
great
deposits
of
bauxite,
the
earthy
ore
known
as
the
major
source
of
extractable
aluminum.
Phosphate
rocks
(marine
shale
and
limestones
enriched
in
phosphate
–
both
sedimentary
rocks)
are
the
major
raw
materials
of
the
fertilizer
industry,
but
are
also
components
of
the
natural
soils
along
the
coastal
plain
of
the
major
continents.
The
remnants
of
rock
are
all
around
us
in
our
daily
life:
they
are
the
materials
in
and
of
the
earth.
We
are
exposed
to
them
in
a
variety
of
ways
every
day.
It
is
the
decay
and
weathering
of
rocks
that
give
us
the
soils
in
which
we
grow
our
food
and
the
ore
deposits
that
provide
the
materials
of
everyday
life.
Ecotoxicity,
and
Environmental
Fate
and
Effects:
This
presentation
was
performed
by
Sid
Abel.
EFED's
hazard
characterization
was
based
on
the
fact
that
all
of
these
substances
are
naturally
occurring.
Since
these
are
naturally
occurring
substances,
no
adverse
environmental
effects
are
anticipated.
Toxicology
Data
This
presentation
was
performed
by
Kathryn
Boyle
(RD)
based
on
the
information
contained
in
the
previously
mentioned
websites.
A
brief
summation
of
the
available
information(
see
below)
was
given
for
each
of
the
groups.
If
available,
the
CAS
Reg.
No.
is
given
in
parenthesis.
Comments
made
during
the
discussion
that
pertained
only
to
a
specific
group
are
in
italics
below.
Current
List
classification
is
also
in
(italics).
1.
Calcium
carbonate
(471
34
1)
(4A):
The
weathered
materials
would
be:
chalk,
marble,
calcite
(13397
26
7),
limestone
(1317
65
3)(
4A),
magnesium
lime,
and
could
even
include
oyster
shells
and
calcareous
shale.
Also
includes
dolomite
(16389
88
1)(
4A)
which
is
calcium
magnesium
carbonate.
No
concerns
identified
Page
5
of
14
2.
Carbon
in
various
forms:
Includes
carbon,
graphite
(7782
42
5)(
4A),
and
activated
charcoal
(7440
44
0).
Activated
charcoal
is
not
pure
carbon.
It
is
not
absorbed,
but
can
adsorb
other
drugs
and
chemicals
on
its
surface
Carbon
RED
1991
examined
carbon
and
graphite,
but
did
not
include
activated
charcoal.
3.
Gypsum
also
referred
to
as
natural
calcium
sulfate
(13397
24
5)
(4A),
plaster
of
paris
which
is
hydrated
calcium
sulfate
(26499
65
0),
and
calcium
sulfate
(7778
18
9)
(10101
41
4)(
4B):
Ingestion
of
plaster
of
paris
per
se
with
little
water
may
result
in
obstruction
with
resultant
surgical
removal
It
was
determined
that
this
type
of
ingestion
is
probably
not
a
concern
for
pesticide
products.
Irritant
Calcium
sulfate
is
the
most
common
of
the
naturally
occurring
sulfates
and
is
FDA
GRAS
Gypsum
is
used
to
treat
alkali
soils
Plaster
of
Paris
(total
dust),
calcium
sulfate
(total
dust),
and
gypsum
(total
dust)
Chemical
Sampling
Information
Cards
described
the
threshold
limit
value
for
all
three
chemicals
as
particulate
matter
containing
no
asbestos
and
less
than
1%
crystalline
silica.
4.
Lime
(12001
27
3)(
4A),
which
is
calcium
oxide
(1305
78
8)(
4B):
Dust
is
irritating
to
nose
and
throat
Some
inhalation
concerns
CaO
is
a
food
additive
(GRAS
with
no
limitations)
Can
be
purchased
for
non
pesticidal
home
use
5.
Vermiculite
(hydrated
laminar
magnesium
aluminum
iron
silicate)
(1318
00
9)(
4A)
There
can
be
asbestos
contamination:
Discussion
focused
on
ways
to
define
asbestos
free
vermiculite.
After
the
first
meeting,
information
was
obtained
from
the
Schindler
Company
website
(www.
schundler.
com)
and
the
Agency's
Asbestos
Contaminated
Vermiculite
Fact
Sheet.
Vermiculite
(a
hydrated
laminar
magnesium
aluminum
iron
silicate),
like
most
other
naturallyoccurring
materials,
often
contain
a
range
of
other
minerals
including,
in
some
cases,
asbestos.
However,
it
is
known
that
only
a
few
vermiculite
deposits
contain
more
than
trace
amounts
of
asbestos.
(Example:
Libby)
EPA
has
tested
samples
of
vermiculite
to
determine
the
amounts
of
asbestos
present.
Most
samples
were
non
detect
(no
detectable
levels
of
asbestos)
using
a
quantifiable
level
of
0.1
percent
by
weight.
The
vermiculite
industry
has
also
tested
various
vermiculite
ores
with
similar
results.
6.
Bentonite
(1302
78
9)(
4A)
or
Montmorillonite
Clay
(1318
93
0)(
4A):
Page
6
of
14
Practically
non
toxic
Biologically
inert
when
ingested
Some
lung
irritation
(not
silicosis)
after
years
of
exposure
aka
Fuller's
earth
(8031
18
3)
(claylike
material
composed
primarily
of
montmorillonite);
low/
moderate
concern
(SAR)
7.
Attapulgite
clay
(12174
11
7)(
4A)
(complex
metallic
(magnesium
aluminum)
silicate),
also
known
as
palygorskite:
Long
fibers
are
carcinogenic
(>
5
um)
when
inhaled
Short
fibers
are
not
carcinogenic
(<
5
um)
Medical
Uses
(activated
attapulgite)
Absorbent
in
pet
litter
Not
absorbed
from
GI
tract
has
colloidal
and
sorptive
properties
Discussion
focused
on
ways
to
check
the
fiber
size
8.
Kaolin
(1332
58
7)(
4A)
which
are
aluminum
silicates.
Inert
after
oral
administration
Medicinal
uses
Some
inhalation
concerns,
kaolinosis
Kaolin
RED
Kaolin
Chemical
Sampling
Information
Card
described
kaolin
as
not
classifiable
as
to
carcinogenicity,
with
the
comment
for
particulate
matter
containing
no
asbestos
and
less
than
1%
crystalline
silica
(respirable
fraction).
9.
Silicon
dioxide:
includes
crystalline
forms:
silica/
quartz
(14808
60
7),
cristobalite
(14464
46
1)(
3),
tridymite
(15468
32
3),
tripoli
(1317
95
9);
includes
amorphous
silica
(112926
00
8,
76313
69
5,
7631
86
9),
sand
(3),
diatomaceous
earth
(61790
53
2)(
4B),
granite,
vitreous
silica
(60676
86
0)(
4B)
and
silica
gel
(63231
67
4,
112926
00
8)(
4B).
Considered
to
be
inert
when
ingested
Crystalline
forms
are
carcinogenic
when
inhaled
from
occupational
sources
Cristobalite
is
moderate
concern
(SAR)
Silicosis
occurs
by
prolonged
and
extensive
exposure
to
respirable
free
crystalline
silica.
Food
additive/
feed
additive
Information
was
also
obtained
from
the
9
th
Report
on
Carcinogens
(revised
January
2001):
"Inhalation
of
excessive
levels
of
crystalline
silica
is
best
known
as
a
cause
of
pneumoconiosis,
an
occupational
lung
disease.
It
is
unclear
whether
the
carcinogenic
risk
of
crystalline
silica
is
because
it
is
a
traditional
carcinogen
that
interacts
with
nuclear
macromolecules
or
because
of
an
epigenetic
process
associated
with
cell
damage
and
healing."
Page
7
of
14
10.
Talc
(14807
96
6)(
3)
is
a
finely
powdered
magnesium
silicate
hydroxide,
also
known
as
steatite:
The
nonasbestiform
cosmetic
grade
was
determined
to
be
carcinogenic.
Talc
pneumoconiosis
Soapstone
(1343
90
4)(
4A)
is
a
granular
form
of
talc.
Pyrophyllite
(12269
78
2)(
4B)
is
a
hydrous
aluminum
silicate
with
a
structure
similar
to
that
of
talc;
it
is
a
color
additive
mixture
for
drugs
and
cosmetics
exempt
from
certification
Both
forms
of
talc
(asbestiform
and
non
asbestiform)
have
been
proposed
for
review
for
listing
in
the
10
th
Report
on
Carcinogens.
Additional
information
was
found
on
the
NIOSH
Sampling
Guide
which
described
talc
as
"containing
no
asbestos
and
less
than
1%
quartz".
OSHA
Chemical
Sampling
Information
Cards
have
two
descriptions
of
talc
"containing
asbestos"
and
"containing
no
asbestos".
While
the
CAS
Reg.
Nos.
are
the
same,
the
descriptors
are
different,
with
the
first
being
described
as
carcinogenic,
and
the
second
being
described
as
not
classifiable
as
to
carcinogenicity,
with
the
comment
for
particulate
matter
containing
no
asbestos
and
less
than
1%
crystalline
silica
(respirable
fraction).
The
International
Chemical
Safety
Card
refers
to
"Talc
(exempt
de
silice
et
de
fibres)"
11.
Mica
(12003
38
2)(
4A)
(hydrated
potassium
aluminum
silicate)
and
feldspar
(potassium
aluminum
silicate)(
68476
25
5),
low/
moderate
concern
(SAR)
Pneumconiosis
The
OSHA
Chemical
Sampling
Information
Card
referred
to
a
value
for
particulate
matter
containing
no
asbestos
and
less
than
1%
crystalline
silica
(respirable
fraction).
Also,
a
different
CAS
Reg.
No.
was
referenced:
12001
26
2
12.
Zeolites
(3)
Zeolites
are
crystalline
alumino
silicate
minerals
with
cage
like
crystal
structures.
This
is
probably
the
most
extensive
family
of
minerals
in
the
earth's
crust.
(1318
02
1,
12173
10
3,
12271
42
0,
67240
23
7,
12173
98
7,
12445
20
4,
66732
10
3,
68652
75
5,
12174
18
4,
61027
84
7,
66733
09
3,
68989
22
0,
68989
23
1,
and
79982
98
2)
There
are
both
naturallyoccurring
and
synthetic
versions
of
zeolites.
Both
can
be
fibrous
or
non
fibrous.
Terms
used
to
describe
zeolites
include
clinoptilolite,
mordenite,
and
phillipsite.
The
SAR
assessment
performed
by
OPPT
indicated
moderate
concern
for
the
68989
22
0
form
of
zeolite.
One
form,
erionite
(66733
21
9),
was
determined
to
be
carcinogenic,
by
IARC
(8
th
Annual
Report
on
Carcinogens).
Erionite
consists
of
crystals,
and
is
not
know
to
occur
in
other
than
fibrous
form.
When
administered
by
inhalation
erionite
induces
plural
mesotheliomas.
Natural
erionite
has
been
replaced
by
synthetic
non
fibrous
zeolites.
Erionite
is
not
known
to
be
currently
in
use
in
the
US.
Page
8
of
14
13.
Refined
silicates
Refined
silicates
(both
hydrous
and
anhydrous
forms)
are
not
the
naturally
occurring
forms
of
silicate,
but
the
more
refined
chemicals
that
are
either
derived
from
the
naturally
occurring
forms
or
manufactured
specifically
through
the
reaction
of
other
chemicals
for
selling
in
commerce.
According
to
information
in
the
FDA's
GRAS
assessment
of
silicates,
there
are
at
least
30
to
40
silicate
compounds
that
could
be
consumed
by
humans.
Most
silicon
compounds
(except
potassium
and
sodium)
are
insoluble
or
only
slightly
soluble
in
water:
Sodium
(1344
09
8,
6834
92
0,
and
10213
79
3)(
4B)
forms
a
gelatinous
(very
alkaline)
mixture
in
water,
corrosive,
extreme
eye
irritant;
also
a
sodium
metasilicate
(10213
79
3,
13870
28
5,
and
15593
82
5)
which
is
more
caustic
than
sodium
Calcium
(1344
95
2)(
4B)
is
GRAS
with
limitations,
in
pharmaceuticals;
also
a
tricalcium
form
which
is
used
in
cement;
occurs
naturally
as
wollastonite
(13983
17
0)
moderate
concern
(SAR)
Magnesium
(14987
04
3,
1343
88
0,
13776
74
4,
and
1343
90
4)(
4B)
is
classified
as
practically
non
toxic;
low/
moderate
concern
(SAR)
Sodium
aluminum
(12003
51
9
and
1344
00
9)
has
low
ecotoxicity,
negative
for
mutagenicity,
silicon
excreted
in
rats;
it
was
the
predominate
silicate
added
to
foods
in
the
US
in
1979;
low/
moderate
concern
(SAR)
Potassium
aluminum
(1327
44
2)
is
moderate
concern
(SAR)
Potassium
(1312
76
1)(
3)
Sodium
potassium
aluminum
(12736
96
8,
37244
96
5)(
3)
Aluminum
(1327
36
2)
is
low/
moderate
concern
(SAR);
hydrated
(1335
30
4)(
3)
Aluminum
calcium
silicate
Aluminum
magnesium
silicate
(1327
43
1)(
3)
Perlite
(93763
70
3)
(a
naturally
occurring
polysilicate/
glass)
14.
Refined
Oxides:
Metal
fume
fever:
produced
by
inhalation
of
metal
ions
at
high
temperatures
from
occupational
exposures
such
as
cutting
and
welding
Fumes
are
only
produced
at
high
temperatures.
Therefore,
should
not
be
a
concern
when
used
in
a
pesticide
product.
Zinc
(1314
13
2)(
4B)
is
also
known
as
C.
I.
pigment
white
4;
no
concerns
identified
in
SAR;
used
in
sunscreen
products
and
calamine
lotion;
positive
mutagenicity
results
were
reported
in
two
studies;
no
evidence
of
carcinogenicity
was
found
in
feeding
zinc
oxide
at
34.4
mg
zinc
per
day
to
rats
for
29
weeks;
in
rats
growth
is
retarded
at
1%
zinc
oxide
and
developmental
impacts
occurred
at
4000
ppm;
used
as
an
animal
feed
nutritional
supplement;
Zinc
Salts
RED
indicated
that
people
are
usually
not
exposed
to
such
large
amounts
of
zinc
through
the
diet
Aluminum
(1344
28
1)(
4B)
is
low/
moderate
(SAR)
for
health,
high
for
Page
9
of
14
ecotoxicity
(this
was
the
only
3)
Magnesium
(1309
48
4)(
4B)
is
low
concern
(SAR),
mutagenicity
studies
were
negative
Iron
also
known
as
rust
(1345
25
1,
1309
37
1,
1317
61
9
and
12259
21
1)(
4B)
is
low
concern
(SAR);
inhalation
if
iron
oxide
can
cause
siderosis
which
is
a
benign
condition
(takes
6
to10
years
to
get
and
can
be
slowly
cleared
from
rat
lungs;
IARC
monograph
not
classifiable
(Group
3)
Iron
magnesium
oxide
(12068
86
9)(
3)
Zinc
iron
oxide
(12063
19
3)(
3)
15.
Sulfur
(7704
34
9)
(3):
Used
as
a
fertilizer
or
soil
amendment
1991
RED
low
toxicity
EPA
designation
under
40
CFR
180.2
MSDS
indicates
airborne
exposure
limits
have
not
been
established.
Discussion
By
consensus,
the
group
determined
that
these
materials
are
generally,
with
some
exceptions,
low
toxicity
substances.
There
would
be
no
concerns
for
ecotoxicity,
or
for
most
dietary
or
dermal
human
exposure.
All
existing
tolerance
exemptions
can
be
reassessed.
However,
there
are
inhalation
concerns
for
some
of
these
substances.
Several
of
these
substances
have
suspected
or
documented
chronic
inhalation
exposure/
risk
issues
including
carcinogenicity,
silicosis
or
pneumoconiosis.
At
the
November
13
meeting,
the
IIFG
did
not
come
to
a
complete
conclusion
for
these
inhalation
concerns.
In
response
to
these
concerns,
Tom
Brennan
(HED)
researched
how
these
inhalation
exposure/
risk
concerns,
that
are
of
concern
in
industrial
settings,
might
translate
to
exposure/
risk
concerns
of
these
same
materials
used
as
an
inert
ingredients
in
pesticides.
His
analysis
is
summarized
in
the
paragraph
below:
Generally
mining,
processing,
packaging
and
transporting
weathered
materials
are
full
time
industrial
occupations
that
may
lead
to
daily
exposures
over
the
course
of
many
years.
These
industrial
activities
will
create
exposures
to
the
raw
(extracted)
product
as
well
as
more
refined
products.
It
is
very
likely
that
routine
worker
activities
will
create
the
possibility
of
routine
exposure
to
respirable
sized
particles.
By
contrast,
mixing/
loading
and
applying
granular
or
dust
pesticide
products
that
have
these
same
weathered
materials
will
not
have
the
same
level
or
types
of
exposures.
The
first
major
difference
is
the
time
and
duration
of
exposure.
For
most
cases
the
pesticide
applicators
will
not
be
exposed
on
a
daily
basis.
In
fact,
it
is
much
more
likely
that
pesticide
applicators,
both
professional
operators
and
homeowners,
will
have
only
short
term
exposures
(i.
e.,
those
occurring
for
1
day
to
a
month
–
over
a
year's
time).
Additionally,
the
applicator's
exposure
to
the
inert
ingredient
is
in
a
formulated
product
–
not
the
raw
weathered
material.
Page
10
of
14
Classification
of
an
inert
ingredient
to
List
4A
means
that
the
inert
can
be
used
in
25(
b)
deregulated
products,
without
the
need
for
acute
end
product
toxicity
testing
for
the
Agency
to
determine
the
appropriate
labeling
language.
Thus,
List
4A
reclassification
requires
consideration
of
other
routes
of
exposure
for
the
pesticide
product.
The
List
4A
classification
would
depend
not
only
on
the
dietary
exposure,
but
also
on
the
likelihood
of
dermal
and/
or
inhalation
concerns.
There
is
various
information
from
OSHA/
NIOSH
(Occupational
Safety
and
Health
Administration/
National
Institute
for
Occupational
Safety
and
Health),
such
as
that
on
a
Chemical
Sampling
Information
Card
or
an
International
Safety
Card.
A
threshold
limit
value
(TLV)
s
is
a
limit
on
inhalation
exposure
in
the
workplace
(40
years,
usually
8
hours
per
day).
Generally
a
level
of
10
mg/
m
3
is
considered
to
be
a
nuisance
level
dust
standard,
which
implies
for
inhalation
concerns,
that
the
chemical
is
non
toxic,
not
irritating.
TLVs
are
developed
exclusively
for
occupational
settings,
assuming
healthy
workers.
It
is
possible
that
the
general
public
could
be
more
susceptible.
IIFG
believes
that
TLVs
are
sufficient
for
use
as
benchmarks.
TLVs
and
other
endpoints
such
as
NIOSH
RELs
(recommended
exposure
limits)
or
OSHA
PELs
(permissible
exposure
limits)
were
obtained
from
various
sources
such
as
the
Chemical
Sampling
Information
Cards.
All
units
are
mg/
m
3
.
The
TWA
(time
weighted
average)
is
usually
for
8
hours.
If
information
were
available
for
both
the
total
dust
and
the
respirable
dust,
then
the
total
dust
was
used.
(See
below)
attapulgite
not
established
bentonite
10
OSHA
PEL:
15
calcium
carbonate
10
(TWA)
NIOSH
REL:
10
(TWA)
calcium
oxide
2
NIOSH
REL:
2
calcium
silicate
NIOSH
REL:
10
(TWA)
calcium
sulfate
10
(TWA)
NIOSH
REL:
10
graphite,
natural
2
(TWA)
NIOSH
REL:
2.
5
(TWA)
graphite,
synthetic
15
(TWA)
gypsum
10
(TWA)
NIOSH
REL:
10
(TWA)
iron
oxide
not
established
kaolin
10
(TWA)
limestone
10
(TWA)
NIOSH
REL:
10
(TWA)
magnesium
oxide
10
(TWA
fume)
marble
10
(TWA)
NIOSH
REL:
10
(TWA)
mica
3
(TWA)
NIOSH
REL:
3
(TWA)
montmorillonite
not
established
perlite
10
(TWA)
sand
0.05
(TWA)
silica,
amorphous
10
silica,
amorphous,
NIOSH
REL:
6
(TWA)
diatomaceous
earth
silica,
amorphous,
NIOSH
REL:
6
(TWA)
Page
11
of
14
precipitated
and
gel
silica,
crystalline
cristobalite
0.
05
(TWA)
NIOSH
REL:
0.
05
(TWA)
silica,
crystalline
quartz
0.
1
(TWA)
NIOSH
REL:
0.
05
(TWA)
silica,
crystalline
tripoli
0.
1
(TWA)
NIOSH
REL:
0.
05
(TWA)
silica,
crystalline
tridymite
0.
05
(TWA)
NIOSH
REL:
0.
05
(TWA)
silica,
fused
0.
1
(TWA)
NIOSH
REL:
0.
05
(TWA)
silica,
quartz
NIOSH
REL:
0.05
(TWA)
soapstone
6
(TWA)
NIOSH
REL:
6
(TWA)
sodium
metasilicate
none
listed
sulfur
none
listed
talc
(asbestos
free)
2
(TWA)
NIOSH
REL:
2
(TWA)
talc
0.
1
fiber/
cc
(100
min
TWA)
vermiculite
not
established
zinc
oxide
10
(TWA)
NIOSH
REL:
5
(TWA)
At
the
December
18
meeting
the
group
discussed
using
information
such
as
TLVs
to
perform
a
screen
level
inhalation
assessment.
Kelly
O'Rourke
(HED)
developed
such
an
inhalation
screen
for
residential
exposures
for
comparison
with
TLVs.
Weathered
materials
are
oftentimes
used
as
solid
carriers
or
diluents.
Therefore,
for
these
screening
level
exposure
assessments
it
was
assumed
the
product
was
a
granular
formulation
and
that
the
weathered
material
comprised
100%
of
the
formulation.
Two
scenarios
were
considered:
broadcast
treatment
of
half
an
acre
taking
approximately
1
hour,
and
spot
treatment
of
1000
square
feet
taking
approximately
half
an
hour.
The
point
estimate
for
broadcast
treatment
is
0.
18
mg/
m
3
and
for
spot
treatment
is
0.6
mg/
m
3
.
It
was
necessary
to
convert
these
point
estimates
to
a
time
weighted
average
over
8
hours
for
comparison
to
time
weighted
averages
such
as
TLVs.
The
weighted
average
is
0.
023
mg/
m
3
for
broadcast
and
0.038
mg/
m
3
for
spot
treatment.
For
most
of
the
substances
the
estimated
weighted
averages
are
less
than
the
TLVs
by
at
least
two
orders
of
magnitude.
However,
for
some
substances
for
which
there
was
already
information
indicative
of
inhalation
concerns,
the
lowest
TLVs
(0.
05
mg/
m
3
and
0.
01
mg/
m
3
for
sand
and
various
crystalline
silicas)
are
in
the
range
of
the
estimated
weighted
averages.
Such
substances
would
not
be
considered
for
List
4A
classification.
There
was
also
a
concern
for
the
use
of
aluminum
oxide
due
to
aquatic
ecotoxicty.
According
to
the
OPPT
Chemical
Categories
Report,
soluble
salts
of
aluminum
are
known
to
be
highly
toxic
to
green
algae
and
moderately
toxic
to
fish
and
aquatic
invertebrates.
A
screening
level
assessment
was
performed
to
determine
the
maximum
application
rate
for
aluminum
oxide
to
avoid
exceeding
estimated
toxicity
endpoints
for
aquatic
organisms.
This
assessment
assumed
the
direct
application
of
a
pesticide
containing
aluminum
oxide
to
either
a
farm
pond
or
to
a
shallow
waterbody
or
wetland.
The
lowest
application
rate
that
would
not
exceed
a
level
of
concern
was
2.
1
pounds
of
aluminum
oxide
per
acre.
Aluminum
oxide
will
be
classified
as
List
4B.
IIFG
Recommendations
Page
12
of
14
By
consensus
there
were
no
objections
to
the
following:
All
existing
tolerance
exemptions
can
be
reassessed.
In
40
CFR
180.2
lime
and
sulfur.
In
40
CFR
180.1001(
c):
aluminum
oxide
,
attapulgite
type
clay;
bentonite;
calcareous
shale;
calcite;
calcium
carbonate;
calcium
oxide;
calcium
silicate;
charcoal,
activated;
diatomite
(diatomaceous
earth);
dolomite,
granite,
graphite,
gypsum,
iron
oxide;
kaolinite
type
clay;
magnesium
lime;
magnesium
oxide;
magnesium
silicate;
mica;
montmorillonite
type
clay;
potassium
aluminum
silicate;
pyrophyllite;
sand;
silica,
hydrated;
soapstone;
sodium
aluminum
silicate;
sodium
metasilicate;
sodium
silicate;
talc;
vermiculite;
zeolite
(hydrated
alkali
aluminum
silicate);
and
zinc
oxide.
In
40
CFR
180.1001(
d):
graphite.
In
40
CFR
180.1001(
e):
attapulgite
type
clay;
calcium
carbonate;
calcium
silicate,
hydrated
calcium
silicate;
calcium
sulfate;
diatomite
(diatomaceous
earth);
graphite;
iron
oxide;
kaolinite
type
clay;
magnesium
silicate,
hydrated
magnesium
silicate;
montmorillonite
type
clay;
silica,
hydrated
silica;
silica
aerogel
(finely
powdered
microcellular
silica
foam
having
a
minimum
silica
content
of
89.
5
%);
soapstone;
sulfur;
talc;
and
zinc
oxide.
Also
40
CFR
180.1017.
Tolerance
exemptions
maybe
established
for
those
chemicals
evaluated
for
which
there
is
not
currently
an
existing
exemption.
By
consensus
the
following
List
classifications
have
been
determined:
1.
Calcium
carbonate,
chalk,
marble,
calcite,
limestone,
magnesium
lime,
and
dolomite:
List
4A
based
on
the
fact
that
no
concerns
were
identified.
2.
Activated
charcoal:
List
4B
given
its
adsorptive
properties.
Carbon
and
graphite:
List
4A
given
the
properties
of
and
lack
of
toxicity
of
carbon.
3.
Gypsum,
plaster
of
paris,
and
calcium
sulfate:
List
4A
with
the
following
specification:
(no
asbestos,
less
than
1%
crystalline
silica).
4.
Lime:
List
4A
since
agricultural
lime
is
prepared
by
calcining
materials
consisting
largely
of
calcium
carbonate
such
as
limestone,
or
oyster,
clam
or
fossil
shells.
Carbon
dioxide
is
driven
off.
Thus,
agricultural
lime
contains
the
original
impurities
in
the
starting
materials.
This
material
is
openly
available
for
purchase
in
lawn
and
garden
centers.
Calcium
oxide:
List
4B
given
the
liberation
of
heat
and
dehydration
of
tissues
possible
from
this
more
refined
material.
5.
Vermiculite:
List
4A
with
the
following
specification:
no
asbestos,
less
than
1%
crystalline
silica
6.
Bentonite,
Montmorillonite
clay,
and
Fuller's
earth
:
List
4A
based
on
the
fact
that
no
concerns
were
identified.
Page
13
of
14
7.
Attapulgite
clay:
Reclassified
to
List
4B
based
on
carcinogenic
concerns
for
fibers
greater
in
length
than
5
um.
8.
Kaolin:
List
4A
based
on
the
RED,
with
the
following
specification:
(no
asbestos,
less
than
1%
crystalline
silica
(
respirable
fraction))
9.
Crystalline
forms
of
silica/
quartz
including
cristobalite,
tridymite,
and
tripoli:
List
4B
based
on
concerns
for
carcinogenicity
when
inhaled.
Granite:
List
4B
based
on
the
fact
that
it
contains
25
to
30%
quartz.
Silica
sand
and
flours:
List
4B
based
on
the
many
forms
and
varieties
available
which
contain
crystalline
quartz
in
various
amounts
Amorphous
silica,
vitreous
silica,
and
silica
gel:
List
4A
given
that
there
are
no
carcinogenic
concerns
for
non
crystalline
forms
of
silica/
quartz.
Diatomaceous
earth:
List
4A
when
specified
as
silica,
amorphous,
diatomaceous
earth
(less
than
1%
crystalline
silica)
10.
Talc:
List
4B
based
on
concerns
for
carcinogenicity
in
the
NTP
study
which
was
performed
with
non
asbestiform
cosmetic
grade
talc,
with
the
following
specification
(no
asbestos,
less
than
1%
crystalline
silica
(
respirable
fraction))
Soapstone:
List
4A
given
that
it
is
a
granular
form
of
talc.
Pyrophillite:
List
4B
given
its
similarities
to
talc,
and
the
lack
of
information
on
its
carcinogenicity.
11.
Mica:
List
4A
with
the
following
specification
(no
asbestos,
less
than
1%
crystalline
silica
(
respirable
fraction)).
12.
Natural
and
synthetic
zeolites:
List
4A
with
an
exclusion
for
erionite
due
to
concerns
for
carcinogenicity.
13.
Sodium
silicate
and
sodium
metasilicate:
List
4B
given
the
corrosive,
caustic
nature
of
the
chemical.
Potassium
silicate:
List
4B
given
its
similarities
to
sodium
silicate.
Calcium
silicate:
List
4A
given
the
SAR
assessment,
the
low
ecotoxicity,
and
the
role
of
calcium
in
bone
formation.
Magnesium
silicate:
List
4A
given
the
SAR
assessment,
the
low
ecotoxicity,
and
that
magnesium
is
an
essential
nutrient.
Aluminum
silicate:
List
4A
given
the
SAR
assessment
and
the
low
ecotoxicity.
Sodium
aluminum
silicate:
List
4A
given
its
low
ecotoxicity
and
the
SAR
assessment.
Potassium
aluminum
silicate:
List
4A
given
the
SAR
assessment
and
its
similarities
to
sodium
aluminum
silicate.
Sodium
potassium
aluminum
silicate:
List
4A
given
the
above
assessments.
Aluminum
calcium
silicate:
List
4A
based
on
the
assessments
for
aluminum
and
calcium.
Aluminum
magnesium
silicate:
List
4A
based
on
the
assessments
for
aluminum
and
Page
14
of
14
magnesium.
Perlite:
List
4A
with
the
following
specification:
(no
asbestos,
less
than
1%
crystalline
silica
(
respirable
fraction)).
14.
Zinc
oxide:
List
4A
given
the
SAR
assessment,
the
RED,
and
that
zinc
is
an
essential
nutrient.
Aluminum
oxide:
List
4B
given
that
the
SAR
assessment
is
low/
moderate
for
health
and
high
for
ecotoxicity
(this
was
the
only
3)
Magnesium
oxide:
List
4A
given
the
SAR
assessment
and
that
magnesium
is
an
essential
nutrient
Iron
oxide:
List
4A
given
the
low
concern
in
the
SAR
assessment
Iron
magnesium
oxide:
List
4A
based
on
the
assessments
for
iron
oxide
and
magnesium
oxide.
Zinc
iron
oxide:
List
4A
based
on
the
assessments
for
iron
oxide
and
zinc
oxide.
15.
Sulfur:
List
4A
based
on
the
low
toxicity,
the
fact
that
it
is
metabolized
in
the
body,
and
the
RED.
| epa | 2024-06-07T20:31:44.085813 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0002/content.txt"
} |
EPA-HQ-OPP-2002-0280-0003 | Supporting & Related Material | 2002-10-02T04:00:00 | null |
Page
1
of
8
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
February
28,
2002
MEMORANDUM
SUBJECT:
Tolerance
Review
of
Compounds
of
the
Citric
Acid
Cycle
(Kreb's
Cycle)
as
Inert
Ingredients
in
Terrestrial
and/
or
Aquatic
Agricultural
and
Non
Agricultural
Uses
FROM:
Sid
Abel,
Senior
Environmental
Scientist
Environmental
Fate
and
Effects
Division
(7507C)
TO:
Kathryn
Boyle,
Inerts
Team
Lead
Registration
Division
(7505C)
This
memorandum
transmits
the
Environmental
Fate
and
Effects
Division's
(EFED)
exposure
and
risk
assessment
of
compounds
of
the
Citric
Acid
Cycle
(also
known
as
the
Kreb's
Cycle).
The
assessment
is
based
on
readily
available
information
from
the
Agency
and
peer
reviewed
public
literature
sources.
Information
contained
in
these
sources
permits
EFED
to
conduct
a
qualitative
assessment
of
environmental
exposures
and
risks.
If
you
should
have
any
questions
concerning
the
information
within,
please
contact
me
at
305
7346.
Page
2
of
8
Conclusions
A
review
of
the
readily
available
information
on
the
compounds
that
make
up
the
Citric
Acid
Cycle
(also
known
as
the
Kreb's
Cycle)
is
sufficient
to
conduct
a
qualitative
assessment
of
the
potential
exposures
and
risks
associated
with
their
use
as
pesticide
inert
ingredients.
Environmental
loadings
are
attributable
to
natural
(plants
and
animal
materials)
and
anthropogenic
(food
additives,
drugs,
and
related
products)
sources.
Available
data
indicate
that
they
rapidly
dissociate
in
the
aquatic
environment
at
environmentally
relevant
pH's
to
the
corresponding
acid
(anion)
and
its
respective
cation
(H
+
,Ca
+
,K
+
,Na
+
,NH4
+
,Mg
2+
,
among
others).
Anions
of
the
respective
compounds
undergo
aerobically
mediated
mineralization
in
days
to
weeks;
mineralization
is
complete
degradation
to
CO2
and
water.
Half
lives
are
anticipated
to
be
shorter.
Under
anaerobic
conditions,
the
anions
are
expected
to
mineralize
in
a
matter
of
weeks.
These
compounds
are
expected
to
be
predominantly
found
in
the
non
absorbed/
adsorbed
state
in
aquatic
environments
based
on
fugacity
modeling.
Photodegradation
will
also
plays
a
role
in
the
dissipation
of
the
compounds,
but,
generally
will
occur
at
a
lower
rate,
i.
e.,
half
lives
may
be
longer
than
biodegradation.
Mobility
of
the
anions
is
expected
to
be
high
based
on
adsorption
estimates,
however,
migration
to
ground
water
should
be
substantially
mediated
through
their
rapid
biodegradation,
volatilization,
or
through
their
uptake
and
utilization
within
plant
cells.
Runoff
to
surface
is
expected
to
dominate
the
nondegradation
pathways
of
dissipation.
Partitioning
to
air
is
expected
to
be
low
from
water
sources
(based
on
the
Henry's
Law
constant)
and
high
from
dryer
surfaces
such
as
soils
(based
on
volatility).
Bioconcentration
is
not
expected
to
occur.
Shallow
aquifer
ground
water
concentrations
of
the
anions
of
the
citric
acid
cycle
may
reach
low
part
per
milligram
(ppm)
under
conditions
of
exaggerated
surface
contamination
(1
100
ppm)
such
as
those
observed
beneath
landfills
and
wood
treatment
facilities.
However,
they
are
generally
found
in
the
low
parts
per
billion
(ppb)
elsewhere
(<
100
ppb)
some
of
which
is
attributable
to
natural
sources
(http://
toxnet.
nlm.
nih.
gov).
Surface
water
concentrations
(fresh
water
and
marine
estuarine)
have
been
reported
to
reach
the
low
to
mid
ppb
range
(10
300
ppb).
As
with
ground
water
occurrence,
surface
water
concentrations
can
be
attributed
to
natural
sources
as
well.
No
data
were
available
to
determine
the
effects
of
drinking
water
treatment
on
concentrations
of
the
anions
at
the
consumer
tap.
Based
on
the
strong
oxidizing
nature
of
the
chlorination
step
of
treatment
utilities
and
the
chemical
structure
of
these
compounds,
it
is
unlikely
that
these
compounds
will
be
found
in
treated
water
at
concentrations
equivalent
to
those
found
in
the
environment.
There
are
no
ambient
water
quality
criteria
or
drinking
water
maximum
contaminant
or
health
advisory
levels
for
these
compounds.
Based
on
the
Agency's
toxicity
categories,
as
a
group,
these
compounds
would
be
classified
as
slightly
toxic
to
practically
non
toxic
to
aquatic
organisms.
Terrestrial
organism
toxicity,
using
mammal
data
as
a
surrogate
for
the
absence
of
avian
data,
indicate
that
these
compounds
would
be
classified
as
slightly
toxic
to
practically
non
toxic
except
via
the
inhalation
route
where
toxicity
is
significantly
greater,
one
or
more
orders
of
magnitude
greater
depending
Page
3
of
8
on
the
compound.
At
anticipated
environmental
concentrations,
substances
associated
with
the
citric
acid
cycle
are
not
expected
to
exceed
the
available
toxicity
data
for
both
aquatic
and
terrestrial
organisms
to
include
exposures
and
risks
via
the
inhalation
route.
Introduction
The
compounds
contained
in
this
review
are
grouped
together
because
of
their
close
structural
relationships,
carboxylic
acids
and
their
salts,
and
the
role
each
plays
in
cell
metabolism,
specifically
in
the
tricarboxylic
acid
cycle
(also
known
as
the
citric
acid
or
Kreb's
cycle).
The
compounds
subject
to
this
review
are
as
follows:
acetic
acid,
acetic
acid
ammonium
salt,
acetic
acid
calcium
salt,
acetic
acid
magnesium
salt,
acetic
acid
manganese
salt,
acetic
acid
potassium
salt,
acetic
acid
sodium
salt,
citric
acid,
citrate,
citric
acid
sodium
salt,
citric
acid
sodium
salts,
fumaric
acid
and
malic
acid.
These
compounds
are
naturally
occurring
in
foods
and
essential
to
normal
metabolic
processes.
Critic,
fumaric
and
malic
acid
play
key
roles
in
the
metabolic
energy
system
called
the
Citric
Acid
Cycle
or
Kreb's
Cycle.
The
cycle
consists
of
a
series
of
enzymatic
chemical
reactions
occurring
within
the
cell
that
are
responsible
for
the
final
breakdown
of
food
molecules
to
form
carbon
dioxide,
water,
and
energy.
Citric,
fumaric,
and
malic
acid
are
the
integral
components
in
this
reaction,
each
being
used
over
and
over
again
to
produce
energy.
They
are
not
found
in
appreciable
amount
as
waste
products
from
animals
as
they
play
a
key
role
in
the
acid
base
balance
within
animal
systems.
This
process
is
active
in
all
animals
and
higher
plants
and
is
carried
out
in
the
mitochondria
(American
Chemical
Council,
2001).
Acetic
Acid
and
its
Salts
The
chemical
structures,
physical
chemical
properties,
environmental
fate
behavior,
and
aquatic
and
terrestrial
toxicity
of
these
compounds
are
similar.
Acetic
acid
and
its
salts
undergo
dissociation
in
aqueous
media
at
pH's
commonly
found
in
the
environment
to
the
acetate
anion
and
the
respective
cations.
The
toxicity
of
each
compound
is
driven
by
acetate,
with
the
cations
playing
a
minor
role.
Table
1
provides
key
environmental
physical
chemical
properties
and
fate
data.
Biodegradation
appears
to
be
the
most
significant
removal
mechanism
following
the
dissociation
of
the
compound
into
the
acetate
anion
and
respective
salt.
Data
indicate
that
acetic
acid
and
sodium
acetate
(acetic
acid,
sodium
salt)
photodegrade,
although
the
rate
is
substantially
slower
than
that
of
biodegradation.
Fugacity
modeling
predicts
73%
of
any
acetic
acid
released
to
the
environment
would
partition
to
water
based
on
solubility
and
partition
coefficients,
with
the
remainder
partitioning
into
the
air.
Therefore,
the
data
suggest
that
acetic
acid
and
its
salts
are
not
persistent
in
the
environment.
Ecotoxicity
data
for
aquatic
and
terrestrial
animals
are
available
for
four
of
the
seven
compounds,
Table
1.
The
ecotoxicity
data
indicate
that
these
compounds
are
slightly
to
practically
nontoxic
on
an
acute
basis.
The
three
remaining
salts
are
closely
related
to
the
other
salts
in
structure,
properties
and
behavior
and
would
be
expected
to
have
similar
toxicity.
Terrestrial
Page
4
of
8
animal
toxicity
based
on
available
mouse
and
rat
data
would
indicate
acetic
acid
is
practically
nontoxic
on
an
acute
basis
and
no
chronic
effects
were
observed
in
available
studies.
Citric
Acid
and
its
Salts
Citric
acid
and
its
salts
are
comprised
of
four
compounds,
which
include
citric
acid,
sodium
citrate,
tripotassium
citrate,
and
trisodium
citrate.
The
chemical
structures
and
available
data
indicate
that
the
physical
chemical
properties,
environmental
fate
behavior,
and
aquatic
and
terrestrial
toxicity
of
these
four
compounds
are
similar,
Table
2.
As
in
the
case
of
the
other
acids
and
salts
in
this
category,
citric
acid
and
its
salts
undergo
dissociation
in
aqueous
media
into
the
citrate
anion
and
the
respective
cations.
The
toxicity
of
each
compound
is
driven
by
citrate,
with
the
cations
playing
a
minor
role.
These
compounds
are
highly
water
soluble
and
of
moderate
to
low
volatility.
Data
on
the
environmental
fate
of
citric
acid
and
its
trisodium
salt
indicate
that
citric
acid
and
its
salts
dissociate
into
their
respective
cations
and
the
citrate
anion,
which
is
subsequently
readily
biodegraded.
Studies
indicate
that
citric
acid
and
its
trisodium
salt
are
readily
biodegraded
(90
98%
degradation
after
48
hours).
Fugacity
modeling
predicts
that
100%
of
any
citric
acid
released
to
the
environment
would
partition
to
water
based
on
solubility
and
partitioning
coefficients.
Therefore,
the
existing
data
indicates
that
citric
acid
and
its
salts
are
not
persistent
in
the
environment.
Aquatic
toxicity
data
for
fish,
Daphnia
and
algae
are
available
for
citric
acid
and
its
trisodium
salt
and
indicate
that
these
compounds
practically
non
toxic
on
an
acute
basis,
with
LC50
values
ranging
from
120
to
>18,
000
mg/
L,
Table
2.
Terrestrial
animal
toxicity
based
on
available
mouse
data
would
indicate
citric
acid
is
practically
non
toxic
on
an
acute
basis
and
no
chronic
effects
were
observed
in
available
studies.
Fumaric
Acid
Available
data
indicate
that
fumaric
acid
is
highly
soluble
in
water
and
has
low
volatility.
Fugacity
modeling
predicts
that
virtually
all
(99.8%)
of
any
fumaric
acid
released
to
the
environment
would
partition
to
water
based
on
solubility
and
partitioning
coefficients.
Fumaric
acid
dissociates
into
fumate
and
hydrogen
ion
followed
by
fumate
undergoing
degradation
by
both
biotic
and
abiotic
mechanisms.
Nearly
complete
biodegradation
was
observed
after
21
days
under
aerobic
conditions,
Table
3.
These
data
indicate
that
fumaric
acid
is
not
persistent
in
the
environment.
Aquatic
LC50
values
for
fish
and
Daphnia
were
greater
than
200
mg/
L.
The
value
for
the
more
sensitive
algae
was
41
mg/
L.
These
data
indicate
that
fumaric
acid
is
slightly
to
practically
non
toxic
to
aquatic
animals
and
plants
on
an
acute
basis.
Terrestrial
animal
toxicity
based
on
Page
5
of
8
available
rat
data
would
indicate
fumaric
acid
is
practically
non
toxic
on
an
acute
basis
and
no
chronic
effects
were
observed
in
available
studies.
Malic
Acid
Malic
acid
is
highly
soluble
in
water
and
has
a
low
volatility.
Malic
acid
dissociates
into
malate
and
hydrogen
ion
and
pH's
commonly
found
in
the
aquatic
environment.
Malate
is
considered
readily
biodegradable
in
soil
and
water
and
fugacity
modeling
predicts
that
100%
of
any
malic
acid
released
to
the
environment
would
partition
to
water
based
on
solubility
and
partitioning
coefficients,
Table
3.
Based
on
these
data,
malic
acid
is
not
likely
to
be
persistent
in
the
environment.
Data
on
the
aquatic
toxicity
of
malic
acid
to
aquatic
invertebrates
are
available.
No
data
on
toxicity
to
fish
and
algae
were
available.
A
48
hour
LC50
for
Daphnia
magna
was
240
mg/
L,
which
classifies
malic
acid
as
practically
non
toxic
to
aquatic
invertebrates
on
an
acute
basis.
Given
this
data
and
the
aquatic
toxicity
data
for
the
structurally
related
compounds
in
this
category,
malic
acid
is
likely
to
be
practically
non
toxic
to
other
aquatic
species
on
an
acute
basis.
Terrestrial
animal
toxicity
based
on
available
rat
data
would
indicate
malic
acid
is
practically
nontoxic
on
an
acute
basis
and
no
chronic
effects
were
observed
in
available
studies.
References
American
Chemistry
Council,
2001.
U.
S.
High
Production
Volume
(HPV)
Chemical
Challenge
Program,
Assessment
Plan
for
Acetic
Acid
and
Salts
Category.
Prepared
by:
American
Chemistry
Council,
Acetic
Acid
and
Salts
Panel,
June
28,
201.
TOXNET
2002.
Online
Scientific
Search
Engine,
National
Library
of
Medicine,
National
Institutes
of
Health.
Search
results
for
Acetic
Acid
and
salts,
Citric
Acid
and
salts,
and
Fumaric
Acid.
U.
S.
EPA,
1992.
Reregistration
Eligibility
Decision
(RED):
Citric
Acid
Fact
Sheet.
Office
of
Prevention,
Pesticides
and
Toxic
Substances.
EPA
738
F
92
017.
June
1992.
Page
6
of
8
Table
1.
Chemical
Properties
of
Acetic
Acid
and
Salts
Chemical
Property
Acetic
Acid
Acetic
Acid,
Ammonium
salt
Acetic
Acid,
Calcium
salt
Acetic
Acid,
Magnesium
salt
Acetic
Acid,
Manganese
salt
Acetic
Acid,
Potassium
salt
Acetic
Acid,
Sodium
salt
Vapor
Pressure
(mmHg)
11.4
@
20
o
C
1.
4x10
4
@25
o
C
14.7
@25
o
C
NA
NA
7.
08x10
7
@25
o
C
7.
08x10
7
@25
o
C
Log
Kow
0.17
2.79
0.97
NA
NA
3.72
3.72
Kd's
(Koc)
0.
65
(228)
Clastic
mud
0.085
(6.5)
muddy
sand
0.046
(27)
carbonate
sand
NA
NA
NA
NA
NA
NA
Water
Solubility
(g/
L)
50
@20
o
C
1,
480
@4
o
C
430
@25
o
C
very
solu
ble
soluble
2530g/
L
@25
o
C
365g/
L
@20
o
C
pKa
4.
76
@25
o
C
NANANANANA
NA
Photodegradation
50%
after
21
days
NA
NA
NA
NA
NA
6.
6%
after
17h
Biodegradation
99%
after
7
days
using
AS
days
to
weeks
(SAR)
Readily
biodegrades
NA
NA
NA
100%
after
5
days
using
AS
Fish
Acute
Toxicity
96h
LC50
)
75mg/
L
(Lowest
value
Bluegill
sunfish)
238mg/
L
(mosquito
fish)
NA
NA
NA
>6100mg/
L
(rainbow
trout)
100mg/
L
(zebra
fish)
Daphnia
Acute
Toxicity
65mg/
L
48h
EC50
)
NA
NA
NA
NA
7170mg/
L
24h
LC50
)
>1000mg/
L
48h
EC50
)
Page
7
of
8
Algae
Toxicity
4000mg/
L
(8
day
growth
inhibition)
NA
NA
NA
NA
NA
2460mg/
L
after
60
h
growth
inhibition)
Mammal
Acute
Oral
(LD50
)
4960
mg/
kg
bw
(mouse)
NA
4280mg/
kg
bw
(rat)
8610mg/
kg
bw
(rat)
3730mg/
kg
bw
(rat)
3250mg/
kg
bw
(rat)
3530mg/
kg
bw
(rat)
AS:
Activated
Sludge.
SAR:
Structure
Activity
Relationship.
NA:
Not
Available.
Table
2.
Chemical
Properties
of
Citric
Acid
and
Salts
Chemical
Property
Citric
Acid
Citric
Acid,
Sodium
salt
Citric
Acid,
Tripotassium
salt
Citric
Acid,
Trisodium
salt
Vapor
Pressure
(mmHg@
25
o
C)
3.7x10
9
@25
o
C
NA
NA
2.
09x10
12
@25
o
C
Log
Kow
1.72
NA
NA
0.28
Water
Solubility
(g/
L
@25
o
C)
1330g/
l
@20
o
C
NA
NA
~425g/
L
@25
o
C
pKa
pK1:
3.
13;
pK2:
4.76;
pK3:
6.4
NA
NA
NA
Photodegradation
NA
NA
NA
NA
Biodegradation
98%
after
48
h
using
domestic
sewage
NA
NA
90%
after
48
h
using
AS
Fish
Acute
Toxicity
(96h
LC50
)
1516mg/
L
(Bluegill
sunfish)
NA
NA
>18000
32000mg/
L
(guppy)
Daphnia
Acute
Toxicity
120mg/
L
(72h
EC50
)
NA
NA
5600
10000mg/
L
(48h
EC50
)
Algae
Toxicity
640mg/
L
8
day
growth
inhibition)
NA
NA
>18000
32000mg/
L
96h
EC50
)
Mammal
Acute
Oral
5790mg/
kg
bw
(mouse)
7100mg/
kg
bw
(mouse)
NA
NA
Page
8
of
8
Table
3.
Chemical
Properties
of
Fumaric
and
Malic
Acid
Chemical
Property
Fumaric
Acid
Malic
Acid
Vapor
Pressure
(mmHg@
25
o
C)
1.54x10
4
4.6x10
6
Log
Kow
0.33
@23
o
C
1.26
Water
Solubility
(g/
L
@25
o
C)
7g/
L
592g/
L
pKa
pK1:
3.
02;
pK2:
4.46
@18
o
C
pK1:
3.
4;
pK2:
5.
05
Photodegradation
50%
degradation
after
7.3h
50%
degradation
after
2
days
Biodegradation
98%
after
21
days
using
domestic
sewage
readily
biodegrades
Fish
Acute
Toxicity
245mg/
L
(48h
LC50
zebrafish))
NA
Daphnia
Acute
Toxicity
212
mg/
L
(48h
EC50
)
240mg/
L
(48h
EC50
)
Algae
Toxicity
41mg/
L
(72h
EC50
green
algae)
NA
Rat
Acute
Oral
9300mg/
kg
bw
(female
rat)
1600
3200mg/
kg
bw
(mouse,
rat)
| epa | 2024-06-07T20:31:44.095692 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0003/content.txt"
} |
EPA-HQ-OPP-2002-0280-0004 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
8
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
April
10,
2002
MEMORANDUM
SUBJECT:
Tolerance
Review
of
Compounds
of
Group
13,
Lignins,
Cellulose
and
Pines
as
Inert
Ingredients
in
Terrestrial
and/
or
Aquatic
Agricultural
and
Non
Agricultural
Uses
FROM:
Sid
Abel,
Senior
Environmental
Scientist
Environmental
Fate
and
Effects
Division
(7507C)
TO:
Kathryn
Boyle,
Inerts
Team
Lead
Registration
Division
(7505C)
This
memorandum
transmits
the
Environmental
Fate
and
Effects
Division's
(EFED)
fate,
exposure
and
ecotoxicity
assessment
of
compounds
of
the
Lignins,
Cellulose
and
Pine
compounds
and
Furfural.
The
assessment
is
based
on
readily
available
information
from
the
Agency,
peer
reviewed
public
literature
sources
and
Structure
Activity
Relationships
(SAR).
Information
contained
in
these
sources
permits
EFED
to
conduct
a
qualitative
assessment
of
environmental
fate,
exposures
and
toxicity
of
these
compounds.
If
you
should
have
any
questions
concerning
the
information
within,
please
contact
me
at
305
7346.
Page
2
of
8
Conclusions
A
review
of
the
readily
available
information
and
use
of
Structure
Activity
Relationships
(SAR)
on
the
compounds
that
make
up
the
ligninsulfonates,
cellulose
compounds,
pinenes
and
furfural
is
sufficient
to
conduct
a
qualitative
assessment
of
the
likely
fate,
exposures
and
toxicity
associated
with
their
use
as
pesticide
inert
ingredients.
Environmental
loadings
will
be
attributable
to
anthropogenic
(feedstock
for
chemical
syntheses
and
as
a
solvent
in
many
consumer
and
commercial
products)
and
natural
sources
(plants).
Available
data
and
SARs
indicate
that
the
ligninsulfonates,
cellulose
compounds,
pinenes,
and
furfural
will
undergo
primary
biologically
mediated
degradation
in
a
matter
of
days
to
weeks
and
ultimate
degradation
(mineralization)
in
a
matter
of
weeks
to
months.
Transformation
and/
or
degradation
via
hydrolysis
and
direct
soil
and
water
photolysis
is
not
expected
to
occur
for
any
of
these
compounds.
Atmospheric
photo
oxidation
is
expected
to
occur
for
the
pinenes
and
furfural
and
represents
a
very
important
degradation
pathways
for
these
compounds.
Reaction
rates
halflives
range
from
hours
to
days.
With
the
exception
of
furfural,
this
group
of
compounds
are
expected
to
be
predominantly
found
in
the
sorbed
state
in
water,
while
furfural
will
be
mainly
in
dissolution.
Where
available,
literature
data
is
in
good
agreement
with
SAR
estimates.
Transport
to
surface
water
in
the
sorbed
state
is
expected
to
dominate
the
nondegradation
pathways
of
dissipation
for
all
but
furfural.
Furfural
will
reach
surface
water
in
dissolution
based
on
high
water
solubility
and
low
sorption
coefficients.
Groundwater
contamination
is
not
likely
to
be
significant
for
any
of
these
compounds.
In
water,
partitioning
to
the
sediment
is
likely
for
all
compounds
except
furfural.
Partitioning
to
air
from
water
surfaces
is
expected
to
be
high
for
all
compounds
based
Henry's
Law
constant
and
high
from
dryer
surfaces
such
as
soils
based
on
volatility.
Bioconcentration
is
expected
to
be
significant
for
the
pinenes
only.
Shallow
aquifer
ground
water
contamination
of
furfural
may
occur,
however,
biologically
mediated
degradation
under
aerobic
conditions
will
limit
loadings,
thus,
concentrations.
Based
on
the
high
volatility
of
these
compounds
and
aeration
sequences
used
in
many
drinking
water
treatment
utilities,
it
is
unlikely
that
most
of
these
compounds
will
be
found
in
treated
water
at
concentrations
equivalent
to
those
found
in
the
environment.
There
are
no
ambient
water
quality
criteria
or
drinking
water
maximum
contaminant
or
health
advisory
levels
for
these
compounds.
Based
on
the
Agency's
toxicity
categories
the
ligninsulfonates
and
cellulose
compounds
are
classified
as
practically
non
toxic
to
aquatic
organisms
and
the
pinenes
are
classified
as
highly
toxic
to
very
highly
toxic
to
aquatic
organisms.
Furfural
is
classified
as
slightly
toxic.
Terrestrial
organisms
toxicity,
using
mammal
data
as
a
surrogate
in
the
absence
of
avian
data,
indicate
that
these
compounds
may
be
classified
as
practically
non
toxic.
Page
3
of
8
LIGNINSULFONATES
The
available
chemical
structures,
physical
chemical
properties,
environmental
fate,
and
aquatic
and
terrestrial
toxicity
of
these
compounds
are
somewhat
similar,
Table
1,
with
differences
mainly
attributable
to
differences
in
cation
group
(Ca,
Na,
NH4
,
Mg,
P,
Zn).
Major
uses
include
dispersants,
emulsion
stabilizer,
and
chelating
agents.
One
reference
indicated
sodium
lignonsulfonate
is
used
to
enhance
the
biodegradation
of
PCBs.
As
a
group,
the
ligninsulfonates
are
soluble
to
very
highly
water
soluble
depending
on
the
cation.
Once
in
water,
dissociation
of
the
cation
is
expected
depending
on
pH.
They
are
not
expected
to
be
mobile
in
terrestrial
environments,
moving
equally
with
the
water
and
sediment
phase
to
surface
water.
Ground
water
migration
is
not
likely.
Once
in
water,
the
dissociated
cation
and
anion
are
likely
to
remain
in
dissolution.
Volatility
from
soil
and
water
(Henry's
Law
Constant)
is
not
expected.
Primary
microbial
mediated
degradation
may
limit
transport
of
parent
material
to
surface
and
ground
water
from
applications
or
releases
to
land.
Fugacity
modeling
predicts
approximately
50%
of
releases
will
be
associated
with
the
water
phase
and
50%
with
soils.
Predicted
volatilization
half
lives
in
rivers
and
lakes
is
on
the
order
of
decades.
Therefore,
the
data
suggest
that
the
ligninsulfonates
may
be
persistent
in
aquatic
environment
of
low
microbial
activity
and
much
less
persistent
in
environments
with
ample
microbial
activity.
According
to
the
MSDS
(Wesco
Technologies,
Ltd.,
2002),
pH
of
the
various
compounds
range
from
4
to
10
for
both
liquid
and
powder
forms,
Table
1.
Properties
for
zinc
ligninsulfonate
cannot
be
determined
because
a
representative
structure
could
not
be
found.
MSDS
reports
the
compound's
pH
as
4
to
5
for
both
the
liquid
and
powder
form.
Estimated
ecotoxicity
data
for
aquatic
animals
are
available
Table
1.
The
ecotoxicity
estimates
indicate
that
these
compounds
are
practically
nontoxic
on
an
acute
basis.
Estimated
acute
toxicity
is
much
greater
than
1000
mg/
L
for
freshwater
fish,
Daphnia
magna,
and
green
algae.
Chronic
toxicity
levels
are
very
similar.
Terrestrial
animal
toxicity
based
on
available
rat
data
would
indicate
that
through
the
oral
route,
the
ligninsulfonates
are
practically
non
toxic
on
an
acute
basis.
CELLULOSE
COMPOUNDS
The
chemical
structures,
physical
chemical
properties,
environmental
fate
behavior,
and
aquatic
and
terrestrial
toxicity
of
these
compounds
is
expected
to
be
similar.
No
compound
specific
data
were
found
in
the
readily
available
information.
Structural
analyses
cannot
be
conducted
without
representative
structures
for
one
or
more
of
the
compounds.
Cellulose
is
a
glucose
polymer
of
high
molecular
weight
found
in
all
plants.
Glucose
units
are
joined
by
1,
4linkages
The
cellulose
compounds
are
the
most
abundant
compounds
found
in
nature.
Whether
simple
or
complex,
they
play
a
major
role
in
carbohydrate
metabolism
of
living
organisms.
As
a
result,
they
may
be
grouped
with
compounds
such
as
those
of
the
citric
acid
cycle
in
terms
of
importance,
environmental
behavior
and
toxicity.
Cellulose
compounds
are
polymer
compounds
with
cellulose
itself
being
unbranched.
Chemical
modification
of
cellulose
produces
polymeric
materials
that
are
familiar
commercial
products.
Adding
carbonyl
groups
and
cations,
such
as
Page
4
of
8
sodium,
will
tend
to
increase
solubility
and
reactivity
in
nature.
Carboxymethylcellulose
is
synthesized
when
cellulose
is
reacted
with
chloroacetate.
These
compounds
are
commonly
used
in
detergents.
A
carboxylic
acid,
carboxymethylcellulose
may
be
synthesized
to
the
sodium
or
ether
compound
listed
as
inert
ingredients.
Cellulose
compounds
are
expected
to
be
biodegradable
in
the
environment
as
primary
sources
of
energy.
Volatilization
is
expected
to
be
minimal.
Sorption
will
be
dependent
on
type
and
abundance
of
functional
groups,
e.
g.,
carbonyl
(R
C=
O).
Terrestrial
animal
toxicity
based
on
available
rat
data
would
indicate
cellulose
compounds
are
practically
non
toxic
on
an
acute
basis.
PINENES
AND
FURFURAL
The
physical
chemical
properties,
environmental
fate
behavior,
and
aquatic
and
terrestrial
toxicity
of
pinene,
pinene
and
furfural
are
presented
in
Table
2.
Pinene
(turpentine)
is
naturally
occurring
in
a
wide
variety
of
plants
and
is
used
as
a
solvent,
fragrance,
flavoring
and
synthetic
intermediate.
Pinene
will
readily
volatilize
from
soil
and
moving
water
to
the
atmosphere
within
hours
and
within
days
from
lakes.
Once
in
the
atmosphere,
pinene
will
degrade
with
photochemically
produced
hydroxyl
radicals
with
a
estimated
half
life
of
4
hours.
Reaction
with
ozone
occurs
with
a
half
life
of
approximately
40
minutes.
Night
time
reactions
with
nitrate
radicals
occurs
with
a
half
life
of
6
minutes.
Mobility
is
soil
is
expected
to
be
low.
Biologically
mediated
primary
degradation
is
expected
to
occur
rapidly
in
aerobic
soils.
Complete
removal
was
observed
in
three
different
soil
slurries
from
Georgia.
Degradation
is
seawater
samples
occurred
with
a
half
life
of
approximately
6
8
hours.
Bioconcentration
in
aquatic
organisms
may
occur
based
on
an
estimated
BFC
of
2800.
Pinene
has
been
detected
in
the
Black
Warrior
River
in
AL
and
in
sea
water
from
Resurrection
Bay,
AK.
Concentrations
were
reported
in
the
low
parts
per
billion
(<
100
ppb).
Based
on
the
above
information,
pinene
is
not
expected
to
persist
in
the
environment.
Pinene
(turpentine)
is
naturally
occurring,
with
pinene,
but
in
smaller
amounts,
in
a
wide
variety
of
plants
used
as
a
solvent,
fragrance,
flavoring
and
synthetic
intermediate.
Pinene
will
readily
volatilize
from
soil
and
moving
water
to
the
atmosphere
within
hours
and
within
days
from
lakes.
Once
in
the
atmosphere,
pinene
will
degrade
with
photochemically
produced
hydroxyl
radicals
with
a
estimated
half
life
of
4.
9
hours.
Reaction
with
ozone
occurs
with
a
halflife
of
approximately
22
hours.
Night
time
reactions
with
nitrate
radicals
may
occur,
no
relevant
information
could
be
located
on
estimated
half
lives.
Mobility
is
soil
is
expected
to
be
low.
Biologically
mediated
primary
degradation
is
expected
to
occur
rapidly
in
aerobic
soils.
Bioconcentration
in
aquatic
organisms
may
occur
based
on
an
estimated
BFC
of
444.
Pinene
has
been
detected
in
the
Black
Warrior
River
in
Alabama,
concentrations
were
not
reported.
Based
on
the
above
information,
pinene
is
not
expected
to
persist
in
the
environment.
Furfural
is
an
aldehyde
important
as
a
solvent
for
certain
petrochemical
processes
and
as
a
raw
material
for
preparation
of
polymers,
plastics,
and
tetrahydrofuran.
Furfural
will
volatilize
Page
5
of
8
from
soil
and
moving
water
to
the
atmosphere
within
days
and
within
months
from
lakes.
Once
in
the
atmosphere,
furfural
will
degrade
with
photochemically
produced
hydroxyl
radicals
with
a
estimated
half
life
of
3
to
4
hours.
Reaction
with
ozone
is
uncertain
and
may
not
occur.
Nighttime
reactions
with
nitrate
radicals
may
be
an
important
degradation
pathway,
however,
data
to
estimate
half
lives
could
not
be
located.
Mobility
is
soil
is
expected
to
be
high,
with
ground
and
surface
contamination
likely.
Biologically
mediated
primary
degradation
is
expected
to
occur
in
aerobic
soils
within
days
and
ultimate
degradation
within
weeks.
Bioconcentration
in
aquatic
organisms
is
not
expected
to
occur.
Fugacity
modeling
suggest
that
approximately
55%
of
furfural
will
be
found
in
water
and
44
percent
on
soil.
Based
on
the
above
information,
furfural
is
not
expected
to
persist
in
the
environment.
Estimated
ecotoxicity
data
for
aquatic
animals
are
available
Table
2.
The
ecotoxicity
estimates
indicate
pine
is
very
highly
toxic
to
aquatic
organisms
on
an
acute
basis.
Pinene
may
present
an
acute
concern
for
marine/
estuarine
invertebrates
based
on
documented
environmental
concentrations
near
the
levels
of
predicted
toxicity.
Acute
toxicity
estimates
are
0.
72
mg/
L
for
freshwater
fish,
0.
51
mg/
L
for
marine/
estuarine
fish,
0.
93
mg/
L
for
Daphnia
magna,
0.
042
mg/
L
for
mysid
shrimp,
and
0.
66
mg/
L
for
green
algae.
Chronic
toxicity
estimates
for
freshwater
fish
is
0.
138
mg/
L.
Terrestrial
animal
toxicity
based
on
available
rat
data
would
indicate
that
pinene
is
practically
non
toxic
on
an
acute
basis.
pine
very
highly
toxic
to
aquatic
organisms
on
an
acute
basis.
Pinene
may
present
an
acute
concern
for
marine/
estuarine
invertebrates
based
on
probable
environmental
concentrations
at
or
near
the
levels
of
predicted
toxicity.
Acute
toxicity
estimates
are
0.62
mg/
L
for
freshwater
fish,
0.
45
mg/
L
for
marine/
estuarine
fish,
0.
79
mg/
L
for
Daphnia
magna,
0.
034
mg/
L
for
mysid
shrimp,
and
0.56
mg/
L
for
green
algae.
Chronic
toxicity
estimates
for
freshwater
fish
is
0.117
mg/
L.
Terrestrial
animal
toxicity
based
on
available
rat
data
would
indicate
that
pinene
is
practically
non
toxic
on
an
acute
basis.
Furfural
is
slightly
toxic
to
aquatic
organisms
on
an
acute
basis.
Acute
toxicity
estimates
are
18.8
mg/
L
for
freshwater
fish,
26.3
mg/
L
for
Daphnia
magna,
and
518
mg/
L
for
green
algae.
Chronic
toxicity
estimates
for
freshwater
fish
is
4
mg/
L.
Terrestrial
animal
toxicity
cannot
be
determine
at
this
time.
References
Meylan,
William
and
Philip
Howard,
1998.
ECOSAR
Class
Program,
Version
0.99d.
Syracuse
Research
Corporation,
Syracuse,
N.
Y.
For:
U.
S.
Environmental
Protection
Agency,
Office
of
Pollution
Prevention
and
Toxics,
Washington,
D.
C.
Meylan,
William
and
Philip
Howard,
2000.
Estimation
Program
Interface,
Version
3.
10.
Syracuse
Research
Corporation,
Syracuse,
N.
Y.
For:
U.
S.
Environmental
Protection
Agency,
Office
of
Page
6
of
8
Pollution
prevention
and
Toxics,
Washington,
D.
C.
TOXNET
2002.
Online
Scientific
Search
Engine,
National
Library
of
Medicine,
National
Institutes
of
Health.
Search
results
for
Lignins,
Cellulose
Compounds,
Pinenes,
Furfural
http://
toxnet.
nlm.
nih.
gov/.
Wesco
Technologies,
Ltd,
2002.
Material
Safety
Data
Sheets
(MSDS)
Wesco
Technologies,
Ltd.,
San
Clemente,
CA.
Internet
search
for
various
ligninsulfonates
at:
http://
www.
wtl.
com/
msds/
zl.
htm.
Page
7
of
8
Table
1.
Available
Estimated
(E)
and
Measured
(M)
Chemical
Properties
and
Ecotoxicological
Endpoints
of
Select
Lignins
Chemical
Property
Calcium
Lignosulfonate
Sodium
Lignosulfonate
Ammonium
Lignosulfonate
pH
4.5
10
(liquid);
4
10
(powder)
4.
5
10
(liquid
and
powder)
~4.5
(liquid;
~6.
5
(powder)
Vapor
Pressure
(mmHg)
6.65x10
20
@25
o
C
(E)
5.92x10
27
@25
o
C
(E)
2.165.92x10
24
@25
o
C
(E)
Log
Kow
0.
33(
E)
3.
45
(E)
0.
59
(E)
Koc
4.
63x10
4
(E)
1.
85x10
5
(E)
4.
63x10
4
(E)
Water
Solubility
(mg/
L)
236.2
(E)
5.22x10
5
@25
o
C
(E)
2050
@25
o
C
(E)
Henry's
Law
Constant
atm
m
3
/mole
1.96x10
22
(E)
7.
64x10
33
(E)
4.
51x10
33
(E)
Hydrolysis/
Photodegradation
NA
NA
NA
Biodegradation
Ultimate:
months;
Primary:
days
to
weeks
(E)
Ultimate:
months;
Primary:
days
to
weeks
(E)
Ultimate:
months;
Primary:
days
to
weeks
(E)
Fish
Acute
Toxicity
(96h
LC50
)
FW:
>8000mg/
L
(E)
>7300
mg/
L
(48
h
Rainbow
trout
M)
FW:
>1.7x10
6
mg/
L
(E)
FW:
>29300
mg/
L
(E)
Daphnia
Acute
Toxicity
>1300
mg/
L
(48h
EC50
)
(E)
>46700
mg/
L
(E)
>3130
mg/
L
(E)
Algae
Toxicity
(96h
EC50
)
>79000
mg/
L
(E)
1.
7x10
8
mg/
L
(E)
4.
95x10
5
mg/
L
(E)
Fish
Chronic
Toxicity
(30
day)
>130
mg/
L
(E)
2.
92x10
5
mg/
L
(E)
>4700
mg/
L
(E)
Daphnia
Chronic
Toxicity
(21
day)
890
mg/
L
(E)
1.
8x10
5
mg/
L
(E)
>3100
mg/
L
(E)
E:
(SAR)
Structure
Activity
Relationship.
NA:
Not
Available.
pH:
Wesco
Technologies,
LTD,
San
Clemente,
CA,
http://
www.
wtl.
com/
msds/
zl.
htm
Page
8
of
8
Table
2.
Available
Estimated
(E)
and
Measured
(M)
Chemical
Properties
and
Ecotoxicological
Endpoints
of
Select
Pinene
Compounds
Furfural
Chemical
Property
Pinene
Pinene
Furfural
Vapor
Pressure
(mmHg)
4.75
@25
o
C
(M)
2.93
@25
o
C
(M)
2.21
@25
o
C
(M)
Log
Kow
4.83(
M)
4.35
(E)
0.
41
(M)
Koc
1204
(E)
1204
(E)
17.7
(E)
Water
Solubility
(mg/
L)
1.
891
@25
o
C
(M)
4.886
@25
o
C
(E)
0.5.36x104
@25
o
C
(E)
Henry's
Law
Constant
(atm
m
3
/mole)
2.
94x10
1
(M)
9.
2x10
2
(E)
3.
37x10
6
(M)
Hydrolysis
/Photodegradation
Not
Expected
to
Occur
Not
Expected
to
Occur
NA
Biodegradation
Ultimate:
weeks
to
months;
Primary:
days
to
weeks
(E
SAR)
Complete
removal
in
250
hours
in
3
different
soil
slurries
from
Georgia
Ultimate:
weeks
to
months;
Primary:
days
to
weeks
(E
SAR
Ultimate:
weeks;
Primary:
days
(E
SAR)
Fish
Acute
Toxicity
(96h
LC50
)
FW:
0.72
mg/
L
(E)
M/
E:
0.51
mg/
L
(E)
FW:
0.
62
mg/
L
(E)
M/
E:
0.45
mg/
L
(E)
FW:
18.8mg/
L
(E)
Daphnia
Acute
Toxicity
0.93
mg/
L
(48h
EC50
)
(E)
0.79
mg/
L
(48h
EC50
)
(E)
26.3
mg/
L
(48h
EC50
)(
E)
Mysid
Shrimp
Toxicity
(96h
LC50
)
0.
042
mg/
L
(E)
0.
034
mg/
L
(E)
NA
Algae
Toxicity
(96h
EC50
)
0.
66
mg/
L
(E)
0.56
mg/
L
(E)
517.7
mg/
L
Fish
Chronic
Toxicity
(30
day)
0.138
mg/
L
(E)
0.
117
mg/
L
(E)
4.
0
mg/
L
(E)
(32
day)
AS:
Activated
Sludge.
NA:
Not
Available.
SAR:
Structure
Activity
Relationship.
| epa | 2024-06-07T20:31:44.101131 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0004/content.txt"
} |
EPA-HQ-OPP-2002-0280-0005 | Supporting & Related Material | 2002-10-02T04:00:00 | null | 1
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
Chemicals:
Mineral
Acids
(see
specific
chemicals
below)
PC
Codes:
999999
DP
Barcode:
D282321
May
7,
2002
SUBJECT:
Environmental
Fate
and
Effects
Review
of
Mineral
Acids
as
Inert
Ingredients
in
Pesticide
Products
TO:
Kathryn
Boyle
(7508C)
Registration
Division
Bentley
Gregg
(7508C)
Special
Review
and
Reregistration
Division
FROM:
Norman
Birchfield,
Ph.
D.,
Biologist
(7507C)
REVIEWER:
Sid
Abel,
Chief
(7507C)
Environmental
Risk
Branch
1
Environmental
Fate
and
Effects
Division
THROUGH:
Elizabeth
Behl,
Chief
(7507C)
Environmental
Risk
Branch
4
Environmental
Fate
and
Effects
Division
Summary
EFED
has
reviewed
the
available
data
on
the
expected
environmental
fate
and
effects
of
releasing
selected
mineral
acids
and
salts
(see
Table
2
for
specific
chemicals
addressed)
into
the
environment.
In
general,
the
constituents
of
the
mineral
acids
are
commonly
found
in
soil
and
water
in
the
environment
suggesting
that
releasing
low
levels
of
these
chemicals
would
not
normally
be
expected
to
adversely
effect
wildlife
or
water
resources.
Large
releases
may
adversely
affect
wildlife
and
water
resources
either
directly
or
indirectly.
Direct
effects
may
result
from
exceeding
toxicity
thresholds
of
specific
chemicals.
Indirect
effects
may
be
manifested
through
disrupting
ecosystems
through
altering
pH
or
increasing
availability
of
algal
nutrients.
The
mineral
acids
included
in
this
assessment
have
a
large
number
of
industrial,
food,
and
2
pharmacological
uses
in
addition
to
their
uses
in
pesticide
products.
Non
pesticide
uses
of
mineral
acids
included
in
this
assessment
are
frequently
expected
to
be
the
dominant
source
of
release
into
the
environment.
Acids
and
Bases
The
following
chemicals
are
considered
to
be
strong
enough
acids
or
bases
to
alter
environmental
pHs:
ammonium
hydroxide,
calcium
hydroxide,
hydrochloric
acid,
phosphoric
acid,
potassium
carbonate,
potassium
hydroxide,
sodium
hydroxide,
sulfuric
acid,
sulfurous
acid,
tetrasodium
pyrophosphate,
tricalcium
phosphate,
and
trisodium
phosphate.
The
magnitude
of
the
pH
changes,
and
thus
the
magnitude
of
effects,
would
depend
on
a
number
of
factors
including
the
amount
of
material
released
and
the
buffering
capacity
of
the
exposed
soil
or
water.
Normal
aquatic
pH's
range
from
5
to
9.
The
Office
of
Water
recommended
water
quality
criteria
for
pH
are
6.
5
to
9
for
freshwater
and
6.
5
to
8.5
for
saltwater
(USEPA
1999).
At
higher
or
lower
pH
aquatic
life
is
expected
to
be
adversely
impacted.
In
addition,
rapid
changes
in
pH
can
also
be
detrimental
to
aquatic
life.
The
acids
and
bases
included
in
this
assessment
are
not
expected
to
be
persistent
in
the
environment.
Instead
they
are
expected
to
dissociate,
react
with
organic
or
inorganic
materials,
and
complex
with
ionic
substrates.
Salts
Containing
Metals
Salts
containing
metals
frequently
dissociate
in
water
resulting
in
a
cationic
(positively
charged)
metal
in
solution.
Based
on
their
solubility,
the
follow
metal
containing
chemicals
are
expected
to
dissociate
in
solution:
aluminum
sulfate,
ferric
chloride,
ferric
sulfate,
magnesium
carbonate,
magnesium
chloride,
magnesium
sulfate,
and
zinc
sulfate.
Metal
salts
with
low
solubilities
which
are
expected
to
remain
largely
intact
include:
aluminum
hydroxide
(alum),
barium
sulfate,
and
manganese
carbonate.
Dissociation
is
frequently
dependent
on
pH,
with
lower
pH's
(more
acidic
conditions)
resulting
in
higher
levels
of
dissociation
and
greater
solubility.
Aquatic
toxicity
of
metals
is
also
dependent
on
water
hardness.
Toxicity
of
metals
varies
with
the
species
of
metal
and
its
concentration.
EPA's
Office
of
Water
publishes
recommended
water
criteria
values
based
on
toxicity
of
selected
chemicals.
The
following
table
show
available
Office
of
Water's
recommended
criteria
for
the
metals
included
in
this
assessment.
3
Table
1.
Recommended
criteria
for
selected
metals
in
water.
From
USEPA
1999.
Chemical
Freshwater
concentrations
µ
g/
L
Saltwater
concentrations
µ
g/
L
Federal
Register
Cite/
Source
CMC
1
CCC
2
CMC
CCC
Aluminum
(pH
6.
5
9.
0)
750
87
NA
NA
53FR33178
Iron
NA
1000
NA
NA
EPA
Gold
Book
Zinc
120
120
90
81
62FR42160
IRIS
10/
010/
92
1
Criteria
Maximum
Concentration
(CMC)
is
the
highest
concentration
of
a
pollutant
to
which
aquatic
life
can
be
exposed
for
a
short
period
of
time
(1
hour
average)
(acute);
2
Criteria
Continuous
Concentration
(CCC)
is
the
highest
concentration
of
a
pollutant
to
which
aquatic
life
can
be
exposed
for
an
extended
period
of
time
(4
days)
without
deleterious
effects
(chronic).
USEPA
Office
of
Water
recommend
a
freshwater
water
quality
criteria
value
of
1
ppm
(USEPA
1999)
implying
relatively
low
toxicity.
Zinc
and
aluminum
have
recommended
criteria
implying
these
metals
are
more
toxic.
Recommended
values
were
not
available
for
magnesium,
barium
or
manganese,
however,
the
chemicals
containing
barium
and
manganese
possess
low
solubility,
reducing
the
potential
for
aquatic
exposure.
Since
metals
are
elements
they
do
not
degrade
and
thus
are
permanent
in
the
environment.
Free
and
soluble
metals
are
liekly
to
dissipate
by
being
sequestered
in
soil,
sediment,
and
plants.
Nitrogen
and
Phosphorus
Containing
Chemicals
The
nitrogen
and
phosphorus
chemicals
included
in
this
assessment
are:
ammonium
bicarbonate,
ammonium
chloride,
ammonium
hydroxide,
ammonium
nitrate,
ammonium
polyphosphate,
ammonium
sulfate,
calcium
phosphate,
diammonium
phosphate,
disodium
phosphate,
monoammonium
phosphate,
phosphoric
acid,
potassium
phosphate,
sodium
acid
pyrophosphate,
sodium
dihydrogen
phosphate,
sodium
hexametaphosphate,
sodium
nitrate,
sodium
nitrite,
sodium
tripolyphosphate,
tetrapotassium
pyrophosphate,
tetrasodium
pyrophosphate,
tricalcium
phosphate,
and
trisodium
phosphate.
Nitrogen
and
phosphorus
containing
chemicals
are
commonly
used
as
fertilizers.
They
generally
posses
relatively
low
toxicity
to
terrestrial
and
aquatic
organisms.
As
nutrients,
they
can
cause
increased
plant
growth
which
can
be
detrimental
in
aquatic
ecosystems
causing
eutrophication.
Eutrophication
occurs
when
algae
blooms
die
and
are
degraded
by
bacteria
which
drain
oxygen
from
the
water
body.
With
the
exception
of
tricalcium
phosphate,
all
of
the
phosphorus
and
nitrogen
containing
chemicals
in
this
assessment
are
expected
to
be
highly
soluble.
Phosphates
4
despite
being
highly
soluble
tend
to
bind
to
soil
reducing
their
tendency
to
overload
aquatic
systems.
Ultimately,
the
nitrogen
and
phosphorus
chemicals
included
in
this
assessment
are
expected
to
be
taken
up
and
metabolized
by
plants
to
form
naturally
occurring
compounds.
5
Table
2.
Chemical
included
in
this
assessment
and
their
properties.
The
following
information
was
collected
from
the
National
Library
of
Medicine's
Hazardous
Substance
Database
(HSDB)
(http://
toxnet.
nlm.
nih.
gov/
cgi
bin/
sis/
htmlgen?
HSDB).
Chemicals
Solubility
pH
Vapor
pressure
Uses
Aluminum
hydroxide
Low
solubility
at
pH
7
NA
NA
Adsorbent;
emulsifier;
ion
exchanger,
in
chromatography;
mordant
in
dyeing;
filtering
medium;
manufacture
glass,
fireclay,
paper,
pottery,
printinginks,
lubricating
compositions,
detergents;
waterproofing
fabrics;
in
antiperspirants,
dentifrices;
used
in
pharmacy
as
the
gel
or
dried
gel.
Aluminum
sulfate
SOL
IN
1
PART
WATER
Aq
soln
(1
g/
1
ml
water)
not
less
than
2.9
Essentially
zero.
Tanning
leather,
sizing
paper,
mordant
in
dyeing;
purifying
water;
manuf
lakes,
aluminum
resinate;
fireproofing
&
waterproofing
cloth;
clarifying
oils
&
fats;
treating
sewage;
waterproofing
concrete;
deodorizing
&
decolorizing
petroleum;
antiperspirants;
agricultural
pesticides;
manuf
of
aluminum
salts.
Food
additive.
Ammonium
bicarbonate
17.4%
at
20
deg
C
7.8
(0.1
N)
7.
85
kPa
(58.9
mm
Hg)
In
baking
powder
formulations;
in
cooling
baths;
in
fire
extinguishers;
manuf
porous
plastics,
ceramics;
manuf
dyes,
pigments;
in
compost
heaps
to
accelerate
decompn;
as
fertilizer;
for
defatting
textiles;
in
cold
wave
solns;
in
chrome
leather
tanning;
to
remove
gypsum
from
heat
exchanges
and
other
processing
equipment.
Ammonium
chloride
28.3%
at
25
deg
C
5.5
(1%
sol'n)
1
mm
Hg
Plant
dessicant,
cotton
defoliant,
as
flux
for
coating
sheet
iron
with
zinc;
tinning;
in
dry
&
leclanche
batteries;
dyeing;
freezing
mixtures;
electroplating;
to
clean
soldering
irons;
safety
explosives;
lustering
cotton;
tanning;
in
washing
powders;
manufacturing
dyes;
in
cement
for
iron
pipes;
for
snow
treatment
(slows
melting
on
ski
slopes);
therapeutic:
systemic
acidifier;
vet:
expectorant;
diaphoretic;
acidifying
diuretic
Chemicals
Solubility
pH
Vapor
pressure
Uses
6
Ammonium
hydroxide
NA
10.6
(0.01
N
solution)
2160
mm
Hg
@25degC
Textiles;
mfr
of
rayon,
rubber;
condensation
polymerization;
pharmaceuticals;
ceramics;
photography
(development
of
latent
images);
ammonia
soaps;
lubricants;
fireproofing
wood;
ink
mfr;
ammonium
cmpd;
saponifying
fats
&
oils;
org
synth;
detergent;
household
cleanser;
food
additive;
drinking
water
treatment.
Ammonium
nitrate
118.3
G/
100
CC
OF
H2O
@
0
DEGC
0.
1
M
soln
in
water:
5.43
NA
Direct
application
nitrogen
fertilizer;
chem
int
for
nitrous
oxide;
component
of
mixt
with
fuel
oil
for
indust
explosives
&
blasting
agents.
Herbicides
&
insecticides;
absorbent
for
nitrogen
oxides;
oxidizer
in
solid
rocket
propellants;
nutrient
for
antibiotics
&
yeast;
catalyst.
Used
as
a
dessicant
for
cotton.
Ammonium
polyphosphate
Solinwater
NA
NA
The
largestuse
ofpolyphosphoric
acid
is
as
an
intermediate
in
the
production
of
high
quality
liquid
fertilizers.
May
be
used
as
a
stabilizer
in
skimmed
sweetened
condensed
milk
and
dry
milk.
Catalytic
applications
of
phosphoric
acid,
particularly
in
the
form
of
condensed
thermal
polyphosphoric
acids,
make
use
of
its
acidic,
nonoxidizing,
and
dehydrating
properties.
Condensed
acids
of
82
84%
P2O5
content
are
employed
as
catalysis
in
the
petroleum
and
chemical
industries
for
alkylation,
dehydrogeneration,
polymerization,
and
isomerization
reactions,
including
ethylbenzene,
gasoline,
and
plasticizer
alcohols.
Ammonium
sulfate
76.7g
/
100
g
water@
25
deg
C
5.5
(0.1
M
aq
soln)
NA
Food
additive.
Mfr
of
ammonia
alum;
in
the
mfr
of
hydrogen
sulfide
to
free
it
from
nitrogen
oxides;
analytical
uses;
freezing
mixtures;
flameproofing
fabrics
and
paper;
mfr
viscose
silk;
tanning,
galvanizing
iron;
in
fractionation
of
proteins.
Chemicals
Solubility
pH
Vapor
pressure
Uses
7
Barium
sulfate
0.
000222
G/
100
CC
WATER
@
18
DEG
C
5%
SUSPENSIO
N
IN
WATER
IS
NEUTRAL
TO
LITMUS
PAPER
NA
Manufacture
photographic
papers,
artificial
ivory,
cellophane;
filler
for
rubber,
linoleum,
oil
cloth,
polymeric
fibers
&
resins,
paper,
lithographic
inks;
as
a
water
coloring
pigment
for
colored
paper,
in
wallpaper;
as
a
size
for
modifying
colors
of
other
pigments,
in
heavy
concrete
for
radioactive
shield.
Pigment
extender
for
oil
&
water
based
paints;
pigment
(as
component
of
lithopone)
in
paint
&
fabrics,
plaster;
filler
in
cosmetics
(eg,
lipstick);
hardening
agent
for
cement.
Calcium
chloride
74.5
G/
100
CC
WATER
@
20
DEG
C
NA
NA
Used
for
antifreeze
&
refrigerating
soln,
in
fire
extinguishers;
to
preserve
wood,
stone;
mfr
ice,
glues,
cements;
fireproofing
fabrics;
automobile
antifreeze
mixtures;
to
melt
ice
&
snow;
as
coagulant
in
rubber
mfr,
as
size
in
admixture
with
starch
paste;
in
concrete
mixes
to
give
quicker
initial
set
&
greater
strength;
freezeproofing
of
coal
&
ores;
dust
control
on
unpaved
roads;
sizing
&
finishing
cotton
fabrics;
as
brine
for
filling
inflatable
tires
on
tractors
to
incr
traction.
Calcium
phosphate
(Calcium
Bis(
dihydrogen
phosphate))
1.8
g/
100
cc
@
30
deg
C
NA
NA
In
fertilizers;
acidulant
in
baking
powder
&
wheat
flours;
in
enameling;
mineral
supplement
for
foods
&
feeds
Calcium
hydroxide
1730
mg/
l
@20degC
12.4
(AQ
SOLN
SAT
@25DEG
C)
NA
In
lubricants,
drilling
fluid,
pesticides,
fireproofing
coatings,
water
paint;
as
egg
preservative;
mfr
of
paper
pulp;
in
SBR
rubber
vulcanization;
dehairing
hides;
in
water
treatment;
in
mortar,
plaster,
cement
and
other
binding
and
paving
materials
Calcium
sulfate
0.209
G/
100
CC
WATER
AT
30
DEG
C
NA
NA
Used
in
mfr
of
portland
cement;
in
soil
treatment;
for
mfr
of
plaster
of
paris;
artificial
marble;
as
white
pigment;
filler
or
glaze
in
paints,
enamels,
pharmaceuticals,
paper,
insecticide
dusts,
in
yeast
mfr,
water
treatment,
polishing
powders;
in
mfr
of
sulfuric
acid,
calcium
carbide,
ammonium
sulfate,
porous
polymers;
tofu
Chemicals
Solubility
pH
Vapor
pressure
Uses
8
Diammonium
phosphate
1
g
dissolves
in
1.7
ml
water
About
8
NA
Fireproofing
textiles,
paper,
wood,
and
vegetable
fibers;
impregnating
lamp
wicks;
preventing
afterglow
in
matches;
flux
for
soldering
tin,
copper,
brass,
and
zinc;
purifying
sugar;
in
yeast
cultures;
in
dentifrices;
in
corrosion
inhibitors;
in
fertilizers.
Disodium
phosphate
Soluble
in
8
parts
water
9.1
for
1%
aq
soln
@
25
deg
C
NA
Emulsifier
(processed
cheese,
quick
cook
cereals,
pharmaceuticals);
metal
phosphatising/
electroplating
reagent);
pottery
glazes/
porcelain/
enamels;
scale
inhibitor
(boiling
water
treatment);
textile/
leather
auxiliary;
detergents.
Ferric
chloride
74.4
G/
100
CC
@
0
DEG
C
NA
1
MM
HG
@
194.0
DEG
C
Treatment
of
sewage
and
industrial
wastes;
etching
agent
for
engraving,
photography,
and
printed
circuitry;
condensation
catalyst
in
Friedel
crafts
reactions;
mordant;
oxidizing,
chlorinating,
and
condensing
agent;
disinfectant;
pigment;
feed
additive;
water
purification.
Ferric
sulfate
Slowly
sol
in
water
NA
NA
In
preparation
of
iron
alums,
other
iron
salts
and
pigments;
as
coagulant
in
water
purification
and
sewage
treatment;
in
etching
aluminum;
in
pickling
stainless
steel
and
copper;
as
mordant
in
textile
dyeing
and
calico
printing;
in
soil
conditioners;
as
polymerization
catalyst.
Hydrochloric
acid
82.3
G/
100
CC
WATER
@
0
DEGC
2.02
(0.01
N)
3.
54X10+
4
mm
Hg
@
25
deg
C
In
the
production
of
chlorides;
refining
ore
in
the
production
of
tin
and
tantalum;
for
the
neutralization
of
basic
systems;
as
laboratory
reagent;
hydrolyzing
of
starch
and
proteins
in
the
preparation
of
various
food
products;
pickling
and
cleaning
of
metal
products;
as
catalyst
and
solvent
in
organic
synthesis;
for
oil
and
gaswell
treatment;
in
removing
scale
from
boilers
and
heat
exchange
equipment;
pharmaceutic
aid
(acidifier).
Chemicals
Solubility
pH
Vapor
pressure
Uses
9
Magnesium
carbonate
0.0106
G/
100
CC
COLD
WATER
NA
NA
Used
to
prepare
high
purity
magnesium
compounds
in
the
paint
and
printing
inks
industries
as
well
as
in
the
manufacture
of
fireproofing,
fire
extinguishing,
flooring,
and
polishing
compounds
and
as
fillers
and
smoke
suppressants
in
the
plastics
and
rubber
industries;
USP
grade
is
used
as
an
additive
to
table
salt
to
keep
it
free
flowing,
a
bulking
compound
in
powder
formulations,
and
an
antacid.
Magnesium
chloride
54.25
G/
100
CC
WATER
@
20
DEG
C
NA
NA
Source
of
magnesium
metal,
chem
int
for
magnesium
oxychloride
for
cement;
catalyst;
flocculating
agent;
agent
in
fire
extinguishers;
agent
in
textile
&
paper
mfr;
component
for
ceramics;
fireproofing
agent
for
wood;
component
of
refrigerating
brines
Magnesium
sulfate
26
G/
100
CC
OF
WATER
AT
0
DEG
C
NEUTRAL
TO
LITMUS
NA
As
a
cathartic
&
analgesic
in
medicine;
finishing
agent
for
textiles;
as
water
correcting
agent
in
brewing
indust;
component
of
fireproofing
compositions,
preservatives,
tanning
&
coagulating
agents;
int
for
magnesium
trisilicate;
component
of
nickel
baths
for
plating
other
metals;
catalyst
support
for
platinum
in
sulfuric
acid
production
Manganese
carbonate
Sol
in
dil
acid;
insol
in
water
NA
NA
As
pigment
("
Manganese
White");
drier
for
varnishes;
in
feeds
Monoammoniu
m
phosphate
1
g
dissolves
in
about
2.
5
ml
water
pH
of
0.2
Molar
aq
soln:
4.
2
NA
As
baking
powder
with
sodium
bicarbonate;
in
fermentations
(yeast
cultures,
etc.);
fireproofing
of
paper,
wood,
fiberboard,
etc.
Ammonium
dihydrogen
phosphate
used
to
protect
pesticides
in
spray
mixtures
prepared
with
alkaline
waters
Chemicals
Solubility
pH
Vapor
pressure
Uses
10
Phosphoric
acid
548
G
SOL
IN
100
CC
COLD
WATER
1.5
(0.1
N
aq
soln)
0.0285
torr
@20DEGC
Over
90%
of
the
phosphoric
acid
produced
in
the
United
States
and
worldwide
is
used
for
agricultural
applications
as
both
fertilizers
and
animal
feed
supplements.
In
the
manufacture
of
superphosphates
for
fertilizers,
other
phosphate
salts,
polyphosphates,
detergents.
Acid
catalyst
in
making
ethylene,
purifying
hydrogen
peroxide.
As
acidulant
and
flavor,
synergistic
antioxidant
and
sequestrant
in
food.
Pharmaceutic
aid
(solvent).
In
dental
cements;
process
engraving;
rustproofing
of
metals
before
painting;
coagulating
rubber
latex;
as
analytical
reagent.
Potassium
carbonate
110.5g
in
100g
water
at
20
deg
C
pH=
11.6
(aq
soln)
NA
Manufacture
soap,
glass,
pottery,
smalts
and
many
potassium
salts;
in
analytical
chemistry.
Television
glass
accounts
for
a
substantial
portion
of
the
consumption
of
potassium
carbonate
because
the
potassium
salt
is
more
compatible
with
the
lead,
barium,
and
strontium
oxides
contained
in
these
glasses
than
is
sodium
carbonate.
Potassium
chloride
1
G
DISSOLVE
S
IN
2.
8
ML
WATER
OF
SATURATE
D
AQ
SOLN
@15DEG
C:
ABOUT
7
NA
Fertilizer
component
(primary
plant
nutrient),
chem
int
in
prodn
of
other
potassium
salts,
medication,
photography.
Potassium
dihydrogen
phosphate
SOL
33
G/
100
CC
WATER
@
25
DEG
C
4.
4
4.
7
NA
In
buffers
for
determination
of
pH;
pharmaceutical
aid
(buffering
agent)
Baking
powder;
nutrient
solutions;
yeast
foods;
buffer
&
sequestrant
in
foods
A
widespread
use
is
as
a
mineral
nutrient
for
fermentation
broths.
Special
liquid
fertilizers,
buffering
systems,
paper
processing.
Potassium
hydroxide
Sol
in
0.
9
part
water
13.5
(0.1
Molar
aq
soln)
1
MMHG@
714
DEG
C
Food
additive;
electroplating;
photoengraving
&
lithography;
printing
inks;
in
analytical
chemistry
&
in
org
synth;
mfr
liq
soap;
pharmaceutical
aid
(as
alkalizing
agent);
mordant
for
woods;
absorbing
carbon
dioxide;
mercerizing
cotton;
paint
&
varnish
removers.
Chemicals
Solubility
pH
Vapor
pressure
Uses
11
Potassium
phosphate
(monopatassiu
m
phosphate)
SOL
33
G/
100
CC
WATER
@
25
DEG
C
pH=
4.
4
4.
7
NA
A
widespread
use
is
as
a
mineral
nutrient
for
fermentation
broths.
Special
liquid
fertilizers,
buffering
systems,
paper
processing.
Its
piezoelectric
properties
has
led
to
its
use
in
sonar
systems
and
other
electronic
applications.
Potassium
sulfate
1
G
DISSOLVE
S
IN:
8.3
ML
WATER
AQ
SOLN
IS
NEUTRAL;
PH
ABOUT
7
NA
Fertilizer
for
chloride
sensitive
crops
(eg,
tobacco);
accelerator
in
wallboard
(construction
industry);
agent
in
mfr
of
glass;
cathartic
in
human
medicine;
water
corrective
agent
for
foods
(eg,
brewery
water);
setting
expansion
control
agent
for
dental
materials
Sodium
acid
pyrophosphate
(disodium
pyrophosphate)
Sol
in
water
NA
NA
Chiefly
in
baking
powders.
FOOD
ACIDULANT.
Electroplating;
metal
cleaning
&
phosphatizing;
drilling
muds
buffer;
sesquestrent
peptizing
agent
in
cheese
&
meat
products;
frozen
desserts
Sodium
bicarbonate
Solubility
in
water
=
8.7g/
100g
solution
at
20
deg
C
0.
1
MOLAR
SOLUTION
@25DEG
C:
8.3
NA
Leavening
agent
in
baking
powder
&
food
ingredients;
component
of
soaps,
detergents
&
pharmaceuticals;
agent
in
leather
tanning,
textile
mfr,
paper
mfr,
fire
extinguishers
&
mfr
of
indust
&
household
chems
Sodium
bisulfate
Soluble
NA
NA
Monosodium
salt
of
sulfuric
acid
Sodium
chloride
35.7
g/
100
ml
of
water
at
0
deg
C
6.7
7.3
1
mm
Hg
at
865
deg
C
In
the
production
of
chemicals
(sodium
hydroxide,
soda
ash,
hydrogen
chloride,
chlorine,
metallic
sodium),
ceramic
glazes,
metallurgy,
curing
hides,
food
preservative,
mineral
waters,
soap
manufacture
(salting
out),
home
water
softeners,
highway
deicing,
regeneration
of
ion
exchange
resins,
photography,
food
seasoning,
herbicide,
fire
extinguishing,
nuclear
reactors,
mouthwash,
medicine
(heat
exhaustion),
salting
out
dyestuffs,
supercooled
solutions.
Chemicals
Solubility
pH
Vapor
pressure
Uses
12
Sodium
dihydrogen
phosphate
4.87X10+
5
mg/
l
@
25
deg
C
pH
of
0.1
molar
aq
soln
at
25
deg
C:
4.5
NA
In
baking
powders;
in
boiler
water
treatment;
as
dry
acidulant
and
sequestrant
for
foods.
Buffering
agent
(electroplating
baths);
acidulant
(processed
meats,
egg
products,
powdered
drinks);
builder
(industrial
cleaning
formulations);
metal
phosphatising
reagent;
mineral
supplement;
softening/
conditioning
agent
(boiler
water
treatment;
textile
dyeing/
printing
auxiliary.
Sodium
hexa
metaphosphate
SOL
IN
WATER
NA
NA
AKA
Calgon.
Softening
water
without
precipitate
formation,
as
in
dyeing,
laundering,
textile
processing,
and
washing
operations;
corrosion
inhibitor
in
de
icing
salt
preparations;
frozen
desserts;
pretanning
hides
in
the
manufacture
of
leather;
dispersing
clays
and
pigments;
threshold
treatment
for
scale;
and
corrosion
prevention.
Sodium
hydroxide
1
g
dissolves
in
0.9
ml
water
0.05%
WT/
WT
SOLN
ABOUT
12
1
mmHg
@
739
deg
C
NaOH
solutions
are
used
to
neutralize
acids
and
make
sodium
salts,
e.
g.,
in
petroleum
refining
to
remove
sulfuric
and
organic
acids;
to
treat
cellulose
in
making
viscose
rayon
and
cellophane;
in
reclaiming
rubber
to
dissolve
out
the
fabric;
in
making
plastics
to
dissolve
casein.
NaOH
solns
hydrolyze
fats
and
form
soaps;
they
precipitate
alkaloids
(bases)
and
most
metals
(as
hydroxides)
from
water
solns
of
their
salts.
Pharmaceutic
aid
(alkalizer).
Sodium
nitrate
92.1
G/
100
CC
WATER
AT
25
DEG
C
AQ
SOLN
IS
NEUTRAL
NA
More
than
half
of
the
sodium
nitrate
produced
worldwide
is
used
as
a
fertilizer
for
crops
such
as
cotton,
tobacco,
and
vegetables...
in
the
U.
S.
it
is
of
minor
importance
compared
to
other
fertilizers.
The
major
industrial
use
is
in
the
explosives
industry.
Oxidizer
&
fluxing
agent
in
the
mfr
of
glass
&
enamels;
component
of
charcoal
briquettes,
heat
transfer
salt;
curing
agent
&
preservative
in
meats;
chem
for
recovery
of
tin
from
scrap;
oxidizing
agent
(eg,
in
metal
coloring
solns);
chem
int
(eg,
for
potassium
nitrate)
Chemicals
Solubility
pH
Vapor
pressure
Uses
13
Sodium
nitrite
SOL
IN
1.
5
PARTS
COLD
WATER
pH
ABOUT
9
NA
Diazotization
(by
reaction
with
hydrochloric
acid
to
form
nitrous
acid),
rubber
accelerators,
color
fixative
and
preservative
in
cured
meats,
meat
products,
fish;
pharmaceuticals,
photographic
and
analytical
reagent,
dye
manufacture.
Sodium
sulfate
SOL
IN
ABOUT
3.
6
PARTS
WATER
NA
NA
Tanning;
pharmaceuticals;
freezing
mixtures;
laboratory
reagent;
food
additive
Sodium
sulfite
Sol
in
3.
2
parts
water
Chiefly
in
photographic
developers
and
instead
of
"hypo"
for
fixing
prints;
bleaching
wool,
straw,
silk;
generating
SO2;
as
reducer
in
mfr
dyes;
silvering
glass;
removing
traces
of
Cl
in
bleached
textiles
and
paper;
preserving
meat,
egg
yolks,
etc.
Dietary
supplement;
antioxidant.
Sodium
tripolyphosphat
e
(pentasodium
tripolyphosphat
e)
20g/
100
ml
at
25
deg
C
1%
soln
@
25
deg
C
=
9.7
9.8
NA
One
of
the
most
widely
used
and
most
effective
builder
in
heavy
duty
fabric
washing
compositions.
Because
of
its
high
sequestration
power,
it
also
finds
extensive
application
in
automatic
dish
washing
detergents.
It
forms
stable
hydrates
and
thus
aids
in
the
manufacture
of
crisp
spray
dried
laundry
powders.
Texturizer
in
food.
Phosphorus
source
for
cattle.
Sulfuric
acid
SOL
IN
WATER
0.01
N
sol=
2.1
5.93X10
5
mm
Hg
at
25
deg
C
Used
in
fertilizers,
chemicals,
dyes
and
pigments,
etchant,
alkylation
catalyst,
electroplating
baths,
iron
and
steel,
rayon
and
film,
industrial
explosives,
lab
reagent,
nonferrous
metallurgy.
Used
as
herbicide.
SulfurousacidNANA
NA
NA
Forms
from
sulfur
dioxide
Tetrapotassium
pyrophosphate
NA
NA
NA
NA
See
tetrasodium
pyrophosphate.
Tetrasodium
pyrophosphate
6.7
G/
100
ML
@
25
DEG
C
10.2
(1%
SOLN)
NA
Indust
&
institutional
detergent
builder;
in
water
treatment;
in
household
laundry
detergents;
in
processed
cheeses;
in
other
food
applications;
in
textile
&
clay
processing,
elastomers,
&
paper
processing
Chemicals
Solubility
pH
Vapor
pressure
Uses
14
Tricalcium
phosphate
2.5
mg/
100
g
water
at
25
deg
C
NA
NA
Manuf
of
fertilizers,
H3PO4
and
P
compds;
manuf
milk
glass,
polishing
and
dental
powders,
porcelains,
pottery;
enameling;
clarifying
sugar
syrups;
in
animal
feeds;
as
noncaking
agent;
in
the
textile
industry.
Stabilizer
for
plastics;
in
meat
tenderizers;
in
food
as
buffer
Trisodium
phosphate
8.8
G
SOL
IN
100
CC
WATER
pH
of
0.1%
soln:
11.5
NA
Removing
insecticide
residues
from
fruit
&
inhibiting
mold.
In
photographic
developers;
clarifying
sugar;
removing
boiler
scale,
softening
water;
manufacture
of
paper;
laundering;
tanning
leather;
in
detergent
mixture.
In
dairy
substitutes
(milk
based
pudding,
sour
cream,
cheese).
Zinc
sulfate
101
g/
100
g
water
@
70
deg
C
NA
NA
Zinc
sulfate
&
hydrated
lime,
8
lb
of
each
to
100
gal
of
water,
are
used
to
prepare
spray
called
zinc
lime
which
is
the
zinc
equivalent
of
bordeaux
mixt.
Zinc
lime
is
used
extensively
for
control
of
bacterial
spot
disease
of
peaches.
Depressant
in
froth
flotation,
eg,
for
lead
zinc
ores;
component
of
spinning
bath
in
mfr
of
rayon;
chem
int
for
mfr
of
the
pigment
lithopone,
of
carbamate
fungicides,
eg,
zineb,
for
mfr
of
zinc
metal,
for
mfr
of
other
zinc
compounds,
eg,
zinc
stearate;
component
of
zinc
plating
baths;
chemical
for
water
treatment;
component
of
cosmetics,
eg,
skin
fresheners;
reagent
for
paper
bleaching,
in
mfr
of
glue;
accelerating
agent
in
dental
impression
material;
agent
in
textile
dyeing
&
printing;
preservative
for
wood
&
hides;
fireproofing
agent
15
References
National
Library
of
Medicine.
Hazardous
Substance
Database
(HSDB)
(http://
toxnet.
nlm.
nih.
gov/
cgi
bin/
sis/
htmlgen?
HSDB).
Federal
Register.
The
Federal
Register
is
available
on
the
internet
at:
http://
www.
access.
gpo.
gov/
su_
docs/
aces/
aces140.html
USEPA
Gold
Book.
Quality
Criteria
for
Water,
1986
(EPA
440/
5
86
001)
USEPA.
Integrated
Risk
Information
System
(IRIS).
Available
on
the
internet
at:
http://
www.
epa.
gov/
iris/
USEPA.
National
Recommended
Water
Quality
Criteria
Corrrection,
Office
of
Water,
April
1999,
publication
number
EPA
822
99
001.
Available
on
the
internet
at:
http://
www.
epa.
gov/
ost/
pc/
revcom.
pdf
| epa | 2024-06-07T20:31:44.106702 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0005/content.txt"
} |
EPA-HQ-OPP-2002-0280-0006 | Supporting & Related Material | 2002-10-02T04:00:00 | null | 1
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
May
29,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
IIFG
Decision
Memo
Please
find
attached
the
Inert
Ingredient
Focus
Group
recommendations
for
the
inert
ingredients
associated
with
cellulose
and
paper.
2
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Cellulose
and
Paper
Petition
No.:
no
Tolerance
Reassessments?:
yes
Chemical
Substance
CAS
Reg.
No.
40
CFR
180.1001
citation
alpha
cellulose
(c)(
e)
croscarmellose
sodium
(a
cross
linked
form
of
sodium
carboxymethyl
cellulose)
74811
65
7
(c)
sodium
carboxymethyl
cellulose
9004
32
4
(c)
Paper
fiber,
deinked
or
recycled,
conforming
to
21
CFR
109.30(
a)(
9)
and
21
CFR
176.260
(d)
Paper
fiber,
produced
by
the
kraft
(sulfate)
or
sulfite
pulping
processes.
(d)
Other
chemicals
considered
in
this
assessment
are:
methyl
cellulose,
hydroxyethyl
cellulose,
hydroxypropylmethyl
cellulose,
and
cellulose
acetate.
The
tolerance
exemptions
for
these
chemicals
have
been
previously
reassessed
and
are
included
in
this
assessment
only
for
their
structural
similarities
to
cellulose
and
to
consider
for
List
4A
classification.
HPV
Chemical?
No
Use
Pattern
(pesticidal):
Cellulose
can
be
used
as
a
solid
diluent,
carrier,
and
suspending
agent.
Cellulose
derivatives
are
used
as
suspending
agents,
surfactants,
thickeners,
and
dispersing
agents
in
food
and
cosmetics.
Cellulose
acetate
is
used
as
a
pesticide
rate
release
regulating
agent.
Paper
is
used
as
a
carrier.
3
Use
Pattern
(non
pesticidal):
Cellulose
and
cellulose
derivatives
are
used
as
a
both
direct
and
indirect
food
additives.
As
direct
food
additives
they
are
used
in
baked
goods
and
baking
mixes,
fats
and
oils,
cheese,
meat
and
poultry
products,
sweet
sauces,
toppings,
syrups,
gelatins,
puddings
and
fillings,
gravies,
dairy
product
analogs,
candy
and
chewing
gum.
As
indirect
food
additives
they
are
used
as
substances
migrating
to
food
from
food
packaging.
The
cellulose
derivatives
are
used
in
cosmetics
such
as
hair
products,
eye
and
facial
makeup
and
skin
care
preparations.
They
can
also
be
used
in
surface
coatings,
as
polymerization
additives,
in
adhesives,
and
in
detergents
and
cleaners.
Croscarmellose
sodium
is
used
as
a
disintegrating
agent
in
pharmaceuticals
(tablets).
Cellulose
fibers
are
used
as
a
component
of
insulation.
1.
Introduction:
Cellulose,
or
alpha
cellulose,
is
a
naturally
occurring
polymeric
material.
It
can
also
be
referred
to
as
a
macromolecule
or
polysaccharide.
Chemically,
cellulose
is
a
long
chain
of
glucose
molecules
that
are
linked
with
beta
(1
4)
glycosidic
bonds.
The
molecular
weight
of
isolated
cellulose
as
reported
by
FDA
is
approximately
50,
000
daltons.
Cellulose
is
part
of
the
plant
cell
wall
of
wood,
cotton,
and
various
plant
crops
consumed
for
nutrition.
It
is
the
most
abundant
carbohydrate
in
nature.
Dietary
cellulose
(i.
e.,
fiber)
from
edible
plants
is
consumed
by
humans
on
a
daily
basis.
Humans
do
not
possess
the
enzyme
necessary
to
break
the
beta
(1
4)
glycosidic
bond;
thus,
cellulose
passes
unchanged
through
the
intestinal
tract.
The
Dietary
Guidelines
for
Americans
published
by
the
USDA
(United
States
Department
of
Agriculture)
recommend
eating
foods
with
adequate
fiber.
The
National
Cancer
Institute
recommends
that
an
individual
consume
20
to
30
grams
of
fiber
each
day
with
an
upper
limit
of
35
grams
per
day.
The
derivatives
are
not
naturally
occurring
materials,
but
are
manufactured
from
cellulose.
These
are
polymeric
substances
with
high
molecular
weights:
the
information
available
indicates
ranges
of
40,000
to
480,000
daltons
depending
on
the
degree
of
polymerization
Paper
is
manufactured
by
applying
a
watery
suspension
of
cellulose
fibers,
known
as
pulp,
to
a
screen
thus
allowing
the
water
to
drain
and
leaving
the
fibrous
particles
behind
in
a
sheet.
Pulp
is
produced
by
digesting
a
cellulose
containing
material
into
its
fibrous
constituents
via
chemical
and/
or
mechanical
means.
In
the
case
of
wood,
the
most
common
pulping
material,
chemical
pulping
actions
release
cellulose
fibers
by
selectively
destroying
the
chemical
bonds
in
the
glue
like
substance
(lignin)
that
binds
the
fibers
together.
The
two
major
chemical
pulping
processes
used
in
the
US
are
kraft/
soda
pulping
and
sulfite
pulping.
Kraft
pulping
produced
80
percent
of
all
US
pulp
tonnage
during
1993.
After
the
pulping
process,
dependent
on
the
type
of
paper
desired,
paper
manufacturing
includes
various
processes
to
separate
and
remove
impurities,
bleaching
and
coloring
processes
to
achieve
the
desired
color,
adding
various
resins
or
texture
materials
depending
on
the
desired
end
result,
and
drying
by
pressing
and
heating
to
bond
the
fibers.
The
following
information
was
used
in
performing
this
assessment:
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as,
4
°EPA(
www.
epa.
gov)
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.)
°
World
Health
Organization
(WHO)
(jecfa.
ilsi.
org/
section1.
htm)
and
(www.
inchem.
org/
document/
jecfa/
jecmono/
v26je08.htm)
and
those
websites
containing
descriptions
of
cellulose
and
paper.
Additionally,
the
following
documents
were
used:
°
GRAS
(Generally
Recognized
as
Safe)
Food
Ingredients
Cellulose
and
Derivatives
were
evaluated
in
a
1972
assessment
by
FDA.
°
Certain
Cellulose
Derivatives
as
Food
Ingredients
were
evaluated
by
the
Food
and
Drug
Administration
(FDA)
in
a
1974
assessment.
°
Final
Report
on
the
Safety
Assessment
of
Hydroxypropylcellulose,
Hydroxypropylcellulose,
Methylcellulose,
Hydroxypropylmethylcellulose,
and
Cellulose
Gum:
Cosmetic
Ingredient
Review
Journal
of
the
American
College
of
Toxicology
Vol.
5
No.
3
(1986)
2.
Chemical
Specific
Uses
of
Cellulose
and
Cellulose
Derivatives:
Microcrystalline
cellulose
is
obtained
by
treating
alpha
cellulose
with
mineral
acids.
It
is
used
to
convert
liquid
foods
to
granular
forms
or
smooth
spreading
gels,
and
as
an
anticaking
or
binding
agent.
Methyl
cellulose
is
used
as
a
thickener,
stabilizer,
emulsifier,
bodying
or
bulking
agent,
and
binder
in
foods.
It
was
first
used
in
foods
in
the
US
in
1960.
Carboxymethyl
cellulose
and
it
sodium
salt
(sodium
carboxymethyl
cellulose
or
cellulose,
carboxymethyl
ether,
sodium
salt
are
used
as
thickening
agents
and
stabilizers
in
foods.
Little
distinction
is
made
between
the
two
chemicals.
Both
were
first
used
in
foods
in
the
US
in
1945.
Hydroxypropylmethyl
cellulose
is
used
as
a
thickening
agent,
stabilizer,
and
emulsifier.
Ethyl
cellulose
is
used
as
a
coating
for
vitamin
preparations,
as
a
binder
and
filler,
and
as
a
component
of
paper
and
paperboard
food
packaging
materials.
It
is
in
hard
candy
and
chewing
gum.
3.
FDA's
Conclusions
There
is
a
large
toxicity
database
for
cellulose
and
its
derivatives.
It
includes
acute,
subchronic,
chronic/
carcinogenic,
and
reproductive
studies.
The
metabolism
and
absorption
has
been
well
documented.
FDA's
overall
conclusion
is
as
follows:
5
"Cellulose
is
a
major
constituent
of
many
foods
of
plant
origin.
As
such
it
is
a
significant
portion
of
the
diet,
but
is
neither
degraded
nor
absorbed.
Cellulose
derivatives
considered
in
this
report
are
virtually
unabsorbed
and
little
or
no
degradation
of
absorbable
products
occurs
in
the
human
digestive
tract.
In
man,
consumption
of
large
amounts
appears
to
have
no
effect
other
than
providing
dietary
bulk,
reducing
the
nutritive
value
of
such
foodstuffs
and
possibly
exerting
a
laxative
effect."
FDA's
chemical
specific
hazard
conclusions
are
as
follows:
Cellulose
and
Microcrystalline
Cellulose
"There
is
no
evidence
in
the
available
information
on
pure
and
regenerated
cellulose,
including
microcrystalline
cellulose,
that
demonstrates,
or
suggests
reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
they
are
used
at
levels
that
are
now
current,
or
that
might
reasonably
be
expected
in
future."
Methyl
Cellulose
"In
humans,
virtually
100
percent
of
orally
ingested
methyl
cellulose
can
be
recovered
in
the
feces
within
four
days,
indicating
that
absorption
does
not
occur.
However,
in
pregnant
mice,
very
high
doses
of
methyl
cellulose,
while
not
teratogenic,
cause
a
significant
increase
in
maternal
mortality
and
retardation
of
fetal
maturation."
According
to
the
summary
of
the
study
in
the
FDA
Assessment
pregnant
rats,
hamsters,
and
mice
were
administered
doses
of
methyl
cellulose
in
corn
oil.
In
rats
at
doses
up
to
1320
mg/
kg/
day
for
10
consecutive
days,
there
was
no
clearly
discernible
effect
on
nidation
or
on
maternal
or
fetal
survival.
In
hamsters,
doses
of
up
to
1000
mg/
kg/
day
for
five
days
(gestation
days
6
to
10)
did
not
produce
significant
effects
on
nidation
(fertilization)
or
on
maternal
or
fetal
survival.
Daily
doses
of
up
to
345
mg/
kg/
day
from
day
6
through
day
15
of
gestation
in
mice
had
no
clearly
discernible
effect
on
nidation
or
on
maternal
or
fetal
survival.
However,
doses
of
1600
mg/
kg/
day
caused
a
significant
increase
in
mortality
in
treated
dams
and
a
decrease
in
the
pregnancy
rate
of
survivors.
There
was
a
marked
increase
in
the
number
of
resorption
sites.
The
live
fetuses
were
smaller
and
exhibited
significant
retardation
in
maturation.
The
findings
resembled
those
produced
by
high
molecular
weight
polysaccharides
such
as
the
vegetable
gums.
The
dose
of
1600
mg/
kg/
day
is
higher
than
that
tested
in
either
the
rat
or
hamster.
It
is
possible
that
the
effects
could
be
due
to
nutritional
deficiencies
due
to
deliberately
high
doses
of
indigestible
material.
Information
in
the
FDA
assessment
indicated
that
the
average
daily
intake
for
cellulose
deliberately
added
to
foods
ranged
from
48
to
360
mg/
kg/
day
(1970s).
Cellulose
derivatives
were
at
significantly
lower
levels
and
ranged
from
less
than
1
to
36
mg/
kg/
day.
It
is
unlikely
that
levels
6
of
human
consumption
of
methyl
cellulose
would
reach
levels
comparable
to
those
at
which
effects
were
seen.
Carboxymethyl
Cellulose
and
Sodium
Carboxymethyl
Cellulose
"Because
carboxymethyl
cellulose
becomes
the
sodium
salt
in
the
presence
of
sodium
ion,
no
distinction
between
the
two
substances
as
used
in
food
need
be
made."
There
is
no
evidence
to
suggest
that
either
chemical
substance
would
be
a
hazard
to
the
public
when
used
at
levels
that
are
now
current
or
that
might
reasonably
be
expected
in
the
future."
Hydroxypropylmethyl
Cellulose
"There
is
no
evidence
in
the
available
information
on
hydroxypropylmethyl
cellulose
that
demonstrates,
or
suggests
reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
it
is
used
at
levels
that
are
now
current
and
in
the
manner
now
practiced"
(thickening
agent,
stabilizer
and
emulsifier).
Given
the
nature
of
the
chemical
substance,
the
use
pattern
specified
above
as
a
food
additive
is
very
likely
to
also
be
the
use
pattern
for
pesticide
products."
Hydroxyethyl
Cellulose
In
the
FDA
assessment,
there
is
less
toxicity
information
available
for
hydroxyethyl
cellulose
than
for
other
cellulose
derivatives.
However,
given
the
chemical
similarities
of
the
derivatives,
there
is
no
reason
to
believe
that
this
cellulose
derivative
should
interact
with
the
human
body
with
any
significant
difference.
All
cellulose
derivatives
examined
are
of
low
toxicity;
therefore,
hydroxyethyl
cellulose
should
also
be
of
low
toxicity.
Cellulose
Acetate
In
the
FDA
Assessment,
cellulose
acetate
was
only
examined
for
use
as
a
food
packaging
material.
It
was
concluded
that:
"There
is
no
evidence
in
the
available
information
.....
that
demonstrates
or
suggests
reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
.....
used
in
food
packaging
materials
as
now
practiced
or
as
they
might
be
expected
to
be
used
for
such
purposes
in
future."
TOXNET
indicated
that
cellulose
acetate
is
an
amorphous
white
solid
material
in
granular,
flake,
or
powder
form
from
which
fibers
can
be
formed
by
extrusion.
It
is
a
thermoplastic
material
and
can
be
heat
set
or
extruded.
The
OSHA
(Occupational
Safety
and
Health
Administration)
Chemical
Sampling
Information
Form
contains
no
exposure
limits
or
health
factor
concerns.
The
establishment
of
the
tolerance
exemption
for
cellulose
acetate
in
1995
was
based
on
its
conformance
with
the
polymer
exemption
guidance
criteria.
7
4.
World
Health
Organization
(WHO)
Cellulose
derivatives
have
been
examined
at
eight
meetings
of
the
FAO/
WHO
Joint
Expert
Committee
on
Food
Additives
(JECFA).
Various
toxicological
studies
(acute,
chronic/
carcinogenic,
reproduction,
mutagenicity,
metabolism
and
absorption,
and
observations
in
man
were
discussed
for:
ethyl
cellulose,
ethyl
hydroxyethyl
cellulose,
hydroxypropyl
cellulose,
hydroxypropyl
methyl
cellulose,
methyl
cellulose,
methylethyl
cellulose,
and
sodium
carboxymethyl
cellulose.
The
human
observations
concerned
the
laxative
effects
of
modified
celluloses.
The
conclusion
was
reached
that
cellulose
derivatives
have
"a
low
toxicity."
The
estimate
of
acceptable
daily
intake
is
"not
specified",
which
is
defined
as:
A
term
applicable
to
a
food
substance
of
very
low
toxicity
which,
on
the
basis
of
the
available
data
(chemical,
biochemical,
toxicological,
and
other),
the
total
dietary
intake
of
the
substance
arising
from
its
use
at
the
levels
necessary
to
achieve
the
desired
effect
and
from
its
acceptable
background
in
food
does
not,
in
the
opinion
of
JECFA,
represent
a
hazard
to
health.
For
that
reason,
and
for
reasons
stated
in
individual
evaluations,
the
establishment
of
an
acceptable
daily
intake
expressed
in
numerical
form
is
not
deemed
necessary.
An
additive
meeting
this
criterion
must
be
used
within
the
bounds
of
good
manufacturing
practice,
i.
e.,
it
should
be
technologically
efficacious
and
should
be
used
at
the
lowest
level
necessary
to
achieve
this
effect,
it
should
not
conceal
inferior
food
quality
or
adulteration,
and
it
should
not
create
a
nutritional
imbalance
The
only
concern
specified
was
that
the
ability
to
produce
laxation
should
be
taken
into
account
when
using
these
substances
as
food
additives.
5.
SAR
Assessment
Several
of
the
cellulose
derivatives
were
evaluated
by
the
SAR
(structure
activity
relationship)
process.
Both
sodium
carboxymethyl
cellulose
and
ethyl
hydroxyethyl
cellulose
were
rated
as
low
concern
for
both
human
health
and
ecotoxicity
concerns.
Hydroxypropylmethyl
cellulose
and
methyl
cellulose
were
only
rated
for
human
health,
for
which
they
were
rated
as
low
concern.
6.
Paper
Assessment
The
tolerance
exemption
for
paper
was
established
on
April
14,
1988
(53
FR
12418)
(FRL
3365
8).
The
rationale
for
establishing
the
tolerance
exemption
included
its
similarities
to
other
cellulosic
materials
already
cleared
under
40
CFR
180.1001(
c),
and
the
fact
that
pulp
is
cleared
under
21
CFR
186.1673
as
an
indirect
food
substance
affirmed
as
generally
recognized
as
safe
(GRAS).
8
The
Agency
no
longer
uses
comparisons
to
similar
materials
as
the
basis
for
action
unless
the
materials
have
already
undergone
the
tolerance
reassessment
process
and
have
been
determined
to
be
reassessed.
In
this
case,
the
similar
materials
alpha
cellulose,
oat
hulls,
shells
(almond,
cocoa,
coconut,
and
walnut),
and
wood
flour
have
already
been
reassessed,
or
in
the
case
of
alpha
cellulose
is
being
reassessed
in
this
document.
As
explained
previously
paper
is
mostly
cellulose
fibers.
Paper
is
derived
from
pulp.
Pulp
is
derived
mostly
from
wood.
The
tolerance
exemption
for
de
inked
and/
or
recycled
paper
was
established
on
August
1,
1989
(54
FR
31674)
(FRL
3623
5).
Paper
that
is
to
be
recycled
must
first
be
de
inked,
that
is,
the
ink
as
well
as
the
various
coatings
and
additives
are
separated
from
the
fibers
(such
as
cellulose)
that
form
the
structure
of
paper.
It
is
the
cellulose
fibers
that
are
recycled.
These
fibers
are
then
combined
with
fibers
that
have
not
been
previously
made
into
paper.
The
rationale
for
establishing
the
de
inked
and/
or
recycled
tolerance
exemption
included
the
above
tolerance
exemption
for
paper,
and
the
fact
that
pulp
from
reclaimed
paper
is
cleared
under
21
CFR
176.260
as
a
component
of
articles
used
in
producing,
processing,
preparing,
treating,
packaging,
transporting,
or
holding
food
subject
to
certain
provisions.
It
is
not
expected
that
residues
of
paper
when
used
as
a
carrier
(the
use
that
would
be
expected
due
to
the
nature
of
paper)
would
be
present
in
raw
agricultural
commodities.
When
applied
to
crops,
paper
would
not
be
expected
to
be
absorbed
by
the
plant.
7.
Croscarmellose
Sodium
Croscarmellose
sodium
is
a
cross
linked
carboxymethylcellulose
sodium
that
is
sometimes
referred
to
as
sodium
cellulose
glycolate.
The
cross
linking
reduces
its
water
solubility
and
permits
the
material
to
swell
and
take
up
many
times
its
weight
in
water.
These
properties
make
croscarmellose
sodium
similar
to
those
of
sodium
starch
glycolate,
a
cross
linked
potato
starch
derivative.
Sodium
starch
glycolate
is
produced
by
crossing
linking
and
carboxymethylation
of
potato
starch.
Both
chemicals
are
used
as
disintegrants
(disintegrating
agents)
in
the
pharmaceutical
industry.
The
only
concern
for
either
of
these
chemicals
would
be
for
inhalation
of
respirable
particles
(less
than
10
microns).
Since
either
of
these
materials
can
absorb
many
times
their
own
weight
in
water
and
swell
(in
volume),
inhalation
of
respirable
particles
may
lead
to
lung
effects.
However,
these
concerns
can
be
addressed
by
the
acute
end
product
toxicity
testing
performed
at
the
time
of
product
registration.
8.
Hazard
Characterization:
Other
than
the
inhalation
concerns
for
croscarmellose
sodium,
there
is
no
available
information
on
any
of
the
chemicals
considered
in
this
document
indicative
of
a
hazard
or
significant
adverse
effects
to
the
general
public
or
any
population
subgroup.
There
have
been
9
many
reviews
of
these
materials
by
organizations
such
as
FDA
and
WHO.
The
available
information
indicate
that
these
chemical
substances
pass
through
the
intestinal
tract
unabsorbed.
They
are
of
low
toxicity.
9.
Type
of
risk
assessment:
qualitative
10.
Sensitivity
of
Infants
and
Children:
These
chemicals
have
low
toxic
potential.
In
addition,
humans
of
all
ages
are
highly
exposed
to
them
from
natural
and
anthropogenic
sources.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
11.
Fate
Assessment:
Cellulose
derivatives
would
undergo
biological
degradation
in
a
matter
of
days
to
weeks,
and
ultimate
degradation
to
carbon
dioxide
and
water
in
a
matter
of
weeks
to
months.
In
water,
partitioning
to
the
sediment
is
likely;
therefore,
celluloses
would
be
expected
to
be
found
in
the
sorbed
state
in
water.
Transport
to
surface
in
the
sorbed
state
would
dominate
the
nondegradation
pathways
of
dissipation.
Groundwater
contamination
is
not
likely
to
be
significant,
given
the
partitioning
to
the
sediment.
12.
Ecotoxicity
Assessment
Cellulose
derivatives
would
be
practically
non
toxic
to
aquatic
organisms.
Terrestrial
animal
toxicity
based
on
the
available
data
would
indicate
cellulose
derivatives
are
practically
nontoxic
on
an
acute
basis.
13.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
"other
substances
that
have
a
common
mechanism
of
toxicity."
Cellulose
and
its
derivatives
are
structurally
related;
however,
all
are
low
toxicity
chemicals.
Therefore,
the
resultant
risks
separately
and/
or
combined
should
also
be
low.
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
these
chemicals
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
14.
IIFG
Recommendations:
By
consensus
there
were
no
objections
to
the
following:
10
The
following
tolerance
exemptions
are
reassessed:
In
40
CFR
180.1001
(c)
alpha
cellulose,
croscarmellose
sodium,
and
sodium
carboxymethylcellulose.
In
40
CFR
180.1001
(d)
Paper
fiber,
deinked
or
recycled,
conforming
to
21
CFR
109.30(
a)(
9)
and
21
CFR
176.260,
and
Paper
fiber,
produced
by
the
kraft
(sulfate)
or
sulfite
pulping
processes.
In
40
CFR
180.1001
(e)
alpha
cellulose.
Given
the
non
toxic
nature
of
cellulose
and
its
derivatives,
the
following
List
reclassifications
are
made
or
confirmed:
cellulose
(CAS
Reg.
No.
9004
34
6,
65996
61
4):
List
4A
cellulose
acetate
(CAS
Reg.
No.
9004
35
7:
List
4A
carboxymethyl
cellulose
(CAS
Reg.
No.
9000
11
7):
List
4A
hydroxypropylmethyl
cellulose
(CAS
Reg.
No.
9004
65
3):
List
4A
methyl
cellulose
(CAS
Reg.
No.
9004
67
5):
List
4A
sodium
carboxymethyl
cellulose
(CAS
Reg.
No.
9004
32
4,
51395
75
6):
List
4A
Given
the
derivation
of
paper
from
cellulose,
the
history
and
nature
of
paper,
and
the
role
that
it
plays
in
our
daily
lives,
the
List
4A
reclassifications
are
reconfirmed
for
paper.
Croscarmellose
sodium
is
classified
as
List
4B,
due
to
the
inhalation
concerns.
Tolerance
exemptions
(with
List
4A
classification)
may
be
established
for:
ethyl
cellulose
(CAS
Reg.
No.
9004
57
3)
hydroxyethyl
cellulose
(CAS
Reg.
No.
9004
62
0)
cellulose,
regenerated
(CAS
Reg.
No.
68442
85
3)
hydroxypropyl
cellulose
(CAS
Reg.
No.
9004
64
2).
ethyl
hydroxyethyl
cellulose
(CAS
Reg.
No.
9004
58
4)
Attachment:
EFED
review
(Abel;
April
10,
2002)
| epa | 2024-06-07T20:31:44.115476 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0006/content.txt"
} |
EPA-HQ-OPP-2002-0280-0007 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
16
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
March
28,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
February
26
Meeting
of
the
IIFG
Decision
Memo
Please
find
attached
the
Inert
Ingredient
Focus
Group
recommendations
for
the
inert
ingredients
associated
with
acetic
acid
and
the
citric
acid
cycle
grouping.
Page
2
of
16
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Acetic
Acid
and
Salts
Citric
Acid
Cycle
Chemicals
and
Salts
Petition
No.:
no
Tolerance
Reassessments?:
yes
Common
Chemical
Names:
acetic
acid,
sodium
acetate,
citric
acid,
sodium
citrate,
potassium
citrate,
calcium
citrate,
malic
acid,
and
fumaric
acid
Chemical
Category/
Group:
organic
acids
and
their
salts
CAS.
Reg.
No.:
in
tables
HPV
Chemical?
yes
Data
Posted?
yes
Use
Pattern
(pesticidal):
Citric
acid
and
malic
acid
are
FIFRA
25(
b)
active
ingredients.
As
an
active
ingredient,
citric
acid
is
used
as
a
disinfectant,
sanitizer,
fungicide
and
scale
remover
for
use
in
toilets
and
food
processing
equipment.
Both
citric
acid
and
fumaric
acid
are
in
40
CFR
180.2.
Acetic
acid
and
citric
acid
are
used
in
food
contact
surface
sanitizing
solutions.
As
an
active
ingredient
acetic
acid
is
used
on
rights
of
ways,
golf
courses,
open
spaces,
driveways
and
industrial
sites
at
concentrations
similar
to
that
in
vinegar
to
dessicate
(dry
out)
plants.
Use
Pattern
(non
pesticidal):
These
are
naturally
occurring
chemicals,
food
acids
that
are
found
in
a
wide
variety
of
unprocessed
foods,
especially
fruits.
FDA
clearances
exist
for
these
chemicals
allowing
their
use
in
candy,
jelly,
ice
cream,
cakes,
cookies,
pies,
soft
drinks,
fruit
drinks,
cheese,
and
animal
drugs
and
feeds.
Malic
acid
is
a
flavoring
agent.
Fumaric
acid
is
an
antioxidant
and
can
be
a
component
of
adhesives.
Citric
acid
can
be
used
in
various
cleaners
and
strippers.
Page
3
of
16
1.
Physical/
Chemical
Properties:
Table
1.
Chemical
Properties
of
Acetic
Acid
and
Salts
Chemical
Property
Acetic
Acid
Acetic
Acid,
Calcium
salt
Acetic
Acid,
Magnesium
salt
Acetic
Acid,
Potassium
salt
Acetic
Acid,
Sodium
salt
Vapor
Pressure
(mmHg)
11.4
@
20
o
C
14.7
@25
o
C
NA
7.
08x10
7
@25
o
C
7.08x10
7
@25
o
C
Log
Kow
0.17
0.97
NA
3.72
3.72
Kd's
(Koc)
0.
65
(228)
Clastic
mud
0.085
(6.5)
muddy
sand
0.046
(27)
carbonate
sand
NA
NA
NA
NA
Water
Solubility
(g/
L)
50
@20
o
C
430
@25
o
C
very
soluble
2530
@25
o
C
365
@20
o
C
pKa
4.
76
@25
o
C
NA
NA
NA
NA
Photodegradation
50%
after
21
days
NA
NA
NA
6.6%
after
17h
Biodegradation
99%
after
7
days
using
AS
*
Readily
biodegrades
NA
NA
100%
after
5
days
using
AS
Fish
Acute
Toxicity
96h
LC50)
75mg/
L
(Lowest
value
Bluegill
sunfish)
NA
NA
>6100mg/
L
(rainbow
trout)
100mg/
L
(zebra
fish)
Daphnia
Acute
Toxicity
65mg/
L
48h
EC50)
NA
NA
7170mg/
L
24h
LC50)
>1000mg/
L
(48h
EC50)
Algae
Toxicity
4000mg/
L
(8
day
growth
inhibition)
NA
NA
NA
2460mg/
L
after
60
h
growth
inhibition)
Mammal
Acute
Oral
(LD50)
4960
mg/
kg
bw
(mouse)
4280mg/
kg
bw
(rat)
8610mg/
kg
bw
(rat)
3250mg/
kg
bw
(rat)
3530mg/
kg
bw
(rat)
*
AS:
Activated
Sludge.
Page
4
of
16
Table
2.
Chemical
Properties
of
Citric
Acid
and
Salts
Chemical
Property
Citric
Acid
Citric
Acid,
Sodium
salt
Citric
Acid,
Tripotassium
salt
Citric
Acid,
Trisodium
salt
Vapor
Pressure
(mmHg@
25
o
C)
3.7x10
9
@25
o
C
NA
NA
2.09x10
12
@25
o
C
Log
Kow
1.72
NA
NA
0.28
Water
Solubility
(g/
L
@25
o
C)
1330
@20
o
C
NA
NA
~425
@25
o
C
pKa
pK1:
3.
13;
pK2:
4.76;
pK3:
6.4
NA
NA
NA
Photodegradation
NA
NA
NA
NA
Biodegradation
98%
after
48
h
using
domestic
sewage
NA
NA
90%
after
48
h
using
AS
Fish
Acute
Toxicity
(96h
LC50)
1516mg/
L
(Bluegill
sunfish)
NA
NA
>18000
32000mg/
L
(guppy)
Daphnia
Acute
Toxicity
120mg/
L
72h
EC50)
NA
NA
5600
10000mg/
L
(48h
EC50)
Algae
Toxicity
640mg/
L
8
day
growth
inhibition)
NA
NA
>18000
32000mg/
L
(96h
EC50)
Mammal
Acute
Oral
5790mg/
kg
bw
(mouse)
7100mg/
kg
bw
(mouse)
NA
NA
Table
3.
Chemical
Properties
of
Fumaric
and
Malic
Acid
Chemical
Property
Fumaric
Acid
Malic
Acid
Vapor
Pressure
(mmHg@
25
o
C)
1.54x10
4
4.6x10
6
Log
Kow
0.33
@23
o
C
1.26
Water
Solubility
(g/
L
@25
o
C)
7
592
pKa
pK1:
3.
02;
pK2:
4.46
@18
o
C
pK1:
3.
4;
pK2:
5.
05
Photodegradation
50%
degradation
after
7.3h
50%
degradation
after
2
days
Page
5
of
16
Biodegradation
98%
after
21
days
using
domestic
sewage
readily
biodegrades
Fish
Acute
Toxicity
245mg/
L
(48h
LC50
zebra
fish))
NA
Daphnia
Acute
Toxicity
212
mg/
L
(48h
EC50)
240mg/
L
(48h
EC50)
Algae
Toxicity
41mg/
L
(72h
EC50
green
algae)
NA
Rat
Acute
Oral
9300mg/
kg
bw
(female
rat)
1600
3200mg/
kg
bw
(mouse,
rat)
2.
Introduction:
Acetic
acid
is
produced
in
biological
tissues
by
fermentation
of
carbohydrates
and
also
by
organic
synthesis.
Vinegar
which
is
a
5
to
8
%
solution
of
acetic
acid,
is
also
a
commonly
consumed
food.
Citric
acid
is
widely
distributed
in
plants
and
animals
and
occurs
naturally
in
foods
such
as
citrus
fruits
and
tomatoes
in
substantial
quantities.
It
is
also
one
of
the
most
widely
used
food
additives.
As
a
dietary
supplement,
calcium
citrate
is
a
source
of
calcium.
Malic
acid
occurs
naturally
as
the
major
acid
in
apples,
apricots,
cherries,
carrots
and
other
foods.
It
is
also
used
as
a
flavor
booster
in
candy,
jelly
fruit
drinks
and
ice
cream.
Fumaric
acid
occurs
in
apples,
beans,
and
carrots.
It
is
commonly
used
to
control
pH
and
produce
light
textures
in
such
foods
as
cake
and
cookies.
The
following
information
was
used
in
performing
this
assessment:
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as,
°EPA(
www.
epa.
gov),
°NIOSH,(
www.
cdc.
gov/
niosh/
ipcsneng/
neng0000.html)
and
(www.
cdc.
gov/
niosh/
npg/
npg.
html)
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.),
°NTP(
ntp
server.
niehs.
nih.
gov.),
Additional
information
included
the
information
submitted
to
EPA's
High
Production
Volume
Challenge
Program
"Assessment
Plan
and
Robust
Summaries
for
the
Acetic
Acid
and
Salts
Category."
(Submitted
June
28,
2001)
Citric
acid
was
also
previously
evaluated
by
the
Agency
in
1992
in
the
Citric
Acid
RED.
Information
identified
as
MRID
was
submitted
to
the
Agency
in
support
of
citric
acid
as
an
active
ingredient.
Acetic
acid,
calcium
citrate,
citric
acid,
sodium
acetate,
and
sodium
citrate
have
also
been
Page
6
of
16
evaluated
by
the
Food
and
Drug
Administration
(FDA).
They
are
FDA
affirmed
GRAS
(Generally
Regarded
As
Safe).
Calcium
acetate
is
also
FDA
affirmed
GRAS
(21
CFR
184.1185).
Fumaric
acid
is
approved
for
use
as
a
direct
and
indirect
food
additive
"at
a
level
not
in
excess
of
the
amount
reasonably
required
to
accomplish
the
intended
effect."
International
Safety
Cards
gave
the
following
information
on
acetic
acid
(aqueous
form):
It
is
a
colorless
liquid
and
a
weak
acid.
The
substance
and
the
vapor
are
corrosive
to
the
eyes,
the
skin
and
the
respiratory
tract.
There
may
be
effects
on
the
gastrointestinal
tract.
The
TLV
(Threshold
Limit
Value)
is
25
mg/
m3
or
10
ppm.
Pure
acetic
acid
is
a
solid
below
62
o
F.
It's
most
concentrated
from
is
known
as
glacial
acetic
acid.
According
to
the
International
Safety
Cards
available
for
the
other
chemicals
discussed
in
this
document,
they
are
all
solids
(granules,
crystalline
powder
or
flakes).
No
TLVs
have
been
established.
3.
The
Citric
Acid
Cycle:
Citric
acid,
malic
acid
and
fumaric
acid
are
produced
during
the
Citric
Acid
Cycle,
which
is
also
known
as
the
Krebs
Cycle.
This
cycle
is
essential
for
the
metabolism
of
glucose
and
other
simple
sugars.
The
cycle
consists
of
a
series
of
enzymatic
chemical
reactions.
These
processes
occur
within
the
cell
and
are
responsible
for
the
final
breakdown
of
food
molecules
to
form
carbon
dioxide,
water,
and
energy.
For
risk
assessment
purposes
an
important
feature
of
this
cycle
is
that
these
acids
are
used
over
and
over
again,
thus
giving
the
body
an
effective
means
of
processing
any
ingested
citric,
fumaric,
or
malic
acid.
4.
Role
of
the
Cation
Generally,
in
dealing
with
any
acid
salt,
dissociation
yields
the
anion
from
the
acid
and
a
cation.
Generally,
concerns
for
human
and
ecological
health
would
stem
from
the
acid
moiety.
Cations
such
as
sodium,
potassium,
magnesium
and
calcium.
are
all
minerals
and
required
for
proper
functioning
of
biological
systems.
For
risk
assessment
purposes
an
important
feature
of
these
minerals
is
that
the
body
does
have
an
effective
means
of
processing
them..
Sodium
is
necessary
for
the
nerves
and
muscles
to
function
properly.
It
is
the
principal
cation
of
extracellular
fluid,
and
helps
to
maintain
the
body's
water
balance.
These
electrolytes,
the
electrically
charged
ions
in
the
body
fluids,
consist
to
a
great
extent
of
sodium
and
potassium.
Potassium
is
important
in
regulating
blood
pressure,
regulating
cellular
water
content,
maintaining
proper
pH
balance,
and
transmission
of
nerve
impulses.
It
helps
to
regulate
the
electrical
activity
of
the
heart
and
muscles.
Calcium
is
necessary
for
bone
and
teeth
formation.
It
is
also
important
to
the
proper
functioning
of
nerves,
enzymes,
and
muscles,
and
plays
a
role
in
blood
clotting
and
the
Page
7
of
16
maintenance
of
cell
membranes.
Magnesium
is
also
used
in
building
bones.
It
plays
a
role
in
releasing
energy
from
muscles
and
regulating
body
temperature.
Page
8
of
16
5.
Toxicological
Profile
Table
Table
4a:
Acute
Toxicological
Profile:
acetic
acid
and
sodium
acetate
Chemical
CAS
No.
Acute
Oral
LD
50
Acute
Dermal
LD
50
Acute
Inhalation
LD
50
Skin
Irritation
Eye
irritation
Acetic
acid
64
19
7
LD
50
10%
solution::
3530
mg/
kg
(MRID
No.
99320)
LD
50
Rat:
3000mg/
kg
to
3800
mg/
kg
(MRID
No.
33062)
LD
50
Mice:
4400
to
5600mg/
kg
(MRID
No.
33062)
LDLo
Rabbit:
600
mg/
kg
LD
50
:
Rat
1.05mL/
kg
(MRID
No.
99320)
LDLo
Rabbit:
1060
uL/
kg
LCLo:
Rat
16000ppm/
4
hours
LD
50
Mice:
5620
ppm/
1
hour
Human:
50
mg/
24
hours:
Mild
Rabbit:
50
mg/
24
hours:
Mild
Public
literature
indicates
strong
skin
irritation
Human
skin
sensitization
has
occurred
to
concentrated
acetic
acid
Public
literature
indicates
strong
eye
irritation
Sodium
acetate
127
09
3
LD
50
Rat:
3500
mg/
kg
LD
50
Mouse:
4960
mg/
kg
Not
available
Not
available
Not
available
Applied
continuously
for
3
hours
to
rabbit
eyes
at
0.
1
M:
No
disturbance
of
the
cornea
Page
9
of
16
Table
4b:
Toxicological
Profile:
acetic
acid
and
sodium
acetate
Chemical
CAS
No.
Subchronic/
Chronic
Toxicity
Developmental/
Reproductive
Toxicity
Genetic
Toxicity
Other
Relevant
Information
Acetic
acid
64
19
7
0.
5%
acetic
acid
in
drinking
water
for
2
4
months
reduced
the
food
intake
of
rats
(MRID
no.
33062)
Grastric
lesions
were
noted
in
rats
fed
4500
mg/
kg
acetic
acid
for
30
days.
(MRID
No..
33062)
Apple
cider
vinegar
(5%
acetic
acid)
was
administered
to
pregnant
mice,
rats,
and
rabbits
up
to
1600
mg/
kg
from
GD
6
15–
mice
and
rats;
GD
6
18–
rabbits.
No
abnormalities
were
observed
(MRID
No..
90747).
Ames
test
(With
and
without
activation;
Strains
TA100,
TA1535,
TA97,
TA98,
TA102;
Zeiger
et
al,
1992):
Negative
NIOSH
has
estimated
that
595,000
workers
are
potentially
exposued
to
acetic
acid
in
the
US
Detected
in
2/
12
human
milk
samples
(Pellizzari
et
al,
1982)
OSHA:
10
ppm
per
8
hr
duration.
NIOSH:
10
ppm
per
8
hr
duration.
15
ppm
per
15
min
duration.
50
ppm
considered
`immediately
dangerous
to
life
or
health'
FDA:
GRAS
(maximum
limits
listed
in
21CFR184.1005)
Sodium
acetate
127
09
3
Not
available
1.
In
vitro
studies
suggest
not
teratogenic
(ToxNet;
MRID
No.
33062)
2.
Kavlock
et
al
(1987).
CD1
mice
dosed
via
gavage
at
1000
mg/
kg/
day
from
GD8
12.
No
adverse
effects
seen.
Sister
chromatid
exchange:
negative
Negative:
Ames
test
(With
and
without
activiation
Strains
TA1535,
TA1537,
TA1538
and
D4,
MRID
no.
33076)
FDA
affirmed
GRAS:
21
CFR
184.1721
(not
to
exceed
current
good
manufacturing
practice)
Page
10
of
16
Table
5a:
Acute
Toxicological
Profile:
citric
acid
and
salts
Chemical
CAS
No.
Acute
Oral
LD
50
Acute
Dermal
LD
50
Acute
Inhalation
LD
50
Skin
Irritation
Eye
irritation
Citric
acid
77
92
9
LD
50
(mouse)
5040
mg/
kg
LDLo
(rabbit)
7000
mg/
kg
Not
available
Not
available
Rabbit:
500
mg/
24
Hours:
Miild
Rabbit:
700
ug/
24
Hours:
Severe
Calcium
citrate
7693
13
2
Not
available
Not
available
Not
available
Not
available
Not
available
Potassium
citrate
866
84
2
Sodium
citrate
68
04
2
(anhydrous)
6132
04
3
(dihydrate)
6858
44
2
pentahydrate
Not
available
Not
available
Not
available
Not
available
Not
available
Table
5b:
Toxicological
Profile:
citric
acid
and
salts
Chemical
CAS
No.
Subchronic/
Chronic
Toxicity
Developmental/
Reproductive
Toxicity
Genetic
Toxicity
Other
Relevant
Information
Citric
acid
77
92
9
Not
available
Not
available
Ames
test
(With
and
without
activation;
Strains
TA100,
TA97,
TA98,
TA104;
Al
Ani
and
Al
Lami
et
al,
1988):
Negative
FDA
affirmed
GRAS:
21
CFR
184.1033
(no
limitation)
Chemical
CAS
No.
Subchronic/
Chronic
Toxicity
Developmental/
Reproductive
Toxicity
Genetic
Toxicity
Other
Relevant
Information
Page
11
of
16
Sodium
citrate
68
04
2
(anhydrous)
6132
04
3
(dihydrate)
6858
44
2
(penta
hydrate)
Not
available
In
vitro
studies
suggest
not
teratogenic
Negative:
Ames
test
(With
and
without
activiation
Strains
TA97,
TA102)
FDA
affirmed
GRAS:
21
CFR
184.1751
(no
limitation)
Potassium
citrate
866
84
2
Calcium
citrate
7693
13
2
Not
available
Not
available
Ames
test
(With
and
without
activation;
Strains
TA97,
TA98TA102
TA104;
Fujita
et
al,
1988):
Negative
FDA
affirmed
GRAS:
21
CFR
184.1195
(no
limitation)
(may
be
used
in
infant
formula)
Page
12
of
16
Table
6a:
Acute
Toxicological
Profile:
fumaric
acid
Chemical
CAS
No.
Acute
Oral
LD
50
Acute
Dermal
LD
50
Acute
Inhalation
LD
50
Skin
Irritation
Eye
irritation
Fumaric
acid
110
17
8
LD
50
Rat:
6800
10,700
mg/
kg
LD
50
Mouse:
5000
mg/
kg
LDLo
Rabbit:
5000
mg/
kg
Not
available
Not
available
Rabbit:
500
mg/
24
Hours:
Mild
Rabbit:
100
mg/
24
Hours:
Moderate
Table
6b:
Toxicological
Profile:
fumaric
acid
Chemical
CAS
No.
Subchronic/
Chronic
Toxicity
Developmental/
Reproductive
Toxicity
Genetic
Toxicity
Other
Relevant
Information
Fumaric
acid
110
17
8
1.
Co
administration
with
a
naphthyridine
derivative
resulted
in
fewer
stomach
and
lung
tumors.
2.
Co
injection
with
aflatoxin
B1
reduced
nuclear
degeneration
of
hepatocytes
3.
Tumor
inhibition
study:
1%
in
mouse
diet
for
48WK
following
88
WK
of
thioacetamide
treatment.
Reduced
incidence
In
vitro
studies
suggest
not
teratogenic
1.
Mouse
lymphoma
(with
and
without
activation):
Positive
at
2856
8000
µg/
ml.
2.
Ames
test
(With
and
without
activiation;
Strains
TA97,
TA98,
TA100,
TA102,
TA1535)
FDA:
Direct
and
indirect
food
additive
"At
a
level
not
in
excess
of
the
amount
reasonably
required
to
accomplish
the
intended
effect."
Page
13
of
16
6.
FDA
Sponsored
Developmental
Toxicity
Studies
These
studies
were
performed
by
the
Food
and
Drug
Research
Laboratories
in
the
1970's.
They
have
not
been
reviewed
by
the
Agency,
but
were
reported
in
the
HPV
submission.
Acetic
Acid
At
the
highest
dose
tested
(1600
mg/
kg/
day)
in
the
mouse,
the
rat,
and
the
rabbit,
there
were
no
effects
on
nidation
(fertilization),
or
on
maternal
or
fetal
survival.
Malic
Acid
At
the
only
dose
tested
(350
mg/
kg/
day)
in
the
rat,
there
were
no
treatment
related
fetal
or
maternal
toxic
effects.
No
increases
in
fetal
malformations
were
observed.
At
the
only
dose
tested
(266
mg/
kg/
day)
in
the
mouse,
there
were
no
treatment
related
fetal
or
maternal
toxic
effects.
No
increases
in
fetal
malformations
were
observed.
Citric
Acid
At
the
only
dose
tested
(241
mg/
kg/
day)
in
the
rat,
there
was
no
indication
of
adverse
effects
on
nidation,
maternal,
or
fetal
survival..
7.
Hazard
Characterization:
There
is
no
available
information
on
any
of
the
chemicals
considered
in
this
document
indicative
of
a
hazard,
significant
adverse
effects,
to
the
general
public
or
any
population
subgroup.
These
chemicals
are
naturally
occurring
and
are
part
of
human
metabolic
activity.
8.
Type
of
risk
assessment:
qualitative
9.
Sensitivity
of
Infants
and
Children:
These
chemicals
have
low
toxic
potential.
In
addition,
humans
of
all
ages
are
highly
exposed
to
them
from
natural
and
anthropogenic
sources.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
10.
Fate
and
Ecotoxicity
Assessment:
Page
14
of
16
Acetic
Acid
and
Salts
Acetic
acid
and
its
salts
undergo
dissociation
in
aqueous
media
at
pHs
commonly
found
in
the
environment
to
the
acetate
anion
and
the
respective
cations.
The
toxicity
of
each
compound
is
driven
by
the
acetate
anion
with
the
cations
paying
a
minor
role.
Data
suggest
that
acetic
acid
and
its
salts
are
not
persistent
in
the
environment.
The
available
ecotoxicity
data
indicate
that
these
compounds
are
slightly
to
practically
nontoxic
on
an
acute
basis.
Citric
Acid
and
Salts
Similarly,
citric
acid
and
its
salts
also
undergo
dissociation
in
aqueous
media
in
the
environment
to
the
citrate
anion
and
the
respective
cations.
The
toxicity
of
each
compound
is
driven
by
the
citrate
anion
with
the
cations
paying
a
minor
role.
The
available
information
indicate
that
citric
acid
and
its
trisodium
salt
are
readily
biodegraded
and
modeling
predicts
that
any
citric
acid
released
to
the
environment
would
partition
to
water.
Therefore
existing
data
indicates
that
citric
acid
and
its
salts
would
not
be
persistent
in
the
environment.
The
available
ecotoxicity
data
indicate
that
these
compounds
are
practically
nontoxic
on
an
acute
basis.
Fumaric
Acid
Fumaric
acid
is
highly
soluble
in
water
and
has
low
volatility.
Virtually
all
the
fumaric
acid
released
to
the
environment
would
partition
to
water.
Complete
biodegradation
would
take
approximately
21
days.
The
available
ecotoxicity
data
indicate
that
fumaric
acid
is
slightly
to
practically
non
toxic
on
an
acute
basis.
Malic
Acid
Malic
acid
is
highly
soluble
in
water
and
has
a
low
volatility.
It
is
considered
to
be
readily
biodegradable
in
soil
and
water.
Modeling
predicts
that
any
citric
acid
released
to
the
environment
would
partition
to
water.
Existing
data
indicates
that
malic
acid
salts
would
not
be
persistent
in
the
environment.
Based
on
a
limited
amount
of
data
and
malic
acid's
structural
similarities
to
the
above
chemicals,
malic
acid
is
likely
to
be
practically
non
toxic
on
an
acute
basis.
11.
Fate
and
Ecotoxicity
Characterization
Page
15
of
16
A
review
of
the
readily
available
information
on
the
chemical
substances
discussed
in
this
document
is
sufficient
to
conduct
a
qualitative
assessment
of
the
potential
exposures
and
risks
associated
with
their
use
as
pesticide
inert
ingredients.
Environmental
loadings
are
attributable
to
natural
(plants
and
animal
materials)
and
anthropogenic
(food
additives,
drugs,
and
related
products)
sources.
Available
data
indicate
that
they
rapidly
dissociate
in
the
aquatic
environment
at
environmentally
relevant
pHs
to
the
corresponding
acid
(anion)
and
its
respective
cation.
Anions
of
the
respective
compounds
undergo
aerobically
mediated
mineralization
in
days
to
weeks;
mineralization
is
complete
degradation
to
CO2
and
water.
Mobility
of
the
anions
is
expected
to
be
high
based
on
adsorption
estimates,
however,
migration
to
ground
water
should
be
substantially
mediated
through
their
rapid
biodegradation,
volatilization,
or
through
their
uptake
and
utilization
within
plant
cells.
12.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
"other
substances
that
have
a
common
mechanism
of
toxicity."
The
citric
acid
cycle
chemicals
are
structurally
related;
however,
all
are
low
toxicity
chemicals.
Therefore,
the
resultant
risks
separately
and/
or
combined
should
also
be
low.
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
these
chemicals
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
13.
IIFG
Recommendations:
By
consensus
there
were
no
objections
to
the
following:
The
following
tolerance
exemptions
are
reassessed:
In
40
CFR
180.2
citric
acid
and
fumaric
acid.
In
40
CFR
180.1001
(c)
acetic
acid,
calcium
citrate,
citric
acid,
potassium
citrate,
and
sodium
acetate.
In
40
CFR
180.1001
(d)
sodium
citrate.
In
40
CFR
180.1001
(e)
acetic
acid,
citric
acid,
and
potassium
citrate.
The
tolerance
exemption
for
fumaric
acid
in
40
CFR
180.1001
(d)
was
inadvertently
deleted
and
can
be
re
established.
Additionally,
tolerance
exemptions
can
be
established
for
the
potassium,
calcium
and
magnesium
salts
of
acetic
acid
and
malic
acid.
The
following
List
reclassifications
are
made:
Acetic
acid:
Reclassified
from
List
4A
to
List
4B.
Glacial
acetic
acid
does
not
meet
the
criteria
of
Page
16
of
16
a
List
4A.
The
original
intent
was
to
establish
List
4A
classification
for
Vinegar.
Vinegar
(maximum
of
8%
acetic
acid
in
solution):
List
4A
Acetic
acid:
sodium,
potassium,
calcium,
magnesium
salts:
List
4A
Citric
acid:
List
4A,
to
harmonize
with
its
use
as
FIFRA
25(
b)
active
ingredient
Citric
acid:
sodium,
potassium,
calcium,
salts:
List
4A
Malic
acid
:
List
4A,
to
harmonize
with
its
use
as
FIFRA
25(
b)
active
ingredient
Fumaric
acid:
List
4A
based
on
its
similarities
to
malic
and
citric
acid
Attachment:
EFED
review
(Abel;
February
28,
2002)
| epa | 2024-06-07T20:31:44.160055 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0007/content.txt"
} |
EPA-HQ-OPP-2002-0280-0008 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
20
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
July
24,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
IIFG
Decision
Documents
on
Reassessing
Exemptions
from
the
Requirement
of
a
Tolerance
for
the
Mineral
Acids
(Hydrochloric,
Carbonic,
Phosphoric,
and
Sulfuric)
and
their
Ammonium,
Calcium,
Ferrous,
Ferric,
Magnesium,
Potassium,
Sodium,
and/
or
Zinc
Salts
Collectively
these
Decision
Documents
cover
four
mineral
acids
and
the
salts
of
these
acids.
The
individual
Decision
Documents
are:
(1)
Hydrochloric
Acid
and
Salts,
(2)
Salts
of
Carbonic
Acid,
(3)
Phosphoric
Acid
and
Salts,
and
(4)
Sulfuric
Acid
and
Salts.
The
Inert
Ingredient
Focus
Group
reassessment
is
based
on
various
conclusions
of
the
FAO/
WHO
Joint
Expert
Committee
on
Food
Additives,
conclusions
of
various
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments,
information
previously
used
by
OPP
as
part
of
the
reregistration
process,
and
other
information
available
on
government
websites.
In
total
46
exemptions
from
the
requirement
of
a
tolerance
in
40
CFR
180
are
reassessed.
This
total
consists
of
18
in
the
phosphoric
acid
document,
nine
in
the
hydrochloric
acid
document,
six
in
the
carbonic
acid
document,
and
13
in
the
sulfuric
acid
document.
Page
2
of
20
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Hydrochloric
Acid
and
Salts
Petition
No.:
no
Tolerance
Reassessments?:
yes
Chemical
Category/
Group:
mineral
acid
and
salts
The
following
describes
the
various
ways
that
hydrochloric
acid
and
its
salts
are
used.
Table
1:
Use
Pattern
(pesticidal
inert
ingredient)
Chemical
Name
PC
Code
40
CFR
180.1001
Inert
Use
Pattern
(Pesticidal)
Current
Inert
List
hydrochloric
acid
045901
845901
(c)
solvent,
neutralizer
3
ammonium
chloride
900327
(c)
intensifer,
fire
suppressant
4B
calcium
chloride
875605
(c),
(e)
stabilizer
4B
ferric
chloride
834901
(d)
limitation
of
2%,
suspending,
dispersing
agent
4B
magnesium
chloride
013902
813902
(c)
safener
4B
potassium
chloride
813904
(c)
solid
diluent,
carrier
4B
sodium
chloride
800012
(c)
solid
diluent,
carrier
4A
There
is
also
a
tolerance
exemption
for
sodium
chloride
in
40
CFR
180.2.
Use
Pattern:
(pesticidal
active
ingredient)
At
this
time,
only
hydrochloric
acid
and
magnesium
chloride
are
used
as
active
ingredients.
Page
3
of
20
Hydrochloric
acid
is
used
as
a
disinfectant
in
48
products.
Many
of
these
products
are
toilet
bowl
cleaners,
with
concentrations
of
hydrochloric
acid
ranging
from
9.5
to
60%.
However,
potable
human
drinking
water
systems,
meat
and
poultry
processing
plants,
and
hospitals
are
also
use
sites.
Magnesium
chloride
is
used
as
an
herbicide
at
iceplants
in
only
one
product.
There
are
no
longer
any
EPA
registered
active
ingredient
uses
for
any
of
the
other
above
listed
chloride
salts.
Table
2:
Use
Pattern
(FDA
GRAS)
Chemical
GRAS
Citation
GRAS
Uses
hydrochloric
acid
21
CFR
182.1057
neutralizing
agent
ammonium
chloride
21
CFR
184.1138
dough
strengthener,
flavor
enhancer,
leavening
agent,
processing
aid
calcium
chloride
21
CFR
184.1193
anticaking
agent,
antimicrobial
agent,
curing
or
pickling
agent,
firming
agent,
flavor
enhancer,
humectant,
nutrient
supplement,
pH
control
agent,
processing
aid,
stabilizer
and
thickener,
surface
active
agent,
synergist,
texturizer
ferric
chloride
21
CFR
184.1297
flavoring
agent
magnesium
chloride
21
CFR
184.1426
flavoring
agent
and
adjuvant,
nutrient
supplement
potassium
chloride
21
CFR
184.1622
flavor
enhancer,
flavoring
agent,
nutrient
supplement,
pH
control
agent,
stabilizer
or
thickener
Ammonium
chloride
and
calcium
chloride
also
have
uses
in
food
contact
surface
sanitizing
solutions
under
21
CFR
178.1010.
Page
4
of
20
Table
3:
Use
Pattern
(non
pesticidal):
Chemical
Uses
hydrochloric
acid
in
the
production
of
chlorides;
refining
ore
in
the
production
of
tin
and
tantalum;
to
neutralize
basic
systems;
laboratory
reagent;
hydrolyzing
of
starch
and
proteins
in
the
preparation
of
various
food
products;
pickling
and
cleaning
of
metal
products;
as
catalyst
and
solvent
in
organic
synthesis;
for
oil
and
gas
well
treatment;
in
removing
scale
from
boilers
and
heat
exchange
equipment;
pharmaceutic
aid
(acidifier).
ammonium
chloride
solutions
for
eye
irrigation,
fertilizer,
dyeing,
electroplating,
safety
explosives,
lustering
cotton,
washing
powders,
electrolyte
for
dry
cell
batteries,
soldering,
metal
and
refinishing
flux,
galvanizing
calcium
chloride
used
for
antifreeze
and
refrigerating
solution,
in
fire
extinguishers,
to
preserve
wood
and
stone,
ice
manufacturing,
glues,
cements,
fireproofing
fabrics,
automobile
antifreeze
mixtures,
to
melt
ice
and
snow,
as
coagulant
in
rubber
manufacturing,
as
size
in
admixture
with
starch
paste,
in
concrete
mixes
to
give
quicker
initial
set
and
greater
strength,
freezeproofing
of
coal
and
ores,
dust
control
on
unpaved
roads,
sizing
and
finishing
cotton
fabrics,
as
brine
for
filling
inflatable
tires
on
tractors
to
increase
traction.
ferric
chloride
treatment
of
sewage
and
industrial
wastes;
etching
agent
for
engraving,
photography,
and
printed
circuitry;
condensation
catalyst
in
Friedel
crafts
reactions;
mordant;
oxidizing,
chlorinating,
and
condensing
agent;
disinfectant;
pigment;
feed
additive;
water
purification.
magnesium
chloride
source
of
magnesium
metal,
chemical
intermediate
for
magnesium
oxychloride
for
cement,
catalyst,
flocculating
agent,
agent
in
fire
extinguishers,
agent
in
textile
and
paper
manufacturing,
component
for
ceramics,
fireproofing
agent
for
wood,
component
of
refrigerating
brines
potassium
chloride
fertilizer
component
(primary
plant
nutrient);
chemical
intermediate
in
production
of
other
potassium
salts;
photography;
medical
uses
both
orally
and
intravenously
for
treating
potassium
depletion
states;
dietary
supplement.
sodium
chloride
In
the
production
of
chemicals
(sodium
hydroxide,
soda
ash,
hydrogen
chloride,
chlorine,
metallic
sodium),
ceramic
glazes,
metallurgy,
curing
hides,
food
preservative,
food
seasoning,
mineral
waters,
soap
manufacture
(salting
out),
home
water
softeners,
highway
deicing,
regeneration
of
ion
exchange
resins,
photography,
herbicide,
fire
extinguishing,
nuclear
reactors,
mouthwash,
medicine
(heat
exhaustion
intravenous
solutions
for
fluid
replacement),
saline
solutions
for
eye
washes
and
contact
lens
solutions,
salting
out
dyestuffs,
supercooled
solutions.
It
should
be
noted
that
ammonium
chloride
and
potassium
chloride
have
uses
as
fertilizers.
Plants
need
various
elements
(metals
and
non
metals)
for
proper
growth.
Especially
for
agricultural
crops,
plants
are
supplied
these
elements
as
part
of
chemical
fertilizers.
The
most
important
elements
for
plant
growth
are
nitrogen,
phosphorus,
and
potassium.
Other
metals
needed
in
the
soil
for
plant
up
take
are
calcium,
magnesium,
iron,
and
trace
elements
such
as
zinc.
Both
potassium
chloride
and
ammonium
chloride
are
intentionally
added
to
growing
agricultural
crops
as
needed
to
promote
plant
growth.
Page
5
of
20
Page
6
of
20
Assessment
of
Hydrochloric
Acid
and
its
Salts
Hydrochloric
acid
and
its
ammonium,
sodium,
potassium,
calcium,
magnesium,
and
iron
salts
are
being
assessed
as
a
group
due
to
their
chemical
similarities.
Due
to
its
acidic
nature
the
toxicity
of
hydrochloric
acid
will
be
different
from
those
of
the
more
neutral
chloride
salts.
However,
the
chloride
salts
all
contain
the
chloride
ion
and
thus
share
some
common
chemistries.
A
major
focus
of
this
assessment
is
the
work
previously
performed
by
FDA
in
assessing
the
safety
of
these
chemicals
as
food
additives.
1.
Physical/
Chemical
Properties:
The
physical
and
chemical
properties
of
hydrochloric
acid
and
its
various
salts
are
described
in
the
May
7,
2002
EFED
Assessment.
See
attached.
2.
Information
Sources:
The
following
information
was
used
in
performing
this
assessment.
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as:
°EPA(
www.
epa.
gov),
°NIOSH,(
www.
cdc.
gov/
niosh/
ipcsneng/
neng1184.html),
(www.
cdc.
gov/
niosh/
ipcsneng/
neng1051.html),
(www.
cdc.
gov/
niosh/
ipcsneng/
neng0764.html),
(www.
cdc.
gov/
niosh/
npg/
npgd0229.html),
and
(www.
cdc.
gov/
niosh/
npg/
npgd0346.html)
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.),
°WHO(
www.
inchem.
org/
documents/
jecfa/
jecmono/
v05je83.htm)
and
(www.
inchem.
org/
documents/
jecfa/
jecmono/
40abcj43.htm)
Various
FDA
GRAS
Assessments
were
used,
as
well
as,
the
FAO/
WHO
Assessments.
3.
NIOSH
(National
Institute
for
Occupational
Safety
and
Health)
The
NIOSH
Pocket
Guide
for
hydrogen
chloride
indicates
that
hydrogen
chloride
is
a
colorless
to
slightly
yellow
gas
with
a
pungent,
irritating
odor.
It
is
nonflammable.
Additional
information
on
the
NIOSH
web
site
included
the
Occupational
Health
Guideline
for
Hydrogen
Chloride.
Hydrogen
chloride
gas
irritates
the
eyes,
mucous
membranes,
and
skin.
The
current
OSHA
standard
for
hydrogen
chloride
is
a
ceiling
of
7
mg/
m
3
.
Ingestion
of
hydrochloric
acid
can
cause
severe
burns
of
the
mucous
membranes
of
the
mouth,
esophagus,
and
stomach.
The
NIOSH
International
Chemical
Safety
Cards
for
magnesium
and
calcium
chloride
indicate
that
TLVs
(Threshold
Limit
Values)
have
not
been
established.
Both
chemicals
can
irritate
the
skin
and
the
respiratory
tract,
and
when
dissolved
in
water
liberate
a
considerable
amount
of
heat.
Page
7
of
20
According
the
International
Chemical
Safety
Card
for
ammonium
chloride,
the
substance
irritates
the
eyes,
the
skin
and
the
respiratory
tract.
The
TLV
is
established
only
for
the
fume.
The
NIOSH
International
Chemical
Safety
Cards
for
iron
salts
(soluble,
as
Fe)
which
includes
ferric
chloride
indicates
an
exposure
limit
of
1
mg/
m
3
(time
weighted
average).
4.
Acid
Characteristics
An
acid
is
a
substance
that
when
dissolved
in
water
yields
H
+
ions.
The
increase
of
the
concentration
of
the
H
+
ions
lowers
the
pH.
Mineral
acids
contain
a
non
metal
such
as
phosphorus,
nitrogen,
sulfur,
or
chlorine
which
may
or
may
not
be
combined
with
oxygen.
When
combined
with
oxygen,
these
anions
can
be
referred
to
as
oxyanions.
Strong
acids
are
those
acids
that
when
dissolved
completely
transfer
their
H
+
ions
to
water.
Hydrochloric
acid
is
an
example
of
a
strong
acid.
5.
Cations:
Sodium,
Potassium,
Calcium,
Magnesium,
and
Iron
Generally,
a
salt
of
a
strong
acid,
such
as
hydrochloric
acid,
when
dissolved
in
water
dissociates
to
yield
the
chloride
ion
(an
anion,
which
is
negatively
charged)
and
a
positively
charged
cation.
In
the
human
body,
these
salts
tend
to
dissociate
and
thus,
for
the
most
part,
react
in
the
body
as
the
anion
and
the
cation.
Metals
such
as
calcium,
sodium,
magnesium,
potassium,
and
iron
are
also
required
for
proper
functioning
of
human
biological
systems.
For
risk
assessment
purposes
an
important
feature
of
these
metals
is
that
overall
the
body
does
have
an
effective
means
of
processing
them.
The
primary
means
of
exposure
to
these
cations
is
ingestion.
Four
of
the
most
common
cations
required
for
functioning
of
human
biology
are:
sodium,
potassium,
calcium
and
magnesium.
Chemically,
sodium
and
potassium
belong
to
the
same
chemical
family:
calcium
and
magnesium
belong
to
a
different
chemical
family.
Sodium:
The
average
human
body
burden
of
sodium
is
approximately
20
grams
(g)
for
a
70
kilogram
(kg)
adult.
The
sodium
cation
is
necessary
for
the
nerves
and
muscles
to
function
properly.
It
is
the
principal
cation
of
extracellular
fluid,
and
helps
to
maintain
the
body's
water
balance.
These
electrolytes,
the
electrically
charged
ions
in
the
body
fluids,
consist
to
a
great
extent
of
sodium
and
potassium.
There
is
no
Recommended
Dietary
Allowance
(RDA)
for
sodium.
Potassium:
The
average
human
body
burden
of
potassium
is
approximately
140
g
for
a
70
kg
adult.
The
potassium
cation
is
important
in
regulating
blood
pressure,
regulating
cellular
water
content,
Page
8
of
20
maintaining
proper
pH
balance,
and
transmission
of
nerve
impulses.
It
helps
to
regulate
the
electrical
activity
of
the
heart
and
muscles.
The
potassium
RDA
is
900
mg/
day.
Calcium:
The
average
human
body
burden
of
calcium
is
approximately
1
kg
for
a
70
kg
adult;
or
1/
70th
of
our
weight
is
calcium.
The
calcium
cation
is
necessary
for
bone
and
teeth
formation.
It
is
also
important
for
the
proper
functioning
of
nerves,
enzymes,
and
muscles,
and
plays
a
role
in
blood
clotting
and
the
maintenance
of
cell
membranes.
The
RDAs
for
calcium
are
1000
mg/
day
for
adults
aged
19
to
50
years
and
1200
mg/
day
for
individuals
older
than
50
years.
Magnesium:
The
average
human
body
burden
of
magnesium
is
approximately
20
g
for
a
70
kg
adult.
The
magnesium
cation
is
also
used
in
building
bones.
It
plays
a
role
in
releasing
energy
from
muscles
and
regulating
body
temperature.
The
RDA
for
magnesium
is
310
to
320
mg/
day
for
adult
females
and
400
to
420
mg/
day
for
adult
males
with
the
RDA
increasing
with
increasing
age.
Iron:
Another
common
metal
cation
that
is
needed
for
functioning
of
human
biology,
but
in
smaller
amounts
often
referred
to
as
trace,
is
iron.
The
human
body
burden
of
iron
is
approximately
4.1
g
for
a
70
kg
adult.
Iron
functions
as
a
carrier
of
oxygen.
The
hemoglobin
molecule
in
blood
transports
oxygen
from
the
lungs
to
the
cells.
The
myoglobin
molecule
supplies
oxygen
to
muscle
cells.
Iron
deficiency
is
characterized
by
anemia,
stunted
growth,
fatigue,
and
lowered
resistance
to
infection.
The
RDAs
for
iron
are
10
mg/
day
[0.14
mg/
kg/
day
for
an
adult
(70
kg)
male
(25
to
50
years)]
and
15
mg/
day
[0.
25
for
an
adult
(60
kg)
female
(19
to
50
years)].
Pregnant
and
nursing
woman
have
increased
requirements
for
iron.
Dietary
iron
is
poorly
absorbed.
The
intestinal
mucosa
is
a
limiting
factor
in
iron
absorption.
Normal
absorption
is
about
1
mg/
day
in
an
adult
male,
and
about
1.4
mg/
day
in
an
adult
female.
Absorption
occurs
in
the
divalent
(ferrous)
form,
which
must
then
be
oxidized
to
the
trivalent
(ferric)
form
for
use.
Acute
toxicity
of
iron
ingested
from
normal
dietary
sources
has
not
been
reported.
However,
death
especially
in
young
children
has
resulted
from
ingestion
of
large
overdoses
of
medicinal
iron.
(doses
ranging
from
40
to
1600
mg/
kg
average
900
mg/
kg).
It
is
noted
that
the
iron
from
ferric
salts
is
less
well
absorbed
than
that
from
ferrous
salts.
6.
Ammonium
Salt:
Ammonium
chloride
dissociates
to
the
chloride
anion
and
the
positively
charged
ammonium
cation
(NH4
+
).
Humans
cannot
convert
atmospheric
nitrogen
to
any
form
that
can
be
used
as
part
of
any
of
the
various
metabolic
cycles.
Therefore,
reduced
nitrogen
(NH4
+
)hasto
Page
9
of
20
enter
the
body
from
an
outside
source.
These
sources
are
the
nitrogen
containing
amino
acids
in
protein
which
are
consumed
daily
as
part
of
the
diet.
Although
the
human
body
can
produce
some
amino
acids,
ten
amino
acids
are
considered
"essential"
amino
acids,
i.
e.,
they
must
be
consumed
in
the
diet.
Generally
the
body
works
to
maintain
a
balance
of
nitrogen
intake
and
nitrogen
excretion.
The
estimated
daily
ammonia
intake
through
food
and
drinking
water
is
18
mg.
In
contrast,
4000
mg
of
ammonia
per
day
are
produced
endogenously
in
the
human
intestine.
Ammonia
and
the
ammonium
ion
are
integral
components
of
normal
human
metabolic
processes.
Ammonia
is
released
following
deamination
that
occurs
when
protein
is
used
by
the
body
for
energy
production.
The
liver
converts
ammonia
via
the
urea
cycle
into
urea.
According
to
FDA
in
the
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974),
"the
normal
liver
so
readily
detoxifies
ammonium
ion
from
alimentary
sources
that
blood
concentrations
of
ammonium
salts
do
not
rise
to
the
levels
necessary
to
evoke
toxic
response."
Approximately
80%
of
the
body's
excess
nitrogen
is
eliminated
through
the
kidneys
as
urea,
approximately
25
to
30
grams
per
day.
Page
10
of
20
7.
Toxicological
Profile
Table
With
the
exception
of
the
information
in
IRIS
(Integrated
Risk
Information
System),
the
Agency
has
not
reviewed
any
of
the
toxicological
studies
in
the
following
table
for
hydrochloric
acid
or
any
of
its
salts.
The
reviews
of
these
studies
were
obtained
from
Toxnet,
as
well
as
other
government
websites.
Table
4:
Toxicological
Profile
Chemical
Toxicity
Other
Information
Hydrochloric
Acid
Severely
corrosive
by
all
routes
as
1N
solution;
IRIS
RfC
=
2
x
2
2
mg/
m
3
based
on
hyperplasia
of
nasal
mucosa,
larynx
and
trachea
in
rat
chronic
inhalation
study;
LOAEL
=
15
mg/
m
3
(10ppm);
Chemical
has
no
systemic
toxicity
associated
with
exposure
except
the
acute
effects
of
corrosion/
irritation
depending
upon
the
pH
of
the
solution.
CERCLA
Reportable
Quantity:
greater
than
10
lb
(4.
54
kg);
Hazardous
Air
Pollutant
(HAP)
chemical;
1995
production
7.
33
billion
lbs;
Ammonium
Chloride
Mild
skin
and
respiratory
system
irritant;
Dust
irritating
to
eyes;
Ingestion
of
40
to
50
g
over
a
short
period
would
be
expected
to
exhaust
available
body
buffers
of
the
average
adult
and
produce
potentially
fatal
acidosis.
Mild
acidosis
occurs
at
a
dose
of
2
g;
One
sixth
molar
ammonium
chloride
was
given
to
mice
orally
in
the
drinking
water
after
day
7
during
pregnancy
and
although
the
offspring
were
small
sized
no
congenital
defects
were
found;
Absorbed
almost
100%
in
the
gastrointestinal
tract
CERCLA
Reportable
Quantity:
greater
than
5000
lb
(2270
kg);
Page
11
of
20
Magnesium
Chloride
Rat
oral
LD50
=
2800
mg/
kg;
signs:
convulsions,
changes
in
respiration
and
cardiac
function;
Drug
use
as
electrolyte
replenisher
in
hemadialysis
and
peritoneal
dialysis
fluid;
Cathartic;
90
day
study
in
rats
with
magnesium
chloride
hexahydrate
doses
0,
0.
1,
0.
5,
2.
5%
in
diet
NOAEL
=
2.
5%
(highest
dose
tested
(HDT));
Developmental
study
in
rats
with
magnesium
chloride
hexahydrate
doses:
0,
200,
400,
800mg/
kg/
day
NOAEL=
800mg/
kg/
day
(HDT);
Carcinogenicity
study
in
mice
with
magnesium
chloride
hexahydrate
doses
0,
0.5,
2%
in
diet
for
96
wks–
not
carcinogenic
Deliquescent
US
production
1972
8.6
x
10
11
grams
Calcium
Chloride
Rat
oral
LD50
=
1000
mg/
kg;
Mouse
LD50
=
1940
mg/
kg;
Anhydrous
form
irritating
to
skin,
eyes
and
mucus
membranes
Hygroscopic;
Liberates
heat
during
water
absorption
and
on
dissolution;
US
production
1993
1.4
billion
lbs
Ferric
Chloride
Rat
oral
LD50
=
0.
5
5
g/
kg
added
to
bottled
water;
Skin,
eye
and
mucous
membrane
irritant;
Carcinogenicity
study
in
rats
at
doses
of
0,
0.
25,
0.
5%
in
drinking
water
was
negative;
Excess
ingestion
of
iron
produces
liver
toxicity;
Acute
ingestion
of
0.
5
g
of
iron
produces
severe
toxicity
Hygroscopic;
CERCLA
Reportable
Quantity:
greater
than
100
lb
(45.
4
kg);
US
production
1.
2
x
10
11
grams;
iron
drinking
water
guideline
300
ug/
L
Page
12
of
20
Potassium
Chloride
Rat
oral
LD50
=
2600
3020
mg/
kg;
Mild
eye
irritation
for
rabbits;
Irritating
to
skin
and
mucous
membranes;
Commercial
dietary
salt
substitute;
US
production
1980
=
3
x
10
12
grams;
OSHA
PEL
=
15
mg/
m
3
,
5
mg/
m
3
for
respirable
particles
Sodium
Chloride
Skin,
eye
and
mucous
membrane
irritant;
Affects
blood
pressure
in
humans;
Average
daily
intake
of
US
citizens
10
12
g/
day
with
3
g
occurringnaturally,3
g
added
incooking,
46
g
inprocessed
foods
Common
table
salt,
sea
salt
Page
13
of
20
8.
OPP
REDs
(Reregistration
Eligibility
Decision
Document)
Mineral
Acid
RED
The
following
information
on
the
acute
toxicity
of
hydrochloric
acid
was
in
the
1993
RED:
The
oral
LD50
is
1000
mg/
kg,
toxicity
category
III.
The
dermal
LD50
is
>
2000
mg/
kg,
toxicity
category
III.
Hydrochloric
acid
is
toxicity
category
I
for
eye
and
dermal
irritation.
No
other
toxicological
data
were
required
based
on
the
use
patterns
at
the
time
of
the
RED
and
the
corrosiveness
shown
in
the
acute
studies
for
dermal
and
eye
irritation.
Inorganic
Halide
RED
This
1993
RED
included
sodium
chloride.
The
oral
LD50
(rat)
is
3000
mg/
kg,
toxicity
category
III.
Sodium
chloride
was
classified
as
moderate,
toxicity
category
III
for
eye
irritation,
and
mild,
toxicity
category
IV
for
skin
irritation.
Because
of
its
abundance
in
the
environment
and
low
toxicity
to
humans,
no
additional
toxicity
data
were
required.
9.
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments
Hydrochloric
Acid
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Hydrochloric
Acid
as
a
Food
Ingredient"
(1979).
Hydrochloric
acid
has
a
variety
of
FDA
approvals
for
food
additive
use.
"Food
stuffs
to
which
hydrochloric
acid
has
been
added
expose
consumers
predominantly
to
chloride
ions
and
other
chemical
products
resulting
from
its
reaction
to
chloride
ions
and
other
chemical
products
resulting
from
its
reaction
with
neutralizing
agents
or
chemicals
in
the
food.
Free
hydrochloric
acid
would
be
expected
to
be
present
in
only
minute
amounts,
if
at
all."
The
human
stomach
normally
contains
sufficient
hydrochloric
acid
to
maintain
the
pH
of
gastric
juice
at
1.5
to
2.
5.
The
introduction
of
any
hydrochloric
acid
into
the
stomach
proportionally
depresses
the
secretion
of
the
acid
by
the
stomach.
According
to
FDA:
"Hydrochloric
acid
in
concentrated
form
is
a
strongly
corrosive
agent
and
the
consequences
of
exposure
to
it
are
well
known.
However,
as
it
is
used
in
food
processing,
or
as
a
food
additive
to
adjust
the
pH,
hydrochloric
acid
is
neutralized
or
buffered
by
the
food
to
which
it
is
added.
Thus,
human
consumption
is
not
of
the
acid,
but
of
the
chloride
ion
in
the
salts
formed
in
the
neutralization
process.....
There
is
no
evidence
in
the
available
information
on
hydrochloric
acid
that
demonstrates
or
suggests
reasonable
grounds
to
suspect
a
hazard
to
the
public
when
it
is
used
at
levels
that
are
now
current
or
that
might
reasonably
be
expected
Page
14
of
20
in
the
future."
Ammonium
Chloride
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974).
"Ammonia
and
ammonium
ion
are
integral
components
of
normal
metabolic
processes
and
play
an
essential
role
in
the
physiology
of
man.
Although
there
have
been
no
significant
feeding
studies
specifically
designed
to
ascertain
the
safety
threshold
of
ammonium
compounds
as
food
ingredients,
numerous
metabolic
studies
have
been
reported
in
the
scientific
literature.
Extrapolation
of
these
findings
to
the
concentrations
of
ammonium
compounds
normally
present
in
foods
does
not
suggest
that
there
would
be
untoward
effects
at
such
levels."
Calcium
Chloride
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Certain
Calcium
Salts
as
Food
Ingredients"
(1975).
The
estimated
per
capita
daily
intake
of
calcium
chloride
is
160
mg.
Both
the
calcium
and
the
chloride
are
common
constituents
of
food
and
are
metabolized
by
the
normal
metabolic
processes
in
humans.
Magnesium
Chloride
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Magnesium
Salts
as
Food
Ingredients"
(1976).
Magnesium
is
(1)
a
dietary
essential,
(2)
involved
in
many
metabolic
reactions,
(3)
important
in
electrolyte
balance,
and
(4)
present
in
fruits,
vegetables,
grains,
milk,
meat
and
fish.
No
chronic
toxicity
data
were
available.
The
"status
of
magnesium
as
a
ubiquitous
and
essential
dietary
ingredient
for
the
maintenance
of
homeostatic
and
bioenergetic
mechanisms
leads
to
the
opinion
that
none
of
the
available
evidence
suggests
any
probable
hazard
when
any
of
the
GRAS
compounds
of
magnesium
is
used
as
a
food
ingredient."
The
conclusion
was
reached
that
there
was
no
available
information
on
magnesium
chloride
to
demonstrate,
or
suggest
"reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
...
used
at
levels
that
are
now
current
and
in
the
manner
now
practiced,
or
which
might
reasonably
be
expected
in
the
future."
Potassium
Chloride
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Sodium
Chloride
and
Potassium
Chloride
as
Food
Ingredients"
(1979).
The
concentration
of
potassium
in
blood
serum
is
maintained
normally
between
3.
5
and
5
meq/
L.
"The
available
evidence
indicates
that
in
normal
individuals
potassium
chloride
is
well
tolerated,
and
that
metabolism
quickly
and
efficiently
adjusts
potassium
in
the
Page
15
of
20
body
to
narrow
homeostatic
levels.
Certain
health
conditions
are
known
to
affect
the
normal
homeostatic
control
of
sodium
and
potassium
in
the
body
to
narrow
homeostatic
levels.
Certain
health
conditions
are
known
to
affect
the
normal
homeostatic
control
of
sodium
and
potassium
metabolism,
and
patients
with
these
conditions
must
adjust
their
diets
to
avoid
proscribed
electrolyte
intakes.
Water
intake,
efficiency
of
the
kidney,
and
the
ratio
of
sodium
to
potassium
in
the
diet
are
interrelated
factors
that
must
be
evaluated
in
considering
the
health
aspects
of
changing
the
relative
intakes
of
sodium
chloride
and
potassium
chloride."
It
was
concluded:
"There
is
no
evidence
in
the
available
information
on
potassium
chloride
that
demonstrates
or
suggests
reasonable
grounds
to
suspect
a
hazard
to
the
public
when
it
is
used
at
levels
that
are
now
current
or
that
might
reasonably
be
expected
in
the
future."
Sodium
Chloride
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Sodium
Chloride
and
Potassium
Chloride
as
Food
Ingredients"
(1979).
Sodium
chloride,
commonly
known
as
table
salt,
occurs
abundantly
in
nature,
in
sea
water
and
mineral
springs,
and
in
large
underground
deposits.
The
mineral
form
is
called
halite.
It
is
a
food
ingredient
and
has
historically
been
considered
an
essential
part
of
the
diet.
The
body
must
have
some
sodium.
The
human
body
has
a
homoeostatic
control
to
maintain
the
proper
balance
of
sodium,
potassium.
and
chlorine
in
the
human
body.
The
concentration
of
sodium
in
blood
serum
is
maintained
normally
between
136
to
145
meq/
L.
That
of
chlorine
is
96
to
106
meq/
L.
The
American
diet
is
considered
to
contain
an
abundance
of
salt
which
if
consumed
in
excess,
may
have
adverse
health
consequences.
In
fact,
treatment
of
certain
diseases
such
as
hypertension
can
require
restriction
of
salt
intake.
Acute
and
chronic
toxic
effects,
including
death,
can
occur
when
salt
is
ingested
in
excessive
amounts.
There
is
no
daily
requirement
for
salt,
as
it
would
be
a
level
highly
dependent
all
dietary
sources,
the
level
of
potassium
and
the
sodium
to
potassium
ratio
in
the
diet,
and
health
conditions
such
as
sweating.
The
Assessment
considers
that
the
consumption
of
sodium
chloride
in
the
aggregate
should
be
lowered
in
the
United
States.
The
Assessment
concluded:
"The
evidence
on
sodium
chloride
is
insufficient
to
determine
that
the
adverse
effects
reported
are
not
deleterious
to
the
health
of
a
significant
proportion
of
the
public
when
it
is
used
at
levels
that
are
now
current
and
in
the
manner
now
practiced."
10.
FAO/
WHO
Expert
Committee
on
Food
Additives
Page
16
of
20
WHO
has
performed
two
assessments:
hydrochloric
acid
in
1966
and
calcium
acetate,
chloride,
gluconate,
and
sulfate
in
1973.
Both
assessments
discussed
that
from
a
toxicological
point
of
view,
there
were
no
concerns
for
the
chloride
ion.
It
was
considered
to
be
naturally
occurring
and
a
normal
participant
of
animal
and
human
metabolism.
11.
Human
Health
Hazard
Characterization:
Hydrochloric
acid
in
its
concentrated
form
is
highly
corrosive.
Due
to
this
property
toxicity
testing
can
only
be
performed
on
dilute
concentrations
or
on
neutralized
forms
of
the
acid
such
as
a
salt.
The
consequences
of
acute
exposure
to
hydrochloric
acid
are
well
understood.
Dermal
exposure
can
lead
to
burns.
Exposure
to
the
gas
can
cause
severe
irritation
of
the
upper
respiratory
tract.
Exposure
to
hydrochloric
acid
in
pesticide
products
as
an
inert
ingredient
would
be
in
the
role
of
a
pH
adjuster.
This
is
indicative
of
the
use
of
small
amounts
of
hydrochloric
acid
that
are
incorporated
in
a
pesticide
product
to
lower
the
pH
.
After
the
pH
adjustment
is
performed,
the
hydrochloric
acid
would
be
neutralized.
As
an
active
ingredient
hydrochloric
acid
is
subject
to
FIFRA
(Federal
Insecticide,
Fungicide,
and
Rodenticide
Act)
registration
requirements
and
various
labeling
language
as
specified
in
the
RED.
Hydrochloric
acid,
whether
used
as
an
inert
or
an
active
ingredient,
must
be
used
and
applied
according
to
good
manufacturing
or
good
agricultural
practices.
However,
there
are
no
significant
adverse
effects,
to
the
general
public
or
any
population
subgroup
from
consumption
of
residues
of
hydrochloric
acid
resulting
from
pesticide
product
uses.
As
a
group
salts
of
hydrochloric
acid
constitute
a
group
of
chemicals
with
many
uses
including
direct
use
in
the
food
supply.
In
particular
sodium
chloride,
common
table
salt,
can
be
purchased
and
used
by
the
public
in
the
amounts
specifically
chosen
for
their
individual
wants
and
desires.
According
to
the
information
available
to
the
Agency,
sodium
chloride
used
in
food
processing
results
in
consumption
of
4
to
6
grams
of
sodium
chloride
in
the
average
diet
per
day.
The
average
individual
adds
up
to
another
3
grams
of
sodium
chloride
during
cooking
and
at
the
table.
The
available
toxicity
data
indicates
that
the
human
body
metabolizes
chloride,
ammonium,
calcium,
iron,
magnesium,
potassium,
and
sodium
ions
through
well
understood
pathways.
In
fact,
all
are
necessary
human
nutrients.
Various
salts
of
hydrochloric
acid
have
been
used
in
the
food
supply
for
a
number
of
years.
There
are
no
available
data
to
indicate
any
significant
adverse
effects
to
the
general
public
or
any
population
subgroup
from
consumption
of
residues
of
the
ammonium,
calcium,
iron,
magnesium,
potassium,
and
sodium
salts
of
hydrochloric
acid
resulting
from
pesticide
product
uses.
Page
17
of
20
Given
the
long
history
of
safe
use,
the
available
toxicity
data,
an
understanding
of
the
human
body's
ability
to
metabolize
these
chemicals,
and
the
evaluations
by
FDA
and
WHO,
the
IIFG
believes
that
ammonium,
sodium,
potassium,
magnesium,
calcium
and
iron
chloride
are
of
low
oral
toxicity.
12.
Type
of
Risk
Assessment/
Risk
Characterization:
The
toxicity
of
these
chemicals
derives
from
the
irritation
and
caustic
effects;
therefore,
a
qualitative
assessment
for
all
pathways
of
human
exposure
(food,
drinking
water,
and
residential)
is
appropriate.
Given
the
widespread
occurrence
of
hydrochloric
acid
and
its
ammonium,
calcium,
iron,
magnesium,
potassium,
and
sodium
salts
in
the
existing
food
supply,
the
amounts
that
may
be
present
in
food
as
a
result
of
the
use
of
these
chemicals
in
a
pesticide
product
would
not
be
expected
to
significantly
increase
the
existing
amounts
in
the
food
supply.
There
is
no
available
information
on
any
of
the
salts
of
hydrochloric
acid
considered
in
this
document
indicative
of
a
human
health
hazard
resulting
from
the
EPA
regulated
uses
as
well
as
the
FDA
GRAS
uses
to
the
general
public
or
any
population
subgroup.
No
additional
information
are
needed
to
assess
the
safety
of
hydrochloric
acid
and
its
salts.
13.
Sensitivity
of
Infants
and
Children:
Due
to
its
acidic
nature,
its
corrosive
potential,
there
is
high
acute
toxicity
for
hydrochloric
acid.
Hydrochloric
acid
must
be
used
in
pesticide
products
according
to
good
manufacturing
or
good
agricultural
practices.
The
ammonium,
calcium,
iron,
magnesium,
potassium,
and
sodium
salts
of
hydrochloric
acid
have
low
toxic
potential.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
14.
Environmental
Fate
and
Ecotoxicity
Assessment/
Characterization:
In
general,
the
constituents
of
the
mineral
acids,
such
as
hydrochloric
acid,
are
commonly
found
in
soil
and
water
in
the
environment
suggesting
that
releasing
low
levels
of
these
chemicals
would
not
normally
be
expected
to
adversely
effect
wildlife
or
water
resources.
Large
releases
may
adversely
affect
wildlife
and
water
resources
either
directly
or
indirectly.
Direct
effects
may
result
from
exceeding
toxicity
thresholds
of
specific
chemicals.
Indirect
effects
may
be
manifested
through
disrupting
ecosystems
through
altering
pH
or
increasing
availability
of
algal
nutrients.
Hydrochloric
acid
is
a
strong
acid.
The
magnitude
of
the
pH
changes,
and
thus
the
magnitude
of
effects,
would
depend
on
a
number
of
factors
including
the
amount
of
material
released
and
the
buffering
capacity
of
the
exposed
soil
or
water.
Normal
aquatic
pHs
range
from
Page
18
of
20
5
to
9.
EPA's
Office
of
Water
recommended
water
quality
criteria
for
pH
are
6.
5
to
9
for
freshwater
and
6.
5
to
8.5
for
saltwater.
At
higher
or
lower
pH
aquatic
life
is
expected
to
be
adversely
impacted.
In
addition,
rapid
changes
in
pH
can
also
be
detrimental
to
aquatic
life.
Hydrochloric
acid
is
not
expected
to
be
persistent
in
the
environment.
Instead
it
is
expected
to
dissociate,
react
with
organic
or
inorganic
materials,
and
complex
with
ionic
substrates.
Hydrochloric
acid
salts
dissociate
in
water
resulting
in
a
positively
charged
(cationic)
metal
in
solution.
Dissociation
is
frequently
dependent
on
pH,
with
lower
(more
acidic)
pHs
resulting
in
higher
levels
of
dissociation
and
greater
solubility.
Aquatic
toxicity
of
metals
varies
with
the
species
of
metal
and
its
concentration.
EPA's
freshwater
water
quality
criteria
for
iron
is
1
ppm
implying
relatively
low
toxicity.
Metals
do
not
degrade
and
thus
are
permanent
in
the
environment.
They
are
likely
to
dissipate
by
being
sequestered
in
soil,
sediment,
and
plants.
15.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide
chemical's
residues
and
"other
substances
that
have
a
common
mechanism
of
toxicity."
The
chemicals
considered
in
this
document
are
structurally
related;
however,
all
of
the
salts
are
low
toxicity
chemicals.
Therefore,
the
resultant
risks
separately
and/
or
combined
should
also
be
low.
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
these
pesticide
chemicals
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
these
pesticide
chemicals
in
a
cumulative
risk
assessment.
16.
Determination
of
Safety:
Based
on
its
review
and
evaluation
of
the
available
information,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
residues
of
hydrochloric
acid
and
its
ammonium,
sodium,
potassium,
calcium,
magnesium,
and
iron
salts.
Therefore,
the
following
exemptions
from
the
requirement
of
a
tolerance
are
reassessed:
In
40
CFR
180.2
sodium
chloride.
In
40
CFR
180.1001
(c)
ammonium
chloride,
calcium
chloride,
hydrochloric
acid,
magnesium
chloride,
potassium
chloride,
and
sodium
chloride.
In
40
CFR
180.1001
(d)
ferric
chloride.
In
40
CFR
180.1001
(e)
calcium
chloride.
17.
List
Reclassifications:
The
following
List
reclassifications
are
made
or
confirmed:
Hydrochloric
acid:
List
4B.
With
the
restriction
of
use
as
a
solvent,
pH
adjuster,
neutralizing
agent.
Ammonium
chloride:
List
4B
Page
19
of
20
Calcium
chloride:
List
4B
Ferric
chloride:
List
4B,
current
limitation
remains
in
place.
Magnesium
chloride:
List
4B
Potassium
chloride:
List
4A
considering
its
use
as
a
salt
substitute
Sodium
chloride:
List
4A
considering
its
use
as
common
table
salt
The
following
table
lists
the
various
chemical
names,
CAS
Reg.
No.,
and
CAS
Index
Names
that
will
be
used
for
listing
in
40
CFR.
180.
Note
that
both
the
anhydrous
and
the
hydrated
forms
are
included.
The
Agency
sees
no
reason
to
distinguish
between
these
chemicals
given
that
the
only
difference
is
the
attachment
of
the
water
molecules.
Chemical
Name
CAS
Reg.
No.
Chemical
Abstracts
Index
Name
Hydrochloric
acid
7647
01
0
Hydrochloric
acid
(6CI,
7CI,
8CI,
9CI)
Ammonium
chloride
12125
02
9
Ammonium
chloride
((
NH4)
Cl)
(9CI)
Calcium
chloride
10043
52
4
Calcium
chloride
(CaCl2)
(9CI)
Calcium
chloride
hydrate
(CaCl2.
1/
3H2O)
56073
24
6
Calcium
chloride
(CaCl2),
hydrate
(3:
1)
(9CI)
Calcium
chloride,
hydrate
(8CI)
22691
02
7
Calcium
chloride
(CaCl2),
hydrate
(9CI)
Calcium
chloride
dihydrate
10035
04
8
Calcium
chloride
(CaCl2),
dihydrate
(9CI)
Calcium
chloride
hexahydrate
7774
34
7
Calcium
chloride
(CaCl2),
hexahydrate
(9CI)
Calcium
chloride
monohydrate
13477
29
7
Calcium
chloride
(CaCl2),
monohydrate
(9CI)
Ferric
chloride
7705
08
0
Iron
chloride
(FeCl3)
(8CI,
9CI)
Ferric
chloride
monohydrate
60684
13
1
Iron
chloride
(FeCl3),
monohydrate
(9CI)
Ferric
chloride
dihydrate
54862
84
9
Iron
chloride
(FeCl3),
dihydrate
(9CI)
Iron
III
chloride
hexahydrate
10025
77
1
Iron
chloride
(FeCl3),
hexahydrate
Ferric
chloride
dodecahydrate
58694
80
7
Iron
chloride
(FeCl3),
dodecahydrate
(9CI)
Ferric
chloride
nonahydrate
58694
79
4
Iron
chloride
(FeCl3),
nonahydrate
(9CI)
Ferric
chloride
sesquihydrate
115321
78
3
Iron
chloride
(FeCl3),
hydrate
(2:
3)
(9CI)
Ferric
chloride
trihydrate
58694
75
0
Iron
chloride
(FeCl3),
trihydrate
(9CI)
Magnesium
chloride
7786
30
3
Magnesium
chloride
(MgCl2)
(9CI)
Magnesium
chloride
hexahydrate
7791
18
6
Magnesium
chloride
(MgCl2),
hexahydrate
(9CI)
Potassium
chloride
7447
40
7
Potassium
chloride
(KCl)
(9CI)
Page
20
of
20
Sodium
chloride
7647
14
5
Sodium
chloride
(NaCl)
(9CI)
Attachment:
EFED
Review
of
Mineral
Acids
(Birchfield;
May
7,
2002)
| epa | 2024-06-07T20:31:44.181255 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0008/content.txt"
} |
EPA-HQ-OPP-2002-0280-0009 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
19
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
July
24,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
IIFG
Decision
Documents
on
Reassessing
Exemptions
from
the
Requirement
of
a
Tolerance
for
the
Mineral
Acids
(Hydrochloric,
Carbonic,
Phosphoric,
and
Sulfuric)
and
their
Ammonium,
Calcium,
Ferrous,
Ferric,
Magnesium,
Potassium,
Sodium,
and/
or
Zinc
Salts
Collectively
these
Decision
Documents
cover
four
mineral
acids
and
the
salts
of
these
acids.
The
individual
Decision
Documents
are:
(1)
Hydrochloric
Acid
and
Salts,
(2)
Salts
of
Carbonic
Acid,
(3)
Phosphoric
Acid
and
Salts,
and
(4)
Sulfuric
Acid
and
Salts.
The
Inert
Ingredient
Focus
Group
reassessment
is
based
on
various
conclusions
of
the
FAO/
WHO
Joint
Expert
Committee
on
Food
Additives,
conclusions
of
various
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments,
information
previously
used
by
OPP
as
part
of
the
reregistration
process,
and
other
information
available
on
government
websites.
In
total
46
exemptions
from
the
requirement
of
a
tolerance
in
40
CFR
180
are
reassessed.
This
total
consists
of
18
in
the
phosphoric
acid
document,
nine
in
the
hydrochloric
acid
document,
six
in
the
carbonic
acid
document,
and
13
in
the
sulfuric
acid
document.
Page
2
of
19
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Sulfuric
Acid
and
Salts
Petition
No.:
no
Tolerance
Reassessments?:
yes
Chemical
Category/
Group:
mineral
acid
and
salts
The
following
describes
the
various
ways
that
sulfuric
acid
and
its
salts
are
used.
Table
1:
Use
Pattern
(pesticidal
inert
ingredient)
Chemical
Name
Inert
PC
Code
40
CFR
180.1001
Inert
Use
Pattern
(Pesticidal)
Current
Inert
List
sulfuric
acid
878001
(c)
0.
1%
of
pesticide
formulation;
pH
control
agent
3
ammonium
sulfate
805601
(c)
solid
diluent,
carrier
4B
ferric
sulfate
900332
(c)
solid
diluent,
carrier
4B
magnesium
sulfate
850503
(c)
solid
diluent,
carrier
safener
4B
potassium
sulfate
805603
(c)
solid
diluent,
carrier
4B
sodium
sulfate
805604
(c),
(e)
solid
diluent,
carrier
4B
sodium
bisulfate
873201
(d)
acidifying/
buffering
agent
4B
zinc
sulfate
(basic
and
monohydrate)
889001
911567
(c),
(c),
(e)
coating
agent
solid
diluent,
carrier
water
repellent,
dessicant
3
There
is
also
a
tolerance
exemption
for
ferrous
sulfate
in
40
CFR
180.2.
The
tolerance
exemption
for
calcium
sulfate
(40
CFR
180.1001(
e))
was
reassessed
in
the
IIFG
Decision
Document
"Weathered
Materials",
dated
January
31,
2002.
It
is
classified
as
List
Page
3
of
19
4A.
At
this
time,
only
sulfuric
acid,
ferrous
sulfate
monohydrate,
ferric
sulfate,
sodium
bisulfate,
and
zinc
sulfate
are
used
as
active
ingredients.
There
are
no
longer
any
EPA
registered
active
ingredient
uses
for
any
of
the
other
above
listed
sulfate
salts.
Table
2:
Use
Pattern
(pesticidal
active
ingredient)
Chemical
Name.
Active
PC
Code
40
CFR
Number
of
Products
Active
Use
Pattern
(Pesticidal)
sulfuric
acid
078001
180.1019
8
used
to
kill
bacteria
on
potatoes,
milking
equipment
and
in
food
processing
areas;
as
a
dessicant
ferrous
sulfate
monohydrate
180.2
15
used
to
kill
moss
and
algae
on
ornamentals
and
turf
ferric
sulfate
034902
none
2
used
to
kill
moss
on
ornamental
lawns
and
turf
sodium
bisulfate
073201
none
3
used
to
kill
bacteria
on
poultry
,
in
toilet
bowls,
and
in
air
treatment
zinc
sulfate
monohydrate
527200
none
2
used
to
kill
moss
on
wood
and
other
surfaces
Table
3:
Use
Pattern
(FDA
GRAS):
Chemical
GRAS
Citation
GRAS
Uses
sulfuric
acid
21
CFR
184.1095
pH
control
agent,
processing
aid
ammonium
sulfate
21
CFR
184.1143
dough
strengthener,
firming
agent,
processing
aid
ferrous
sulfate
21
CFR
184.1315
nutrient
supplements,
processing
aid,
use
in
infant
formula
ferric
sulfate
21
CFR
184.1307
flavoring
agent
magnesium
sulfate
21
CFR
184.1443
flavor
enhancer,
nutrient
supplement,
processing
aid
Page
4
of
19
potassium
sulfate
21
CFR
184.1643
flavoring
agent
and
adjuvant
zinc
sulfate
21
CFR
182.8997
(no
limitations
specified)
Sulfuric
acid
also
has
uses
in
food
contact
surface
sanitizing
solutions
under
21
CFR
178.1010.
Table
4:
Use
Pattern
(non
pesticidal)
Chemical
Uses
sulfuric
acid
used
in
fertilizers,
chemicals,
dyes
and
pigments,
etchant,
alkylation
catalyst,
electroplating
baths,
iron
and
steel,
rayon
and
film,
industrial
explosives,
lab
reagent,
nonferrous
metallurgy
ammonium
sulfate
manufacture
of
ammonia
alum;
in
the
manufacture
of
hydrogen
sulfide
to
free
it
from
nitrogen
oxides;
analytical
uses;
freezing
mixtures;
flameproofing
fabrics
and
paper;
manufacture
of
viscose
silk;
tanning,
galvanizing
iron;
in
fractionation
of
proteins.
ferric
sulfate
preparation
of
iron
alums,
other
iron
salts
and
pigments;
coagulant
in
water
purification
and
sewage
treatment;
aluminum
etching;
pickling
stainless
steel
and
copper;
as
mordant
in
textile
dyeing
and
calico
printing;
soil
conditioners;
polymerization
catalyst.
magnesium
sulfate
also
known
as
epsom
salts;
as
a
cathartic
and
analgesic
in
medicine;
finishing
agent
for
textiles;
as
water
correcting
agent
in
brewing
industry;
component
of
fireproofing
compositions,
preservatives,
tanning
&
coagulating
agents;
chemical
intermediate
for
magnesium
trisilicate;
component
of
nickel
baths
for
plating
other
metals;
catalyst
support
for
platinum
in
sulfuric
acid
production
potassium
sulfate
fertilizer
for
chloride
sensitive
crops
(tobacco);
accelerator
in
wallboard
(construction
industry);
agent
in
manufacture
of
glass;
cathartic
in
human
medicine;
water
corrective
agent
for
foods
(brewery
water);
setting
expansion
control
agent
for
dental
materials
sodium
sulfate
tanning;
pharmaceuticals;
freezing
mixtures;
laboratory
reagent
zinc
sulfate
zinc
sulfate
&
hydrated
lime,
8
lb
of
each
to
100
gal
of
water,
are
used
to
prepare
spray
called
zinc
lime
which
is
the
zinc
equivalent
of
bordeaux
mixt.
Zinc
lime
is
used
extensively
for
control
of
bacterial
spot
disease
of
peaches.
depressant
in
froth
flotation,
eg,
for
lead
zinc
ores;
component
of
spinning
bath
in
manufacturer
of
rayon;
chemical
intermediate
for
manufacture
of
lithopone
(pigment),
carbamate
fungicides
(zineb),
zinc
metal,
other
zinc
compounds
(zinc
stearate);
component
of
zinc
plating
baths;
chemical
for
water
treatment;
component
of
cosmetics
(skin
fresheners);
reagent
for
paper
bleaching;
in
manufacter
of
glue;
accelerating
agent
in
dental
impression
material;
agent
in
textile
dyeing
and
printing;
preservative
for
wood
and
hides;
fireproofing
agent
It
should
be
noted
that
potassium
sulfate
has
use
as
a
fertilizer
and
sulfuric
acid
is
used
in
the
preparation
of
fertilizers.
Plants
need
various
elements
(metals
and
non
metals)
for
proper
growth.
Especially
for
agricultural
crops,
plants
are
supplied
these
elements
as
part
of
chemical
Page
5
of
19
fertilizers.
The
most
important
elements
for
plant
growth
are
nitrogen,
phosphorus,
and
potassium.
Other
metals
needed
in
the
soil
for
plant
up
take
are
calcium,
magnesium,
iron,
and
trace
elements
such
as
zinc.
Potassium
sulfate
is
intentionally
added
to
growing
agricultural
crops
as
needed
to
promote
plant
growth.
Assessment
of
Sulfuric
Acid
and
its
Salts
Sulfuric
acid
and
its
ammonium,
sodium,
potassium,
calcium,
magnesium,
iron,
and
zinc
salts
are
being
assessed
as
a
group
due
to
their
chemical
similarities.
Due
to
its
acidic
nature
the
toxicity
of
sulfuric
acid
will
be
different
from
those
of
the
more
neutral
sulfate
salts.
However,
these
sulfate
salts
all
contain
the
sulfate
ion
(as
either
HSO4
1
or
SO4
2
),
and
thus
share
some
common
chemistries.
A
major
focus
of
this
assessment
is
the
work
previously
performed
by
FDA
in
assessing
the
safety
of
these
chemicals
as
food
additives.
1.
Physical/
Chemical
Properties:
The
physical
and
chemical
properties
of
sulfuric
acid
and
its
various
salts
are
described
in
the
May
7,
2002
EFED
Assessment.
See
attached.
2.
Information
Sources:
The
following
information
was
used
in
performing
this
assessment:
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as,
°EPA(
www.
epa.
gov),
°NIOSH,(
www.
cdc.
gov/
niosh/
ipcsneng/
neng1197.html),
(www.
cdc.
gov/
niosh/
ipcsneng/
neng0362.html),
(www.
cdc.
gov/
niosh/
74
128.html)
(www.
cdc.
gov/
niosh/
idlh/
7664939.html)
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.)
°
NTP
(ntp
server.
niehs.
nih.
gov/
NewHomeRoc/
9RoCFacts.
html)
°WHO(
www.
inchem.
org/
documents/
jecfa/
jecmono/
v05je83.htm)
and
(www.
inchem.
org/
documents/
jecfa/
jecmono/
40abcj43.htm)
Various
FDA
GRAS
Assessments
were
used,
as
well
as,
the
FAO/
WHO
Assessment
for
sodium
sulfate.
3.
NIOSH
(National
Institute
for
Occupational
Safety
and
Health)
The
NIOSH
IDHL
(immediately
dangerous
to
life
or
health)
Documentation
and
the
International
Chemical
Safety
Card
for
sulfuric
acid
indicate
that
it
is
a
colorless,
oily,
odorless
liquid.
The
IDHL
is
15
mg/
m
3
.
The
TLV
(Threshold
Limit
Value)
is
1
mg/
m
3
(TWA).
Sulfuric
Page
6
of
19
acid
reacts
violently
with
water.
It
is
corrosive
to
the
skin
and
the
respiratory
tract,
and
on
ingestion.
The
NIOSH
International
Chemical
Safety
Card
for
magnesium
sulfate
indicates
that
a
TLV
has
not
been
established.
No
effects
were
noted.
4.
Acid
Characteristics
An
acid
is
a
substance
that
when
dissolved
in
water
yields
H
+
ions.
The
increase
of
the
concentration
of
the
H
+
ions
lowers
the
pH.
Mineral
acids
contain
a
non
metal
such
as
phosphorus,
nitrogen,
sulfur,
or
chlorine
which
may
or
may
not
be
combined
with
oxygen.
When
combined
with
oxygen,
these
anions
can
be
referred
to
as
oxyanions.
Strong
acids
are
those
acids
that
when
dissolved
completely
transfer
their
H
+
ions
to
water.
Sulfuric
acid
is
an
example
of
a
strong
acid.
5.
Cations:
Sodium,
Potassium,
Calcium,
Magnesium,
Iron,
and
Zinc
Generally,
a
salt
of
a
strong
acid,
such
as
sulfuric
acid,
when
dissolved
in
water,
dissociates
to
yield
the
sulfate
anion
(an
anion
which
is
negatively
charged)
and
a
positively
charged
cation.
In
the
human
body,
these
salts
tend
to
dissociate
and
thus,
for
the
most
part,
react
in
the
body
as
the
anion
and
the
cation.
Metals
such
as
calcium,
sodium,
magnesium,
potassium,
iron
and
zinc
are
required
for
proper
functioning
of
human
biological
systems.
For
risk
assessment
purposes
an
important
feature
of
these
metals
is
that
overall
the
body
does
have
an
effective
means
of
processing
them.
The
primary
means
of
exposure
to
these
cations
is
ingestion.
Four
of
the
most
common
cations
required
for
functioning
of
human
biology
are:
sodium,
potassium,
calcium
and
magnesium.
Chemically,
sodium
and
potassium
belong
to
the
same
chemical
family:
calcium
and
magnesium
belong
to
a
different
chemical
family.
Sodium:
The
average
human
body
burden
of
sodium
is
approximately
20
grams
(g)
for
a
70
kilogram
(kg)
adult.
The
sodium
cation
is
necessary
for
the
nerves
and
muscles
to
function
properly.
It
is
the
principal
cation
of
extracellular
fluid,
and
helps
to
maintain
the
body's
water
balance.
These
electrolytes,
the
electrically
charged
ions
in
the
body
fluids,
consist
to
a
great
extent
of
sodium
and
potassium.
There
is
no
Recommended
Dietary
Allowance
(RDA)
for
sodium.
Potassium:
The
average
human
body
burden
of
potassium
is
approximately
140
g
for
a
70
kg
adult.
The
potassium
cation
is
important
in
regulating
blood
pressure,
regulating
cellular
water
content,
maintaining
proper
pH
balance,
and
transmission
of
nerve
impulses.
It
helps
to
regulate
the
Page
7
of
19
electrical
activity
of
the
heart
and
muscles.
The
potassium
RDA
is
900
mg/
day.
Calcium:
The
average
human
body
burden
of
calcium
is
approximately
1
kg
for
a
70
kg
adult;
or
1/
70th
of
our
weight
is
calcium.
The
calcium
cation
is
necessary
for
bone
and
teeth
formation.
It
is
also
important
to
the
proper
functioning
of
nerves,
enzymes,
and
muscles,
and
plays
a
role
in
blood
clotting
and
the
maintenance
of
cell
membranes.
The
RDAs
for
calcium
are
1000
mg/
day
for
adults
aged
19
to
50
years
and
1200
mg/
day
for
individuals
older
than
50
years.
Magnesium:
The
average
human
body
burden
of
magnesium
is
approximately
20
g
for
a
70
kg
adult.
The
magnesium
cation
is
also
used
in
building
bones.
It
plays
a
role
in
releasing
energy
from
muscles
and
regulating
body
temperature.
The
RDA
for
magnesium
is
310
to
320
mg/
day
for
adult
females
and
400
to
420
mg/
day
for
adult
males
with
the
RDA
increasing
with
increasing
age.
Two
common
metal
cations
that
are
needed
for
functioning
of
human
biology,
but
in
smaller
amounts
often
referred
to
as
trace,
are
iron
and
zinc.
Iron:
The
human
body
burden
of
iron
is
approximately
4.1
g
for
a
70
kg
adult.
Iron
functions
as
a
carrier
of
oxygen.
The
hemoglobin
molecule
in
blood
transports
oxygen
from
the
lungs
to
the
cells.
The
myoglobin
molecule
supplies
oxygen
to
muscle
cells.
Iron
deficiency
is
characterized
by
anemia,
stunted
growth,
fatigue,
and
lowered
resistance
to
infection.
The
RDAs
for
iron
are
10
mg/
day
[0.
14
mg/
kg/
day
for
an
adult
(70
kg)
male
(25
to
50
years)]
and
15
mg/
day
[0.
25
for
an
adult
(60
kg)
female
(19
to
50
years)].
Pregnant
and
nursing
woman
have
increased
requirements
for
iron.
Dietary
iron
is
poorly
absorbed.
The
intestinal
mucosa
is
a
limiting
factor
in
iron
absorption.
Normal
absorption
is
about
1
mg/
day
in
an
adult
male,
and
about
1.4
mg/
day
in
an
adult
female.
Absorption
occurs
in
the
divalent
(ferrous)
form,
which
must
then
be
oxidized
to
the
trivalent
(ferric)
form
for
use.
Acute
toxicity
of
iron
ingested
from
normal
dietary
sources
has
not
been
reported.
However,
death
especially
in
young
children
has
resulted
from
ingestion
of
large
overdoses
of
medicinal
iron.
(doses
ranging
from
40
to
1600
mg/
kg
average
900
mg/
kg).
It
is
noted
that
the
iron
from
ferric
salts
is
less
well
absorbed
than
that
from
ferrous
salts.
Zinc:
The
average
human
body
burden
of
zinc
is
approximately
100
milligram
(mg)
for
a
70
kg
adult.
The
zinc
cation
is
a
component
of
many
enzymes
and
therefore
has
substantial
involvement
in
many
metabolic
processes.
It
also
assists
in
wound
healing,
blood
formation,
and
general
Page
8
of
19
growth
and
maintenance
of
the
body's
tissues.
The
RDAs
for
zinc
are
15
mg/
day
[0.
21
mg/
kg/
day
for
an
adult
(70
kg)
male]
and
12
mg/
day
[0.
2
mg/
kg/
day
for
an
adult
(60
kg)
female].
According
to
FDA,
the
average
daily
intake
of
zinc
from
food
(including
water)
was
0.
23
mg/
kg/
day
in
the
early
1980s.
Consuming
too
much
zinc
(i.
e.
,
10
to
15
times
the
RDA)
can
cause
health
concerns
such
as
anemia,
pancreatic
and
kidney
effects,
and
certain
developmental
effects.
Consuming
too
little
zinc
can
cause
loss
of
appetite
,
decreased
sense
of
taste
and
smell,
decreased
immune
function,
slow
wound
healing,
skin
sores,
and
developmental
effects.
6.
Ammonium
Salt:
Ammonium
sulfate
dissociates
to
the
negative
anion
and
the
positively
charged
ammonium
cation
(NH4
+
).
Humans
cannot
convert
atmospheric
nitrogen
to
any
form
that
can
be
used
as
part
of
any
of
the
various
metabolic
cycles.
Therefore,
reduced
nitrogen
(NH4
+
)
has
to
enter
the
body
from
an
outside
source.
These
sources
are
the
nitrogen
containing
amino
acids
in
protein
which
are
consumed
daily
as
part
of
the
diet.
Although
the
human
body
can
produce
some
amino
acids,
ten
amino
acids
are
considered
"essential"
amino
acids,
i.
e.,
they
must
be
consumed
in
the
diet.
Generally
the
body
works
to
maintain
a
balance
of
nitrogen
intake
and
nitrogen
excretion.
The
estimated
daily
ammonia
intake
through
food
and
drinking
water
is
18
mg.
In
contrast,
4000
mg
of
ammonia
per
day
are
produced
endogenously
in
the
human
intestine.
Ammonia
and
the
ammonium
ion
are
integral
components
of
normal
human
metabolic
processes.
Ammonia
is
released
following
deamination
that
occurs
when
protein
is
used
by
the
body
for
energy
production.
The
liver
converts
ammonia
via
the
urea
cycle
into
urea.
According
to
FDA
in
the
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974),
"the
normal
liver
so
readily
detoxifies
ammonium
ion
from
alimentary
sources
that
blood
concentrations
of
ammonium
salts
do
not
rise
to
the
levels
necessary
to
evoke
toxic
response."
Approximately
80%
of
the
body's
excess
nitrogen
is
eliminated
through
the
kidneys
as
urea,
approximately
25
to
30
grams
per
day.
Page
9
of
19
7.
Toxicological
Profile
Table
The
Agency
has
not
reviewed
any
of
the
toxicological
studies
in
the
following
table
for
sulfuric
acid
or
any
of
its
salts.
The
reviews
of
these
studies
were
obtained
from
Toxnet,
as
well
as
other
government
websites.
Table
5:
Toxicological
Profile
Chemical
Toxicity
Other
Information
Sulfuric
Acid
Solutions
of
greater
than
10%
are
severely
corrosive
by
all
routes
of
exposure;
Solutions
of
less
than
>10%
are
strong
irritants;
IARC:
There
is
sufficient
evidence
that
occupational
exposure
to
strong
inorganic
acid
mists
containing
sulfuric
acid
is
carcinogenic;
ATSDR:
No
significant
developmental
or
reproductive
effects
in
mice
or
rabbits
exposed
to
20
mg/
m
3
sulfuric
acid
aerosols
7
hours
per
day
on
gestation
days
6
to
15
CERCLA
Reportable
Quantity:
greater
than
1000
lb
(454
kg);
1993
US
production=
80.3
billion
lbs;
Ammonium
Sulfate
13
week
oral
in
rats;
doses
0,
0.38,
0.75,
1.5,
3.0%;
NOEL
=
1.5%
in
males
(886
mg/
kg/
day),
3%
in
females
(1975
mg/
kg/
day),
(HDT)
Ferric
Sulfate
Irritant
to
skin,
eyes
and
mucous
membranes;
Excessive
iron
intake
may
cause
toxicity
Primary
use
is
in
waste
water
treatment;
Page
10
of
19
Magnesium
Sulfate
Cathartic;
Massive
doses
may
cause
systemic
toxicity
primarily
loss
of
fluid
and
electrolytes;
Negative
in
Ames
TA100,
TA1535,
TA98
with
and
without
activation;
Negative
in
E.
coli
with
and
without
activiation;
Lowest
published
oral
toxic
dose
in
humans:
428
mg/
kg
(m)
351
mg/
kg(
f);
Changes
in
serum
composition
(f,
m),
muscle
weakness
(f,
m),
cardiac
arrhythmias
(f);
Lowest
published
lethal
dose
in
rats
after
oral
exposure
5g/
kg
US
production
5.
7x10
11
g
(1985)
Potassium
Sulfate
Saline
cathartic;
Systemic
toxicity
unlikely
unless
massive
doses
consumed;
Toxicity
results
from
excessive
loss
of
fluid
and
electrolytes.
1985
US
production
2x10
11
g;
EPA
Drinking
Water
standard:
250,000
ug/
L
sulfate
ion
Sodium
Sulfate
Mouse
oral
LD50
=
5989mg/
kg;
Non
toxic
and
non
irritating
to
skin
and
mucous
membranes;
Saline
cathartic;
systemic
toxicity
unlikely
unless
massive
doses
consumed;
Toxicity
results
from
excessive
loss
of
fluid
and
electrolytes;
Negative
in
cell
transformation
(viral
enhanced)
in
Syrian
hamster
embryo
(SA7/
SHE)
cells;
Positive
in
Saccharomyces
cerevisiae
reverse
gene
mutation
assay
1993
US
production
1.
44billion
lb;
EPA
Drinking
Water
standard:
250,000
ug/
L
sulfate
ion
Zinc
Sulfate
Irritating
to
skin,
eyes
and
mucous
membranes;
Use
as
an
emetic
may
result
in
hemolytic
and
renal
toxicity;
Ames
negative
in
TA97,
TA102
with
and
without
activation
with
S
9;
Negative
in
Cell
transformation
with
Syrian
hamster
embryo
cells;
Negative
in
Saccharomyces
cerevisiae.
Regulated
by
Clean
Water
Act;
subject
to
effluent
regulations:
EPA
DW
5000ug/
L
;
US
production
3.
5x10
10
g
(1985)
Page
11
of
19
8.
OPP
REDs
(Reregistration
Eligibility
Decision
Document)
Mineral
Acid
RED
The
following
information
on
the
acute
toxicity
of
sulfuric
acid
was
extracted
from
the
1993
Mineral
Acid
RED:
The
oral
LD50
is
350
mg/
kg,
toxicity
category
II.
The
dermal
LD50
is
>
2000
mg/
kg,
toxicity
category
III.
Sulfuric
acid
is
toxicity
category
I
for
eye
and
dermal
irritation.
No
other
toxicological
data
were
required
based
on
the
use
patterns
at
the
time
of
the
issuance
of
the
RED
and
the
corrosiveness
shown
in
the
acute
studies
for
dermal
and
eye
irritation.
There
was
also
information
on
the
acute
toxicity
of
sodium
bisulfate
in
the
1993
RED:
The
oral
LD50
is
3000
mg/
kg,
toxicity
category
III.
The
dermal
LD50
is
>
10,000
mg/
kg,
toxicity
category
III.
Sodium
bisulfate
is
toxicity
category
I
for
eye
irritation,
and
toxicity
category
IV
for
dermal
irritation.
No
other
toxicological
data
were
required
based
on
the
use
patterns
at
the
time
of
the
issuance
of
the
RED
and
the
fact
that
it
forms
ubiquitous
metabolic
products,
sodium
and
sulfate,
that
are
of
little
toxicological
concern.
Iron
Salts
RED
The
Iron
Salts
RED
(1993)
contains
toxicity
information
on
ferric
sulfate,
ferrous
sulfate
monohydrate,
and
ferrous
sulfate
heptahydrate.
The
ferric
sulfate
oral
LD50
is
1487
to
2101
mg/
kg,
toxicity
category
III.
The
dermal
LD50
is
>
2000
mg/
kg,
toxicity
category
III.
The
inhalation
LC50
is
>
1.
1
mg/
L,
toxicity
category
III.
Ferric
sulfate
is
toxicity
category
I
for
eye
irritation
and
toxicity
category
IV
for
dermal
irritation.
For
ferrous
sulfate
heptahydrate
the
LD50
is
1520
mg/
kg.
A
sensitization
study
with
ferric
and
ferrous
sulfate
found
no
indication
of
contact
sensitization
by
this
compound.
According
to
the
RED,
a
"mutagenicity
study
in
E.
coli
reported
positive
results
at
30
umol/
L.
With
due
regard
for
the
continuing
exposure
that
human
beings
have
had
to
the
iron
and
sulfate
components
of
these
chemicals
over
many
generation,
it
is
considered
unlikely
that
this
reported
result
in
microorganisms
has
any
bearing
on
probable
effects
in
humans
or
other
mammals
at
the
levels
expected
from
use
of
these
compounds
as
pesticides."
Zinc
Salts
RED
The
following
information
on
the
acute
toxicity
of
zinc
sulfate
was
extracted
from
the
1992
Zinc
Salts
RED:
The
oral
LD50
is
>
2949
mg/
kg,
toxicity
category
III.
Zinc
sulfate
acid
is
classified
as
toxicity
category
I
for
eye
irritation
based
on
one
study
in
which
"severe
irritation
was
found
when
0.09
g
of
99%
zinc
sulfate
was
applied
to
rabbit
eyes.
In
another
study,
the
application
of
420
ug
zinc
sulfate
to
the
rabbit
eye
found
moderate
irritation."
Zinc
sulfate
is
toxicity
category
IV
for
dermal
irritation
(very
slight
irritation).
In
a
chronic
study,
"zinc
sulfate
caused
hematological
changes
in
rats
and
dogs
fed
about
Page
12
of
19
100
ppm
in
the
diet.
...
In
another
report,
mice
given
up
to
5000
ppm
of
zinc
as
zinc
sulfate
in
drinking
water
showed
no
evidence
of
carcinogenicity
and
no
differences
between
treated
and
control
groups."
"When
rats
were
given
333
mg/
kg
zinc
sulfate
orally
on
days
1
18
of
pregnancy,
there
was
post
implantation
mortality.
Teratologic
studies
with
oral
zinc
sulfate
in
three
species
of
animals
were
negative
for
effects
on
pregnancy,
maternal
or
fetal
survival,
or
abnormalities.
In
these
studies
mice
were
given
up
to
30
mg/
kg/
day
for
days
6
15
of
gestation,
rats
were
given
up
to
42.5
mg/
kg/
day
for
days
6
15
of
gestation,
and
hamsters
were
given
up
to
88
mg/
kg/
day
for
days
6
10
of
gestation.
According
to
the
RED,
"[
p]
ositive
results
have
been
seen
with
zinc
sulfate
in
some
studies,
including
a
Drosophila
melanogaster
sex
chromosome
assay
with
an
oral
5
mmol/
L
dose
and
a
mutation
assay
with
Saccharomyces
cerevisiae
at
100
mmol/
L.
DNA
inhibition
was
seen
in
human
HeLa
cells
at
1
umol/
L/
4
hours
and
oncogenic
transformation
occurred
at
200
umol/
L
with
hamster
embryo."
It
was
concluded
that:
"Although
some
positive
mutagenicity
studies
have
been
reported,
there
is
no
indication
of
mutagenic
effects
in
normal
living
organisms
from
everyday
exposure.
Living
organisms
have
long
been
exposed
to
the
components
of
zinc
[sulfate]
without
such
exposure
being
attributed
to
mutagenicity."
9.
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments
Ammonium
Sulfate
In
the
FDA
Assessment
titled
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974),
the
following
general
conclusion
on
ammonium
compounds
was
reached:
"Ammonia
and
ammonium
ion
are
integral
components
of
normal
metabolic
processes
and
play
an
essential
role
in
the
physiology
of
man.
Although
there
have
been
no
significant
feeding
studies
specifically
designed
to
ascertain
the
safety
threshold
of
ammonium
compounds
as
food
ingredients,
numerous
metabolic
studies
have
been
reported
in
the
scientific
literature.
Extrapolation
of
these
findings
to
the
concentrations
of
ammonium
compounds
normally
present
in
foods
does
not
suggest
that
there
would
be
untoward
effects
at
such
levels."
Ammonium
sulfate
was
evaluated
in
the
"FDA
Assessment
titled
Evaluation
of
the
Health
Aspects
of
Sulfuric
Acid
and
Sulfates
as
Food
Ingredients."
(1975)
Ammonium
sulfate
has
been
used
in
food
in
the
US
since
1957.
For
infants
(0
to
23
months)
the
average
daily
intake
of
ammonium
sulfate
in
1975
ranged
from
0.53
to
2.58
mg/
kg.
For
adults,
it
was
1.01
mg/
kg.
Magnesium
Sulfate
Page
13
of
19
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Magnesium
Salts
as
Food
Ingredients"
(1976).
Magnesium
is
(1)
a
dietary
essential,
(2)
involved
in
many
metabolic
reactions,
(3)
important
in
electrolyte
balance,
and
(4)
present
in
fruits,
vegetables,
grains,
milk,
meat
and
fish.
There
are
no
chronic
toxicity
data.
The
"status
of
magnesium
as
a
ubiquitous
and
essential
dietary
ingredient
for
the
maintenance
of
homeostatic
and
bioenergetic
mechanisms
leads
to
the
opinion
that
none
of
the
available
evidence
suggests
any
probable
hazard
when
any
of
the
GRAS
compounds
of
magnesium
is
used
as
a
food
ingredient."
It
was
concluded
that
there
was
no
available
information
on
magnesium
sulfate
that
"demonstrates,
or
suggests
reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
they
are
used
at
levels
that
are
now
current
and
in
the
manner
now
practiced,
or
which
might
reasonably
be
expected
in
the
future."
Potassium
and
Sodium
Sulfate
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Sulfuric
Acid
and
Sulfates
as
Food
Ingredients."
(1975).
For
infants
(0
to
23
months)
the
average
daily
intake
of
potassium
sulfate
in
1975
ranged
from
0.05
to
0.49
mg/
kg.
For
adults,
it
was
0.17
mg/
kg.
No
information
was
given
for
sodium
sulfate.
Sulfates
are
present
in
many
foods.
Several
amino
acids
contain
sulfur.
"Sulfates
are
not
rapidly
absorbed
from
the
gastrointestinal
tract."
In
a
metabolism
studies
in
rats,
mice
and
dogs,
it
was
observed
that
most
sulfate
(in
rats
greater
than
80%
)
was
excreted
in
24
hours,
most
of
it
in
the
urine.
"Sulfates
are
natural
constituents
of
foods
and
normal
products
of
sulfur
metabolism
in
animals.....
it
is
evident
that
the
toxic
manifestations
following
oral
administration
of
the
sulfates
considered
in
this
report
appear
only
at
levels
that
are
many
times
greater
than
those
to
which
man
is
exposed
in
his
daily
diet."
It
was
concluded
that:
"There
is
no
evidence
in
the
available
information
on
sulfuric
acid,
and
on
ammonium,
calcium,
potassium,
and
sodium
sulfates
that
demonstrates,
or
suggests
reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
they
are
used
at
levels
that
are
now
current
or
that
might
reasonably
be
expected
in
future."
Zinc
Sulfate
In
the
"GRAS
(Generally
Recognized
As
Safe)
Food
Ingredients
Zinc
Salts"
document
(1972),
the
available
information
related
to
the
safety
of
zinc
sulfate
as
a
food
ingredient
is
summarized.
However,
the
document
offered
no
conclusions.
10.
FAO/
WHO
Expert
Committee
on
Food
Additives
WHO
performed
an
assessment
on
sodium
sulfate
in
2000.
This
assessment
references
an
evaluation
of
the
sulfate
ion
at
the
twenty
ninth
meeting
(Annex
1,
reference
70).
At
that
time
an
ADI
of
"not
specified"
was
established
based
on
the
fact
that
"sulfate
is
a
natural
constituent
of
food
and
is
a
product
of
sulfur
metabolism
in
animals."
Sodium
sulfate
was
not
included
in
that
Page
14
of
19
ADI:
at
the
time,
there
was
no
information
to
indicate
the
sodium
sulfate
was
being
used
as
a
food
grade
material.
Various
studies
were
described
including
those
on
renal
clearance
and
laxative
trials
in
humans,
and
long
term
and
developmental
studies
in
mice.
It
was
concluded:
"...
that
the
results
of
the
published
studies
in
experimental
animals
do
not
raise
concern
about
the
toxicity
of
sodium
sulfate.
The
compound
has
a
laxative
action,
which
is
the
basis
for
its
clinical
use.
The
minor
adverse
effects
reported
after
use
of
ingested
purgative
preparations
containing
sodium
sulfate
may
not
be
due
to
the
sodium
sulfate
itself.
In
the
absence
of
any
evidence
of
toxicity,
the
Committee
allocated
a
temporary
ADI
`not
specified'.....
The
ADI
was
made
temporary
because
no
information
was
available
on
the
functional
effect
and
actual
uses
of
sodium
sulfate
in
foods."
11.
Human
Health
Hazard
Characterization:
Sulfuric
acid
in
its
concentrated
form
is
highly
corrosive.
Due
to
this
property
toxicity
testing
can
only
be
performed
on
dilute
concentrations
or
on
neutralized
forms
of
the
acid
such
as
a
salt.
The
consequences
of
acute
exposure
to
sulfuric
acid
are
well
understood.
"Concentrated
sulfuric
acid
has
an
extremely
irritant,
corrosive,
and
destructive
action
on
all
living
matter
including
human
tissues,
not
by
virtue
of
its
acidity
(in
concentrated
form
it
is
only
slightly
ionized)
but
because
of
its
affinity
for
water.
The
affinity
is
so
strong
that
it
will
remove
the
elements
of
water
from
even
anhydrous
organic
matter
such
as
carbohydrates,
resulting
in
charring
or
carbonization
with
the
liberation
of
heat.
In
sulfuric
acid
splashing
accidents,
the
heat
liberated
by
dilution
of
the
concentrated
acid
with
water
used
to
flush
the
affected
areas,
can
add
thermal
burn
to
chemical
injury
of
the
body."
Thus
sulfuric
acid
"can
burn
and
char
the
skin.
It
is
even
more
rapidly
injurious
to
the
mucous
membranes,
and
exceedingly
dangerous
to
the
eyes.
Dilute
sulfuric
acid,
while
it
does
not
possess
this
charring
property,
irritates
the
skin
and
mucous
membranes
by
virtue
of
its
acidity
and
can
cause
dermatitis."
Exposure
to
a
mist
of
sulfuric
acid
can
cause
irritant
effects
on
the
mucous
membranes
and
chemical
corrosive
effects
upon
the
teeth.
Strong
inorganic
acid
mists
containing
sulfuric
acid
are
listed
as
known
human
carcinogens.
Exposure
to
sulfuric
acid
in
pesticide
products
as
an
inert
ingredient
would
be
in
the
role
of
a
pH
adjuster,
that
is,
a
liquid
form,
not
a
mist.
This
is
indicative
of
the
use
of
small
amounts
of
sulfuric
acid
that
are
incorporated
in
a
pesticide
product
to
lower
the
pH
.
After
the
pH
adjustment
is
performed,
the
sulfuric
acid
would
be
neutralized.
As
an
active
ingredient
sulfuric
acid
is
subject
to
FIFRA
registration
requirements
and
various
labeling
language
as
specified
in
the
RED
(Reregistration
Eligibility
Decision).
Sulfuric
acid
must
be
used
and
applied
according
Page
15
of
19
to
good
manufacturing
or
good
agricultural
practices.
However,
there
are
no
significant
adverse
effects,
to
the
general
public
or
any
population
subgroup
from
consumption
of
residues
of
sulfuric
acid
resulting
from
such
uses.
As
a
group
these
salts
of
sulfuric
acid
constitute
a
group
of
chemicals
with
many
uses
including
direct
use
in
the
food
supply.
The
available
toxicity
data
indicates
that
the
human
body
metabolizes
sulfate,
ammonium,
calcium,
iron,
magnesium,
potassium,
sodium
and
zinc
ions
through
well
understood
pathways.
In
fact,
all
are
necessary
human
nutrients.
Various
salts
of
sulfuric
acid
have
been
used
in
the
food
supply
for
a
number
of
years.
There
are
no
available
data
to
indicate
any
significant
adverse
effects
to
the
general
public
or
any
population
subgroup
from
consumption
of
residues
of
the
ammonium,
calcium,
iron,
magnesium,
potassium,
sodium,
and
zinc
salts
of
sulfuric
acid
resulting
from
pesticide
product
uses.
Given
the
long
history
of
safe
use,
the
available
toxicity
data,
an
understanding
of
the
human
body's
ability
to
metabolize
these
chemicals,
and
the
evaluations
by
FDA
and
WHO,
the
IIFG
believes
that
ammonium,
sodium,
potassium,
magnesium,
calcium,
iron,
and
zinc
sulfate
salts
are
of
low
oral
toxicity.
12.
Type
of
Risk
Assessment/
Risk
Characterization:
The
toxicity
of
these
chemicals
derives
from
the
irritation
and
caustic
effects;
therefore,
a
qualitative
assessment
for
all
pathways
of
human
exposure
(food,
drinking
water,
and
residential)
is
appropriate.
Given
the
widespread
occurrence
of
sulfuric
acid
and
its
salts
in
the
existing
food
supply,
the
amounts
that
can
be
applied
to
food
as
a
result
of
a
use
in
a
pesticide
product
would
not
be
expected
to
significantly
increase
the
existing
amounts
in
the
food
supply.
There
is
no
available
information
on
any
of
the
salts
of
sulfuric
acid
considered
in
this
document
indicative
of
a
human
health
hazard
resulting
from
the
EPA
regulated
uses
as
well
as
the
FDA
GRAS
uses
to
the
general
public
or
any
population
subgroup.
No
additional
information
is
needed
to
assess
their
safety.
13.
Sensitivity
of
Infants
and
Children:
Due
to
its
acidic
nature,
its
corrosive
potential,
there
is
high
acute
toxicity
for
sulfuric
acid.
Sulfuric
acid
must
be
used
in
pesticide
products
according
to
good
manufacturing
or
good
agricultural
practices.
The
ammonium,
sodium,
potassium,
magnesium,
calcium,
iron,
and
zinc
salts
of
sulfuric
acid
have
low
toxic
potential.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
14.
Environmental
Fate
and
Ecotoxicity
Assessment/
Characterization:
Page
16
of
19
In
general,
the
constituents
of
the
mineral
acids,
such
as
sulfuric
acid,
are
commonly
found
in
soil
and
water
in
the
environment
suggesting
that
releasing
low
levels
of
these
chemicals
would
not
normally
be
expected
to
adversely
effect
wildlife
or
water
resources.
Large
releases
may
adversely
affect
wildlife
and
water
resources
either
directly
or
indirectly.
Direct
effects
may
result
from
exceeding
toxicity
thresholds
of
specific
chemicals.
Indirect
effects
may
be
manifested
through
disrupting
ecosystems
through
altering
pH
or
increasing
availability
of
algal
nutrients.
Sulfuric
acid
is
a
strong
acid.
The
magnitude
of
the
pH
changes,
and
thus
the
magnitude
of
effects,
would
depend
on
a
number
of
factors
including
the
amount
of
material
released
and
the
buffering
capacity
of
the
exposed
soil
or
water.
Normal
aquatic
pHs
range
from
5
to
9.
EPA's
Office
of
Water
recommended
water
quality
criteria
for
pH
are
6.
5
to
9
for
freshwater
and
6.
5
to
8.5
for
saltwater.
At
higher
or
lower
pH
aquatic
life
is
expected
to
be
adversely
impacted.
In
addition,
rapid
changes
in
pH
can
also
be
detrimental
to
aquatic
life.
Sulfuric
acid
is
not
expected
to
be
persistent
in
the
environment.
Instead
it
is
expected
to
dissociate,
react
with
organic
or
inorganic
materials,
and
complex
with
ionic
substrates.
The
magnesium,
sodium,
potassium,
iron,
and
zinc
salts
of
sulfuric
acid
should
dissociate
in
water
resulting
in
a
positively
charged
(cation)
metal
in
solution.
Dissociation
is
frequently
dependent
on
pH,
with
lower
(more
acidic)
pHs
resulting
in
higher
levels
of
dissociation
and
greater
solubility.
Aquatic
toxicity
of
metals
varies
with
the
species
of
metal
and
its
concentration.
EPA's
freshwater
water
quality
criteria
for
iron
is
1
ppm
implying
relatively
low
toxicity.
Zinc
has
recommended
criteria
implying
these
metals
are
more
toxic.
Metals
do
not
degrade
and
thus
are
permanent
in
the
environment.
They
are
likely
to
dissipate
by
being
sequestered
in
soil,
sediment,
and
plants.
15.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide
chemical's
residues
and
"other
substances
that
have
a
common
mechanism
of
toxicity."
The
chemicals
considered
in
this
document
are
structurally
related;
however,
all
of
the
salts
are
low
toxicity
chemicals.
Therefore,
the
resultant
risks
separately
and/
or
combined
should
also
be
low.
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
these
pesticide
chemicals
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
these
pesticide
chemicals
in
a
cumulative
risk
assessment.
16.
Determination
of
Safety:
Based
on
its
review
and
evaluation
of
the
available
information,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
residues
of
sulfuric
acid
and
its
ammonium,
sodium,
potassium,
calcium,
magnesium,
iron,
and
zinc
salts.
Therefore,
the
following
exemptions
from
the
requirement
of
a
tolerance
are
reassessed:
In
40
CFR
180.2
ferrous
sulfate.
In
40
CFR
180.1001
(c)
ammonium
sulfate,
ferric
sulfate,
magnesium
sulfate,
potassium
sulfate,
sodium
Page
17
of
19
sulfate,
sulfuric
acid,
zinc
sulfate
(basic
and
monohydrate),
and
zinc
sulfate
(basic
and
monohydrate).
In
40
CFR
180.1001
(d)
sodium
bisulfate.
In
40
CFR
180.1001
(e)
sodium
sulfate
and
zinc
sulfate
(basic
and
monohydrate).
Also
sulfuric
acid
in
40
CFR
180.1019.
17.
List
Reclassifications:
The
following
List
reclassifications
are
made
or
confirmed:
Sulfuric
acid:
List
4B.
With
the
restriction
of
use
as
a
pH
control
agent;
current
limitation
remains
in
place
Ammonium
sulfate:
List
4B
Ferrous
sulfate:
List
4B
Ferric
sulfate:
List
4B
Magnesium
sulfate:
List
4A,
given
its
neutral
pH
in
solution
Potassium
sulfate:
List
4A,
given
its
neutral
pH
in
solution
Sodium
sulfate:
List
4A,
given
its
neutral
pH
in
solution
Sodium
bisulfate:
List
4B,
given
its
acidic
nature,
similar
to
that
of
sulfuric
acid
Zinc
sulfate:
List
4B
The
following
table
lists
the
various
chemical
names,
CAS
Reg.
No.,
and
CAS
Index
Names
that
will
be
used
for
listing
in
40
CFR.
180.
Note
that
both
the
anhydrous
and
the
hydrated
forms
are
included.
The
Agency
sees
no
reason
to
distinguish
between
these
chemicals
given
that
the
only
difference
is
the
attachment
of
the
water
molecules.
Chemical
Name
CAS.
Reg.
No.
Chemical
Abstacts
Index
Name
Sulfuric
acid
7664
93
9
Sulfuric
acid
(8CI,
9CI)
Ammonium
sulfate
7783
20
2
Sulfuric
acid
diammonium
salt
(8CI,
9CI)
Ammonium
bisulfate
7803
63
6
Sulfuric
acid,
monoammonium
salt
(8CI,
9CI)
Calcium
sulfate
7778
18
9
Sulfuric
acid,
calcium
salt
(1:
1)
(8CI,
9CI)
Calcium
sulfate
½
hydrate
{CaSO4
.
1/
2H20}
10034
76
1
Sulfuric
acid,
calcium
salt,
hydrate
(2:
2:
1)
(9CI)
Calcium
sulfate
dihydrate
{CaSO4
.
2H20}
10101
41
4
Sulfuric
acid,
calcium
salt
(1:
1),
dihydrate
(8CI,
9CI)
Ferric
sulfate
10028
22
5
Sulfuric
acid,
iron(
3+)
salt
(3:
2)
(8CI,
9CI)
Iron(
II)
sulfate
7720
78
7
Sulfuric
acid,
iron(
2+)
salt
(1:
1)
(8CI,
9CI)
Chemical
Name
CAS.
Reg.
No.
Chemical
Abstacts
Index
Name
Page
18
of
19
Iron(
II)
sulfate
dihydrate
10028
21
4
Sulfuric
acid,
iron(
2+)
salt
(1:
1),
dihydrate
(9CI)
Iron
(II)
sulfate
heptahydrate
{FeSO4
.
7H20}
7782
63
0
Sulfuric
acid,
iron(
2+)
salt
(1:
1),
heptahydrate
(8CI,
9CI)
Iron
(II)
sulfate
pentahydrate
{FeSO4
.
5H20}
13450
80
1
Sulfuric
acid,
iron(
2+)
salt
(1:
1),
pentahydrate
(8CI,
9CI)
Iron
(II)
sulfate
tetrahydrate
{FeSO4
.
4H20}
20908
72
9
Sulfuric
acid,
iron(
2+)
salt
(1:
1),
tetrahydrate
(8CI,
9CI)
Iron
(II)
sulfate
ennahydrate
{FeSO4
.
9H20}
73248
92
7
Sulfuric
acid,
iron(
2+)
salt
(1:
1),
nonahydrate
(9CI)
Magnesium
sulfate
7487
88
9
Sulfuric
acid
magnesium
salt
(1:
1)
(8CI,
9CI)
Magnesium
sulfate
heptahydrate
(epsom
salt)
{MgSO4
.
7H2O}
10034
99
8
Sulfuric
acid
magnesium
salt
(1:
1),
heptahydrate
(8CI,
9CI)
Magnesium
sulfate
monohydrate
{MgSO4
.
H2O}
14168
73
1
Sulfuric
acid
magnesium
salt
(1:
1),
monohydrate
(8CI,
9CI)
Potassium
pyrosulfate
{K2S2O7}
7790
62
7
Disulfuric
acid,
dipotassium
salt
(9CI)
Potassium
hydrogen
sulfate
{KHSO4}
7646
93
7
Sulfuric
acid,
monopotassium
salt
(8CI,
9CI)
Potassium
sulfate
7778
80
5
Sulfuric
acid
dipotassium
salt
(8CI,
9CI)
Sodium
sulfate
7757
82
6
Sulfuric
acid
disodium
salt
(8CI,
9CI)
Sodium
sulfate
decahydrate
{Na2SO4
.10H2O}
7727
73
3
Sulfuric
acid
disodium
salt,
decahydrate
(8CI,
9CI)
Sodium
sulfate
heptahydrate
{Na2SO4
.7H2O}
13472
39
4
Sulfuric
acid
disodium
salt,
heptahydrate
(8CI,
9CI)
Sodium
pyrosulfate
{Na2S2O7}
13870
29
6
Disulfuric
acid,
disodium
salt
(9CI)
Sodium
sulfate
hydrogen
monohydrate
{NaHSO4
.H2O}
10034
88
5
Sulfuric
acid,
monosodium
salt,
monohydrate
(8CI,
9CI)
Sodium
bisulfate
7681
38
1
Sulfuric
acid,
monosodium
salt
(8CI,
9CI)
Zinc
sulfate
(basic
and
monohydrate)
68813
94
5
Sulfuric
acid,
zinc
salt,
basic
(9CI)
Chemical
Name
CAS.
Reg.
No.
Chemical
Abstacts
Index
Name
Page
19
of
19
7446
19
7
Sulfuric
acid,
zinc
salt
(1:
1),
monohydrate
(8CI,
9CI)
Zinc
sulfate
7733
02
0
Sulfuric
acid,
zinc
salt
(1:
1)
(8CI,
9CI)
Zinc
sulfate
heptahydrate
{ZnSO4
.
7H2O}
7446
20
0
Sulfuric
acid,
zinc
salt
(1:
1),
heptahydrate
(8CI,
9CI)
Zinc
sulfate
hexahydrate
13986
24
8
Sulfuric
acid,
zinc
salt
(1:
1),
hexahydrate
(8CI,
9CI)
Attachment:
EFED
Review
of
Mineral
Acids
(Birchfield;
May
7,
2002)
| epa | 2024-06-07T20:31:44.197121 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0009/content.txt"
} |
EPA-HQ-OPP-2002-0280-0010 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
17
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
July
24,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
IIFG
Decision
Documents
on
Reassessing
Exemptions
from
the
Requirement
of
a
Tolerance
for
the
Mineral
Acids
(Hydrochloric,
Carbonic,
Phosphoric,
and
Sulfuric)
and
their
Ammonium,
Calcium,
Ferrous,
Ferric,
Magnesium,
Potassium,
Sodium,
and/
or
Zinc
Salts
Collectively
these
Decision
Documents
cover
four
mineral
acids
and
the
salts
of
these
acids.
The
individual
Decision
Documents
are:
(1)
Hydrochloric
Acid
and
Salts,
(2)
Salts
of
Carbonic
Acid,
(3)
Phosphoric
Acid
and
Salts,
and
(4)
Sulfuric
Acid
and
Salts.
The
Inert
Ingredient
Focus
Group
reassessment
is
based
on
various
conclusions
of
the
FAO/
WHO
Joint
Expert
Committee
on
Food
Additives,
conclusions
of
various
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments,
information
previously
used
by
OPP
as
part
of
the
reregistration
process,
and
other
information
available
on
government
websites.
In
total
46
exemptions
from
the
requirement
of
a
tolerance
in
40
CFR
180
are
reassessed.
This
total
consists
of
18
in
the
phosphoric
acid
document,
nine
in
the
hydrochloric
acid
document,
six
in
the
carbonic
acid
document,
and
13
in
the
sulfuric
acid
document.
Page
2
of
17
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Salts
of
Carbonic
Acid
Petition
No.:
no
Tolerance
Reassessments?:
yes
Chemical
Category/
Group:
mineral
acid
and
salts
The
following
describes
the
various
ways
that
salts
of
carbonic
acid
are
used.
Table
1:
Use
Pattern
(pesticidal
inert
ingredient)
Chemical
Name
PC
Code
40
CFR
180.1001
Inert
Use
Pattern
(Pesticidal)
Current
Inert
List
ammonium
bicarbonate
873401
(c)
surfactant,
suspending
agent,
dispersing
agent
4B
magnesium
carbonate
873503
(c),
(e)
anticaking
agent,
conditioning
agent
4B
potassium
carbonate
873504
(d)
buffering
agent
4B
sodium
bicarbonate
873505
(c)
neutralizer
4A
There
is
also
a
tolerance
exemption
for
sodium
carbonate
40
CFR
180.2.
The
tolerance
exemptions
for
calcium
carbonate
were
reassessed
in
the
IIFG
Decision
Document
"Weathered
Materials",
dated
January
31,
2002.
Calcium
carbonate
is
a
List
4A
Potassium
bicarbonate
(40
CFR
180.1177)
and
sodium
bicarbonate
(40
CFR
180.1176)
are
used
as
active
ingredients.
(Note
that
both
tolerance
exemptions
were
established
postFQPA
Potassium
bicarbonate
is
used
in
six
products
at
204
use
sites,
which
includes
many
food
crops,
as
well
as
ornamentals
and
turf.
It
is
used
against
45
pests
including
mildew
and
leaf
spot.
Sodium
bicarbonate
is
in
one
product
which
is
a
product
used
only
to
formulate
other
pesticides.
There
are
no
longer
any
EPA
registered
active
ingredient
uses
for
any
of
the
other
above
listed
Page
3
of
17
carbonate
salts.
It
is
noted
that
there
is
information
in
this
document
on
other
carbonate
salts
for
which
tolerance
exemptions
do
not
currently
exist.
These
data
are
being
used
as
surrogate
data.
Table
2:
Use
Pattern
(FDA
GRAS)
Chemical
GRAS
Citation
GRAS
Uses
ammonium
bicarbonate
21
CFR
184.1135
dough
strengthener,
leavening
agent,
pH
control
agent,
texturizer
ammonium
carbonate
21
CFR
184.1137
leavening
agent,
pH
control
agent
magnesium
carbonate
21
CFR
184.1425
anticaking
and
free
flow
agent,
flour
treating
agent,
lubricant
and
release,
nutrient
supplement,
pH
control
agent,
processing
aid,
synergist
potassium
bicarbonate
21
CFR
184.1613
formulation
aid,
nutrient
supplement,
pH
control
agent,
processing
aid
potassium
carbonate
21
CFR
184.1619
flavoring
agent
and
adjuvant,
nutrient
supplement,
pH
control
agent,
processing
aid
sodium
bicarbonate
21
CFR
184.1736
(no
limitations
specified)
sodium
carbonate
21
CFR
184.1742
antioxidant,
curing
and
pickling
agent,
flavoring
agent
and
adjuvant,
pH
control
agent,
processing
aid
Sodium
bicarbonate
also
is
used
in
food
contact
surface
sanitizing
solutions
under
21
CFR
178.1010.
Page
4
of
17
Table
3:
Use
Pattern
(non
pesticidal)
Chemical
Uses
ammonium
bicarbonate
in
baking
powder
formulations;
in
cooling
baths;
fire
extinguishers;
manufacture
of
porous
plastics,
ceramics;
manufacture
of
dyes
and
pigments;
in
compost
heaps
to
accelerate
decomposition;
as
fertilizer;
for
defatting
textiles;
in
cold
wave
solutions;
in
chrome
leather
tanning;
to
remove
gypsum
from
heat
exchangers
and
other
processing
equipment.
magnesium
carbonate
used
to
prepare
high
purity
magnesium
compounds
in
the
paint
and
printing
inks
industries;
manufacture
of
fireproofing,
fire
extinguishing,
flooring,
and
polishing
compounds;
fillers
and
smoke
suppressants
in
the
plastics
and
rubber
industries;
USP
grade
is
used
as
an
additive
to
table
salt
to
keep
it
free
flowing;
a
bulking
compound
in
powder
formulations;
an
antacid.
potassium
carbonate
manufacture
of
soap,
glass,
pottery,
smalts
and
many
potassium
salts;
in
analytical
chemistry;
Television
glass
accounts
for
a
substantial
portion
of
the
consumption
of
potassium
carbonate
because
the
potassium
salt
is
more
compatible
with
the
lead,
barium,
and
strontium
oxides
contained
in
these
glasses
than
is
sodium
carbonate.
sodium
bicarbonate
Leavening
agent
in
baking
powder
and
food
ingredients;
component
of
soaps,
detergents
and
pharmaceuticals;
agent
in
leather
tanning;
textile
manufacturing;
paper
manufacturing;
fire
extinguishers;
in
industrial
and
household
chemicals
It
should
be
noted
that
ammonium
bicarbonate
can
be
used
as
a
fertilizer.
Plants
need
various
elements
(metals
and
non
metals)
for
proper
growth.
Especially
for
agricultural
crops,
plants
are
supplied
these
elements
as
part
of
chemical
fertilizers.
The
most
important
elements
for
plant
growth
are
nitrogen,
phosphorus,
and
potassium.
Other
metals
needed
in
the
soil
for
plant
up
take
are
calcium,
magnesium,
iron,
and
trace
elements
such
as
zinc.
Ammonium
bicarbonate
can
be
intentionally
added
to
growing
agricultural
crops
as
needed
to
promote
plant
growth.
Assessment
of
the
Salts
of
Carbonic
Acid
The
ammonium,
sodium,
potassium,
and
magnesium
salts
of
carbonic
acid
are
being
assessed
as
a
group
due
to
their
chemical
similarities.
However,
these
salts
all
contain
either
the
bicarbonate
ion
(HCO3
1
)
or
the
carbonate
ion
(CO3
2
),
and
thus
share
some
common
chemistries.
A
major
focus
of
this
assessment
is
the
work
previously
performed
by
FDA
in
assessing
the
safety
of
these
chemicals
as
food
additives.
1.
Physical/
Chemical
Properties:
The
physical
and
chemical
properties
of
the
salts
of
carbonic
acid
are
described
in
the
May
7,
2002
EFED
Assessment.
See
attached.
2.
Information
Sources:
Page
5
of
17
The
following
information
was
used
in
performing
this
assessment:
The
available
information
consisted
of
information
retrieved
from
various
websites,
such
as,
°EPA(
www.
epa.
gov),
°NIOSH,(
www.
cdc.
gov/
niosh/
ipcsneng/
neng1333.html),
(www.
cdc.
gov/
niosh/
ipcsneng/
neng0969.html),
°
TOXNET
(
www.
toxnet.
nlm.
nih.
gov.),
°WHO(
www.
inchem.
org/
documents/
jecfa/
jecmono/
v17je02.htm)
Various
FDA
GRAS
Assessments
were
also
used.
3.
NIOSH
(National
Institute
for
Occupational
Safety
and
Health)
The
NIOSH
International
Chemical
Safety
Card
for
ammonium
hydrogen
carbonate
indicates
that
a
TLV
(Threshold
Limit
Value)
has
not
been
established.
The
chemical
can
irritate
the
skin
and
the
respiratory
tract.
The
NIOSH
International
Chemical
Safety
Card
for
magnesium
carbonate
indicates
a
TLV
(Threshold
Limit
Value)
of
10
mg/
m
3
.
The
chemical
may
have
effects
on
the
lungs
if
the
magnesite
(the
naturally
occurring
form
of
magnesium
carbonate)
contains
more
than
1%
crystalline
silica.
4.
Acid
Characteristics
An
acid
is
a
substance
that
when
dissolved
in
water
yields
H
+
ions.
The
increase
of
the
concentration
of
the
H
+
ions
lowers
the
pH.
Mineral
acids
contain
a
non
metal
such
as
phosphorus,
nitrogen,
sulfur,
or
chlorine
which
may
or
may
not
be
combined
with
oxygen.
When
combined
with
oxygen,
these
anions
can
be
referred
to
as
oxyanions.
Strong
acids
are
those
acids
that
when
dissolved
completely
transfer
their
H
+
ions
to
water.
Others
acids
such
as
carbonic
are
referred
to
as
weak
acids:
they
exist
in
solution
as
a
mixture
of
acid
molecules
and
various
ions
formed
by
the
dissociation
of
the
acid
molecule.
The
predominant
anions
for
carbonic
acid
are
bicarbonate
(HCO3
1
)
at
pHs
below
8
and
carbonate
(CO3
2
)
at
pHs
above
10.
5.
Cations:
Sodium,
Potassium,
and
Magnesium
Generally,
when
any
salt
of
an
acid,
such
as
carbonic
acid,
is
dissolved
in
water,
dissociation
yields
the
anions,
which
are
negatively
charged,
and
a
positively
charged
cation.
In
the
human
body,
these
salts
tend
to
dissociate
and
thus,
for
the
most
part,
react
in
the
body
as
the
anion
and
the
cation.
Metals
such
as
sodium,
magnesium,
and
potassium
are
required
for
proper
functioning
of
human
biological
systems.
For
risk
assessment
purposes
an
important
feature
of
these
metals
is
that
overall
the
body
does
have
an
effective
means
of
processing
them.
The
primary
means
of
exposure
to
these
cations
is
ingestion.
Four
of
the
most
common
cations
required
for
functioning
Page
6
of
17
of
human
biology
are:
sodium,
potassium,
calcium
and
magnesium.
Chemically,
sodium
and
potassium
belong
to
the
same
chemical
family:
calcium
and
magnesium
belong
to
a
different
chemical
family.
Sodium:
The
average
human
body
burden
of
sodium
is
approximately
20
grams
(g)
for
a
70
kilogram
(kg)
adult.
The
sodium
cation
is
necessary
for
the
nerves
and
muscles
to
function
properly.
It
is
the
principal
cation
of
extracellular
fluid,
and
helps
to
maintain
the
body's
water
balance.
These
electrolytes,
the
electrically
charged
ions
in
the
body
fluids,
consist
to
a
great
extent
of
sodium
and
potassium.
There
is
no
Recommended
Dietary
Allowance
(RDA)
for
sodium.
Potassium:
The
average
human
body
burden
of
potassium
is
approximately
140
g
for
a
70
kg
adult.
The
potassium
cation
is
important
in
regulating
blood
pressure,
regulating
cellular
water
content,
maintaining
proper
pH
balance,
and
transmission
of
nerve
impulses.
It
helps
to
regulate
the
electrical
activity
of
the
heart
and
muscles.
The
potassium
RDA
is
900
mg/
day.
Magnesium:
The
average
human
body
burden
of
magnesium
is
approximately
20
g
for
a
70
kg
adult.
The
magnesium
cation
is
also
used
in
building
bones.
It
plays
a
role
in
releasing
energy
from
muscles
and
regulating
body
temperature.
The
RDA
for
magnesium
is
310
to
320
mg/
day
for
adult
females
and
400
to
420
mg/
day
for
adult
males
with
the
RDA
increasing
with
increasing
age.
6.
Ammonium
Salt:
Ammonium
carbonate
salts
dissociate
to
form
the
positively
charged
ammonium
cation
(NH4
+
).
Humans
cannot
convert
atmospheric
nitrogen
to
any
form
that
can
be
used
as
part
of
any
of
the
various
metabolic
cycles.
Therefore,
reduced
nitrogen
(NH4
+
)
has
to
enter
the
body
from
an
outside
source.
These
sources
are
the
nitrogen
containing
amino
acids
in
protein
which
are
consumed
daily
as
part
of
the
diet.
Although
the
human
body
can
produce
some
amino
acids,
ten
amino
acids
are
considered
"essential"
amino
acids,
i.
e.,
they
must
be
consumed
in
the
diet.
Generally
the
body
works
to
maintain
a
balance
of
nitrogen
intake
and
nitrogen
excretion.
The
estimated
daily
ammonia
intake
through
food
and
drinking
water
is
18
mg.
In
contrast,
4000
mg
of
ammonia
per
day
are
produced
endogenously
in
the
human
intestine.
Ammonia
and
the
ammonium
ion
are
integral
components
of
normal
human
metabolic
processes.
Ammonia
is
released
following
deamination
that
occurs
when
protein
is
used
by
the
body
for
energy
production.
The
liver
converts
ammonia
via
the
urea
cycle
into
urea.
According
Page
7
of
17
to
FDA
in
the
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974),
"the
normal
liver
so
readily
detoxifies
ammonium
ion
from
alimentary
sources
that
blood
concentrations
of
ammonium
salts
do
not
rise
to
the
levels
necessary
to
evoke
toxic
response."
Approximately
80%
of
the
body's
excess
nitrogen
is
eliminated
through
the
kidneys
as
urea,
approximately
25
to
30
grams
per
day.
Page
8
of
17
7.
Toxicological
Profile
Table
The
Agency
has
not
reviewed
any
of
the
toxicological
studies
in
the
following
table
for
any
of
the
salts
of
carbonic
acid.
The
reviews
of
these
studies
were
obtained
from
Toxnet,
as
well
as
other
government
websites.
Table
4:
Toxicological
Profile
Chemical
Toxicity
Other
Information
Ammonium
carbonate
Contact
with
eyes
or
skin
causes
irritation,
if
inhaled
will
cause
difficulty
in
breathing;
Ammonium
compounds
used
as
fertilizers
are
a
toxicological
hazard
when
livestock
have
access
to
residues
or
pools
of
solution
on
a
pasture
CERCLA
Reportable
Quantity:
greater
than
5000
lb
(2270
kg);
Designated
as
a
hazardous
substance
under
section
311(
b)(
2)(
A)
of
the
Federal
Water
Pollution
Control
Act
and
further
regulated
by
the
Clean
Water
Act
Ammonium
bicarbonate
Inhalation
may
cause
respiratory
irritation;
Contact
with
eyes
or
skin
causes
irritation;
There
appears
to
be
a
more
rapid
excretion
of
ammonia
following
ammonium
bicarbonate
infusions,
which
result
in
higher
unionized
ammonia
levels
in
blood
compared
with
those
following
ammonium
chloride
infusions;
Mutagenicity:
Ames
assays
strains
TA
97
and
TA102
with
and
without
rat
liver
activation:
Negative.
CERCLA
Reportable
Quantity:
greater
than
5000
lb
(2270
kg);
Designated
as
a
hazardous
substance
under
section
311(
b)(
2)(
A)
of
the
Federal
Water
Pollution
Control
Act
and
further
regulated
by
the
Clean
Water
Act
Page
9
of
17
Magnesium
Carbonate
Repeated
doses
may
cause
diarrhea,
which
may
cause
fluid
and
electrolyte
imbalance;
Can
cause
hypermagnesemia
in
those
with
severely
impaired
renal
function;
Can
alkalinize
the
urine;
Magnesium
salts
are
poorly
absorbed
from
the
intestine;
Normal
range
of
magnesium
serum
concentrations
1.
5
to
2.
5
mEq/
L
1974
Production
in
US:
5.4
x
10
6
kg
(1227
tons),
with
another
2%
of
that
amount
imported
that
year
.
Potassium
Carbonate
Oral
LD50
:
Rat
1870
mg/
kg;
Mouse
2570
mg/
kg;
Inhalation
LC50
:
Rat
>
500
mg/
m
3
;
Irritating
to
skin
,
mucous
membrane
of
eyes
and
upper
respiratory
tract;
Irritant
and
caustic
action
similar
to
that
of
potassium
hydroxide,
but
less
severe;
Negative
in
the
Ames
assays
with
two
strains
of
Salmonella
typhimurium
(TA
97
and
TA102)
with
and
without
activation
Common
Name:
Potash.
Sodium
Bicarbonate
Developmental
Toxicity:
No
effects
found
up
to
580
mg/
kg
in
mice,
340
mg/
kg
in
rats,
and
330
mg/
kg
in
rabbits;
Negative
in
the
Ames
assays
with
two
strains
of
Salmonella
typhimurium
(TA
97
and
TA102)
with
and
without
activation;
Daily
doses
up
to
25
mEq/
kg
were
administered
to
patients
for
3
weeks,
changes
in
plasma
electrolyte
concentration
were
not
remarkable,
plasma
total
carbon
dioxide
increased
by
only
5
mEq/
L
with
largest
dose,
considerable
weight
gain
was
most
prominent
effect;
No
reports
of
toxicity
caused
by
the
ingestion
of
baking
soda;
Daily
dose
limited
to
200
mEq
in
persons
under
60
year
age
and
100
in
those
older;
Adults
with
normal
renal
function
can
tolerate
up
to
1700
mEq
daily
with
minimal
symptoms;
Contra
indicated
for
alkalosis
(metabolic
or
respiratory),
chloride
loss
due
to
vomiting
or
continuous
GI
suction,
or
hypocalcemia;
Eliminated
principally
in
the
urine,
alkalizes
it
Common
Name:
Baking
soda.
1984
Production
in
US:
3.2
x
10
8
kg
(72727
tons),
with
another
5%
of
that
amount
imported
same
year.
Page
10
of
17
Sodium
Carbonate
Oral
LD50
:
rat
2880
to
4090
mg/
kg;
Inhalation
LC50
:
rat
2300
mg/
m
3
(2
hour);
Inhalation
LC50
:
mouse
1200
mg/
m
3
(2
hour);
Skin
irritation:
mild;
Eye
irritation
:
mild
moderate;
Aqueous
solutions
are
strongly
alkaline;
Concentrated
solutions
tend
to
produce
local
necrosis
of
mucous
membranes;
Sensitivity
reactions
may
occur
from
repeated
topical
use;
Ingestion
of
large
quantities
may
produce
corrosion
of
GI
tract,
vomiting,
diarrhea,
circulatory
collapse,
death;
Dusts
of
vapors
of
sodium
carbonate
may
cause
irritation
of
mucous
membranes
with
subsequent
coughing
and
shortness
of
breath;
A
primary
irritant
at
concentrations
below
15%
and
caustic
at
concentrations
above
approximately
15%,
depending
on
contact
time,
areas
of
exposure,
and
other
factors;
Developmental
toxicity
test
on
gestation
days
6
to
15
in
rats,
mice
and
rabbits
at
levels
of
3.
4
to
340
mg/
kg:
no
effects
on
nidation
or
survival
of
the
dams
or
fetuses.
Common
name:
washing
soda
Page
11
of
17
8.
Agency
Review
of
Toxicity
Data
for
Potassium
Bicarbonate
and
Sodium
Bicarbonate
Sodium
bicarbonate
has
an
acute
oral
LD50
greater
than
5000
mg/
kg
in
rats,
an
acute
dermal
LD50
greater
than
2000
mg/
kg
in
rabbits,
and
an
acute
inhalation
LC50
greater
than
4.74
mg/
L
in
rats.
It
causes
minimal
eye
irritation
and
slight
dermal
irritation
in
rabbits,
and
is
a
dermal
non
sensitizer
in
guinea
pigs.
Potassium
bicarbonate
has
an
acute
oral
LD50
greater
than
2825
mg/
kg
in
rats,
an
acute
dermal
LD50
greater
than
2000
mg/
kg
in
rabbits,
and
an
acute
inhalation
LC50
greater
than
4.96
mg/
L
in
rats.
It
causes
slight
eye
irritation
and
slight
dermal
irritation
in
rabbits,
and
is
a
dermal
non
sensitizer
in
guinea
pigs.
9.
FDA
GRAS
(Generally
Recognized
As
Safe)
Assessments
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Carbonates
and
Bicarbonates
as
Food
Ingredients"
(1975).
"Carbonates
and
bicarbonates
are
used
in
foods
as
neutralizers
and
leavening
agents.
These
anions
occur
in
body
fluids
and
tissues
as
the
result
of
normal
metabolic
processes
and
are
important
in
the
control
of
acid
base
balance.
Except
for
calcium,
most....
are
fairly
soluble
in
water."
The
possible
average
daily
intake
of
added
carbonates
(i.
e.,
those
used
as
food
additives)
at
that
time
were:
Table
5:
Daily
Intake
Chemical
Name
0
to
5
Months
(mg/
kg)
6
to11
Months
(mg/
kg)
12
to
23
Months
(mg/
kg)
2
to
65+
Years
(mg/
kg)
ammonium
bicarbonate
3
12188
ammonium
carbonate
8
343512
magnesium
carbonate
2
8
12
6
potassium
11
2
<1
bicarbonate
potassium
carbonate
3
15
22
10
sodium
bicarbonate
29
171
251
80
sodium
carbonate
1
6
6
2
Potassium
and
Sodium
Carbonate
and
Bicarbonate
Page
12
of
17
In
the
FDA
Assessment
acute,
short
term,
and
developmental
toxicity
studies
and
mutagenicity
studies
were
evaluated
for
potassium
carbonate
and
bicarbonate.
For
sodium
carbonate
and
bicarbonate
acute,
short
term,
and
developmental
toxicity
studies,
and
mutagenicity
and
metabolism
studies
were
evaluated.
There
was
also
some
human
data.
No
chronic
studies
were
identified.
"The
results
of
acute
toxicity
and
short
term
feeding
experiments
are
not
readily
extrapolated
in
determining
toxic
levels
for
carbonate
salts
consumed
by
humans.
Treatment
of
gastric
or
peptic
ulcers
in
patients
with
large
amounts
of
carbonate
salts
in
various
forms
has
been
utilized
for
many
years
and
only
rarely
have
deleterious
results
of
changes
of
acid
base
balance
been
reported.
When
the
human
respiratory
and
renal
functions
are
normal,
the
mechanisms
for
disposing
of
bicarbonate
intake
in
large
amounts
through
excretion
appear
to
be
highly
efficient."
"There
is
no
evidence
in
the
available
information
on
...
potassium
carbonate,
potassium
bicarbonate,
sodium
carbonate,
[or]
sodium
bicarbonate
...
that
demonstrates
or
suggests
reasonable
grounds
to
suspect
a
hazard
to
the
public
when
used
at
levels
that
are
now
current
or
that
might
reasonably
be
expected
in
the
future."
Ammonium
Carbonate
and
Bicarbonate
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Certain
Ammonium
Salts
as
Food
Ingredients"
(1974).
"Ammonia
and
ammonium
ion
are
integral
components
of
normal
metabolic
processes
and
play
an
essential
role
in
the
physiology
of
man.
Although
there
have
been
no
significant
feeding
studies
specifically
designed
to
ascertain
the
safety
threshold
of
ammonium
compounds
as
food
ingredients,
numerous
metabolic
studies
have
been
reported
in
the
scientific
literature.
Extrapolation
of
these
finding
to
the
concentrations
of
ammonium
compounds
normally
present
in
foods
does
not
suggest
that
there
would
be
untoward
effects
at
such
levels."
Magnesium
Carbonate
The
FDA
Assessment
is
titled
"Evaluation
of
the
Health
Aspects
of
Magnesium
Salts
as
Food
Ingredients"
(1976).
Magnesium
is
(1)
a
dietary
essential,
(2)
involved
in
many
metabolic
reactions,
(3)
important
in
electrolyte
balance,
and
(4)
present
in
fruits,
vegetables,
grains,
milk,
meat
and
fish.
No
chronic
toxicity
data
were
available.
The
"status
of
magnesium
as
a
ubiquitous
and
essential
dietary
ingredient
for
the
maintenance
of
homeostatic
and
bioenergetic
mechanisms
leads
to
the
opinion
that
none
of
the
available
evidence
suggests
any
probable
hazard
when
any
of
the
GRAS
compounds
of
magnesium
is
used
as
a
food
ingredient."
The
conclusion
was
reached
that
there
was
no
available
information
on
magnesium
chloride
to
demonstrate,
or
suggest
Page
13
of
17
"reasonable
grounds
to
suspect,
a
hazard
to
the
public
when
...
used
at
levels
that
are
now
current
and
in
the
manner
now
practiced,
or
which
might
reasonably
be
expected
in
the
future."
10.
FAO/
WHO
Expert
Committee
on
Food
Additives
Ammonium
carbonate
and
ammonium
hydrogen
carbonate
(previously
known
as
ammonium
bicarbonate)
were
evaluated
previously
in
1966.
The
evaluation
was
performed
using
the
available
data
on
ammonium
carbonate
and
ammonium
bicarbonate
as
well
as
surrogate
data
on
ammonium
chloride
and
various
carbonate
salts.
Acute,
short
term,
and
developmental
toxicity
studies,
mutagenicity
studies,
and
human
studies
were
used.
"These
compounds
(ammonium
ion
and
bicarbonate
ion
)
are
normal
metabolites
in
man.
Although
specific
toxicological
data
for
ammonium
carbonate
and
ammonium
bicarbonate
are
limited,
extrapolation
of
results
from
studies
with
ammonium
compounds
(primarily
ammonium
chloride)
and
with
sodium
or
potassium
carbonate
provide
a
basis
for
evaluation.
Clinical
studies
in
man
show
that
administration
of
high
doses
of
ammonium
chloride
or
of
sodium
bicarbonate
results
in
changes
in
the
acid
base
balance.
This
is
the
normal
physiological
response.
The
levels
of
ammonium
carbonate
and
bicarbonate
in
the
diet
from
food
additive
use
are
extremely
small
compared
to
the
levels
required
to
cause
physiological
changes
and
pose
no
toxicological
hazard."
The
estimate
of
acceptable
daily
intake
for
man
is
"not
specified."
"The
statement
`ADI
not
specified'
means
that,
on
the
basis
of
the
available
data
(toxicological,
biochemical,
and
other),
the
total
daily
intake
of
the
substance,
arising
from
its
use
or
uses
at
the
levels
necessary
to
achieve
the
desired
effect
and
from
its
acceptable
background
in
food,
does
not,
in
the
opinion
of
the
Committee,
represent
a
hazard
to
health.
For
this
reason,
and
for
the
reasons
stated
in
individual
evaluations,
the
establishment
of
an
acceptable
daily
intake
(ADI)
in
mg/
kg
bw
is
not
deemed
necessary."
11.
Human
Health
Hazard
Characterization:
When
dissolved
in
water,
salts
of
carbonic
acids
form
basic
solutions.
The
toxicity
(the
irritation
and
caustic
effects)
of
these
chemicals
tend
to
resemble
those
of
the
hydroxides,
although
to
a
lesser
extent.
In
solution
these
chemicals
could
effectively
perform
as
buffering
agents,
pH
adjusters,
or
neutralizers
in
pesticide
products.
This
is
indicative
of
the
use
of
small
amounts
of
the
chemical
that
are
incorporated
in
a
pesticide
product
to
modify
and/
or
control
the
pH.
After
the
pH
adjustment
is
performed,
the
aqueous
solution
of
carbonate
salts
would
be
neutralized.
If
used
as
an
active
ingredient
the
chemical
is
subject
to
FIFRA
registration
requirements
and
various
labeling
language.
These
chemicals
must
be
used
and
applied
according
to
good
manufacturing
or
good
agricultural
practices.
However,
there
are
no
significant
adverse
effects,
to
the
general
public
or
any
population
subgroup
from
consumption
of
residues
of
the
ammonium,
potassium,
magnesium,
and
sodium
salts
of
carbonic
acid
resulting
from
pesticide
Page
14
of
17
product
uses.
As
a
group
these
salts
of
carbonic
acid
constitute
a
group
of
chemicals
with
many
uses
including
direct
use
in
the
food
supply.
Various
ammonium,
magnesium,
potassium,
and
sodium
salts
of
carbonic
acid
have
been
reviewed
by
both
FDA
and
WHO.
These
chemicals
have
been
used
in
the
food
supply
for
a
number
of
years.
The
available
toxicity
data
indicates
that
the
human
body
metabolizes
carbonates,
ammonium,
magnesium,
potassium,
and
sodium
ions
through
well
understood
pathways.
In
fact,
the
metals
are
necessary
human
nutrients.
Given
the
long
history
of
safe
use,
the
available
toxicity
data,
and
an
understanding
of
the
human
body's
ability
to
metabolize
these
chemicals,
and
the
evaluations
by
FDA
and
WHO,
the
IIFG
believes
that
ammonium,
potassium,
sodium
and
magnesium
carbonate
salts
are
of
low
oral
toxicity.
12.
Type
of
Risk
Assessment/
Risk
Characterization:
The
toxicity
of
these
chemicals
derives
from
the
irritation
and
caustic
effects;
therefore,
a
qualitative
assessment
for
all
pathways
of
human
exposure
(food,
drinking
water,
and
residential)
is
appropriate.
Given
the
widespread
occurrence
of
these
chemicals
in
the
existing
food
supply,
the
amounts
that
can
be
applied
to
food
as
a
result
of
a
use
in
a
pesticide
product
would
not
be
expected
to
significantly
increase
the
existing
amounts
in
the
food
supply.
There
is
no
available
information
on
any
of
the
chemicals
considered
in
this
document
indicative
of
a
human
health
hazard
resulting
from
the
EPA
regulated
uses
as
well
as
the
FDA
GRAS
uses
to
the
general
public
or
any
population
subgroup.
No
additional
information
is
needed
to
assess
their
safety.
13.
Sensitivity
of
Infants
and
Children:
Overall,
when
considering
the
oral
pathway
(ingestion),
these
chemicals
have
low
toxic
potential.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
14.
Environmental
Fate
and
Ecotoxicity
Assessment/
Characterization:
In
general,
the
constituents
of
the
salts
of
carbonic
acid
are
commonly
found
in
soil
and
water
in
the
environment
suggesting
that
releasing
low
levels
of
these
chemicals
would
not
normally
be
expected
to
adversely
effect
wildlife
or
water
resources.
Large
releases
may
adversely
affect
wildlife
and
water
resources
either
directly
or
indirectly.
Direct
effects
may
result
from
exceeding
toxicity
thresholds
of
specific
chemicals.
Indirect
effects
may
be
manifested
through
disrupting
ecosystems
through
altering
pH
or
increasing
availability
of
algal
nutrients.
The
magnitude
of
the
pH
changes,
and
thus
the
magnitude
of
effects,
would
depend
on
a
Page
15
of
17
number
of
factors
including
the
amount
of
material
released
and
the
buffering
capacity
of
the
exposed
soil
or
water.
Normal
aquatic
pHs
range
from
5
to
9.
EPA's
Office
of
Water
recommended
water
quality
criteria
for
pH
are
6.
5
to
9
for
freshwater
and
6.
5
to
8.5
for
saltwater.
At
higher
or
lower
pH
aquatic
life
is
expected
to
be
adversely
impacted.
In
addition,
rapid
changes
in
pH
can
also
be
detrimental
to
aquatic
life.
The
magnesium,
potassium
and
sodium
salts
of
carbonic
acid
should
dissociate
in
water
resulting
in
a
positively
charged
(cation)
metal
in
solution.
Dissociation
is
frequently
dependent
on
pH,
with
lower
(more
acidic)
pHs
resulting
in
higher
levels
of
dissociation
and
greater
solubility.
Aquatic
toxicity
of
metals
varies
with
the
species
of
metal
and
its
concentration.
Metals
do
not
degrade
and
thus
are
permanent
in
the
environment.
They
are
likely
to
dissipate
by
being
sequestered
in
soil,
sediment,
and
plants.
15.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide
chemical's
residues
and
"other
substances
that
have
a
common
mechanism
of
toxicity."
The
chemicals
considered
in
this
document
are
structurally
related;
however,
these
salts
of
carbonic
acid
are
low
toxicity
chemicals.
Therefore,
the
resultant
risks
separately
and/
or
combined
should
also
be
low.
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
these
pesticide
chemicals
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
these
pesticide
chemicals
in
a
cumulative
risk
assessment.
16.
Determination
of
Safety:
Based
on
its
review
and
evaluation
of
the
available
information,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
residues
of
ammonium,
sodium,
potassium,
and
magnesium
salts.
Therefore,
the
following
exemptions
from
the
requirement
of
a
tolerance
are
reassessed:
In
40
CFR
180.2
sodium
carbonate.
In
40
CFR
180.1001
(c)
ammonium
bicarbonate,
magnesium
carbonate,
and
sodium
bicarbonate.
In
40
CFR
180.1001
(d)
potassium
carbonate.
In
40
CFR
180.1001
(e)
magnesium
carbonate.
17.
List
Reclassifications:
The
following
List
reclassifications
are
made
or
confirmed:
Ammonium
bicarbonate:
List
4B
Ammonium
carbonate:
List
4B
Magnesium
carbonate
(less
than
1%
crystalline
silica):
List
4A
given
its
similarities
to
calcium
carbonate
Potassium
Bicarbonate:
List
4A
given
its
similarities
to
sodium
bicarbonate
Potassium
Carbonate:
List
4B
given
its
similarities
to
potassium
hydroxide
Page
16
of
17
Sodium
Bicarbonate:
List
4A
considering
its
use
as
baking
soda
Sodium
Carbonate:
List
4B
given
its
similarities
to
potassium
carbonate
Given
the
chemical
similarities,
and
that
data/
information
on
the
following
chemicals
was
used
as
surrogate
data
for
tolerance
reassessment,
exemptions
from
the
requirement
of
a
tolerance
may
be
established
for
ammonium
carbonate,
potassium
bicarbonate,
and
sodium
carbonate.
The
following
table
lists
the
various
chemical
names,
CAS
Reg.
No.,
and
CAS
Index
Names
that
will
be
used
for
listing
in
40
CFR.
180.
Note
that
both
the
anhydrous
and
the
hydrated
forms
are
included.
The
Agency
sees
no
reason
to
distinguish
between
these
chemicals
given
that
the
only
difference
is
the
attachment
of
the
water
molecules.
Chemical
Name
CAS.
Reg.
No.
Chemical
Abstacts
Index
Name
ammonium
bicarbonate
1066
33
7
Carbonic
acid,
monoammonium
salt
(8CI,
9CI)
ammonium
carbonate
10361
29
2
Carbonic
acid,
ammonium
salt
(8CI,
9CI)
ammonium
carbonate
506
87
6
Carbonic
acid,
diammonium
salt
(8CI,
9CI)
magnesium
carbonate
546
93
0
Carbonic
acid,
magnesium
salt
(1:
1)
(8CI,
9CI)
potassium
carbonate
584
08
7
Carbonic
acid,
dipotassium
salt
(8CI,
9CI)
potassium
hydrogen
carbonate
{KHCO3}
298
14
6
Carbonic
acid,
monopotassium
salt
(8CI,
9CI)
potassium
carbonate
trihydrate
{2K2CO3
.3H2O}
18662
52
7
Carbonic
acid,
dipotassium
salt,
trihydrate
(8CI)
sodium
bicarbonate
{NaHC03}
144
55
8
Carbonic
acid
monosodium
salt
(8CI,
9CI)
sodium
carbonate
{Na2CO3}
497
19
8
Carbonic
acid
disodium
salt
(8CI,
9CI)
sodium
carbonate
decahydrate
{Na2CO3
.
10H2O}
6132
02
1
Carbonic
acid
disodium
salt,
decahydrate
(8CI,
9CI)
sodium
carbonate
heptahydrate
{Na2CO3
.
7H2O}
56399
31
6
Carbonic
acid
disodium
salt,
heptahydrate
(9CI)
sodium
carbonate
monohydrate
{Na2CO3
.
H2O}
5968
11
6
Carbonic
acid
disodium
salt,
monohydrate
(8CI,
9CI)
sodium
sesquicarbonate
{Na2CO3
.
NaHCO3
.
2H2O}
533
96
0
Carbonic
acid,
sodium
salt
(2:
3)
(8CI,
9CI)
Attachment:
Page
17
of
17
EFED
Review
of
Mineral
Acids
(Birchfield;
May
7,
2002)
| epa | 2024-06-07T20:31:44.205939 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0010/content.txt"
} |
EPA-HQ-OPP-2002-0280-0011 | Supporting & Related Material | 2002-10-02T04:00:00 | null | Page
1
of
15
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
April
8,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
January
8,
2002
Meeting
of
the
IIFG
Decision
Memo
Please
find
attached
the
Inert
Ingredient
Focus
Group
recommendations
for
the
inert
ingredients
associated
with
the
"plant
and
animal
byproducts"
grouping.
Page
2
of
15
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
the
Plant
and
Animal
By
Product
Grouping
Chemical
Name:
Several,
see
below.
Category:
Plant
and
Animal
Byproducts
CAS
Reg.
No.:
Several,
see
below.
Introduction:
The
meeting
of
the
Inert
Ingredient
Focus
Group
(IIFG)
to
discuss
the
"plant
and
animal
byproducts"
grouping
was
held
on
January
8,
2002.
Focus
Group
members
in
attendance
were:
Kathryn
Boyle
(RD),
Kerry
Leifer
(RD),
Robert
Forrest
(RD),
Jeanie
McAndrews
(RD),
Steve
Schaible
(RD),
HarryCraven
(EFED),
Diana
Locke
(HED),
Michael
Doherty(
HED),
Melba
Morrow
(AD),
Tom
Brennan
(HED),
Mark
Perry
(SRRD),
and
Larry
Schnaubelt
(SRRD).
The
presenters
were:
Mark
Perry
and
Larry
Schnaubelt
(SRRD).
The
Executive
Secretaries
for
the
meeting
were
Jeanie
McAndrews
and
Steve
Schaible
(RD).
Also
in
attendance
at
the
meeting
were
Marianne
Lewis,
Judy
Loranger,
and
Ben
Gregg,
all
of
SRRD.
At
this
meeting,
the
available
information
on
twenty
five
different
plant
and
animal
byproduct
substances
was
discussed
to
determine
if
sufficient
information
was
available
to
make
tolerance
reassessment
decisions
on
the
various
materials
and
to
make
the
determination
as
to
whether
the
various
materials
should
be
classified
as
List
4A
or
List
4B
substances.
The
25
substances
discussed
do
not
represent
the
universe
of
plant
and
animal
byproduct
inert
ingredients,
but
instead
are
a
subset
which
have
existing
tolerance
exemptions
listed
in
40
CFR
Part
180
and
can
therefore
be
counted
towards
tolerance
reassessment.
The
available
information
consisted
of
information
retrieved
from
various
websites
such
as
TOXNET,
FirstGov,
and
NTP,
as
specified
in
the
methodology
for
lower
toxicity
chemicals.
General
Internet
searches
on
the
substance
names
and
their
toxicity
were
also
used.
Information
handed
out
at
this
meeting
included:
(1)
a
short
summary
dividing
the
substances
into
25
groups
for
discussion
purposes;
(2)
an
animal
toxicity
data
summary
for
linseed
oil;
and
(3)
a
summary
of
developmental,
reproductive,
and
chronic
toxicity
studies
for
gum
arabic.
Page
3
of
15
For
purposes
of
evaluation
in
accordance
with
the
newly
developed
inert
ingredient
methodology,
manyinert
substances
undergoing
tolerance
or
tolerance
exemption
reassessment
have
been
placed
into
groups
based
on
possible
common
characteristics
or
potential
similarity
based
on
the
fact
that
they
are
derived
from
materials
that
may
generally
be
considered
similar
to
each
other.
The
term"
plant
and
animal
byproducts"
is
used
by
the
Agency
to
describe
a
group
of
chemical
substances
that
are
derived
fromplant
and
animal
sources.
Some
of
the
substances
in
this
group,
such
as
walnut
shells
or
coconut
shells,
are
only
minimally
processed
from
the
direct
plant
material.
This
is
usually
a
change
only
in
the
physical
formof
the
substance,
and
is
accomplished
by
activities
such
as
grinding
or
chopping.
Some,
however,
require
more
significant
processing
in
order
to
generate
the
endproduct
such
as
lecithin
from
oil,
or
glue
from
animal
collagen.
The
plant
and
animal
byproduct
substances
considered
by
the
IIFG
are
used
for
a
variety
of
purposes
as
inert
ingredients.
In
pesticide
products,
these
substances
are
used
as
surfactants,
thickeners,
carriers,
emulsifiers,
adhesive,
dispersing
agents,
and
many
other
uses.
Ecological
Effects:
The
substances
in
this
group
are
derived
fromnaturally
occurring
plant
and
animal
materials
and
no
adverse
ecological
effects
were
reported
in
the
available
literature.
However,
it
was
considered
that
three
compounds
(guar
gum,
sodiumalginate,
and
soap
bark,
which
act
as
a
foaming
agent,
foam
stabilizer,
and
stabilizer/
thickener,
respectively)
could
have
ecological
impacts.
After
consultation
with
OPPT
and
using
Structural
Activity
Relationships
(SARs),
the
IIFG
believes
that
these
compounds
are
of
low
concern
for
ecotoxicity.
The
IIFG
believes
that
no
significant
adverse
ecological
effects
are
anticipated
from
exposure
to
any
of
these
substances.
Discussion
Abrief
summation
of
the
available
information
was
given
for
each
of
the
chemical
substances.
If
available,
the
CAS
RegistryNumber
is
given
in
parenthesis.
Comments
made
during
the
discussion
or
after
the
meeting
that
pertained
only
to
a
specific
group
are
in
italics
below.
Current
List
classification
is
also
in
italics.
1.
Animal
Glue:
S
manufactured
from
collagen
derived
from
animal
hides
S
glue
may
be
slightly
allergenic
to
individuals
with
sensit
ivity
to
certain
proteins;
allergic
reactions
are
reversible.
Animal
glue
is
a
protein,
and
alien
proteins
may
cause
allergic
reactions.
However,
these
contact
(dermally
induced)
reactions
are
reversible
and
are
generally
not
life
threatening.
2.
Coconut
Shells,
Douglas
Fir
Bark
(List
4A),
Walnut
Shells
(List
4A):
S
coconut
shells
used
to
make
activated
charcoal
(carbon)
S
Douglas
fir
bark
commonly
used
as
a
landscaping
mulch
Page
4
of
15
These
compounds
are
minimally
processed
from
their
natural
forms,
in
most
cases
being
only
ground
or
shredded
more
finely.
As
these
substances
are
in
effect
naturally
occurring,
it
is
not
expected
that
pesticidal
use
of
these
substances
will
result
in
adverse
exposure
to
humans
or
the
environment.
3.
Coffee
Grounds:
(CAS:
68916
18
7)
(List
4A)
As
the
extract
from
ground
coffee
beans
is
widely
consumed,
it
is
unlikely
that
use
of
coffee
grounds
as
an
inert
ingredient
in
a
pesticide
formulation
will
result
in
unacceptable
risk
to
humans.
3.
Licorice
Root:
(CAS:
68916
18
7)
(List
3
"licorice
extract")
S
contains
glycyrrhizinic
acid
which
exhibits
actions
similar
to
natural
mineralocorticoids
of
the
adrenal
cortex
S
licorice
root
is
one
of
the
most
commonly
used
herbs
in
the
world;
licorice
extracts
are
used
as
a
food
additive
flavoring
agent
in
mouthwash,
root
beer,
chewing
gum,
candy,
ice
cream,
baked
goods,
and
as
a
pharmaceutical
additive
S
licorice
and
licorice
derivatives
are
on
FDA's
list
of
direct
food
substances
affirmed
as
generally
recognized
as
safe
(GRAS)
(21
CFR
184.1408);
maximumlevels
permitted
in
food
are
specified
S
according
to
ToxNet,
licorice
extract
is
characterized
as
being
"slightly
toxic"
by
the
oral
route;
toxicity
endpoints
are
as
follows:
LD50
rat
oral
=
14,200
mg/
kg,
LD50
rat
inter
peritoneal
=
1420
mg/
kg,
LD50
rat
subcutaneous
=
4200
mg/
kg,
LD50
mouse
inter
peritoneal
=
1500
mg/
kg.
S
cases
of
poisonings
are
mostly
chronic
in
nature,
not
acute;
chronic
exposure
longer
than
4
6
weeks
may
cause
hypokalemia
(low
potassium
levels),
hypernatremia
(high
sodium
levels),
hypertension,
myopathy,
and
cardiac
problems
S
"licorice
extract"
(CAS:
97676
23
8)
is
classified
as
List
3;
this
CAS
Number
actually
refers
to
"oils,
licorice"
S
no
serious
adverse
reactions
have
been
published
about
licorice
root;
single
chemical
extracts
have
caused
serious
adverse
reactions
on
occasion
when
used
in
medicine
or
candy,
but
the
whole
root
does
not
cause
these
serious
reactions.
Exposure
to
licorice
root
from
use
as
an
inert
ingredient
in
pesticidal
products
will
be
well
below
those
levels
of
licorice
extract
already
considered
safe
by
other
federal
agencies.
4.
Sperm
Oil:
(CAS:
8002
24
2)
S
liquid
wax
derived
from
sperm
whale
blubber.
S
used
as
a
lubricant
for
watches
and
other
delicate
instruments,
in
leather
treatment
products
and
soap
making
S
sperm
oil
is
a
food
additive
permitted
for
direct
application
to
food
for
human
consumption
(21
CFR
172.210)
as
well
as
an
indirect
food
additive
in
adhesives,
paper
and
paperboard
components,
and
polymers
(21
CFR
Parts
175,
176,
and
177)
Page
5
of
15
Barring
incidence
data
on
adverse
effects
after
exposure
to
spermoil,
this
chemical
should
be
added
to
List
4A.
According
to
Jerome
Blondell
(HED)
and
Norman
Spurling,
there
are
no
records
for
sperm
oil
in
the
Incidence
Data
System
database.
5.
Wood
Flour
(Wood
Dust):.
S
according
to
health
and
safety
guidelines
put
out
by
the
Occupational
Safety
and
Health
Administration
(OSHA),
acute
exposure
to
red
cedar
dust
may
result
in
irritation
of
the
eyes,
skin
and
respiratory
tract.
Chronic
occupational
exposure
may
result
in
dermatitis
reactions,
asthma,
pneumonitis,
bronchitis
and
nasal
cancer.
S
it
is
believed
that
toxicity
is
dependant
on
wood
type,
with
nasal
cancer
and
more
severe
respiratory
effects
being
associated
with
exposure
to
dust
from
hardwoods
such
as
beech,
walnut,
and
oak
S
OSHA
permissible
exposure
limit
(PEL)
for
red
cedar
dust
is
15
mg/
m
3
for
total
dust,
and
5
mg/
m
3
for
respirable
fractions
(nuisance
dust)
S
National
Institute
of
Occupational
Safety
and
Health
(NIOSH)
recommended
exposure
limit
(REL)
is
1
mg/
m
3
(as
a
time
weighted
average
(TWA)
for
up
to
10
hour
workday
and
a
40
hour
work
week),
based
on
pulmonary
dysfunction
and
other
respiratory
effects
Exposure
to
wood
dust
or
wood
flour
in
a
formulated
pesticide
product
is
likely
to
be
well
below
the
levels
which
result
in
chronic
effects
fromdaily
occupational
inhalation
exposure
to
rawwood
dust.
6.
Camphor:
(CAS:
76
22
2)
(List
3)
S
derived
from
the
camphor
tree,
Cinnamomum
camphora
S
Japanese
white
camphor
oil
(CAS:
8008
51
3)
and
d
camphor
(CAS:
464
49
3)
permitted
as
a
food
additive
permitted
for
direct
addition
to
food
for
human
consumption
(21
CFR
172.510
and
172.515,
respectively)
S
reported
uses
include
as
an
ingredient
in
non
alcoholic
beverages,
baked
goods,
condiments,
and
in
over
the
counter
medications
to
relieve
muscle
aches,
nasal
congestion
and
cold
sores;
also
used
in
the
manufacture
of
plastics,
lacquers/
varnishes,
pyrotechnics
and
embalming
fluid
S
currently
present
in
approximately
950
non
pesticidal
products
S
ingredient
in
insecticides
and
moth
and
mildew
preventatives
S
OSHA
PEL:
TWA
2
mg/
m
3
S
NIOSH
REL:
TWA
2
mg/
m
3
S
tolerance
exemption
specifies
that
camphor
not
compose
more
than
5%
(w/
w)
of
pesticide
formulation.
Camphor
is
rapidly
absorbed
through
the
skin,
respiratory
and
GI
tracts.
Camphor
readily
crosses
the
placenta
and
cases
of
fetal
death
after
ingestion
by
mother
have
been
reported.
Ingestion
of
0.7
to
1.
0
g
has
proven
fatal
in
children.
Human
fatalities
have
also
been
reported
as
a
result
of
dermal
and
respiratory
exposure.
A
Poisindex
review
of
camphor
ingestions
(estimated
to
exceed
2
mg/
kg)
showed
that
90%
of
patients
remained
asymptomatic,
4%
developed
minor
symptoms
and
6%
developed
major
symptoms.
Humans
are
considered
more
susceptible
to
the
effects
of
camphor
than
other
species.
Camphor
is
irritating
to
skin,
upper
respiratory
tract,
and
the
gastrointestinal
Page
6
of
15
tract.
It
is
toxic
and
reacts
rapidly;
exposure
may
result
in
dizziness,
tension,
hallucinations
and
mental
confusion.
Chronic
camphor
poisoning
is
uncommon
due
to
its
high
toxicity
and
rapid
action.
A
developmental
toxicity
study
in
rabbits
(with
d
camphor)
showed
no
fetal
or
maternal
toxicity
at
400
mg/
kg/
day,
yet
an
associated
range
finding
study
found
60%
maternal
mortalityat
500
mg/
kg/
day.
Another
developmental
toxicity
study
in
rats
(d
camphor)
demonstrated
that
camphor
does
not
affect
fetal
growth,
viability
or
morphological
development
at
doses
which
caused
only
minor
maternal
toxicity
(800
mg/
kg/
day).
Camphor
will
be
further
evaluated
using
a
more
formal
(Tier
2)
assessment
process.
7.
Mixed
Phytosterols
(plant
sterols):
S
phytosterols
(e.
g.,
campesterol,
sitosterol,
and
stigmasterol)
are
ubiquitous
compounds
in
plant
s
similar
to
animal
sterols
but
having
an
extra
methyl
or
ethyl
substituent
in
the
side
chain;
plant
sterols
are
found
in
plant
cell
walls
and
in
plant
oils;
the
content
of
sterols
in
plant
oilsrange
fromhundredsofmg
per100
g
tolessthan10
mg
S
the
tolerance
exemption
expression
in
40
CFR180.1001(
d)
is
for
use
in
pesticide
products
of
"mixed
phytosterols
(consisting
of
campest
erol,
sitosterol,
and
stigmasterol,
with
minor
amounts
of
associated
plant
sterols)
derived
from
edible
vegetable
oils"
as
a
surfactant
S
most
information
describes
potential
benefits
derived
from
dietary
consumption
mixed
phytosterols
and
phytosterol
esters
lower
total
blood
cholesterol
and
LDL
C;
it
is
believed
that
phytosterols
interfere
with
dietary
and
endogenous
(biliary)
cholesterol
absorption
8.
Soapbark
(Quillaja
Saponin):
(CAS:
1393
03
9)
(List
3)
S
derived
from
soapbark
tree
S
contains
saponins
which
are
natural
detergents/
surfactants
that
have
been
used
to
make
soap
and
used
as
a
foaming
agent
in
certain
beverages
(like
root
beer)
S
permitted
as
a
food
additive
permitted
for
direct
addition
to
food
for
human
consumption
(21
CFR
172.510)
S
liquid
solutions
and
dusts
reported
to
cause
reversible
eye
irritation
and
respiratory
sensitization
S
no
adverse
effect
on
death
rate
or
incidence
of
histopathological
findings
(including
tumors)
were
observed
in
mice
(both
sexes)
fed
quillaja
extract
for
84
weeks;
at
high
dose
there
was
decreased
body
weight
gain
and
differences
in
hematological
examinations
and
in
some
absolute
and
relative
organ
weights
of
both
sexes
Soap
bark
may
be
associated
with
formulations
of
fire
retardants
which
may
have
ecological
impacts.
After
consultation
with
OPPT
and
using
Structural
Activity
Relationships
(SARs)
the
IIFG
believes
that
these
compounds
are
of
low
concern
for
ecotoxicity.
Therefore,
the
IIFG
believes
that
no
significant
adverse
ecological
effects
are
anticipated
from
exposure
to
soapbark.
9.
Wool
Fat
(anhydrous
lanolin):
(CAS:
8006
54
0)
(List
4A
lanolin)
S
lanolin
is
a
greasy,
yellow
substance
extracted
fromsheep
wool;
a
mixture
of
cholesterol
and
Page
7
of
15
the
esters
of
several
fatty
acids
S
anhydrous
lanolin
refers
to
lanolin
which
contains
less
than
0.
25%
water
S
used
as
an
ointment
base
in
cosmetics
and
pharmaceuticals,
as
a
lubricant,
and
in
finishing
and
preserving
leather;
also
a
constituent
of
some
varnishes
and
paint
S
lanolin
is
regulated
by
FDAas
a
food
additive
permitted
for
direct
addition
to
food
for
human
consumption
(21
CFR
172.615),
as
well
as
an
indirect
food
additive
(21
CFR
Parts
175
178)
S
dermal
sensitivity
to
lanolin
has
been
reported,
with
a
high
incidence
of
lanolin
allergy
amongst
eczema
patients;
ToxNet
reports
that
lanolin
should
not
be
used
in
ointments
intended
for
use
by
sensitive
individuals
S
lanolin
is
considered
practically
non
toxic
by
the
oral
route,
according
to
ToxNet.
S
pesticidal
uses
of
lanolin
as
an
active
ingredient
were
canceled
in
1998
as
there
were
no
active
product
registrations
containing
the
substance
S
"lanolin"
(CAS:
8020
84
6)
is
classified
as
List
4A
The
focus
group
believes
that
this
substance
is
not
an
allergen,
but
that
there
was
individual
sensitivity
to
the
substance.
10.
Castor
oil:
(CAS:
8001
79
4)
(List
4B)
S
a
natural
oil
obtained
from
the
seed
of
the
castor
bean;
after
the
hulls
are
removed
the
seeds
are
cold
pressed
S
medicinal
castor
oil
is
prepared
from
the
yield
of
the
first
pressing;
this
is
used
as
a
purgative
and
laxative;
oil
from
the
second
pressing
is
used
as
a
lubricant
for
machinery,
as
a
softening
agent
in
making
artificial
leather,
in
the
dressing
of
genuine
leather,
in
brake
fluids,
and
in
paints
and
plastic
materials
S
FDA
direct
food
additive
permitted
in
food
for
human
consumption,
as
a
releasing
and
antisticking
agent,
not
to
exceed
500
ppmin
hard
candy
(21
CFR
172.876);
as
a
natural
flavoring
substance
or
substance
used
in
conjunction
with
flavors
(172.510);
and
as
an
indirect
food
additive
(numerous
citations
in
21
CFR
Parts
175
178);
also
used
in
cosmetics
and
pharmaceuticals
S
EPA
FIFRA
25b
active
ingredient
S
Irritating
to
rabbit
skin;
slightly
toxic
by
oral
route.
Another
source
considers
castor
oil
to
be
"moderately
toxic"
by
ingestion.
Contraindicated
for
pregnant
women;
overdose
has
caused
stillbirth
and
kidney
damage.
As
referenced
on
National
Toxicology
Program's
(NTP)
web
site,
animal
feeding
studies
(up
to
10%
in
diet
for
13
wks.)
in
rats
and
mice
resulted
in
no
significant
adverse
effects.
Genotoxicity
studies
were
negative
for
mutation
induction
in
Salmonella
typhimurium,
for
induction
of
sister
chromatid
exchanges
and
for
induction
of
micro
nuclei
in
mice
peripheral
blood
erythrocytes.
Dietary
exposure
to
residues
of
castor
oil
from
pesticidal
use
as
an
inert
ingredient
will
not
approach
levels
regulated
by
FDA
as
a
direct
or
indirect
food
additive
or
ingredient
in
cosmetics.
11.
Hydrogenated
Castor
Oil:
(CAS:
8001
78
3)
(List
3)
Page
8
of
15
S
manufactured
by
hydrogenation
of
castor
oil
in
the
presence
of
nickel
catalyst
with
pressure
and
temperature;
a
hard,
brittle
wax
that
is
extremely
insoluble
and
is
well
suited
for
products
needing
resistance
to
water,
oils,
petroleum,
and
petroleum
derivatives
S
mainly
used
in
manufacturing
greases,
but
also
used
in
paper
coatings
for
food
packaging
The
tolerance
exemption
in
40
CFR
180.1036
for
hydrogenated
castor
oil
reads
as
follows:
"The
adhesive
hydrogenated
castor
oil
is
exempt
from
the
requirement
of
a
tolerance
for
residues
in
or
on
the
raw
agricultural
commodity
cottonseed
when
used
as
an
inert
adhesive
for
formulations
of
the
attractant
gossyplure
to
disrupt
the
mating
of
the
pink
bollworm."
12.
Boiled
Linseed
Oil:
(CAS:
8001
26
1)
(List
4A
linseed
oil)
S
an
amber
colored,
fatty
oil
extracted
from
the
cotyledons
and
inner
coats
of
the
linseed,
the
seed
of
the
flax
plant
(Linum
usitatissimum);
also
known
as
flaxseed
oil
S
raw
oil
is
pale
in
color
and
practically
odorless
and
t
asteless;
boiled
oil
is
darker
and
has
a
bitter
taste
and
unpleasant
odor
S
used
as
a
drying
agent
in
paints,
varnishes,
adhesives,
inks
and
resins
S
linseed
oil
(not
boiled)
is
an
EPA
FIFRA
25b
active
ingredient
S
linseed
oil
(not
boiled)
is
an
FDA
prior
sanctioned
food
ingredient;
"substances
classified
as
drying
oils,
when
migrating
fromfood
packaging
material
(as
components
of
finished
resins)
shall
include...
linseed
oil"
(21
CFR
181.26)
S
according
to
ToxNet,
boiled
linseed
oil
should
not
be
taken
internally,
due
to
the
addition
of
lead
and
other
toxic
element;
the
boiled
oil
may
cause
skin,
eye
and
respiratory
tract
irritation
through
the
inhalation
route.
Consumption
of
boiled
linseed
oil
is
contraindicated
since
lead,
manganese
and/
or
cobalt
is
often
added
S
rats
fed
boiled
linseed
oil
during
lactation
and
gestation
had
most
offspring
die
within
3
days
of
birth:
6
month
old
Wistar
rats
were
fed
boiled
linseed
oil
during
gestation
and
lactation
(compared
to
a
control
group
fed
fresh
linseed
oil
or
peanut
oil);
mortality
in
the
young
was
higher
than
normal,
it
was
assumed
cyclic
monomers
det
ect
ed
in
the
liver
fatty
acids
were
responsible
for
toxicity
in
the
boiled
oil
S
the
fresh
oil
does
not
have
the
toxicity
concerns
that
are
associated
with
the
boiled
oil
The
tolerance
exemption
in
40
CFR
180.1056
for
boiled
linseed
oil
reads
as
follows:
"Boiled
linseed
oil
(containing
no
more
than
0.33
percent
manganese
naphthenate
and
no
more
than
0.33
percent
cobalt
naphthenate)
is
exempt
from
the
requirement
of
a
tolerance
when
used
as
a
coating
agent
for
S
ethyl
hexahydro
1H
azepine
1
carbothioate.
No
more
than
15
percent
of
the
pesticide
formulation
may
consist
of
`boiled
linseed
oil.
'
This
exemption
is
limited
to
use
on
rice
before
edible
parts
form."
13.
Carrageenan:
(CAS:
9000
07
1)
(List
4A)
S
derived
from
red
algae
S
used
as
a
thickener/
stabilizer
in
foods
such
as
chocolate,
milk,
ice
cream,
pudding,
yogurt,
Page
9
of
15
frostings
and
cream
soups
S
FDA
direct
food
additive
(21
CFR
172.620)
and
a
substance
generally
recognized
as
safe
by
FDA
(21
CFR
182.7255)
S
natural
carrageenan,
which
has
a
molecular
weight
between
100,000
and
1,
000,000
can
be
chemically
altered
to
form
degraded
carrageenan;
degraded
carrageenan
has
a
molecular
weight
between
20,000
and
30,000,
and
has
demonstrated
significantly
higher
toxicity
in
animal
studies,
including
malignancies
in
the
gastrointestinal
tract;
degradation
may
occur
in
the
human
body
S
considered
to
be
a
"water
absorbing
polymer"
S
algin
gum
(CAS:
9049
05
2),
or
calcium
carrageenan,
is
included
on
List
3
Carrageenan
will
be
further
evaluated
using
a
more
formal
(Tier
2)
assessment
process.
14.
Dextrin:
(CAS:
9004
53
9)
(List
4A),
Corn
Dextrin
S
natural
polymer
used
clinically
as
a
peritoneal
dialysis
solution
and
as
a
controlled
drug
delivery
formulation;
also
used
in
distilleries,
breweries,
and
the
manufacture
of
cotton
goods,
rayon,
paper
products,
adhesives,
explosives
and
steel
S
acute
toxicity
includes
skin
irritation,
as
well
as
inhalation
and
ingestion
hazard
(large
amounts
may
cause
gastro
intestinal
upset).
Another
source
reported
no
adverse
health
effects
expected
from
inhalation
or
skin
contact
however,
dust
may
cause
eye
irritation
(mechanical).
Negative
in
a
series
of
10
mutagenicity
studies
(1992)
which
tested
"indigestible
dextrin".
S
direct
food
additive
affirmed
as
GRAS
(21
CFR
184.1277)
15.
Furcelleran:
(CAS:
9000
21
9)
S
extracted
fromFurcellaria
fastigiata
(red
seaweed)
and
used
as
an
emulsifier,
stabilizer,
and
thickener
in
foods
S
FDA
direct
food
additive
(21
CFR
172.655)
S
a
potential
"water
absorbing
polymer"
Furcelleran
will
be
further
evaluated
using
a
more
formal
(Tier
2)
assessment
process
due
to
its
relationship
to
carrageenan.
16.
Guar
Gum:
(CAS:
9000
30
0)
(List
4A)
S
used
as
a
surfactant
and
related
adjuvant
of
surfactant;
also
used
as
a
stabilizer/
thickener
in
foods,
as
a
binding
and
disintegrating
agent
in
tablets,
and
in
suspensions,
emulsions,
lotions,
creams,
and
toothpaste
S
a
direct
food
additive
affirmed
as
GRAS
by
FDA,
with
maximum
permitted
usage
levels
in
foods
(21
CFR
184.1339)
S
acute
toxicity:
LD
50
(oral)
rat
6770
mg/
kg,
mouse
8100
mg/
kg,
rabbit
7000
mg/
kg,
hamster
6000
mg/
kg
S
guar
dust
may
cause
respiratory
tract
irritation
and
sensitization;
and
that
some
individuals
may
develop
a
respiratory
allergic
response,
or
persons
with
a
history
of
respiratory
allergies
Page
10
of
15
may
have
those
conditions
aggravated,
by
exposure
to
guar
dust.
Negative
in
a
series
of
15
mutagenicity
studies
(1992),
as
well
as
four
1982
studies,
and
one
pre
1980
study.
Negative
in
rat
(F344)
and
mouse
(B6C3F1
)
in
a
National
Cancer
Institute
(NCI)
carcinogenesis
bioassay
S
considered
to
be
a
"water
absorbing
polymer"
S
FDAhas
reportedly
banned
the
use
of
guar
gumas
an
active
ingredient
in
drugs.
Because
this
complex
carbohydrate
swells
when
wet
it
had
been
used
in
weight
loss
products
to
produce
a
feeling
of
fullness.
One
brand
resulted
in
hospitalization
of
10
patients
and
one
death
from
a
blood
clot
after
surgery
to
remove
a
throat
blockage.
Guar
gum
can
cause
diarrhea,
vomiting,
bloating,
and
intestinal
blockages.
17.
Gum
Arabic
(Acacia):
(CAS:
9000
01
5)
(List
4A)
S
A
neutral,
or
slightly
acidic,
salt
of
a
complex
polysaccharide;
derived
from
acacia
tree
sap
S
used
in
pharmaceuticals,
adhesives,
inks,
textile
printing,
cosmetics,
and
as
a
thickening
agent
and
colloidal
in
stabilizer
in
confectionary
and
food
products;
also
used
extensively
in
flavor
emulsions
S
a
direct
food
additive
affirmed
as
GRAS
by
FDA
(21
CFR
184.1330)
S
gum
arabic
is
considered
to
have
low
oral
toxicity
with
LD50
values
reported
as
follows:
oral
>16
g/
kg
rat;
>16
g/
kg
mouse;
8
g/
kg
rabbit;
and
>
18
g/
kg
hamster.
Estimates
of
the
probable
oral
lethal
dose
for
humans
are
>
15,000
mg/
kg
S
gum
arabic
has
been
shown
to
be
a
severe
allergen
in
the
workplace
and
has
led
to
skin
lesions
and
sever
asthmatic
attacks
in
humans
upon
exposure
to
the
dust
S
a
1971
study
of
37
German
printing
workers
exposed
to
gum
arabic
mist
reported
allergic
reactions
["
Printer's
Asthma"],
as
well
as
well
defined
radiological
findings
in
the
lungs,
with
occasional
chronic
bronchitis
and
pulmonary
congestion;
hypersensitivity
reactions
upon
dermal
exposure
to
the
dust
have
also
been
observed
S
two
MSDS's
reported
eye
irritation,
one
as
severe
with
redness
and
pain
S
a
potential
"water
absorbing
polymer"
In
a
subchronic
13
week
oral
mouse
study
no
compound
related
effects
were
observed.
In
a
13
week
oral
rat
study
no
compound
related
effects
were
observed
except
for
a
reduction
in
feed
consumption
at
the
two
highest
dose
in
males
and
all
doses
in
females,
as
compared
with
the
control
animals.
The
author
reported
NOAELs
of
5,
200
mg/
kg/
day
and
13,800
mg/
kg/
day,
respectively,
for
male
and
female
rats.
The
date
of
this
study
was
reported
as
1982.
In
an
NTP
cancer
study,
there
were
no
statistically
significant
differences
obtained
from
oral
administration
of
gumarabic
when
control
rates
were
compared
to
those
observed
in
treated
groups.
The
IIFG
believes
that
while
there
are
no
concerns
for
exposure
via
the
oral
route,
there
could
be
a
contact
or
a
mist
problem
for
occupational
exposure,
based
on
the
presented
information.
18.
Lecithin:
(CAS:
8002
43
5)
(List
4A)
S
a
naturally
occurring
mixture
of
the
phosphatides
of
choline,
ethanolamine,
and
inositol;
Page
11
of
15
isolated
as
a
gum
following
hydration
of
solvent
extracted
soy,
safflower,
or
corn
oils.
S
widely
used
in
food
and
industrial
applications;
affirmed
by
FDA
as
GRAS,
and
used
in
foods
with
no
limitations
other
than
current
good
manufacturing
practice
(21
CFR
184.1400)
S
in
many
products,
lecithin
is
derived
from
soybean
S
acute
toxicity:
may
cause
transient
eye
irritation.
Also,
a
2
day
study
of
mice
exposed
to
aerosolized
lecithin
reported
lungs
showing
focal
endothelial
cell
swelling
and
interstitial
edema
Many
products
containing
lecithin
are
derived
from
soy.
While
soybeans
are
considered
to
be
allergens,
the
information
available
to
the
Agency
indicates
that
the
allergen
invoking
compound
is
not
carried
over
in
the
extraction
process
that
produces
highly
refined
soybean
oil.
Therefore
there
are
no
allergen
concerns
associated
with
lecithin
even
though
it
is
processed
from
soybeans.
Studies
support
that
most
soy
allergic
individuals
can
safely
eat
products
containing
soy
lecithin
without
experiencing
any
allergic
reaction.
Tolerance
reassessment
and
list
classification
decisions
will
also
apply
to
"lecithins,
soya"
(CAS:
8030
76
0).
19.
Sodium
Alginate:
(CAS:
9005
38
3)
S
the
sodiumsalt
of
alginic
acid;
produced
from
brown
algae
(Phaeophyceae)
by
processing
to
form
alginic
acid,
then
reacted
with
sodium
hydroxide
S
a
combustible,
colorless
or
yellowish
granular
or
powdery
solid;
insoluble
in
alcohol
and
ether;
forms
a
viscous
colloid
in
water
S
affirmed
as
GRAS
by
FDA,
with
maximum
permitted
usage
levels
in
foods
(21
CFR
184.1724)
S
used
as
a
foamstabilizer
in
brewing,
a
thickener
and
suspending
agent
in
soft
drinks,
a
binding
agent
in
pharmaceutical
tablets,
and
as
a
stabilizer
in
numerous
food
items
S
other
than
minor
irritation
of
eyes
and
skin
in
some
individuals,
no
other
health
effects
are
known
to
exist
S
according
to
ToxNet,
practically
non
toxic
S
considered
to
be
a
"water
absorbing
polymer"
20.
Xanthan
Gum:
(CAS:
11138
66
2)
(List
4A)
S
a
water
soluble,
polysaccharide
gum
derived
from
Xanthomonas
campestris;
molecular
weight
between
five
and
ten
million
S
used
in
salad
dressings
and
other
products,
and
as
a
carrier
for
controlled
release
drugs
S
FDA
direct
food
additive
(21
CFR
172.695)
S
a
probable
"water
absorbing
polymer",
based
on
similar
properties
to
the
other
gums
in
this
group
21.
Locust
Bean
Gum:
(CAS:
9000
40
2)
(List
4B)
S
also
known
as
carob
gum;
derived
from
the
carob
seed
S
affirmed
GRAS
by
FDA
(21
CFR
184.1343)
Page
12
of
15
S
used
as
a
stabilizer,
thickener,
and
binder
in
foods
and
cosmetics;
a
pharmaceutic
agent;
and
in
paints,
textiles
and
paper
manufacturing
S
acute
oral
LD50
values
were
reported
as
follows:
13
gm/
kg
in
rats
and
mice;
9100
mg/
kg
in
rabbits;
and
10
gm/
kg
in
hamsters.
When
heated
to
decomposition
this
compound
emits
acrid
smoke
and
fumes.
Reported
negative
for
both
sexes
of
rats
and
mice
in
a
NTP
Carcinogenesis
Bioassay.
No
further
toxicity/
hazard
information
was
reported.
S
considered
to
be
a
"water
absorbing
polymer"
Discussion
Tolerance
reassessment
decisions
for
camphor,
carrageenan,
and
furcelleran
have
been
deferred
until
these
substances
can
be
further
evaluated.
For
the
remaining
substances,
there
are
no
concerns
for
ecotoxicity,
or
for
most
dietary
or
dermal
human
exposures.
Tolerance
exemptions
can
be
reassessed
for
these
25
substances.
While
there
is
the
potential
for
adverse
effects
to
wood
flour
or
wood
dust
fromthe
inhalation
route,
individuals
are
not
likely
to
be
exposed
at
the
levels
described
by
OSHA
from
pesticidal
application
of
products
containing
wood
dust
or
wood
flour
as
an
inert
ingredient.
OSHA
PELs
reflect
full
time
jobs,
that
may
lead
to
daily
exposures
(often
indoors)
over
the
course
of
many
years;
it
is
likely
that
these
worker
activities
will
create
the
possibility
of
respirable
sized
particles
as
a
result
of
routine
operations.
By
contrast,
mixing/
loading
and
applying
granular
or
dust
pesticide
products
that
have
these
same
wood
dust
will
not
have
the
same
level
or
types
of
exposures.
The
first
major
difference
is
the
time
and
duration
of
exposure.
For
most
cases
the
applicators
will
not
be
exposed
on
a
daily
basis.
In
fact,
it
is
much
more
likely
that
pesticide
handlers,
both
professional
and
homeowners,
will
only
have
short
term
exposures
(from
1day/
month
to
1day/
year).
Additionally,
the
exposure
to
the
substance
as
an
inert
ingredient
is
likely
to
be
significantly
less
than
levels
experienced
through
occupational
exposure.
Several
of
the
plant
products
used
as
thickeners
have
been
identified
as
being
water
absorbing
polymers.
This
termrefers
to
substances
which
are
able
to
absorb
their
weight
in
water,
such
as
guar
gum,
sodiumalginate,
and
locust
bean
gum.
Other
related
substances
such
as
xanthan
gum
and
gum
arabic
are
also
likely
to
have
this
property
based
on
similar
characteristics.
These
chemicals
have
been
identified
as
posing
moderate
concern
for
human
health
through
the
inhalation
route
if
the
particle
size
is
sufficiently
small
to
be
inhaled
into
deep
lungs
(<
10
microns),
and
if
the
substance
is
sufficiently
present
in
the
formulation.
However,
in
their
use
as
thickeners
in
pesticide
formulations,
they
will
have
already
absorbed
water
and
"swelled"
to
a
larger
particle
size,
and
will
therefore
not
be
of
toxicological
concern
through
an
inhalation
route.
The
CAS
Registry
Number
on
List
3
for
"licorice
extract"
is
97676
23
8.
The
CAS
Number
for
"licorice
extract"
referenced
in
both
ToxNet
and
by
FDA
is
68916
18
7.
Using
the
National
Institutes
of
Health,
National
Library
of
Medicine's,
ChemIDplus
Locator
webpage,
the
CAS
Number
97676
23
8
refers
to
the
term"
licorice
oils"
and
the
proper
CAS
Number
for
licorice
extract
Page
13
of
15
is
68916
18
7.
Confusion
around
these
terms
will
be
cleared
up
by
expanding
the
List
classification
term
to
include
licorice
and
its
derivatives.
Currently,
boiled
linseed
oil
is
not
included
on
any
of
the
inert
ingredient
Lists,
but
has
specific
tolerance
exemption
language
included
in
180.1056;
"linseed
oil"
(presumably
unboiled)
is
included
in
List
4A.
It
appears
that
the
CAS
number
is
the
same
regardless
of
whether
the
substance
is
boiled
or
unboiled.
IIFG
Determinations
By
consensus
there
were
no
objections
to
the
following:
All
existing
tolerance
exemptions
for
the
plant
and
animal
byproduct
substances
listed
below
can
be
reassessed.
In
40
CFR180.1001(
c):
animal
glue;
coconut
shells;
coffee
grounds;
corn
dextrin;
dextrin;
guar
gum;
gum
arabic
(acacia);
lecithin;
licorice
root;
sodium
alginate;
sperm
oil;
walnut
shells;
wood
flour;
and
xanthan
gum.
In
40
CFR
180.1001(
d):
Douglas
fir
bark,
ground;
locust
bean
gum;
mixed
phytosterols
(consisting
of
campesterol,
sitosterol,
and
stigmasterol,
with
minor
amounts
of
plant
sterols)
derived
from
edible
vegetable
oils;
soapbark
(quillaja);
and
wool
fat
(anhydrous
lanolin).
In
180.1001(
e):
castor
oil,
U.
S.
P.;
dextrin;
sodiumalginate;
and
xanthan
gum.
In
180.1036
and
180.1056,
hydrogenated
castor
oil
and
boiled
linseed
oil,
respectively.
Terms
to
be
expanded
or
consolidated
as
part
of
the
tolerance
reassessment
decision
are
as
follows:
1.
"Wool
fat
(anhydrous
lanolin)"
in
180.1001(
d)
shall
become
"lanolin
(including
anhydrous
lanolin)"
2.
"Dextrin"
and
"corn
dextrin"
in
180.1001(
c)
(both
terms)
and
180.1001(
e)
(dextrin
only)
will
be
combined
into
the
term
"dextrin
(including
corn
dextrin)"
and
listed
in
both
paragraphs.
3.
The
tolerance
reassessment
decision
for
"lecithin"
will
also
apply
to
"lecithins,
soya"
and
a
tolerance
exemption
for
this
substance
can
be
established.
By
consensus
the
following
List
classifications
have
been
determined:
1.
Animal
glue:
Add
to
List
4A;
contact
allergenic
reactions
are
likely
to
be
reversible
and
the
exposure
levels
and
durations
likely
fromuse
as
an
inert
ingredient
in
pesticidal
formulations
do
not
justify
classifying
this
substance
as
List
4B.
2.
Coconut
shells,
walnut
shells,
and
Douglas
fir
bark:
List
4A
based
on
the
fact
that
these
substances
are
naturally
occurring
and
processing
fromtheir
natural
formis
minimal
for
their
use
as
inert
ingredients.
Page
14
of
15
3.
Coffee
grounds:
List
4A,
no
concern
expected
to
humans
or
the
environment.
4.
Licorice
root:
Reclassify
"licorice
extract"
from
List
3
to
List
4B,
and
change
the
List
classification
term
to
"Licorice
and
licorice
derivatives"
such
that
licorice
root,
licorice
oils,
and
licorice
extract
are
all
reflected.
CAS
numbers
for
both
licorice
extract
and
licorice
oils
should
be
listed.
Licorice
is
widely
used
in
foods
and
pharmaceuticals;
toxicity
data
for
licorice
extract
suggests
some
chronic
effects
at
high
doses
(doses
not
likelyto
be
experienced
through
inert
ingredient
use
in
pesticide
formulations).
5.
Spermoil:
Classify
as
List
4A;
derived
from
whale
blubber,
no
incidence
data
exist
in
OPP's
Incident
Data
System
database
for
this
substance.
6.
Wood
flour:
Classify
as
List
4A;
literature
suggests
potential
chronic
exposure
concerns
for
wood
dust
frominhalation
route
in
occupational
setting.
These
exposure
durations
and
levels
will
not
be
realized
from
use
of
wood
dust
in
a
pesticide
formulated
product.
7.
Mixed
phytosterols:
Classify
as
List
4A
based
on
the
fact
that
no
concerns
were
identified.
8.
Soapbark
(Quillaja
Saponin):
Reclassify
from
List
3
to
List
4A;
based
on
SAR,
low
concern
for
ecotoxicity,
no
concerns
for
human
health.
9.
Wool
fat
(anhydrous
lanolin):
Currently
the
term
"lanolin"
is
included
on
List
4A
it
should
remain
on
list
4A
but
the
term
should
be
expanded
to
"lanolin
(including
anhydrous
lanolin)"
and
list
both
CAS
numbers.
There
is
no
toxicologically
significant
difference
between
the
two
substances.
10.
Castor
oil:
Reclassify
from
List
4B
to
List
4A.
11.
Hydrogenated
castor
oil:
Reclassify
from
List
3
to
List
4B.
12.
Boiled
linseed
oil:
"Linseed
oil,
boiled"
should
be
classified
as
List
4B.
The
existing
"linseed
oil"
term
in
List
4A
should
remain
on
List
4A
but
be
changed
to
specify
"unboiled".
13.
Dextrin
and
corn
dextrin:
Currently
only
dextrin
in
included
in
List
4A.
Both
should
be
reflected
on
List
4A
under
the
term
"dextrin
(including
corn
dextrin)".
14.
Guar
gum:
Keep
on
List
4A.
15.
Gumarabic
(Acacia):
Reclassify
fromList
4Ato
List
4B,
based
on
contact
exposure
concerns
and
occupational
concerns
with
gum
arabic
mist.
16.
Lecithin:
Keep
at
List
4A;
the
pesticidal
use
of
this
substance
is
not
expected
to
result
in
exposures
near
that
from
existing
use
of
lecithin
as
a
dietary
supplement.
"Lecithins,
soya"
Page
15
of
15
(CAS:
8030
76
0)
should
be
added
to
List
4A.
17.
Sodium
Alginate:
Add
to
List
4A;
while
this
substance
may
be
applied
to
water
through
use
in
fire
retardant
products,
SARanalysis
suggests
that
no
significant
adverse
ecological
effects
are
anticipated
from
exposure
to
this
substance.
18.
Xanthan
gum:
Keep
on
List
4A.
19.
Locust
Bean
Gum:
This
substance
is
currently
on
List
4B,
yet
is
added
to
all
types
of
food.
The
group
recommended
that
this
compound
be
moved
to
List
4A.
| epa | 2024-06-07T20:31:44.213134 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0280-0011/content.txt"
} |
EPA-HQ-OPP-2002-0282-0001 | Supporting & Related Material | 2002-10-08T04:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
October
8,
2002
Dear
Colleagues
and
Citizens:
I
would
like
to
take
this
opportunity
to
invite
you
to
provide
input
to
EPA's
Strategic
Plan,
which
will
guide
resource
and
program
decisions
over
the
next
five
years.
EPA
developed
its
first
Strategic
Plan
in
1997
and
revised
it
in
2000.
EPA's
next
Strategic
Plan
will
cover
resource
and
program
directions
from
FY2003
through
FY2008.
As
we
establish
our
strategic
goals
for
the
next
5
years
and
develop
the
strategies
we
will
employ
to
achieve
our
objectives,
we
want
to
be
sure
that
we
have
reached
a
broad
range
of
interested
and
affected
parties,
benefitted
from
their
input
and
advice,
and
prepared
a
sound,
practical
Plan
that
addresses
national
priorities
for
protecting
the
environment
and
human
health
and
will
achieve
results.
In
particular,
we
are
interested
in
your
views
on
the
following
questions:
1.
What
are
the
most
important
human
health
and
environmental
challenges
related
to
pesticides,
industrial
chemicals
and
pollution
prevention
that
EPA
should
address
in
the
next
10
years?
2.
What
specific
strategies
and
activities
should
EPA
strengthen
or
initiate
to
address
those
challenges?
3.
What
specific
accomplishments
should
EPA
commit
to
achieve
by
FY2008
or
beyond
related
to
pesticides
and
industrial
chemicals?
Please
be
as
quantitative
and
outcome
oriented
as
possible
in
your
suggestions.
4.
What
do
you
think
are
the
most
important
changes
EPA
could
make
to
become
more
effective
and
efficient
in
the
pesticide,
industrial
chemicals
and
pollution
prevention
program
areas?
5.
What
other
suggestions
do
you
have
regarding
future
challenges,
accomplishments,
strategies,
activities,
effectiveness
and
efficiency
of
other
EPA
programs
(e.
g.,
water,
air,
waste,
research,
enforcement,
etc.)?
6.
What
organizational
challenges
are
you
currently
facing
that
impact
your
organization's
ability
to
carry
out
its
mission?
You
can
provide
comments
to
us
through
EPA's
E
Docket
at
http://
www.
epa.
gov/
edocket.
On
this
site,
you
will
be
able
to
access
EPA's
current
Strategic
Plan,
including
OPPTS'
current
priorities
under
Goal
3
(Safe
Food),
Goal
4
(Preventing
Pollution
and
Reducing
Risk
in
Communities,
Homes,
Workplaces
and
Ecosystems)
and
Goal
6
(Reduction
of
Global
and
Cross
Border
Environmental
Risks).
In
order
to
ensure
that
we
can
consider
your
input
for
the
first
draft
of
the
next
strategic
plan,
we
ask
that
you
provide
input
by
November
11,
2002.
Over
the
years,
we
have
achieved
many
environmental
successes
by
working
together.
While
we
have
many
challenges
ahead,
I
am
confident
that
by
continuing
our
work
together,
we
can
continue
this
record
of
achievement.
Sincerely,
Stephen
L.
Johnson
Assistant
Administrator
Office
of
Prevention,
Pesticides
and
Toxic
Substances
Goals,
Objectives
and
Subobjectives
in
Current
(FY2000)
EPA
Strategic
Plan
Goal
3:
Safe
Food
The
foods
Americans
eat
will
be
free
from
unsafe
pesticide
residues.
Particular
attention
will
be
given
to
protecting
sub
populations
that
may
be
more
susceptible
to
adverse
effects
of
pesticides
or
have
higher
dietary
exposures
to
pesticide
residues.
These
include
children
and
people
whose
diets
include
large
amounts
of
noncommercial
foods.
Objectives
By
2006,
reduce
public
health
risk
from
pesticide
residues
in
food
from
pre
Food
Quality
Protection
Act
(FQPA)
levels
(pre
1996).
By
2008,
use
on
food
of
current
pesticides
that
do
not
meet
the
new
statutory
standard
of
"reasonable
certainty
of
no
harm"
will
be
eliminated.
By
2006,
at
least
7
percent
of
agricultural
pesticide
acre
treatments
will
use
reduced
risk
pesticides.
Subobjectives
By
2006,
residues
of
carcinogenic
and
cholinesterase
inhibiting
neurotoxic
pesticides
on
the
foods
most
frequently
eaten
by
children
will
be
reduced
by
50
percent
from
baseline
levels
determined
using
data
from
1994
through
1996.
Through
2006,
all
registration
activities
(including
registration
of
new
conventional
chemicals,
new
uses,
"me
toos,"
antimicrobials,
etc.)
will
meet
the
applicable
standards
mandated
by
law.
By
2008,
active
ingredient
and
product
reregistration
will
be
completed
for
all
pesticides
subject
to
reregistration
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(FIFRA)
88.
By
2006,
100
percent
of
the
reassessments
of
pesticide
residue
tolerances
mandated
by
FQPA
will
be
completed.
By
2006,
Registration
Review
will
be
fully
established
and
operational.
Through
2008,
provide
research
results
to
support
the
new
FQPA
regulatory
standard
of
"reasonable
certainty
of
no
harm"
for
pesticides
used
on
food.
Goal
4
Risk
in
Communities,
Homes,
Workplaces,
and
Ecosystems
Pollution
prevention
and
risk
management
strategies
aimed
at
eliminating,
reducing,
or
minimizing
emissions
and
contamination
will
result
in
cleaner
and
safer
environments
in
which
all
Americans
can
reside,
work,
and
enjoy
life.
EPA
will
safeguard
ecosystems
and
promote
the
health
of
natural
communities
that
are
integral
to
the
quality
of
life
in
this
nation.
Objectives
By
2005,
public
and
ecosystem
risk
from
pesticides
will
be
reduced
through
migration
to
lowerrisk
pesticides
and
pesticide
management
practices,
improving
education
of
the
public
and
at
risk
workers,
and
forming
"pesticide
environmental
partnerships"
with
pesticide
user
groups.
By
2007,
significantly
reduce
the
incidence
of
childhood
lead
poisoning
and
reduce
risks
associated
with
polychlorinated
biphenyls
(PCBs),
mercury,
dioxin,
and
other
toxic
chemicals
of
national
concern.
By
2007,
prevent
or
restrict
introduction
into
commerce
of
chemicals
that
pose
risks
to
workers,
consumers,
or
the
environment
and
continue
screening
and
evaluating
chemicals
already
in
commerce
for
potential
risk.
By
2005,
facilitate
the
prevention,
reduction,
and
recycling
of
toxic
chemicals
and
municipal
solid
wastes,
including
PBTs.
In
particular,
reduce
by
20
percent
the
actual
(from
1992
levels)
and
by
30
percent
the
production
adjusted
(from
1998
levels)
quantity
of
Toxic
Release
Inventory
(TRI)
reported
toxic
pollutants
which
are
released,
disposed
of,
treated,
or
combusted
for
energy
recovery,
half
through
source
reduction.
Subobjectives
By
2010,
reduce
by
at
least
10
percent
(from
the
average
1993
to
1995
levels)
the
incidence
of
adverse
health
effects
from
pesticide
exposures
for
which
individuals
required
health
care.
By
2008,
reduce
potential
exposure
(as
indicated
by
sales
or
use
volume)
to
carcinogenic
and
cholinesterase
inhibiting
neurotoxic
pesticides
used
in
or
around
residential
areas
by
50
percent
each
from
1995
levels
for
both
consumer
and
restricted
use
pesticides.
By
2005,
reduce
by
50
percent
from
1995
levels
the
number
of
incidents
and
amount
of
mortality
to
terrestrial
and
aquatic
wildlife
caused
by
the
15
pesticides
currently
responsible
for
the
greatest
mortality
to
such
wildlife.
Each
year,
none
of
the
top
15
species
on
the
Office
of
Pesticide
Programs/
Fish
and
Wildlife
Service/
U.
S.
Department
of
Agriculture
priority
list
of
threatened
or
endangered
species
will
be
jeopardized
by
exposure
to
pesticides.
By
2005,
implement
stewardship
strategies
to
reduce
pesticide
risk
by
the
use
of
Integrated
Pest
Management
(IPM)
through
agreements
with
80
pesticide
user
groups.
By
2010,
detections
of
the
15
pesticides
most
frequently
found
in
surface
water
in
the
U.
S.
Geological
Survey
(USGS)
1994
National
Water
Quality
Assessment
(NAWQA)
data
will
be
reduced
by
50
percent.
Any
new
pesticide
registered
since
1996
found
in
USGS
2010
NAWQA
data
for
surface
water
will
have
a
detection
frequency
no
greater
than
30
percent.
By
2010,
50
percent
of
all
pesticides
with
the
potential
to
leach
to
groundwater
will
be
managed
through
labeling
or
other
methods
to
prevent
groundwater
contamination.
By
2007,
EPA
will
reduce
the
incidence
of
blood
lead
levels
at
or
above
10g/
dL
in
children
between
the
ages
of
1
and
5
years
from
approximately
900,000
children
in
1991
through
1994
to
fewer
than
200,000.
By
2007,
EPA
will
achieve
continued
reductions
in
remaining
uses
of
PCBs
at
concentrations
above
500
ppm
in
transformers
and
capacitors,
retiring
from
service
and
safely
disposing
of
120,000
transformer
units
and
210,000
capacitor
units
cumulatively
from
2002
through
2007.
EPA
will
also
achieve
significant
reductions
in
exposures
to
toxic
fibers,
mercury,
and
dioxin.
By
2007,
EPA
will
allow
no
new
chemicals
for
which
it
receives
Pre
Manufacture
Notifications
to
be
introduced
into
commerce
that
pose
significant
unmanaged
risks
to
workers,
consumers,
or
the
environment.
By
2007,
inform
the
public
about
potential
chemical
hazards
and
risks
associated
with
High
Production
Volume
(HPV)
chemicals
in
commerce
by
making
screening
level
hazard,
as
well
as
limited
exposure,
data
sets
publicly
available
for
90
percent
of
the
approximately
2,
800
HPV
chemicals.
In
addition,
EPA,
in
cooperation
with
the
Organization
for
Economic
Cooperation
and
Development
(OECD),
will
make
publicly
available
internationally
recognized
hazard
classification
determinations
for
at
least
one
human
health
and
one
ecological
endpoint
for
500
HPV
chemicals
for
which
hazard
data
sets
are
available.
EPA
will
also
make
publicly
available
basic
screening
level
information
on
endocrine
disruption
potential
for
at
least
50
HPV
chemicals
by
2007.
By
2007,
EPA
will
promote
the
use
of
pollution
prevention
(P2)
for
meeting
environmental
goals
by
(1)
increasing
the
purchase
of
environmentally
preferable
products
by
the
federal
government;
(2)
increasing
adoption
of
environmentally
protective
business
practices
such
as
environmental
accounting
practices
and
P2
opportunity
assessments;
(3)
increasing
integration
of
P2
into
EPA's
regulatory,
enforcement,
and
compliance
programs;
and
(4)
reducing
the
generation
of
pollutants
by
facilities
assisted
by
state
and
tribal
P2
programs
supported
by
EPA.
By
2007,
Design
for
the
Environment
(DfE)
voluntary
partnership
risk
reduction
efforts
since
1992
will
cumulatively
lower
exposure
for
more
than
4
million
workers,
and
toxic
chemical
use
and
wastes
in
more
than
400,000
businesses
using
more
than
750
chemical
substances.
By
2007,
accomplish
the
following
cumulative
results
through
commercialization
of
green
chemistry
approaches
[as
evidenced
in
nominations
submitted
for
EPA's
Green
Chemistry
Challenge
Awards
from
1996
(year
awards
program
initiated)
through
2007]:
elimination
of
250
million
pounds
of
hazardous
substances
from
new
and
existing
chemical
products
and
processes;
elimination
of
25
million
gallons
of
hazardous
solvents;
savings
of
2
billion
gallons
of
water;
and
savings
of
25
billion
Btu
of
energy.
By
2005,
EPA
will
utilize
multiple
tools
to
reduce
use
and
releases
of
priority
PBTs
by
preventing
the
entry
of
new
PBTs
into
commerce;
achieve
through
voluntary
efforts
a
net
reduction
of
50
percent
(from
1991
levels)
in
the
volume
of
priority
PBTs
in
hazardous
waste
streams;
and
reduce
by
50
percent
from
1990
levels
releases
of
mercury
to
air
nationwide
and
to
water
within
the
Great
Lakes
Basin.
Goal
6:
Reduction
of
Global
and
Cross
Border
Environmental
Risks
The
United
States
will
lead
other
nations
in
successful,
multilateral
efforts
to
reduce
significant
risks
to
human
health
and
ecosystems
from
climate
change,
stratospheric
ozone
depletion,
and
other
hazards
of
international
concern.
Objectives
By
2006,
reduce
the
risks
to
ecosystems
and
human
health,
particularly
in
tribal
and
other
subsistence
based
communities,
from
persistent,
bioaccumulative
toxicants
(PBTs)
and
other
selected
toxins
which
circulate
in
the
environment
on
global
and
regional
scales.
Subobjectives
By
2006,
substantially
reduce
the
global
release
and
long
range,
transboundary
movement
of
PBTs
and
other
selected
toxics
by
characterizing
baseline
conditions
and
transport
patterns,
negotiating
key
international
treaties
and
initiatives,
and
engaging
in
the
information
exchange
and
capacity
building
needed
to
facilitate
the
implementation
of
these
treaties
and
initiatives,
especially
in
key
identified
source
countries.
In
so
doing,
reduce
the
worldwide
use
of
lead
in
gasoline
to
below
1993
levels,
reduce
domestic
mercury
releases
to
the
air
and
water
from
human
activities
in
the
United
States
by
50
percent
from
1990
levels,
and
reduce
domestic
mercury
use
by
50
percent
from
1995
levels.
By
2006,
EPA
will
develop
and
standardize
chemical
testing
methods,
hazard
characterization,
exposure
characterization
(including
monitoring
instrumentation
and
methods),
risk
assessment,
and
good
laboratory
practices;
collect
release
data
through
use
of
pollution
release
and
transfer
registers;
and
share
the
technical
and
financial
burden
of
testing
and
assessing
specific
chemicals.
| epa | 2024-06-07T20:31:44.220678 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0282-0001/content.txt"
} |
EPA-HQ-OPP-2002-0283-0001 | Notice | 2002-12-24T05:00:00 | Bronopol; Notice of Filing a Pesticide Petition to Establish a Tolerance for a Certain Pesticide
Chemical in or Food | 78459
Federal
Register
/
Vol.
67,
No.
247
/
Tuesday,
December
24,
2002
/
Notices
Register
notice
describing
the
electronic
docket
at
67
FR
38102
(
May
31,
2002),
or
go
to
http://
www.
epa.
gov./
edocket.
Title:
NSPS
for
Lime
Manufacturing
(
40
CFR
part
60,
subpart
HH)
(
OMB
Control
No.
2060
0063,
EPA
ICR
Number
1167.07).
This
is
a
request
to
renew
an
existing
approved
collection
that
is
scheduled
to
expire
on
January
31,
2003.
Under
the
OMB
regulations,
the
Agency
may
continue
to
conduct
or
sponsor
the
collection
of
information
while
this
submission
is
pending
at
OMB.
Abstract:
The
New
Source
Performance
Standards
(
NSPS)
for
Lime
Manufacturing
Plants
were
proposed
on
May
3,
1977
and
promulgated
on
April
26,
1984.
These
standards
apply
to
each
rotary
lime
kiln
used
in
lime
manufacturing,
which
commenced
construction,
modification
or
reconstruction
after
May
3,
1977.
The
standards
do
not
apply
to
facilities
used
in
the
manufacture
of
lime
at
kraft
pulp
mills.
The
purpose
of
this
NSPS
is
to
control
the
emissions
of
particulate
matter
(
PM)
from
lime
manufacturing
plants,
specifically
from
the
operation
of
the
rotary
lime
kilns.
The
standards
limit
particulate
emissions
to
0.30
kilogram
per
megagram
(
0.60
lb/
ton)
of
stone
feed,
and
limit
opacity
to
15%
when
exiting
from
a
dry
emission
control
device.
This
information
is
being
collected
to
assure
compliance
with
40
CFR
part
60,
subpart
HH.
There
are
three
types
of
reporting
requirements
for
owners
or
operators
of
facilities
under
this
NSPS:
(
1)
Notifications
(
e.
g.,
notice
for
new
construction
or
reconstruction,
anticipated
and
actual
startup
dates,
initial
performance
test,
and
demonstration
of
the
CMS);
(
2)
a
report
on
the
results
of
the
performance
test;
and
(
3)
semiannual
reports
of
instances
of
occurrence
and
duration
of
any
startup,
shutdown,
or
malfunctions.
The
purpose
of
the
notifications
are
to
inform
the
Agency
or
delegated
authority
when
a
source
becomes
subject
to
this
standard.
Performance
tests
are
conducted
to
ensure
that
the
new
plants
operate
within
the
boundaries
outlined
in
the
standard.
The
semiannual
reports
are
used
for
problem
identification,
as
a
check
on
source
operation
and
maintenance,
and
for
compliance
determinations.
Under
this
standard
the
data
collected
by
the
affected
industry
is
retained
at
the
facility
for
a
minimum
of
two
years
and
made
available
for
inspection
by
the
Administrator.
The
Administrator
has
judged
that
PM
emissions
from
lime
manufacturing
plants
cause
or
contribute
to
air
pollution
that
may
reasonably
be
anticipated
to
endanger
public
health
or
welfare.
Owners/
operators
of
lime
manufacturing
plants
must
notify
EPA
of
construction,
modification,
startups,
shutdowns,
malfunctions
and
performance
test
dates,
as
well
as
provide
reports
on
the
initial
performance
test
and
annual
excess
emissions.
The
industry
costs
associated
with
the
information
collection
activity
in
the
standards
are
capital
costs
and
O&
M
costs
associated
with
continuous
emissions
monitoring
and
labor
costs
associated
with
recordkeeping
and
reporting.
In
order
to
ensure
compliance
with
the
standards
promulgated
to
protect
public
health,
adequate
reporting
and
recordkeeping
is
necessary.
In
the
absence
of
such
information,
enforcement
personnel
would
be
unable
to
determine
whether
the
standards
are
being
met
on
a
continuous
basis,
as
required
by
the
Clean
Air
Act.
An
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
regulations
are
listed
in
40
CFR
part
9
and
48
CFR
chapter
15,
and
are
identified
on
the
form
and/
or
instrument,
if
applicable.
Burden
Statement:
The
annual
public
reporting
and
recordkeeping
burden
for
this
collection
of
information
is
estimated
to
average
42
hours
per
response.
Burden
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
Respondents/
Affected
Entities:
Lime
Manufacturing
Plants.
Estimated
Number
of
Respondents:
53.
Frequency
of
Response:
On
occasion,
initial,
and
semiannual.
Estimated
Total
Annual
Hour
Burden:
4,434
hours.
Estimated
Total
Annual
Cost:
$
91,500.
Changes
in
the
Estimates:
There
is
an
increase
of
244
hours
in
the
total
estimated
burden
currently
identified
in
the
OMB
Inventory
of
Approved
ICR
Burdens.
This
increase
is
due
to
an
increase
in
the
number
of
existing
facilities
subject
to
this
standard
resulting
from
the
availability
of
more
accurate
data.
Dated:
December
10,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
32399
Filed
12
23
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0283;
FRL
7277
5]
Bronopol;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0283,
must
be
received
on
or
before
January
23,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Bipin
Gandhi,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8380;
e
mail
address:
gandhi.
bipin@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
pesticide
manufacturer,
or
antimicrobial
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Industry
(
NAICS
111),
e.
g.,
Crop
production.
Industry
(
NAICS
112),
e.
g.,
Animal
production.
Industry
(
NAICS
311),
e.
g.,
Food
manufacturing.
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Register
/
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67,
No.
247
/
Tuesday,
December
24,
2002
/
Notices
Industry
(
NAICS
32532),
e.
g.,
Pesticide
manufacturing.
Industry
(
NAICS
32561),
e.
g.,
Antimicrobial
pesticide.
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0283.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0283.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0283.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
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/
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247
/
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December
24,
2002
/
Notices
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0283.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
Number
OPP
2002
0283.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
December
10,
2002.
Peter
Caulkins,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petition
The
petitioner
summary
of
the
pesticide
petition
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petition
was
prepared
by
the
petitioner
and
represents
the
view
of
the
petitioner.
The
petition
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
PP
2E6475
EPA
has
received
a
pesticide
petition
(
PP
2E6475)
from
BASF
Corporation:
3000
Continental
Drive
North,
Mount
Olive,
NJ
07828
1234;
proposing,
pursuant
to
section
408(
d)
of
the
FFDCA,
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
part
180
to
establish
an
exemption
from
the
requirement
of
a
tolerance
for
2
bromo
2
nitro
1,3
propanediol
(
Bronopol)
(
CAS
Reg.
No.
52
51
7)
in
or
on
all
raw
agricultural
commodities
when
used
as
an
in
can
preservative
in
pesticide
formulations
applied
to
growing
crops,
raw
agricultural
commodities
after
harvest,
and
animals.
EPA
has
determined
that
the
petition
contains
data
or
information
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
supports
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
A.
Residue
Chemistry
1.
Plant
metabolism.
Residue
chemistry
data
are
not
generally
required
by
EPA
regarding
tolerance
exemption
petitions.
Consequently
no
plant
metabolism
data
have
been
generated.
2.
Analytical
method.
Since
this
petition
is
for
an
exemption
from
the
requirement
of
a
tolerance,
an
enforcement
analytical
method
for
2
bromo
2
nitro
1,
3
propanediol
is
not
needed.
3.
Magnitude
of
residues.
Based
on
the
proposed
amount
of
2
bromo
2
nitro
1,3
propanediol
to
be
used
in
the
final
products
(
0.04%
or
less
by
weight
of
the
total
formulation)
and
the
recommended
frequency
and
rates
of
application
to
growing
crops,
raw
agricultural
commodities
after
harvest,
and
animals,
the
residues
are
expected
to
be
essentially
undetectable
and
not
toxicologically
significant.
B.
Toxicological
Profile
1.
Acute
toxicity.
Bronopol
was
given
as
single
oral
doses
of
200,
280,
390,
550,
or
770
mg/
kg,
as
a
solution
in
distilled
water,
to
groups
of
ten
male
and
ten
female
rats.
The
rats
were
observed
for
a
seven
day
period.
Overt
signs
of
toxicity
were
seen
immediately
after
dosing
with
280
mg/
kg
or
more,
and
within
1
hour
in
males
given
200
mg/
kg.
The
signs
included
sedation,
wheezing,
gasping,
nasal
exudate,
cyanosis,
increased
salivation
and
ataxia.
Animals
given
550
or
770
mg/
kg
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Notices
also
had
slow
or
labored
respiration,
and
two
females
became
prostrate.
Most
deaths
occurred
within
19
hours
after
dosing,
but
some
occurred
up
to
72
hours.
There
were
no
gross
abnormalities
at
autopsy
of
the
decedents
or
in
animals
killed
at
the
end
of
the
study.
The
LD50
in
male
rats
was
307
mg/
kg
and
in
female
rats
was
342
mg/
kg.
In
a
further
oral
study
groups
of
ten
male
rats
were
given
single
doses
of
Bronopol
at
36,
54,
80,
120,
270,
400,
or
600
mg/
kg,
as
a
suspension
in
0.4%
aqueous
Cellosize
solution.
The
rats
were
observed
for
up
to
ten
days
after
treatment.
Overt
signs
of
toxicity
were
seen
within
30
minutes
after
dosing
with
80
mg/
kg
or
more,
and
included
wheezing,
gasping
or
labored
respiration
and
nasal
exudate.
Animals
in
the
higher
dose
groups
were
inactive
and
adopted
a
low
or
hunched
body
position.
Deaths
occurred
in
these
groups
up
to
five
days
after
treatment;
macroscopic
findings
in
the
decedents
included
evidence
of
gastrointestinal
irritation
at
120
mg/
kg
or
more,
enlarged
and
dark
red
adrenals
in
some
animals
given
400
or
600
mg/
kg,
small
spleens
in
a
few
rats
given
80
or
120
mg/
kg,
and
pale
areas
on
the
livers
at
600
mg/
kg.
At
terminal
autopsy,
one
animal
given
400
mg/
kg
also
had
a
small
spleen.
Statistical
analysis
of
the
mortality
data
indicated
that
the
LD50
was
254
mg/
kg.
In
an
acute
inhalation
study
a
group
of
six
rats
and
two
groups
of
eight
rats
were
exposed
for
6
hour
periods
to
Bronopol
dust
at
nominal
concentrations
of
5,
0.5,
or
0.05
mg
per
liter
air
respectively.
The
animals
were
then
kept
under
observation
for
up
to
14
days.
Exposure
of
rats
to
5
mg
dust
per
liter
air
caused
severe
eye
irritation,
dyspnea
and
loss
of
bodyweight.
Exposure
to
0.5
mg
dust
per
liter
air
caused
only
slight
eye
irritation
and
mild
dyspnea,
while
no
definite
signs
of
irritation
were
observed
in
animals
exposed
to
0.05
mg
dust
per
air.
In
a
second
inhalation
study
four
groups
of
10
rats
(
5
males
and
5
females)
were
exposed
to
Bronopol
at
0
(
filtered
air
negative
control),
0.038,
0.089
or
0.588
mg/
by
inhalation
(
nose
only)
over
a
period
of
4
hours.
Exposure
was
followed
by
an
observation
period
of
14
days.
In
the
high
dose
group
one
animal
died
overnight
after
exposure,
and
2
more
animals
were
killed
during
the
following
day
because
of
severe
eye
inflammation.
Signs
of
marked
irritancy
were
recorded
in
high
dose
animals
but
disappeared
by
the
third
observation
day.
Minor
treatment
related
signs
(
piloerection
and
hunched
posture)
were
observed
on
the
day
of
treatment
in
some
intermediate
dose
rats.
There
was
no
effect
in
the
low
dose
group.
There
were
no
treatment
related
effects
on
body
weight
or
treatment
related
pathological
findings
except
for
local
dermatitis
and
ulceration
in
2
high
dose
animals
possibly
attributable
to
dermal
exposure
to
the
test
article.
Several
studies
as
summarized
below
determined
2
bromo
2
nitro
1,3
propanediol
to
be
irritant
to
the
eye.
Bronopol
in
polyethylene
glycol
300
0.1
ml
volumes
of
0.5
or
2%
Bronopol
in
polyethylene
glycol
300
were
instilled
into
one
eye
of
each
of
six
rabbits,
three
rabbits
per
concentration.
The
other
eye
in
each
case
was
treated
with
solvent
only.
The
2%
solution
was
instilled
only
once,
whereas
the
0.5%
solution
was
instilled
on
four
successive
days.
The
2%
solution
of
Bronopol
in
polyethylene
glycol
300,
instilled
once,
caused
moderate
inflammation
and
slight
conjunctival
edema
which
subsided
after
5
hours.
The
0.5%
solution,
instilled
on
four
successive
days,
had
effects
similar
to
those
produced
by
the
solvent
alone.
Bronopol
in
saline
Two
drops
of
a
solution
containing
0.5%
w/
v
Bronopol
in
normal
saline
were
applied
to
one
eye
of
three
New
Zealand
White
rabbits
once
daily
on
four
successive
days.
The
other
eye
(
control)
of
each
rabbit
was
treated
with
normal
saline.
The
eyes
were
examined
for
irritation
at
15
and
30
minutes,
and
at
1,
2,
3,
4,
and
24
hours
after
treatment
each
day.
One
rabbit
developed
moderate
inflammation
and
very
slight
edema
of
the
conjunctiva
between
two
and
four
hours
after
the
first
application,
but
this
subsided
within
24
hours.
No
other
reactions
were
observed.
Bronopol
in
polyethylene
glycol
400
One
drop
of
Bronopol
at
0
(
vehicle
control),
0.5,
2,
or
5%
in
polyethylene
glycol
400
was
added
to
one
eye
of
12
rabbits,
3
animals
per
test
concentration.
The
other
eye
of
each
rabbit
was
left
untreated.
After
24
hours
the
eyes
were
irrigated
with
300
ml
of
lukewarm
water.
Ocular
reactions
were
assessed
according
to
the
FDA
method
at
1,
24,
48,
and
72
hours,
and
then
7,
14,
and
21
days
after
treatment.
Immediately
after
treatment,
with
all
the
solutions,
most
rabbits
exhibited
head
shaking
and
blinking
and/
or
rubbing
the
treated
eye.
After
1
hour
all
the
animals
developed
conjunctival
reactions
which
had
largely
subsided
by
24
hours,
except
in
the
most
severely
affected
cases.
One
rabbit
treated
with
5%
Bronopol
had
conjunctival
reactions
that
persisted
for
72
hours.
The
lower
concentrations
produced
less
severe
and
less
persistent
conjunctival
reactions,
and
none
of
the
concentrations
elicited
reactions
in
the
cornea
or
iris.
It
was
concluded
that
Bronopol
in
polyethylene
glycol
400
was
irritant
at
5%
but
not
at
2
or
0.5%,
when
instilled
once
only
into
the
eye
of
the
New
Zealand
White
rabbit.
Bronopol
is
also
irritant
to
the
skin.
In
a
cumulative
irritancy
study
dilutions
of
Bronopol
at
0
(
vehicle
control),
0.1,
0.5,
1,
2.5,
and
5%
in
petrolatum
was
applied
daily
for
21
days
to
the
same
site
on
the
back
of
8
men.
The
treatment
sites
were
occluded.
Readings
were
made
daily
on
a
scale
of
0
to
4.
The
skin
irritancy
threshold
concentration
of
Bronopol
was
approximately
0.5
to
1.0%.
To
determine
if
the
subjects
had
been
sensitized,
they
were
further
elicited
after
a
10
day
rest
period.
Two
subjects
reacted
at
0.5
and
1%
Bronopol.
One
reacted
at
0.1%.
These
men
received
a
product
use
test
consisting
of
applications
(
without
patching)
to
the
cubital
fossa
twice
daily
for
7
days.
These
were
negative.
In
a
single,
4
hour,
semi
occluded
dermal
application
of
undiluted
Bronopol
to
the
skin
of
six
rabbits
produced
severe
dermal
reactions,
including
eschar
formation,
necrosis
and
severe
edema.
Other
adverse
dermal
reactions
noted
were
slight
hemorrhage
of
the
dermal
capillaries,
blanching
or
brown
discoloration
of
the
skin,
desquamation
and
scar
tissue.
The
absence
of
fur
growth
was
also
occasionally
noted
on
day
fourteen
with
further
effects
indicative
of
corrosion.
A
primary
irritation
index
of
6.2
was
produced
and
evidence
of
corrosive
effects
were
noted
fourteen
days
after
treatment.
Undiluted
Bronopol
was
found
to
be
a
severe
irritant/
corrosive
to
rabbit
skin.
An
acute
rabbit
dermal
toxicity
study
gave
a
dermal
LD50
of
>
2,000
mg/
kg
body
weight.
The
study
was
based
on
the
EEC,
OECD
and
EPA/
OPPTS
guidelines.
A
single
oral
dose
of
2,000
mg/
kg
body
weight
of
the
test
material
preparation
in
0.5%
Tylose
was
applied
in
a
group
of
ten
rats
(
five
males
and
five
females)
to
the
clipped
epidermis
(
dorsal
and
dorsolateral
parts
of
the
trunk)
and
covered
by
a
semi
occlusive
dressing
for
24
hours.
No
mortality
occurred.
Signs
of
toxicity
noted
in
the
2,000
mg/
kg
groups
comprised
poor
general
state,
dyspnea
and
apathy.
Findings
were
observed
until
including
study
day
1.
The
following
skin
effects
were
observed
at
the
application
site:
white
discoloration,
erythema,
edema,
eczematoid
skin
change,
scaling,
and
crust
formation.
Findings
were
observed
until
termination
of
the
study.
The
animals
did
not
gain
weight
during
the
first
post
exposure
observation
week
but
restarted
to
gain
weight
thereafter.
No
abnormalities
were
noted
in
the
animals
necropsied
at
the
end
of
the
study,
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Notices
except
in
the
skin
of
the
application
site,
where
incrustation
and
full
thickness
necrosis
(
9/
10
animals)
was
observed.
Under
the
conditions
of
this
study,
the
acute
dermal
median
lethal
dose
(
LD50)
of
the
test
substance
was
found
to
be
greater
than
2000
mg/
kg
body
weight
for
male
and
female
animals.
2
bromo
2
nitro
1,3
propanediol
is
classed
as
a
weak
skin
sensitizer
as
indicated
in
four
Magnusson
and
Kligman
guinea
pig
skin
sensitization
studies
as
summarized
below.
Study
1
The
test
method
was
the
Magnusson
and
Kligman
guinea
pig
maximization
test,
but
using
10
test
animals,
4
treated
controls
and
4
untreated
controls.
Induction
in
the
test
animals
was
by
intradermal
injections
of
0.03%
w/
v
Bronopol
in
saline
and
Complete
Freunds
Adjuvant
in
the
shoulder
region.
The
induction
process
was
supplemented
7
days
later
by
1.5%
w/
v
Bronopol
in
distilled
water
applied
under
occlusion
to
the
injection
sites.
Fourteen
days
later
the
animals
were
challenged
on
the
shaved
flank
by
occluded
patch
with
0.4%
w/
v
Bronopol
in
distilled
water.
Twentyfour
hours
after
the
challenge
the
patch
was
removed
and
the
reaction
site
examined
24
and
48
hours
after
removal.
A
further
3
challenges
were
made
at
either
1
or
2
week
intervals.
The
treated
controls
were
4
guinea
pigs
treated
the
same
as
the
test
animals
except
that
the
test
substance
was
omitted
from
the
intradermal
injection
and
the
covered
patch
induction
procedures.
At
each
challenge
4
previously
untreated
animals
were
challenged
as
per
the
test
animals.
This
group
formed
the
untreated
control.
In
the
Magnusson
and
Kligman
Maximization
test,
sensitization
is
normally
assessed
after
one
challenge.
At
this
stage
in
this
test
there
was
no
sensitization.
One
animal
was
sensitized
after
2
challenges
and
a
further
animal
after
3
challenges.
In
this
test
2/
10
animals
sensitized
after
one
challenge
is
classified
as
a
mild
sensitizer
(
Grade
II),
but
since
3
challenges
were
necessary
before
2/
10
animals
were
sensitized,
the
sensitization
potential
must
be
regarded
as
less
than
mild,
hence
Bronopol
was
found
to
be
a
weak
sensitizer
by
this
method.
Study
2
Induction
was
carried
out
as
in
Study
1
except
that
9
guinea
pigs
were
used;
induction
was
0.02%
Bronopol
in
saline
and
induction
supplementation
was
6
7
days
later
with
5%
Bronopol
in
saline.
Fourteen
days
later
the
animals
were
challenged
(
24
hour
occluded
patch)
with
1%
Bronopol
in
saline.
One
week
later
the
animals
were
subjected
to
a
crossreaction
challenge
with
2%
formalin.
Further
challenges
were
made
with
Bronopol
and
formalin
after
2
and
3
weeks.
Any
challenge
reactions
were
recorded
after
24
and
48
hours.
2/
9
animals
showed
sensitization
reactions
to
Bronopol
at
challenge
1.
Animals
were
not
challenged
with
Bronopol
at
challenge
2.
No
sensitization
reactions
were
seen
at
challenge
3
and
1/
9
animals
showed
an
equivocal
reaction
at
challenge
4.
1/
9
animals
showed
an
equivocal
reaction
to
formalin
at
challenge
2,
but
there
was
no
evidence
of
cross
reaction
at
challenges
3
and
4.
It
was
concluded
that
Bronopol
was
a
weak
sensitizer
under
the
conditions
of
this
test.
There
was
no
significant
evidence
of
cross
reaction
to
challenge
with
formalin.
Study
3
Induction
was
carried
out
as
in
Study
1
except
that
9
guinea
pigs
were
used;
induction
was
0.02%
Bronopol
in
saline
and
induction
supplementation
was
6
7
days
later
with
2.5%
Bronopol
in
saline.
Fourteen
days
later
the
animals
were
challenged
(
24
hour
occluded
patch)
with
0.25%
Bronopol
in
saline;
a
second
challenge
was
made
after
a
further
7
days.
Any
challenge
reactions
were
recorded
after
24
and
48
hours.
There
was
no
evidence
of
sensitization
in
the
9
animals
tested
at
either
challenge,
and
it
was
concluded
that
Bronopol
was
not
a
sensitizer
under
the
conditions
of
this
test.
Study
4
Induction
was
carried
out
as
in
Study
1
except
that
induction
was
0.02%
Myacide
BT
(
a
minimum
of
98%
Bronopol)
in
saline
and
induction
supplementation
was
6
7
days
later
with
2.5%
Myacide
BT
in
saline.
Fourteen
days
later
the
animals
were
challenged
(
24
hour
occluded
patch)
with
0.25%
Myacide
BT
in
saline;
a
second
challenge
was
made
after
a
further
7
days.
Any
challenge
reactions
were
recorded
after
24
and
48
hours.
There
was
no
evidence
of
sensitization
in
the
10
animals
tested
at
either
challenge,
and
it
was
concluded
that
Myacide
BT
was
not
a
sensitizer
under
the
conditions
of
this
test.
The
overall
conclusion
was
that
Bronopol
has
a
very
low,
and
variable,
sensitization
potential
in
the
stringent
Magnusson
and
Kligman
guinea
pig
maximization
test
and
is
at
most
a
weak
sensitizer
in
this
species.
There
was
no
evidence
that
the
animals
had
become
sensitized
to
formalin.
2.
Genotoxicty.
Mutagenicity
studies
including
in
vitro/
in
vivo
in
mouse
erythrocytes
(
micronucleus
assay),
chromosomal
aberration
test
in
human
lymphocytes,
Salmonella
typhimurium
plate
(
Ames)
tests
with
and
without
activation
were
negative.
Bronopol
did
not
induce
mutations
in
the
in
vitro
bacterial
mutagenicity
assay
(
TX
86004)
or
the
V79
cell
mutation
assay
(
TX
86043),
neither
was
there
evidence
of
activity
in
assays
for
host
mediated
bacterial
mutagenicity
or
dominant
lethality
conducted
in
mice
TX
74034).
Furthermore,
there
was
no
increase
in
the
incidence
of
micronuclei
in
polychromatic
erythrocytes
of
bone
marrow
from
male
and
female
mice,
24,
48,
or
72
hours
after
administration
of
single
oral
doses
up
to
a
maximum
tolerated
level
of
160
mg/
kg
(
TX
86001).
However,
weak
in
vitro
clastogenic
activity
was
detected
in
cultured
human
lymphocytes
exposed
for
24
hours,
in
the
absence
of
S
9,
to
Bronopol
at
30
µ
g/
ml
(
TX
86049).
Bronopol
is
normally
self
stabilizing
at
about
pH
4
in
aqueous
media,
but
decomposes
at
elevated
temperature
and
more
alkaline
pH
to
release
formaldehyde
as
a
breakdown
product.
Under
the
conditions
of
the
human
lymphocyte
chromosome
assay,
only
about
10%
of
an
initial
30
µ
g/
ml
concentration
of
Bronopol
in
the
culture
medium
(
pH
6.9)
could
be
detected
by
analysis
after
2
hours
incubation
at
370
C
(
DT
86029),
and
a
formaldehyde
concentration
of
4.2
µ
g/
ml
was
found
at
this
time
(
DT
86030);
the
calculated
value
for
formaldehyde
released
from
complete
breakdown
of
the
30
µ
g/
ml
concentration
of
Bronopol
is
4.5
µ
g/
ml.
Formaldehyde
shows
clastogenic
properties
in
vitro
that
include
the
induction
of
chromosome
aberrations
in
human
lymphocytes.
Furthermore,
in
a
lymphocyte
assay
conducted
in
house
(
TX
86050),
formaldehyde,
in
the
absence
of
S
9
activation,
elicited
chromosome
damage
that
was
qualitatively
and
quantitatively
similar
to
that
seen
in
the
assay
of
Bronopol.
These
findings,
supported
by
the
analytical
data,
indicate
that
the
in
vitro
clastogenicity
seen
with
Bronopol
is
due
to
its
breakdown
to
formaldehyde.
Although
formaldehyde
is
a
clastogen
in
vitro,
its
reactivity
precludes
distribution
in
vivo,
so
it
is
inactive
in
bone
marrow
and
germ
cells.
The
relative
instability
of
Bronopol,
like
that
of
other
non
carcinogenic
formaldehyde
releasing
agents,
does
not
allow
it
to
transport
formaldehyde
to
these
sites.
In
contrast,
the
carcinogen,
hexamethylphosphoramide
(
HMPA),
is
more
stable
and
requires
metabolic
activation
to
release
formaldehyde;
as
a
result,
HMPA
is
clastogenic
in
bone
marrow
and
has
adverse
effects
in
germ
cells.
In
conclusion,
the
testing
of
Bronopol
over
a
wide
range
of
genetic
endpoints
has
revealed
only
a
single
adverse
finding,
namely
weak
in
vitro
clastogenicity,
and
this
result
is
clearly
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Notices
attributable
to
the
release
of
formaldehyde
from
Bronopol
under
the
conditions
of
the
lymphocyte
assay.
The
consensus
of
negative
findings
in
shortterm
in
vitro
tests,
together
with
the
negative
finding
in
an
in
vivo
test
for
chromosome
damage
and
the
absence
of
oncogenicity
in
the
life
span
studies
in
rats
and
mice
(
see
below),
indicates
that
Bronopol
does
not
present
a
genotoxic
hazard.
In
a
2
year
rat
(
drinking
water)
chronic
toxicity
and
tumorgenicity,
Bronopol
dissolved
in
tap
water
was
dosed
to
28
day
old
rats
in
4
groups
(
45
male
and
45
female
in
the
main
groups
and
15
male
and
15
female
in
the
satellite
groups)
via
the
drinking
water
for
104
weeks
at
0
(
untreated
control),
10,
40,
and
160
mg/
kg/
day.
The
main
groups
were
reserved
for
evaluation
of
tumorigenic
potential
and
were
not
used
for
blood
and
urine
samples
during
the
study;
the
satellite
groups
were
used
for
blood
and
urine
samples
during
the
study
and
were
not
included
in
the
tumorigenicity
assessment.
The
results
at
the
various
dose
levels
may
be
summarized
as
follows:
160
mg/
kg/
day
Reduced
grooming
activity
during
the
final
year
of
treatment.
Significantly
increased
mortality.
Reduced
weight
gain
from
week
3
onwards
among
males
and
from
week
7
onwards
among
females.
Lower
food
intake
among
males
from
week
13
onwards.
Marked
reduction
in
water
intake
throughout
the
dosing
period
and
an
associated
reduction
in
urine
volume
noted
at
weeks
25,
52,
and
103.
Increase
incidence
of
progressive
glomerulonephrosis
in
males
and
females.
At
week
52,
urine
repeatedly
positive
for
hemoglobin
in
4/
10
males
and
1/
10
females,
at
week
77
in
4/
10
males
and
3/
10
females,
and
at
week
103
in
10/
10
males
and
1/
10
females.
Stomach
lesions
in
20
males
and
15
females
and
the
gastric
lymph
nodes
showed
dilation
of
the
sinusoids
in
4
males
and
5
females.
Squamous
metaplasia,
inflammation
or
atrophic
acini
in
the
salivary
glands
of
12
males
and
11
females.
40
mg/
kg/
day
Reduced
weight
gain
from
weeks
27
to
78
among
males.
Lower
food
intake
from
weeks
53
to
78
among
males.
Moderate
reduction
in
water
intake
throughout
the
dosing
period.
At
week
77,
urine
repeatedly
positive
for
hemoglobin
in
6/
10
males
and
at
week
103
in
3/
10
males.
Stomach
lesion
in
1
male.
Squamous
metaplasia,
inflammation
or
atrophic
acini
in
the
salivary
glands
of
12
males
and
2
females.
10
mg/
kg/
day
Small
but
definite
reduction
in
water
intake
throughout
the
dosing
period.
At
week
77,
urine
repeatedly
positive
for
hemoglobin
in
2/
10
males
and
at
week
103
in
2/
9
males.
Stomach
lesions
in
1
male
and
1
female.
Squamous
metaplasia
and/
or
inflammation
or
atrophic
acini
in
the
salivary
glands
of
5
males
and
1
female.
Control
At
week
52,
urine
repeatedly
positive
for
hemoglobin
in
1/
10
males
and
0/
10
females,
at
week
77
in
2/
10
males
and
0/
10
females,
and
at
week
103
in
3/
10
males
and
1/
10
females.
Stomach
lesions
in
1
male
and
2
females.
Squamous
metaplasia
and/
or
inflammation
or
atrophic
acini
in
the
salivary
glands
of
3
males
and
2
females.
The
evidence
of
toxic
effects
related
to
the
administration
of
Bronopol
was
a
reduction
in
food
intake,
impaired
food
utilization
efficiency
associated
with
reduced
bodyweight
gain,
and
increased
mortality.
Changes
in
the
stomach
and
gastric
lymph
nodes
were
attributed
to
the
irritant
effect
of
Bronopol.
Unpalatability
reduced
the
water
intake
and
was
associated
with
a
reduced
output
of
urine,
an
increased
incidence
of
hemoglobinuria
and
an
exacerbation
of
the
spontaneous
incidence
of
progressive
glomerulonephrosis.
Treatment
with
Bronopol
exacerbated
a
spontaneous
change
in
the
salivary
glands.
These
effects
were
dose
related
and
apart
from
a
small
effect
on
water
intake
that
was
related
to
palatability,
there
was
no
evidence
of
toxicity
at
10
mg/
kg/
day.
There
was
no
evidence
to
suggest
that
the
administration
of
Bronopol
affected
the
tumor
incidence.
In
summary,
the
study
gave
a
systemic
no
observed
adverse
effect
level
(
NOAEL)
of
10
mg/
kg/
day,
a
lowest
effect
level
(
LEL)
of
40
mg/
kg/
day
and
found
2
bromo
2
nitro
1,3
propanediol
(
Bronopol)
to
be
not
carcinogenic.
3.
Reproductive
and
developmental
toxicity.
In
a
two
generation
reproduction
study
in
rats
Bronopol
was
administered
to
rats
in
the
drinking
water
at
concentrations
of
25,
70,
or
200
mg/
kg/
day.
Thirteen
males
and
26
females
were
treated
for
a
minimum
of
80
days
prior
to
mating.
They
were
mated
on
two
separate
occasions
to
produce
the
F1a
and
F1b
litters.
Weanlings
from
the
F1b
litters
were
randomly
selected
(
13
males
and
26
females)
to
become
parents
of
the
next
generation.
The
F1
parents
were
treated
for
a
minimum
of
87
days
prior
to
mating,
and
were
mated
on
two
separate
occasions
to
produce
the
F2a
and
F2b
litters.
In
the
F0
generation,
one
female
from
each
of
the
control
and
low
dose
groups,
and
one
male
and
five
females
from
the
high
dose
group
died
or
were
sacrificed
in
extremis
during
the
study;
in
the
F1
generation,
one
female
from
each
of
the
low,
mid
and
high
dose
groups
died
before
the
end
of
the
study.
There
were
no
treatment
related
aspects,
so
these
deaths
were
considered
to
have
been
incidental
to
Bronopol.
Food
consumption
for
the
high
dose
group
was
consistently
lower
than
controls
for
the
F0
males,
for
F0
females
during
the
initial
two
weeks
of
treatment
and
the
lactation
periods
for
both
mates,
and
for
F1
females
during
the
lactation
period
of
the
F2a
mate.
Water
consumption
was
reduced
in
all
treated
groups,
in
a
dose
related
manner,
throughout
most
of
the
study;
this
contributed
to
the
lower
achieved
dosages
of
Bronopol
that
animals
received,
namely
22.55,
55.2,
or
147
mg/
kg.
The
female
fertility
index
for
the
high
dose
group
was
slightly
lower
than
control
at
the
F1
mate
only.
Mean
body
weights
of
the
offspring
of
the
F0
and
F1
high
dose
parents
(
F1a
and
F1b,
and
F2a
and
F2b,
respectively)
were
lower
than
the
control
throughout
the
lactation
periods.
Mean
body
weights
of
the
F1b
pups
from
the
low
and
middose
groups
were
slightly
lower
than
control
on
day
21
of
the
lactation
period.
There
were
no
other
test
articlerelated
macroscopic
or
microscopic
changes.
There
was
a
dose
related
increase
in
the
kidney
weights
of
treated
F0
females,
though
the
difference
between
the
low
dose
group
and
controls
was
minimal.
In
the
high
dose
group
animals
there
was
a
decrease
in
the
absolute
weights
of
the
livers,
and
possibly
also
the
hearts,
of
F1
males,
and
in
the
absolute
liver
weights
of
F2b
males
and
females;
these
females
also
had
lower
absolute
kidney
weights.
In
conclusion,
ingestion
of
Bronopol
elicited
signs
of
toxicity
at
all
dosages,
though
the
only
reproductive
or
litter
parameter
affected
at
the
25
and
70
mg/
kg/
day
dosages
was
body
weight
of
F1b
pups
at
weaning,
where
a
minimal
decrease
was
seen.
An
early
rat
dermal
developmental
toxicity
study
gave
a
maternal
NOAEL
>
40
mg/
kg/
day
(
HDT)
considering
2
bromo
2
nitro
1,3
propanediol
as
a
severe
dermal
irritant
in
rats.
Further
development
toxicity
studies
have
been
carried
out
for
both
the
rat
and
the
rabbit.
In
the
rat
study
three
groups
of
24
timed
mated
female
rats
were
dosed
once
daily,
orally
by
gavage,
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Notices
solutions
of
Bronopol
at
dose
levels
of
10,
28,
or
80
mg/
kg/
day
from
days
6
to
15
of
pregnancy,
inclusive.
A
similar
group
of
females
were
dosed
with
the
vehicle
(
purified
water
acidified
to
pH
4)
by
the
same
route
and
over
the
same
period,
and
served
as
controls.
Maternal
clinical
signs,
bodyweights
and
food
consumption
were
recorded.
On
day
20
of
pregnancy,
the
females
were
killed
and
a
necropsy
was
performed.
Numbers
of
corpora
lutea
and
live
and
dead
implantations
were
recorded.
Live
fetuses
were
weighed,
sexed
and
examined
for
external
and
visceral
abnormalities.
Two
thirds
of
the
fetuses
were
also
examined
for
skeletal
abnormalities.
There
was
evidence
of
maternal
toxicity
following
oral
gavage
administration
of
Bronopol
at
80
mg/
kg/
day,
characterized
by
retarded
bodyweight
gain
over
days
6
to
7
of
pregnancy.
There
was
no
evidence
of
maternal
toxicity
at
either
10
or
28
mg/
kg/
day.
There
was
no
evidence
of
developmental
toxicity
at
any
of
the
dose
levels
investigated.
There
may
be
an
association
of
treatment
at
80
mg/
kg/
day
with
advanced
ossification
of
sacral
arches
and
at
28
and
80
mg/
kg/
day
with
advanced
ossification
of
the
forelimb
phalanges.
However,
neither
of
these
findings
in
these
groups
was
unusually
advanced
when
compared
to
historical
background
data.
In
a
second
study
using
rabbit
groups
of
18,
19,
or
20
timed
mated
female
animals
were
dosed
daily
between
7
and
19
days
of
pregnancy,
inclusive,
by
the
oral
route
with
aqueous
solutions
of
Bronopol
at
dose
levels
of
0
(
control),
5,
20,
40,
and
80
mg/
kg/
day.
Day
0
of
pregnancy
was
the
day
of
mating.
80
mg/
kg/
day
was
selected
as
a
level
which
should
elicit
maternal
effects.
However,
in
the
event
that
the
effects
may
have
been
too
severe,
40
mg/
kg/
day
was
selected
as
the
next
highest
level
known
to
be
tolerated
by
the
pregnant
rabbit.
The
lower
dose
level
of
5
mg/
kg/
day
and
the
intermediate
dose
level
of
20
mg/
kg/
day
were
expected
to
be
`
no
effect'
levels.
Maternal
clinical
condition,
bodyweight,
and
food
consumption
were
recorded.
The
females
were
killed
on
day
28
of
pregnancy
and
a
necropsy
was
performed.
They
were
weighed,
sexed
and
examined
for
external,
visceral,
and
skeletal
abnormalities.
At
80
mg/
kg/
day,
Bronopol
elicited
severe
maternal
toxicity
at
the
onset
of
dosing.
The
animals
recovered
after
dosing
ceased,
but
the
outcome
of
pregnancy
was
affected.
There
was
embryotoxicity
characterized
by
growth
retardation
and
a
slightly
higher
than
expected
incidence
of
fetal
abnormalities.
This
embryotoxicity
was
considered
likely
to
be
related
to
the
maternal
toxicity.
At
40
mg/
kg/
day,
which
was
considered
to
be
the
highest
level
likely
to
be
tolerated
by
the
pregnant
rabbit
without
eliciting
severe
maternal
toxicity,
there
was
no
evidence
of
adverse
effects
of
treatment
on
the
pregnant
rabbit
or
developing
embryos.
This
dose
level
was
therefore
considered
to
be
the
`
no
effect'
level
of
Bronopol
with
regard
to
developmental
toxicity.
4.
Subchronic
toxicity.
A
13
week
rat
gavage
study
showed
a
NOAEL
of
20
mg/
kg/
day
and
a
lowest
observed
adverse
effect
level
(
LOAEL)
of
80
mg/
kg/
day.
Bronopol
as
a
solution
in
distilled
water
was
dosed
to
CD
rats
(
4
groups
of
20
males
and
20
females)
by
oral
gavage
once
per
day,
seven
days
per
week
for
13
weeks
at
0
(
untreated
control),
20,
80,
and
160
mg/
kg/
day.
Reaction
to
treatment
was
as
follows:
160
mg/
kg/
day
Severe
respiratory
distress
and
abdominal
distension;
reduced
bodyweight
gain
and
food
consumption;
death
of
22
males
and
14
females
(
includes
4
male
and
3
female
rats
which
replaced
rats
dying
after
one
dose);
all
surviving
rats
were
killed
on
day
9;
autopsy
showed
gaseous
and
fluid
distension
of
the
gastro
intestinal
tract
in
the
majority
of
decedents;
ulceration,
epithelial
hyperplasia
and
hyperkeratosis
or
congested
vessels
in
the
stomachs
of
2
males
and
4
females.
80
mg/
kg/
day
Severe
respiratory
distress
and
abdominal
distension,
the
latter
sign
confined
to
6
males
and
6
females
which
subsequently
died.
At
week
6,
only
4
males
and
2
females
showed
slight
respiratory
difficulty.
Seven
males
and
9
females
died
with
autopsy
showing
gaseous
and
fluid
distension
of
the
gastro
intestinal
tract;
reduced
bodyweight
gain
and
food
consumption
for
the
first
week
of
treatment
only;
renal
changes
in
2
males.
20
mg/
kg/
day
In
one
male,
respiratory
distress,
which
subsequently
regressed;
renal
changes
in
2
males.
A
13
week
dog
gavage
study
showed
a
NOAEL
of
8
mg/
kg/
day
and
LOAEL
of
20
mg/
kg/
day.
Bronopol
dissolved
in
water
was
dosed
to
Beagle
dogs
(
4
groups
of
3
males
and
3
females)
by
oral
gavage
once
per
day,
seven
days
per
week
for
3
months
(
13
weeks)
at
0
(
untreated
control),
4,
8,
and
20
mg/
kg/
day.
One
pair
of
dogs
was
dosed
at
levels
of
20
40
mg/
kg/
day,
over
a
period
of
2
weeks
in
order
to
determine
the
vomiting
threshold
of
Bronopol.
This
was
found
to
be
at
a
dosage
of
approximately
20
mg/
kg/
day.
During
the
study
vomiting
occurred
within
30
minutes
of
dosing
and
no
other
clinical
signs
were
observed.
Macroscopic
post
mortem
examination
revealed
no
abnormalities.
In
the
main
study
there
were
no
deaths.
Vomiting,
mainly
at
20
mg/
kg/
day,
within
0.5
hour
of
dosing
was
observed
with
occasional
passage
of
liquid
feces
and
red
stained
mucus
in
isolated
animals,
both
dosed
and
control.
There
were
no
adverse
effects
on
food
or
water
consumption,
or
on
bodyweight.
There
were
no
abnormalities
of
the
eye;
no
macroscopic
post
mortem
abnormalities;
or
morphological
changes
or
variations
from
normal
in
histological
tissue
examination
which
could
be
related
to
dosage
of
the
test
compound.
After
dosing
for
6
weeks,
one
animal
receiving
8
mg/
kg/
day
had
a
serum
alkaline
phosphatase
value
approximating
to
the
upper
limit
of
normality
of
35
King
Armstrong
units;
after
12
weeks,
however,
the
value
was
well
within
normal
limits.
After
dosing
for
12
weeks
the
group
mean
total
white
cell
count,
although
within
normal
limits,
was
significantly
lower
in
dogs
receiving
8
and
20
mg/
kg/
day
than
in
the
controls.
One
animal
receiving
4
mg/
kg/
day
had
a
serum
glutamicpyruvic
transaminase
value
after
12
weeks
which
exceeded
the
upper
limit
of
normality
of
50
mU/
ml.
Apart
from
the
liver
of
one
dog
receiving
20
mg/
kg/
day
which
was
heavier
than
would
normally
be
expected,
all
organ
weights
were
within
normal
limits.
However,
when
expressed
as
a
percentage
of
bodyweight
the
mean
liver
and
spleen
weights
for
dogs
receiving
20
mg/
kg/
day
were
significantly
heavier
than
the
control
values.
5.
Chronic
toxicity.
A
2
year
toxicity/
carcinogenicity
Bronopol
study
(
administration
via
drinking
water)
in
rats
showed
a
NOAEL
of
7
mg/
kg/
day
and
a
LEL
of
<
32
mg/
kg/
day.
For
more
detail
see
the
carcinogenicity
summary
in
Unit
B.
2.
In
a
study
on
potential
local
and
tumorigenic
effects
from
repeated
dermal
application
to
mice
Bronopol
dissolved
in
90%
acetone/
water
was
applied
to
the
shaved
dorsum
of
3
groups
of
mice
(
52
male
and
52
female
per
group)
at
0
(
vehicle
control),
0.2%,
and
0.5%.
Application
was
at
the
rate
of
0.3
ml
per
mouse
on
three
days
(
Monday,
Wednesday,
and
Friday)
in
each
week
for
80
weeks.
The
results
are
summarized
as
follows:
Among
some
mice
treated
with
0.5%
Bronopol,
there
was
minimal
hair
loss
at
the
periphery
of
the
shaved
area
during
the
first
three
weeks
of
treatment.
A
marginally
inferior
survival
rate
was
recorded
among
male
mice,
although
the
prime
cause
of
death
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Notices
among
decedents
showed
no
relation
to
treatment.
Between
weeks
26
and
52,
an
inferior
bodyweight
gain
was
recorded
among
male
mice
treated
with
0.5%
Bronopol,
although
bodyweight
gain
over
the
80
week
treatment
period
was
comparable
with
that
of
the
controls.
Bodyweight
gain
among
other
treated
mice
was
not
disturbed
by
treatment.
Food
intake
and
efficiency
of
food
utilization
showed
no
disturbance
by
treatment.
Macroscopic
examination
of
decedents
and
mice
killed
after
80
weeks
of
treatment,
revealed
pathology
which
was
common
to
some
animals
from
control
and
treated
groups.
Microscopic
examination
of
decedents
and
mice
killed
at
termination
revealed
changes
consistent
with
the
age
and
strain
of
mouse
employed.
Treatment
with
Bronopol
did
not
alter
the
spontaneous
tumor
profile
of
the
mice.
6.
Animal
metabolism.
Rat
and
dogs
were
used
in
a
metabolic
study
with
both
oral
and
cutaneous
dosing
as
follows:
Oral
Dosing
in
Rats
was
by
stomach
tube
with
aqueous
solutions
of
[
14C]
Bronopol
(
1
mg/
kg).
Oral
Dosing
Dogs
Beagle
dogs
were
dosed
with
[
14C]
Bronopol
(
2
mg)
mixed
with
unlabelled
Bronopol
(
6
8
mg)
as
an
aqueous
solution
in
gelatin
capsules.
Cutaneous
Dosing
Rats
and
Rabbits
Initially
solutions
of
[
14C]
Bronopol
(
4
mg/
kg)
in
water,
acetone
and
acetone/
water
(
9:
1,
v/
v)
were
applied
to
the
clipped
backs
of
rats
to
determine
the
influence
of
the
vehicle
on
percutaneous
absorption.
Acetone
was
determined
to
be
the
preferred
application
vehicle.
In
the
main
tests
an
acetone
solution
of
[
14C]
Bronopol
(
4.8
mg/
ml)
was
applied
to
shaved/
depilated
areas
of
the
backs
of
rats
and
rabbits
at
the
rates
of
0.05
ml
per
rat
and
0.2
0.4
ml
per
rabbit,
the
treated
areas
being
occluded
with
secured
polythene.
After
an
oral
dose
of
[
14C]
Bronopol
(
1
mg/
kg)
to
rats
or
dogs,
the
radioactivity
was
completely
absorbed,
evenly
distributed
and
rapidly
excreted.
Excretion
was
almost
complete
in
24
hours.
During
5
days,
rats
excreted
83.3%
in
the
urine,
5.8%
in
the
feces
(
via
the
bile)
and
8.4%
in
the
expired
air;
1.6%
was
still
retained
probably
by
incorporation
into
pathways
of
intermediary
metabolism
of
[
14C]
glycerol
produced
by
biotransformation
of
[
14C]
Bronopol.
During
5
days,
dogs
excreted
81.8%
in
the
urine
and
3.1%
in
the
feces.
After
an
oral
dose
of
[
14C]
Bronopol
(
1
mg/
kg),
peak
blood
levels
of
radioactivity
were
reached
in
rats
and
dogs
within
2
hours,
and
declined
with
an
initial
halflife
of
4
±
1
hour.
After
an
oral
dose
of
[
14C]
Bronopol
(
1
mg/
kg)
to
the
rat
and
the
dog,
Bronopol
and
its
metabolites
were
evenly
distributed.
Only
in
tissues
concerned
with
excretion
did
levels
of
radioactivity
exceed
those
in
the
blood.
When
applied
to
the
skin
of
rats,
[
14C]
Bronopol
was
absorbed
to
a
greater
extent
from
an
acetone
solvent
vehicle
than
from
water:
acetone
(
1:
9,
v/
v)
or
water
alone.
In
rats,
at
least
7
and
15%
of
an
applied
dose
was
percutaneously
absorbed
during
24
and
96
hours
respectively.
In
rabbits,
at
least
9%
of
an
applied
dose
was
percutaneously
absorbed
during
24
hours.
Pretreatment
of
rabbit
skin
with
a
depilatory
enhanced
absorption.
Microhistoautoradiographs
of
rabbit
skin
showed
that
[
14C]
Bronopol
was
mainly
localized
on
the
epidermis
around
the
hair
follicles.
The
limited
percutaneous
absorption
of
Bronopol
may
occur
through
the
hair
follicles.
Five
metabolites,
which
were
more
polar
than
Bronopol,
were
detected
in
the
urine
of
rats
and
dogs
given
an
oral
dose
of
[
14C]
Bronopol.
One
metabolite,
shown
by
comparison
of
infra
red
and
mass
spectra
with
synthetic
material
to
be
2
nitropropane
1,3
diol,
accounted
for
more
than
40%
of
the
administered
dose.
Unchanged
Bronopol,
which
is
unstable
in
plasma,
was
not
detected.
A
similar
pattern
of
urinary
metabolites
of
[
14C]
Bronopol
was
found
after
cutaneous
application
as
after
oral
administration
of
the
compound.
Further
metabolic
studies
were
carried
out
in
male
and
female
rats
following
single
oral
doses
of
[
14C]
Bronopol
at
10
and
50
mg/
kg
and
repeated
dosing
at
10
mg/
kg/
day
with
Bronopol
for
14
days
followed
by
a
single
oral
dose,
10
mg/
kg
of
[
14C]
Bronopol.
The
compound
was
well
absorbed
and
rapidly
excreted
mainly
via
urine.
Radioactivity
found
in
the
carcass
and
tissues
at
168
hours
after
dosing
accounted
for
less
than
3%
of
dose.
There
were
no
major
consistent
differences
between
male
and
female
rats.
Bronopol
was
highly
metabolized
and
intact
compound
was
not
detected
in
the
urine.
The
urinary
metabolite
chromatographic
patterns
contained
numerous
polar
metabolites
and
similar
patterns
were
found
for
each
group.
The
major
metabolite
observed
was
equivalent
to
desbromo
bronopol
(
2
nitro
propane
1,3
diol).
Extensive
metabolism
led
to
radiolabeled
onecarbon
units
excreted
as
carbon
dioxide
in
expired
air.
7.
Metabolite
toxicology.
As
determined
in
the
animal
metabolism
studies
in
Unit
B.
6.
numerous
polar
metabolites
were
identified
in
urine
from
rat
and
dog.
Unchanged
2
bromo
2
nitro
1,3
propanediol
was
not
detected.
The
major
peak
in
most
samples
corresponded
to
desbromobronopol
(
debrominated
bronopol),
i.
e.
2
nitropropane
1,
3
diol.
This
metabolite
is
not
considered
of
toxicological
concern.
8.
Endocrine
disruption.
No
specific
tests
have
been
conducted
with
2
bromo
2
nitro
1,3
propanediol
to
determine
whether
the
chemical
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen
or
other
endocrine
effects.
However,
there
were
no
significant
findings
in
other
relevant
toxicity
tests,
i.
e.,
teratology
and
multigeneration
reproduction
studies,
which
would
suggest
that
2
bromo
2
nitro
1,3
propanediol
produces
effects
characteristic
of
the
disruption
of
endocrine
functions.
C.
Aggregate
Exposure
1.
Dietary
exposure
i.
Food.
The
proposed
use
of
2
bromo
2
nitro
1,
3
propanediol
as
a
preservative
in
end
use
pesticide
formulations
applied
to
growing
crops,
raw
agricultural
commodities
after
harvest,
and
animals
is
not
expected
to
result
in
any
significant
additional,
dietary
exposure,
due
to
the
low
concentration
of
2
bromo
2
nitro
1,
3
propanediol
employed
in
the
formulation
and
the
extremely
low
probability
of
significant
contact
by
the
general
public
following
treatment.
2
bromo
2
nitro
1,
3
propanediol
has
FDA
approval
for
indirect
food
contact
use
as
a
preservative
in
adhesives
that
are
components
of
food
packaging
or
storage
materials
(
21
CFR
175.105);
as
a
slimicide
for
use
in
pulp
and
papermaking
at
a
maximum
level
of
0.6
lb/
ton
of
dry
weight
fiber
(
21
CFR
176.300);
and
paper
components
in
contact
with
aqueous
and
fatty
foods
at
a
level
not
to
exceed
0.01%
by
weight
of
those
components
(
21
CFR
176.170).
These
uses
are
not
expected
to
result
in
quantifiable
residues
of
2
bromo
2
nitro
1,
3
propanediol
in
the
diet.
Uses
as
a
preservative
in
concentrates
of
agricultural
pesticide
products
also
is
not
expected
to
be
a
source
of
quantifiable
residues
in
food.
There
are
no
acute
or
chronic
toxicological
concerns
associated
with
the
proposed
use
of
2
bromo
2
nitro
1,3
propanediol
as
an
inert
ingredient
in
concentrates
of
agricultural
pesticide
products.
An
acute
dietary
risk
assessment,
therefore,
is
not
required.
Chronic
exposure
to
2
bromo
2
nitropropane
1,
3
diol
through
food
is
essentially
insignificant.
ii.
Drinking
water.
Contamination
of
drinking
water
would
not
be
expected
to
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Notices
occur
under
the
proposed
use
conditions
of
2
bromo
2
nitro
1,
3
propanediol
as
a
preservative
at
very
low
concentrations
in
pesticide
products
intended
for
applications,
principally
to
growing
crops,
raw
agricultural
commodities
after
harvest,
and
animals;
as
either
a
direct
pour
on
application
or
as
a
spray.
Neither
method
of
application
is
expected
to
contaminate
water
supplies
intended
for
human
consumption.
Bronopol
is
not
applied
to
water
and
is
not
used
for
the
disinfection
of
human
or
animal
drinking
water.
2.
Non
dietary
exposure.
2
bromo
2
nitro
1,
3
propanediol
is
used
as
an
industrial
biocide
for
the
prevention
of
biofouling
in
areas
such
as
recirculating
water
in
cooling
towers
and
evaporative
condensers,
air
conditioners,
air
washers
and
humidifier
systems,
oil,
gas
and
industrial
process
water,
metal
working
fluids
and
paper
mill
pulp
and
process
water;
and
for
the
preservation
of
surfactants,
adhesives,
starch,
pigment
and
extender
slurries,
paints,
latex
and
antifoam
emulsions,
absorbent
clays,
water
based
printing
inks
and
print
solutions,
water
based
pesticides
and
chemical
toilet
solutions.
The
margins
of
exposure
(
MOEs)
calculated
for
direct
applicators
occupationally
exposed
by
either
the
dermal
or
inhalation
route,
based
on
worst
case
estimates,
revealed
there
is
no
level
for
concern.
Estimated
exposures
to
professional
painters
using
paint
preserved
with
2
bromo
2
nitro
1,
3
propanediol
were
used
as
the
worst
case
for
estimating
secondary
occupational
exposure
risk.
MOEs
were
not
exceeded
and
EPA
has
concluded
that
risk
associated
with
secondary
exposure
are
not
of
concern.
2
bromo
2
nitro
1,
3
propanediol
is
also
used
in
the
preservation
of
consumer,
household
and
institutional
products.
Based
on
the
worst
case
estimate
for
professional
painters
chronically
exposed
to
2
bromo
2
nitro
1,
3
propanediol,
EPA
has
concluded
that
risk
associated
with
these
uses
are
not
of
concern.
2
bromo
2
nitro
1,
3
propanediol
also
is
used
to
preserve
pharmaceuticals,
cosmetics,
and
toiletries,
which
are
regulated
by
FDA.
The
Cosmetic,
Toiletries
and
Fragrance
Association's
(
CTFA's)
Cosmetic
Ingredient
Review
(
1980)
states
that
2
bromo
2
nitro
1,3
propanediol
is
safe
as
a
cosmetic
ingredient
at
concentrations
up
to
0.1%
except
where
there
is
a
risk
of
nitrosamine
or
nitrosamide
formation.
Similarly,
2
bromo
2
nitro
1,3
propanediol
is
listed
in
Annex
VI
of
the
EC
Cosmetics
directive
as
an
approved
preservative
for
use
up
to
0.1%
except
where
there
is
a
risk
of
nitrosamine
formation.
Based
on
toxicity
data,
an
aggregate
risk
or
likelihood
of
the
occurrence
of
an
adverse
health
effect
resulting
from
all
routes
of
exposure
to
2
bromo
2
nitro
1,
3
propanediol
is
not
expected.
D.
Cumulative
Effects
There
is
no
reliable
information
that
would
indicate
or
suggest
that
2
bromo
2
nitro
1,
3
propanediol
has
any
toxic
effects
on
mammals
that
would
be
cumulative
with
those
of
any
other
chemical.
E.
Safety
Determination
1.
U.
S.
population.
The
reference
dose
(
RfD)
for
2
bromo
2
nitro
1,
3
propanediol
based
on
the
2
year
chronic
study
(
drinking
water)
in
rats
with
a
NOAEL
of
10
mg/
kg/
day
and
using
an
uncertainty
factor
of
100
is
calculated
to
be
0.1
mg/
kg
of
body
weight
(
bwt)/
day.
The
estimated
worst
case
theoretical
maximum
residue
contribution
(
TMRC)
resulting
from
this
action
will
be
0.000024
mg/
kg/
bwt/
day
for
the
overall
U.
S.
population
and
represents
0.024
percent
of
the
RfD.
Based
upon
this
information
and
review
of
its
use,
EPA
has
found
that,
when
used
in
accordance
with
good
agricultural
practice,
this
ingredient
is
useful
and
a
tolerance
is
not
necessary
to
protect
the
public
health.
2.
Infants
and
children.
Nothing
in
the
available
literature
would
suggest
that
infants
and
children
are
more
sensitive
to
the
effects
of
2
bromo
2
nitro
1,
3
propanediol
than
adults.
Exposure
of
infants
to
2
bromo
2
nitro
1,
3
propanediol
resulting
from
its
proposed
use
as
an
inert
ingredient
in
certain
pesticide
formulations
is
expected
to
be
negligible
and
will
not
put
infants
and
children
at
increased
risk.
F.
International
Tolerances
BASF
Corporation
is
not
aware
of
the
existence
of
any
international
tolerances
for
2
bromo
2
nitro
1,
3
propanediol.
[
FR
Doc.
02
32400
Filed
12
23
02;
8:
45
am]
BILLING
CODE
6560
50
S
FEDERAL
RESERVE
SYSTEM
Agency
Information
Collection
Activities:
Proposed
Collection;
Comment
Request
AGENCY:
Board
of
Governors
of
the
Federal
Reserve
System
SUMMARY:
Background.
On
June
15,
1984,
the
Office
of
Management
and
Budget
(
OMB)
delegated
to
the
Board
of
Governors
of
the
Federal
Reserve
System
(
Board)
its
approval
authority
under
the
Paperwork
Reduction
Act,
as
per
5
CFR
1320.16,
to
approve
of
and
assign
OMB
control
numbers
to
collection
of
information
requests
and
requirements
conducted
or
sponsored
by
the
Board
under
conditions
set
forth
in
5
CFR
1320
Appendix
A.
1.
Board
approved
collections
of
information
are
incorporated
into
the
official
OMB
inventory
of
currently
approved
collections
of
information.
Copies
of
the
OMB
83
I's
and
supporting
statements
and
approved
collection
of
information
instruments
are
placed
into
OMB's
public
docket
files.
The
Federal
Reserve
may
not
conduct
or
sponsor,
and
the
respondent
is
not
required
to
respond
to,
an
information
collection
that
has
been
extended,
revised,
or
implemented
on
or
after
October
1,
1995,
unless
it
displays
a
currently
valid
OMB
control
number.
Request
for
Ccomment
on
Information
Collection
Proposal.
The
following
information
collection,
which
is
being
handled
under
this
delegated
authority,
has
received
initial
Board
approval
and
is
hereby
published
for
comment.
At
the
end
of
the
comment
period,
the
proposed
information
collection,
along
with
an
analysis
of
comments
and
recommendations
received,
will
be
submitted
to
the
Board
for
final
approval
under
OMB
delegated
authority.
Comments
are
invited
on
the
following:
a.
whether
the
proposed
collection
of
information
is
necessary
for
the
proper
performance
of
the
Federal
Reserve's
functions;
including
whether
the
information
has
practical
utility;
b.
the
accuracy
of
the
Federal
Reserve's
estimate
of
the
burden
of
the
proposed
information
collection,
including
the
validity
of
the
methodology
and
assumptions
used;
c.
ways
to
enhance
the
quality,
utility,
and
clarity
of
the
information
to
be
collected;
and
d.
ways
to
minimize
the
burden
of
information
collection
on
respondents,
including
through
the
use
of
automated
collection
techniques
or
other
forms
of
information
technology.
DATES:
Comments
must
be
submitted
on
or
before
February
24,
2003.
ADDRESSES:
Comments
may
be
mailed
to
Ms.
Jennifer
J.
Johnson,
Secretary,
Board
of
Governors
of
the
Federal
Reserve
System,
20th
Street
and
Constitution
Avenue,
N.
W.,
Washington,
DC
20551.
However,
because
paper
mail
in
the
Washington
area
and
at
the
Board
of
Governors
is
subject
to
delay,
please
consider
submitting
your
comments
by
e
mail
to
regs.
comments@
federalreserve.
gov,
or
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19:
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| epa | 2024-06-07T20:31:44.226639 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0283-0001/content.txt"
} |
EPA-HQ-OPP-2002-0285-0001 | Notice | 2002-11-13T05:00:00 | Draft Guidance on How to Comply with Data Citation Regulations; Notice of Availability | 68866
Federal
Register
/
Vol.
67,
No.
219
/
Wednesday,
November
13,
2002
/
Notices
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
registration
activity.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Registration
Applications
EPA
received
applications
as
follows
to
register
pesticide
products
containing
active
ingredients
not
included
in
any
previously
registered
products
pursuant
to
the
provision
of
section
3(
c)(
4)
of
FIFRA.
Notice
of
receipt
of
these
applications
does
not
imply
a
decision
by
the
Agency
on
the
applications.
Products
Containing
Active
Ingredients
not
Included
in
any
Previously
Registered
Products
1.
File
symbol:
71771
T.
Applicant:
Nichino
America,
Inc.,
4550
New
Linden
Hill
Road,
Wilmington,
DE
19808.
Product
name:
ET
751
2.5%
EC
Herbicide.
Product
type:
Herbicide.
Active
ingredient:
Pyraflufen
ethyl
(
ethyl
2
chloro
5(
4
chloro
5
difluoromethoxy
1
methylpyrazol
3
yl)
4
fluorophenoxyacetate)
at
2.5%.
Proposed
classification/
Use:
None.
For
use
on
terrestrial
non
cropland
to
control
broadleaf
weeds.
2.
File
symbol:
71711
A.
Applicant:
Nichino
America,
Inc.
Product
name:
ET
751
Technical.
Product
type:
Herbicide.
Active
ingredient:
Pyraflufenethyl
at
97.9%.
Proposed
classification/
Use:
None.
For
manufacturing
use
of
end
use
products
to
be
used
to
control
certain
broadleaf
weeds
on
terrestrial
non
cropland.
3.
File
symbol:
59639
RNO.
Applicant:
Valent
U.
S.
A.
Corporation,
1333
North
Carolina
Blvd.,
Suite
600,
P.
O.
Box
8025,
Walnut
Creek,
CA
94596
8025.
Product
name:
S
3153
Flufenpyr
ethyl
Technical.
Product
type:
Herbicide.
Active
ingredient:
Flufenpyr
ethyl,
ethyl
[
2
chloro
4
fluoro
5(
5
methyl
6
oxo
4
trifluoromethyl
1,6
dihydropyridazin
1
yl)
phenoxy]
acetate
at
98.0%.
Proposed
classification/
Use:
None.
For
formulation
into
herbicide
products
to
control
postemergence
broadleaf
weed
species
in
field
corn,
forage;
field
corn,
grain;
field
corn,
stover;
soybean,
seed;
sugarcane.
4.
File
symbol:
59639
RRN.
Applicant:
Valent
U.
S.
A.
Corporation.
Product
name:
S
3153
WDG
Herbicide.
Product
type:
Herbicide.
Active
ingredient:
Flufenpyr
ethyl
at
57.6%.
Proposed
classification/
Use:
None.
For
manufacturing
use
of
end
use
products
to
be
used
to
control
postemergence
broadleaf
weed
species
in
field
corn,
soybeans
and
sugarcane.
5.
File
symbol:
59639
RRR.
Applicant:
Valent
U.
S.
A.
Corporation.
Product
name:
S
3153
Atrazine
WDG.
Product
type:
Herbicide.
Active
ingredient:
Flufenpyr
ethyl
75.0%.
Proposed
classification/
Use:
None.
For
manufacturing
use
of
end
use
products
to
be
used
to
control
postemergence
broadleaf
weed
species
in
field
corn
and
sugarcane.
List
of
Subjects
Environmental
protection,
Pesticides
and
pest.
Dated:
October
27,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
28504
Filed
11
12
02;
8:
45am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0285;
FRL
7278
1]
Draft
Guidance
on
How
to
Comply
with
Data
Citation
Regulations;
Notice
of
Availability
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
availability
of
draft
guidance
on
how
to
comply
with
the
Agency's
data
citation
requirements
for
registration
of
new
pesticide
products
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act.
When
applicants
do
not
fully
comply
with
the
data
citation
regulations,
the
result
can
be
significant
delays
in
the
processing
of
registration
applications,
the
potential
for
an
increase
in
adversarial
petitions
being
submitted
to
the
Agency
by
data
submitters,
and
increased
expenditures
of
resources
for
all
involved,
the
Agency,
applicants,
and
data
submitters.
EPA
believes
that
the
guidance
provided
through
the
notice
will
assist
applicants
comply
with
the
data
citation
requirements
and
ultimately
result
in
fewer
delays
in
the
registration
process.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0285,
must
be
received
on
or
before
December
13,
2002.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Peter
Caulkins,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5447;
fax
number:
(
703)
305
6920;
e
mail
address:
caulkins.
peter@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
submit
applications
for
registration
of
pesticides
pursuant
to
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
or
if
you
submit
data
to
the
Agency
in
support
of
registration
or
reregistration
under
FIFRA.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Pesticide
Manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0285.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although,
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
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68867
Federal
Register
/
Vol.
67,
No.
219
/
Wednesday,
November
13,
2002
/
Notices
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket,
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
on
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0285.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0285.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0285.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0285.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
A.
1.
D.
How
Should
I
Submit
CBI
to
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
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Register
/
Vol.
67,
No.
219
/
Wednesday,
November
13,
2002
/
Notices
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition,
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
your
estimate.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternatives.
7.
Make
sure
to
submit
your
comments
by
the
comment
period
deadline
identified.
8.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
response.
It
would
also
be
helpful
if
you
provided
the
name,
date,
and
Federal
Register
citation
related
to
your
comments.
II.
What
Action
is
the
Agency
Taking?
Applicants
who
choose
to
rely
on
data
citation,
rather
than
submitting
their
own
data
to
meet
EPA
data
requirements,
must
assure
that
the
offerto
pay
letters
they
provide
to
data
submitters
satisfy
EPA's
regulatory
requirements
as
provided
in
40
CFR
part
152,
subpart
E.
When
applicants
do
not
follow
these
procedures,
delays
in
the
processing
of
registration
applications
result.
In
addition,
improper
offer
topay
letters
can
increase
the
potential
for
adversarial
petition
actions
brought
under
40
CFR
152.99.
When
applicants
do
not
comply
with
data
citation
requirements,
EPA,
data
submitters,
and
applicants
expend,
unnecessarily,
significant
resources
during
the
application
process.
In
an
effort
to
avoid
needless
disputes
and
save
the
resources
of
all
concerned,
the
Agency
believes
it
would
be
helpful
to
clarify
the
obligations
of
data
citers.
By
providing
this
guidance,
the
Agency
hopes
to
streamline
the
registration
process,
provide
assistance
to
applicants
for
pesticide
registration,
and
to
help
data
submitters
preserve
their
data
protection
rights.
The
draft
Pesticide
Registration
Notice
does
not
address
the
issue
of
when
offers
to
pay
must
be
made
or
when
documentation
demonstrating
that
offers
to
pay
have
been
made
must
be
submitted
to
the
Agency.
EPA
expects
to
issue
guidance
on
this
related
matter
through
a
separate
means.
In
addition,
the
Agency
will
soon
make
available
to
the
public
several
letters
that
have
been
issued
recently
regarding
data
compensation
matters.
These
letters
provide
useful
guidance
to
the
regulated
community
and
the
general
public,
including
persons
who
prepare
applications
for
registration
and
those
who
submit
data
in
support
of
registration
actions.
The
Agency
intends
to
announce
the
availability
of
these
letters
through
a
separate
notice
in
the
Federal
Register.
List
of
Subjects
Environmental
protection,
Administrative
practice
and
procedures,
Pesticides
and
pests.
Dated:
November
1,
2002.
Marcia
E.
Mulkey,
Director,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
28693
Filed
11
12
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7407
8]
Proposed
Administrative
Settlement
Under
the
Comprehensive
Environmental
Response,
Compensation
and
Liability
Act;
Nazcon
Concrete
Superfund
Site
AGENCY:
Environmental
Protection
Agency.
ACTION:
Notice;
request
for
public
comment.
SUMMARY:
In
accordance
with
section
122(
i)(
1)
of
CERCLA,
42
U.
S.
C.
9622(
i)(
1),
notice
is
hereby
given
of
a
proposed
administrative
settlement
concerning
the
Nazcon
Concrete
Superfund
Site,
Beltsville,
Prince
George's
County,
Maryland.
The
administrative
settlement
was
signed
by
the
Acting
Regional
Administrator
of
the
United
States
Environmental
Protection
Agency
(
EPA),
Region
III,
on
October
31,
2002,
and
is
subject
to
review
by
the
public
pursuant
to
this
document.
The
Environmental
Protection
Agency
is
proposing
to
enter
into
a
settlement
pursuant
to
section
122(
h)
of
the
Comprehensive
Environmental
Response,
Compensation
and
Liability
Act
of
1980,
as
amended
(
CERCLA),
42
U.
S.
C.
9622(
h).
The
proposed
settlement
resolves
EPA's
claim
for
past
response
costs
under
section
107
of
CERCLA,
42
U.
S.
C.
9607
against
NAZCON,
Inc.
for
response
costs
incurred
at
the
Nazcon
Concrete
Superfund
Site,
Beltsville,
Prince
George's
County,
Maryland.
The
proposed
settlement
requires
NAZCON,
Inc.
to
pay
$
15,000
to
the
EPA
Hazardous
Substance
Fund.
NAZCON,
Inc.,
as
the
Settling
Party,
has
executed
binding
certifications
of
its
consent
to
participate
in
this
settlement.
NAZCON,
Inc.
has
agreed
to
pay
$
15,000
subject
to
the
contingency
that
EPA
may
elect
not
to
complete
the
settlement
based
on
matters
brought
to
its
attention
during
the
public
comment
period
established
by
this
notice.
For
thirty
(
30)
days
following
the
date
of
publication
of
this
notice,
EPA
will
receive
written
comments
relating
to
the
proposed
settlement.
EPA
will
consider
all
comments
received
and
may
withdraw
or
withhold
consent
to
the
proposed
settlement
if
such
comments
disclose
facts
or
considerations
which
indicate
that
the
proposed
settlement
is
inappropriate,
improper,
or
inadequate.
DATES:
Comments
must
be
submitted
on
or
before
December
12,
2002.
ADDRESSES:
Comments
should
be
addressed
to
the
Docket
Clerk,
United
States
Environmental
Protection
Agency,
Region
III,
1650
Arch
Street,
Philadelphia,
Pennsylvania,
19103,
and
should
reference
the
Nazcon
Concrete
Superfund
Site,
Beltsville,
Maryland,
U.
S.
EPA
Docket
No.
CERCLA
03
2002
0255
DC.
The
proposed
settlement
agreement
is
available
for
public
inspection
at
the
United
States
Environmental
Protection
Agency,
Region
III,
1650
Arch
Street,
Philadelphia,
Pennsylvania,
19103.
A
copy
of
the
proposed
settlement
agreement
can
be
obtained
from
Suzanne
Canning,
Regional
Docket
Clerk
(
3RC00),
United
States
Environmental
Protection
Agency,
Region
III,
1650
Arch
Street,
Philadelphia,
Pennsylvania,
19103,
telephone
number
(
215)
814
2476.
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| epa | 2024-06-07T20:31:44.239869 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0285-0001/content.txt"
} |
EPA-HQ-OPP-2002-0285-0004 | Notice | 2002-12-11T05:00:00 | Draft Guidance on How to Comply with Data Citation Regulations; Extension of Comment Period | [
Federal
Register:
December
11,
2002
(
Volume
67,
Number
238)]
[
Notices]
[
Page
76179]
From
the
Federal
Register
Online
via
GPO
Access
[
wais.
access.
gpo.
gov]
[
DOCID:
fr11de02
37]
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0285;
FRL
7285
4]
Draft
Guidance
on
How
to
Comply
with
Data
Citation
Regulations;
Extension
of
Comment
Period
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice;
extension
of
comment
period.
SUMMARY:
EPA
issued
a
notice
in
theFederal
Register
of
November
13,
2002,
titled
``
Draft
Guidance
on
How
to
Comply
with
Data
Citation
Regulations.''
This
document
is
extending
the
comment
period
for
30
days,
from
December
13,
2002,
to
January
12,
2003.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0285
must
be
received
on
or
before
January
12,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
C.
of
the
SUPPLEMENTARY
INFORMATION
of
the
November
13,
2002
Federal
Register
document.
FOR
FURTHER
INFORMATION
CONTACT:
Peter
Caulkins,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5447;
e
mail
address:
caulkins.
peter@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
The
Agency
included
in
the
November
13,
2002
Federal
Register
notice
a
list
of
those
who
may
be
potentially
affected
by
this
action.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0285.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although,
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
C.
How
and
to
Whom
Do
I
Submit
Comments?
To
submit
comments,
or
access
the
official
public
docket,
follow
the
detailed
instructions
as
provided
in
Unit
I.
C.
of
theSUPPLEMENTARY
INFORMATION
of
the
November
13,
2002Federal
Register
document.
If
you
have
questions,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
II.
What
Action
is
EPA
Taking?
This
document
extends
the
public
comment
period
established
in
theFederal
Register
of
November
13,
2002
(
67
FR
68866)
(
FRL
7278
1).
In
that
document,
EPA
announcedthe
availability
of
draft
guidance
on
how
to
comply
with
the
Agency's
data
citation
requirements
for
registration
of
new
pesticide
products
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act.
The
draft
quidance
will
assist
applicants
in
complying
with
the
data
citation
requirements
that
ultimately
would
result
in
fewer
delays
in
the
registration
process.
EPA
is
hereby
extending
the
comment
period,
which
was
set
to
end
on
December
13,
2002,
to
January
12,
2003.
List
of
Subjects
Environmental
protection,
Administrative
practice
and
procedures,
Pesticides
and
pests.
Dated:
December
4,
2002.
Peter
Caulkins,
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31164
Filed
12
6
02;
10:
10
am]
BILLING
CODE
6560
50
S
| epa | 2024-06-07T20:31:44.247279 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0285-0004/content.txt"
} |
EPA-HQ-OPP-2002-0291-0001 | Rule | 2002-11-20T05:00:00 | Bacillus Cereus Strain BP01; Exemption from the Requirement of a Tolerance | 70012
Federal
Register
/
Vol.
67,
No.
224
/
Wednesday,
November
20,
2002
/
Rules
and
Regulations
If
the
EPA
receives
adverse
written
comment,
we
will
publish
a
final
rule
informing
the
public
that
this
rule
will
not
take
effect.
We
will
address
all
public
comments
in
a
subsequent
final
rule
based
on
the
proposed
rule.
The
EPA
does
not
intend
to
institute
a
second
comment
period
on
this
action.
Any
parties
interested
in
commenting
on
these
actions
must
do
so
at
this
time.
VI.
Administrative
Requirements
Under
Executive
Order
12866
(
58
FR
51735,
October
4,
1993),
this
action
is
not
a
``
significant
regulatory
action''
and
therefore
is
not
subject
to
review
by
the
Office
of
Management
and
Budget.
For
this
reason,
this
action
is
also
not
subject
to
Executive
Order
13211,
``
Actions
Concerning
Regulations
That
Significantly
Effect
Energy
Supply,
Distribution,
or
Use''
(
66
FR
28355,
May
22,
2001).
This
action
merely
approves
state
law
as
meeting
Federal
requirements
and
imposes
no
additional
requirements
beyond
those
imposed
by
state
law.
Accordingly,
the
Administrator
certifies
that
this
rule
will
not
have
a
significant
economic
impact
on
a
substantial
number
of
small
entities
under
the
Regulatory
Flexibility
Act
(
5
U.
S.
C.
601
et
seq.).
Because
this
rule
approves
pre
existing
requirements
under
state
law
and
does
not
impose
any
additional
enforceable
duty
beyond
that
required
by
state
law,
it
does
not
contain
any
unfunded
mandate
or
significantly
or
uniquely
affect
small
governments,
as
described
in
the
Unfunded
Mandates
Reform
Act
of
1995
(
Pub.
L.
104
4).
This
rule
also
does
not
have
tribal
implications
because
it
will
not
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,
as
specified
by
Executive
Order
13175
(
65
FR
67249,
November
9,
2000).
This
action
also
does
not
have
Federalism
implications
because
it
does
not
have
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132
(
64
FR
43255,
August
10,
1999).
This
action
merely
approves
a
state
rule
implementing
a
Federal
standard,
and
does
not
alter
the
relationship
or
the
distribution
of
power
and
responsibilities
established
in
the
Clean
Air
Act.
This
rule
also
is
not
subject
to
Executive
Order
13045
``
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks''
(
62
FR
19885,
April
23,
1997),
because
it
is
not
economically
significant.
In
reviewing
SIP
submissions,
EPA's
role
is
to
approve
state
choices,
provided
that
they
meet
the
criteria
of
the
Clean
Air
Act.
In
this
context,
in
the
absence
of
a
prior
existing
requirement
for
the
State
to
use
voluntary
consensus
standards
(
VCS),
EPA
has
no
authority
to
disapprove
a
SIP
submission
for
failure
to
use
VCS.
It
would
thus
be
inconsistent
with
applicable
law
for
EPA,
when
it
reviews
a
SIP
submission,
to
use
VCS
in
place
of
a
SIP
submission
that
otherwise
satisfies
the
provisions
of
the
Clean
Air
Act.
Thus,
the
requirements
of
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
15
U.
S.
C.
272
note)
do
not
apply.
This
rule
does
not
impose
an
information
collection
burden
under
the
provisions
of
the
Paperwork
Reduction
Act
of
1995
(
44
U.
S.
C.
3501
et
seq.).
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
the
rule
in
the
Federal
Register.
A
major
rule
cannot
take
effect
until
60
days
after
it
is
published
in
the
Federal
Register.
This
action
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
Under
section
307(
b)(
1)
of
the
Clean
Air
Act,
petitions
for
judicial
review
of
this
action
must
be
filed
in
the
United
States
Court
of
Appeals
for
the
appropriate
circuit
by
January
21,
2003.
Filing
a
petition
for
reconsideration
by
the
Administrator
of
this
final
rule
does
not
affect
the
finality
of
this
rule
for
the
purposes
of
judicial
review
nor
does
it
extend
the
time
within
which
a
petition
for
judicial
review
may
be
filed,
and
shall
not
postpone
the
effectiveness
of
such
rule
or
action.
This
action
may
not
be
challenged
later
in
proceedings
to
enforce
its
requirements.
(
See
section
307(
b)(
2).)
List
of
Subjects
in
40
CFR
Part
52
Environmental
protection,
Air
pollution
control,
Incorporation
by
reference,
Intergovernmental
relations,
Particulate
matter,
Reporting
and
recordkeeping
requirements.
Dated:
October
15,
2002.
David
A.
Ullrich,
Acting
Regional
Administrator,
Region
5.
For
the
reasons
stated
in
the
preamble,
part
52,
chapter
I,
title
40
of
the
Code
of
Federal
Regulations
is
amended
as
follows:
PART
52
[
AMENDED]
1.
The
authority
citation
for
part
52
continues
to
read
as
follows:
Authority:
42
U.
S.
C.
7401
et
seq.
Subpart
P
Indiana
2.
Section
52.770
is
amended
by
adding
paragraph
(
c)(
153)
to
read
as
follows:
§
52.770
Identification
of
plan.
*
*
*
*
*
(
c)
*
*
*
(
153)
On
April
30,
2002
and
September
6,
2002,
Indiana
submitted
revised
particulate
matter
regulations
for
Union
Tank
Car's
railcar
manufacturing
facility
in
Lake
County,
Indiana.
The
submittal
amends
326
IAC
6
1
10.1.
The
revisions
consist
of
relaxing
the
limits
for
the
grit
blaster.
The
new
limits
are
0.01
grains
per
dry
standard
cubic
foot
and
9.9
pounds
per
hour.
(
i)
Incorporation
by
reference.
Amendments
to
Indiana
Administrative
Code
Title
326:
Air
Pollution
Control
Board,
Article
6:
Particulate
Rules,
Rule
1:
Nonattainment
Area
Limitations,
Section
10.1:
Lake
County
PM10
emission
requirements.
Filed
with
the
Secretary
of
State
on
July
26,
2002
and
effective
on
August
25,
2002.
Published
in
25
Indiana
Register
4076
on
September
1,
2002.
[
FR
Doc.
02
29473
Filed
11
19
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
180
[
OPP
2002
0291;
FRL
7277
3]
Bacillus
Cereus
Strain
BPO1;
Exemption
from
the
Requirement
of
a
Tolerance
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
This
regulation
establishes
an
exemption
from
the
requirement
of
a
tolerance
for
residues
of
the
Bacillus
cereus
strain
BPO1
on
raw
and
processed
food
when
applied/
used
as
a
VerDate
0ct<
31>
2002
14:
01
Nov
19,
2002
Jkt
200001
PO
00000
Frm
00026
Fmt
4700
Sfmt
4700
E:\
FR\
FM\
20NOR1.
SGM
20NOR1
70013
Federal
Register
/
Vol.
67,
No.
224
/
Wednesday,
November
20,
2002
/
Rules
and
Regulations
foliar
applied
biological
plant
growth
regulator
intended
to
promote
root
mass
growth,
earlier
fruit
initiation,
increased
fruit
retention,
and
increased
nutrient
utilization.
Micro
Flow
Company
submitted
a
petition
to
EPA
under
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
as
amended
by
the
Food
Quality
Protection
Act
of
1996
(
FQPA),
requesting
an
exemption
from
the
requirement
of
a
tolerance.
This
regulation
eliminates
the
need
to
establish
a
maximum
permissible
level
for
residues
of
Bacillus
cereus
strain
BPO1.
DATES:
This
regulation
is
effective
November
20,
2002.
Objections
and
requests
for
hearings,
identified
by
docket
ID
number
OPP
2002
0291,
must
be
received
on
or
before
January
21,
2003.
ADDRESSES:
Written
objections
and
hearing
requests
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
IX.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Robyn
Rose,
Biopesticides
and
Pollution
Prevention
Division
(
7511C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9581;
e
mail
address:
rose.
robyn@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Industry
(
NACIS
111,
112,
311,
32532),
e.
g.,
Crop
Production,
Animal
Production,
Food
Manufacturing,
Pesticide
Manufacturing.
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
ID
number
OPP
2002
0291.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
A
frequently
updated
electronic
version
of
40
CFR
part
180
is
available
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
40cfr180_
00.
html,
a
beta
site
currently
under
development.
To
access
the
OPPTS
Harmonized
Guidelines
referenced
in
this
document,
go
directly
to
the
guidelines
at
http://
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
and
Statutory
Findings
In
the
Federal
Register
of
November
21,
2001
(
66
FR
58481)
(
FRL
6802
1),
EPA
issued
a
notice
pursuant
to
section
408
of
the
FFDCA,
21
U.
S.
C.
346a(
e),
as
amended
by
FQPA
(
Public
Law
104
170),
announcing
the
filing
of
a
pesticide
tolerance
petition
(
PP
1F6324)
by
Micro
Flow
Company,
P.
O.
Box
5948
Lakeland,
FL
33807
5948.
This
notice
included
a
summary
of
the
petition
prepared
by
the
petitioner
Micro
Flow
Company.
There
were
no
comments
received
in
response
to
the
notice
of
filing.
The
petition
requested
that
40
CFR
180.1181
be
amended
by
establishing
an
exemption
from
the
requirement
of
a
tolerance
for
residues
of
Bacillus
cereus
strain
BPO1.
III.
Risk
Assessment
New
section
408(
c)(
2)(
A)(
i)
of
the
FFDCA
allows
EPA
to
establish
an
exemption
from
the
requirement
for
a
tolerance
(
the
legal
limit
for
a
pesticide
chemical
residue
in
or
on
a
food)
only
if
EPA
determines
that
the
tolerance
is
``
safe.''
Section
408(
c)(
2)(
A)(
ii)
of
the
FFDCA
defines
``
safe''
to
mean
that
``
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
pesticide
chemical
residue,
including
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.''
This
includes
exposure
through
drinking
water
and
in
residential
settings,
but
does
not
include
occupational
exposure.
Section
of
the
FFDCA
(
b)(
2)(
C)
requires
EPA
to
give
special
consideration
to
exposure
of
infants
and
children
to
the
pesticide
chemical
residue
in
establishing
a
tolerance
and
to
``
ensure
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
the
pesticide
chemical
residue.
.
.
.''
Additionally,
section
408(
b)(
2)(
D)
of
the
FFDCA
requires
that
the
Agency
consider
``
available
information''
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
``
other
substances
that
have
a
common
mechanism
of
toxicity.''
EPA
performs
a
number
of
analyses
to
determine
the
risks
from
aggregate
exposure
to
pesticide
residues.
First,
EPA
determines
the
toxicity
of
pesticides.
Second,
EPA
examines
exposure
to
the
pesticide
through
food,
drinking
water,
and
through
other
exposures
that
occur
as
a
result
of
pesticide
use
in
residential
settings.
IV.
Toxicological
Profile
Consistent
with
section
408(
b)(
2)(
D)
of
the
FFDCA,
EPA
has
reviewed
the
available
scientific
data
and
other
relevant
information
in
support
of
this
action
and
considered
its
validity,
completeness,
and
reliability
and
the
relationship
of
this
information
to
human
risk.
EPA
has
also
considered
available
information
concerning
the
variability
of
the
sensitivities
of
major
identifiable
subgroups
of
consumers,
including
infants
and
children.
Acute
mammalian
toxicity/
pathogenicity
studies
via
oral,
dermal,
inhalation,
eye,
intratracheal,
and
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Vol.
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No.
224
/
Wednesday,
November
20,
2002
/
Rules
and
Regulations
intravenous
routes
were
conducted
with
Bacillus
cereus
strain
BPO1.
No
pathogenicity
was
observed.
BPO1
was
also
tested
for
entero
toxin
emetic
toxin
production;
no
toxins
were
detected.
Bacillus
cereus
has
been
implicated
in
nosocomial
infections
in
rare
instances
and
in
food
poisoning
incidents.
In
the
ELISA
Analysis
of
Enterotoxin
data
submitted,
there
was
no
evidence
of
diarrhoeal
type
enterotoxin
production
in
the
culture
filtrates
of
Bacillus
cereus
strain
BOP1
or
the
end
use
product.
In
a
blood
agar
hemolysis
assay
conducted
with
BPO1,
weak
alpha
hemolysis
was
observed.
Based
on
the
results
of
the
studies
in
this
unit,
subchronic,
reproductive,
teratology,
chronic,
and
mutagenicity
studies
were
not
deemed
necessary.
1.
Acute
oral
toxicity/
pathogenicity
(
OPPTS
870.1100;
152A
10
and
152B
10;
MRIDs
4417737
05
and
441773
06).
In
the
acute
oral
toxicity
test,
five
male
and
five
female
rats
were
treated
with
a
split
dose,
(
10
milliliters/
kilograms/
dose)
(
mL/
kg)
for
a
total
of
5,000
milligrams
(
mg)/
kg
of
Bacillus
cereus
strain
BP01;
the
second
dose
administered
1
hour
after
the
first
dose.
Rats
were
weighed
and
observed
for
mortality
or
abnormalities
for
14
days.
No
abnormalities
were
noted
in
body
weight
or
weight
gain
throughout
the
study
or
upon
necropsy.
The
oral
lethal
dose
(
LD)
50
Bacillus
cereus
strain
BP01
was
determined
to
be
greater
than
5,000
mg/
kg
body
weight.
In
the
acute
oral
toxicity/
pathogenicity
test,
15
males
and
15
females
received
a
dose
of
1.23
x
108
colony
forming
units
(
CFU)
of
the
test
substance
by
oral
gavage;
nine
males
and
nine
females
were
treated
with
1.23
x
108
CFU
killed
test
substance
(
by
steam
sterilization).
Rats
were
weighed
on
days
0,
3,
7,
14,
and
18
and
signs
of
toxicity
were
observed
daily.
Randomly
sampled
rats
from
each
sex
and
each
test
group
were
sacrificed
on
days
0,
3,
7,
14,
and
18
and
examined
for
any
macroscopic
abnormalities.
Samples
of
the
kidneys,
liver,
spleen,
and
stomach
as
well
as
feces
were
homogenized
and
plated
to
determine
the
number
of
typical
Bacillus
cereus
colonies
after
incubation
at
30
0C
for
at
least
18
hours.
No
clinical
sign
were
noted
throughout
the
study
and
no
abnormalities
were
noted
in
any
animal
at
necropsy.
Two
males
displayed
a
loss
in
body
weight
from
day
0
to
3
and
five
females
lost
weight
from
day
7
to
14.
No
other
abnormalities
were
noted
in
body
weights
or
weight
gain.
Bacillus
cereus
strain
BP01
is
not
toxic,
pathogenic
or
infective
when
1
x
108
CFU
was
administered
orally.
A
distinct
clearance
pattern
was
observed
throughout
the
study.
2.
Acute
dermal
toxicity
(
OPPTS
870.1200;
152A
11;
MRID
441773
07).
Five
male
and
five
female
rabbits
were
given
a
dose
of
4.4
x
1010
CFU
(
2
grams
(
g))
dermally
for
24
hours
and
observed
after
dosing
for
signs
of
toxicity
and
dermal
irritation
for
14
days.
No
clinical
signs,
except
dermal
irritation,
were
noted
during
the
study
and
no
abnormalities
were
noted
upon
necropsy.
Two
males
and
five
females
displayed
a
loss
in
body
weight
from
day
0
to
day
7.
All
animals
displayed
a
weight
gain
through
the
end
of
the
study.
All
males
and
females
showed
slight
to
well
defined
redness
through
day
4;
very
slight
erythema
was
present
in
up
to
three
males
and
three
females
through
day
11.
Dermal
irritation
was
no
longer
apparent
by
day
12.
Slight
signs
of
edema
were
apparent
in
two
males
on
day
3.
Edema
was
no
longer
present
by
day
4.
The
LD50
of
Bacillus
cereus
strain
BP01
is
greater
than
2
grams
per
animal.
Mild
to
moderate
dermal
irritation
was
noted
and
was
no
longer
present
by
day
13.
3.
Acute
intratracheal
toxicity/
pathogenicity
(
OPPTS
885.3150;
152A
12;
MRID
441773
08).
Fifty
female
and
fifty
male
rats
received
a
single
dose
of
7
x
107
(
males),
or
9.33
x
107
CFU
(
females)
of
the
test
substance
in
a
volume
of
0.5
mL
by
intratracheal
administration;
fifty
females
and
fifty
males
were
treated
with
the
same
concentration
of
killed
test
substance
(
by
steam
sterilization);
an
additional
fifty
males
and
fifty
females
served
as
controls.
Rats
were
weighed
weekly
and
observed
for
signs
of
toxicity
daily.
Ten
rats
of
each
sex
from
each
group
were
sacrificed
on
days
0,
7,
14,
21,
and
36.
Animals
were
examined
for
macroscopic
abnormalities
by
necropsy.
Lungs
were
evaluated
by
histopathological
examination.
Samples
of
the
kidneys,
liver,
spleen,
brain,
mesenteric
lymph
nodes,
blood,
lungs,
and
caecum
were
homogenized,
plated,
and
incubated
for
at
least
18
hours
then
examined
for
typical
Bacillus
cereus
colonies.
Body
weight
losses
were
noted
in
females
from
the
test
substance
group,
one
during
the
first,
second
and
third
weeks.
No
other
abnormalities
were
noted
in
body
weight
or
weight
gain
throughout
the
study.
In
the
group
treated
with
the
test
substance,
three
females
displayed
a
rough
hair
coat,
two
females
showed
signs
of
labored
respiration,
and
one
female
had
hunched
posture
on
day
0.
Clinical
signs
were
no
longer
apparent
by
day
2.
Each
treatment
group
had
three
males
and
females
displaying
mottled,
dark
red
lungs
on
day
0.
Red
to
tan
lesions
remained
on
the
majority
of
animals
through
day
21.
Bacillus
cereus
strain
BP01
is
not
toxic,
pathogenic
or
infective
to
rats
at
an
intratracheal
dose
of
either
7
x
108
or
9.33
x
108
CFU.
A
slow
but
typical
clearance
pattern
was
observed;
slow
clearance
in
the
lung
with
distinct
clearance
pattern
noted
in
the
liver
and
spleen.
The
lesions
present
in
the
histopathology
sections
in
both
the
killed
and
live
test
substance
animals
indicate
an
inflammatory
response
to
the
treatment
due
to
the
presence
of
particulate
material.
4.
Acute
intravenous
toxicity
(
OPPTS
885.3200;
152A
13;
MRID
441773
09).
Five
male
and
five
female
rates
were
intravenously
injected
with
either
0.5
mL
of
Bacillus
cereus,
0.5
mL
of
the
killed
test
substance,
or
kept
as
a
naive
control.
The
rats
were
weighed
before
initial
dosing
and
weekly
thereafter.
Animals
were
observed
for
clinical
signs
twice
daily
for
14
days.
All
rats
were
examined
by
necropsy
for
any
macroscopic
abnormalities
at
the
end
of
the
study.
One
female
displayed
a
loss
in
body
weight
from
day
0
to
day
17.
No
other
abnormalities
were
noted
in
body
weight
or
weight
gain
throughout
the
study.
No
clinical
signs
were
reported
by
the
testing
facilty
and
no
abnormalities
were
noted
upon
necropsy.
Although
Bacillus
cereus
strain
BP01
is
not
toxic
to
rats
at
an
intravenous
dose
of
2.0
x
107
CFU,
the
registrant
failed
to
submit
the
clearance
portion
of
the
study.
However,
this
study
does
not
need
to
be
repeated
because
the
oral
and
intratracheal
studies
demonstrated
distinct
clearance
patterns.
5.
Primary
eye
irritation
(
OPPTS;
870.2400;
152A
14;
MRID
441773
10).
Three
male
and
three
female,
young
adult,
New
Zealnad
White
rabbits
were
given
a
single
dose
of
0.1g
(
equivalent
to
2.2
x
109
CFU)
of
the
microbial
pest
control
agent
(
MPCA)
in
the
everted
lower
right
eyelid
of
each
animal.
The
eye
was
gently
held
together
for
2
seconds
to
prevent
a
loss
of
material.
The
left
eye
served
as
the
control
for
each
animal.
The
Draize
Method
was
used
to
score
ocular
irritation
and
lesions
at
1
hour,
and
1,
2,
3,
4,
and
7
days
post
dosing.
A
2%
fluorescein
solution
and
ultraviolet
light
was
used
after
24
hours
to
evaluate
corneal
epithelial
damage.
Slight
to
moderate
redness,
chemosis,
and
occasional
discharge
was
observed
in
all
6
animals
within
1
hour
post
dosing.
Clinical
signs
were
no
longer
apparent
by
day
3.
No
abnormalities
were
observed
in
any
control
eye
during
the
study.
The
primary
irritation
scores
at
24
hours
post
dosing
was
4.8
when
a
0.1g
(
2
x
109
CFU)
ocular
dose
was
administered.
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Vol.
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224
/
Wednesday,
November
20,
2002
/
Rules
and
Regulations
Ocular
irritation
was
no
longer
present
by
day
3.
6.
Immunotoxicity
(
OPPTS
880.3800).
Immune
response,
teratogenicity,
virulence
enhancement,
and
mammalian
mutagenicity
(
40
CFR
158.740(
c)(
2)(
vi)
through
(
xv),
were
not
required
since
survival,
replication,
infectivity,
toxicity,
or
persistence
of
the
microbial
agent
was
not
observed
in
the
test
animals
treated
in
the
Tier
I
infectivity
tests.
7.
Hypersensitivity
(
OPPTS
870.2600;
152
15).
Incidents
of
hypersensitivity
must
be
reported
to
the
Agency
in
a
timely
manner.
There
have
been
no
reports
of
incidents
of
hypersensitivity
to
Bacillus
cereus
since
it
was
registered.
V.
Aggregate
Exposures
In
examining
aggregate
exposure,
section
408
of
the
FFDCA
directs
EPA
to
consider
available
information
concerning
exposures
from
the
pesticide
residue
in
food
and
all
other
nonoccupational
exposures,
including
drinking
water
from
ground
water
or
surface
water
and
exposure
through
pesticide
use
in
gardens,
lawns,
or
buildings
(
residential
and
other
indoor
uses).
A.
Dietary
Exposure
1.
Food.
While
the
suggested
use
pattern
may
result
in
dietary
exposure
with
possible
residues
on
food
and
feed,
negligible
risk
is
expected
for
both
the
general
population,
infants
and
children.
Submitted
acute
toxicology
tests
confirm
that
based
upon
the
use
sites,
use
patterns,
application
method,
use
rates,
low
exposure,
and
lack
of
significant
toxicology
concerns,
the
potential
risks,
if
any,
to
humans
are
considered
negligible,
therefore
an
exemption
from
the
requirement
of
a
tolerance
is
warranted.
Acute
exposure
could
occur
from
the
proposed
outdoor
use
sites
but
would
be
very
low
because
of
the
low
application
rates
of
less
than
48
fluid
ounces
of
BP01/
acre/
year
in
cotton
and
less
than
32
fluid
ounces
of
BP01/
acre/
year
in
soybean.
Considering
the
low
application
rates,
lack
of
toxicity/
pathogenicity,
ubiquitous
nature
and
natural
occurrence
of
Bacillius
cereus,
no
residue
data
were
required.
2.
Drinking
water
exposure.
The
microorganism
Bacillus
cereus
is
ubiquitous
in
many
soils
throughout
the
world.
Bacillus
cereus
is
not
known
as
an
aquatic
bacterium
and
therefore
is
not
expected
to
proliferate
in
aquatic
habitats.
The
potential
exists
for
Bacillus
cereus
strain
BPO1
to
enter
ground
water
or
other
drinking
water
sources,
after
application.
Both
percolation
through
soil
and
municipal
treatment
of
drinking
water
would
reduce
the
possibility
of
exposure
to
Bacillus
cereus
through
drinking
water.
Moreover,
Bacillus
cereus
strain
BPO1
is
not
considered
to
be
a
risk
to
drinking
water.
The
Agency
has
no
drinking
water
exposure
concerns,
because
exposure
is
minimal
to
non
existent
and
the
demonstrated
lack
of
toxicity
or
pathogenicity
for
the
Bacillus
cereus
Strain
BP01
microbe.
B.
Other
Non
Occupational
Exposure
The
potential
of
non
dietary
exposures
to
Bacillus
cereus
strain
BPO1
pesticide
residues
for
the
general
population,
including
infants
and
children,
is
unlikely
since
this
is
only
an
agricultural
use
pesticide.
The
Agency
believes
that
the
potential
aggregate
exposure,
derived
from
dermal
and
inhalation
exposure
via
mixing,
loading,
and
applying
Bacillus
cereus
strain
BPO1,
should
fall
well
below
the
currently
tested
microbial
safety
levels.
1.
Dermal
exposure.
Dermal
exposure
via
the
skin
would
be
the
primary
route
of
exposure
for
mixer/
loader
applications.
Unbroken
skin
is
a
natural
barrier
to
microbial
invasion
of
the
human
body.
Dermal
absorption
could
occur
only
if
the
skin
were
cut,
if
the
microbe
were
a
pathogen
equipped
with
mechanisms
for
entry
through
or
infection
of
the
skin,
or
if
metabolites
were
produced
that
could
be
dermally
absorbed.
Submitted
acute
dermal
toxicity
data
confirmed
a
lack
of
dermal
toxicity
and
mild
to
moderate
dermal
irritation
was
only
observed
until
day
13
of
the
study.
2.
Inhalation
exposure.
Inhalation
would
be
the
primary
route
of
exposure
for
mixer/
loader
applications.
Because
the
pulmonary
study
showed
no
adverse
effects,
the
risks
anticipated
for
the
route
of
exposure
are
considered
minimal.
VI.
Cumulative
Effects
The
Agency
has
considered
available
information
on
the
cumulative
effects
of
such
residues
and
other
substances
that
have
a
common
mechanism
of
toxicity.
These
considerations
included
the
cumulative
effects
on
infants
and
children
of
such
residues
and
other
substances
with
a
common
mechanism
of
toxicity.
Because
there
is
no
indication
of
mammalian
toxicity
to
this,
the
Agency
is
confident
that
there
will
not
be
cumulative
effects
from
the
registration
of
this
product
VII.
Determination
of
Safety
for
U.
S.
Population,
Infants
and
Children
1.
U.
S.
population.
There
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
U.
S.
population
from
exposure
to
Bacillus
cereus.
This
includes
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.
The
Agency
has
arrived
at
this
conclusion
based
on
the
very
low
levels
of
mammalian
toxicity
(
no
toxicity
at
the
maximum
doses
tested,
Toxicity
Categories
III
and
IV
for
irritation)
associated
with
Bacillus
cereus
strain
BP01
and
the
history
of
safe
use
of
Bacillus
cereus.
2.
Infants
and
children.
FFDCA
section
408(
b)(
2)(
C)
provides
that
EPA
shall
apply
an
additional
tenfold
margin
of
exposure
(
safety)
for
infants
and
children
in
the
case
of
threshold
effects
to
account
for
prenatal
and
postnatal
toxicity
and
the
completeness
of
the
database
unless
EPA
determines
that
a
different
margin
of
exposure
(
safety)
will
be
safe
for
infants
and
children.
Margins
of
exposure
(
safety)
are
often
referred
to
as
uncertainty
(
safety)
factors.
A
battery
of
acute
toxicity/
pathogenicity
studies
is
considered
sufficient
by
the
Agency
to
perform
a
risk
assessment
for
microbial
pesticides.
Other
strains
of
Bacillus
cereus
have
been
implicated
in
nosocomial
infections
in
rare
instances
and
in
food
poisoning
incidents.
In
the
ELISA
Analysis
of
Enterotoxin
test
data
submitted
there
was
no
evidence
of
diarrhoeal
type
enterotoxin
production
in
the
culture
filtration
of
Bacillus
cereus
strain
BPO1
or
the
end
use
product.
Data
relating
to
the
post
application
die
off
of
Bacillus
cereus
species
vs.
background
soil
population
counts
demonstrated
that
this
organism
is
very
stable
in
the
soil
and
rhizosphere.
Also,
for
food
use
of
microbial
pesticides,
the
acute
toxicity/
pathogenicity
studies
have
allowed
for
the
conclusion
that
an
exemption
from
the
requirement
of
a
tolerance
is
appropriate
and
adequate
to
protect
human
health,
including
that
of
infants
and
children.
VIII.
Other
Considerations
A.
Endocrine
Disruptors
EPA
is
required
under
the
FFDCA,
as
amended
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
``
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate.''
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
is
no
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Regulations
scientific
basis
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC's
recommendation
that
the
program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
When
the
appropriate
screening
and/
or
testing
protocols
being
considered
under
the
Agency's
EDSP
have
been
developed,
Bacillus
cereus
may
be
subjected
to
additional
screening
and/
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
Based
on
available
data,
no
endocrine
system
related
effects
have
been
identified
with
consumption
of
Bacillus
cereus
strain
BP01.
It
is
a
naturally
occurring
bacteria.
To
date,
there
is
no
evidence
to
suggest
that
Bacillus
cereus
affects
the
immune
system,
functions
in
a
manner
similar
to
any
known
hormone,
or
that
it
acts
as
an
endocrine
disruptor.
B.
Analytical
Method(
s)
The
Agency
proposes
to
establish
an
exemption
from
the
requirement
of
a
tolerance
without
any
numerical
limitation
based
upon
the
lack
of
mammalian
toxicity
of
Bacillus
cereus
and
the
lack
of
exposure
with
the
plant
growth
regulator
use
pattern.
For
the
same
reasons,
the
Agency
has
concluded
that
an
analytical
method
is
not
required
for
enforcement
purpose
for
Bacillus
cereus.
C.
Codex
Maximum
Residue
Level
There
are
no
Codex
harmonization
consideration
since
there
is
currently
no
codex
tolerance
for
Bacillus
cereus
residues.
IX.
Objections
and
Hearing
Requests
Under
section
408(
g)
of
the
FFDCA,
as
amended
by
the
FQPA,
any
person
may
file
an
objection
to
any
aspect
of
this
regulation
and
may
also
request
a
hearing
on
those
objections.
The
EPA
procedural
regulations
which
govern
the
submission
of
objections
and
requests
for
hearings
appear
in
40
CFR
part
178.
Although
the
procedures
in
those
regulations
require
some
modification
to
reflect
the
amendments
made
to
the
FFDCA
by
the
FQPA,
EPA
will
continue
to
use
those
procedures,
with
appropriate
adjustments,
until
the
necessary
modifications
can
be
made.
The
new
section
408(
g)
of
the
FFDCA
provides
essentially
the
same
process
for
persons
to
``
object''
to
a
regulation
for
an
exemption
from
the
requirement
of
a
tolerance
issued
by
EPA
under
new
section
408(
d)
of
the
FFDCA,
as
was
provided
in
the
old
sections
408
and
409
of
the
FFDCA.
However,
the
period
for
filing
objections
is
now
60
days,
rather
than
30
days.
A.
What
Do
I
Need
to
Do
to
File
an
Objection
or
Request
a
Hearing?
You
must
file
your
objection
or
request
a
hearing
on
this
regulation
in
accordance
with
the
instructions
provided
in
this
unit
and
in
40
CFR
part
178.
To
ensure
proper
receipt
by
EPA,
you
must
identify
docket
ID
number
OPP
2002
0291
in
the
subject
line
on
the
first
page
of
your
submission.
All
requests
must
be
in
writing,
and
must
be
mailed
or
delivered
to
the
Hearing
Clerk
on
or
before
January
21,
2003.
1.
Filing
the
request.
Your
objection
must
specify
the
specific
provisions
in
the
regulation
that
you
object
to,
and
the
grounds
for
the
objections
(
40
CFR
178.25).
If
a
hearing
is
requested,
the
objections
must
include
a
statement
of
the
factual
issues(
s)
on
which
a
hearing
is
requested,
the
requestor's
contentions
on
such
issues,
and
a
summary
of
any
evidence
relied
upon
by
the
objector
(
40
CFR
178.27).
Information
submitted
in
connection
with
an
objection
or
hearing
request
may
be
claimed
confidential
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
A
copy
of
the
information
that
does
not
contain
CBI
must
be
submitted
for
inclusion
in
the
public
record.
Information
not
marked
confidential
may
be
disclosed
publicly
by
EPA
without
prior
notice.
Mail
your
written
request
to:
Office
of
the
Hearing
Clerk
(
1900C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
You
may
also
deliver
your
request
to
the
Office
of
the
Hearing
Clerk
in
Rm.
104,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
The
Office
of
the
Hearing
Clerk
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Office
of
the
Hearing
Clerk
is
(
703)
603
0061.
2.
Tolerance
fee
payment.
If
you
file
an
objection
or
request
a
hearing,
you
must
also
pay
the
fee
prescribed
by
40
CFR
180.33(
i)
or
request
a
waiver
of
that
fee
pursuant
to
40
CFR
180.33(
m).
You
must
mail
the
fee
to:
EPA
Headquarters
Accounting
Operations
Branch,
Office
of
Pesticide
Programs,
P.
O.
Box
360277M,
Pittsburgh,
PA
15251.
Please
identify
the
fee
submission
by
labeling
it
``
Tolerance
Petition
Fees.''
EPA
is
authorized
to
waive
any
fee
requirement
``
when
in
the
judgement
of
the
Administrator
such
a
waiver
or
refund
is
equitable
and
not
contrary
to
the
purpose
of
this
subsection.''
For
additional
information
regarding
the
waiver
of
these
fees,
you
may
contact
James
Tompkins
by
telephone
at
(
703)
305
5697,
by
e
mail
at
tompkins.
jim@
epa.
gov,
or
by
mailing
a
request
for
information
to
Mr.
Tompkins
at
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
If
you
would
like
to
request
a
waiver
of
the
tolerance
objection
fees,
you
must
mail
your
request
for
such
a
waiver
to:
James
Hollins,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
3.
Copies
for
the
Docket.
In
addition
to
filing
an
objection
or
hearing
request
with
the
Hearing
Clerk
as
described
in
Unit
IX.
A.,
you
should
also
send
a
copy
of
your
request
to
the
PIRIB
for
its
inclusion
in
the
official
record
that
is
described
in
Unit
I.
B.
1.
Mail
your
copies,
identified
by
docket
ID
number
OPP
2002
0291,
to:
Public
Information
and
Records
Integrity
Branch,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
In
person
or
by
courier,
bring
a
copy
to
the
location
of
the
PIRIB
described
in
Unit
I.
B.
1.
You
may
also
send
an
electronic
copy
of
your
request
via
e
mail
to:
oppdocket
epa.
gov.
Please
use
an
ASCII
file
format
and
avoid
the
use
of
special
characters
and
any
form
of
encryption.
Copies
of
electronic
objections
and
hearing
requests
will
also
be
accepted
on
disks
in
WordPerfect
6.1/
8.0
or
ASCII
file
format.
Do
not
include
any
CBI
in
your
electronic
copy.
You
may
also
submit
an
electronic
copy
of
your
request
at
many
Federal
Depository
Libraries.
B.
When
Will
the
Agency
Grant
a
Request
for
a
Hearing?
A
request
for
a
hearing
will
be
granted
if
the
Administrator
determines
that
the
material
submitted
shows
the
following:
There
is
a
genuine
and
substantial
issue
of
fact;
there
is
a
reasonable
possibility
that
available
evidence
identified
by
the
requestor
would,
if
established
resolve
one
or
more
of
such
issues
in
favor
of
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the
requestor,
taking
into
account
uncontested
claims
or
facts
to
the
contrary;
and
resolution
of
the
factual
issues(
s)
in
the
manner
sought
by
the
requestor
would
be
adequate
to
justify
the
action
requested
(
40
CFR
178.32).
X.
Regulatory
Assessment
Requirements
This
final
rule
establishes
an
exemption
from
the
tolerance
requirement
under
section
408(
d)
of
the
FFDCA
in
response
to
a
petition
submitted
to
the
Agency.
The
Office
of
Management
and
Budget
(
OMB)
has
exempted
these
types
of
actions
from
review
under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(
58
FR
51735,
October
4,
1993).
Because
this
rule
has
been
exempted
from
review
under
Executive
Order
12866
due
to
its
lack
of
significance,
this
rule
is
not
subject
to
Executive
Order
13211,
Actions
Concerning
Regulations
That
Significantly
Affect
Energy
Supply,
Distribution,
or
Use
(
66
FR
28355,
May
22,
2001).
This
final
rule
does
not
contain
any
information
collections
subject
to
OMB
approval
under
the
Paperwork
Reduction
Act
(
PRA),
44
U.
S.
C.
3501
et
seq.,
or
impose
any
enforceable
duty
or
contain
any
unfunded
mandate
as
described
under
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(
UMRA)
(
Public
Law
104
4).
Nor
does
it
require
any
special
considerations
under
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(
59
FR
7629,
February
16,
1994);
or
OMB
review
or
any
Agency
action
under
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(
62
FR
19885,
April
23,
1997).
This
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
NTTAA),
Public
Law
104
113,
section
12(
d)
(
15
U.
S.
C.
272
note).
Since
tolerances
and
exemptions
that
are
established
on
the
basis
of
a
petition
under
section
408(
d)
of
the
FFDCA,
such
as
the
exemption
in
this
final
rule,
do
not
require
the
issuance
of
a
proposed
rule,
the
requirements
of
the
Regulatory
Flexibility
Act
(
RFA)
(
5
U.
S.
C.
601
et
seq.)
do
not
apply.
In
addition,
the
Agency
has
determined
that
this
action
will
not
have
a
substantial
direct
effect
on
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132,
entitled
Federalism
(
64
FR
43255,
August
10,
1999).
Executive
Order
13132
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.''
``
Policies
that
have
federalism
implications''
is
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.''
This
final
rule
directly
regulates
growers,
food
processors,
food
handlers
and
food
retailers,
not
States.
This
action
does
not
alter
the
relationships
or
distribution
of
power
and
responsibilities
established
by
Congress
in
the
preemption
provisions
of
section
408(
n)(
4)
of
the
FFDCA.
For
these
same
reasons,
the
Agency
has
determined
that
this
rule
does
not
have
any
``
tribal
implications''
as
described
in
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(
65
FR
67249,
November
6,
2000).
Executive
Order
13175,
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
tribal
officials
in
the
development
of
regulatory
policies
that
have
tribal
implications.''
``
Policies
that
have
tribal
implications
''
is
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
one
or
more
Indian
tribes,
on
the
relationship
between
the
Federal
Government
and
the
Indian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes.''
This
rule
will
not
have
substantial
direct
effects
on
tribal
governments,
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,
as
specified
in
Executive
Order
13175.
Thus,
Executive
Order
13175
does
not
apply
to
this
rule.
XI.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
this
final
rule
in
the
Federal
Register.
This
final
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
180
Environmental
protection,
Administrative
practice
and
procedure,
Agricultural
commodities,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
October
31,
2002.
Janet
L.
Andersen,
Director,
Biopesticides
and
Pollution
Prevention
Division,
Office
of
Pesticide
Programs.
Therefore,
40
CFR
chapter
I
is
amended
as
follows:
PART
180
[
AMENDED]
1.
The
authority
citation
for
part
180
continues
to
read
as
follows:
Authority:
21
U.
S.
C.
321(
q),
346(
a)
and
374.
2.
Section
180.1181
is
revised
to
read
as
follows:
§
180.1181
Bacillus
cereus
strain
BPO1;
exemption
from
the
requirement
of
a
tolerance.
An
exemption
from
the
requirement
of
a
tolerance
for
residues
of
the
Bacillus
cereus
strain
BPO1
in
or
on
all
raw
agricultural
commodities
when
applied/
used
in
accordance
with
label
directions.
[
FR
Doc.
02
29331
Filed
11
19
02;
8:
45
am]
BILLING
CODE
6560
50
S
FEDERAL
COMMUNICATIONS
COMMISSION
47
CFR
Part
73
[
DA
02
2231,
MB
Docket
No.
02
223,
RM
10520]
Digital
Television
Broadcast
Service;
Avalon,
CA
AGENCY:
Federal
Communications
Commission.
ACTION:
Final
rule.
SUMMARY:
The
Commission,
at
the
request
of
Pappas
Southern
California
License,
LLC.,
and
pursuant
to
Section
531
of
the
Public
Health,
Security
and
Bioterrorism
Preparedness
and
Reponse
Act
of
2002,
allots
DTV
channel
47c
at
Avalon,
California.
DTV
channel
47c
can
be
allotted
to
Avalon
at
the
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31>
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14:
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19,
2002
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FM\
20NOR1.
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20NOR1
| epa | 2024-06-07T20:31:44.251684 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0291-0001/content.txt"
} |
EPA-HQ-OPP-2002-0292-0001 | Notice | 2002-10-18T04:00:00 | Agricultural Worker Risk Assessment Process; Notice of Public Meeting
| 64368
Federal
Register
/
Vol.
67,
No.
202
/
Friday,
October
18,
2002
/
Notices
2003,
Contact:
Terry
Humphrey
(505)
751–
4718.
This
document
is
available
on
the
Internet
at:
http://
www.
elcaminoreal.
org.
EIS
No.
020423,
Final
EIS,
NPS,
CA,
Santa
Cruz
Island
Primary
Restoration
Plan,
Implementation,
Channel
Island
National
Park,
Santa
Cruz
Island,
Santa
Barbara
County,
CA,
Wait
Period
Ends:
November
18,
2002,
Contact:
Alan
Schmierer
(415)
427–
1441.
EIS
No.
020424,
Final
Supplement,
FRC,
WA,
Rocky
Creek
Hydroelectric
Project,
(FERC
No.
10311–
002)
Construction
and
Operation
of
a
8.3
megawatt
(Mw)
Project,
Application
for
License,
Rocky
Creek,
Skagit
County,
WA,
Wait
Period
Ends:
November
18,
2002,
Contact:
Dianne
Rodman
(202)
502–
6077.
EIS
No.
020425,
Final
EIS,
FHW,
NY,
County
Road
(Mill
Hill
Road
and
Glen
Road)
Improvements,
From
Howard
Drive
to
State
Route
9N
including
a
New
Bridge
over
the
East
Branch
of
the
Ausable
River,
Funding
and
COE
Section
404.
Permit,
Essex
County,
NY,
Wait
Period
Ends:
November
18,
2002,
Contact:
Robert
Arnold
(518)
431–
4127.
EIS
No.
020426,
Draft
EIS,
AFS,
MT,
Garver
Project,
Regeneration
Harvest
and
Old
Growth,
Implementation,
Kootenai
National
Forest,
Three
Rivers
Ranger
District,
Lincoln
County,
MT,
Comment
Period
Ends:
December
18,
2002,
Contact:
Kathy
Mohar
(406)
295–
4693.
EIS
No.
020427,
Final
EIS,
NPS,
WV,
National
Coal
Heritage
Area,
Strategic
Management
Action
Plan,
Implementation,
Boone,
Cabell,
Fayette,
Logan,
McDowell,
Mercer,
Mingo,
Raliegh,
Summers,
Wayne
and
Wyoming
Counties,
WV,
Wait
Period
Ends:
November
18,
2002,
Contact:
Peter
Samuel
(215)
597–
1848.
Dated:
October
15,
2002.
Joseph
C.
Montgomery,
Director,
NEPA
Compliance
Division,
Office
of
Federal
Activities.
[FR
Doc.
02–
26594
Filed
10–
17–
02;
8:
45
am]
BILLING
CODE
6560–
50–
P
ENVIRONMENTAL
PROTECTION
AGENCY
[OPP–
2002–
0292;
FRL–
7278–
5]
Agricultural
Worker
Risk
Assessment
Process;
Notice
of
Public
Meeting
AGENCY:
Environmental
Protection
Agency
(EPA).
ACTION:
Notice.
SUMMARY:
EPA's
Office
of
Pesticide
Programs
will
hold
a
public
seminar
on
the
agricultural
worker
risk
assessment
decision
process
on
October
29–
30,
2002.
The
agenda
is
being
developed
and
will
be
posted
by
October
15,
2002,
on
EPA's
website
at
www.
epa.
gov/
pesticides/.
The
following
topics
are
being
planned
for
presentation
and
discussion:
Overview
of
the
worker
risk
assessment
process;
agricultural
handler
risk
assessment
for
selected
crop/
handler
scenarios;
post
application
risk
assessment
for
selected
crop/
post
application
worker
scenarios;
and
presentations
relating
to
post
exposure
evaluation.
DATES:
The
meeting
will
be
held
on
Tuesday,
October
29,
2002,
from
8:
30
a.
m.
to
5
p.
m.,
and
on
Wednesday,
October
30,
2002,
from
8:
30
a.
m.
to
4:
30
p.
m.
ADDRESSES:
The
meeting
will
be
held
at
the
Georgetown
University
Conference
Center,
3800
Reservoir
Road,
Washington,
DC,
in
the
Leavey
Center
(Entrance
#1
to
the
Georgetown
University
Medical
Center),
Salon
C.
The
telephone
number
is
202–
687–
3200.
FOR
FURTHER
INFORMATION
CONTACT:
Margie
Fehrenbach,
Office
of
Pesticide
Programs,
7501C,
Environmental
ProtectionAgency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
703–
308–
4775;
fax
number:
703–
308–
4776;
e
mail
address:
Fehrenbach.
Margie@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general;
however,
persons
may
be
interested
who
work
in
agricultural
settings
or
persons
who
are
concerned
about
implementation
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(FIFRA);
the
Federal
Food,
Drug,
and
Cosmetic
Act
(FFDCA);
and
the
amendments
to
both
of
these
major
pesticide
laws
by
the
Food
Quality
Protection
Act
(FQPA);
(Public
Law
104–
170)
of
1996.
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Agricultural
workers
and
farmers;
pesticide
industry
and
trade
associations;
environmental,
consumer
and
farmworker
groups;
pesticide
users
and
growers;
pest
consultants;
State,
local
and
tribal
governments;
academia;
public
health
organizations;
food
processors;
and
the
public.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
ID
number
OPP–
2002–
0292.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(PIRIB),
Rm.
119,
Crystal
Mall
#2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
703–
305–
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,
''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
Stakeholders
from
two
of
EPA's
Federal
advisory
committees,
the
Pesticide
Program
Dialogue
Committee
(PPDC)
and
the
Committee
to
Advise
on
Reassessment
and
Transition
(CARAT),
have
expressed
interest
in
better
understanding
the
process
followed
by
the
Office
of
Pesticide
Programs
when
developing
agricultural
worker
risk
assessments.
EPA
is
planning
two
seminars
to
address
these
issues.
The
first
seminar
will
focus
on
the
inputs,
decisions,
calculations
and
end
results
of
the
worker
risk
assessment
process
for
agricultural
handlers
and
post
applicators.
Presentations
will
include
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64369
Federal
Register
/
Vol.
67,
No.
202
/
Friday,
October
18,
2002
/
Notices
information
about
occupational
incident
data
bases
and
post
exposure
evaluations.
There
will
also
be
presentations
by
the
Task
Forces
for
Agricultural
Handlers
Exposure
and
Agricultural
Reentry.
The
public
is
invited
to
these
seminars.
Participation
from
the
two
advisory
committees
is
also
invited
and
represent
the
following
sectors:
Pesticide
user,
grower
and
commodity
groups;
industry
and
trade
associations;
environmental/
public
interest
and
farmworker
groups;
Federal,
State
and
tribal
governments;
public
health
organizations;
animal
welfare;
and
academia.
III.
How
Can
I
Request
to
Participate
in
this
Meeting?
This
meeting
will
be
open
to
the
public.
Opportunity
will
be
provided
for
questions
and
comments
by
the
public.
Any
person
who
wishes
to
file
a
written
statement
may
do
so
before
or
after
the
meeting.
These
statements
will
become
part
of
the
permanent
record
and
will
be
available
for
public
inspection
at
the
address
listed
under
Unit
I.
B.
1.
List
of
Subjects
Environmental
protection,
Agriculture,
Agricultural
workers,
Chemicals,
Foods,
Pesticides,
Pests,
Risk
assessment.
Dated:
October
15,
2002.
Kathleen
D.
Knox,
Acting
Director,
Office
of
Pesticide
Programs.
[FR
Doc.
02–
26712
Filed
10–
16–
02;
3:
21
pm]
BILLING
CODE
6560–
50–
S
ENVIRONMENTAL
PROTECTION
AGENCY
[FRL–
7395–
1]
Clean
Water
Act
Section
303(
d):
Availability
of
37
Total
Maximum
Daily
Loads
(TMDLs)
AGENCY:
Environmental
Protection
Agency
(EPA).
ACTION:
Notice
of
availability.
SUMMARY:
This
notice
announces
the
availability
for
comment
of
the
administrative
record
file
for
37
TMDLs
and
the
calculations
for
these
TMDLs
prepared
by
EPA
Region
6
for
waters
listed
in
the
state
of
Arkansas,
under
section
303(
d)
of
the
Clean
Water
Act
(CWA).
These
TMDLs
were
completed
in
response
to
the
lawsuit
styled
Sierra
Club,
et
al.
v.
Browner
et
al.,
No.
LR–
C–
99–
114.
DATES:
Comments
must
be
submitted
in
writing
to
EPA
on
or
before
November
18,
2002.
ADDRESSES:
Comments
on
the
37
TMDLs
should
be
sent
to
Ellen
Caldwell,
Environmental
Protection
Specialist,
Water
Quality
Protection
Division,
U.
S.
Environmental
Protection
Agency
Region
6,
1445
Ross
Ave.,
Dallas,
TX
75202–
2733.
For
further
information,
contact
Ellen
Caldwell
at
(214)
665–
7513.
The
administrative
record
file
for
these
TMDLs
are
available
for
public
inspection
at
this
address
as
well.
Documents
from
the
administrative
record
file
may
be
viewed
at
www.
epa.
gov/
region6/
water/
artmdl.
htm,
or
obtained
by
calling
or
writing
Ms.
Caldwell
at
the
above
address.
Please
contact
Ms.
Caldwell
to
schedule
an
inspection.
FOR
FURTHER
INFORMATION
CONTACT:
Ellen
Caldwell
at
(214)
665–
7513.
SUPPLEMENTARY
INFORMATION:
In
1999,
five
Arkansas
environmental
groups,
the
Sierra
Club,
Federation
of
Fly
Fishers,
Crooked
Creek
Coalition,
Arkansas
Fly
Fishers,
and
Save
our
Streams
(plaintiffs),
filed
a
lawsuit
in
Federal
Court
against
the
United
States
Environmental
Protection
Agency
(EPA),
styled
Sierra
Club,
et
al.
v.
Browner
et
al.,
No.
LR–
C–
99–
114.
Among
other
claims,
plaintiffs
alleged
that
EPA
failed
to
establish
Arkansas
TMDLs
in
a
timely
manner.
EPA
proposes
these
TMDLs
pursuant
to
a
consent
decree
entered
in
this
lawsuit.
EPA
Seeks
Comments
on
37
TMDLs
By
this
notice
EPA
is
seeking
comment
on
the
following
37
TMDLs
for
waters
located
within
the
state
of
Arkansas:
Segment
reach
Waterbody
name
Pollutant
11140203–
20–
11.9
......................................................................
Dorcheat
Bayou
..........................................................................
Mercury.
11140203–
22–
8.4
........................................................................
Dorcheat
Bayou
..........................................................................
Mercury.
11140203–
24–
7
...........................................................................
Dorcheat
Bayou
..........................................................................
Mercury.
11140203–
26–
23.3
......................................................................
Dorcheat
Bayou
..........................................................................
Mercury.
11110206–
02–
8.7
........................................................................
Fourche
LaFave
River
................................................................
Mercury.
11010014–
36
...............................................................................
South
Fork
Little
Red
River
........................................................
Mercury.
11140203
.....................................................................................
Columbia
Lake
............................................................................
Mercury.
11110206
.....................................................................................
Cove
Creek
Lake
........................................................................
Mercury.
11110206
.....................................................................................
Dry
Fork
Lake
.............................................................................
Mercury.
11110206
.....................................................................................
Nimrod
Lake
................................................................................
Mercury.
11010014
.....................................................................................
Johnson
Hole
..............................................................................
Mercury.
11110201
.....................................................................................
Shepherd
Springs
Lake
..............................................................
Mercury.
11110207
.....................................................................................
Lake
Sylvia
..................................................................................
Mercury.
11110207
.....................................................................................
Spring
Lake
.................................................................................
Mercury.
08040201–
02–
22.5
......................................................................
Ouachita
River
............................................................................
Mercury.
08040201–
04–
2.5
........................................................................
Ouachita
River
............................................................................
Mercury.
08040202
.....................................................................................
Oxbow
River—
Oxbows
below
Camden
.....................................
Mercury.
08040202
.....................................................................................
Felsenthal
Wildlife
Refuge
..........................................................
Mercury.
08040202–
02–
4
...........................................................................
Ouachita
River
............................................................................
Mercury.
08040202–
03–
8.4
........................................................................
Ouachita
River
............................................................................
Mercury.
08040202–
04–
28.9
......................................................................
Ouachita
River
............................................................................
Mercury.
08040203
.....................................................................................
Lake
Winona
...............................................................................
Mercury.
08040203–
01–
0.2
........................................................................
Saline
River
.................................................................................
Mercury.
08040204–
01–
2.8
........................................................................
Saline
River
.................................................................................
Mercury.
08040204–
02–
53
.........................................................................
Saline
River
.................................................................................
Mercury.
08040204–
04–
16.4
......................................................................
Saline
River
.................................................................................
Mercury.
08040204–
06–
17.5
......................................................................
Saline
River
.................................................................................
Mercury.
08040201–
01–
12
.........................................................................
Moro
Creek
.................................................................................
Mercury.
08040201–
03–
20
.........................................................................
Champagnolle
Creek
..................................................................
Mercury.
08040202–
03–
8.4
........................................................................
Little
Champagnolle
....................................................................
Mercury.
08040205–
02–
17.9
......................................................................
Bayou
Bartholomew
....................................................................
Mercury.
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| epa | 2024-06-07T20:31:44.262035 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0292-0001/content.txt"
} |
EPA-HQ-OPP-2002-0293-0001 | Notice | 2002-12-04T05:00:00 | Pesticide Product; Registration Approval | 72172
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0293;
FRL
7278
9]
Pesticide
Product;
Registration
Approval
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
Agency
approval
of
applications
to
register
the
pesticide
products
containing
active
ingredients
not
included
in
any
previously
registered
products
pursuant
to
the
provisions
of
section
3(
c)(
5)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended.
FOR
FURTHER
INFORMATION
CONTACT:
Rosemary
Biancardi,
Biopesticides
and
Pollution
Prevention
Division
(
7511C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8145;
e
mail
address:
biancardi.
rosemary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0293.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
In
accordance
with
section
3(
c)(
2)
of
FIFRA,
a
copy
of
the
approved
label,
the
list
of
data
references,
the
data
and
other
scientific
information
used
to
support
registration,
except
for
material
specifically
protected
by
section
10
of
FIFRA,
are
also
available
for
public
inspection.
Requests
for
data
must
be
made
in
accordance
with
the
provisions
of
the
Freedom
of
Information
Act
and
must
be
addressed
to
the
Freedom
of
Information
Office
(
A
101),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
The
request
should:
Identify
the
product
name
and
registration
number
and
specify
the
data
or
information
desired.
A
paper
copy
of
the
fact
sheet,
which
provides
more
detail
on
this
registration,
may
be
obtained
from
the
National
Technical
Information
Service
(
NTIS),
5285
Port
Royal
Rd.,
Springfield,
VA
22161.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.''
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Did
EPA
Approve
the
Application?
The
Agency
approved
the
applications
after
considering
all
required
data
on
risks
associated
with
the
proposed
use
of
``
dipotassium
phosphate,''
``
dipotassium
phosphonate,''
``
sucrose
octanoate
esters
[(
a
D
glucopyranosyl,
b
Dfructofuranosyl
octanoate),
mono,
di
and
triesters
of
sucrose
octanoate],''
``
sodium
carbonate
peroxyhydrate,''
and
``
rust
Puccinia
thlaspeos
strain
woad,''
and
information
on
social,
economic,
and
environmental
benefits
to
be
derived
from
use.
Specifically,
the
Agency
has
considered
the
nature
of
the
chemical
and
its
pattern
of
use,
application
methods
and
rates,
and
level
and
extent
of
potential
exposure.
Based
on
these
reviews,
the
Agency
was
able
to
make
basic
health
and
safety
determinations
which
show
that
use
of
``
dipotassium
phosphate,''
``
dipotassium
phosphonate,''
``
sucrose
octanoate
esters
[(
a
D
glucopyranosyl,
b
Dfructofuranosyl
octanoate),
mono,
di
and
triesters
of
sucrose
octanoate],''
``
sodium
carbonate
peroxyhydrate,''
and
``
rust
Puccinia
thlaspeos
strain
woad''
when
used
in
accordance
with
widespread
and
commonly
recognized
practice,
will
not
generally
cause
unreasonable
adverse
effects
to
the
environment.
III.
Approved
Applications
1.
EPA
issued
a
notice,
published
in
the
Federal
Register
of
May
10,
2000,
(
65
FR
30112)
(
FRL
6556
6),
which
announced
that
Foliar
Nutrient,
Inc.,
320
First
Ave.,
Cairo,
GA
31728
had
submitted
an
application
to
register
the
pesticide
product,
Lexx
A
Phos
Fungicide,
(
EPA
File
Symbol
72499
R),
containing
22.67%
dipotassium
phosphate
and
(
the
registered
active
ingredient)
20.40%
dipotassium
phosphonate.
This
product
was
not
previously
registered.
The
application
was
approved
on
September
16,
2002,
as
Lexx
A
Phos
Fungicide
(
EPA
Registration
Number
72499
1.
The
technical
grade
of
the
active
will
be
used
for
incorporation
into
the
end
use
product
Lexx
A
Phos
Fungicide,
which
is
intended
to
control
certain
fungal
diseases
in
woody
ornamentals,
turfgrasses
and
nonbearing
fruits
and
nut
tree
crops.
This
use
is
classified
as
a
terrestrial
non
food
application.
(
D.
Benmhend)
2.
EPA
issued
a
notice,
published
in
the
Federal
Register
of
August
11,
1999
(
64
FR
43701)
(
FRL
6095
2),
which
announced
that
AVA
Chemical
Ventures,
L.
L.
C.,
80
Rochester
Avenue,
Suite
214,
Portsmouth,
NH
03801,
had
submitted
applications
to
register
the
pesticide
products,
Avachem
Sucrose
Octanoate
Manufacturing
Use
Product
[
63%],
a
manufacturing
use
product
for
formulation
into
biological
insecticide
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Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
end
use
products
(
EPA
File
Symbol
70950
R),
and
Sucrose
Octanoate
[
32.1%],
a
biological
insecticide
end
use
product
(
EPA
File
Symbol
70950
E),
containing
sucrose
octanoate
(
C8
fatty
acid
mono,
di
and
triesters
of
sucrose
octanoate
and
sucrose
dioctanoate)
(
a
Dglucopyranoside
b
D
fructofuranosyl,
monooctanoate
and
dioctanoate),
which
has
since
been
designated
by
the
Agency
as
sucrose
octanoate
esters
[(
a
D
glucopyranosyl,
b
D
fructofuranosyloctanoate
mono,
di
and
triesters
of
sucrose
octanoate].
These
products
were
not
previously
registered.
The
applications
were
approved
on
September
16,
2002,
as
Avachem
Sucrose
Octanoate
Manufacturing
Use
Product
(
EPA
Registration
Number
70950
1)
for
formulating
into
biochemical
insecticide/
miticide
enduse
products
and
Avachem
Sucrose
Octanoate
[
40.0%]
(
EPA
Registration
Number
70950
2)
for
use
as
a
biochemical
insecticide/
miticide
enduse
product.
(
D.
Greenway)
3.
EPA
also
issued
a
notice,
published
in
the
Federal
Register
of
August
11,
1999
(
64
FR
43701)
(
FRL
6095
2),
which
announced
that
BioSafe
Systems,
80
Commerce
St.,
Glastonbury,
CT
06033,
had
submitted
an
application
to
register
the
pesticide
product,
TerraCare
Granular,
Algaecide,
Fungicide
(
EPA
File
Symbol
70299
G),
containing
the
active
ingredient
sodium
percarbonate
at
40%
redesignated
as
sodium
carbonate
peroxyhydrate.
This
product
was
not
previously
registered.
The
application
was
approved
on
September
20,
2002,
as
TerraCyteTM
(
EPA
Registration
Number
70299
3)
for
use
as
an
algaecide
and
fungicide
on
ornamental
plants
and
turf.
(
A.
Ball)
4.
EPA
issued
a
notice,
published
in
the
Federal
Register
of
March
8,
2002
(
67
FR
10717)
(
FRL
6824
3),
which
announced
that
Greenville
Farms,
6189
N.
1200
E.,
Logan,
Utah
84341,
had
submitted
an
application
to
register
the
pesticide
product,
Woad
Warrior,
a
herbicide
(
EPA
File
Symbol
73417
R),
containing
Puccinia
thlaspeos
``
strain
woad''
on
rust
infected
pieces
of
dyer's
woad
at
100%
and
at
least
7.6
x
109
teliospores/
pound
of
woad
warrior.
This
product
was
not
previously
registered.
The
application
was
approved
on
June
26,
2002,
as
Woad
Warrior
containing
the
rust
Puccinia
thlaspeos
``
strain
woad''
as
the
active
ingredient.
(
EPA
Registration
Number
73417
1)
for
controlling
dyer's
woad,
an
invasive
weed
rapidly
spreading
in
several
Western
states.
(
B.
Mandula)
List
of
Subjects
Environmental
protection,
Chemicals,
Pesticides
and
pests.
Dated:
November
20,
2002.
Janet
L.
Andersen,
Director,
Biopesticides
and
Pollution
Prevention
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30602
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7417
2]
Generic
Assessment
Endpoints
for
Ecological
Risk
Assessments
(
External
Review
Draft);
Notice
of
Availability
AGENCY:
Environmental
Protection
Agency.
ACTION:
Notice
of
availability
and
opportunity
for
public
comment.
SUMMARY:
The
U.
S.
Environmental
Protection
Agency
(
EPA)
is
announcing
a
60
day
public
comment
period
for
the
draft
document
titled
Generic
Assessment
Endpoints
for
Ecological
Risk
Assessments
prepared
by
the
Agency's
Risk
Assessment
Forum
(
RAF).
The
document
is
intended
to
assist
EPA
during
the
process
of
ecological
risk
assessment
in
selecting
assessment
endpoints,
which
are
valued
ecological
entities
and
attributes
to
be
protected.
EPA
will
consider
the
public
comment
submissions
in
revising
the
document.
DATES:
The
60
day
public
comment
period
begins
December
4,
2002,
and
ends
February
3,
2003.
Comments
must
be
provided
by
February
3,
2003.
ADDRESSES:
The
draft
is
available
via
the
Internet
on
the
EPA
Risk
Assessment
Forum's
home
page
at
http://
www.
epa.
gov/
ncea/
raf
under
the
What's
New
and
External
Review
Drafts
menus.
Comments
may
be
submitted
electronically,
by
mail,
or
in
person,
as
described
in
the
instructions
under
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
For
information
on
the
public
comment
period,
please
contact
Scott
Schwenk,
U.
S.
EPA,
Office
of
Research
and
Development,
National
Center
for
Environmental
Assessment
(
8601D),
1200
Pennsylvania
Ave.
NW.,
Washington,
DC
20460;
telephone:
202
564
6667;
fax:
202
565
0062;
e
mail:
schwenk.
scott@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
Submission
of
Comments
Electronic
comments
are
preferred
and
may
be
sent
by
e
mail
to:
risk.
forum@
epa.
gov.
Alternatively,
comments
may
be
mailed
to
the
Technical
Information
Staff
(
8623D),
NCEA
W,
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460,
or
delivered
to
the
Technical
Information
Staff
at
808
17th
Street,
NW.,
5th
Floor,
Washington,
DC
20006;
telephone:
202
564
3261;
facsimile:
202
565
0050.
In
the
case
of
paper
comments,
please
submit
one
unbound
original
with
pages
numbered
consecutively,
and
three
copies
of
the
comments.
For
attachments,
provide
an
index,
number
pages
consecutively
with
the
comments,
and
submit
an
unbound
original
and
three
copies.
Please
note
that
all
comments
received
in
response
to
this
notice
will
be
placed
in
a
public
record.
For
that
reason,
commentors
should
not
submit
personal
information
(
such
as
medical
data
or
home
address),
Confidential
Business
Information,
or
information
protected
by
copyright.
Due
to
limited
resources,
acknowledgments
will
not
be
sent.
II.
Background
Ecological
risk
assessment
is
a
process
for
evaluating
the
likelihood
that
adverse
ecological
effects
may
occur
or
are
occurring
as
a
result
of
exposure
to
one
or
more
stressors.
A
critical
early
step
in
conducting
an
ecological
risk
assessment
is
to
select
assessment
endpoints.
Assessment
endpoints
represent
valued
ecological
entities,
and
their
attributes,
upon
which
riskmanagement
actions
are
focused.
Selecting
assessment
endpoints
is
often
challenging
because
of
the
diversity
of
species,
ecological
communities,
and
ecological
functions
from
which
those
involved
in
risk
assessment
can
choose
and
because
of
statutory
ambiguity
regarding
what
is
to
be
protected.
The
purpose
of
the
RAF
document
is
to
assist
EPA
risk
assessors
by
providing
a
set
of
generic
ecological
assessment
endpoints
that
can
be
considered
and
adapted
for
use
in
specific
ecological
risk
assessments,
building
on
existing
EPA
guidance
and
experience.
The
document
is
not
prescriptive,
but
rather
is
intended
to
be
a
useful
starting
point
that
is
flexible
enough
to
be
applied
to
many
different
types
of
ecological
risk
assessments.
The
document
is
undergoing
peer
review
concurrent
with
the
public
comment
period
described
in
this
notice.
Dated:
November
12,
2002.
George
W.
Alapas,
Director,
National
Center
for
Environmental
Assessment.
[
FR
Doc.
02
30763
Filed
12
3
02;
8:
45
am]
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| epa | 2024-06-07T20:31:44.267387 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0293-0001/content.txt"
} |
EPA-HQ-OPP-2002-0294-0001 | Notice | 2002-11-14T05:00:00 | Alpha-Cyclodextrin, Beta-Cyclodextrin, and Gamma-Cyclodextrin; Notice of FIling a Pesticide Petition
to Establish an Exemption from the Requirement of a Toleranc | 69003
Federal
Register
/
Vol.
67,
No.
220
/
Thursday,
November
14,
2002
/
Notices
test
systems
and
other
scientifically
relevant
information,
to
determine
whether
certain
substances
may
have
hormonal
effects
in
humans.
In
1996,
EPA
chartered
a
scientific
advisory
committee,
the
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
under
the
authority
of
the
Federal
Advisory
Committee
Act
(
FACA
)
to
advise
it
on
establishing
a
program
to
carry
out
Congress'
directive.
EDSTAC
recommended
a
multi
step
approach
including
a
series
of
screens
(
Tier
I
Screens)
and
tests
(
Tier
II
Tests)
for
determining
whether
a
chemical
substance
may
have
an
effect
similar
to
that
produced
by
naturally
occurring
hormones.
EPA
adopted
many
of
EDSTAC's
recommendations
in
the
program
that
it
developed,
the
EDSP,
to
carry
out
Congress'
directive.
EDSTAC
also
recognized
that
there
currently
are
no
validated
testing
systems
for
determining
whether
a
chemical
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
naturally
occurring
hormones.
Consequently,
EPA
is
in
the
process
of
developing
and
validating
the
screens
and
tests
that
EDSTAC
recommended
for
inclusion
in
the
EDSP.
In
carrying
out
this
validation
exercise,
EPA
is
working
closely
with,
and
adhering
to
the
principles
of
the
Interagency
Coordinating
Committee
for
the
Validation
of
Alternate
Methods
(
ICCVAM).
EPA
also
is
working
closely
with
the
Organization
for
Economic
Cooperation
and
Development's
(
OECD)
Endocine
Testing
and
Assessment
Task
Force
to
validate
and
harmonize
endocrine
screening
tests
of
international
interest.
Finally,
to
ensure
that
EPA
has
the
best
and
most
up
to
date
advice
available
regarding
the
validation
of
the
screens
and
tests
in
the
EDSP,
EPA
recently
chartered
EDMVS
of
the
NACEPT.
EDMVS
provides
independent
advice
and
counsel
to
the
Agency
through
NACEPT,
on
scientific
and
technical
issues
related
to
validation
of
the
EDSP
Tier
I
screens
and
Tier
II
tests,
including
advice
on
methods
for
reducing
animal
use,
refining
procedures
involving
animals
to
make
them
less
stressful,
and
replacing
animals
where
scientifically
appropriate.
EDMVS
has
met
five
times
since
its
establishment
in
September
2001.
The
objectives
of
the
October
2001
meeting
(
docket
control
number
OPPTS
42212D)
were
for
EPA
to
provide:
1.
An
overview
of
EPA's
EDSP.
2.
Background
information
on
test
protocol
validation
and
approaches.
3.
For
the
EDMVS
to
develop
a
clear
understanding
of
their
scope,
purpose
and
operating
procedures.
4.
For
the
EDMVS
and
the
EDSP
to
determine
the
next
steps.
The
objectives
of
the
December
2001
meeting
(
docket
control
number
OPPTS
42212E)
were
for
the
EDMVS
to
provide
input
and
advice
on:
1.
EDMVS's
mission
statement
and
work
plan.
2.
The
in
utero
through
lactation
assay
detailed
review
paper.
3.
The
pubertal
assay
study
design
for
the
multi
dose
and
chemical
array
protocols.
4.
The
mammalian
1
generation
study
design.
The
objectives
of
the
March
2002
meeting
(
docket
control
number
OPPTS
42212F)
were
for
the
EDMS
to
provide
input
and
advice
on:
1.
EDSP's
implementation
process
and
practical
aspects
of
validation.
2.
The
in
utero
through
lactation
assay
protocol.
3.
The
fish
reproduction
assay
detailed
review
paper.
4.
Special
studies
on
fathead
minnow
assays,
vitellogenin
assay,
and
avian
dosing
protocol.
5.
The
steroidogenesis
detailed
review
paper.
6.
The
aromatase
detailed
review
paper.
7.
A
proposed
standard
suite
of
chemicals
for
testing
in
the
Tier
I
screening
assay.
8.
The
current
efforts
related
to
evaluating
the
relevance
of
animal
data
to
human
health.
9.
EPA's
approach
to
addressing
lowdose
issues.
The
objective
of
the
June
2002
teleconference
meeting
(
docket
ID
number
OPPT
2002
0020)
was
for
the
EDMVS
to
provide
input
and
advice
on
the
steroidogenesis
detailed
review
paper.
The
objectives
of
the
July
2002
meeting
(
docket
ID
number
OPPT
2002
0029)
were:
1.
To
review
criteria,
recommended
by
EDSTAC
and
adopted
by
EDSP
for
screens.
2.
To
receive
an
update
on
the
NICEATM
estrogen
and
androgen
receptor
binding
efforts.
3.
To
discuss
and
provide
advice
on
general
dose
setting
issues,
and
to
provide
comments
and
advice
on:
A
pubertals
special
study
restricted
feeding.
A
mammalian
2
generation
draft
PTU
special
study.
An
amphibian
metamorphosis
detailed
review
paper.
An
invertebrate
detailed
review
paper.
III.
Meeting
Objectives
for
the
December
2002
Teleconference
Meeting
The
objective
of
the
December
2002
teleconference
meeting
(
docket
ID
number
OPPT
2002
0059)
is
for
the
EDMVS
to
provide
input
and
advice
on
the
Tier
II
fish
lifecycle
assay
detailed
review
paper.
A
list
of
the
EDMVS
members
and
meeting
materials
are
available
on
our
Web
site
(
http://
www.
epa.
gov/
scipoly/
oscpendo/
edmvs.
htm),
and
in
the
EPA
Docket.
List
of
Subjects
Environmental
protection,
Endocrine
disruptors.
Dated:
November
4,
2002.
Joseph
Merenda,
Director,
Office
of
Science
Coordination
and
Policy,
Office
of
Prevention,
Pesticides
and
Toxic
Substances.
[
FR
Doc.
02
28910
Filed
11
13
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0294;
FRL
7279
3]
Alpha
cyclodextrin,
Beta
cyclodextrin,
and
Gamma
cyclodextrin;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
an
Exemption
from
the
Requirement
of
a
Tolerance
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
alphacyclodextrin
beta
cyclodextrin,
and
gamma
cyclodextrin
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0294,
must
be
received
on
or
before
December
16,
2002.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Treva
Alston,
Minor
Use,
Inerts,
and
Emergency
Reponse
Branch,
Registration
Division
(
7505W),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8373;
e
mail
address:
alston.
treva@
epa.
gov.
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Federal
Register
/
Vol.
67,
No.
220
/
Thursday,
November
14,
2002
/
Notices
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
ID
number
OPP
2002
0294.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although,
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
dockets.
You
may
use
EPA
dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although,
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although,
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0294.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
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/
Notices
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
number
OPP
2002
0294.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
number
OPP
2002
0294.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
number
OPP
2002
0294.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI,
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
November
4,
2002.
Debra
Edwards,
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petition
The
petitioner
summary
of
the
pesticide
petition
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petition
was
prepared
by
the
Wacker
Biochem
Corporation
and
represents
the
view
of
the
petitioner.
The
petition
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
PP
2E6514
Summary
of
Petitions
EPA
has
received
a
pesticide
petition
(
2E6514)
from
Wacker
Biochem
Corporation,
3301
Sutton
Road,
Adrian,
MI
49221
9397
proposing,
pursuant
to
section
408(
d)
of
the
FFDCA,
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
180.950
to
establish
an
exemption
from
the
requirement
of
a
tolerance
for
alphacyclodextrin
(
CAS
No.
10016
20
3),
beta
cyclodextrin
(
CAS
No.
7585
39
9),
and
gamma
cyclodextrin
(
CAS
No.
17465
86
0)
in
or
on
raw
agricultural
commodities
resulting
from
the
use
of
alpha,
beta,
and
gamma
cyclodextrin
as
ingredients
in
pesticide
formulations
used
in
accordance
with
good
agricultural
practices.
Alphacyclodextrin
beta
cyclodextrin,
and
gamma
cyclodextrin
are
naturally
occurring
compounds
derived
from
the
degradation
of
starch
by
the
glucosyltransferase
enzyme
(
CGTase).
Dglucose
molecules
that
are
formed
by
the
digestion
of
starch
are
joined
``
headto
tail''
to
form
alpha,
beta,
and
gamma
cyclodextrin
which
are
ringshaped
molecules.
Alpha,
beta,
and
gamma
cyclodextrin
are
comprised
of
six,
seven
and
eight
D
glucose
units,
respectively.
EPA
has
determined
that
the
petition
contains
data
or
information
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
A.
Residue
Chemistry
1.
Plant
metabolism.
While
no
studies
have
been
conducted
to
evaluate
the
metabolism
of
alpha,
beta,
and
gammacyclodextrin
in
plants,
the
metabolic
products
in
plants
are
anticipated
to
be
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ubiquitous,
naturally
occurring
simple
sugars
and
CO2.
The
anticipated
plant
metabolites
are
not
of
toxicological
concern.
2.
Analytical
method.
An
analytical
method
is
not
required
for
enforcement
purposes
since
Wacker
Biochem
is
requesting
the
establishiment
of
an
exemption
from
the
requirement
of
a
tolerance
without
any
numerical
limitation.
B.
Toxicological
Profile
Alpha
cyclodextrin:
The
Food
&
Agriculture
Organization/
World
Health
Organization
(
FAO/
WHO)
Joint
Expert
Committee
on
Food
Additives
(
JECFA)
has
evaluated
alpha
cyclodextrin
and
in
2001
allocated
an
acceptable
daily
intake
(
ADI)
of
``
not
specified.''
This
is
the
most
desirable
ADI
allocation
issued
by
JECFA.
Beta
cyclodextrin:
A
GRAS
(
generally
recognized
as
safe)
petition
was
submitted
by
Roquette
America
Inc/
American
Maize
Products
Co.
for
use
as
a
formulation
aid
in
the
production
of
dry
flavoring
mixes
(
February
3,
1992)
and
for
use
as
a
flavor
protectant
(
September
20,
1996).
A
self
affirmation
of
beta
cyclodextrin
as
a
flavor
carrier
in
foods
was
completed
by
Cerestar
USA
on
February
4,
1998.
Wacker
Biochem
Corporation
has
submitted
to
the
FDA
an
independent
GRAS
determination
for
beta
cyclodextrin
for
use
as
a
flavor
carrier
or
protectant
in
baked
goods
prepared
from
dry
mixes,
breakfast
cereal,
chewing
gum,
compressed,
candies,
gelatins
and
puddings,
flavored
coffee
and
tea,
processed
cheese
products,
dry
mix
for
beverages,
flavored
savory
snacks
and
crackers,
dry
mixes
for
soups
(
GRAS
Notice
No.
74).
FDA
has
not
yet
completed
its
review
of
the
self
affirmation.
Gamma
cyclodextrin:
Wacker
Biochem
Corporation
has
determined
that
gamma
cyclodextrin
is
generally
recognized
as
safe
(
GRAS)
when
used
as
a
stabilizer,
emulsifier,
carrier
and
formulation
aid
in
foods.
The
toxicology
and
metabolism
data
relevant
to
the
proposed
tolerance
exemption
are
summarized
in
Table
1.
TABLE
1.
TOXICITY
AND
METABOLISM
Study
Cyclo
dextrin
Result
Acute
oral
toxicity
Alpha
LD50
>
10,000
mg/
kg
(
rat)
Beta
LD50
>
12,000
mg/
kg
(
rabbit)
Gamma
LD50
>
8,000
mg/
kg
(
rat)
Acute
dermal
toxicity
No
data
are
available
Acute
inhalation
toxicity
No
data
are
available
Primary
eye
irritation
Alpha
Crystalline
form:
Eye
irritant,
but
not
corrosive
50%
suspension:
Non
irritant
Beta
Slight
irritant
Gamma
Non
irritant
Primary
dermal
irritation
Alpha
Non
irritant
Beta
Non
irritant
Dermal
sensitization
Alpha
Non
sensitizer
Beta
Non
sensitizer
Gamma
Non
sensitizer
28
Day
feeding
study:
rodent
Alpha
NOEL
=
5%
in
the
diet
Beta
NOEL
=
5%
in
the
diet
90
Day
feeding
study:
rat
Alpha
NOAEL
=
20%
in
diet
highest
dose
tested
(
HDT)
Beta
NOAEL
=
400
mg/
kg/
day
by
gavage
Gamma
NOAEL
=
20%
in
diet
HDT
90
Day
feeding
study:
dog
Alpha
NOAEL
=
20%
in
diet
HDT
Beta
NOEL
=
2.5%
in
diet
LOEL
=
5%
in
diet.
Hematology
and
clinical
chemistryeffects
observed
indicated
slight
toxicity
Gamma
NOAEL
=
20%
in
diet
HDT
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TABLE
1.
TOXICITY
AND
METABOLISM
Continued
Study
Cyclo
dextrin
Result
Subchronic
dermal
toxicity
No
data
are
available
Chronic
feeding
and
oncogenicity
Beta
1
year
dog
NOAEL
=
1%
in
diet
=
350
mg/
kg/
day
LOAEL
=
2.5%
in
diet
=
925
mg/
kg/
day
Increased
levels
of
protein
were
observed
in
urine
2
year
rat:
NOEL
for
oncogenicity
=
6%
in
diet
Small
percentage
is
absorbed
by
the
intestinal
walls
and
causes
kidney
damage
Beta
cyclodextrin
is
not
degraded
in
the
small
intestine.
In
the
large
intestine
it
undergoes
bacterial
degradation,
leading
to
gas
generation
and
diarrhea
Teratology
study:
rodent
Alpha
Not
teratogenic,
embryotoxic
or
fetotoxic
at
doses
up
to
20%
of
diets
in
both
rats
and
rabbits
HDT
Beta
Not
teratogenic,
embryotoxic
or
fetotoxic
at
5,000
mg/
kg/
day
in
rats
HDT
and
at
1,000
mg/
kg/
day
in
rabbits
HDT
Gamma
Not
teratogenic,
embryotoxic
or
fetotoxic
at
doses
up
to
20%
of
diets
in
both
rats
and
rabbits
HDT
2
Generation
reproduction
Beta
NOAEL
in
rats
=
1%
in
diet
=
700
mg/
kg/
day
LOAEL
in
dams
and
offspring
=
2.5%
in
the
diet
Gene
mutation
test
Alpha
Negative
Ames
test
Gamma
Negative
Ames
test
Structural
chromosomal
aberration
test
Beta
Negative
in
rats
at
dose
of
2%
in
diet
Other
genotoxic
effects
Alpha
Negative
micronucleus
test
Gamma
Negative
micronucleus
test
Metabolism
(
oral
dosing
Alpha
Absorption:
2%
dose
absorbed
Distribution:
Liver
(>
0.05%
dose)
and
kidney
(>
0.01%
dose)
Metabolism:
Extensively
and
predominantly
metabolized
to
C02
by
intestinal
flora
Excretion:
60%
dose
expelled
as
CO2
26
33%
dose
incorporated
7
14%
dose
excreted
in
urine
and
feces
Beta
Absorption:
No
significant
absorption
as
intact
molecule.
Absorption
as
sugars
is
similar
to
that
of
glucose;
occurs
via
passive
transport
Distribution:
Max.
0.9%
in
GI
tract
60
hours
after
dosing
Metabolism:
Hydrolysis
to
open
chain
dextrins
and
glucose
occurs
in
the
large
intestine
by
intestinal
flora
Excretion:
66.8%
dose
as
CO2
in
expired
air
within
23
hours
of
dosing.
0.6%
to
4%
in
feces
within
60
hours
of
dosing
Gamma
Absorption:
>
0.1%
as
intact
molecule
Metabolism:
Rapid
and
total
degradation
to
glucose
in
the
upper
intestinal
tract
by
intestinal
flora
Excretion:
60%
dose
expelled
as
CO2
37%
dose
incorporated
3%
dose
excreted
in
urine
and
feces
1.
Metabolite
toxicology.
Alpha,
beta,
and
gamma
cyclodextrin
are
metabolized
to
simple
sugars
and
CO2.
These
metabolites
are
also
metabolites
of
the
digestion
of
carbohydrates
in
the
diet
and
have
no
significant
toxicity.
2.
Endocrine
disruption.
Based
upon
the
available
data,
alpha,
beta,
and
gamma
cyclodextrin
are
not
anticipated
to
disrupt
the
endocrine
system.
C.
Aggregate
Exposure
1.
Food.
Alpha
cyclodextrin,
betacyclodextrin
and
beta
cyclodextrin
are
naturally
occurring
compounds
and
are
used
as
food
additives.
Alpha
cyclodextrin
food
additive
uses
include:
Carrier;
encapsulating
agent
for
food
additives,
flavorings
and
vitamins;
stabilizer;
and
absorbent.
The
ADI
is
``
not
specified.''
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14,
2002
/
Notices
Beta
cyclodextrin
is
used
as
a
flavor
carrier
or
protectant.
See
Table
2
for
a
detailed
list
of
uses
and
the
maximum
concentrations.
TABLE
2.
MAXIMUM
CONCENTRATION
OF
BETA
CYCLODEXTRIN
IN
FOODS
Beta
Cyclodextrin
Use
Maximum
Concentration
Baked
goods
prepared
from
dry
mixes
breakfast
cereal
chewing
gum
compressed
candies
2%
Gelatins
and
puddings
flavored
coffee
and
tea
processed
cheese
products
dry
mix
for
beverages
1%
Flavored
savory
snacks
and
crackers
0.5%
Dry
mixes
for
soups
0.2%
Gamma
cyclodextrin
is
used
in
foods
such
as
bread
spreads,
frozen
dairy
desserts,
ready
to
eat
dairy
desserts,
desserts
prepared
from
dry
mixes,
fruit
fillings,
cheese
and
cream
fillings,
chewing
gum,
dietary
supplements.
See
Table
3
for
a
complete
list
of
uses
and
the
maximum
concentrations.
TABLE
3.
MAXIMUM
CONCENTRATION
OF
GAMMA
CYCLODEXTRIN
IN
FOODS
Gamma
Cyclodextrin
Use
Maximum
Use
Concentration
Carrier
for
flavors,
sweeteners
and
colors
<
1%
Dry
mixes
for
beverages
<
1%
Dry
mixes
for
soups
<
1%
Dry
mixes
for
dressings,
gravies,
and
sauces
<
1%
Dry
mixes
for
puddings,
gelatins,
and
fillings
<
1%
Instant
coffee
and
instant
tea
<
1%
Coffee
whiteners
<
1%
Compressed
candies
<
1%
Chewing
gum
<
1%
Breakfast
cereals
(
ready
to
eat)
<
1%
Savory
snacks
and
crackers
<
1%
Spices
and
seasonings
<
1%
Carrier
for
vitamins
<
1%
For
use
in
dry
food
mixes
and
dietary
supplements
<
90%
1
Carrier
for
polyunsaturated
fatty
acids
For
use
in
dry
food
mixes
and
dietary
supplements
<
80%
1
Flavor
modifier
Soya
milk
<
2%
Stabilizer
Bread
spreads
(
fat
reduced)
<
20%
Frozen
dairy
desserts
<
3%
Baked
goods
(
excl.
bread,
but
incl.
dough
and
baking
mixes)
<
2%
Bread
<
1%
Fruit
based
fillings
<
3%
Fat
based
fillings
<
5%
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/
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67,
No.
220
/
Thursday,
November
14,
2002
/
Notices
TABLE
3.
MAXIMUM
CONCENTRATION
OF
GAMMA
CYCLODEXTRIN
IN
FOODS
Continued
Gamma
Cyclodextrin
Use
Maximum
Use
Concentration
Processed
cheese
<
3%
Dairy
deserts
(
ready
to
eat
and
prepared
from
dry
mixes)
<
3%
1Percent
by
weight
of
gamma
cyclodextrin
relative
to
the
nutrient
for
which
gamma
cyclodextrin
is
used
as
a
carrier.
The
proposed
use
of
alpha,
beta,
and
gamma
cyclodextrin
as
ingredients
in
pesticide
formulations
is
anticipated
to
result
in
no
significant
additional
dietary
exposure
to
alpha,
beta,
and
gamma
cyclodextrin.
2.
Drinking
water.
Any
alpha,
beta,
and
gamma
cyclodextrin
in
drinking
water
sources
is
anticipated
to
degrade
to
simple
sugars
and
CO2
that
will
be
used
by
plants
as
building
blocks
for
the
plant's
growth.
No
significant
exposure
of
alpha,
beta,
and
gammacyclodextrin
via
drinking
water
is
anticipated.
3.
Non
dietary
exposure.
Cyclodextrins
are
used
extensively
in
the
cosmetic
industry.
Alpha,
beta,
and
gamma
cyclodextrin
are
too
large
to
be
absorbed
through
the
skin,
so
no
significant
systemic
exposure
is
anticipated
to
result
from
the
cosmetic
use
or
other
residential
uses
of
alpha,
beta,
and
gamma
cyclodextrin.
D.
Cumulative
Effects
Alpha,
beta,
and
gammacyclodextrin
have
no
significant
toxic
effects
for
consideration
of
cumulative
effects.
E.
Safety
Determination
1.
U.
S.
population.
Alpha,
beta,
and
gamma
cyclodextrin
are
low
toxicity,
naturally
occurring
compounds
that
are
use
as
food
additives.
The
D
glucose
building
blocks
of
alpha,
beta,
and
gamma
cyclodextrin
are
also
the
result
of
digestion
of
starchy
foods
such
as
bread,
rice,
potatoes
and
pasta.
Alpha
,
beta,
and
gamma
cyclodextrin
are
part
of
the
current
U.
S.
diet,
and
the
proposed
new
uses
of
alpha,
beta,
and
gamma
cyclodextrin
as
ingredients
in
pesticide
formulations
is
not
anticipated
to
contribute
significantly
to
the
amount
of
alpha,
beta,
and
gammacyclodextrin
in
the
U.
S.
diet.
The
proposed
new
use
of
alpha,
beta,
and
gamma
cyclodextrin
for
use
as
an
inert
ingredient
in
pesticide
formulations
has
a
reasonable
certainty
of
no
harm
to
the
U.
S.
population.
2.
Infants
and
children.
Alpha,
beta
,
and
gamma
cyclodextrin
have
no
significant
toxic
effects
that
are
specific
to
infants
or
children.
The
proposed
new
uses
of
alpha,
beta,
and
gammacyclodextrin
as
ingredients
in
pesticide
formulations
has
a
reasonable
certainty
of
no
harm
to
infants
or
children.
F.
International
Tolerances
Alpha
cyclodextrin:
The
FAO/
WHO
JECFA
has
evaluated
alpha
cyclodextrin
and
in
2001
allocated
an
ADI
of
``
not
specified.''
This
is
the
most
desirable
ADI
and
is
limited
to
low
toxicity
compounds.
Beta
cyclodextrin:
A
request
was
submitted
to
the
CODEX
Alimentarius
Commission
for
additive
clearance
in
the
General
Standard
on
Food
Additives
(
INS
No.
459)
at
a
maximum
level
of
50,000
milligrams/
kilogram
(
mg/
kg)
in
food
category
5.3,
for
chewing
gum.
A
new
monograph
for
beta
cyclodextrin
has
been
published
in
the
First
Supplement
to
the
Fourth
Edition
of
the
Food
Chemicals
Codex.
Betacyclodextrin
is
published
in
Annex
V
of
the
Official
Journal
of
the
European
Communities
Food
Additives
as
a
carrier
only
for
food
additives
up
to
1
gram/
kilogram
food.
An
ADI
of
5
mg/
kg
body
weight
was
established
at
the
February
1995
joint
FAO/
WHO
meeting
of
the
expert
committee
on
food
additives
and
is
published
in
WHO
Food
Additive
Series
35.
Gamma
cyclodextrin:
The
FAO/
WHO
JECFA
has
evaluated
alpha
cyclodextrin
and
in
2,000
(
53rd
meeting)
allocated
an
ADI
of
``
not
specified.''
This
is
the
most
desirable
ADI
and
is
limited
to
low
toxicity
compounds.
[
FR
Doc.
02
28909
Filed
11
13
02;
8:
45
am]
BILLING
CODE
6560
50
S
FEDERAL
COMMUNICATIONS
COMMISION
Notice
of
Public
Information
Collection(
s)
Being
Reviewed
by
the
Federal
Communications
Commission
November
7,
2002.
SUMMARY:
The
Federal
Communications
Commission,
as
part
of
its
continuing
effort
to
reduce
paperwork
burden
invites
the
general
public
and
other
Federal
agencies
to
take
this
opportunity
to
comment
on
the
following
information
collection(
s),
as
required
by
the
Paperwork
Reduction
Act
of
1995,
Pub.
L.
104
13.
An
agency
may
not
conduct
or
sponsor
a
collection
of
information
unless
it
displays
a
current
valid
control
number.
No
person
shall
be
subject
to
any
penalty
for
failing
to
comply
with
a
collection
of
information
subject
to
the
Paperwork
Reduction
Act
(
PRA)
that
does
not
display
a
valid
control
number.
Comments
are
requested
concerning
(
a)
Whether
the
proposed
collection
of
information
is
necessary
for
the
proper
performance
of
the
functions
of
the
Commission,
including
whether
the
information
shall
have
practical
utility;
(
b)
the
accuracy
of
the
Commission's
burden
estimate;
(
c)
ways
to
enhance
the
quality,
utility,
and
clarity
of
the
information
collected;
and
(
d)
ways
to
minimize
the
burden
of
the
collection
of
information
on
the
respondents,
including
the
use
of
automated
collection
techniques
or
other
forms
of
information
technology.
DATES:
Written
comments
should
be
submitted
on
or
before
January
13,
2003.
If
you
anticipate
that
you
will
be
submitting
comments,
but
find
it
difficult
to
do
so
within
the
period
of
time
allowed
by
this
notice,
you
should
advise
the
contact
listed
below
as
soon
as
possible.
ADDRESSES:
Direct
all
comments
to
Les
Smith,
Federal
Communications
Commission,
Room
1
A804,
445
12th
Street,
SW.,
Washington,
DC
20554,
or
via
the
Internet
to
lesmith@
fcc.
gov.
FOR
FURTHER
INFORMATION
CONTACT:
For
additional
information
or
copies
of
the
information
collection(
s)
contact
Les
Smith
at
202
418
0217
or
via
the
Internet
at
lesmith@
fcc.
gov.
SUPPLEMENTARY
INFORMATION:
OMB
Control
Number:
3060
0960.
Title:
Application
of
Network
Non
Duplication,
Syndicated
Exclusivity,
and
Sports
Blackout
Rules
to
Satellite
Retransmissions
of
Broadcast
Signals.
Form
Number:
N/
A.
Type
of
Review:
Revision
of
a
currently
approved
collection.
Respondents:
Businesses
or
other
forprofit
entities.
Number
of
Respondents:
1,407.
Estimated
Time
per
Response:
0.5
to
1.0
hours.
Frequency
of
Response:
On
occasion
reporting
requirements;
Third
party
disclosure.
Total
Annual
Burden:
63,992
hours.
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| epa | 2024-06-07T20:31:44.277014 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0294-0001/content.txt"
} |
EPA-HQ-OPP-2002-0295-0001 | Notice | 2002-12-18T05:00:00 | Tetrachlorvinphos; Availability of Interim Risk Management Decision Document | 77491
Federal
Register
/
Vol.
67,
No.
243
/
Wednesday,
December
18,
2002
/
Notices
Enter
the
docket
number
excluding
the
last
three
digits
in
the
docket
number
field
to
access
the
document.
For
assistance,
please
contact
FERC
Online
Support
at
FERCOlineSuport@
ferc.
gov.
or
toll
free
at
(
866)
208
3676,
or
for
TTY,
contact
(
202)
502
8659.
n.
Anyone
may
submit
a
protest
or
a
motion
to
intervene
in
accordance
with
the
requirements
of
Rules
of
Practice
and
Procedure,
18
CFR
385.210,
385.211,
and
385.214.
In
determining
the
appropriate
action
to
take,
the
Commission
will
consider
all
protests
filed,
but
only
those
who
file
a
motion
to
intervene
in
accordance
with
the
Commission's
Rules
may
become
a
party
to
the
proceeding.
Any
protests
or
motions
to
intervene
must
be
received
on
or
before
the
specified
deadline
date
for
the
particular
application.
All
filings
must
(
1)
bear
in
all
capital
letters
the
title
``
PROTEST''
or
``
MOTION
TO
INTERVENE;''
(
2)
set
forth
in
the
heading
the
name
of
the
applicant
and
the
project
number
of
the
application
to
which
the
filing
responds;
(
3)
furnish
the
name,
address,
and
telephone
number
of
the
person
protesting
or
intervening;
and
(
4)
otherwise
comply
with
the
requirements
of
18
CFR
385.2001
through
385.2005.
Agencies
may
obtain
copies
of
the
application
directly
from
the
applicant.
A
copy
of
any
protest
or
motion
to
intervene
must
be
served
upon
each
representative
of
the
applicant
specified
in
the
particular
application.
Linwood
A.
Watson,
Jr.,
Deputy
Secretary.
[
FR
Doc.
02
31897
Filed
12
17
02;
8:
45
am]
BILLING
CODE
6717
01
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0295;
FRL
7279
2]
Tetrachlorvinphos;
Availability
of
Interim
Risk
Management
Decision
Document
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
availability
of
the
interim
risk
management
decision
document
for
tetrachlorvinphos.
This
decision
document
has
been
developed
as
part
of
the
public
participation
process
that
EPA
and
the
U.
S.
Department
of
Agriculture
(
USDA)
are
now
using
for
involving
the
public
in
the
reassessment
of
pesticide
tolerances
under
the
Food
Quality
Protection
Act
(
FQPA),
and
the
reregistration
of
individual
organophosphate
pesticides
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
FOR
FURTHER
INFORMATION
CONTACT:
For
general
information
contact:
Demson
Fuller,
Special
Review
and
Reregistration
Division
(
7508C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8062;
e
mail
address:
fuller.
demson@
epamail.
epa.
gov.
SUPPLEMENTARY
INFORMATION
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general,
nevertheless,
a
wide
range
of
stakeholders
will
be
interested
in
obtaining
the
interim
risk
management
decision
document
for
tetrachlorvinphos,
including
environmental,
human
health,
and
agricultural
advocates;
the
chemical
industry;
pesticide
users;
and
members
of
the
public
interested
in
the
use
of
pesticides
on
food
and
pets.
Since
other
entities
also
may
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0295.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
What
Action
is
the
Agency
Taking?
EPA
has
assessed
the
risks
of
tetrachlorvinphos
and
reached
an
Interim
Tolerance
Reassessment
Eligibility
Decision
(
TRED)
or
a
Report
on
FQPA
Tolerance
Reassessment
Progress
and
Interim
Risk
Management
Decision
for
this
pesticide.
With
risk
mitigation
measures
adopted,
tetrachlorvinphos
fits
into
its
own
risk
cup
its
individual,
aggregate
risks
are
within
acceptable
levels.
The
RED
for
tetrachlorvinphos
was
completed
in
1995.
At
that
time,
the
Agency
assessed
the
risk
for
dietary,
occupational,
ecological,
and
residential
concerns.
With
the
passage
of
FQPA,
the
tolerances
for
tetrachlorvinphos
needed
to
be
reassessed
according
to
the
FQPA
safety
standard.
In
this
current
assessment,
the
Agency
looked
at
dietary,
residential
and
occupational
concerns.
Tetrachlorvinphos
is
currently
applied
dermally
to
livestock
to
control
flies
and
mites;
used
as
a
feed
through
(
oral)
larvicide
in
cattle,
hogs,
goats,
and
horses;
in
cattle
ear
tags
to
control
flies;
and
in
poultry
production
to
control
beetles,
flies,
and
mites.
Tetrachlorvinphos
also
is
used
as
a
dust/
powder,
aerosol,
and
pump
spray
on
pets
and
in
pet
sleeping
areas,
and
in
collars
and
shampoos
for
direct
treatment
of
pets.
It
is
used
as
a
spray
to
control
nuisance
and
public
health
pests
(
flies)
in
and
around
refuse
sites,
recreational
areas,
and
for
general
outdoor
treatment.
Dietary
risks
from
eating
food
items
containing
residues
of
tetrachlorvinphos
are
below
the
level
of
concern
for
the
entire
U.
S.
population,
including
infants
and
children.
Drinking
water
is
not
a
significant
source
of
exposure.
Residential
handler
and
post
application
risks
were
also
not
of
concern
for
all
exposure
scenarios.
However,
the
Agency
has
concern
over
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Register
/
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67,
No.
243
/
Wednesday,
December
18,
2002
/
Notices
the
potential
for
over
application
of
powder
products.
Labels
need
to
be
modified
to
specify
how
much
product
to
apply
to
treat
pets
of
different
sizes.
Additionally,
based
on
discussions
with
stakeholders,
EPA
believes
that
directions
for
outdoor
uses
as
premise
sprays
around
kennels,
yards,
campgrounds,
and
parks,
and
along
foot
paths
and
roadways
leading
to
such
areas,
must
clearly
limit
use
to
spot
treatments
only.
Worker
risks
for
most
scenarios
are
not
of
concern
if
measures
to
reduce
exposure,
such
as
personal
protective
equipment,
are
used.
However,
use
of
the
EC
formulation
as
a
paint
on
poses
high
risks
to
workers
despite
the
maximum
protection
feasible.
Therefore
this
use
will
be
removed
from
product
labels.
For
other
scenarios,
such
as
applying
dusts
with
power
dusting
equipment,
additional
data
are
needed
to
confirm
that
risks
to
workers
will
not
be
excessive.
In
addition,
EPA
has
determined
that
labels
for
tetrachlorvinphos
feedthrough
products
for
horses
must
state
that
the
product
is
a
chlolinesterase
inhibitor,
describe
signs
of
cholinesterase
inhibition
in
horses,
caution
against
the
use
with
other
cholinesterase
inhibiting
compounds,
and
direct
horse
owners
to
consult
a
veterinarian
before
using
products
containing
tetrachlorvinphos
on
debilitated,
aged,
breeding,
pregnant
or
nursing
animals.
The
interim
risk
management
decision
document
for
tetrachlorvinphos
was
made
through
the
organophosphate
pesticide
pilot
public
participation
process,
which
increases
transparency
and
maximizes
stakeholder
involvement
in
EPA's
development
of
risk
assessments
and
risk
management
decisions.
The
pilot
public
participation
process
was
developed
as
part
of
the
EPA
USDA
Tolerance
Reassessment
Advisory
Committee
(
TRAC),
which
was
established
in
April
1998,
as
a
subcommittee
under
the
auspices
of
EPA's
National
Advisory
Council
for
Environmental
Policy
and
Technology.
A
goal
of
the
pilot
public
participation
process
is
to
find
a
more
effective
way
for
the
public
to
participate
at
critical
junctures
in
the
Agency's
development
of
organophosphate
pesticide
risk
assessments
and
risk
management
decisions.
EPA
and
USDA
began
implementing
this
pilot
process
in
August
1998,
to
increase
transparency
and
opportunities
for
stakeholder
consultation.
EPA
worked
extensively
with
affected
parties
to
reach
the
decisions
presented
in
the
interim
risk
management
decision
documents,
which
conclude
the
pilot
public
participation
process
for
tetrachlorvinphos.
As
part
of
the
pilot
public
participation
process,
numerous
opportunities
for
public
comment
were
offered
as
these
interim
risk
management
decision
documents
were
being
developed.
The
tetrachlorvinphos
interim
risk
management
decision
document
therefore
is
issued
in
final,
without
a
formal
public
comment
period.
The
docket
remains
open,
however,
and
any
comments
submitted
in
the
future
will
be
placed
in
the
public
docket.
The
risk
assessments
for
tetrachlorvinphos
were
released
to
the
public
through
a
notice
published
in
the
Federal
Register
of
January
15,
1999
(
64
FR
2644)
(
FRL
6056
9)
and
March
27,
2000
(
65
FR
16197)
(
FRL
6551
4).
Addenda
to
these
assessments
are
also
available
in
the
public
docket.
EPA's
next
step
under
FQPA
is
to
complete
a
cumulative
risk
assessment
and
risk
management
decision
for
the
organophosphate
pesticides,
which
share
a
common
mechanism
of
toxicity.
The
interim
risk
management
decision
document
on
tetrachlorvinphos
cannot
be
considered
final
until
this
cumulative
assessment
is
complete.
When
the
cumulative
risk
assessment
for
the
organophosphate
pesticides
has
been
completed,
EPA
will
issue
its
final
tolerance
reassessment
decision
for
tetrachlorvinphos
and
further
risk
mitigation
measures
may
be
needed.
List
of
Subjects
Environmental
protection,
Chemicals,
Pesticides
and
pests.
Dated:
December
3,
2002.
Lois
A.
Rossi,
Director,
Special
Review
and
Reregistration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31361
Filed
12
17
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7423
8]
Clean
Water
Act
Section
303(
d):
Final
Agency
Action
on
37
Total
Maximum
Daily
Loads
(
TMDLs)
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice
of
availability.
SUMMARY:
This
notice
announces
final
agency
action
on
37
TMDLs
prepared
by
EPA
Region
6
for
waters
listed
in
the
state
of
Arkansas,
under
section
303(
d)
of
the
Clean
Water
Act
(
CWA).
These
TMDLs
were
completed
in
response
to
the
lawsuit
styled
Sierra
Club,
et
al.
v.
Clifford,
et
al.,
No.
LR
C
99
114.
Documents
from
the
administrative
record
files
for
the
final
37
TMDLs,
including
TMDL
calculations
and
responses
to
comments,
may
be
viewed
at
http://
www.
epa.
gov/
earth1r6/
6wq/
artmdl.
htm.
ADDRESSES:
The
administrative
record
files
for
these
37
TMDLs
may
be
obtained
by
writing
or
calling
Ms.
Ellen
Caldwell,
Environmental
Protection
Specialist,
Water
Quality
Protection
Division,
U.
S.
Environmental
Protection
Agency
Region
6,
1445
Ross
Ave.,
Dallas,
TX
75202
2733.
Please
contact
Ms.
Caldwell
to
schedule
an
inspection.
FOR
FURTHER
INFORMATION
CONTACT:
Ellen
Caldwell
at
(
214)
665
7513.
SUPPLEMENTARY
INFORMATION:
In
1999,
five
Arkansas
environmental
groups,
the
Sierra
Club,
Federation
of
Fly
Fishers,
Crooked
Creek
Coalition,
Arkansas
Fly
Fishers,
and
Save
our
Streams
(
plaintiffs),
filed
a
lawsuit
in
Federal
Court
against
the
United
States
Environmental
Protection
Agency
(
EPA),
styled
Sierra
Club,
et
al.
v.
Browner
et
al.,
No.
LR
C
99
114.
Among
other
claims,
plaintiffs
alleged
that
EPA
failed
to
establish
Arkansas
TMDLs
in
a
timely
manner.
EPA
Takes
Final
Agency
Action
on
37
TMDLs
By
this
notice
EPA
is
taking
final
agency
action
on
the
following
37
TMDLs
for
waters
located
within
the
state
of
Arkansas:
Segment
reach
Waterbody
name
Pollutant
11140203
20
11.9
.......................................................................
Dorcheat
Bayou
...........................................................................
Mercury
11140203
22
8.4
.........................................................................
Dorcheat
Bayou
...........................................................................
Mercury
11140203
24
7
............................................................................
Dorcheat
Bayou
...........................................................................
Mercury
11140203
26
23.3
.......................................................................
Dorcheat
Bayou
...........................................................................
Mercury
11110206
02
8.7
.........................................................................
Fourche
LaFave
River
.................................................................
Mercury
11010014
36
................................................................................
South
Fork
Little
Red
River
.........................................................
Mercury
11140203
......................................................................................
Columbia
Lake
.............................................................................
Mercury
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| epa | 2024-06-07T20:31:44.285274 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0295-0001/content.txt"
} |
EPA-HQ-OPP-2002-0298-0001 | Rule | 2002-11-01T05:00:00 | Thiamethoxam; Pesticide Tolerance | 66561
Federal
Register
/
Vol.
67,
No.
212
/
Friday,
November
1,
2002
/
Rules
and
Regulations
*
*
*
*
*
[
FR
Doc.
02
27833
Filed
10
31
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
180
[
OPP
2002
0298;
FRL
7279
6]
Thiamethoxam;
Pesticide
Tolerance
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
This
regulation
establishes
a
tolerance
for
combined
residues
of
thiamethoxam
and
its
metabolite
in
or
on
corn
forage,
corn
stover
and
popcorn,
corn
grain
and
sweet
corn
(
kernal
and
cob
with
husk
removed).
Syngenta
Crop
Protection,
Inc.
requested
this
tolerance
under
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA)
,
as
amended
by
the
Food
Quality
Protection
Act
of
1996
(
FQPA).
DATES:
This
regulation
is
effective
November
1,
2002.
Objections
and
requests
for
hearings,
identified
by
docket
ID
number
OPP
2002
0298,
must
be
received
on
or
before
December
31,
2002.
ADDRESSES:
Written
objections
and
hearing
requests
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
VI.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Dani
Daniel,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
703
305
5409;
e
mail
address:
daniel.
dani@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
This
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Categories
NAICS
Examples
of
Potentially
Affected
Entities
Industry
111
Crop
production
112
Animal
production
311
Food
manufacturing
32532
Pesticide
manufacturing
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0298.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
A
frequently
updated
electronic
version
of
40
CFR
part
180
is
available
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml__
00/
Title__
40/
40cfr180__
00.
html,
a
beta
site
currently
under
development.
To
access
the
OPPTS
Harmonized
Guidelines
referenced
in
this
document,
go
directly
to
the
guidelines
at
http://
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
and
Statutory
Findings
In
the
Federal
Register
of
June
27,
2002
(
67
FR
43310
43314)
(
FRL
7183
2),
EPA
issued
a
notice
pursuant
to
section
408
of
FFDCA,
21
U.
S.
C.
346a,
as
amended
by
FQPA
(
Public
Law
104
170),
announcing
the
filing
of
a
pesticide
petition
(
PP
0F6142)
by
Syngenta
Crop
Protection,
Inc.,
P.
O.
Box
18300
Greensboro,
NC
27419
8300.
That
notice
included
a
summary
of
the
petition
prepared
by
Syngenta
Crop
Protection,
Inc.,
the
registrant.
There
were
no
comments
received
in
response
to
the
notice
of
filing.
The
petition
requested
that
40
CFR
180.565
be
amended
by
establishing
tolerances
for
combined
residues
of
the
insecticide
thiamethoxam,
3[(
2
chloro
5
thiazolyl)
methyl]
tetrahydro
5
methyl
N
nitro
4H
1,3,5
oxadiazin
4
imine
and
its
metabolite
(
N(
2
chloro
thiazol
5
ylmethyl)
N
methyl
N
nitro
guanidine)
in
or
on
the
raw
agricultural
commodities:
field
corn
forage
at
0.10
parts
per
million
(
ppm),
sweet
corn
forage
at
0.10
ppm,
popcorn
forage
at
0.10
ppm,
field
corn
stover
at
0.05
ppm,
sweet
corn
stover
at
0.05
ppm,
field
corn
grain
at
0.07
ppm,
popcorn
grain
at
0.02
ppm,
and
sweet
corn
(
kernal
and
cob
with
husk
removed)
at
0.02
ppm.
Section
408(
b)(
2)(
A)(
i)
of
the
FFDCA
allows
EPA
to
establish
a
tolerance
(
the
legal
limit
for
a
pesticide
chemical
residue
in
or
on
a
food)
only
if
EPA
determines
that
the
tolerance
is
``
safe.''
Section
408(
b)(
2)(
A)(
ii)
of
the
FFDCA
defines
``
safe''
to
mean
that
``
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
pesticide
chemical
residue,
including
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.''
This
includes
exposure
through
drinking
water
and
in
residential
settings,
but
does
not
include
occupational
exposure.
Section
408(
b)(
2)(
C)
of
the
FFDCA
requires
EPA
to
give
special
consideration
to
exposure
of
infants
and
children
to
the
pesticide
chemical
residue
in
establishing
a
tolerance
and
to
``
ensure
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
the
pesticide
chemical
residue....''
EPA
performs
a
number
of
analyses
to
determine
the
risks
from
aggregate
exposure
to
pesticide
residues.
For
further
discussion
of
the
regulatory
requirements
of
section
408
of
the
FFDCA
and
a
complete
description
of
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/
Rules
and
Regulations
the
risk
assessment
process,
see
the
final
rule
on
Bifenthrin
Pesticide
Tolerances
(
62
FR
62961,
November
26,
1997)
(
FRL
5754
7).
III.
Aggregate
Risk
Assessment
and
Determination
of
Safety
Consistent
with
section
408(
b)(
2)(
D)
of
the
FFDCA,
EPA
has
reviewed
the
available
scientific
data
and
other
relevant
information
in
support
of
this
action.
EPA
has
sufficient
data
to
assess
the
hazards
of
and
to
make
a
determination
on
aggregate
exposure,
consistent
with
section
408(
b)(
2)
of
the
FFDCA,
for
a
tolerance
for
combined
residues
of
thiamethoxam
and
its
metabolite
on
field
corn
forage
at
0.10
parts
per
million
(
ppm),
sweet
corn
forage
at
0.10
ppm,
popcorn
forage
at
0.10
ppm,
field
corn
stover
at
0.05
ppm,
sweet
corn
stover
at
0.05
ppm,
field
corn
grain
at
0.07
ppm
popcorn
grain
at
0.02
ppm,
and
sweet
corn
(
kernal
and
cob
with
husk
removed)
at
0.02
parts
per
million
(
ppm).
EPA's
assessment
of
exposures
and
risks
associated
with
establishing
the
tolerance
follows.
A.
Toxicological
Profile
EPA
has
evaluated
the
available
toxicity
data
and
considered
its
validity,
completeness,
and
reliability
as
well
as
the
relationship
of
the
results
of
the
studies
to
human
risk.
EPA
has
also
considered
available
information
concerning
the
variability
of
the
sensitivities
of
major
identifiable
subgroups
of
consumers,
including
infants
and
children.
The
nature
of
the
toxic
effects
caused
by
thiamethoxam
are
discussed
in
Table
1
of
this
unit
as
well
as
the
no
observed
adverse
effectlevel
(
NOAEL)
and
the
lowest
observedadverse
effect
level
(
LOAEL)
from
the
toxicity
studies
reviewed.
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Guideline
No.
Study
Type
Results
870.3100
90
day
oral
toxicity
rat
NOAEL
=
1.74
(
males),
92.5
(
females)
mg/
kg/
day
LOAEL
=
17.64
(
males),
182.1
(
females)
mg/
kg/
day
based
on
increased
incidence
of
hyaline
change
of
renal
tubular
epithelium
(
males),
fatty
change
in
adrenal
gland
of
females,
liver
changes
in
females,
all
at
the
LOAEL.
870.3100
90
Day
oral
toxicity
mouse
NOAEL
=
1.41
(
males),
19.2
(
females)
mg/
kg/
day
LOAEL
=
14.3
(
males),
231
(
females)
mg/
kg/
day
based
on
increased
incidence
of
hepatocellular
hypertrophy.
At
higher
dose
levels:
decrease
in
bodyweight
and
bodyweight
gain,
necrosis
of
individual
hepatocytes,
pigmentation
of
Kupffer
cells,
and
lymphocytic
infiltration
of
the
liver
in
both
sexes;
slight
hematologic
effects
and
decreased
absolute
and
relative
kidney
weights
in
males;
and
ovarian
atrophy,
decreased
ovary
and
spleen
weights
and
increased
liver
weights
in
females.
870.3150
90
oral
toxicity
dog
NOAEL
=
8.23
(
males),
9.27
(
females)
mg/
kg/
day
LOAEL
=
32.0
(
males),
33.9
(
females)
mg/
kg/
day
based
on
slightly
prolonged
prothrombin
times
and
decreased
plasma
albumin
and
A/
G
ratio
(
both
sexes);
decreased
calcium
levels
and
ovary
weights
and
delayed
maturation
in
the
ovaries
(
females);
decreased
cholesterol
and
phospholipid
levels,
testis
weights,
spermatogenesis,
and
spermatic
giant
cells
in
testes
(
males).
870.3200
28
dermal
toxicity
rat
NOAEL
=
250
(
males),
60
(
females)
mg/
kg/
day
LOAEL
=
1,000
(
males),
250
(
females)
mg/
kg/
day
based
on
increased
plasma
glucose,
triglyceride
levels,
and
alkaline
phosphatase
activity
and
inflammatory
cell
infiltration
in
the
liver
and
necrosis
of
single
hepatocytes
in
females
and
hyaline
change
in
renal
tubules
and
a
very
slight
reduction
in
body
weight
in
males.
At
higher
dose
levels
in
females,
chronic
tubular
lesions
in
the
kidneys
and
inflammatory
cell
infiltration
in
the
adrenal
cortex
were
observed.
870.3700
Prenatal
developmental
rat
Maternal
NOAEL
=
30
mg/
kg/
day
LOAEL
=
200
mg/
kg/
day
based
on
decreased
body
weight,
body
weight
gain,
and
food
consumption.
Developmental
NOAEL
=
200
mg/
kg/
day
LOAEL
=
750
mg/
kg/
day
based
on
decreased
fetal
body
weight
and
an
increased
incidence
of
skeletal
anomalies.
870.3700
Prenatal
developmental
rabbit
Maternal
NOAEL
=
50
mg/
kg/
day
LOAEL
=
150
mg/
kg/
day
based
on
maternal
deaths,
hemorrhagic
uterine
contents
and
hemorrhagic
discharge,
decreased
body
weight
and
food
intake
during
the
dosing
period.
Developmental
NOAEL
=
50
mg/
kg/
day
LOAEL
=
150
mg/
kg/
day
based
on
decreased
fetal
body
weights,
increased
incidence
of
post
implantation
loss
and
a
slight
increase
in
the
incidence
of
a
few
skeletal
anomalies/
variations.
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1,
2002
/
Rules
and
Regulations
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Continued
Guideline
No.
Study
Type
Results
870.3800
Reproduction
and
fertility
effects
rat
Parental/
Systemic
NOAEL
=
1.84
(
males),
202.06
(
females)
mg/
kg/
day
LOAEL
=
61.25
(
males),
not
determined
(
females)
mg/
kg/
day
based
on
increased
incidence
of
hyaline
change
in
renal
tubules
in
F0
and
F1
males.
Reproductive
NOAEL
=
0.61
(
males),
202.06
(
females)
mg/
kg/
day
LOAEL
=
1.84
(
males),
not
determined
(
females)
mg/
kg/
day
based
on
increased
incidence
and
severity
of
tubular
atrophy
observed
in
testes
of
the
F1
generation
males.
Offspring
NOAEL
=
61.25
(
males),
79.20
(
females)
mg/
kg/
day
LOAEL
=
158.32
(
males),
202.06
(
females)
mg/
kg/
day
based
on
reduced
body
weight
gain
during
the
lactation
period
in
all
litters
.
870.4100
Chronic
toxicity
dog
NOAEL
=
4.05
(
males),
4.49
(
females)
mg/
kg/
day
LOAEL
=
21.0
(
males),
24.6
(
females)
mg/
kg/
day
based
on
increase
in
creatinine
in
both
sexes,
transient
decrease
in
food
consumption
in
females,
and
occasional
increase
in
urea
levels,
decrease
in
ALT,
and
atrophy
of
seminiferous
tubules
in
males.
870.4200
Carcinogenicity
mouse
NOAEL
=
2.63
(
males),
3.68
(
females)
mg/
kg/
day
LOAEL
=
63.8
(
males),
87.6
(
females)
mg/
kg/
day
based
on
hepatocyte
hypertrophy,
single
cell
necrosis,
inflammatory
cell
infiltration
pigment
deposition,
foci
of
cellular
alteration,
hyperplasia
of
Kupffer
cells
and
increased
mitotic
activity;
also,
an
increase
in
the
incidence
of
hepatocellular
adenoma
(
both
sexes).
At
higher
doses,
there
was
an
increase
in
the
incidence
of
hepatocellular
adenocarcinoma
(
both
sexes)
and
the
number
of
animals
with
multiple
tumors
evidence
of
carcinogenicity
870.4300
Combined
chronic
carcinogenicity
rat
NOAEL
=
21.0
(
males),
50.3
(
females)
mg/
kg/
day
LOAEL
=
63.0
(
males),
155
(
females)
mg/
kg/
day
based
on
increased
incidence
of
lymphocytic
infiltration
of
the
renal
pelvis
and
chronic
nephropathy
in
males
and
decreased
body
weight
gain,
slight
increase
in
the
severity
of
hemosiderosis
of
the
spleen,
foci
of
cellular
alteration
in
liver
and
chronic
tubular
lesions
in
kidney
in
females
no
evidence
of
carcinogenicity
870.5100
870.5265
Gene
mutation
in
S.
typhimurium
and
E.
coli
No
evidence
of
gene
mutation
when
tested
up
to
5,000
µ
g/
plate.
There
was
no
evidence
of
cytotoxicity.
870.5265
Gene
mutation
in
S.
typhimurium
No
evidence
of
gene
mutation
when
tested
up
to
5,000
µ
g/
plate.
The
S9
fraction
was
from
non
induced
mouse
liver,
Aroclor
1254
induced
mouse
liver,
or
thiamethoxam
induced
mouse
liver,
following
dietary
administration
of
thiamethoxam
for
14
days
at
concentrations
up
to
2,500
ppm.
870.5300
Gene
mutation
in
chinese
hamster
V79
cells
at
HGPRT
locus
No
evidence
of
gene
mutation
when
tested
up
to
solubility
limit.
870.5375
CHO
cell
cytogenetics
No
evidence
of
chromosomal
aberrations
when
tested
up
to
cytotoxic
or
solubility
limit
concentrations.
870.5395
In
vivo
mouse
bone
marrow
micronucleus
Negative
when
tested
up
to
levels
of
toxicity
in
whole
animals;
however
no
evidence
of
target
cell
cytotoxicity.
870.
5550
UDS
assay
Negative
when
tested
up
to
precipitating
concentrations
870.6200
Acute
neurotoxicity
screening
battery
rat
NOAEL
=
100
mg/
kg/
day
LOAEL
=
500
mg/
kg/
day
based
on
drooped
palpebral
closure,
decrease
in
rectal
temperature
and
locomotor
activity
and
increase
in
forelimb
grip
strength
(
males
only).
At
higher
dose
levels,
mortality,
abnormal
body
tone,
ptosis,
impaired
respiration,
tremors,
longer
latency
to
first
step
in
the
open
field,
crouched
over
posture,
gait
impairment,
hypo
arousal,
decreased
number
of
rears,
uncoordinated
landing
during
the
righting
reflex
test,
slight
lacrimation
(
females
only)
and
higher
mean
average
input
stimulus
value
in
the
auditory
startle
response
test
(
males
only).
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212
/
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November
1,
2002
/
Rules
and
Regulations
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Continued
Guideline
No.
Study
Type
Results
870.6200
Subchronic
neurotoxicity
screening
battery
rat
NOAEL
=
95.4
(
males),
216.4
(
females)
mg/
kg/
day,
both
highest
dose
tested.
LOAEL
=
not
determined.
No
treatment
related
observations
at
any
dose
level.
LOAEL
was
not
achieved.
May
not
have
been
tested
at
sufficiently
high
dose
levels;
however,
new
study
not
required
because
the
weight
of
the
evidence
from
the
other
toxicity
studies
indicates
no
evidence
of
concern.
870.7485
Metabolism
and
pharmacokinetics
rat
Absorbed
rapidly
and
extensively,
widely
distributed,
followed
by
very
rapid
elimination,
mostly
in
urine.
Highest
tissue
concentrations
in
skeletal
muscle:
10
15%
of
administered
dose.
Half
life
times
from
tissues
ranged
from
2
6
hours.
Tissue
residues
after
7
days
extremely
low.
Approximately
84
95%
of
administered
dose
excreted
in
urine
and
2.5
6%
excreted
in
feces
within
24
hours.
Greater
than
0.2%
detected
in
expired
air.
Most
excreted
as
unchanged
parent:
70
80%
of
dose.
The
major
biotransformation
reaction
is
cleavage
of
oxadiazine
ring
to
corresponding
nitroguanidine
compound
Minor
pathways:
(
1)
cleavage
of
nitroguanidine
group
yielding
guanidine
derivative,
(
2)
hydrolysis
of
guanidine
group
to
corresponding
urea,
(
3)
demethylation
of
guanidine
group,
and
(
4)
substitution
of
the
chlorine
of
the
thiazole
ring
by
glutathione.
Cleavage
between
thiazole
and
oxadiazine
ring
occurs
to
a
small
extent.
Glutathione
derivatives
prone
to
further
degradation
of
the
glutathione
moiety
resulting
in
various
sulfur
containing
metabolites
(
e.
g.
mercapturates,
sulfides,
and
sulfoxides).
Both
the
thiazole
and
oxadiazine
moiety
susceptible
to
oxidative
attack.
Small
but
measurable
amounts
exhaled,
most
probably
as
CO2.
Metabolites
eliminated
very
rapidly.
Enterohepatic
circulation
negligible.
870.7485
Metabolism
and
pharmacokinetics
mouse
Approximately
72%
of
administered
dose
excreted
in
the
urine;
19%
excreted
in
feces.
Small
but
measurable
amount
detected
in
expired
air
(
approximately
0.2%
of
dose).
Predominant
metabolites:
unchanged
parent
(
33
41%
of
administered
dose;
2
other
metabolites:
8
12%
and
9
18%
of
administered
dose.
These
are
the
same
structures
that
were
most
commonly
observed
in
rat
excreta,
however
the
proportions
are
quite
different
in
mouse
excreta.
One
additional
significant
metabolite
(
mouse
R6)
was
isolated
from
feces
samples.
Between
30
60%
of
the
administered
dose
was
excreted
as
metabolites.
870.7600
Dermal
penetration
rat
Estimates
of
dermal
absorption
were
based
on
the
sum
of
radioactivity
in
skin
test
site,
urine,
feces,
blood,
and
carcass.
Percentage
dermal
absorption
is
27.0,
highest
mean
dermal
absorption
value
across
all
groups.
This
value
is
considered
to
represent
the
potential
cumulative
dermal
absorption
of
test
material
that
might
occur
after
a
10
hour
dermal
exposure.
As
the
study
design
did
not
permit
analysis
of
the
fate
of
skin
bound
residues,
residues
at
skin
site
were
included
in
determination
of
dermal
absorption.
Hepatic
cell
proliferation
study
mouse
NOAEL
=
16
(
males),
20
(
females)
mg/
kg/
day
LOAEL
=
72
(
males),
87
(
females)
mg/
kg/
day
based
on
proliferative
activity
of
hepatocytes.
At
higher
dose
levels,
increases
in
absolute
and
relative
liver
wts,
speckled
liver,
hepatocellular
glycogenesis/
fatty
change,
hepatocellular
necrosis,
apoptosis
and
pigmentation
were
observed.
Replicative
DNA
synthesis
in
28
day
feeding
study
male
rat
NOAEL
=
711
mg/
kg/
day
(
highest
dose
tested)
LOAEL
=
not
established.
Immunohistochemical
staining
of
liver
sections
from
control
and
high
dose
animals
for
proliferating
cell
nuclear
antigen
gave
no
indication
for
a
treatment
related
increase
in
the
fraction
of
DNA
synthesizing
hepatocytes
in
S
phase.
CGA
293343
did
not
stimulate
hepatocyte
cell
proliferation
in
male
rats.
Special
study
to
assess
liver
biochemistry
in
mouse
NOAEL
=
17
(
males),
20
(
females)
mg/
kg/
day
LOAEL
=
74
(
males),
92
(
females)
mg/
kg/
day
based
on
marginal
to
slight
increases
in
absolute
and
relative
liver
weights,
a
slight
increase
in
the
microsomal
protein
content
of
the
livers,
moderate
increases
in
the
cytochrome
P450
content,
slight
to
moderate
increases
in
the
activity
of
several
microsomal
enzymes,
slight
to
moderate
induction
of
cytosolic
glutathione
S
transferase
activity.
Treatment
did
not
affect
peroxisomal
fatty
acid
boxidation.
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Regulations
B.
Toxicological
Endpoints
The
dose
at
which
no
adverse
effects
are
observed
(
the
NOAEL)
from
the
toxicology
study
identified
as
appropriate
for
use
in
risk
assessment
is
used
to
estimate
the
toxicological
level
of
concern
(
LOC).
However,
the
lowest
dose
at
which
adverse
effects
of
concern
are
identified
(
the
LOAEL)
is
sometimes
used
for
risk
assessment
if
no
NOAEL
was
achieved
in
the
toxicology
study
selected.
An
uncertainty
factor
(
UF)
is
applied
to
reflect
uncertainties
inherent
in
the
extrapolation
from
laboratory
animal
data
to
humans
and
in
the
variations
in
sensitivity
among
members
of
the
human
population
as
well
as
other
unknowns.
An
UF
of
100
is
routinely
used,
10X
to
account
for
interspecies
differences
and
10X
for
intraspecies
differences.
For
dietary
risk
assessment
(
other
than
cancer)
the
Agency
uses
the
UF
to
calculate
an
acute
or
chronic
reference
dose
(
acute
RfD
or
chronic
RfD)
where
the
RfD
is
equal
to
the
NOAEL
divided
by
the
appropriate
UF
(
RfD
=
NOAEL/
UF).
Where
an
additional
safety
factors
(
SF)
is
retained
due
to
concerns
unique
to
the
FQPA,
this
additional
factor
is
applied
to
the
RfD
by
dividing
the
RfD
by
such
additional
factor.
The
acute
or
chronic
Population
Adjusted
Dose
(
aPAD
or
cPAD)
is
a
modification
of
the
RfD
to
accommodate
this
type
of
FQPA
SF.
For
non
dietary
risk
assessments
(
other
than
cancer)
the
UF
is
used
to
determine
the
LOC.
For
example,
when
100
is
the
appropriate
UF
(
10X
to
account
for
interspecies
differences
and
10X
for
intraspecies
differences)
the
LOC
is
100.
To
estimate
risk,
a
ratio
of
the
NOAEL
to
exposures
(
margin
of
exposure
(
MOE)
=
NOAEL/
exposure)
is
calculated
and
compared
to
the
LOC.
The
linear
default
risk
methodology
(
Q*)
is
the
primary
method
currently
used
by
the
Agency
to
quantify
carcinogenic
risk.
The
Q*
approach
assumes
that
any
amount
of
exposure
will
lead
to
some
degree
of
cancer
risk.
A
Q*
is
calculated
and
used
to
estimate
risk
which
represents
a
probability
of
occurrence
of
additional
cancer
cases
(
e.
g.,
risk
is
expressed
as
1
x
10
6
or
one
in
a
million).
Under
certain
specific
circumstances,
MOE
calculations
will
be
used
for
the
carcinogenic
risk
assessment.
In
this
non
linear
approach,
a
``
point
of
departure''
is
identified
below
which
carcinogenic
effects
are
not
expected.
The
point
of
departure
is
typically
a
NOAEL
based
on
an
endpoint
related
to
cancer
effects
though
it
may
be
a
different
value
derived
from
the
dose
response
curve.
To
estimate
risk,
a
ratio
of
the
point
of
departure
to
exposure
(
MOEcancer
=
point
of
departure/
exposures)
is
calculated.
A
summary
of
the
toxicological
endpoints
for
thiamethoxam
used
for
human
risk
assessment
is
shown
in
Table
2
of
this
unit:
TABLE
2.
SUMMARY
OF
TOXICOLOGICAL
DOSE
AND
ENDPOINTS
FOR
THIAMETHOXAM
FOR
USE
IN
HUMAN
RISK
ASSESSMENT
Exposure
Scenario
Dose
Used
in
Risk
Assessment
UF
FQPA
SF*
and
Level
of
Concern
for
Risk
Assessment
Study
and
Toxicological
Effects
Acute
Dietarygeneral
population
including
infants
and
children
NOAEL
=
100
mg/
kg/
day
UF
=
100
Acute
RfD
=
1
mg/
kg/
day
FQPA
SF
=
10
aPAD
=
acute
RfD/
FQPA
SF
=
0.1
mg/
kg/
day
Acute
mammalian
neurotoxicity
study
in
the
rat
LOAEL
=
500
mg/
kg/
day
based
on
treatment
related
neurobehavioral
effects
observed
in
the
FOB
and
LMA
testing
(
drooped
palpebral
closure,
decreased
rectal
temperature
and
locomotor
activity,
increased
forelimb
grip
strength)
Chronic
Dietary
all
populations
NOAEL=
0.6
mg/
kg/
day
UF
=
100
Chronic
RfD
=
0.006
mg/
kg/
day
FQPA
SF
=
10
cPAD
=
chronic
RfD/
FQPA
SF
=
0.0006
mg/
kg/
day
2
Generation
reproduction
study
LOAEL
=
1.8
mg/
kg/
day
based
on
increased
incidence
and
severity
of
tubular
atrophy
in
testes
of
F1
generation
males.
Oral
Nondietary
(
all
durations
NOAEL=
0.6
mg/
kg/
day
LOC
for
MOE
=
1,000
(
Residential)
2
Generation
reproduction
study
LOAEL
=
1.8
mg/
kg/
day
based
on
increased
incidence
and
severity
of
tubular
atrophy
in
testes
of
F1
generation
males.
Dermal
(
all
durations
Residential)
Oral
study
NOAEL=
0.6
mg/
kg/
day(
dermal
absorption
rate
=
27%)
LOC
for
MOE
=
1,000
(
Residential)
LOC
for
MOE
=
100
(
Occupational)
2
Generation
reproduction
study
LOAEL
=
1.8
mg/
kg/
day
based
on
increased
incidence
and
severity
of
tubular
atrophy
in
testes
of
F1
generation
males.
Inhalation
(
all
durations
Residential)
Oral
study
NOAEL=
0.6
mg/
kg/
day
(
inhalation
absorption
rate
=
100%)
LOC
for
MOE
=
1,000
(
Residential)
LOC
for
MOE
=
100
(
Occupational)
2
Generation
reproduction
study
LOAEL
=
1.8
mg/
kg/
day
based
on
increased
incidence
and
severity
of
tubular
atrophy
in
testes
of
F1
generation
males.
Cancer
(
oral,
dermal,
inhalation
Likely
carcinogen
for
humans
based
on
increased
incidence
of
hepatocellular
adenomas
and
carcinomas
in
male
and
female
mice.
Quantification
of
risk
based
on
most
potent
unit
risk:
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rate.
The
upper
bound
estimate
of
unit
risk,
Q1*
(
mg/
kg/
day)
1
is
3.77
x
10
2
in
human
equivalents.
*
The
reference
to
the
FQPA
SF
refers
to
any
additional
SF
retained
due
to
concerns
unique
to
the
FQPA.
C.
Exposure
Assessment
1.
Dietary
exposure
from
food
and
feed
uses.
Tolerances
have
been
established
(
40
CFR
180.565)
for
the
combined
residues
of
thiamethoxam
and
its
metabolite,
in
or
on
a
variety
of
raw
agricultural
commodities.
The
following
raw
agricultural
commodities
have
established
tolerances:
barley,
canola,
cotton,
sorghum,
wheat,
tuberous
and
corm
vegetables
crop
subgroup,
fruiting
vegetables,
crop
group,
tomato
paste,
cucurbit
vegetables
crop
group,
pome
fruits
crop
group,
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Regulations
milk
and
the
meat
and
meat
by
products
of
cattle,
goats,
horses,
and
sheep.
Risk
assessments
were
conducted
by
EPA
to
assess
dietary
exposures
from
thiamethoxam
in
food
as
follows:
i.
Acute
exposure.
Acute
dietary
risk
assessments
are
performed
for
a
fooduse
pesticide
if
a
toxicological
study
has
indicated
the
possibility
of
an
effect
of
concern
occurring
as
a
result
of
a
one
day
or
single
exposure.
The
Dietary
Exposure
Evaluation
Model
(
DEEM
)
analysis
evaluated
the
individual
food
consumption
as
reported
by
respondents
in
the
USDA
1994
1996
nationwide
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII)
and
accumulated
exposure
to
the
chemical
for
each
commodity.
The
following
assumptions
were
made
for
the
acute
exposure
assessments:
tolerence
level
residues
and
100%
crop
treated.
ii.
Chronic
exposure.
In
conducting
this
chronic
dietary
risk
assessment
the
Dietary
Exposure
Evaluation
Model
(
DEEM
)
analysis
evaluated
the
individual
food
consumption
as
reported
by
respondents
in
the
USDA
1994
1996
nationwide
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII)
and
accumulated
exposure
to
the
chemical
for
each
commodity.
The
following
assumptions
were
made
for
the
chronic
exposure
assessments:
percent
crop
treated
(
based
on
projected
market
shares)
and
anticipated
residues
(
tier
3).
iii.
Cancer.
The
dietary
exposure
for
determining
cancer
risk
is
based
on
the
chronic
exposure
explained
in
the
previous
paragraph
using
the
same
assumptions.
Section
408(
b)(
2)(
E)
of
the
FFDCA
authorizes
EPA
to
use
available
data
and
information
on
the
anticipated
residue
levels
of
pesticide
residues
in
food
and
the
actual
levels
of
pesticide
chemicals
that
have
been
measured
in
food.
If
EPA
relies
on
such
information,
EPA
must
require
that
data
be
provided
5
years
after
the
tolerance
is
established,
modified,
or
left
in
effect,
demonstrating
that
the
levels
in
food
are
not
above
the
levels
anticipated.
Following
the
initial
data
submission,
EPA
is
authorized
to
require
similar
data
on
a
time
frame
it
deems
appropriate.
As
required
by
section
408(
b)(
2)(
E)
of
the
FFDCA,
EPA
will
issue
a
data
call
in
for
information
relating
to
anticipated
residues
to
be
submitted
no
later
than
5
years
from
the
date
of
issuance
of
this
tolerance.
Section
408(
b)(
2)(
F)
of
the
FFDCA
states
that
the
Agency
may
use
data
on
the
actual
percent
of
food
treated
for
assessing
chronic
dietary
risk
only
if
the
Agency
can
make
the
following
findings:
Condition
1,
that
the
data
used
are
reliable
and
provide
a
valid
basis
to
show
what
percentage
of
the
food
derived
from
such
crop
is
likely
to
contain
such
pesticide
residue;
Condition
2,
that
the
exposure
estimate
does
not
underestimate
exposure
for
any
significant
subpopulation
group;
and
Condition
3,
if
data
are
available
on
pesticide
use
and
food
consumption
in
a
particular
area,
the
exposure
estimate
does
not
understate
exposure
for
the
population
in
such
area.
In
addition,
the
Agency
must
provide
for
periodic
evaluation
of
any
estimates
used.
To
provide
for
the
periodic
evaluation
of
the
estimate
of
PCT
as
required
by
section
408(
b)(
2)(
F)
of
the
FFDCA,
EPA
may
require
registrants
to
submit
data
on
PCT.
The
Agency
used
percent
crop
treated
(
PCT)
information
as
follows
in
Table
3.
TABLE
3.
THIAMETHOXAM
USES
AND
ESTIMATES
OF
PERCENT
CROP
TREATED
Crop
Percent
Crop
Treated
Tuberous
and
Corm
Vegetables
Crop
Subgroup
1
C
9
Fruiting
Vegetables
(
Except
Cucurbits
Crop
Group
8
15
Cucumbers
5
Melons
13
Casabas
44
Crenshaws
44
Squash
44
Pumpkin
44
Apples
5
Crabapples
53
Pears
9
Quinces
53
Loquats
53
Field,
corn
6
Pop,
sweet
corn
100
Since
the
May
23,
2001
Final
Rule
establishing
tolerances
for
thiamethoxam,
the
Agency
has
updated
the
percent
crop
treated
value
for
apples.
The
registrant
is
voluntarily
restricting
use
of
thiamethoxam
on
apples
to
only
three
states,
Michigan,
New
York
and
Pennsylvania.
These
three
states
account
for
28%
of
the
U.
S.
apple
production
(
122,000
out
of
430,200
bearing
acres).
After
consultation
with
experts
in
the
field,
EPA
believes
that
no
more
than
10%
of
the
apple
acreage
in
these
states
will
be
treated
with
thiamethoxam.
Thus,
using
a
percent
crop
treated
value
of
5%
for
the
U.
S.
apple
acreage
is
expected
to
be
an
over
estimate
of
the
acres
which
will
actually
be
treated
with
thiamethoxam.
The
Agency
used
6%
CT
for
field
corn
since
this
is
the
percent
crop
treated
value
for
the
market
leader.
Sweet
corn
exposure
estimates,
which
currently
make
up
the
bulk
of
the
exposure
for
the
cereal
grains,
assume
100%
crop
treated.
As
to
Conditions
2
and
3,
regional
consumption
information
and
consumption
information
for
significant
subpopulations
is
taken
into
account
through
EPA's
computer
based
model
for
evaluating
the
exposure
of
significant
subpopulations
including
several
regional
groups.
Use
of
this
consumption
information
in
EPA's
risk
assessment
process
ensures
that
EPA's
exposure
estimate
does
not
understate
exposure
for
any
significant
subpopulation
group
and
regional
populations.
2.
Dietary
exposure
from
drinking
water.
The
Agency
lacks
sufficient
monitoring
exposure
data
to
complete
a
comprehensive
dietary
exposure
analysis
and
risk
assessment
for
thiamethoxam
in
drinking
water.
Because
the
Agency
does
not
have
comprehensive
monitoring
data,
drinking
water
concentration
estimates
are
made
by
reliance
on
simulation
or
modeling
taking
into
account
data
on
the
physical
characteristics
of
thiamethoxam.
The
Agency
uses
the
Generic
Estimated
Environmental
Concentration
(
GENEEC)
or
the
Pesticide
Root
Zone/
Exposure
Analysis
Modeling
System
(
PRZM/
EXAMS)
to
estimate
pesticide
concentrations
in
surface
water
and
SCIGROW
which
predicts
pesticide
concentrations
in
groundwater.
In
general,
EPA
will
use
GENEEC
(
a
tier
1
model)
before
using
PRZM/
EXAMS
(
a
tier
2
model)
for
a
screening
level
assessment
for
surface
water.
The
GENEEC
model
is
a
subset
of
the
PRZM/
EXAMS
model
that
uses
a
specific
highend
runoff
scenario
for
pesticides.
GENEEC
incorporates
a
farm
pond
scenario,
while
PRZM/
EXAMS
incorporate
an
index
reservoir
environment
in
place
of
the
previous
pond
scenario.
The
PRZM/
EXAMS
model
includes
a
percent
crop
area
factor
as
an
adjustment
to
account
for
the
maximum
percent
crop
coverage
within
a
watershed
or
drainage
basin.
None
of
these
models
include
consideration
of
the
impact
processing
(
mixing,
dilution,
or
treatment)
of
raw
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water
for
distribution
as
drinking
water
would
likely
have
on
the
removal
of
pesticides
from
the
source
water.
The
primary
use
of
these
models
by
the
Agency
at
this
stage
is
to
provide
a
coarse
screen
for
sorting
out
pesticides
for
which
it
is
highly
unlikely
that
drinking
water
concentrations
would
ever
exceed
human
health
levels
of
concern.
Since
the
models
used
are
considered
to
be
screening
tools
in
the
risk
assessment
process,
the
Agency
does
not
use
estimated
environmental
concentrations
(
EECs)
from
these
models
to
quantify
drinking
water
exposure
and
risk
as
a
%
RfD
or
%
PAD.
Instead,
drinking
water
levels
of
comparison
(
DWLOCs)
are
calculated
and
used
as
a
point
of
comparison
against
the
model
estimates
of
a
pesticide's
concentration
in
water.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food,
and
from
residential
uses.
Since
DWLOCs
address
total
aggregate
exposure
to
thiamethoxam
they
are
further
discussed
in
the
aggregate
risk
sections
below.
Based
on
the
PRZM/
EXAMS
and
SCIGROW
models
the
estimated
environmental
concentrations
(
EECs)
of
thiamethoxam
for
acute
exposures
are
estimated
to
be
11.4
parts
per
billion
(
ppb)
for
surface
water
and
1.94
ppb
for
ground
water.
The
EECs
for
chronic
exposures
are
estimated
to
be
0.77
ppb
for
surface
water,
and
1.94
ppb
for
ground
water.
3.
From
non
dietary
exposure.
The
term
``
residential
exposure''
is
used
in
this
document
to
refer
to
nonoccupational
non
dietary
exposure
(
e.
g.,
for
lawn
and
garden
pest
control,
indoor
pest
control,
termiticides,
and
flea
and
tick
control
on
pets).
Thiamethoxam
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
Although
such
uses
have
been
requested,
they
are
not
being
assessed
at
this
time.
4.
Cumulative
exposure
to
substances
with
a
common
mechanism
of
toxicity.
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
``
available
information''
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
``
other
substances
that
have
a
common
mechanism
of
toxicity.''
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
thiamethoxam
has
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
Unlike
other
pesticides
for
which
EPA
has
followed
a
cumulative
risk
approach
based
on
a
common
mechanism
of
toxicity,
thiamethoxam
does
not
appear
to
produce
a
toxic
metabolite
produced
by
other
substances.
For
the
purposes
of
this
tolerance
action,
therefore,
EPA
has
not
assumed
that
thiamethoxam
has
a
common
mechanism
of
toxicity
with
other
substances.
For
information
regarding
EPA's
efforts
to
determine
which
chemicals
have
a
common
mechanism
of
toxicity
and
to
evaluate
the
cumulative
effects
of
such
chemicals,
see
the
final
rule
for
Bifenthrin
Pesticide
Tolerances
(
62
FR
62961,
November
26,
1997).
D.
Safety
Factor
for
Infants
and
Children
1.
Safety
factor
for
infants
and
children
i.
In
general.
FFDCA
section
408
provides
that
EPA
shall
apply
an
additional
tenfold
margin
of
safety
for
infants
and
children
in
the
case
of
threshold
effects
to
account
for
prenatal
and
postnatal
toxicity
and
the
completeness
of
the
database
on
toxicity
and
exposure
unless
EPA
determines
that
a
different
margin
of
safety
will
be
safe
for
infants
and
children.
Margins
of
safety
are
incorporated
into
EPA
risk
assessments
either
directly
through
use
of
a
margin
of
exposure
(
MOE)
analysis
or
through
using
uncertainty
(
safety)
factors
in
calculating
a
dose
level
that
poses
no
appreciable
risk
to
humans.
ii.
Prenatal
and
postnatal
sensitivity.
The
developmental
toxicity
studies
indicated
no
quantitative
or
qualitative
evidence
of
increased
susceptibility
of
rat
or
rabbit
fetus
to
in
utero
exposure
based
on
the
fact
that
the
developmental
NOAELs
are
either
higher
than
or
equal
to
the
maternal
NOAELs.
However,
the
reproductive
studies
indicate
effects
in
male
rats
in
the
form
of
increased
incidence
and
severity
of
testicular
tubular
atrophy.
These
data
are
considered
to
be
evidence
of
increased
quantitative
susceptibility
for
male
pups
when
compared
to
the
parents.
iii.
Conclusion.
Based
on:
a.
Effects
on
endocrine
organs
observed
across
species.
b.
The
significant
decrease
in
alanine
amino
transferase
levels
in
the
companion
animal
studies
and
in
the
dog
studies.
c.
The
mode
of
action
of
this
chemical
in
insects
(
interferes
with
the
nicotinic
acetyl
choline
receptors
of
the
insect's
nervous
system)
thus
a
developmental
neurotoxicity
study
is
required.
d.
The
transient
clinical
signs
of
neurotoxicity
in
several
studies
across
species.
e.
The
suggestive
evidence
of
increased
quantitative
susceptibility
in
the
rat
reproduction
study,
the
Agency
is
retaining
the
FQPA
factor
which
is
l0X.
E.
Aggregate
Risks
and
Determination
of
Safety
To
estimate
total
aggregate
exposure
to
a
pesticide
from
food,
drinking
water,
and
residential
uses,
the
Agency
calculates
DWLOCs
which
are
used
as
a
point
of
comparison
against
the
model
estimates
of
a
pesticide's
concentration
in
water
(
EECs).
DWLOC
values
are
not
regulatory
standards
for
drinking
water.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food
and
residential
uses.
In
calculating
a
DWLOC,
the
Agency
determines
how
much
of
the
acceptable
exposure
(
i.
e.,
the
PAD)
is
available
for
exposure
through
drinking
water
[
e.
g.,
allowable
chronic
water
exposure
(
mg/
kg/
day)
=
cPAD
(
average
food
+
residential
exposure)].
This
allowable
exposure
through
drinking
water
is
used
to
calculate
a
DWLOC.
A
DWLOC
will
vary
depending
on
the
toxic
endpoint,
drinking
water
consumption,
and
body
weights.
Default
body
weights
and
consumption
values
as
used
by
the
EPA
are
used
to
calculate
DWLOCs:
2L/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female),
and
1L/
10
kg
(
child).
Default
body
weights
and
drinking
water
consumption
values
vary
on
an
individual
basis.
This
variation
will
be
taken
into
account
in
more
refined
screening
level
and
quantitative
drinking
water
exposure
assessments.
Different
populations
will
have
different
DWLOCs.
Generally,
a
DWLOC
is
calculated
for
each
type
of
risk
assessment
used:
acute,
short
term,
intermediate
term,
chronic,
and
cancer.
When
EECs
for
surface
water
and
groundwater
are
less
than
the
calculated
DWLOCs,
EPA
concludes
with
reasonable
certainty
that
exposures
to
the
pesticide
in
drinking
water
(
when
considered
along
with
other
sources
of
exposure
for
which
EPA
has
reliable
data)
would
not
result
in
unacceptable
levels
of
aggregate
human
health
risk
at
this
time.
Because
EPA
considers
the
aggregate
risk
resulting
from
multiple
exposure
pathways
associated
with
a
pesticide's
uses,
levels
of
comparison
in
drinking
water
may
vary
as
those
uses
change.
If
new
uses
are
added
in
the
future,
EPA
will
reassess
the
potential
impacts
of
residues
of
the
pesticide
in
drinking
water
as
a
part
of
the
aggregate
risk
assessment
process.
1.
Acute
risk.
Using
the
exposure
assumptions
discussed
in
this
unit
for
acute
exposure,
the
acute
dietary
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exposure
from
food
to
thiamethoxam
will
occupy
3%
of
the
aPAD
for
the
U.
S.
population,
2%
of
the
aPAD
for
females
13
49
years
old,
7%
of
the
aPAD
for
all
infants
less
than
1
year
old
and
9%
of
the
aPAD
for
children
1
2
years
old.
In
addition,
there
is
potential
for
acute
dietary
exposure
to
thiamethoxam
in
drinking
water.
The
surface
water
EEC
is
11.4
µ
g/
L
and
the
ground
water
EEC
is
1.94
µ
g/
L.
Since
the
surface
water
value
is
greater
than
the
ground
water
value,
the
surface
water
value
will
be
used
for
comparison
purposes
and
will
protect
for
any
concerns
for
ground
water
concentrations.
After
calculating
DWLOCs
and
comparing
them
to
the
EECs
for
surface
water,
EPA
does
not
expect
the
aggregate
exposure
to
exceed
100%
of
the
aPAD.
TABLE
4.
AGGREGATE
RISK
ASSESSMENT
FOR
ACUTE
EXPOSURE
TO
THIAMETHOXAM
Population
Subgroup
aPAD,
mg/
kg/
day
%
aPAD
(
Food)
Ground
Water
EEC,
µ
g/
L
Surface
Water
EEC,
µ
g/
L
DWLOC,
µ
g/
L
U.
S.
Population
0.1
3
1.94
11.4
3,400
All
Infants
(
0
1
yr)
0.1
7
1.94
11.4
930
Children
(
1
2
yr)
0.1
9
1.94
11.4
910
Children
(
3
5
yr)
0.1
7
1.94
11.4
940
Children
(
6
12
yr)
0.1
4
1.94
11.4
960
Youth
(
13
19
yr)
0.1
2
1.94
11.4
980
Adult
(
20
49
yr)
0.1
2
1.94
11.4
3,400
Adult
(
50+
yr)
0.1
2
1.94
11.4
3,400
Females
(
13
49
yr)
0.1
2
1.94
11.4
2,900
a
Population
subgroups
shown
include
the
U.
S.
general
population
and
the
maximally
exposed
subpopulation
of
adults,
infants
and
children,
and
women
of
child
bearing
age
for
each
exposure
scenario.
b
DWLOC
=
Maximum
Water
Exposure
(
mg/
kg/
day)
H
1,000
µ
g/
mg
body
weight
(
70
kg
general
population/
males
13+,
60
kg
females
13+,
10
kg
infants
and
children)
Water
Consumption
(
2
L/
day
adults,
1
L/
day
infants
and
children).
Maximum
water
exposure
=
aPAD
dietary
exposure
(
mg/
kg/
day)
2.
Chronic
risk.
Using
the
exposure
assumptions
described
in
this
unit
for
chronic
exposure,
EPA
has
concluded
that
exposure
to
thiamethoxam
from
food
will
utilize
5%
of
the
cPAD
for
the
U.
S.
population,
13%
of
the
cPAD
for
all
infants
<
1
year
old
and
19%
of
the
cPAD
for
children
1
2
years
old.
Proposed
residential
uses
are
not
being
addressed
in
this
risk
assessment.
In
addition
to
chronic
dietary
exposure,
there
is
potential
for
chronic
dietary
exposure
to
thiamethoxam
in
drinking
water.
The
surface
water
EEC
is
0.6
µ
g/
L
and
the
groundwater
EEC
is
1.94
µ
g/
L.
Since
the
groundwater
value
is
greater
than
the
surface
water
value,
the
groundwater
value
will
be
used
for
comparison
purposes
and
will
protect
for
any
concerns
for
surface
water
concentrations.
After
calculating
the
DWLOCs
and
comparing
them
to
the
EECs
for
groundwater,
EPA
does
not
expect
the
aggregate
exposure
to
exceed
100%
of
the
cPAD.
TABLE
5.
AGGREGATE
RISK
ASSESSMENT
FOR
CHRONIC
(
NON
CANCER)
EXPOSURE
TO
THIAMETHOXAM
Population
Subgroup
cPAD,
mg/
kg/
day
%
cPAD
(
Food)
Surface
Water
EEC,
µ
g/
L
Ground
Water
EEC,
µ
g/
L
DWLOC
µ
g/
L
U.
S.
Population
0.0006
5
0.77
1.9
20
All
Infants
(
0
1
yr)
0.0006
13
0.77
1.9
5.3
Children
(
1
2
yr)
0.0006
19
0.77
1.9
4.9
Children
(
3
5
yr)
0.0006
14
0.77
1.9
5.2
Children
(
6
12
yr)
0.0006
7
0.77
1.9
5.6
Youth
(
13
19
yr)
0.0006
4
0.77
1.9
5.8
Adult
(
20
49
yr)
0.0006
4
0.77
1.9
20
Adult
(
50+
yr)
0.0006
4
0.77
1.9
20
Females
(
13
49
yr)
0.0006
4
0.77
1.9
17
3.
Short
term
risk.
Short
term
aggregate
exposure
takes
into
account
residential
exposure
plus
chronic
exposure
to
food
and
water
(
considered
to
be
a
background
exposure
level).
Thiamethoxam
is
not
registered
for
use
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on
any
sites
that
would
result
in
residential
exposure.
Therefore,
the
aggregate
risk
is
the
sum
of
the
risk
from
food
and
water,
which
does
not
exceed
the
Agency's
level
of
concern.
4.
Intermediate
term
risk.
Intermediate
term
aggregate
exposure
takes
into
account
residential
exposure
plus
chronic
exposure
to
food
and
water
(
considered
to
be
a
background
exposure
level).
Thiamethoxam
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
Therefore,
the
aggregate
risk
is
the
sum
of
the
risk
from
food
and
water,
which
does
not
exceed
the
Agency's
level
of
concern.
5.
Aggregate
cancer
risk
for
U.
S.
population.
The
cancer
aggregate
dietary
risk
estimate
was
calculated,
using
the
Agency's
6%
estimated
market
share
for
treatment
of
field
corn.
The
dietary
cancer
risk
from
residues
in
food
is
0.9
x
10
6.
For
risk
management
purposes,
EPA
considers
a
cancer
risk
to
be
greater
than
negligible
when
it
exceeds
the
range
of
1
in
1
million.
EPA
has
generally
treated
cancer
risks
up
to
3
in
1
million
as
within
the
range
of
1
in
1
million.
The
DWLOC
for
cancer
aggregate
risk
(
no
residential
uses)
is
calculated
using
the
following
equations:
DWLOCcancer(
µ
g/
L)
=
[
chronic
water
exposure(
mg/
kg/
day)
x
(
body
weight
(
kg))]
÷
[
consumption
(
L)
x
10
3
mg/
µ
g]
chronic
water
exposure
(
mg/
kg/
day)=
negligible
risk
÷
Q*
[(
chronic
food
exposure)(
mg/
kg/
day)]
Assuming
that
the
negligible
risk
value
could
be
as
high
as
3
x
10
6
,
the
chronic
water
exposure
value
is
estimated
to
be:
3
x
10
6
÷
3.77
x
10
2
0.0000245
=
0.0000551
mg/
kg/
day
The
DWLOCcancer
=
0.0000551
mg/
kg/
day
x
70
kg
÷
2L
x
10
3
mg/
µ
g
=
1.9
µ
g/
L
The
surface
water
EEC
is
0.6
µ
g/
L
and
the
ground
water
EEC
is
1.9
µ
g/
L.
Since
the
ground
water
value
is
greater
than,
the
surface
water
value
it
will
be
used
for
comparison
purposes
and
will
protect
for
any
concerns
for
surface
water
concentrations.
The
estimated
chronic
ground
water
value
for
thiamethoxam
(
1.9
µ
g/
L)
is
essentially
at
the
DWLOCcancer
level
for
the
general
population
using
the
6%
market
share
for
treated
field,
corn
seed.
The
Agency
used
a
screening
level
model
designed
to
estimate
pesticide
concentrations
in
shallow
ground
water.
A
number
of
factors
lead
EPA
to
believe
that
the
actual
lifetime
exposure
through
drinking
water
will
be
less
than
the
DWLOCcancer.
These
reasons
are
as
follows:
a.
Thiamethoxam
is
systemic.
EPA's
Tier
1
ground
water
model
assumes
that
all
of
the
product
that
is
applied
to
the
crop
is
available
for
runoff.
The
registrant
has
submitted
data
to
show
that
a
percentage
(
15
25%)
of
the
product
is
absorbed
by
the
plant,
resulting
in
that
much
less
product
available
to
leach
into
ground
water.
Although
the
registrant
has
submitted
data
on
only
2
crops,
beans
and
cucumbers,
it
is
likely
that
the
total
amount
of
thiamethoxam
that
is
available
to
leach
into
ground
water
is
less
than
the
amount
EPA
uses
as
an
input
into
its
model.
Due
to
limited
data
on
the
amount
absorbed,
EPA
is
unable
to
quantify
this.
b.
Although
the
Agency
model
is
based
on
aerobic
soil
half
lives,
EPA's
risk
assessment
for
cancer
estimate
is
for
lifetime
exposure.
Data
indicate
the
anaerobic
aquatic
half
life
for
thiamethoxam
is
shorter
than
the
aerobic
soil
half
life
and
longer
than
the
aerobic
aquatic
half
life.
Although
EPA
is
unable
to
predict
with
a
high
degree
of
certainty
about
what
happens
to
thiamethoxam
over
time
in
ground
water,
this
does
provide
some
support
for
an
expectation
that
concentrations
in
ground
water
will
decline
between
annual
applications.
c.
Shallow
ground
water
modeling
is
not
the
perfect
model
for
representing
all
drinking
water
from
ground
water
sources.
It
is
likely
to
be
an
overestimate
of
most
drinking
water,
which
tends
to
originate
from
deeper
sources.
EPA's
experience
is
that
the
model
is
reasonably
accurate
for
shallow
drinking
water,
but
the
Agency
believes
that
it
is
less
accurate
for
drinking
water
from
deeper
sources.
d.
The
Agency
has
established
conditions
of
registration
for
the
previous
uses
which
include
two
prospective
ground
water
studies
and
a
retrospective
monitoring
study,
so
that
the
reasonable
certainty
of
no
harm
finding
will
be
sustained.
Preliminary
results
have
indicated
no
detections
of
thiamethoxam
in
ground
water.
e.
The
cancer
risk
from
the
food
uses
alone
is
0.9
x
10
6.
The
dietary
risk
is
based
on
residue
data
derived
from
the
average
of
field
trials,
which
were
performed
at
a
higher
applied
on
rate
than
were
accepted
by
the
EPA.
It
is
not
unusual
in
the
Agency's
experience
for
field
trial
data
to
be
an
order
of
magnitude
above
actual
monitoring.
Since
thiamethoxam
has
only
recently
been
registered,
actual
monitoring
data
is
not
yet
available.
It
is
likely
that
the
actual
risk
contribution
from
food
will
be
much
lower
than
current
data
indicate,
which
would
result
in
a
larger
DWLOCcancer.
EPA
expects
that
this
refined
DWLOCcancer
would
be
larger
than
the
EECs
for
the
proposed
uses.
It
should
be
noted
that
there
are
no
detectable
residues
in
the
subject
corn
commodities.
Thus,
EPA
does
not
expect
that
the
general
population
would
be
exposed
to
levels
exceeding
the
DWLOCcancer
over
a
lifetime.
6.
Determination
of
safety.
Based
on
these
risk
assessments,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
thiamethoxam
residues.
A.
Analytical
Enforcement
Methodology
Adequate
enforcement
methodology
High
Performance
Liquid
Chromatography
using
ultra
violet
or
mass
spectrometry
(
HPLC/
UV
or
MS)
is
available
to
enforce
the
tolerance
expression.
The
method
may
be
requested
from:
Calvin
Furlow,
PIRIB,
IRSD
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW,
Washington,
DC
20460;
telephone
number:
(
703)
305
5229;
e
mail
address:
furlow.
calvin@
epa.
gov.
B.
International
Residue
Limits
There
are
no
international
residue
limits
for
thiamethoxam.
V.
Conclusion
Therefore,
the
tolerances
are
established
for
combined
residues
of
thiamethoxam,
3[(
2
chloro
5
thiazolyl)
methyl]
tetrahydro
5
methyl
Nnitro
4H
1,3,5
oxadiazin
4
imine
and
its
metabolite
N(
2
chloro
thiazol
5
ylmethyl)
N
methyl
nitro
guanidine,
in
or
on
field
corn
forage
at
0.10
ppm,
sweet
corn
forage
at
0.10
ppm,
popcorn
forage
at
0.10
ppm,
field
corn
stover
at
0.05
ppm,
sweet
corn
stover
at
0.05
ppm,
field
corn
grain
at
0.07
ppm,
popcorn
grain
at
0.02
ppm,
and
sweet
corn
(
kernal
and
cob
with
husk
removed)
at
0.02
ppm.
VI.
Objections
and
Hearing
Requests
Under
section
408(
g)
of
the
FFDCA,
as
amended
by
the
FQPA,
any
person
may
file
an
objection
to
any
aspect
of
this
regulation
and
may
also
request
a
hearing
on
those
objections.
The
EPA
procedural
regulations
which
govern
the
submission
of
objections
and
requests
for
hearings
appear
in
40
CFR
part
178.
Although
the
procedures
in
those
regulations
require
some
modification
to
reflect
the
amendments
made
to
the
FFDCA
by
the
FQPA,
EPA
will
continue
to
use
those
procedures,
with
appropriate
adjustments,
until
the
necessary
modifications
can
be
made.
The
new
section
408(
g)
of
the
FFDCA
provides
essentially
the
same
process
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/
Friday,
November
1,
2002
/
Rules
and
Regulations
for
persons
to
``
object''
to
a
regulation
for
an
exemption
from
the
requirement
of
a
tolerance
issued
by
EPA
under
new
section
408(
d)
of
FFDCA,
as
was
provided
in
the
old
sections
408
and
409
of
the
FFDCA.
However,
the
period
for
filing
objections
is
now
60
days,
rather
than
30
days.
A.
What
Do
I
Need
to
Do
to
File
an
Objection
or
Request
a
Hearing?
You
must
file
your
objection
or
request
a
hearing
on
this
regulation
in
accordance
with
the
instructions
provided
in
this
unit
and
in
40
CFR
part
178.
To
ensure
proper
receipt
by
EPA,
you
must
identify
docket
ID
number
OPP
2002
0298
in
the
subject
line
on
the
first
page
of
your
submission.
All
requests
must
be
in
writing,
and
must
be
mailed
or
delivered
to
the
Hearing
Clerk
on
or
before
December
31,
2002.
1.
Filing
the
request.
Your
objection
must
specify
the
specific
provisions
in
the
regulation
that
you
object
to,
and
the
grounds
for
the
objections
(
40
CFR
178.25).
If
a
hearing
is
requested,
the
objections
must
include
a
statement
of
the
factual
issues(
s)
on
which
a
hearing
is
requested,
the
requestor's
contentions
on
such
issues,
and
a
summary
of
any
evidence
relied
upon
by
the
objector
(
40
CFR
178.27).
Information
submitted
in
connection
with
an
objection
or
hearing
request
may
be
claimed
confidential
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
A
copy
of
the
information
that
does
not
contain
CBI
must
be
submitted
for
inclusion
in
the
public
record.
Information
not
marked
confidential
may
be
disclosed
publicly
by
EPA
without
prior
notice.
Mail
your
written
request
to:
Office
of
the
Hearing
Clerk
(
1900C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
You
may
also
deliver
your
request
to
the
Office
of
the
Hearing
Clerk
in
Rm.
104,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
The
Office
of
the
Hearing
Clerk
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Office
of
the
Hearing
Clerk
is
(
703)
603
0061.
2.
Tolerance
fee
payment.
If
you
file
an
objection
or
request
a
hearing,
you
must
also
pay
the
fee
prescribed
by
40
CFR
180.33(
i)
or
request
a
waiver
of
that
fee
pursuant
to
40
CFR
180.33(
m).
You
must
mail
the
fee
to:
EPA
Headquarters
Accounting
Operations
Branch,
Office
of
Pesticide
Programs,
P.
O.
Box
360277M,
Pittsburgh,
PA
15251.
Please
identify
the
fee
submission
by
labeling
it
``
Tolerance
Petition
Fees.''
EPA
is
authorized
to
waive
any
fee
requirement
``
when
in
the
judgement
of
the
Administrator
such
a
waiver
or
refund
is
equitable
and
not
contrary
to
the
purpose
of
this
subsection.''
For
additional
information
regarding
the
waiver
of
these
fees,
you
may
contact
James
Tompkins
by
phone
at
(
703)
305
5697,
by
e
mail
at
tompkins.
jim@
epa.
gov,
or
by
mailing
a
request
for
information
to
Mr.
Tompkins
at
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
If
you
would
like
to
request
a
waiver
of
the
tolerance
objection
fees,
you
must
mail
your
request
for
such
a
waiver
to:
James
Hollins,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
3.
Copies
for
the
Docket.
In
addition
to
filing
an
objection
or
hearing
request
with
the
Hearing
Clerk
as
described
in
Unit
VI.
A.,
you
should
also
send
a
copy
of
your
request
to
the
PIRIB
for
its
inclusion
in
the
official
record
that
is
described
in
Unit
I.
B.
1.
Mail
your
copies,
identified
by
docket
ID
number
OPP
2002
0298,
to:
Public
Information
and
Records
Integrity
Branch,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
In
person
or
by
courier,
bring
a
copy
to
the
location
of
the
PIRIB
described
in
Unit
I.
B.
1.
You
may
also
send
an
electronic
copy
of
your
request
via
e
mail
to:
oppdocket
epa.
gov.
Please
use
an
ASCII
file
format
and
avoid
the
use
of
special
characters
and
any
form
of
encryption.
Copies
of
electronic
objections
and
hearing
requests
will
also
be
accepted
on
disks
in
WordPerfect
6.1/
8.0
or
ASCII
file
format.
Do
not
include
any
CBI
in
your
electronic
copy.
You
may
also
submit
an
electronic
copy
of
your
request
at
many
Federal
Depository
Libraries.
B.
When
Will
the
Agency
Grant
a
Request
for
a
Hearing?
A
request
for
a
hearing
will
be
granted
if
the
Administrator
determines
that
the
material
submitted
shows
the
following:
There
is
a
genuine
and
substantial
issue
of
fact;
there
is
a
reasonable
possibility
that
available
evidence
identified
by
the
requestor
would,
if
established
resolve
one
or
more
of
such
issues
in
favor
of
the
requestor,
taking
into
account
uncontested
claims
or
facts
to
the
contrary;
and
resolution
of
the
factual
issues(
s)
in
the
manner
sought
by
the
requestor
would
be
adequate
to
justify
the
action
requested
(
40
CFR
178.32).
VII.
Regulatory
Assessment
Requirements
This
final
rule
establishes
a
tolerance
under
section
408(
d)
of
the
FFDCA
in
response
to
a
petition
submitted
to
the
Agency.
The
Office
of
Management
and
Budget
(
OMB)
has
exempted
these
types
of
actions
from
review
under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(
58
FR
51735,
October
4,
1993).
Because
this
rule
has
been
exempted
from
review
under
Executive
Order
12866
due
to
its
lack
of
significance,
this
rule
is
not
subject
to
Executive
Order
13211,
Actions
Concerning
Regulations
That
Significantly
Affect
Energy
Supply,
Distribution,
or
Use
(
66
FR
28355,
May
22,
2001).
This
final
rule
does
not
contain
any
information
collections
subject
to
OMB
approval
under
the
Paperwork
Reduction
Act
(
PRA),
44
U.
S.
C.
3501
et
seq.,
or
impose
any
enforceable
duty
or
contain
any
unfunded
mandate
as
described
under
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(
UMRA)
(
Public
Law
104
4).
Nor
does
it
require
any
special
considerations
under
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(
59
FR
7629,
February
16,
1994);
or
OMB
review
or
any
Agency
action
under
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(
62
FR
19885,
April
23,
1997).
This
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
NTTAA),
Public
Law
104
113,
section
12(
d)
(
15
U.
S.
C.
272
note).
Since
tolerances
and
exemptions
that
are
established
on
the
basis
of
a
petition
under
section
408(
d)
of
the
FFDCA,
such
as
the
tolerance
in
this
final
rule,
do
not
require
the
issuance
of
a
proposed
rule,
the
requirements
of
the
Regulatory
Flexibility
Act
(
RFA)
(
5
U.
S.
C.
601
et
seq.)
do
not
apply.
In
addition,
the
Agency
has
determined
that
this
action
will
not
have
a
substantial
direct
effect
on
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132,
entitled
Federalism(
64
FR
43255,
August
10,
1999).
Executive
Order
13132
requires
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1,
2002
/
Rules
and
Regulations
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.''
``
Policies
that
have
federalism
implications''
is
defined
in
the
Executive
order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.''
This
final
rule
directly
regulates
growers,
food
processors,
food
handlers
and
food
retailers,
not
States.
This
action
does
not
alter
the
relationships
or
distribution
of
power
and
responsibilities
established
by
Congress
in
the
preemption
provisions
of
section
408(
n)(
4)
of
the
FFDCA.
For
these
same
reasons,
the
Agency
has
determined
that
this
rule
does
not
have
any
``
tribal
implications''
as
described
in
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(
65
FR
67249,
November
6,
2000).
Executive
Order
13175,
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
tribal
officials
in
the
development
of
regulatory
policies
that
have
tribal
implications.''
``
Policies
that
have
tribal
implications''
is
defined
in
the
Executive
order
to
include
regulations
that
have
``
substantial
direct
effects
on
one
or
more
Indian
tribes,
on
the
relationship
between
the
Federal
Government
and
the
Indian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes.''
This
rule
will
not
have
substantial
direct
effects
on
tribal
governments,
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,
as
specified
in
Executive
Order
13175.
Thus,
Executive
Order
13175
does
not
apply
to
this
rule.
VIII.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
this
final
rule
in
the
Federal
Register.
This
final
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
180
Environmental
protection,
Administrative
practice
and
procedure,
Agricultural
commodities,
Pesticide
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
October
24,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Therefore,
40
CFR
chapter
I
is
amended
as
follows:
PART
180
[
AMENDED]
1.
The
authority
citation
for
part
180
continues
to
read
as
follows:
Authority:
21
U.
S.
C.
321(
q),
346(
a)
and
371.
2.
Section
180.565
is
amended
by
alphabetically
adding
commodities
to
the
table
in
paragraph
(
a)
to
read
as
follows:
§
180.565
Thiamethoxam;
tolerances
for
residues.
(
a)
*
*
*
Commodity
Parts
per
million
*
*
*
*
*
Corn,
field,
forage
.....................
0.10
Corn,
pop,
forage
.....................
0.10
Corn,
sweet,
forage
..................
0.10
Corn,
field,
grain
.......................
0.020
Corn,
pop,
grain
........................
0.02
Corn,
field,
stover
.....................
0.05
Corn
pop,
stover
.......................
0.05
Corn,
sweet,
stover
..................
0.05
Corn,
sweet,
kernal
plus
cob
with
husks
removed
..............
0.02
*
*
*
*
*
*
*
*
*
*
[
FR
Doc.
02
27830
Filed
10
31
02;
8:
45
am]
BILLING
CODE
6560
50
S
DEPARTMENT
OF
TRANSPORTATION
Research
and
Special
Programs
Administration
49
CFR
Parts
172,
174,
175,
176,
and
177
[
Docket
No.
RSPA
01
10568
(
HM
207B)]
RIN
2137
AC64
Hazardous
Materials:
Retention
of
Shipping
Papers
AGENCY:
Research
and
Special
Programs
Administration
(
RSPA),
DOT.
ACTION:
Final
rule;
response
to
appeals.
SUMMARY:
In
this
final
rule,
RSPA
is
making
changes
to
a
final
rule
published
on
July
12,
2002,
in
which
RSPA
amended
the
Hazardous
Materials
Regulations
(
HMR)
to
require
shippers
and
carriers
to
retain
a
copy
of
each
hazardous
material
shipping
paper,
or
an
electronic
image
thereof,
for
a
period
of
375
days
after
the
date
the
hazardous
material
is
accepted
by
a
carrier.
This
final
rule
responds
to
five
appeals
of
the
July
12,
2002
final
rule.
EFFECTIVE
DATES:
This
final
rule
is
effective
on
November
1,
2002.
Voluntary
compliance
is
authorized
as
of
August
12,
2002.
FOR
FURTHER
INFORMATION
CONTACT:
Deborah
Boothe
of
the
Office
of
Hazardous
Materials
Standards,
(
202)
366
8553,
Research
and
Special
Programs
Administration,
U.
S.
Department
of
Transportation,
400
Seventh
Street,
SW.,
Washington,
DC
20590.
SUPPLEMENTARY
INFORMATION:
I.
Background
On
July
12,
2002,
The
Research
and
Special
Programs
Administration
(
RSPA,
we)
published
a
final
rule
under
Docket
HM
207B
(
67
FR
46123)
amending
the
Hazardous
Materials
Regulations
(
HMR;
49
CFR
parts
171
180)
to
require
shippers
and
carriers
to
retain
a
copy
of
each
hazardous
material
shipping
paper,
or
an
electronic
image
thereof,
for
a
period
of
375
days
after
the
date
the
hazardous
material
is
accepted
by
a
carrier.
The
July
12,
2002
final
rule
incorporates
into
the
HMR
the
requirements
in
the
Federal
hazardous
material
transportation
law
(
Federal
hazmat
law)
to
require
that,
after
a
hazardous
material
``
is
no
longer
in
transportation,''
each
offeror
and
carrier
of
a
hazardous
material
must
retain
the
shipping
paper
``
or
electronic
image
thereof
for
a
period
of
1
year
to
be
accessible
through
their
respective
principal
places
of
business.''
49
U.
S.
C.
5110(
e),
added
by
Public
Law
103
311,
Title
I,
section
115,
108
Stat.
1678
(
Aug.
26,
1994).
That
section
also
provides
that
the
offeror
and
carrier
``
shall,
upon
request,
make
the
shipping
paper
available
to
a
Federal,
State,
or
local
government
agency
at
reasonable
times
and
locations.''
The
July
12,
2002
final
rule
requires
each
person
who
offers
or
transports
a
hazardous
material
in
commerce
to
retain
a
copy
of
the
shipping
paper
for
375
days
after
the
date
the
shipment
is
accepted
by
the
initial
carrier.
To
facilitate
enforcement
of
this
requirement,
the
final
rule
requires
each
VerDate
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09>
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13:
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31,
2002
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FR\
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01NOR1.
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01NOR1
| epa | 2024-06-07T20:31:44.291808 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0298-0001/content.txt"
} |
EPA-HQ-OPP-2002-0301-0001 | Notice | 2002-11-07T05:00:00 | Experimental Use Permit; Receipt of Application | 67832
Federal
Register
/
Vol.
67,
No.
216
/
Thursday,
November
7,
2002
/
Notices
Responsible
Official:
Gregg
A.
Cooke,
Regional
Administrator.
Oscar
Ramirez,
Jr.,
Acting
Director,
Water
Quality
Protection
Division
(
6WQ).
[
FR
Doc.
02
28352
Filed
11
6
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7405
9]
Notification
of
the
National
Advisory
Council
for
Environmental
Policy
and
Technology
(
NACEPT)
Standing
Committee
on
Compliance
Assistance
Meeting;
Open
Meeting
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notification
of
public
NACEPT
standing
committee
on
compliance
assistance
meeting
on
December
3,
2002.
SUMMARY:
Pursuant
to
the
Federal
Advisory
Committee
Act,
Public
Law
92
463,
notice
is
hereby
given
that
the
U.
S.
Environmental
Protection
Agency
(
EPA)
will
hold
an
open
meeting
of
the
NACEPT
Standing
Committee
on
Compliance
Assistance
(
Committee)
on
Tuesday,
December
3,
2002
from
8
a.
m.
to
4
p.
m.
The
meeting
will
be
held
at
the
Adams
Mark
Hotel
at
111
Pecan
Street
East,
San
Antonio,
Texas
78205.
Seating
at
the
meeting
will
be
on
a
first
come
basis
and
limited
time
will
be
provided
for
public
comment.
The
meeting
will
focus
on
the
areas
of
the
Compliance
Assistance
program
on
which
the
Committee
has
been
asked
to
advise
the
EPA.
These
are:
(
1)
Strengthening
the
national
compliance
assistance
network
by
helping
identify
opportunities
to
enhance
communication
among
compliance
assistance
providers
and
by
promoting
collaboration
in
compliance
assistance
planning
and
tool
development;
(
2)
developing
and
testing
performance
measurement
systems
to
demonstrate
the
effectiveness
and
environmental
outcomes
of
compliance
assistance;
and
(
3)
acting
as
a
sounding
board
to
provide
feedback
on
compliance
assistance
policies,
strategies
or
other
related
matters.
A
formal
agenda
will
be
available
at
the
meeting.
SUPPLEMENTARY
INFORMATION:
NACEPT
is
a
federal
advisory
committee
under
the
Federal
Advisory
Committee
Act,
Public
Law
92
463.
NACEPT
provides
advice
and
recommendations
to
the
EPA
Administrator
and
other
EPA
officials
on
a
broad
range
of
domestic
and
international
environmental
policy
issues.
NACEPT
consists
of
a
representative
cross
section
of
EPA's
partners
and
principal
constituents
who
provide
advice
and
recommendations
on
policy
issues
and
serve
as
a
sounding
board
for
new
strategies.
Over
the
last
two
years,
EPA
has
undertaken
a
number
of
actions
to
improve
our
compliance
assistance
activities.
To
ensure
that
the
Agency's
efforts
to
improve
compliance
assistance
are
implemented
in
a
way
that
continues
to
reflect
stakeholder
needs,
NACEPT
created
a
new
Standing
Committee
on
Compliance
Assistance.
This
will
provide
a
continuing
Federal
Advisory
Committee
forum
from
which
the
EPA
can
continue
to
receive
valuable
stakeholder
advice
and
recommendations
on
compliance
assistance
activities.
For
further
information
concerning
the
NACEPT
Standing
Committee
on
Compliance
Assistance,
including
the
upcoming
meeting,
contact
Joanne
Berman,
Designated
Federal
Officer
(
DFO),
on
(
202)
564
7064,
or
e
mail:
berman.
joanne@
epa.
gov.
Inspection
of
Subcommittee
Documents:
Documents
relating
to
the
above
topics
will
be
publicly
available
at
the
meeting.
Dated:
October
31,
2002.
Frederick
F.
Stiehl,
Acting
Director,
Office
of
Compliance.
[
FR
Doc.
02
28354
Filed
11
6
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0301;
FRL
7279
4]
Experimental
Use
Permit;
Receipt
of
Application
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
receipt
of
an
application
67979
EUP
E
from
Syngenta
Seeds
requesting
an
experimental
use
permit
(
EUP)
for
the
plant
incorporated
protectant
Bacillus
thuringiensis
VIP3A.
The
Agency
has
determined
that
the
application
may
be
of
regional
and
national
significance.
Therefore,
in
accordance
with
40
CFR
172.11(
a),
the
Agency
is
soliciting
comments
on
this
application.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0301,
must
be
received
on
or
before
December
9,
2002.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Leonard
Cole,
Biopesticides
and
Pollution
Prevention
Division
(
7511C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5412;
e
mail
address:
cole.
leonard@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
This
action
may,
however,
be
of
interest
to
those
persons
who
are
interested
in
agricultural
biotechnology
or
may
be
required
to
conduct
testing
of
chemical
substances
under
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
or
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0301.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
VerDate
0ct<
31>
2002
16:
18
Nov
06,
2002
Jkt
200001
PO
00000
Frm
00014
Fmt
4703
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4703
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FR\
FM\
07NON1.
SGM
07NON1
67833
Federal
Register
/
Vol.
67,
No.
216
/
Thursday,
November
7,
2002
/
Notices
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
Docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0301.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0301.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC,
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0301.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0301.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
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Federal
Register
/
Vol.
67,
No.
216
/
Thursday,
November
7,
2002
/
Notices
1
Imputed
costs,
such
as
taxes
that
would
have
been
paid
and
return
on
equity
that
would
have
been
provided
had
the
services
been
furnished
by
a
private
business
firm,
are
referred
to
as
the
private
sector
adjustment
factor
(
PSAF).
The
tenyear
recovery
rate
is
based
upon
the
pro
forma
income
statements
for
Federal
Reserve
priced
services
published
in
the
Board's
Annual
Report.
Beginning
in
2000,
the
PSAF
included
additional
financing
costs
associated
with
pension
assets
attributable
to
priced
services.
This
ten
year
cost
recovery
rate
has
been
computed
as
if
these
costs
were
not
included
in
the
PSAF
calculations
prior
to
2000.
If
these
costs
were
included
in
the
calculations,
and
assuming
that
the
Reserve
Banks
would
not
have
made
any
contemporaneous
cost
or
revenue
adjustments,
the
10
year
recovery
rate
would
be
98.7
percent.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
notice.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
document.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Background
Syngenta
Seeds,
3054
Cornwallis
Road,
Research
Triangle
Park,
North
Carolina
27709
2257,
has
applied
for
an
EUP
for
field
testing
of
the
plantincorporated
protectant
Bacillus
thuringiensis
VIP3A
insect
control
protein
as
expressed
in
cotton
plants.
The
proposed
states
are
Alabama,
Arizona,
Arkansas,
California,
Florida,
Georgia,
Louisiana,
Mississippi,
North
Carolina,
South
Carolina,
Tennessee,
and
Texas.
The
total
acreage
for
this
plant
incorporated
protectant
EUP
will
be
904.5.
III.
What
Action
is
the
Agency
Taking?
Following
the
review
of
the
Syngenta
Seeds
application
and
any
comments
and
data
received
in
response
to
this
notice,
EPA
will
decide
whether
to
issue
or
deny
the
EUP
request
for
this
EUP
program,
and
if
issued,
the
conditions
under
which
it
is
to
be
conducted.
Any
issuance
of
an
EUP
will
be
announced
in
the
Federal
Register.
IV.
What
is
the
Agency's
Authority
for
Taking
this
Action?
The
Agency's
authority
for
taking
this
action
is
under
40
CFR
part
172.
List
of
Subjects
Environmental
protection,
Experimental
use
permits.
Dated:
October
29,
2002.
Janet
L.
Andersen,
Director,
Biopesticides
and
Pollution
Prevention
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
28356
Filed
11
6
02;
8:
45
am]
BILLING
CODE
6560
50
S
FEDERAL
RESERVE
SYSTEM
[
Docket
No.
R
1133]
Federal
Reserve
Bank
Services
AGENCY:
Board
of
Governors
of
the
Federal
Reserve
System.
ACTION:
Notice.
SUMMARY:
The
Board
has
approved
the
fee
schedules
for
Federal
Reserve
priced
services
and
electronic
connections
and
a
private
sector
adjustment
factor
(
PSAF)
for
2003
of
$
171.7
million.
These
actions
were
taken
in
accordance
with
the
requirements
of
the
Monetary
Control
Act
of
1980,
which
requires
that,
over
the
long
run,
fees
for
Federal
Reserve
priced
services
be
established
on
the
basis
of
all
direct
and
indirect
costs,
including
the
PSAF.
DATES:
The
new
fee
schedules
become
effective
January
2,
2003.
FOR
FURTHER
INFORMATION
CONTACT:
For
questions
regarding
the
fee
schedules:
Joseph
Baressi,
Financial
Services
Analyst,
(
202/
452
3959);
William
Driscoll,
Financial
Services
Analyst,
check
payments,
(
202/
452
3117);
Edwin
Lucio,
Financial
Services
Analyst,
ACH
payments,
(
202/
736
5636);
Gregory
Cannella,
Financial
Services
Analyst,
Fedwire
funds
transfer,
Fedwire
securities,
and
noncash
collection
services,
(
202/
530
6214);
Marybeth
Butkus,
Senior
Financial
Services
Analyst,
special
cash
services,
(
202/
452
3917);
or
Amy
Pierce,
Senior
IT
Analyst,
electronic
connections,
(
202/
736
5675),
Division
of
Reserve
Bank
Operations
and
Payment
Systems.
For
questions
regarding
the
PSAF:
Brenda
Richards,
Senior
Financial
Analyst,
(
202/
452
2753)
or
Gregory
Evans,
Manager,
Financial
Accounting,
(
202/
452
3945),
Division
of
Reserve
Bank
Operations
and
Payment
Systems.
For
users
of
Telecommunications
Device
for
the
Deaf
(
TDD)
only,
please
call
202/
263
4869.
Copies
of
the
2003
fee
schedules
for
the
check
service
are
available
from
the
Board,
the
Federal
Reserve
Banks,
or
the
Reserve
Banks'
financial
services
Web
site
at
http://
www.
frbservices.
org.
SUPPLEMENTARY
INFORMATION:
I.
Priced
Services
A.
Discussion
Over
the
period
1992
through
2001,
the
Reserve
Banks
recovered
99.8
percent
of
their
total
costs
for
providing
priced
services,
including
special
project
costs,
imputed
expenses,
and
targeted
after
tax
profits
or
return
on
equity
(
ROE).
1
Table
1
summarizes
the
priced
services'
actual,
estimated,
and
budgeted
cost
recovery
rates
for
2001,
2002,
and
2003
respectively.
Cost
recovery
is
estimated
to
be
92.2
percent
in
2002
and
budgeted
to
be
94.4
percent
in
2003.
The
aggregate
cost
recovery
rates
are
heavily
influenced
by
the
performance
of
the
check
service,
which
accounts
for
approximately
85
percent
of
the
total
cost
of
priced
services.
The
electronic
services
(
FedACH,
Fedwire
funds
transfer,
Fedwire
securities,
and
national
settlement)
account
for
approximately
15
percent
of
costs,
while
noncash
and
special
cash
services
represent
a
de
minimis
amount.
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| epa | 2024-06-07T20:31:44.309007 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0301-0001/content.txt"
} |
EPA-HQ-OPP-2002-0305-0004 | Supporting & Related Material | 2002-11-19T05:00:00 | null | 1
DEPARTMENT
OF
AGRICULTURE
Agricultural
Marketing
Service
7
CFR
Part
205
[
Docket
Number:
TMD
00
02
FR]
RIN:
0581
AA40
National
Organic
Program
AGENCY:
Agricultural
Marketing
Service,
USDA.
ACTION:
Final
Rule
with
request
for
comments.
SUMMARY:
This
final
rule
establishes
the
National
Organic
Program
(
NOP
or
program)
under
the
direction
of
the
Agricultural
Marketing
Service
(
AMS),
an
arm
of
the
United
States
Department
of
Agriculture
(
USDA).
This
national
program
will
facilitate
domestic
and
international
marketing
of
fresh
and
processed
food
that
is
organically
produced
and
assure
consumers
that
such
products
meet
consistent,
uniform
standards.
This
program
establishes
national
standards
for
the
production
and
handling
of
organically
produced
products,
including
a
National
List
of
substances
approved
for
and
prohibited
from
use
in
organic
production
and
handling.
This
final
rule
establishes
a
national
level
accreditation
program
to
be
administered
by
AMS
for
State
officials
and
private
persons
who
want
to
be
accredited
as
certifying
agents.
Under
the
program,
certifying
agents
will
certify
production
and
handling
operations
in
compliance
with
the
requirements
of
this
regulation
and
initiate
compliance
actions
to
enforce
program
requirements.
The
final
rule
includes
requirements
for
labeling
products
as
organic
and
containing
organic
ingredients.
This
final
rule
also
provides
for
importation
of
organic
agricultural
products
from
foreign
programs
determined
to
have
equivalent
organic
program
2
requirements.
This
program
is
authorized
under
the
Organic
Foods
Production
Act
of
1990,
as
amended.
EFFECTIVE
DATE:
This
rule
becomes
effective
[
60
days
after
publication
in
the
Federal
Register].
Comments:
Comments
on
specified
aspects
of
the
final
regulations
must
be
submitted
on
or
before
[
90
days
after
publication
in
the
Federal
Register].
ADDRESSES:
Interested
persons
are
invited
to
submit
written
comments
on
specified
aspects
of
the
final
regulation
to:
Keith
Jones,
Program
Manager,
National
Organic
Program,
USDA
AMSTMP
NOP,
Room
2945
So.,
Ag
Stop
0275,
P.
O.
Box
96456,
Washington,
DC
20090
6456.
Comments
may
also
be
filed
via
the
Internet
through
the
National
Organic
Program's
homepage
at:
www.
ams.
usda.
gov/
nop.
Written
comments
on
specified
aspects
of
the
final
regulations
should
be
identified
with
the
docket
number
TMD
00
02
FR.
To
facilitate
the
timely
scanning
and
posting
of
comments
to
the
NOP
homepage,
multiple
page
comments
submitted
by
regular
mail
should
not
be
stapled
or
clipped.
It
is
our
intention
to
have
all
comments
to
this
final
rule,
whether
mailed
or
submitted
via
the
Internet,
available
for
viewing
on
the
NOP
homepage
in
a
timely
manner.
Comments
submitted
in
response
to
this
final
rule
will
be
available
for
viewing
at
USDA
AMS,
Transportation
and
Marketing
Programs,
Room
2945
South
Building,
14th
and
Independence
Avenue,
SW,
Washington,
DC,
from
9:
00
a.
m.
to
12:
00
noon
and
from
1:
00
p.
m.
to
4:
00
p.
m.,
Monday
through
Friday
(
except
for
official
Federal
holidays).
Persons
wanting
to
visit
the
USDA
South
Building
to
view
comments
received
in
response
to
this
final
rule
are
requested
to
make
an
appointment
in
advance
by
calling
(
202)
720
3252.
3
FOR
FURTHER
INFORMATION
CONTACT:
Richard
Mathews,
Senior
Agricultural
Marketing
Specialist,
USDA
AMS
TMP
NOP,
Room
2510
So.,
P.
O.
Box
96456,
Washington,
DC
20090
6456;
Telephone:
(
202)
205
7806;
Fax:
(
202)
205
7808.
SUPPLEMENTARY
INFORMATION:
Prior
Documents
in
this
Proceeding
This
final
rule
is
issued
pursuant
to
the
Organic
Food
Production
Act
of
1990
(
Act
or
OFPA),
as
amended
(
7
U.
S.
C.
6501
et
seq.).
This
final
rule
replaces
the
proposed
rule
published
in
the
Federal
Register
March
13,
2000.
The
public
submitted
40,774
comments
on
the
proposed
rule.
Comments
to
the
proposed
rule
were
considered
in
the
preparation
of
this
final
rule.
The
following
notices
related
to
the
National
Organic
Standards
Board
(
NOSB)
and
the
development
of
this
proposed
regulation
have
been
published
in
the
Federal
Register.
Six
notices
of
nominations
for
membership
on
the
NOSB
were
published
between
April
1991
and
June
2000
(
56
FR
15323,
59
FR
43807,
60
FR
40153,
61
FR
33897,
64
FR
33240,
65
FR
35317).
Two
notices
of
extension
of
time
for
submitting
nominations
were
published
on
September
22,
1995,
and
September
23,
1996
(
60
FR
49246,
61
FR
49725).
Twenty
notices
of
meetings
of
the
NOSB
were
published
between
March
1992
and
November
2000
(
57
FR
7094,
57
FR
27017,
57
FR
36974,
58
FR
85,
58
FR
105,
58
FR
171,
59
FR
58,
59
FR
26186,
59
FR
49385,
60
FR
51980,
60
FR
15532,
61
FR
43520,
63
FR
7389,
63
FR
64451,
64
FR
3675,
64
FR
28154,
64
FR
54858,
65
FR
11758,
65
FR
33802,
65
FR
64657).
One
notice
of
public
hearings
on
organic
livestock
and
livestock
products
was
published
on
December
30,
1993
(
58
FR
69315).
Two
notices
specifying
a
procedure
for
submitting
names
of
substances
for
inclusion
on
or
removal
from
the
National
List
of
Approved
and
Prohibited
Substances
were
published
on
March
27,
1995
(
60
FR
4
15744),
and
July
13,
2000
(
65
FR
43259.
A
rule
proposing
the
NOP
was
published
on
December
16,
1997
(
62
FR
65850).
An
extension
of
the
time
period
for
submitting
comments
to
the
proposed
rule
was
published
on
February
9,
1998
(
63
FR
6498).
One
request
for
comments
on
Issue
Papers
was
published
on
October
28,
1998
(
63
FR
57624).
A
notice
of
a
program
to
assess
organic
certifying
agencies
was
published
on
June
9,
1999
(
64
FR
30861).
A
rule
proposing
the
NOP
was
published
on
March
13,
2000
(
65
FR
13512).
A
notice
of
public
meeting
and
request
for
comments
on
organic
production
and
handling
of
aquatic
animals
to
be
labeled
as
organic
was
published
on
March
23,
2000
(
65
FR
15579).
One
advance
notice
of
proposed
rulemaking
and
request
for
comments
on
reasonable
security
for
private
certifying
agents
was
published
on
August
9,
2000
(
65
FR
48642).
This
preamble
includes
a
discussion
of
the
final
rule
and
supplementary
information,
including
the
Regulatory
Impact
Assessment,
Unfunded
Mandates
Reform
Act
Statement,
Regulatory
Flexibility
Act
Analysis,
Federalism
Impact
Statement,
and
Civil
Justice
Impact
Statement.
The
Civil
Rights
Impact
Analysis
is
not
included
as
an
attachment
but
may
be
obtained
by
writing
to
the
address
provided
above
or
via
the
Internet
through
the
National
Organic
Program's
homepage
at:
http://
www.
ams.
usda.
gov/
nop.
Approval
of
Paperwork
Reduction
Act
Requirements
for
this
Final
Rule
The
reporting
requirements
and
recordkeeping
burden
imposed
by
this
rule
were
published
in
the
March
13,
2000,
Federal
Register
for
public
comment.
The
Agency
addressed
these
comments
in
the
final
rule
to
ensure
that
the
least
amount
of
the
burden
is
placed
on
the
public.
The
information
collection
and
recordkeeping
requirements
have
been
reviewed
and
approved
by
the
Office
of
Management
and
Budget
under
OMB
Number
0581
0191,
National
Organic
5
Program.
National
Organic
Program
Overview
Subpart
A
Definitions
Description
of
Regulations
This
subpart
defines
various
terms
used
in
this
part.
These
definitions
are
intended
to
enhance
conformance
with
the
regulatory
requirements
through
a
clear
understanding
of
the
meaning
of
key
terms.
We
have
amended
terms
and
definitions
carried
over
from
the
proposed
rule
where
necessary
to
make
their
wording
consistent
with
the
language
used
in
this
final
rule.
We
have
revised
the
definitions
of
the
following
words
for
greater
clarity:
person,
practice
standard,
inert
ingredient,
processing,
tolerance.
We
have
removed
the
definitions
for
the
following
terms
because
the
terms
are
not
used
in
this
final
rule
or
have
been
determined
to
be
unnecessary:
accredited
laboratory,
estimated
national
mean,
system
of
organic
production
and
handling.
We
received
comments
on
some
of
these
definitions
that
have
been
deleted.
We
have
not
addressed
those
comments
here
because
the
relevant
definitions
have
been
deleted.
Definitions
Changes
Based
on
Comments
This
subpart
differs
from
the
proposed
rule
in
several
respects
as
follows:
(
1)
Many
commenters
requested
changes
to
the
definition
of
"
excluded
methods."
Comments
included
requests
to
use
the
more
common
term,
"
genetically
modified
organisms(
GMO)";
to
include
the
products
of
excluded
methods/
GMO's
in
the
definition;
to
more
closely
follow
the
NOSB
definition
by
adding
gene
deletion,
doubling,
introduction
of
a
foreign
gene,
and
changing
gene
position;
to
include
that
excluded
methods
are
prohibited
by
the
6
Act
and
by
the
regulations
in
this
part;
to
change
the
wording
of
the
reference
to
"
recombinant
DNA";
and
to
add
that
the
definition
of
excluded
methods
only
covers
"
intentional
use."
We
have
accepted
some
of
the
comments
and
have
modified
the
definition
accordingly.
Specifically,
we
have
included
reference
to
the
"
methods"
gene
deletion,
gene
doubling,
changing
positions
of
genes,
and
introducing
foreign
genes
that
were
included
in
the
original
NOSB
definition.
This
will
make
the
definition
even
more
closely
parallel
the
NOSB
recommendation.
We
also
refer
to
recombinant
DNA
technology,
which
is
technically
more
accurate
than
the
proposed
rules
reference
to
recombinant
DNA
as
a
"
method."
We
have
not
accepted
the
comments
that
requested
adding
the
products
of
excluded
methods
to
the
definition.
The
emphasis
and
basis
of
these
standards
is
on
process,
not
product.
We
have
specifically
structured
the
provisions
relating
to
excluded
methods
to
refer
to
the
use
of
methods.
Including
the
products
of
excluded
methods
in
the
definition
would
not
be
consistent
with
this
approach
to
organic
standards
as
a
process
based
system.
For
the
same
reason,
we
have
retained
the
term,
"
excluded
methods,"
to
reinforce
that
process
based
approach.
We
have
also
rejected
comments
requesting
that
we
include
the
prohibition
on
excluded
methods
in
the
definition
and,
likewise,
those
requesting
that
we
refer
to
"
intentional
use"
of
excluded
methods.
The
final
rule
maintains
and
clarifies
the
prohibition
on
the
use
of
excluded
methods
in
organic
production
systems.
The
prohibition
is
most
properly
addressed
in
the
appropriate
provisions
of
the
regulations,
particularly
in
Section
205.105,
and
not
in
the
definition.
Similarly,
although
we
recognize
that
a
distinction
between
intentional
and
unintentional
use
of
excluded
methods
may
be
meaningful,
particularly
as
it
pertains
to
issues
of
drift,
this
is
an
issue
that
is
best
handled
in
the
sections
of
the
regulation
governing
use
of
7
excluded
methods,
not
in
the
definition.
The
definition
for
"
excluded
methods"
now
reads:
A
variety
of
methods
used
to
genetically
modify
organisms
or
influence
their
growth
and
development
by
means
that
are
not
possible
under
natural
conditions
or
processes
and
are
not
considered
compatible
with
organic
production.
Such
methods
include
cell
fusion,
microencapsulation
and
macroencapsulation,
and
recombinant
DNA
technology
(
including
gene
deletion,
gene
doubling,
introducing
a
foreign
gene,
and
changing
the
position
of
genes
when
achieved
by
recombinant
DNA
technology).
Such
methods
do
not
include
the
use
of
traditional
breeding,
conjugation,
fermentation,
hybridization,
in
vitro
fertilization,
or
tissue
culture."
(
2)
Many
commenters
objected
to
the
definition
of
"
compost"
in
the
proposed
rule
because
it
required
that
compost
must
be
produced
in
a
facility
that
was
in
compliance
with
the
Natural
Resource
Conservation
Service's
(
NRCS)
practice
standard
for
a
composting
facility.
We
agree
with
these
commenters
and
removed
the
requirement
to
comply
with
the
NRCS
practice
standard.
However,
the
final
rule
incorporates
new
requirements
for
the
production
of
compost
that
are
included
in
the
definition.
The
final
rule
requires
that
compost
must
be
produced
through
a
process
that
combines
plant
and
animal
materials
with
an
initial
C:
N
ratio
of
between
25:
1
and
40:
1.
Furthermore,
producers
using
an
in
vessel
or
static
aerated
pile
system
must
maintain
the
composting
materials
at
a
temperature
of
between
131
E
F
and
170
E
F
for
3
days.
Producers
using
a
windrow
system
must
maintain
the
composting
materials
at
a
temperature
between
131
E
F
and
170
E
F
for
15
days,
during
which
time,
the
materials
must
be
turned
a
minimum
of
five
times.
We
developed
the
requirements
in
the
final
rule
for
producing
an
allowed
composted
material
by
integrating
standards
used
by
the
Environmental
Protection
Agency
(
EPA)
and
USDA's
Natural
Resources
Conservation
Service
(
NRCS).
The
requirements
for
the
carbon
8
to
nitrogen
(
C:
N)
ratio
for
composting
materials
is
the
same
as
that
found
in
the
NRCS
practice
standard
for
a
composting
facility.
The
time
and
temperature
requirements
for
in
vessel,
static
aerated
pile,
and
window
composting
systems
are
consistent
with
those
which
EPA
regulates
under
40
CFR
503
for
the
production
of
Class
A
sewage
sludge.
Additionally,
AMS
reviewed
these
compost
production
requirements
with
USDA's
Agricultural
Research
Service
(
ARS).
This
subject
is
discussed
further
under
subpart
C,
Crop
Production,
Changes
Based
on
Comment.
(
3)
Some
commenters
stated
that
allowing
nonagricultural
or
synthetic
substances
as
feed
supplements
contradicted
the
definition
for
"
feed
supplement"
in
the
proposed
rule.
These
commenters
stated
that
the
definition
stipulated
that
a
feed
supplement
must,
itself,
be
a
feed
material
and
that
the
proposed
definition
for
"
feed"
did
not
include
nonagricultural
or
synthetic
substances.
These
commenters
stated
that
the
definition
of
"
feed
supplement"
needed
to
be
amended
to
accommodate
nonagricultural
or
synthetic
substances,
or
such
substances
should
not
be
allowed.
We
agree
with
these
commenters
and
amended
the
definition
for
"
feed
supplement"
to
read
"
a
combination
of
feed
nutrients
added
to
livestock
feed
to
improve
the
nutritional
balance
or
performance
of
the
total
ration."
One
commenter
recommended
modifying
the
definition
of
"
feed
additive"
to
"
a
substance
added
to
feed
in
micro
quantities
to
fulfill
a
specific
nutritional
need;
i.
e.,
essential
nutrients
in
the
form
of
amino
acids,
vitamins,
and
minerals."
We
agree
that
this
modification
provides
a
more
precise
description
of
"
feed
additive"
and
have
included
the
change.
The
changes
to
the
definitions
for
"
feed
supplement"
and
"
feed
additive"
are
further
discussed
under
item
(
4)
of
Livestock
Production
Changes
Based
on
Comments.
(
4)
One
commenter
stated
that
the
definition
for
"
forage"
inaccurately
described
it
as
"
vegetable
matter,"
and
suggested
that
"
vegetative
matter"
was
a
more
suitable
description.
We
9
agree
with
the
suggestion
and
have
incorporated
the
change.
(
5)
Some
commenters
stated
that
the
definition
for
"
mulch"
implied
that
all
mulch
materials
must
either
be
organic
or
included
on
the
National
List.
These
commenters
maintained
that,
if
this
was
the
intent
of
the
proposed
rule,
the
provision
was
too
restrictive.
They
recommended
revising
the
definition
to
clarify
that
natural
but
nonorganic
plant
and
animal
materials,
if
managed
to
prevent
contamination
from
prohibited
substances,
could
be
used
as
mulch
without
being
added
to
the
National
List.
This
was
the
intent
in
the
proposed
rule,
and
we
have
modified
the
definition
to
make
this
provision
clearer.
(
6)
Many
commenters
stated
that
the
final
rule
should
include
a
definition
of
"
organic
production"
that
required
that
certified
operations
must
preserve
or
protect
biodiversity.
These
commenters
stated
that
the
preservation
of
biodiversity
is
a
requirement
in
many
existing
organic
certification
standards,
including
the
Codex
guidelines.
They
also
stated
that
the
NOSB
had
included
the
requirement
to
preserve
biodiversity
in
its
definition
of
organic.
We
agree
with
the
intent
of
these
comments
but
prefer
the
term,
"
conserve,"
to
"
preserve"
because
it
reflects
a
more
dynamic,
interactive
relationship
between
the
operation
and
biodiversity
over
time.
We
included
a
definition
for
organic
production
as
"
a
production
system
that
is
managed
in
accordance
with
the
Act
and
regulations
in
this
part
to
respond
to
site
specific
conditions
by
integrating
cultural,
biological,
and
mechanical
practices
that
foster
cycling
of
resources,
promote
ecological
balance,
and
conserve
biodiversity."
We
deleted
the
definition
for
"
organic
system
of
production
and
handling"
in
the
final
rule.
(
7)
Several
commenters,
including
the
NOSB,
were
concerned
that
the
definition
for
"
planting
stock"
as
"
any
plant
or
plant
tissue,
including
rhizomes,
shoots,
leaf
or
stem
cuttings,
10
roots,
or
tubers,
used
in
plant
production
or
propagation"
was
sufficiently
broad
to
be
applied
to
annual
seedlings.
We
agree
that
it
is
important
to
establish
that
annual
seedlings
are
not
covered
by
the
definition
of
"
planting
stock"
and
amended
the
definition
to
exclude
them.
The
definition
for
planting
stock
in
the
final
rule
states
"
any
plant
or
plant
tissue
other
than
annual
seedlings
but
including
rhizomes,
shoots,
leaf
or
stem
cuttings,
roots,
or
tubers,
used
in
plant
production
or
propagation."
The
final
rule
retains
the
definition
for
"
annual
seedling
"
from
the
proposed
rule.
(
8)
Several
commenters
recommended
that
the
definition
of
"
processing"
should
be
amended
to
include
"
distilling"
as
an
allowed
practice.
We
agree
with
this
comment
and
added
distilling
as
an
allowed
processing
practice.
(
9)
Several
commenters
recommended
that
the
final
rule
include
a
definition
for
"
processing
aid"
that
is
consistent
with
the
definition
proposed
by
the
NOSB
and
used
by
the
Food
and
Drug
Administration
(
FDA).
We
agree
with
these
commenters
and
have
included
a
definition
for
processing
aid
that
is
the
same
as
the
definition
used
by
FDA
and
found
in
21
CFR
Part
101.100(
a)(
3)(
ii).
(
10)
Many
commenters
questioned
whether
the
term,
"
State
organic
certification
program,"
in
the
proposed
rule
included
organic
programs
from
States
that
did
not
offer
certification
services.
These
commenters
stated
that
the
final
rule
should
include
provisions
for
all
State
organic
programs
regardless
of
whether
they
functioned
as
certifying
agents.
We
agree
with
these
commenters
and
have
amended
the
final
rule
by
incorporating
the
term,
"
State
organic
program,"
as
"
a
State
program
that
meets
the
requirements
of
section
6506
of
the
Act,
is
approved
by
the
Secretary,
and
is
designed
to
ensure
that
a
product
that
is
sold
or
labeled
as
organically
produced
under
the
Act
is
produced
and
handled
using
organic
methods."
The
term,
11
"
State
organic
program,"
encompasses
such
programs
whether
they
offer
certification
services
or
not.
(
11)
One
commenter
stated
that
the
definition
for
"
wild
crop"
only
referred
to
a
plant
or
part
of
a
plant
that
was
harvested
from
"
an
area
of
land."
This
commenter
was
concerned
that
the
definition
would
preclude
the
certification
of
operations
that
produce
wild
aquatic
crops,
such
as
seaweed,
and
stated
that
the
OFPA
does
allow
for
certifying
such
operations.
We
agree
with
this
commenter
and
changed
the
definition
to
refer
to
a
plant
or
part
of
a
plant
harvested
from
a
"
site."
(
12)
Many
commenters
stated
that
the
soil
fertility
and
crop
nutrient
management
practice
standard
lacked
a
definition
for
"
manure."
These
commenters
maintained
that
the
different
provisions
contained
in
the
practice
standard
for
"
manure"
and
"
compost"
would
be
difficult
to
enforce
without
clear
definitions
to
differentiate
between
the
two
materials.
We
agree
with
these
comments
and
added
a
definition
for
manure
as
"
feces,
urine,
other
excrement,
and
bedding
produced
by
livestock
that
has
not
been
composted."
(
13)
Some
commenters
stated
that
the
National
List
in
the
final
rule
should
include
an
annotation
for
narrow
range
oils
to
limit
their
use
to
a
specific
subset
of
such
materials
recommended
by
the
NOSB.
We
agree
with
this
comment
but,
rather
than
add
an
annotation,
we
have
included
the
specifications
recommended
by
the
NOSB
in
a
new
definition
for
narrow
range
oils.
Narrow
range
oils
are
defined
as
"
petroleum
derivatives,
predominately
of
paraffinic
and
napthenic
fractions
with
a
50
percent
boiling
point
(
10
mm
Hg)
between
415
E
F
and
440
E
F.
(
14)
Many
commenters
maintained
that
the
final
rule
needed
a
definition
of
the
term,
"
pasture,"
to
describe
the
relationship
between
ruminants
and
the
land
they
graze.
These
commenters
stated
that
a
meaningful
definition
of
"
pasture"
must
incorporate
the
nutritional
12
component
that
it
provides
livestock,
as
well
as
the
necessity
to
manage
the
land
in
a
manner
that
protects
the
natural
resources
of
the
operation.
We
agree
with
these
commenters
and
have
added
a
definition
of
"
pasture"
as
"
land
used
for
livestock
grazing
that
is
managed
to
provide
feed
value
and
maintain
or
improve
soil,
water,
and
vegetative
sources."
(
15)
Many
commenters
stated
that
a
definition
for
"
split
operation"
was
necessary
to
prevent
commingling
between
organic
and
nonorganic
commodities
on
operations
that
produced
or
handled
both
forms
of
a
commodity.
We
agree
with
these
comments
and
have
included
a
definition
for
"
split
operation"
as
"
an
operation
that
produces
or
handles
both
organic
and
nonorganic
agricultural
products."
Definitions
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
terms
and
their
definitions
on
which
we
received
comments
as
follows:
(
1)
Many
commenters
objected
to
the
definition
of
"
sewage
sludge"
because
it
excluded
ash
generated
in
a
sewage
sludge
incinerator
and
grit
and
screenings
generated
during
preliminary
treatment
of
domestic
sewage
in
treatment
works.
We
have
not
changed
the
definition
for
"
sewage
sludge"
because
it
provides
the
most
comprehensive
and
enforceable
description
of
the
types
of
materials
that
commenters
wanted
to
prohibit.
The
definition
for
"
sewage
sludge"
in
the
proposed
rule
arose
in
response
to
significant
public
comment
on
the
first
proposed
rule
for
national
organic
standards
(
62
Federal
Register,
No.
241)
that
recommended
prohibiting
biosolids
in
organic
production.
When
incorporating
those
comments
into
the
proposed
rule,
we
did
not
use
the
term,
"
biosolids,"
because
it
does
not
have
a
standardized
definition
under
Federal
regulations.
The
term,
"
biosolids,"
is
commonly
used
to
refer
to
"
sewage
sludge,"
which
is
the
13
regulatory
term
established
in
40
CFR
Part
503.
We
incorporated
the
precise
definition
from
40
CFR
Part
503,
even
though
it
does
not
include
ash,
grit,
or
screenings,
because
it
provided
the
clearest
description
of
the
types
of
materials
identified
in
public
comment.
While
commenters
are
correct
that
ash,
grit,
or
screenings
from
the
production
of
sewage
sludge
are
not
prohibited
by
this
definition,
these
materials
are
prohibited
elsewhere
in
the
regulation.
The
soil
fertility
and
crop
nutrient
management
practice
standard
in
section
205.203
establishes
the
universe
of
allowed
materials
and
practices.
These
allowed
materials
and
practices
are
crop
rotations,
cover
crops,
plant
and
animal
materials
(
including
their
ash),
nonagricultural,
natural
materials,
and,
under
appropriate
conditions,
mined
substances
of
low
and
high
solubility
and
synthetic
materials
included
on
the
National
List.
Ash,
grit,
or
screenings
from
the
production
of
sewage
sludge
cannot
be
included
in
any
of
these
categories
and,
therefore,
cannot
be
used
in
organic
production.
We
retained
the
definition
of
"
sewage
sludge"
because
it
most
clearly
conveys
the
wide
array
of
commercially
available
soil
amendments
that
might
be
considered
for
organic
production
but
that
the
final
rule
expressly
prohibits.
We
have
not
added
specific
exclusions
for
sewage
sludge,
ash,
grit,
or
screenings
because
these
materials
are
prohibited
through
other
provisions
in
the
practice
standard.
(
2)
The
proposed
rule
prohibited
the
handler
of
an
organic
handling
operation
from
using
ionizing
radiation
for
any
purpose.
The
vast
majority
of
commenters
agreed
with
this
prohibition
and
further
recommended
that
the
term,
"
ionizing
radiation,"
should
be
defined
to
identify
the
specific
applications
that
are
prohibited.
Most
commenters
supported
a
definition
based
on
the
FDA
requirements
in
21
CFR
part
179.26
for
the
treatment
or
processing
of
food
using
ionizing
radiation.
While
agreeing
with
the
prohibition
on
ionizing
radiation,
these
commenters
favored
14
allowing
certain
forms
of
irradiation
such
as
the
use
of
X
rays
to
inspect
for
debris
such
as
stones
that
were
inadvertently
commingled
with
organically
handled
food.
Other
commenters
recommended
a
prohibition
on
all
forms
of
irradiation,
which
would
include
X
rays
for
inspection
purposes,
ultraviolet
light,
and
microwaves
in
addition
to
ionizing
radiation.
Finally,
a
number
of
commenters
stated
that
ionizing
radiation
is
a
safe
and
effective
process
for
handling
food
and,
therefore,
should
not
be
prohibited
in
organic
handling.
We
have
not
added
a
definition
for
"
ionizing
radiation"
to
the
final
rule
because
we
have
incorporated
specific
references
to
the
applications
that
are
prohibited
in
the
regulatory
text.
The
final
rule
prohibits
the
handler
of
an
organic
handling
operation
from
using
ionizing
radiation
as
specified
under
21
CFR
part
179.26.
These
are
the
FDA
approved
uses
of
ionizing
radiation
that
commenters
most
frequently
recommended
that
we
prohibit
in
organic
handling
operations.
They
include
the
use
of
cobalt
60,
cesium
137,
and
other
sources
of
radiation
for
the
purpose
of
controlling
microbial
contaminants,
pathogens,
and
pests
in
food
or
to
inhibit
the
growth
and
maturation
of
fresh
foods.
At
its
June
2000
meeting,
the
NOSB
recommended
prohibiting
ionizing
radiation
for
the
purpose
of
controlling
microbial
contaminants,
pathogens,
parasites,
and
pests
in
food,
preserving
a
food,
or
inhibiting
physiological
processes
such
as
sprouting
or
ripening.
The
final
rule
does
not
prohibit
the
handler
of
an
organic
handling
operation
from
using
the
FDA
approved
applications
of
X
rays
for
inspecting
food.
The
prohibition
on
ionizing
radiation
in
the
final
rule
is
based
solely
on
consumer
preference
as
reflected
in
the
overwhelming
public
comment
stating
that
organically
handled
foods
should
not
be
treated
in
that
manner.
(
3)
Some
commenters
recommend
that
the
final
rule
incorporate
definitions
for
the
terms,
"
food
additives,"
"
extraction
methods,"
"
incidental
additive,"
and
"
substantially
transform."
15
However,
these
terms
are
not
used
in
the
final
rule
and
do
not
require
a
definition.
Definitions
Clarifications
Following
our
review
of
the
definitions
provisions
in
the
proposed
rule,
we
decided
to
further
clarify
the
following
provision
in
the
final
rule:
We
were
concerned
that
"
State
entity,"
the
meaning
of
which
encompasses
both
domestic
and
foreign
political
subdivisions,
may
be
confused
with
"
State,"
the
meaning
of
which
is
limited
to
the
States
of
the
United
States,
its
territories,
the
District
of
Columbia,
and
Puerto
Rico.
To
avoid
any
possible
confusion
as
to
which
provisions
in
this
final
rule
apply
to
States
and
which
apply
to
the
broader
political
subdivisions,
we
have
replaced
the
term,
"
State
entity,"
with
the
term,
"
governmental
entity,"
while
retaining
the
same
definition
language
in
the
proposed
rule.
Subpart
B
Applicability
This
subpart
provides
an
overview
of
what
has
to
be
certified
under
the
National
Organic
Program
(
NOP);
describes
exemptions
and
exclusions
from
certification;
addresses
use
of
the
term,
"
organic";
addresses
recordkeeping
by
certified
production
and
handling
operations;
and
addresses
allowed
and
prohibited
substances,
methods,
and
ingredients
in
organic
production
and
handling.
Description
of
Regulations
Except
for
exempt
and
excluded
operations,
each
production
or
handling
operation
or
specified
portion
of
a
production
or
handling
operation
that
produces
or
handles
crops,
livestock,
livestock
products,
or
other
agricultural
products
that
are
intended
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
be
certified.
Certified
operations
must
meet
all
applicable
requirements
of
16
these
regulations.
This
final
rule
becomes
effective
60
days
after
its
publication
in
the
Federal
Register
and
will
be
fully
implemented
18
months
after
its
effective
date.
Eighteen
months
after
the
effective
date,
all
agricultural
products
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
must
be
produced
and
handled
in
compliance
with
these
regulations.
Products
entering
the
stream
of
commerce
prior
to
the
effective
date
will
not
have
to
be
relabeled.
The
U.
S.
Department
of
Agriculture
(
USDA)
seal
may
not
be
affixed
to
any
"
100
percent
organic"
or
"
organic"
product
until
18
months
after
the
final
rule's
effective
date.
We
anticipate
that
certifying
agents
and
production
and
handling
operations
will
move
as
quickly
as
possible
after
the
effective
date
of
the
final
rule
to
begin
operating
under
the
national
organic
standards.
Certifying
agents
must
begin
certifying
organic
production
and
handling
operations
to
the
national
standards
upon
receipt
of
their
accreditation
from
the
Administrator.
Any
production
or
handling
operation
or
specified
portion
of
a
production
or
handling
operation
that
has
been
already
certified
by
a
certifying
agent
on
the
date
that
the
certifying
agent
receives
its
accreditation
under
this
part
shall
be
deemed
to
be
certified
under
the
Act
until
the
operation's
next
anniversary
date
of
certification.
We
have
taken
this
approach
because
we
believe
that
such
certifying
agents
will,
upon
the
effective
date
of
the
final
rule,
demonstrate
their
eligibility
for
accreditation
by
applying
the
national
standards
to
the
certification
and
renewal
of
certification
of
their
clients.
We
also
believe
this
approach
will
provide
relief
to
certified
operations
which
might
otherwise
have
to
be
certified
twice
within
a
12
month
period
(
prior
to
their
certifying
agent's
accreditation
and
again
following
their
certifying
agent's
accreditation).
This
relief
will
only
be
available
to
those
certified
operations
certified
by
a
certifying
agent
that
receives
its
accreditation
17
within
18
months
from
the
effective
date
of
the
final
rule.
Certifying
agents
can
apply
for
accreditation
anytime
after
the
effective
date
of
the
rule.
Applications
will
be
processed
on
a
first
come,
first
served
basis.
Those
certifying
agents
who
apply
for
accreditation
within
the
first
6
months
after
the
effective
date
of
the
final
rule
and
are
determined
by
the
Administrator
to
meet
the
requirements
for
accreditation
will
be
notified
of
their
status
approximately
12
months
after
the
final
rule's
effective
date.
This
approach
is
being
taken
because
of
the
market
advantage
that
could
be
realized
by
accredited
certifying
agents
if
USDA
did
not
announce
the
accreditations
simultaneously.
Exempt
and
Excluded
Operations
This
regulation
establishes
several
categories
of
exempt
or
excluded
operations.
An
exempt
or
excluded
operation
does
not
need
to
be
certified.
However,
operations
that
qualify
as
exempt
or
excluded
operations
can
voluntarily
choose
to
be
certified.
A
production
or
handling
operation
that
is
exempt
or
excluded
from
obtaining
certification
still
must
meet
other
regulatory
requirements
contained
in
this
rule
as
explained
below.
Exempt
Operations
(
1)
A
production
or
handling
operation
that
has
$
5,000
or
less
in
gross
annual
income
from
organic
sales
is
exempt
from
certification.
This
exemption
is
primarily
designed
for
those
producers
who
market
their
product
directly
to
consumers.
It
will
also
permit
such
producers
to
market
their
products
direct
to
retail
food
establishments
for
resale
to
consumers.
The
exemption
is
not
restricted
to
U.
S.
producers.
However,
as
a
practical
matter,
we
do
not
envision
any
significant
use
of
the
exemption
by
foreign
producers
because:
(
1)
the
products
from
such
operations
cannot
be
used
as
ingredients
identified
as
organic
in
processed
products
produced
by
18
another
handling
operation,
and
(
2)
it
is
unlikely
that
such
operations
will
be
selling
their
products
directly
to
consumers
in
the
United
States.
An
exempt
producer
or
handler
must
comply
with
the
labeling
requirements
of
section
205.310
and
the
organic
production
and
handling
requirements
applicable
to
its
type
of
operation.
For
example,
a
producer
of
organic
vegetables
that
performs
no
handling
functions
would
have
to
comply
with
the
labeling
requirements
of
section
205.310
and
the
applicable
production
requirements
in
sections
205.202
through
205.207.
The
labeling
and
production
and
handling
requirements
protect
the
integrity
of
organically
produced
products.
(
2)
A
retail
food
establishment
or
portion
of
a
retail
food
establishment
that
handles
organically
produced
agricultural
products
but
does
not
process
them
is
exempt
from
all
of
the
requirements
in
these
regulations.
(
3)
A
handling
operation
or
portion
of
a
handling
operation
that
handles
only
agricultural
products
containing
less
than
70
percent
organic
ingredients
by
total
weight
of
the
finished
product
(
excluding
water
and
salt)
is
exempt
from
the
requirements
in
these
regulations,
except
the
recordkeeping
provisions
of
section
205.101(
c);
the
provisions
for
prevention
of
contact
of
organic
products
with
prohibited
substances
in
section
205.272;
and
the
labeling
regulations
in
sections
205.305
and
205.310.
The
recordkeeping
provisions
maintain
an
audit
trail
for
organic
products.
The
prevention
of
contact
with
prohibited
substances
and
the
labeling
requirements
protect
the
integrity
of
organically
produced
products.
(
4)
A
handling
operation
or
portion
of
a
handling
operation
that
uses
the
word,
"
organic,"
only
on
the
information
panel
is
exempt
from
the
requirements
in
these
regulations,
except
the
recordkeeping
provisions
of
section
205.101(
c);
the
provisions
for
prevention
of
contact
of
19
organic
products
with
prohibited
substances
as
provided
in
section
205.272;
and
the
labeling
regulations
in
sections
205.305
and
205.310.
The
recordkeeping
provisions
maintain
an
audit
trail
for
organic
products.
The
prevention
of
contact
with
prohibited
substances
and
labeling
requirements
protect
the
integrity
of
organically
produced
products.
As
noted
above,
exempt
handling
operations
producing
multiingredient
products
must
maintain
records
as
required
by
section
205.101(
c).
This
would
include
records
sufficient
to:
(
1)
prove
that
ingredients
identified
as
organic
were
organically
produced
and
handled
and
(
2)
verify
quantities
produced
from
such
ingredients.
Such
records
must
be
maintained
for
no
less
than
3
years,
and
the
operation
must
allow
representatives
of
the
Secretary
and
the
applicable
State
program's
governing
State
official
access
to
the
records
during
normal
business
hours
for
inspection
and
copying
to
determine
compliance
with
the
applicable
regulations.
Excluded
Operations
(
1)
A
handling
operation
or
portion
of
a
handling
operation
that
sells
organic
agricultural
products
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
that
are
packaged
or
otherwise
enclosed
in
a
container
prior
to
being
received
or
acquired
by
the
operation,
remain
in
the
same
package
or
container,
and
are
not
otherwise
processed
while
in
the
control
of
the
handling
operation
is
excluded
from
the
requirements
in
these
regulations,
except
for
the
provisions
for
prevention
of
commingling
and
contact
of
organic
products
with
prohibited
substances
in
section
205.272.
The
requirements
for
the
prevention
of
commingling
and
contact
with
prohibited
substances
protect
the
integrity
of
organically
produced
products.
This
exclusion
will
avoid
creating
an
unnecessary
barrier
for
handlers
who
distribute
nonorganic
products
and
who
want
to
offer
a
selection
of
organic
products.
20
(
2)
A
retail
food
establishment
or
portion
of
a
retail
food
establishment
that
processes
on
the
premises
of
the
retail
food
establishment
raw
and
ready
to
eat
food
from
certified
agricultural
products
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
is
excluded
from
the
requirements
in
these
regulations,
except
for
the
provisions
for
prevention
of
contact
of
organic
products
with
prohibited
substances
as
provided
in
section
205.272
and
the
labeling
regulations
in
section
205.310.
The
prevention
of
commingling
and
contact
with
prohibited
substances
and
labeling
requirements
protect
the
integrity
of
organically
produced
products.
Excluded
retail
food
establishments
include
restaurants;
delicatessens;
bakeries;
grocery
stores;
or
any
retail
outlet
with
an
in
store
restaurant,
delicatessen,
bakery,
salad
bar,
or
other
eatin
or
carry
out
service
of
processed
or
prepared
raw
and
ready
to
eat
food.
There
is
clearly
a
great
deal
of
public
concern
regarding
the
handling
of
organic
products
by
retail
food
establishments.
We
have
not
required
certification
of
retail
food
establishments
at
this
time
because
of
a
lack
of
consensus
as
to
whether
retail
food
establishments
should
be
certified,
a
lack
of
consensus
on
retailer
certification
standards,
and
a
concern
about
the
capacity
of
existing
certifying
agents
to
certify
the
sheer
volume
of
such
businesses.
Retail
food
establishments,
not
exempt
under
the
Act,
could
at
some
future
date
be
subject
to
regulation
under
the
NOP.
Any
such
regulation
would
be
preceded
by
rulemaking
with
an
opportunity
for
public
comment.
No
retailer,
regardless
of
this
exclusion
and
the
exceptions
found
in
the
definitions
for
"
handler"
or
"
handling
operation,"
may
sell,
label,
or
provide
market
information
on
a
product
unless
such
product
has
been
produced
and
handled
in
accordance
with
the
Act
and
these
regulations.
Any
retailer
who
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
21
with
the
Act
and
these
regulations,
will
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation
under
this
program.
Recordkeeping
Requirements
for
Certified
Operations
A
certified
operation
must
maintain
records
concerning
the
production
and
handling
of
agricultural
products
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
sufficient
to
demonstrate
compliance
with
the
Act
and
regulations.
Such
records
must
be
adapted
to
the
particular
business
that
the
certified
operation
is
conducting,
fully
disclose
all
activities
and
transactions
of
the
certified
operation
in
sufficient
detail
to
be
readily
understood
and
audited,
be
maintained
for
not
less
than
5
years
beyond
their
creation,
and
be
sufficient
to
demonstrate
compliance
with
the
Act
and
regulations.
Certified
operations
must
make
the
records
required
by
this
regulation
available
for
inspection
by
authorized
representatives
of
the
Secretary,
the
applicable
State
organic
program's
(
SOP)
governing
State
official,
and
the
certifying
agent.
Access
to
such
records
must
be
provided
during
normal
business
hours.
Examples
of
Records
Each
exempt,
excluded,
and
certified
operation
should
maintain
the
records
which
demonstrate
compliance
with
the
Act
and
the
regulations
applicable
to
it
and
which
it
believes
establish
an
audit
trail
sufficient
to
prove
to
the
Secretary,
the
applicable
SOP's
governing
State
official,
and
the
certifying
agent
that
the
exempt,
excluded,
or
certified
operation
is
and
has
been
in
compliance
with
the
Act
and
regulations.
Examples
of
records
include:
application
and
supporting
documents
for
certification;
organic
system
plan
and
supporting
documents;
purchased
inputs,
including
seeds,
transplants,
livestock,
and
substances
(
fertilizers,
pesticides,
and
veterinary
biologics
consistent
with
the
22
livestock
provisions
of
subpart
C),
cash
purchase
receipts,
receiving
manifests
(
bills
of
lading),
receiving
tickets,
and
purchase
invoices;
field
records
(
planting,
inputs,
cultivation,
and
harvest);
storage
records
(
bin
register,
cooler
log);
livestock
records,
including
feed
(
cash
purchase
receipts,
receiving
manifests
(
bills
of
lading),
receiving
tickets,
purchase
invoices,
copies
of
grower
certificates),
breeding
records
(
calendar,
chart,
notebook,
veterinary
documents),
purchased
animals
documentation
(
cash
purchase
receipts,
receiving
manifests
(
bills
of
lading),
receiving
tickets,
purchase
invoices,
copies
of
grower
certificates),
herd
health
records
(
calendar,
notebook,
card
file,
veterinary
records),
and
input
records
(
cash
purchase
receipts,
written
records,
labels);
producer
invoice;
producer
contract;
receiving
manifests
(
bills
of
lading);
transaction
certificate;
producer
certificate;
handler
certificate;
weigh
tickets,
receipts,
and
tags;
receiving
tickets;
cash
purchase
receipts;
raw
product
inventory
reports
and
records;
finished
product
inventory
reports
and
records;
daily
inventories
by
lot;
records
as
to
reconditioning,
shrinkage,
and
dumping;
production
reports
and
records;
shipping
reports;
shipping
manifests
(
bills
of
lading);
paid
freight
and
other
bills;
car
manifests;
broker's
contracts;
broker's
statements;
warehouse
receipts;
inspection
certificates;
residue
testing
reports;
soil
and
water
testing
reports;
cash
receipt
journals;
general
ledgers
and
supporting
documents;
sales
journals;
accounts
payable
journals;
accounts
receivable
journals;
cash
disbursement
journals;
purchase
invoices;
purchase
journals;
receiving
tickets;
producer
and
handler
contracts;
cash
sales
receipts;
cash
purchase
journals;
sales
invoices,
statements,
journals,
tickets,
and
receipts;
account
sales
invoices;
ledgers;
financial
statements;
bank
statements;
records
of
deposit;
canceled
checks;
check
stubs;
cash
receipts;
tax
returns;
accountant's
or
other
work
papers;
agreements;
contracts;
purchase
orders;
confirmations
and
memorandums
of
sales;
computer
data;
computer
printouts;
and
compilations
23
of
data
from
the
foregoing.
Allowed
and
Prohibited
Substances
A
certified
operation
must
only
use
allowed
substances,
methods,
and
ingredients
for
the
production
and
handling
of
agricultural
products
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
made
with..."
for
these
products
to
be
in
compliance
with
the
Act
and
the
NOP
regulations.
Use
of
ionizing
radiation,
sewage
sludge,
and
excluded
methods
are
prohibited
in
the
production
and
handling
of
organic
agricultural
products.
Applicability
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Violations
of
the
Act
or
Regulations.
We
have
amended
section
205.100
by
adding
a
new
paragraph
(
c),
which
addresses
violations
of
the
Act
and
these
regulations.
A
number
of
commenters
advocated
for
provisions
within
the
final
rule
describing
what
legal
proceedings
USDA
would
conduct
against
operations
or
persons
that
violate
the
NOP.
We
agree
that
this
rule
should
include
provisions
addressing
violations
of
the
Act
and
these
regulations.
Accordingly,
we
have
added
at
section
205.100
the
misuse
of
label
provisions
and
false
statement
provisions
of
section
2120
(
7
U.
S.
C.
6519)
of
the
Act.
Specifically,
section
205.100(
c)
provides
that
persons
not
in
compliance
with
the
labeling
requirements
of
the
Act
or
these
regulations
are
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation
and
that
persons
making
false
statements
under
the
Act
to
the
Secretary,
a
governing
State
official,
or
an
accredited
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
Title
18,
United
States
Code.
The
provisions
of
the
Act
and
these
regulations
apply
to
all
operations
or
persons
that
sell,
label,
or
represent
their
agricultural
product
as
organic.
24
(
2)
Prohibition
on
Use
of
Excluded
Methods.
We
have
moved
section
205.600
from
subpart
G,
Administrative,
to
subpart
B,
Applicability,
and
replaced
paragraph
(
d),
which
referred
the
reader
to
section
205.301,
with
new
paragraphs
(
d)
through
(
g).
As
amended,
this
section,
redesignated
as
section
205.105,
includes
all
of
the
provisions
covered
under
old
section
205.600.
The
vast
majority
of
commenters
strongly
supported
the
prohibition
on
the
use
of
excluded
methods
in
organic
production
and
handling
but
raised
concerns
that
they
could
not
point
to
one
provision
that
prohibited
use
of
excluded
methods
in
all
aspects
of
organic
production
and
handling.
To
close
what
they
perceived
to
be
"
loopholes"
in
the
prohibition,
commenters
made
several
suggestions
for
inclusion
of
new
provisions
prohibiting
use
of
excluded
methods
in
particular
aspects
of
organic
production
and
handling
that
they
believed
were
not
covered
in
the
proposed
rule.
Other
commenters
pointed
to
inconsistencies
in
the
way
the
prohibition
on
use
of
excluded
methods
was
described
in
different
sections,
raising
concerns
that
these
apparent
inconsistencies
may
create
confusion
for
organic
operations,
certifiers,
and
consumers.
Although
we
intended
that
use
of
excluded
methods
would
be
prohibited
in
all
aspects
of
organic
production
and
handling,
the
structure
of
the
proposed
rule
may
not
have
made
that
clear.
We
also
share
the
concerns
that,
in
attempting
to
identify
all
aspects
of
organic
production
and
handling
where
excluded
methods
might
be
used,
we
may
inadvertently
have
left
out
some
provisions,
creating
confusion
for
organic
operations,
certifying
agents,
and
consumers
and
creating
doubt
as
to
the
scope
of
the
prohibition
on
use
of
excluded
methods.
Similarly,
to
the
extent
that
the
prohibition
on
excluded
methods
may
have
been
described
differently
in
various
sections
of
the
proposed
rule,
we
also
share
the
concern
that
these
inconsistencies
could
create
25
confusion.
As
a
result
of
these
concerns,
we
have
created
a
new
provision
in
section
205.105
that
prohibits
the
use
of
excluded
methods
(
and
ionizing
radiation
and
sewage
sludge)
generally.
This
provision
should
alleviate
perceptions
that
some
areas
of
organic
production
may
not
have
been
covered
by
the
prohibitions
in
the
proposed
rule.
It
also
allows
us
to
eliminate
from
the
regulation
most
of
the
individual
references
to
the
prohibition
on
use
of
these
methods,
thereby
eliminating
any
potential
confusion
where
these
provisions
may
have
appeared
inconsistent.
These
changes
do
not
lift
the
prohibition
on
use
of
these
methods
in
those
sections.
In
fact,
the
purpose
of
this
new
provision
is
to
make
clear
that
use
of
these
methods
is
prohibited
in
the
production
and
handling
of
organic
products.
(
3)
Animal
Vaccines.
The
proposed
rule
specifically
asked
for
public
comment
on
the
potential
impact
of
the
prohibition
on
use
of
excluded
methods
as
it
relates
to
animal
vaccines.
A
number
of
commenters
raised
concerns
that
there
may
be
some
critical
vaccines
that
are
only
available
in
forms
produced
using
excluded
methods.
Several
commenters
requested
that
we
prohibit
use
of
animal
vaccines
produced
using
excluded
methods
but
that
we
provide
for
a
temporary
exemption
until
such
time
as
vaccines
produced
without
using
excluded
methods
are
approved
for
use
on
the
National
List.
Other
commenters
requested
that
we
prohibit
use
of
vaccines
produced
using
excluded
methods
without
exception.
We
have
concluded
that
the
potential
impact
of
prohibiting
vaccines
produced
using
excluded
methods
on
animal
production
systems
is
still
unknown.
We
do
not
know
of
any
critical
animal
vaccine
that
is
only
available
in
a
form
produced
using
excluded
methods,
but
it
is
unclear
whether
producers
and
certifying
agents
are
tracking
the
possible
use
of
such
vaccines.
There
26
also
appears
to
be
no
international
consensus
on
the
use
in
organic
production
systems
of
animal
vaccines
produced
using
excluded
methods,
although
there
is
precedent
for
such
an
exemption.
European
Union
regulations,
for
example,
allow
for
use
of
animal
vaccines
produced
using
excluded
methods.
Based
on
comments
received
and
because
the
potential
impact
of
the
prohibition
on
use
of
excluded
methods
is
still
uncertain,
we
have
created
the
possibility
at
section
205.105(
e)
for
the
NOSB
to
exercise
one
very
narrow
exception
to
allow
use
of
animal
vaccines
produced
using
excluded
methods
but
only
if
they
are
explicitly
approved
on
the
National
List.
We
believe
the
issue
of
animal
vaccines
requires
further
deliberation
and
that
it
is
most
appropriate
to
consider
it
through
the
National
List
process,
which
mandates
review
by
the
NOSB
and
Technical
Advisory
Panels.
Consideration
of
animal
vaccines
produced
using
excluded
methods
is
appropriate
for
the
National
List
review
process
because
animal
vaccines,
we
believe,
are
most
appropriately
considered
synthetic
materials.
That
is
why
the
provision
is
structured
so
that
vaccines
produced
using
excluded
methods
could
only
be
used
in
organic
production
if
they
are
affirmatively
included
on
the
National
List.
We
do
not
believe
that
a
broad
based
exemption
of
the
type
suggested
in
some
comments,
even
if
only
temporary,
is
appropriate.
The
Act
allows
use
of
animal
vaccines
in
organic
livestock
production.
Given
the
general
prohibition
on
the
use
of
excluded
methods,
however,
we
believe
that
animal
vaccines
produced
using
excluded
methods
should
not
be
allowed
without
an
explicit
consideration
of
such
materials
by
the
NOSB
and
without
an
affirmative
determination
from
the
NOSB
that
they
meet
the
criteria
for
inclusion
on
the
National
List.
It
is
for
that
reason
that
we
have
not
granted
this
request
of
commenters
but,
rather,
provided
an
opportunity
for
review
of
this
narrow
range
of
materials
27
produced
using
excluded
methods
through
the
National
List
process.
It
is
important
to
make
clear,
however,
that
this
provision
does
not
open
all
potential
applications
of
excluded
methods
to
a
case
by
case
review
in
the
context
of
the
National
List,
nor
are
we
proposing
that
any
particular
vaccines
be
reviewed
for
inclusion
on
the
National
List
at
this
time.
The
prohibition
on
use
of
excluded
methods
applies
across
the
board
to
all
phases
of
organic
production
and
handling.
We
are
simply
responding
to
comments
suggesting
that
a
narrow
exception
for
animal
vaccines
may
be
appropriate
and
providing
for
the
possibility
that
such
an
exception
could
be
invoked
upon
thorough
review
and
recommendation
by
the
NOSB
Applicability
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Exemption
of
Handling
Operations
Producing
Multiingredient
Products.
Some
commenters
asserted
that
only
certified
handling
operations
should
be
allowed
to
identify
ingredients
in
multiingredient
products
as
organic.
These
commenters
believe
that
consumers
will
be
misled
if
noncertified
handling
operations
are
allowed
to
identify
ingredients
as
organic
even
if
the
organic
claim
is
limited
to
the
information
panel.
We
do
not
agree
with
these
assertions
and
have
retained
the
proposed
rule
provisions
that
do
not
require
handler
certification
when
a
product
only
identifies
ingredients
as
organic
within
the
information
panel.
Although
handling
operations
only
making
organic
claims
on
the
information
panel
are
exempt
from
certification,
these
operations
are
required
to
use
organic
product
from
certified
operations.
They
are
also
required
to
prevent
contact
of
organic
products
with
prohibited
substances
as
set
forth
in
section
205.272,
adhere
to
the
labeling
provisions
of
sections
205.305
and
205.310,
and
maintain
records
28
in
accordance
with
section
205.101(
c).
We
believe
consumers
will
understand
the
distinction
between
products
that
have
the
organic
nature
of
the
product
stated
on
the
principal
display
panel
and
those
that
merely
identify
an
ingredient
as
organic
on
the
information
panel.
(
2)
Retailer
Exclusion
from
Certification.
Many
commenters
objected
to
the
provisions
of
section
205.101(
b)(
2)
which
exclude
retail
food
establishments
from
certification.
These
commenters
assert
that
only
final
retailers
that
do
not
process
agricultural
products
should
be
excluded
from
certification.
There
is
clearly
a
great
deal
of
public
concern
regarding
the
handling
of
organic
products
by
retail
food
establishments.
We
have
not
required
certification
of
retail
food
establishments
at
this
time
because
of
a
lack
of
consensus
as
to
whether
retail
food
establishments
should
be
certified,
a
lack
of
condenses
on
retailer
certification
standards,
and
a
concern
about
the
capacity
of
existing
certifying
agents
to
certify
the
sheer
volume
of
such
businesses.
In
addition,
most
existing
certification
programs
do
not
include
retail
food
establishments,
and
we
do
not
believe
there
is
sufficient
consensus
to
institute
such
a
significant
expansion
in
the
scope
of
certification
at
this
time.
However,
since
a
few
States
have
established
procedures
for
certifying
retail
food
establishments,
we
will
assess
their
experience
and
continue
to
seek
consensus
on
this
issue
of
establishing
retailer
provisions
under
the
NOP.
Any
such
change
would
be
preceded
by
rulemaking
with
an
opportunity
for
public
comment.
The
exclusion
of
nonexempt
retail
food
establishments
from
this
final
rule
does
not
prevent
a
State
from
developing
an
organic
retail
food
establishment
program
as
a
component
of
its
SOP.
However,
as
with
any
component
of
an
SOP,
the
Secretary
will
review
such
components
on
a
case
by
case
basis.
(
3)
Producer
Exemption
Level.
Several
commenters
advocated
for
an
increase
in
the
29
producer
exemption
level
above
the
$
5,000
limit.
Comments
supporting
the
exemption
suggested
increasing
the
statutory
limit
for
qualifying
for
the
exemption
to
as
high
as
$
75,000.
Other
commenters
stated
that
all
producers
should
be
certified
and
opposed
the
exemption
even
though
it
is
required
by
the
Act.
These
commenters
were
concerned
about
maintaining
the
integrity
of
the
organic
product
and
about
the
lack
of
verification
of
the
exempt
operations.
We
have
not
increased
or
removed
the
$
5,000
producer
exemption
because
the
exemption
is
mandated
by
section
2106(
d)
(
7
U.
S.
C.
6505(
d))
of
the
Act.
Our
purpose
is
to
limit
the
financial
burdens
of
certification
on
such
operations
but
not
to
exempt
them
from
the
standards
for
organic
production
and
handling.
Accordingly,
exempt
production
and
handling
operations
must
comply
with
the
applicable
organic
production
and
handling
requirements
of
subpart
C
and
the
labeling
requirements
of
section
205.310.
Some
of
the
commenters
wanting
a
change
in
the
producer
exemption
level
suggested
that
the
NOP
add
provisions
for
restricting
these
producers
to
marketing
at
farmers
markets
or
roadside
stands.
We
disagree
with
these
comments.
While
we
believe
that
most
producers
qualifying
for
the
exemption
are
indeed
likely
to
be
small
producers
who
market
their
products
directly
to
consumers,
we
do
not
believe
it
is
in
the
best
interest
of
these
producers
to
restrict
their
market
opportunity
to
a
specific
sales
method.
A
few
comments
suggested
that
we
establish
a
sliding
scale
certification
fee
based
upon
either
the
size
of
the
operation
or
sales
of
agricultural
product
instead
of
the
exemption.
The
NOP
does
not
establish
fees
for
certification.
Certifying
agents
may
establish
a
sliding
scale
system
as
long
as
their
fees
are
reasonable
and
applied
in
a
consistent
and
nondiscriminatory
manner.
30
Finally,
some
commenters
expressed
concern
that
exempt
operations
were
forbidden
from
certification.
This
interpretation
is
not
correct.
Any
production
or
handling
operation,
including
an
exempt
operation,
which
makes
application
for
certification
as
an
organic
operation
and
meets
the
requirements
for
organic
certification
may
be
certified.
(
4)
Handler
exemption.
Many
commenters
disagreed
with
the
proposed
rule
provision
providing
for
an
exemption
of
$
5,000
to
handlers.
These
commenters
asked
the
NOP
to
remove
the
phrase,
"
or
handlers,"
from
the
exemption
provision.
The
commenters
argue
that
the
handler
exemption
is
not
authorized
by
the
Act.
We
disagree
with
the
commenters,
and
we
have
retained
the
handler
exemption
in
the
final
rule.
The
Act
states
that
the
exemption
is
available
to
"
persons"
selling
not
more
than
$
5,000
annually
in
value
of
agricultural
products.
The
Act's
definition
of
"
persons"
includes
handlers.
Thus,
handlers
grossing
$
5,000
or
less
qualify
for
the
exemption.
(
5)
Categories
of
Income
to
Qualify
for
an
Exemption.
Some
commenters
want
the
$
5,000
producer/
handler
exemption
to
include
all
sales
of
agricultural
products,
not
just
sales
of
organic
agricultural
products.
These
commenters
perceive
this
provision
to
be
a
loophole
for
large,
split
operations.
We
disagree
with
these
commenters,
and
we
have
retained
the
$
5,000
producer/
handler
exemption
based
upon
total
sales
of
organic
agricultural
products.
We
do
not
believe
there
is
a
significant
number
of
split
operations
which
only
gross
$
5,000
in
annual
sales
of
organic
products
and,
therefore,
qualify
for
this
exemption.
In
setting
the
exemption
levels,
the
Department
sought
to
maximize
the
benefits
to
small
producers
afforded
by
the
Act
while
setting
a
threshold
level
that
minimizes
the
potential
of
product
mislabeling.
(
6)
Limiting
Handler
Exclusions.
Many
commenters
argued
that
brokers,
distributors,
warehousers,
and
transporters
should
not
be
excluded
from
certification.
We
do
not
agree
with
31
these
commenters.
Brokers,
distributors,
warehousers
and
transporters
do
not
alter
the
product
and,
in
many
cases,
do
not
take
title
to
the
product.
Certifying
these
handlers
would
be
an
unnecessary
burden
on
the
industry.
Traditionally,
distributors
and
trucking
companies
have
been
excluded
from
State
and
private
certification
requirements.
(
7)
Recordkeeping
Requirements
for
Excluded
Operations.
Several
commenters
argued
that
excluded
operations
should
be
required
to
comply
with
the
same
recordkeeping
requirements
as
exempt
operations.
Some
commenters
expressed
concern
over
the
inability
to
verify
compliance
for
either
exempt
or
excluded
operations
and
asked
that
exempt
or
excluded
operations
be
subject
to
additional
recordkeeping
requirements.
We
disagree
with
these
commenters
and
have
retained
the
provisions
from
the
proposed
rule
on
recordkeeping
for
excluded
operations.
Given
the
nature
of
these
excluded
operations,
for
example,
operations
that
only
sell
prepackaged
organic
products,
we
believe
that
extensive
recordkeeping
requirements
would
be
an
unwarranted
regulatory
burden.
(
8)
Recordkeeping
Burden
on
Small
Certified
Operations.
Some
commenters
questioned
whether
small
certified
operations
have
the
ability
to
implement
a
recordkeeping
system
which
complies
with
the
provisions
of
section
205.103.
These
commenters
argue
that
recordkeeping
requirements
must
be
tailored
to
the
scale
of
the
operation.
We
do
not
believe
that
the
recordkeeping
requirements
as
described
in
section
205.103
conflict
with
the
suggestions
of
the
commenters.
The
recordkeeping
requirements
provide
that
the
records
must
be
adapted
to
the
particular
business
that
the
certified
operation
is
conducting
and
be
sufficient
to
demonstrate
compliance
with
the
Act
and
regulations.
It
is
USDA's
intent
that
each
production
and
handling
operation
decide
for
itself
what
recordkeeping
scheme
is
appropriate,
given
the
complexity
and
32
scope
of
the
individual
business.
These
provisions
provide
considerable
latitude
for
each
production
and
handling
operation
to
decide
what
records
are
necessary
to
demonstrate
its
compliance
with
the
Act
and
the
NOP
regulations.
(
9)
Public
Access
to
Records.
Several
commenters
asked
that
the
public
have
full
access
to
any
certifying
agent
record
on
organic
production
and/
or
handling
operations.
Other
commenters
expressed
concerns
about
certifying
agents
divulging
confidential
business
information
and
asked
that
records
containing
confidential
business
information
not
be
taken
from
the
business'
physical
location.
We
have
not
changed
this
provision.
The
recordkeeping
requirements
are
designed
to
seek
a
balance
between
the
pubic's
right
to
know
and
a
business's
right
to
retain
confidential
business
information.
Certifying
agents
must
have
access
to
certain
records
during
their
review
of
the
operation
to
determine
the
operation's
compliance
with
the
NOP.
However,
certifying
agents
are
required
to
protect
an
operation's
confidential
business
information.
Requiring
full
public
access
could
compromise
a
business'
competitive
position
and
place
an
unfair
burden
on
the
organic
industry.
(
10)
Fair
Labor
Practices
on
Organic
Farms.
Many
commenters
asked
the
NOP
to
develop
fair
labor
practice
standards
as
a
part
of
the
final
rule.
We
have
not
adopted
these
comments.
Other
statutes
cover
labor
and
worker
safety
standards.
The
Act
does
not
provide
the
authority
to
include
them
in
these
regulations.
However,
these
regulations
do
not
prohibit
certifying
agents
from
developing
a
voluntary
certification
program,
separate
from
organic
certification,
that
address
fair
labor
and
worker
safety
standards.
(
11)
"
Transitional
Organic"
Label.
Several
commenters
requested
that
the
NOP
adopt
33
regulations
on
the
conversion
of
operations
to
organic
production
and
create
a
"
transitional
organic"
label.
We
have
not
included
provisions
within
the
final
rule
that
provide
for
"
transitional
organic"
labeling.
Although
many
commenters
requested
that
we
provide
for
transition
labeling,
there
does
not
appear
to
be
sufficient
consensus
to
establish
such
a
standard
at
this
time.
Given
this
lack
of
consensus,
it
is
unclear
what
marketplace
value
such
a
label
might
have,
and
we
are
concerned
that
allowing
such
a
label
at
this
point
might
lead
to
greater
consumer
confusion
rather
than
providing
clarity.
Applicability
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters
as
follows:
(
1)
"
Genetic"
drift.
Many
commenters
raised
issues
regarding
drift
of
the
products
of
excluded
methods
onto
organic
farms.
These
commenters
were
concerned
that
pollen
drifting
from
near
by
farms
would
contaminate
crops
on
organic
operations
and
that,
as
a
result,
organic
farmers
could
lose
the
premium
for
their
organic
products
through
no
fault
of
their
own.
Many
commenters
argued
that
we
should
use
this
rule
to
somehow
shift
the
burden
to
the
technology
providers
who
market
the
products
of
excluded
methods
or
the
nonorganic
farming
operations
that
use
their
products.
Some,
for
example,
suggested
that
this
regulation
should
require
that
the
nonorganic
operations
using
genetically
engineered
varieties
plant
buffer
strips
or
take
other
steps
to
avoid
drift
onto
organic
farms.
Others
suggested
that
the
regulation
could
provide
for
citizens'
right
to
sue
in
cases
of
drift.
While
we
understand
the
concerns
that
commenters
have
raised,
the
kind
of
remedies
they
suggested
are
outside
the
scope
of
the
Act
and
this
regulation.
The
Act
only
provides
for
the
regulation
of
organic
operations.
We
cannot
use
this
regulation
to
impose
restrictions,
such
as
34
requiring
buffer
strips
or
other
measures,
on
operations
that
are
not
covered
by
the
Act.
Similarly,
while
citizens
may
have
the
ability
to
bring
suit
under
other
laws,
the
Act
itself
does
not
provide
for
the
right
to
bring
suit
as
a
Federal
cause
of
action,
and
we
could
not
grant
it
through
this
regulation.
Drift
has
been
a
difficult
issue
for
organic
producers
from
the
beginning.
Organic
operations
have
always
had
to
worry
about
the
potential
for
drift
from
neighboring
operations,
particularly
drift
of
synthetic
chemical
pesticides.
As
the
number
of
organic
farms
increases,
so
does
the
potential
for
conflict
between
organic
and
nonorganic
operations.
It
has
always
been
the
responsibility
of
organic
operations
to
manage
potential
contact
of
organic
products
with
other
substances
not
approved
for
use
in
organic
production
systems,
whether
from
the
nonorganic
portion
of
a
split
operation
or
from
neighboring
farms.
The
organic
system
plan
must
outline
steps
that
an
organic
operation
will
take
to
avoid
this
kind
of
unintentional
contact.
When
we
are
considering
drift
issues,
it
is
particularly
important
to
remember
that
organic
standards
are
process
based.
Certifying
agents
attest
to
the
ability
of
organic
operations
to
follow
a
set
of
production
standards
and
practices
that
meet
the
requirements
of
the
Act
and
the
regulations.
This
regulation
prohibits
the
use
of
excluded
methods
in
organic
operations.
The
presence
of
a
detectable
residue
of
a
product
of
excluded
methods
alone
does
not
necessarily
constitute
a
violation
of
this
regulation.
As
long
as
an
organic
operation
has
not
used
excluded
methods
and
takes
reasonable
steps
to
avoid
contact
with
the
products
of
excluded
methods
as
detailed
in
their
approved
organic
system
plan,
the
unintentional
presence
of
the
products
of
excluded
methods
should
not
affect
the
status
of
an
organic
product
or
operation.
35
Issues
of
pollen
drift
are
also
not
confined
to
the
world
of
organic
agriculture.
For
example,
plant
breeders
and
seed
companies
must
ensure
genetic
identity
of
plant
varieties
by
minimizing
any
cross
pollination
that
might
result
from
pollen
drift.
Under
research
conditions,
small
scale
field
tests
of
genetically
engineered
plants
incorporate
various
degrees
of
biological
containment
to
limit
the
possibility
of
gene
flow
to
other
sexually
compatible
plants.
Federal
regulatory
agencies
might
impose
specific
planting
requirements
to
limit
pollen
drift
in
certain
situations.
Farmers
planting
nonbiotechnology
derived
varieties
may
face
similar
kinds
of
questions
if
cross
pollination
by
biotechnology
derived
varieties
alters
the
marketability
of
their
crop.
These
discussions
within
the
broader
agricultural
community
may
lead
to
new
approaches
to
addressing
these
issues.
They
are,
however,
outside
the
scope
of
this
regulation
by
definition.
(
2)
Additional
NOP
Standards
for
Specific
Production
Categories.
Many
commenters
asked
that
the
NOP
include
in
the
final
rule
certification
standards
for
apiculture,
greenhouses,
mushrooms,
aquatic
species,
culinary
herbs,
pet
food,
and
minor
animal
species
(
e.
g.,
rabbits)
food.
The
NOP
intends
to
provide
standards
for
categories
where
the
Act
provides
the
authority
to
promulgate
standards.
During
the
18
month
implementation
period,
the
NOP
intends
to
publish
for
comment
certification
standards
for
apiculture,
mushrooms,
greenhouses
and
aquatic
animals.
These
standards
will
build
upon
the
existing
final
rule
and
will
address
only
the
unique
requirements
necessary
to
certify
these
specialized
operations.
Some
of
the
other
questions
raised
by
commenters
are
already
addressed
in
the
final
rule.
For
example,
feed
for
minor
species
is
covered
by
livestock
feed
provisions
within
subpart
C
and
the
livestock
feed
labeling
provisions
within
subpart
D.
The
production
and
utilization
of
culinary
herbs,
including
herbal
teas,
is
covered
by
the
provisions
of
the
final
rule.
We
do
not
envision
36
needing
to
do
additional
rulemaking
on
these
two
categories.
Other
requests
by
commenters
have
not
been
addressed.
We
have
not
addressed
the
labeling
of
pet
food
within
this
final
rule
because
of
the
extensive
consultation
that
will
be
required
between
USDA,
the
NOSB,
and
the
pet
food
industry
before
any
standards
on
this
category
could
be
considered.
(
3)
Standards
for
Cosmetics,
Body
Care
Products,
and
Dietary
Supplements.
A
few
commenters
asked
that
the
NOP
include
in
the
final
rule
certification
standards
for
cosmetics,
body
care
products,
and
dietary
supplements.
Producers
and
handlers
of
agricultural
products
used
as
ingredients
in
cosmetics,
body
care
products,
and
dietary
supplements
could
be
certified
under
these
regulations.
Producers
and
handlers
of
these
ingredients
might
find
an
increased
market
value
for
their
products
because
of
the
additional
assurance
afforded
by
certification.
The
ultimate
labeling
of
cosmetics,
body
care
products,
and
dietary
supplements,
however,
is
outside
the
scope
of
these
regulations.
(
4)
Private
Label
Products.
Many
commenters
asked
about
the
certification
status
of
so
called
"
private
label
products."
Private
label
products
are
items
for
which
a
retailer
contracts
with
a
processor
to
produce
the
product
to
the
retailer's
specifications
and
to
be
sold
under
the
retailer's
name.
Commenters
believe
the
proposed
rule
was
unclear
on
the
certification
requirements
for
these
products.
Any
product
labeled
as
"
100
organic,"
"
organic,"
or
"
made
with..."
must
be
certified
regardless
of
the
business
arrangements
under
which
the
product
was
produced.
When
a
retail
operation
contracts
for
the
production,
packaging,
or
labeling
of
organic
product,
it
is
the
certified
production
or
handling
operation
that
is
responsible
for
complying
with
the
applicable
organic
production
or
handling
regulations.
37
(
5)
State
Oversight
of
Exempt
and
Excluded
Operations.
Many
commenters
asked
for
clarification
on
the
State's
enforcement
responsibility
for
exempt
and
excluded
operations.
The
NOP
is
ultimately
responsible
for
the
oversight
and
enforcement
of
the
program,
including
oversight
of
exempt
and
excluded
operations
and
cases
of
fraudulent
or
misleading
labeling.
We
expect,
however,
that
States
would
want
to
monitor
for
false
claims
or
misleading
labeling
under
these
regulations
and
would
forward
any
complaints
to
the
NOP.
States
that
have
an
approved
SOP
which
includes
regulation
of
operations
excluded
under
the
NOP
would
be
required
to
enforce
those
provisions.
(
6)
Nonedible
Fibers
Products
in
the
NOP.
Some
commenters
asked
the
NOP
to
clarify
the
certification
status
of
fibers
such
as
cotton
and
flax.
The
final
rule
allows
for
certification
of
organically
produced
fibers
such
as
cotton
and
flax.
However,
the
processing
of
these
fibers
is
not
covered
by
the
final
rule.
Therefore,
goods
that
utilize
organic
fibers
in
their
manufacture
may
only
be
labeled
as
a
"
made
with..."
product;
e.
g.,
a
cotton
shirt
labeled
"
made
with
organic
cotton."
(
7)
Recordkeeping
for
Operations
That
Produce
Organic
and
Nonorganic
Product.
Several
commenters
recommended
that
"
split
operations,"
which
are
operations
producing
organic
and
nonorganic
agricultural
products,
be
required
to
maintain
separate
records.
These
commenters
believe
that
the
proposed
rule
did
not
provide
adequate
provision
for
the
maintenance
of
separate
recordkeeping.
The
provisions
within
section
205.103(
b)(
1)
and
(
b)(
2)
do
indicate
that
operations
which
produce
both
organic
and
nonorganic
agricultural
products
must
maintain
a
recordkeeping
system
that
differentiates
the
organic
portion
of
the
operations
from
the
records
related
to
other
portions
of
operations.
38
(
8)
NOP
Program
Manual.
A
few
commenters,
particularly
States,
noted
that
the
proposed
rule
made
several
references
to
program
manuals
as
a
mechanism
for
further
clarifying
certain
portions
of
the
rule.
These
commenters
asked
whether
certifying
agents
should
consider
information
contained
in
these
manuals
as
enforceable
regulations.
NOP
program
manuals
cannot
be
and
are
not
intended
to
be
the
equivalent
of
regulations.
Rather,
the
NOP
envisions
development
of
a
program
manual
to
serve
as
guidance
for
certifying
agents
regarding
implementation
and
certification
related
issues.
Material
contained
within
the
program
manual
will
be
designed
to
address
the
organic
agriculture
principles
of
each
final
rule
section,
as
appropriate,
and
to
offer
information
that
certifying
agents
should
consider
in
making
certification
decisions
that
will
be
reliably
uniform
throughout
the
country.
The
use
of
program
manuals
as
guidance
to
assist
in
developing
uniform
certification
decisions
is
a
standard
industry
practice,
and
the
NOP
has
compiled
examples
of
program
manuals
from
both
large
and
small
certifiers.
Because
the
NOP
intends
to
use
the
examples
it
has
acquired
as
the
basis
for
any
NOP
guidance
manual,
we
believe
that
most
certifying
agents
will
find
such
NOP
manual,
when
developed,
familiar
and
useful.
Additionally,
we
will
use
the
NOSB
public
meeting
process
to
seek
guidance
from
industry
and
the
public
on
what
information
would
be
useful
in
a
program
manual
and
to
provide
input
on
the
program
manual
as
it
is
developed.
Of
course,
if
in
developing
program
guidance,
it
appears
that
modifications
or
changes
in
the
NOP
final
rule
are
required,
such
modifications
would
be
made
through
notice
and
comment
rulemaking.
(
9)
Use
of
Products
from
Exempt
Operations
as
Organic
Ingredients.
A
few
commenters
responded
to
the
question
in
the
proposed
rule
in
which
we
asked
whether
handlers
should
be
allowed
to
identify
organically
produced
products
produced
by
exempt
production
operations
as
39
organic
ingredients.
The
proposed
rule
provided
that
all
ingredients
identified
as
organic
in
a
multiingredient
product
must
have
been
produced
by
a
production
or
handling
operation
certified
by
an
accredited
certifying
agent.
The
commenters
supported
this
position.
These
commenters
believe
that
the
potential
for
mislabeling
outweighed
any
financial
benefit
that
might
accrue
to
exempt
producers
through
expanded
market
opportunities.
We
concur,
and,
therefore,
have
retained
the
prohibition
on
using
products
produced
by
an
exempt
production
or
handling
operation
as
organic
ingredients
(
10)
Exemption
of
Handling
Operations
Producing
Multiingredient
Products.
We
have
amended
section
205.101(
a)(
3)
by
changing
"
50
percent"
to
"
70
percent"
to
make
it
consistent
with
the
amendments
to
the
labeling
provisions.
We
have
also
edited
section
205.101(
a)(
4)
for
clarification
purposes.
Additionally,
we
amended
sections
205.101(
a)(
3)
and
205.101(
a)(
4)
by
citing
the
labeling
requirements
of
section
205.305.
These
amendments
have
been
made
to
clarify
that
handling
operations
exempted
under
these
sections
are
subject
to
the
labeling
requirements
of
section
205.305.
(
11)
Production
and
Handling
in
Compliance
with
Federal
Statutes.
We
have
amended
section
205.102
by
removing
paragraph
(
c).
This
paragraph
provided
that
any
agricultural
product
that
is
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients)"
must
be
produced
and
handled
in
compliance
with
applicable
Federal
statutes
and
their
implementing
regulations.
We
have
taken
this
action
because
the
provision
is
an
identical
restatement
of
section
2120(
f)
(
7
U.
S.
C.
6519(
f))
of
the
Act.
The
Act
makes
clear
that
all
production
and
handling
operations
are
to
comply
with
all
applicable
Federal
statutes
and
their
implementing
regulations.
Therefore,
it
is
unnecessary
to
repeat
the
requirement
40
in
these
regulations.
(
12)
Foreign
Applicants.
We
have
removed
section
205.104,
which
provided
that
the
regulations
in
this
part,
as
applicable,
apply
equally
to
domestic
and
foreign
applicants
for
accreditation,
accredited
certifying
agents,
domestic
and
foreign
applicants
for
certification
as
organic
production
or
handling
operations,
and
certified
organic
production
and
handling
operations
unless
otherwise
specified.
These
regulations,
as
written,
apply
equally
to
all
applicants
for
accreditation,
accredited
certifying
agents,
applicants
for
organic
certification,
and
certified
organic
operations.
Accordingly,
we
have
determined
that
section
205.104
is
not
necessary.
Subpart
C
Organic
Crop,
Wild
Crop,
Livestock,
and
Handling
Requirements
Description
of
Regulations
General
Requirements
This
subpart
sets
forth
the
requirements
with
which
production
and
handling
operations
must
comply
in
order
to
sell,
label,
or
represent
agricultural
products
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
The
producer
or
handler
of
an
organic
production
or
handling
operation
must
comply
with
all
applicable
provisions
of
subpart
C.
Any
production
practice
implemented
in
accordance
with
this
subpart
must
maintain
or
improve
the
natural
resources,
including
soil
and
water
quality,
of
the
operation.
Production
and
handling
operations
which
sell,
label,
or
represent
agricultural
products
as
organic
in
any
manner
and
which
are
exempt
or
excluded
from
certification
must
comply
with
the
requirements
of
this
subpart,
except
for
the
development
of
an
organic
system
plan.
Production
and
Handling
(
General)
41
The
Organic
Food
Production
Act
of
1990
(
OFPA
or
Act)
requires
that
all
crop,
wild
crop,
livestock,
and
handling
operations
requiring
certification
submit
an
organic
system
plan
to
their
certifying
agent
and,
where
applicable,
the
State
organic
program
(
SOP).
The
organic
system
plan
is
a
detailed
description
of
how
an
operation
will
achieve,
document,
and
sustain
compliance
with
all
applicable
provisions
in
the
OFPA
and
these
regulations.
The
certifying
agent
must
concur
that
the
proposed
organic
system
plan
fulfills
the
requirements
of
subpart
C,
and
any
subsequent
modification
of
the
organic
plan
by
the
producer
or
handler
must
receive
the
approval
of
the
certifying
agent.
The
organic
system
plan
is
the
forum
through
which
the
producer
or
handler
and
certifying
agent
collaborate
to
define,
on
a
site
specific
basis,
how
to
achieve
and
document
compliance
with
the
requirements
of
certification.
The
organic
system
plan
commits
the
producer
or
handler
to
a
sequence
of
practices
and
procedures
resulting
in
an
operation
that
complies
with
every
applicable
provision
in
the
regulations.
Accreditation
qualifies
the
certifying
agent
to
attest
to
whether
an
organic
system
plan
comports
with
the
organic
standard.
The
organic
system
plan
must
be
negotiated,
enacted,
and
amended
through
an
informed
dialogue
between
certifying
agent
and
producer
or
handler,
and
it
must
be
responsive
to
the
unique
characteristics
of
each
operation.
An
organic
system
plan
contains
six
components.
First,
the
organic
system
plan
must
describe
the
practices
and
procedures
used,
including
the
frequency
with
which
they
will
be
used,
in
the
certified
operation.
Second,
it
must
list
and
characterize
each
substance
used
as
a
production
or
handling
input,
including
the
documentation
of
commercial
availability,
as
applicable.
Third,
it
must
identify
the
monitoring
techniques
which
will
be
used
to
verify
that
the
organic
plan
is
being
implemented
in
a
manner
which
complies
with
all
applicable
requirements.
42
Fourth,
it
must
explain
the
recordkeeping
system
used
to
preserve
the
identity
of
organic
products
from
the
point
of
certification
through
delivery
to
the
customer
who
assumes
legal
title
to
the
goods.
Fifth,
the
organic
system
plan
must
describe
the
management
practices
and
physical
barriers
established
to
prevent
commingling
of
organic
and
nonorganic
products
on
a
split
operation
and
to
prevent
contact
of
organic
production
and
handling
operations
and
products
with
prohibited
substances.
Finally,
the
organic
system
plan
must
contain
the
additional
information
deemed
necessary
by
the
certifying
agent
to
evaluate
site
specific
conditions
relevant
to
compliance
with
these
or
applicable
State
program
regulations.
Producers
or
handlers
may
submit
a
plan
developed
to
comply
with
other
Federal,
State,
or
local
regulatory
programs
if
it
fulfills
the
requirements
of
an
organic
system
plan.
The
first
element
of
the
organic
system
plan
requires
a
narrative
or
other
descriptive
format
that
identifies
the
practices
and
procedures
to
be
performed
and
maintained,
including
the
frequency
with
which
they
will
be
performed.
Practices
are
tangible
production
and
handling
techniques,
such
as
the
method
for
applying
manure,
the
mechanical
and
biological
methods
used
to
prepare
and
combine
ingredients
and
package
finished
products,
and
the
measures
taken
to
exclude
pests
from
a
facility.
Procedures
are
the
protocols
established
for
selecting
appropriate
practices
and
materials
for
use
in
the
organic
system
plan,
such
as
a
procedure
for
locating
commercially
available,
organically
produced
seed.
Procedures
reflect
the
decision
making
process
used
to
implement
the
organic
system
plan.
By
requiring
information
on
the
frequency
with
which
production
and
handling
practices
and
procedures
will
be
performed,
the
final
rule
requires
an
organic
system
plan,
to
include
an
implementation
schedule,
including
information
on
the
timing
and
sequence
of
all
relevant
43
production
and
handling
activities.
The
plan
will
include,
for
example,
information
about
planned
crop
rotation
sequences,
the
timing
of
any
applications
of
organic
materials,
and
the
timing
and
location
of
soil
tests.
Livestock
management
practices
might
describe
development
of
a
rotational
grazing
plan
or
addition
of
mineral
supplements
to
the
feed
supply.
A
handling
operation
might
identify
steps
involved
in
locating
and
contracting
with
farmers
who
could
produce
organic
ingredients
that
were
in
short
supply.
The
second
element
that
must
be
included
in
an
organic
system
plan
is
information
on
the
application
of
substances
to
land,
facilities,
or
agricultural
products.
This
requirement
encompasses
both
natural
and
synthetic
materials
allowed
for
use
in
production
and
handling
operations.
For
natural
materials
which
may
be
used
in
organic
operations
under
specific
restrictions,
the
organic
plan
must
detail
how
the
application
of
the
materials
will
comply
with
those
restrictions.
For
example,
farmers
who
apply
manure
to
their
fields
must
document
in
their
organic
system
plans
how
they
will
prevent
that
application
from
contributing
to
water
contamination.
A
producer
and
handler
who
bases
the
selection
of
seed
and
planting
stock
material
under
section
205.204
or
an
agricultural
ingredient
under
section
205.301
on
the
commercial
availability
of
that
substance
must
provide
documentation
in
the
organic
system
plan.
The
third
element
of
the
organic
system
plan
is
a
description
of
the
methods
used
to
evaluate
its
effectiveness.
Producers
and
handlers
are
responsible
for
identifying
measurable
indicators
that
can
be
used
to
evaluate
how
well
they
are
achieving
the
objectives
of
the
operation.
For
example,
production
objectives
could
be
measured
through
regular
tallies
of
bushels
or
pounds
of
product
sold
from
the
farm
or
in
numbers
of
cases
sold
from
a
handling
operation.
Indicators
that
can
identify
changes
in
quality
or
effectiveness
of
management
44
practices
could
be
relatively
simple,
such
as
the
information
contained
in
a
standard
soil
test.
The
specific
indicators
used
to
evaluate
a
given
organic
system
plan
will
be
determined
by
the
producer
or
handler
in
consultation
with
the
certifying
agent.
Thus,
if
the
organic
system
plan
calls
for
improvements
in
soil
organic
matter
content
in
a
particular
field,
it
would
include
provisions
for
analyzing
soil
organic
matter
levels
at
periodic
intervals.
If
herd
health
improvement
is
an
objective,
factors
such
as
somatic
cell
count
or
observations
about
changes
in
reproductive
patterns
might
be
used
as
indicators.
The
fourth
element
of
the
organic
system
plan
is
a
description
of
the
recordkeeping
system
used
to
verify
and
document
an
audit
trail,
as
appropriate
to
the
operation.
For
each
crop
or
wildcrop
harvested,
the
audit
trail
must
trace
the
product
from
the
field,
farm
parcel,
or
area
where
it
is
harvested
through
the
transfer
of
legal
title.
A
livestock
operation
must
trace
each
animal
from
its
entrance
into
through
removal
from
the
organic
operation.
A
handling
operation
must
trace
each
product
that
is
handled
and
sold,
labeled,
or
represented
as
organic
from
the
receipt
of
its
constituent
ingredients
to
the
sale
of
the
processed
product.
The
fifth
element
which
must
be
included
in
an
organic
system
plan
pertains
to
split
production
or
handling
operations.
This
provision
requires
an
operation
that
produces
both
organic
and
nonorganic
products
to
describe
the
management
practices
and
physical
barriers
established
to
prevent
commingling
of
organic
and
nonorganic
products.
This
requirement
addresses
contact
of
organic
products,
including
livestock,
organic
field
units,
storage
areas,
and
packaging
to
be
used
for
organic
products,
with
prohibited
substances.
The
specific
requirements
to
be
included
in
an
organic
system
plan
are
not
listed
here.
The
accreditation
process
provides
an
assurance
that
certifying
agents
are
competent
to
determine
the
45
specific
documentation
they
require
to
review
and
evaluate
an
operation's
organic
system
plan.
Section
205.200(
a)(
6)
allows
a
certifying
agent
to
request
additional
information
needed
to
determine
that
an
organic
system
plan
meets
the
requirements
of
this
subpart.
The
site
specific
nature
of
organic
production
and
handling
necessitates
that
certifying
agents
have
the
authority
to
determine
whether
specific
information
is
needed
to
carry
out
their
function.
Crop
Production
Any
field
or
farm
parcel
used
to
produce
an
organic
crop
must
have
been
managed
in
accordance
with
the
requirements
in
sections
205.203
through
205.206
and
have
had
no
prohibited
substances
applied
to
it
for
at
least
3
years
prior
to
harvest
of
the
crop.
Such
fields
and
farm
parcels
must
also
have
distinct,
defined
boundaries
and
buffer
zones
to
prevent
contact
with
the
land
or
crop
by
prohibited
substances
applied
to
adjoining
land.
A
producer
of
an
organic
crop
must
manage
soil
fertility,
including
tillage
and
cultivation
practices,
in
a
manner
that
maintains
or
improves
the
physical,
chemical,
and
biological
condition
of
the
soil
and
minimizes
soil
erosion.
The
producer
must
manage
crop
nutrients
and
soil
fertility
through
rotations,
cover
crops,
and
the
application
of
plant
and
animal
materials.
The
producer
must
manage
plant
and
animal
materials
to
maintain
or
improve
soil
organic
matter
content
in
a
manner
that
does
not
contribute
to
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
pathogenic
organisms,
heavy
metals,
or
residues
of
prohibited
substances.
Plant
and
animal
materials
include
raw
animal
manure,
composted
plant
and
animal
materials,
and
uncomposted
plant
materials.
Raw
animal
manure
must
either
be
composted,
applied
to
land
used
for
a
crop
not
intended
for
human
consumption,
or
incorporated
into
the
soil
at
least
90
days
before
harvesting
an
edible
product
that
does
not
come
into
contact
with
the
soil
or
soil
particles
and
at
46
least
120
days
before
harvesting
an
edible
product
that
does
come
into
contact
with
the
soil
or
soil
particles.
Composted
plant
or
animal
materials
must
be
produced
through
a
process
that
establishes
an
initial
carbon
to
nitrogen
(
C:
N)
ratio
of
between
25:
1
and
40:
1
and
achieves
a
temperature
between
131
E
F
and
170
E
F.
Composting
operations
that
utilize
an
in
vessel
or
static
aerated
pile
system
must
maintain
a
temperature
within
that
range
for
a
minimum
of
3
days.
Composting
operations
that
utilize
a
windrow
composting
system
must
maintain
a
temperature
within
that
range
for
a
minimum
of
15
days,
during
which
time
the
materials
must
be
turned
five
times.
In
addition
to
these
practices
and
materials,
a
producer
may
apply
a
crop
nutrient
or
soil
amendment
included
on
the
National
List
of
synthetic
substances
allowed
in
crop
production.
The
producer
may
apply
a
mined
substance
of
low
solubility.
A
mined
substance
of
high
solubility
may
only
be
applied
if
the
substance
is
used
in
compliance
with
the
annotation
on
the
National
List
of
nonsynthetic
materials
prohibited
in
crop
production.
Ashes
of
untreated
plant
or
animal
materials
which
have
not
been
combined
with
a
prohibited
substance
and
which
are
not
included
on
the
National
List
of
nonsynthetic
substances
prohibited
for
use
in
organic
crop
production
may
be
used
to
produce
an
organic
crop.
A
plant
or
animal
material
that
has
been
chemically
altered
by
a
manufacturing
process
may
be
used
only
if
it
is
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
production.
The
producer
may
not
use
any
fertilizer
or
composted
plant
and
animal
material
that
contains
a
synthetic
substance
not
allowed
for
crop
production
on
the
National
List
or
use
sewage
sludge.
Burning
crop
residues
as
a
means
of
disposal
is
prohibited,
except
that
burning
may
be
used
to
suppress
the
spread
of
disease
or
to
stimulate
seed
germination.
47
The
producer
must
use
organically
grown
seeds,
annual
seedlings,
and
planting
stock.
The
producer
may
use
untreated
nonorganic
seeds
and
planting
stock
when
equivalent
organic
varieties
are
not
commercially
available,
except
that
organic
seed
must
be
used
for
the
production
of
edible
sprouts.
Seed
and
planting
stock
treated
with
substances
that
appear
on
the
National
List
may
be
used
when
an
organically
produced
or
untreated
variety
is
not
commercially
available.
Nonorganically
produced
annual
seedlings
may
be
used
when
a
temporary
variance
has
been
established
due
to
damage
caused
by
unavoidable
business
interruption,
such
as
fire,
flood,
or
frost.
Planting
stock
used
to
produce
a
perennial
crop
may
be
sold
as
organically
produced
planting
stock
after
it
has
been
maintained
under
a
system
of
organic
management
for
at
least
1
year.
Seeds,
annual
seedlings,
and
planting
stock
treated
with
prohibited
substances
may
be
used
to
produce
an
organic
crop
when
the
application
of
the
substance
is
a
requirement
of
Federal
or
State
phytosanitary
regulations.
The
producer
is
required
to
implement
a
crop
rotation,
including
but
not
limited
to
sod,
cover
crops,
green
manure
crops,
and
catch
crops.
The
crop
rotation
must
maintain
or
improve
soil
organic
matter
content,
provide
for
effective
pest
management
in
perennial
crops,
manage
deficient
or
excess
plant
nutrients,
and
control
erosion
to
the
extent
that
these
functions
are
applicable
to
the
operation.
The
producer
must
use
preventive
practices
to
manage
crop
pests,
weeds,
and
diseases,
including
but
not
limited
to
crop
rotation,
soil
and
crop
nutrient
management,
sanitation
measures,
and
cultural
practices
that
enhance
crop
health.
Such
cultural
practices
include
the
selection
of
plant
species
and
varieties
with
regard
to
suitability
to
site
specific
conditions
and
resistance
to
prevalent
pests,
weeds,
and
diseases.
Mechanical
and
biological
methods
that
do
not
entail
48
application
of
synthetic
substances
may
be
used
as
needed
to
control
pest,
weed,
and
disease
problems
that
may
occur.
Pest
control
practices
include
augmentation
or
introduction
of
pest
predators
or
parasites;
development
of
habitat
for
natural
enemies;
and
nonsynthetic
controls
such
as
lures,
traps,
and
repellents.
Weed
management
practices
include
mulching
with
fully
biodegradable
materials;
mowing;
livestock
grazing;
hand
weeding
and
mechanical
cultivation;
flame,
heat,
or
electrical
techniques;
and
plastic
or
other
synthetic
mulches,
provided
that
they
are
removed
from
the
field
at
the
end
of
the
growing
or
harvest
season.
Disease
problems
may
be
controlled
through
management
practices
which
suppress
the
spread
of
disease
organisms
and
the
application
of
nonsynthetic
biological,
botanical,
or
mineral
inputs.
When
these
practices
are
insufficient
to
prevent
or
control
crop
pests,
weeds,
and
diseases,
a
biological
or
botanical
substance
or
a
synthetic
substance
that
is
allowed
on
the
National
List
may
be
used
provided
that
the
conditions
for
using
the
substance
are
documented
in
the
organic
system
plan.
The
producer
must
not
use
lumber
treated
with
arsenate
or
other
prohibited
materials
for
new
installations
or
replacement
purposes
that
comes
into
contact
with
soil
or
livestock.
A
wild
crop
that
is
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
be
harvested
from
a
designated
area
that
has
had
no
prohibited
substances
applied
to
it
for
a
period
of
3
years
immediately
preceding
the
harvest
of
the
wild
crop.
The
wild
crop
must
also
be
harvested
in
a
manner
that
ensures
such
harvesting
or
gathering
will
not
be
destructive
to
the
environment
and
will
sustain
the
growth
and
production
of
the
wild
crop.
Livestock
Production
Any
livestock
product
to
be
sold,
labeled,
or
represented
as
organic
must
be
maintained
49
under
continuous
organic
management
from
the
last
third
of
gestation
or
hatching
with
three
exceptions.
Poultry
or
edible
poultry
products
must
be
from
animals
that
have
been
under
continuous
organic
management
beginning
no
later
than
the
second
day
of
life.
Milk
or
milk
products
must
be
from
animals
that
have
been
under
continuous
organic
management
beginning
no
later
than
1
year
prior
to
the
production
of
such
products,
except
for
the
conversion
of
an
entire,
distinct
herd
to
organic
production.
For
the
first
9
months
of
the
year
of
conversion,
the
producer
may
provide
the
herd
with
a
minimum
of
80
percent
feed
that
is
either
organic
or
produced
from
land
included
in
the
organic
system
plan
and
managed
in
compliance
with
organic
crop
requirements.
During
the
final
3
months
of
the
year
of
conversion,
the
producer
must
provide
the
herd
feed
in
compliance
with
section
205.237.
Once
the
herd
has
been
converted
to
organic
production,
all
dairy
animals
shall
be
under
organic
management
from
the
last
third
of
gestation.
Livestock
used
as
breeder
stock
may
be
brought
from
a
nonorganic
operation
into
an
organic
operation
at
any
time,
provided
that,
if
such
livestock
are
gestating
and
the
offspring
are
to
be
organically
raised
from
birth,
the
breeder
stock
must
be
brought
into
the
organic
operation
prior
to
the
last
third
of
gestation.
Should
an
animal
be
brought
into
an
organic
operation
pursuant
to
this
section
and
subsequently
moved
to
a
nonorganic
operation,
neither
the
animal
nor
any
products
derived
from
it
may
be
sold,
labeled,
or
represented
as
organic.
Breeder
or
dairy
stock
that
has
not
been
under
continuous
organic
management
from
the
last
third
of
gestation
may
not
be
sold,
labeled,
or
represented
as
organic
slaughter
stock.
The
producer
of
an
organic
livestock
operation
must
maintain
records
sufficient
to
preserve
the
identity
of
all
organically
managed
livestock
and
all
edible
and
nonedible
organic
livestock
products
produced
on
his
or
her
operation.
50
Except
for
nonsynthetic
substances
and
synthetic
substances
included
on
the
National
List
that
may
be
used
as
feed
supplements
and
additives,
the
total
feed
ration
for
livestock
managed
in
an
organic
operation
must
be
composed
of
agricultural
products,
including
pasture
and
forage,
that
are
organically
produced.
Any
portion
of
the
feed
ration
that
is
handled
must
comply
with
organic
handling
requirements.
The
producer
must
not
use
animal
drugs,
including
hormones,
to
promote
growth
in
an
animal
or
provide
feed
supplements
or
additives
in
amounts
above
those
needed
for
adequate
growth
and
health
maintenance
for
the
species
at
its
specific
stage
of
life.
The
producer
must
not
feed
animals
under
organic
management
plastic
pellets
for
roughage
or
formulas
containing
urea
or
manure.
The
feeding
of
mammalian
and
poultry
slaughter
byproducts
to
mammals
or
poultry
is
prohibited.
The
producer
must
not
supply
animal
feed,
feed
additives,
or
feed
supplements
in
violation
of
the
Federal
Food,
Drug,
and
Cosmetic
Act.
The
producer
of
an
organic
livestock
operation
must
establish
and
maintain
preventive
animal
health
care
practices.
The
producer
must
select
species
and
types
of
livestock
with
regard
to
suitability
for
site
specific
conditions
and
resistance
to
prevalent
diseases
and
parasites.
The
producer
must
provide
a
feed
ration
including
vitamins,
minerals,
protein,
and/
or
amino
acids,
fatty
acids,
energy
sources,
and,
for
ruminants,
fiber.
The
producer
must
establish
appropriate
housing,
pasture
conditions,
and
sanitation
practices
to
minimize
the
occurrence
and
spread
of
diseases
and
parasites.
Animals
in
an
organic
livestock
operation
must
be
maintained
under
conditions
which
provide
for
exercise,
freedom
of
movement,
and
reduction
of
stress
appropriate
to
the
species.
Additionally,
all
physical
alterations
performed
on
animals
in
an
organic
livestock
operation
must
be
conducted
to
promote
the
animals'
welfare
and
in
a
manner
that
minimizes
stress
and
pain.
51
The
producer
of
an
organic
livestock
operation
must
administer
vaccines
and
other
veterinary
biologics
as
needed
to
protect
the
well
being
of
animals
in
his
or
her
care.
When
preventive
practices
and
veterinary
biologics
are
inadequate
to
prevent
sickness,
the
producer
may
administer
medications
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
livestock
operations.
The
producer
may
not
administer
synthetic
parasiticides
to
breeder
stock
during
the
last
third
of
gestation
or
during
lactation
if
the
progeny
is
to
be
sold,
labeled,
or
represented
as
organically
produced.
After
administering
synthetic
parasiticides
to
dairy
stock,
the
producer
must
observe
a
90
day
withdrawal
period
before
selling
the
milk
or
milk
products
produced
from
the
treated
animal
as
organically
produced.
Every
use
of
a
synthetic
medication
or
parasiticide
must
be
incorporated
into
the
livestock
operation's
organic
system
plan
subject
to
approval
by
the
certifying
agent.
The
producer
of
an
organic
livestock
operation
must
not
treat
an
animal
in
that
operation
with
antibiotics,
any
synthetic
substance
not
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
livestock
production,
or
any
substance
that
contains
a
nonsynthetic
substance
included
on
the
National
List
of
nonsynthetic
substances
prohibited
for
use
in
organic
livestock
production.
The
producer
must
not
administer
any
animal
drug,
other
than
vaccinations,
in
the
absence
of
illness.
The
use
of
hormones
for
growth
promotion
is
prohibited
in
organic
livestock
production,
as
is
the
use
of
synthetic
parasiticides
on
a
routine
basis.
The
producer
must
not
administer
synthetic
parasiticides
to
slaughter
stock
or
administer
any
animal
drug
in
violation
of
the
Federal
Food,
Drug,
and
Cosmetic
Act.
The
producer
must
not
withhold
medical
treatment
from
a
sick
animal
to
maintain
its
organic
status.
All
appropriate
medications
and
treatments
must
be
used
to
restore
an
animal
to
health
when
methods
acceptable
to
organic
production
standards
52
fail.
Livestock
that
are
treated
with
prohibited
materials
must
be
clearly
identified
and
shall
not
be
sold,
labeled,
or
represented
as
organic.
A
livestock
producer
must
document
in
his
or
her
organic
system
plan
the
preventative
measures
he
or
she
has
in
place
to
deter
illness,
the
allowed
practices
he
or
she
will
employ
if
illness
occurs,
and
his
or
her
protocol
for
determining
when
a
sick
animal
must
receive
a
prohibited
animal
drug.
These
standards
will
not
allow
an
organic
system
plan
that
envisions
an
acceptable
level
of
chronic
illness
or
proposes
to
deal
with
disease
by
sending
infected
animals
to
slaughter.
The
organic
system
plan
must
reflect
a
proactive
approach
to
health
management,
drawing
upon
allowable
practices
and
materials.
Animals
with
conditions
that
do
not
respond
to
this
approach
must
be
treated
appropriately
and
diverted
to
nonorganic
markets.
The
producer
of
an
organic
livestock
operation
must
establish
and
maintain
livestock
living
conditions
for
the
animals
under
his
or
her
care
which
accommodate
the
health
and
natural
behavior
of
the
livestock.
The
producer
must
provide
access
to
the
outdoors,
shade,
shelter,
exercise
areas,
fresh
air,
and
direct
sunlight
suitable
to
the
species,
its
stage
of
production,
the
climate,
and
the
environment.
This
requirement
includes
access
to
pasture
for
ruminant
animals.
The
producer
must
also
provide
appropriate
clean,
dry
bedding,
and,
if
the
bedding
is
typically
consumed
by
the
species,
it
must
comply
with
applicable
organic
feed
requirements.
The
producer
must
provide
shelter
designed
to
allow
for
the
natural
maintenance,
comfort
level,
and
opportunity
to
exercise
appropriate
to
the
species.
The
shelter
must
also
provide
the
temperature
level,
ventilation,
and
air
circulation
suitable
to
the
species
and
reduce
the
potential
for
livestock
injury.
The
producer
may
provide
temporary
confinement
of
an
animal
because
of
inclement
weather;
the
animal's
stage
of
production;
conditions
under
which
the
health,
safety,
or
well
being
53
of
the
animal
could
be
jeopardized;
or
risk
to
soil
or
water
quality.
The
producer
of
an
organic
livestock
operation
is
required
to
manage
manure
in
a
manner
that
does
not
contribute
to
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
heavy
metals,
or
pathogenic
organisms
and
optimizes
nutrient
recycling.
Handling
Mechanical
or
biological
methods
can
be
used
to
process
an
agricultural
product
intended
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
ingredients"
for
the
purpose
of
retarding
spoilage
or
otherwise
preparing
the
agricultural
product
for
market.
Processed
multiingredient
products
labeled
"
100
percent
organic,"
may
only
use
wholly
organic
ingredients,
pursuant
to
paragraph
(
a)
of
section
205.301.
Nonagricultural
substances
that
are
allowed
for
use
on
the
National
List
and
nonorganically
produced
agricultural
products
may
be
used
in
or
on
"
organic"
and
"
made
with..."
products
pursuant
to
paragraphs
(
b)
and
(
c)
of
section
205.301,
respectively.
Documentation
of
commercial
availability
of
each
substance
to
be
used
as
a
nonorganic
ingredient
in
products
labeled
"
organic"
must
be
listed
in
the
organic
handling
system
plan
in
accordance
with
section
205.201.
Handlers
are
prohibited
from
using:
(
1)
ionizing
radiation
for
the
treatment
or
processing
of
foods;
(
2)
ingredients
produced
using
excluded
methods;
or
(
3)
volatile
synthetic
solvents
in
or
on
a
processed
product
or
any
ingredient
which
is
sold,
labeled,
or
represented
as
organic.
The
prohibition
on
ionizing
radiation
for
the
treatment
or
processing
of
foods
is
discussed
under
Applicability,
section
205.105.
This
rule
does
not
prohibit
an
organic
handling
operation
from
using
Food
and
Drug
Administration
(
FDA)
approved
X
rays
for
inspecting
packaged
foods
for
foreign
objects
that
may
be
inadvertently
commingled
in
the
packaged
product.
54
The
two
paragraphs
on
excluded
methods
and
ionizing
radiation
in
section
205.270(
c)
of
the
proposed
rule
are
replaced
with
new
paragraph
(
c)(
1)
which
cross
references
those
practices
under
paragraphs
(
e)
and
(
f)
of
section
205.105.
New
section
205.105
clearly
specifies
that
ionizing
radiation
and
excluded
methods
are
two
practices
that
handlers
must
not
use
in
producing
organic
agricultural
products
and
ingredients.
The
prohibition
on
the
use
of
volatile
synthetic
solvents,
also
included
under
paragraph
(
c)
of
section
205.270
does
not
apply
to
nonorganic
ingredients
in
"
made
with..."
products.
The
practice
standard
for
facility
pest
management
under
section
205.271
requires
the
producer
or
handler
operating
a
facility
to
use
management
practices
to
control
and
prevent
pest
infestations.
Prevention
practices
in
paragraph
(
a)
include
removing
pest
habitats,
food
sources,
and
breeding
areas;
preventing
access
to
handling
facilities;
and
controlling
environmental
factors,
such
as
temperature,
light,
humidity,
atmosphere,
and
air
circulation,
to
prevent
pest
reproduction.
Permitted
pest
control
methods
in
paragraph
(
b)
include
mechanical
or
physical
controls,
such
as
traps,
light,
or
sound.
Lures
and
repellents
using
nonsynthetic
substances
may
be
used
as
pest
controls.
Lures
and
repellents
with
synthetic
substances
that
are
allowed
on
the
National
List
also
may
be
used.
Prevention
and
control
practices
in
paragraphs
(
a)
and
(
b)
may
be
used
concurrently.
If
the
practices
in
paragraphs
(
a)
and
(
b)
are
not
effective,
amended
paragraph
(
c)
provides
that
handlers
may
then
use
a
nonsynthetic
or
synthetic
substance
consistent
with
National
List.
If
the
measures
and
substances
provided
under
paragraphs
(
a),
(
b),
and
(
c)
are
not
effective,
synthetic
substances
not
on
the
National
List
may
be
used
to
control
pest
infestations.
Under
new
paragraph
(
d),
the
handler
and
the
operation's
certifying
agent,
prior
to
using
such
a
substance,
55
must
agree
on
the
substance
to
be
used
to
control
the
pest,
measures
to
be
taken
to
prevent
contact
with
organically
produced
product,
and
ingredients
that
may
be
in
the
handling
facility.
This
rule
recognizes
that
certain
local,
State,
and
Federal
laws
or
regulations
may
require
intervention
with
prohibited
substances
before
or
at
the
same
time
substances
allowed
in
paragraphs
(
b)
and
(
c)
are
used.
To
the
extent
that
this
occurs,
this
rule
permits
the
handler
to
follow
such
laws
and
regulations
to
market
a
product
as
organically
handled,
provided
that
the
product
does
not
come
into
contact
with
the
pest
control
substance
used.
The
extent
of
pest
infestation
cannot
be
foreseen
when
an
organic
plan
is
submitted
by
the
certified
operation
and
approved
by
the
certifying
agent.
A
handler
who
uses
any
nonsynthetic
or
synthetic
substance
to
control
facility
pests
must
update
its
organic
handling
system
plan
to
address
all
measures
taken
or
intended
to
be
taken
to
prevent
contact
between
the
substance
and
any
organically
produced
ingredient
or
finished
product.
Section
205.272
provides
additional
practice
standards
that
must
be
followed
by
an
organic
handling
operation
to
prevent
the
commingling
of
organic
and
nonorganic
products
and
to
protect
organic
products
from
contact
with
prohibited
substances.
An
organic
handling
operation
must
not
use
packaging
materials
and
storage
containers
or
bins
that
contain
a
synthetic
fungicide,
preservative,
or
fumigant
in
handling
an
organic
product.
The
operation
also
must
not
use
or
reuse
any
storage
bin
or
container
that
was
previously
in
contact
with
any
prohibited
substance
unless
the
reusable
bin
or
container
has
been
thoroughly
cleaned
and
poses
no
risk
of
prohibited
materials
contacting
the
organic
product.
Temporary
Variances
This
subpart
establishes
conditions
under
which
certified
organic
operations
may
receive
56
temporary
variances
from
the
production
and
handling
provisions
of
this
subpart.
The
Administrator
may
establish
temporary
variances
due
to:
(
1)
Natural
disasters
declared
by
the
Secretary;
(
2)
unavoidable
business
interruption
caused
by
natural
catastrophes
such
as
drought,
wind,
fire,
flood,
excessive
moisture,
hail,
tornado,
or
earthquake;
or
(
3)
to
conduct
research
on
organic
production
and
handling
techniques
or
inputs.
An
SOP's
governing
State
official
or
a
certifying
agent
may
recommend
that
the
Administrator
establish
a
temporary
variance
for
various
reasons
including
an
unavoidable
business
interruption.
The
Administrator
will
determine
how
long
a
temporary
variance
will
be
in
effect
at
the
time
it
is
established,
subject
to
such
extension
as
the
Administrator
deems
necessary.
Temporary
variances
may
not
be
issued
to
allow
use
of
any
practice,
material,
or
procedure
which
is
prohibited
under
section
205.105.
The
proposed
rule
inadvertently
omitted
the
SOP's
governing
State
official
as
having
authority
to
recommend
a
temporary
variance
to
the
Administrator.
We
have
added
that
authority
in
paragraph
(
b)
of
section
205.290.
Upon
notification
by
the
Administrator
that
a
temporary
variance
has
been
established,
the
certifying
agent
must
inform
each
production
and
handling
operation
it
certifies
that
may
be
affected
by
the
temporary
variance.
For
example,
if
a
drought
causes
a
severe
shortage
of
organically
produced
hay,
a
dairy
operation
may
be
permitted
to
substitute
some
nonorganic
hay
for
a
portion
of
the
herd's
diet
to
prevent
liquidation
of
the
herd.
The
producer
must
keep
records
showing
the
source
and
amount
of
the
nonorganic
hay
used
and
the
timeframe
needed
to
restore
the
total
feed
ration
to
organic
sources.
The
certifying
agent
may
require
that
the
next
organic
plan
include
contingency
measures
to
avoid
the
need
to
resort
to
nonorganic
feed
in
case
of
a
future
shortage.
57
General
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Maintain
or
Improve
Provision
for
Production
Operations
Only.
A
number
of
commenters
questioned
whether
the
requirement
in
the
proposed
rule
that
an
operation
must
"
maintain
or
improve
the
natural
resources
of
the
operation,
including
soil
and
water
quality"
applied
to
handling
as
well
as
production
operations.
They
stated
that
handling
operations
are
not
integrated
into
natural
systems
the
way
that
production
systems
are.
As
a
result,
these
commenters
were
uncertain
how
handlers
could
fulfill
the
"
maintain
or
improve"
requirement.
The
"
maintain
or
improve"
requirement
addresses
the
impact
of
a
production
operation
on
the
natural
resource
base
that
sustains
it
and,
as
such,
does
not
apply
to
handling
operations.
We
have
modified
the
final
rule
in
section
205.200
by
limiting
the
"
maintain
or
improve"
requirement
to
production
practices.
(
2)
Management
Practices
and
Physical
Barriers
to
Prevent
Commingling.
Many
commenters,
including
numerous
certifying
agents,
stated
that
the
proposed
provisions
for
an
organic
system
plan
were
not
adequate
for
the
task
of
certifying
an
operation
that
produces
both
organic
and
nonorganic
products.
The
commenters
requested
that
the
final
rule
incorporate
the
provisions
established
in
the
OFPA
for
certifying
these
split
operations.
These
provisions
include
separate
recordkeeping
for
the
organic
and
nonorganic
operations
and
the
implementation
of
protective
practices
to
prevent
the
commingling
of
product
and
the
unintentional
contact
of
organic
product
with
prohibited
substances.
We
have
amended
the
provisions
for
an
organic
system
plan
in
section
205.201(
a)(
5)
to
require
greater
accountability
regarding
the
segregation
of
organic
and
nonorganic
products
in
a
split
operation.
The
changes
we
made
incorporate
language
58
from
the
OFPA
("
physical
facilities,
management
practices")
to
provide
clear
criteria
for
producers,
handlers
and
certifying
agents
to
agree
upon
an
organic
system
plan
that
protects
the
integrity
of
organic
product.
(
3)
Commercial
Availability.
The
proposed
rule
required
that
a
raw
or
processed
agricultural
product
sold,
labeled,
or
represented
as
organic
must
contain
not
less
than
95
percent
organically
produced
raw
or
processed
agricultural
product.
Additionally,
section
205.606
of
the
proposed
rule
allowed
any
nonorganically
produced
agricultural
product
to
be
used
in
the
5
percent
nonorganic
component
of
an
agricultural
product
sold,
labeled,
or
represented
as
organic.
Many
commenters
objected
to
these
provisions
and
recommended
that
nonorganically
produced
agricultural
products
should
only
be
allowed
in
an
organic
product
when
the
organically
produced
form
was
not
commercially
available.
Commenters
stated
that
allowing
nonorganically
produced
agricultural
products
within
the
5
percent
would
significantly
weaken
demand
for
many
organically
produced
commodities,
especially
herbs
and
spices.
These
commenters
stated
that
herbs
and
spices
often
constitute
less
than
5
percent
of
the
ingredients
in
a
raw
or
processed
agricultural
product
and
that
handlers
producing
an
organic
product
would
instinctively
seek
out
the
less
expensive
nonorganic
variety.
They
also
indicated
that
the
5
percent
component
is
an
important
market
for
many
products
produced
from
organically
produced
livestock,
such
as
milk
derivatives
and
meat
by
products,
that
are
not
typically
marketed
directly
to
consumers.
Commenters
stated
that
the
preponderance
of
current
certification
programs
use
the
commercial
availability
criterion
when
determining
whether
a
nonorganically
produced
agricultural
product
may
be
used
within
the
5
percent
component.
Commenters
cited
the
National
Organic
Standards
Board's
(
NOSB)
recommendation
that
organic
agricultural
products
be
used
in
this
5
percent
59
component
unless
they
are
commercially
unavailable
and
requested
that
the
final
rule
incorporate
the
criteria
for
determining
commercial
availability
that
accompanied
that
NOSB
recommendation.
We
agree
with
commenters
that
a
preference
for
organically
produced
agricultural
commodities,
when
commercially
available,
can
benefit
organic
producers,
handlers,
and
consumers
in
a
variety
of
ways.
We
believe
that
the
commercial
availability
requirement
may
allow
consumers
to
have
confidence
that
processed
products
labeled
as
"
organic"
contain
the
highest
feasible
percentage
of
organic
ingredients.
Some
producers
may
benefit
from
any
market
incentive
to
supply
organically
produced
minor
ingredients
that
handlers
need
for
their
processed
products.
We
recognize
that
the
provision
does
impose
an
additional
requirement
on
handlers
who
must
ascertain
whether
the
agricultural
ingredients
they
use
are
commercially
available
in
organic
form.
The
NOSB
recommended
that
the
final
rule
contain
a
commercial
availability
provision
based
upon
the
guidelines
developed
by
the
American
Organic
Standards
project
of
the
Organic
Trade
Association.
For
these
reasons,
we
have
amended
the
final
rule
to
require
that
an
agricultural
commodity
used
as
an
ingredient
in
a
raw
or
processed
product
labeled
as
organic
must
be
organic
when
the
ingredient
is
commercially
available
in
an
organic
form.
While
recognizing
the
potential
benefits
of
applying
the
commercial
availability
standard
to
all
agricultural
ingredients
in
a
processed
product,
we
are
concerned
that
enforcing
this
provision
could
impose
an
excessive
burden
on
handlers.
Although
many
commenters
stated
that
some
existing
certifying
agents
apply
a
commercial
availability
standard,
we
do
not
have
complete
information
on
the
criteria
used
by
these
certifying
agents,
and
we
are
unsure
whether
a
consensus
exists
on
criteria
for
commercial
availability
within
the
organic
community.
Additionally,
we
are
60
concerned
that,
unless
the
standard
is
clearly
articulated
and
consistently
interpreted
and
enforced,
it
will
not
be
effective.
Disagreement
among
certifying
agents
regarding
when
and
under
what
circumstances
an
ingredient
is
commercially
available
would
undermine
our
intent
to
create
an
equitable
and
enforceable
standard.
AMS
is
soliciting
additional
comment
and
information
on
a
number
of
issues
concerning
the
development
of
standards
for
the
commercial
availability
of
organically
produced
agricultural
commodities
used
in
processed
products
labeled
as
"
organic."
On
the
basis
of
these
comments
and
information
and
additional
recommendations
that
the
NOSB
may
develop,
AMS
will
develop
a
commercial
availability
standard
for
use
in
implementing
the
final
rule.
AMS
intends
to
develop
the
commercial
availability
standard
and
incorporate
it
within
the
final
rule
prior
to
the
commencement
of
certification
activities
by
accredited
certifying
agents.
This
approach
will
provide
organic
handlers
and
certifying
agents
the
standard
necessary
to
incorporate
the
consideration
of
commercial
availability
of
ingredients
in
an
organic
system
plan
at
the
time
that
the
USDA
organic
standard
comes
into
use.
Specifically,
AMS
requests
comments
and
information
addressing
the
following
questions:
What
factors,
such
as
quantity,
quality,
consistency
of
supply,
and
expense
of
different
sources
of
an
ingredient,
should
be
factored
into
the
consideration
of
commercial
availability?
What
relative
importance
should
each
of
these
factors
possess,
and
are
there
circumstances
under
which
the
relative
importance
can
change?
What
activities
and
documentation
are
sufficient
to
demonstrate
that
a
handler
has
taken
appropriate
and
adequate
measures
to
ascertain
whether
an
ingredient
is
commercially
available?
How
can
AMS
ensure
the
greatest
possible
degree
of
consistency
in
the
application
of
the
61
commercial
availability
standard
among
multiple
certifying
agents?
Could
potentially
adverse
effects
of
a
commercial
availability
standard,
such
as
uncertainty
over
the
cost
and
availability
of
essential
ingredients,
impact
or
impede
the
development
of
markets
for
organically
processed
products?
What
economic
and
administrative
burdens
are
imposed
by
the
commercial
availability
standards
found
in
existing
organic
certification
programs?
How
would
producers
benefit
from
market
incentives
to
increase
use
of
organic
ingredients
that
result
from
a
commercial
availability
standard?
Would
lack
of
a
commercial
availability
standard
provide
a
disincentive
for
handlers
of
products
labeled
"
organic"
to
seek
out
additional
organic
minor
ingredients?
What
impacts
could
this
have
on
producers
of
minor
ingredients?
AMS
welcomes
any
new
or
unpublished
research
results
or
information
that
exists
concerning
a
commercial
availability
standard.
AMS
specifically
invites
comment
from
establishments
which
currently
operate
using
commercial
availability
or
a
comparable
provision
in
the
conduct
of
their
business.
AMS
will
receive
comment
on
this
issue
until
90
days
after
publication
of
the
final
rule.
(
4)
Conservation
of
Biodiversity.
Many
commenters
recommended
amending
the
definition
of
organic
production
to
include
the
requirement
that
an
organic
production
system
must
promote
or
enhance
biological
diversity
(
biodiversity).
Commenters
stated
that
the
definitions
for
organic
production
developed
by
the
NOSB
and
the
Codex
Commission
include
this
requirement.
We
agree
with
these
commenters
and
have
amended
the
definition
of
organic
production
to
require
that
a
producer
must
conserve
biodiversity
on
his
or
her
operation.
The
use
62
of
"
conserve"
establishes
that
the
producer
must
initiate
practices
to
support
biodiversity
and
avoid,
to
the
extent
practicable,
any
activities
that
would
diminish
it.
Compliance
with
the
requirement
to
conserve
biodiversity
requires
that
a
producer
incorporate
practices
in
his
or
her
organic
system
plan
that
are
beneficial
to
biodiversity
on
his
or
her
operation.
General
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
Organic
Plan
Excessively
Restrictive.
One
organic
inspector
was
concerned
that
the
requirements
of
the
organic
system
plan
were
too
prescriptive
and
would
create
an
excessive
paper
work
burden
for
producers
and
handlers.
The
commenter
stated
that
the
excessive
specificity
of
certain
requirements
(
composition
and
source
of
every
substance
used),
combined
with
the
ambiguity
of
others
(
soil
and
tissue
testing
required
but
with
no
mention
of
the
frequency),
would
confuse
the
working
relationship
between
a
producer
or
handler
and
his
or
her
certifying
agent.
The
commenter
was
concerned
that
strict
adherence
to
the
specifications
in
the
organic
system
plan
would
compromise
the
ability
of
producers
and
handlers
to
run
their
businesses.
While
agreeing
that
flexibility
in
the
development
of
the
organic
system
plan
was
valuable,
the
commenter
stated
that
producers
and
handlers,
not
the
certifying
agent,
must
retain
the
primary
managerial
role
for
their
operation.
Other
commenters
maintained
that
the
organic
system
plan
requirements
were
too
ambiguous
and
would
inhibit
certifying
agents'
efforts
to
review
necessary
information.
For
example,
a
trade
association
commented
that
the
absence
of
specific
recordkeeping
requirements
for
livestock
feed
materials,
medications,
and
health
care
activities
would
impair
compliance
monitoring.
63
The
provisions
for
an
organic
system
plan
were
one
of
the
most
significantly
revised
components
of
the
proposed
rule,
and,
with
minor
changes
related
to
split
operations,
we
have
retained
them
in
the
final
rule.
These
provisions
provide
ample
discretion
for
producers,
handlers,
and
certifying
agents
to
perform
their
duties
while
recognizing
that
mutual
consent
is
a
prerequisite
for
them
to
meet
their
responsibilities.
The
organic
system
plan
enables
producers
and
handlers
to
propose
and
certifying
agents
to
approve
site
and
operation
specific
practices
that
fulfill
all
applicable
program
requirements.
Producers
and
handlers
retain
the
authority
to
manage
their
operations
as
they
deem
necessary,
but
any
actions
they
undertake
that
modify
their
organic
system
plan
must
be
approved
by
the
certifying
agent.
With
regard
to
recordkeeping,
certifying
agents
are
authorized
to
require
the
additional
information,
such
as
the
livestock
records
mentioned
in
the
comment,
that
they
deem
necessary
to
evaluate
compliance
with
the
regulations.
One
certifying
agent
stated
that
the
requirement
to
maintain
or
improve
the
natural
resources
of
the
operation
was
worthy
in
principle
but
unreasonable
to
achieve.
This
commenter
stated
that
the
long
term
consequences
of
an
organic
system
plan
could
not
be
foreseen
and
recommended
requiring
that
producers
"
must
endeavor"
to
maintain
or
improve
the
operation's
natural
resources.
We
have
not
changed
this
requirement
because
the
vast
majority
of
commenters
supported
an
organic
system
plan
that
mandated
the
"
maintain
or
improve"
principle.
A
good
working
relationship
between
the
producer
and
his
or
her
certifying
agent,
including
the
annual
inspection
and
accompanying
revisions
to
the
organic
system
plan,
can
rectify
the
unforeseen
and
unfavorable
conditions
that
arise.
Crop
Production
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
64
(
1)
Crop
nutrient
management.
The
fundamental
requirement
of
the
soil
fertility
and
crop
nutrient
management
practice
standard,
that
tillage,
cultivation,
and
nutrient
management
practices
maintain
or
improve
the
physical,
chemical,
and
biological
condition
of
the
soil
and
minimize
erosion,
remains
unaltered.
The
proposed
rule
required
that
a
producer
budget
crop
nutrients
by
properly
utilizing
manure
or
other
animal
and
plant
materials,
mined
substances
of
low
or
high
solubility,
and
allowed
synthetic
amendments.
Many
commenters
disagreed
with
using
the
term,
"
budget,"
which
they
considered
too
limiting
to
characterize
nutrient
management
in
organic
systems.
These
commenters
recommended
that
the
practice
standard
instead
emphasize
the
diverse
practices
used
in
organic
systems
to
cycle
nutrients
over
extended
periods
of
time.
We
agree
with
these
commenters
and
have
amended
the
final
rule
to
require
that
producers
manage
crop
nutrients
and
soil
fertility
through
the
use
of
crop
rotations
and
cover
crops
in
addition
to
plant
and
animal
materials.
Additionally,
we
clarified
that
producers
may
manage
crop
nutrients
and
soil
fertility
by
applying
mined
substances
if
they
are
used
in
compliance
with
the
conditions
established
in
the
National
List.
Finally,
we
removed
the
word,
"
waste,"
from
our
description
of
animal
and
plant
materials
in
the
proposed
rule
to
emphasize
the
importance
of
these
resources
in
organic
soil
fertility
management.
(
2)
Compost
Practice
Standard.
The
proposed
rule
required
that
a
composted
material
used
on
an
organic
operation
must
be
produced
at
a
facility
in
compliance
with
the
Natural
Resource
Conservation
Service
(
NRCS)
practice
standard.
While
many
commenters
agreed
with
the
need
for
greater
oversight
of
the
feedstocks
and
procedures
used
to
produce
compost,
most
stated
that
the
NRCS
practice
standard
would
not
be
suitable
for
this
purpose.
Commenters
65
stated
that
the
requirements
in
the
NRCS
practice
standard
were
not
designed
for
organic
operations
and
would
prohibit
many
established,
effective
composting
systems
currently
used
by
organic
producers.
For
example,
adoption
of
the
NRCS
practice
standard
would
prevent
producers
from
using
nonfarm
wastes
as
compost
feedstocks.
Materials
such
as
food
processing
by
products
and
leaves
from
curbside
collection
programs
have
long
been
used
with
beneficial
results.
Commenters
also
stated
that
the
minimum
acceptable
requirements
for
the
design,
construction,
and
operation
of
a
composting
facility
contained
in
the
practice
standard
were
appropriate
for
a
voluntary
cost
share
program
but
were
excessive
as
a
compliance
requirement
for
organic
certification.
Commenters
questioned
whether
producers
could
justify
the
investment
of
time
and
resources
needed
to
comply
with
the
multiple
design
and
operation
criteria
specified
in
the
NRCS
practice
standard.
We
agree
with
commenters
who
stated
that,
given
the
diversity
of
composting
systems
covered
by
a
national
organic
standard,
requiring
full
compliance
with
the
NRCS
practice
standard
would
be
overly
prescriptive.
We
maintain,
however,
that
implementation
of
the
OFPA
requires
a
rigorous,
quantitative
standard
for
the
production
of
compost.
The
OFPA
contains
significant
restrictions
on
applying
raw
manure
that
are
reflected
in
the
soil
fertility
and
crop
nutrient
management
practice
standard.
These
restrictions
pertain
to
raw
manure
and
do
not
apply
once
fresh
animal
materials
are
transformed
into
a
composted
material.
An
organic
producer
using
a
composted
material
containing
manure
must
comply
with
the
nutrient
cycling
and
soil
and
water
conservation
provisions
in
his
or
her
organic
system
plan
but
is
not
constrained
by
the
restrictions
that
apply
to
raw
manure.
Therefore,
producers
intending
to
apply
soil
66
amendments
will
require
clear
and
verifiable
criteria
to
differentiate
raw
manure
from
composted
material.
We
developed
the
requirements
in
the
final
rule
for
producing
an
allowed
composted
material
by
integrating
standards
used
by
the
Environmental
Protection
Agency
(
EPA)
and
USDA's
Natural
Resources
Conservation
Service
(
NRCS).
The
requirements
for
the
carbon
tonitrogen
(
C:
N)
ratio
for
composting
materials
are
the
same
as
that
found
in
the
NRCS
practice
standard
for
a
composting
facility.
The
time
and
temperature
requirements
for
in
vessel,
static
aerated
pile,
and
windrow
composting
systems
are
consistent
with
that
EPA
regulates
under
40
CFR
Part
503
for
the
production
of
Class
A
sewage
sludge.
Additionally,
AMS
reviewed
these
compost
production
requirements
with
USDA's
Agricultural
Research
Service
(
ARS).
The
conditions
in
the
final
rule
for
producing
an
allowed
composted
material
begin
with
the
selection
of
appropriate
feedstocks.
The
producer's
first
responsibility
is
to
identify
the
source
of
the
feedstocks
used
in
the
composting
system.
This
requirement
ensures
that
only
allowed
plant
and
animal
materials
are
included
in
the
composting
process,
that
they
are
not
contaminated
with
prohibited
materials,
and
that
they
are
incorporated
in
quantities
suitable
to
the
design
of
the
composting
system.
Certifying
agents
will
exercise
considerable
discretion
for
evaluating
the
appropriateness
of
potential
feedstock
materials
and
may
require
testing
for
prohibited
substances
before
allowing
their
use.
For
example,
a
certifying
agent
could
require
a
producer
to
monitor
off
farm
inputs
such
as
leaves
collected
through
a
municipal
curbside
program
or
organic
wastes
from
a
food
processing
facility.
Monitoring
may
be
necessary
to
protect
against
contamination
from
residues
of
prohibited
substances,
such
as
motor
oil
or
heavy
metals,
or
gross
inert
materials
such
as
glass
shards
that
can
enter
the
organic
waste
stream.
The
final
rule
further
requires
that
the
producer
adhere
to
quantitative
criteria
when
67
combining
and
managing
the
plant
and
animal
materials
that
are
being
composted.
When
combining
feedstocks
to
initiate
the
process,
producers
must
establish
a
C:
N
ratio
of
between
25:
1
and
40:
1.
This
range
allows
for
very
diverse
combinations
of
feedstock
materials
while
ensuring
that,
when
properly
managed,
the
composting
process
will
yield
high
quality
material.
While
some
commenters
maintained
that
specifying
any
C:
N
ratio
in
the
final
rule
would
be
too
restrictive,
it
would
be
far
more
problematic
not
to
establish
a
range.
The
25:
1
to
40:
1
range
ensures
that
producers
will
establish
appropriate
conditions
under
which
the
additional
requirements
in
this
practice
standard,
most
notably
the
time
and
temperature
criteria,
can
be
achieved
with
minimal
producer
oversight.
Composting
operations
using
a
C:
N
ratio
lower
than
25:
1
require
increasingly
intensive
management
as
the
ratio
drops
due
to
the
risk
of
putrefaction.
Operations
in
excess
of
the
40:
1
range
may
achieve
the
minimum
temperature
but
are
likely
to
drop
off
quickly
and
result
in
a
finished
material
that
is
inadequately
mature
and
deficient
in
nitrogen.
The
producer
is
not
required
to
perform
a
physical
analysis
of
each
feedstock
component
if
he
or
she
can
demonstrate
that
an
estimated
value
is
reliable.
For
example,
estimates
of
the
carbon
and
nitrogen
content
in
specific
manures
and
plant
materials
are
generally
recognized.
Other
feedstocks
of
consistent
quality
may
be
tested
once
and
assumed
to
approximate
that
value.
The
producer
must
develop
in
his
or
her
organic
system
plan
the
management
strategies
and
monitoring
techniques
to
be
used
in
his
or
her
composting
system.
To
produce
an
allowed
composted
material,
the
producer
must
use
an
in
vessel,
static
aerated
pile,
or
windrow
composting
system.
Producers
using
an
in
vessel
or
static
aerated
pile
system
must
document
that
the
composting
process
achieved
a
temperature
between
131
E
F
and
170
E
F
and
maintained
68
that
level
for
a
minimum
of
3
days.
Producers
using
a
windrow
composting
system
must
document
that
the
composting
process
achieved
a
temperature
between
131
E
F
and
170
E
F
and
maintained
that
level
for
a
minimum
of
15
days.
Compost
produced
using
a
windrow
system
must
be
turned
five
times
during
the
process.
These
time
and
temperature
requirements
are
designed
to
minimize
the
risk
from
human
pathogens
contained
in
the
feedstocks,
degrade
plant
pathogens
and
weed
seeds,
and
ensure
that
the
plant
nutrients
are
sufficiently
stabilized
for
land
application.
The
final
rule
does
not
contain
provisions
for
the
use
of
materials
commonly
referred
to
as
"
compost
teas."
A
compost
tea
is
produced
by
combining
composted
plant
and
animal
materials
with
water
and
a
concentrated
nutrient
source
such
as
molasses.
The
moisture
and
nutrient
source
contribute
to
a
bloom
in
the
microbial
population
in
the
compost,
which
is
then
applied
in
liquid
form
as
a
crop
pest
or
disease
control
agent.
The
microbial
composition
of
compost
teas
are
difficult
to
ascertain
and
control
and
we
are
concerned
that
applying
compost
teas
could
impose
a
risk
to
human
health.
Regulation
of
compost
teas
was
not
addressed
in
the
proposed
rule.
The
National
Organic
Program
(
NOP)
will
request
additional
input
from
the
NOSB
and
the
agricultural
research
community
before
deciding
whether
these
materials
should
be
prohibited
in
organic
production
or
whether
restrictions
on
their
use
are
appropriate.
In
addition
to
managing
crop
nutrients
with
raw
manure
and
composted
plant
and
animal
materials,
a
producer
may
use
uncomposted
plant
materials.
These
are
materials
derived
exclusively
from
plant
sources
that
a
producer
manages
in
a
manner
that
makes
them
suitable
for
application
in
a
cropping
system.
For
example,
plant
materials
that
are
degraded
and
stabilized
through
a
vermicomposting
process
may
be
used
as
a
soil
fertility
and
crop
nutrient
amendment.
(
3)
Mined
Substances
of
High
Solubility.
The
proposed
rule
treated
mined
substances
of
69
high
solubility
as
a
single
category
of
soil
amendment
and
allowed
their
use
where
warranted
by
soil
and
crop
tissue
testing.
Many
commenters
objected
to
the
general
allowance
for
this
category
of
substances
and
were
particularly
disappointed
that
the
NOSB
annotations
on
two
such
materials,
sodium
(
Chilean)
nitrate
and
potassium
chloride,
were
not
included.
Commenters
cited
the
potential
detrimental
effects
of
these
highly
soluble
and
saline
substances
on
soil
quality
and
stated
that
several
international
organic
certification
programs
severely
prescribe
or
prohibit
their
use.
One
certifying
agent
recommended
that
natural
substances
of
high
solubility
and
salinity
be
handled
comparably
to
similar
synthetic
materials
such
as
liquid
fish
products
and
humic
acids
that
appear
on
the
National
List,
complete
with
their
original
NOSB
annotations.
At
its
June
2000
meeting,
the
NOSB
recommended
that
the
NOP
delete
general
references
to
mined
substances
of
high
solubility
from
the
final
rule,
and
incorporate
the
NOSB's
specific
annotations
for
materials
of
this
nature.
We
have
adopted
this
recommendation
by
retaining
a
place
for
mined
substances
of
high
solubility
in
the
soil
fertility
and
crop
nutrient
management
practice
standard
but
restricting
their
use
to
the
conditions
established
for
the
material
as
specified
on
the
National
List
of
prohibited
natural
substances.
Under
this
approach,
mined
substances
of
high
solubility
are
prohibited
unless
used
in
accordance
with
the
annotation
recommended
by
the
NOSB
and
added
by
the
Secretary
to
the
National
List.
We
deleted
the
provision
from
the
proposed
rule
that
use
of
the
substance
be
"
justified
by
soil
or
crop
tissue
analysis."
The
final
rule
contains
two
materials
sodium
nitrate
and
potassium
chloride
that
may
be
used
in
organic
crop
production
with
the
annotations
developed
the
NOSB.
While
"
mined
substances
of
high
solubility"
is
not
a
discrete,
recognized
category
such
as
crop
nutrients,
the
proposed
rule
mentioned
sodium
nitrate,
potassium
chloride,
potassium
nitrate
70
(
niter),
langbeinite
(
sulfate
of
potash
magnesia),
and
potassium
sulfate
in
this
context.
Based
on
the
recommendation
of
the
NOSB,
the
final
rule
would
prohibit
use
of
these
materials,
unless
the
NOSB
developed
recommendations
on
conditions
for
their
use
and
the
Secretary
added
them
to
the
National
List.
The
NOP
would
welcome
further
guidance
from
the
NOSB
on
these
materials.
(
4)
Burning
crop
residues.
The
proposed
rule
prohibited
burning
as
a
means
of
crop
disposal,
except
for
burning
prunings
from
perennial
crops
to
suppress
the
spread
of
disease.
Many
commenters
supported
the
principle
behind
the
prohibition
but
maintained
that
the
proposed
language
was
too
restrictive
and
would
preclude
certain
beneficial
agronomic
practices.
Several
producers
stated
that
the
proposed
rule
would
prevent
them
from
collecting
and
burning
residues
from
diseased
annual
crops,
which
they
felt
was
an
effective
and
beneficial
practice.
Other
producers
cited
their
use
of
prescriptive
burning
as
a
management
practice
for
certain
native
or
wild
crops.
As
evidenced
by
the
allowance
for
burning
to
suppress
disease
with
perennial
crops,
the
proposed
rule
was
not
designed
to
preclude
the
selective
use
of
fire
in
organic
production.
We
agree
with
the
commenters
that
a
more
flexible
allowance
for
the
practice
is
warranted,
and
we
have
amended
the
provision
to
allow
burning
of
annual
and
perennial
crop
residues
for
the
suppression
of
disease
and
to
stimulate
seed
germination.
Producers
must
establish
their
need
and
procedures
for
burning
in
their
organic
system
plan,
and
the
practice
cannot
be
used
solely
to
remove
crop
debris
from
fields.
(
5)
Requirement
for
Organic
Seed
in
Sprout
Production.
The
proposed
rule
allowed
nonorganically
produced
seeds
for
all
purposes,
including
sprout
production,
when
the
certifying
agent
concurred
with
the
producer
that
organically
produced
seeds
were
not
commercially
available.
While
commenters
predominately
supported
this
approach
with
seed
used
for
planting,
71
they
were
virtually
unanimous
in
stating
that
it
is
never
appropriate
to
allow
nonorganically
produced
and
handled
seeds
in
organic
sprout
production.
Commenters
cited
the
NOSB's
June
1994
recommendation
that
seed
used
for
the
production
of
edible
sprouts
shall
be
organically
produced
and
stated
that
existing
certification
standards
do
not
provide
an
exemption
based
on
commercial
availability.
We
agree
with
these
commenters
and
have
modified
the
final
rule
to
require
that
organic
seed
must
be
used
for
the
production
of
edible
sprouts.
(
6)
Mitigating
the
Effects
of
a
Biological,
Botanical,
or
Synthetic
Substance.
The
proposed
rule
required
that
producers
who
used
a
biological
or
botanical
substance
or
an
allowed
synthetic
substance
to
control
crop
pests,
weeds,
or
disease
evaluate
and
mitigate
the
effects
of
repetitive
use
of
the
same
or
similar
substances.
While
agreeing
that
pest
resistance
and
shifts
in
pest
populations
were
important
considerations,
commenters
stated
that
managing
these
issues
was
beyond
the
ability
of
individual
operations.
Commenters
recommended
that
the
NOP
develop
principles
and
practices
for
managing
pest
resistance
and
shifts
in
pest
types
that
would
apply
to
all
production
operations.
We
agree
with
these
comments
and
have
deleted
the
requirement
to
evaluate
and
mitigate
the
effects
of
using
the
same
or
similar
crop
pest,
weed,
or
disease
control
substances.
The
final
rule
requires
that
producers
document
the
use
of
such
substances
in
their
organic
systems
plans,
subject
to
the
approval
of
their
certifying
agent.
(
7)
Prohibition
on
Use
of
Treated
Lumber.
The
proposed
rule
did
not
specifically
address
the
use
of
lumber
that
had
been
treated
with
a
prohibited
substance,
such
as
arsenic,
in
organic
production.
Citing
the
explicit
prohibition
on
these
substances
in
existing
organic
standards,
many
commenters
felt
that
treated
lumber
should
be
excluded
in
the
final
rule.
Commenters
also
cited
the
NOSB's
recommendation
to
prohibit
the
use
of
lumber
treated
with
a
prohibited
substance
for
72
new
construction
and
replacement
purposes
effective
upon
publication
of
the
final
rule.
We
have
included
a
modified
version
of
the
NOSB's
recommendation
within
the
crop
pest,
weed,
and
disease
management
practice
standard.
This
provision
prohibits
the
use
of
lumber
treated
with
arsenate
or
other
prohibited
materials
for
new
installations
or
replacement
purposes
in
contact
with
an
organic
production
site.
We
included
this
modification
to
clarify
that
the
prohibition
applies
to
lumber
used
in
direct
contact
with
organically
produced
and
handled
crops
and
livestock
and
does
not
include
uses,
such
as
lumber
for
fence
posts
or
building
materials,
that
are
isolated
from
production.
The
prohibition
applies
to
lumber
used
in
crop
production,
such
as
the
frames
of
a
planting
bed,
and
for
raising
livestock,
such
as
the
boards
used
to
build
a
farrowing
house.
(
8)
Greater
Rigor
in
the
Wild
Harvest
Production
Organic
System
Plan.
A
number
of
commenters
stated
that
the
wild
crop
harvesting
practice
standard
was
insufficiently
descriptive
and
that
the
proposed
rule
failed
to
apply
the
same
oversight
to
wild
harvest
operations
as
it
did
to
those
producing
crops
and
livestock.
Some
commenters
maintained
that
the
proposed
rule
did
not
require
a
wild
harvest
producer
to
operate
under
an
approved
organic
system
plan.
These
commenters
proposed
specific
items,
including
maps
of
the
production
area
that
should
be
required
in
a
wild
harvest
operation's
organic
system
plan.
One
commenter
recommended
that
the
definition
for
"
wild
crop"
be
modified
to
allow
the
harvest
of
plants
from
aquatic
environments.
We
amended
the
practice
standard
for
wild
crop
harvesting
to
express
the
compliance
requirements
more
clearly.
Wild
crop
producers
must
comply
with
the
same
organic
system
plan
requirements
and
conditions,
as
applicable
to
their
operation,
as
their
counterparts
who
produce
crops
and
livestock.
Wild
harvest
operations
are
production
systems,
and
they
must
satisfy
the
73
general
requirement
that
all
practices
included
in
their
organic
system
plan
must
maintain
or
improve
the
natural
resources
of
the
operation,
including
soil
and
water
quality.
We
modified
the
practice
standard
to
emphasize
that
wild
harvest
production
is
linked
to
a
designated
site
and
expect
that
a
certifying
agent
would
incorporate
mapping
and
boundary
conditions
into
the
organic
system
plan
requirements.
Finally,
we
changed
the
definition
of
"
wild
crop"
to
specify
that
harvest
takes
place
from
a
"
site"
instead
of
"
from
land,"
thereby
allowing
for
aquatic
plant
certification.
Crop
Production
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Application
of
Raw
Manure.
The
soil
fertility
and
crop
nutrient
management
practice
standard
in
the
proposed
rule
permitted
the
application
of
raw
manure
to
crops
not
intended
for
human
consumption
and
established
restrictions
for
applying
it
to
crops
used
for
human
food.
For
human
food
crops,
the
proposed
rule
required
a
120
day
interval
between
application
and
harvest
of
crops
whose
edible
portion
had
direct
contact
with
the
soil
or
soil
particles,
and
a
90
day
interval
for
crops
that
did
not.
These
provisions
reflected
the
recommendations
developed
by
the
NOSB
at
its
June
1999
meeting.
The
practice
standard
also
required
that
raw
manure
must
be
applied
in
a
manner
that
did
not
contribute
to
the
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
pathogenic
organisms,
heavy
metals,
or
residues
of
prohibited
substances.
The
majority
of
commenters
supported
the
provisions
for
applying
raw
manure.
Some
commenters
stated
that
the
provisions
effectively
balanced
the
benefits
of
applying
raw
manure
to
the
soil
with
the
environmental
and
human
health
risks
associated
with
its
use.
These
commenters
74
stated
that
the
lengthy
intervals
between
application
and
harvest
would
not
impose
an
unreasonable
or
unfeasible
burden
on
organic
producers.
The
NOSB
strongly
supported
the
provisions
in
the
proposed
rule,
emphasizing
that
raw
manure
contributed
significant
benefits
to
soil
nutrient,
structure,
and
biological
activity
that
other
soil
fertility
practices
and
materials
do
not
provide.
Other
commenters
stated
that
the
provisions
were
consistent
with
the
requirements
in
existing
organic
standards
and
added
that
the
restrictions
were
justifiable
because
they
reflected
responsible
management
practices.
For
differing
reasons,
a
number
of
commenters
disagreed
with
the
proposed
provisions.
Some
commenters
cited
the
human
health
risks
associated
with
pathogenic
organisms
found
in
raw
manure
and
stated
that
the
proposed
intervals
between
application
and
harvest
were
not
adequately
protective.
These
commenters
recommended
that
the
NOP
conduct
more
extensive
risk
assessment
procedures
before
determining
what,
if
any,
intervals
between
application
and
harvest
would
adequately
protect
human
health.
Some
of
these
commenters
identified
the
risk
assessment
methodology
and
pathogen
treatment
procedures
governing
the
production
and
use
of
sewage
sludge
as
the
most
suitable
precedent
for
guiding
the
additional
work
required
in
this
area.
Conversely,
a
number
of
commenters
stated
that
the
provisions
in
the
proposed
rule
were
excessive
because
they
exceeded
the
minimum
60
day
interval
between
application
and
harvest
established
in
the
OFPA.
Many
of
these
commenters
recommended
eliminating
the
distinction
between
crops
that
come
into
contact
with
soil
or
soil
particles
and
those
that
don't
and
applying
a
uniform
60
day
interval
between
harvest
and
application
for
any
crop
to
which
raw
manure
had
been
applied.
Some
commenters
stated
that
the
120
day
interval
severely
limited
the
flexibility
of
producers
who
operated
in
regions
such
as
the
Northeast
where
the
growing
season
lasted
only
75
slightly
longer.
Other
commenters
maintained
that
the
practice
standard
did
not
address
specific
practices,
such
as
applying
raw
manure
to
frozen
fields,
that
they
maintained
should
be
expressly
prohibited.
The
responsibility
to
use
raw
manure
in
a
manner
that
is
protective
of
human
health
applies
to
all
producers,
whether
organic
or
not,
who
apply
such
materials.
We
acknowledge
the
commenters
who
noted
that
the
OFPA
cites
food
safety
concerns
relative
to
manure
use
and,
therefore,
that
food
safety
considerations
should
be
reflected
in
the
practice
standard
for
applying
raw
manure
in
the
final
rule.
Some
of
the
commenters
favored
more
extensive
risk
assessment
procedures
or
lengthening
the
interval
between
application
and
harvest.
We
have
not,
however,
changed
the
provisions
for
applying
raw
manure.
Although
public
health
officials
and
others
have
identified
the
use
of
raw
manure
as
a
potential
food
safety
concern,
at
the
present
time,
there
is
no
science
based,
agreed
upon
standard
for
regulating
the
use
of
raw
manure
in
crop
production.
The
standard
in
this
rule
is
not
a
public
health
standard.
The
determination
of
food
safety
demands
a
complex
risk
assessment
methodology,
involving
extensive
research,
peer
review,
and
field
testing
for
validation
of
results.
The
only
comparable
undertaking
in
Federal
rulemaking
has
been
EPA's
development
of
treatment
and
application
standards
for
sewage
sludge,
an
undertaking
that
required
years
of
dedicated
effort.
The
NOP
does
not
have
a
comparable
capacity
with
which
to
undertake
a
comprehensive
risk
assessment
of
the
safety
of
applying
raw
manure
to
human
food
crops.
To
delegate
the
authority
to
determine
what
constitutes
safe
application
of
raw
manure
to
certifying
agents
would
be
even
more
problematic.
A
certifying
agent
cannot
be
responsible
for
establishing
a
Federal
food
safety
standard.
Therefore,
the
standard
in
this
rule
is
a
reflection
of
AMS'
view
76
and
of
the
public
comments
that
this
standard
is
reasonable
and
consistent
with
current
organic
industry
practices
and
NOSB
recommendations
for
organic
food
crop
production.
Should
additional
research
or
Federal
regulation
regarding
food
safety
requirements
for
applying
raw
manure
emerge,
AMS
will
ensure
that
organic
production
practice
standards
are
revised
to
reflect
the
most
up
to
date
food
safety
standard.
Neither
the
identification
of
food
safety
as
a
consideration
in
the
OFPA
nor
the
inclusion
of
this
practice
standard
in
the
final
rule
should
be
construed
to
suggest
that
organically
produced
agricultural
products
are
any
safer
than
nonorganically
produced
ones.
USDA
has
consistently
stated
that
certification
is
a
process
claim,
not
a
product
claim,
and,
as
such,
cannot
be
used
to
differentiate
organic
from
nonorganic
commodities
with
regard
to
food
safety.
National
organic
standards
for
manure
use
cannot
be
used
to
establish
a
food
safety
standard
for
certified
commodities
in
the
absence
of
as
uniform
Federal
regulation
to
ensure
the
safety
of
all
human
food
crops
to
which
raw
manure
has
been
applied.
The
OFPA
was
designed
to
certify
a
process
for
informational
marketing
purposes.
Neither
have
we
changed
the
practice
standard
in
response
to
comments
that
the
requirement
in
the
final
rule
should
not
exceed
the
60
day
interval
contained
in
the
OFPA.
The
OFPA
clearly
establishes
that
the
interval
must
be
no
less
than
60
days
and
does
not
preclude
a
longer
standard.
The
NOSB
has
strongly
supported
the
proposed
90
and
120
day
intervals,
and
the
vast
majority
of
commenters
indicated
that
these
provisions
would
be
feasible
for
virtually
all
organic
cropping
systems.
The
requirement
in
the
practice
standard
that
raw
manure
must
be
applied
in
a
manner
that
does
not
contribute
to
the
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
pathogenic
organisms,
heavy
metals,
or
residues
of
prohibited
substances
provides
77
certifying
agents
the
discretion
to
prohibit
specific
practices
that
would
not
be
in
compliance.
With
this
discretion,
a
certifying
agent
could
prohibit
practices,
such
as
applying
manure
to
frozen
ground
or
too
close
to
water
resources,
that
many
commenters
stated
were
not
appropriate
for
organic
production.
(
2)
No
Prohibition
on
Manure
from
Nonorganic
Operations.
The
proposed
rule
identified
animal
and
plant
waste
materials
as
important
components
in
soil
fertility
and
crop
nutrient
management
without
providing
criteria
for
distinguishing
allowed
and
prohibited
sources.
A
large
number
of
commenters
objected
to
this
provision
and
stated
that
manure
from
nonorganic
sources
may
contain
residues
from
prohibited
substances,
including
animal
medications.
These
commenters
maintained
that
some
of
these
residues,
such
as
antibiotics,
may
remain
active
for
extended
intervals,
and
others,
such
as
heavy
metals,
could
accumulate
on
the
organic
operation.
Commenters
stated
that
if
either
or
both
conditions
prevailed,
the
integrity
of
the
organic
operation
would
be
jeopardized.
Many
producers
and
certifying
agents
emphasized
that
the
proposed
rule
conflicted
with
the
Codex
guidelines
that
prohibit
the
use
of
manure
from
factory
farms.
These
commenters
were
concerned
that
failure
to
restrict
the
use
of
manure
from
nonorganic
operations
would
put
their
products
at
a
competitive
disadvantage,
particularly
in
European
markets.
When
raising
this
issue,
most
commenters
requested
that
the
final
rule
either
prohibit
the
use
of
manure
from
factory
farms
or
state
that
certifying
agents
could
regulate
the
practice
by
requiring
residue
testing
and
restrictions
on
application.
We
have
not
changed
the
provisions
for
using
manure
from
nonorganic
operations
in
the
final
rule.
In
many
discussions
on
the
subject
throughout
the
years,
the
NOSB
has
never
recommended
that
manure
from
nonorganic
farms
be
prohibited.
Existing
organic
certification
78
standards
routinely
permit
the
use
of
manure
from
nonorganic
operations
with
appropriate
oversight,
and
the
final
rule
incorporates
a
similar
approach.
Under
the
final
rule,
a
certifying
agent
can
require
residue
testing
when
there
is
reasonable
concern
that
manure,
either
raw
or
as
a
component
of
compost,
contains
sufficient
quantities
of
prohibited
materials
to
violate
the
organic
integrity
of
the
operation.
Providing
certifying
agents
the
discretion
to
require
screening
for
prohibited
materials
will
minimize
the
risk
of
introducing
contaminants
while
maintaining
the
ecologically
important
practice
of
recycling
organic
material
from
nonorganic
operations.
Additionally,
the
final
rule
requires
that
producers
apply
manure
and
compost
in
a
manner
that
maintains
or
improves
the
soil
and
water
quality
of
their
operation.
This
provision
provides
an
additional
safeguard
that
certifying
agents
may
use
to
ensure
that
the
application
of
any
form
of
manure
protects
the
natural
resources
of
the
operation.
(
3)
Rotating
a
Field
in
and
out
of
Organic
Production.
Some
commenters
stated
that
a
producer
should
not
be
allowed
to
rotate
fields
on
their
operation
in
and
out
of
organic
production.
These
commenters
were
concerned
that
producers
could
apply
prohibited
substances
that
persisted
for
many
years,
such
as
soil
fumigants,
and
begin
harvesting
organically
produced
crops
after
3
years.
They
stated
that,
without
a
prohibition
on
the
rotation
of
fields
in
this
manner,
organic
producers
could
effectively
use
a
prohibited
substance
on
their
operation.
We
have
not
amended
the
final
rule
to
prohibit
the
rotation
of
a
field
on
an
operation
in
and
out
of
organic
production.
The
statutory
prohibition
on
the
application
of
a
prohibited
substance
is
3
years,
and
this
requirement
is
contained
in
section
205.202(
b).
This
prohibition
restricts
the
application
of
a
prohibited
substance,
not
its
residual
activity.
If
AMS
receives
evidence
that
the
rotation
of
fields
in
this
manner
threatens
to
compromise
organic
production,
the
79
NOP
and
NOSB
will
collaborate
on
developing
standards
to
remedy
it.
(
4)
Use
of
Seed
Treatments
on
the
National
List.
The
seed
and
planting
stock
practice
standard
in
the
proposed
rule
generated
a
very
diverse
array
of
responses
that,
while
largely
favorable,
highlighted
a
potentially
disruptive
impact
on
organic
producers.
The
practice
standard
favored
organic
seed
and
planting
stock
over
nonorganically
produced
but
untreated
varieties
and
nonorganically
produced,
untreated
seed
and
planting
stock
over
nonorganically
produced
seeds
and
planting
stock
treated
with
an
allowed
synthetic
substance.
Producers
could
use
the
less
preferable
seed
or
planting
stock
variety
if
they
demonstrated
to
their
certifying
agent
that
an
equivalent
variety
in
the
preferred
form
was
not
commercially
available.
Most
commenters
endorsed
the
principle
of
requiring
organic
seed
and
planting
stock
and
agreed
that
the
proposed
provisions
were
a
workable
approach
to
enforcement.
They
stated
that
the
provisions
created
an
incentive
for
seed
and
planting
stock
providers
to
develop
supplies
for
organic
markets,
yet
enabled
producers
who
made
a
good
faith
effort
but
failed
to
locate
seed
or
planting
stock
in
the
preferred
form
the
ability
to
continue
producing
organically.
Most
commenters
indicated
that
this
approach
would
support
the
existing
market
for
organic
seed
and
planting
stock
while
fostering
its
continued
development.
A
number
of
commenters,
however,
stated
that
the
seed
and
planting
stock
practice
standard
was
unreasonable
and
unworkable
and
would
adversely
affect
organic
producers.
These
effects
would
include
significantly
reduced
planting
options
due
to
the
nonavailability
of
seed
in
any
allowed
form
and
higher
seed
costs,
which
represent
a
significant
percentage
of
the
total
production
cost
for
some
commodities.
These
commenters
maintained
that
the
three
categories
of
seed
and
planting
stock
allowed
in
the
order
of
preference
could
not
reliably
provide
producers
80
with
many
commercial
varieties
currently
being
planted.
They
pointed
out
that
there
were
no
synthetic
seed
treatments
on
the
National
List
in
the
proposed
rule,
thereby
eliminating
the
use
of
treated
seed
in
organic
production.
Commenters
stated
that
producers
often
rely
upon
seed
and
planting
stock
varieties
that
are
uniquely
well
adapted
for
their
growing
conditions
or
marketing
requirements
and
that
these
particular
varieties
would
very
often
not
be
available
in
untreated
form.
These
commenters
concluded
that
the
proposed
practice
standard
would
compel
many
producers
to
abandon
many
tried
and
true
varieties
of
seed
and
planting
stock
and
perhaps
phase
out
organic
production
entirely.
One
commenter
maintained
that
the
proposed
rule's
stated
intention
of
using
the
practice
standard
to
stimulate
production
of
organic
seed
and
planting
stock
was
not
within
the
purpose
of
the
OFPA.
We
have
not
changed
the
seed
and
planting
stock
practice
standard
in
response
to
these
commenters
because
the
prohibition
on
using
synthetic
materials
not
on
the
National
List
is
a
requirement
of
the
OFPA.
The
final
rule
cannot
allow
producers
to
use
synthetic
seed
treatments
that
have
not
been
reviewed,
favorably
recommended
by
the
NOSB,
and
added
to
the
National
List
by
the
Secretary.
The
practice
standard
creates
incentives
for
producers
to
seek
out
seed
and
planting
stock
inputs
that
are
the
most
compatible
with
organic
production,
yet
includes
allowances
when
preferred
forms
are
not
commercially
available.
While
no
seed
treatments
are
included
on
the
National
List
in
the
final
rule,
individuals
may
petition
the
NOSB
for
review
of
such
substances.
Additionally,
the
practice
standard
creates
an
incentive
for
seed
and
planting
stock
producers
and
suppliers
to
develop
natural
treatments
suitable
for
organic
systems
that
would
not
need
to
appear
on
the
National
List.
The
objectives
of
spurring
production
of
organically
grown
seed
and
promoting
research
in
natural
seed
treatments
are
compatible
with
the
81
OFPA's
purpose
of
facilitating
commerce
in
organically
produced
and
processed
food.
We
designed
the
practice
standard
to
pursue
these
objectives
while
preventing
the
disruption
that
an
ironclad
requirement
for
organically
produced
seed
and
planting
stock
may
have
caused.
(
5)
Practice
Standard
for
Maple
Syrup.
Many
commenters
stated
that
the
proposed
rule
lacked
production
and
handling
standards
for
operations
that
produce
maple
syrup.
Commenters
stated
that
maple
syrup
production
is
a
significant
enterprise
for
many
organic
producers
and
that
the
absence
of
a
practice
standard
in
the
final
rule
would
adversely
affect
existing
markets
for
organic
products.
Many
commenters
recommended
that
the
final
rule
incorporate
the
maple
syrup
practice
standard
from
an
existing
certification
program
or
the
American
Organic
Standards.
We
have
not
included
a
practice
standard
for
the
production
and
handling
of
maple
syrup
because
the
final
rule
contains
sufficient
provisions
for
the
certification
of
these
types
of
operations.
After
reviewing
existing
practice
standards
for
maple
syrup,
we
determined
that
the
standards
in
the
final
rule
for
crop
production,
handling
operations,
and
allowed
and
prohibited
materials
on
the
National
List
provided
comparable
guidance.
Crop
Production
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters:
(
1)
Applicability
of
Crop
Rotation
Requirement
to
all
Operations.
One
State
program
commented
that
the
crop
rotation
practice
standard
in
the
proposed
rule
was
unreasonable
for
producers
who
operated
in
regions
where
limited
rainfall
and
irrigation
resources
or
unique
soil
conditions
made
cover
cropping
impractical.
This
commenter
stated
that
certain
dryland
cropping
systems,
such
as
aloe
vera
production,
function
as
"
semi
perennial"
systems
that
do
not
include
82
rotations,
yet
fulfill
the
objectives
of
the
crop
rotation
practice
standard.
A
certifying
agent
expressed
a
similar
concern
by
suggesting
that
the
crop
rotation
practice
standard
be
changed
by
adding
"
may
include,
but
is
not
limited
to"
prior
to
the
list
of
allowed
management
practices.
This
commenter
felt
that
the
"
may
include"
clause
afforded
individual
growers
greater
discretion
by
acknowledging
that
not
every
allowed
management
practice
would
be
applicable
to
all
operations.
We
have
retained
the
language
from
the
proposed
rule
because
it
already
provides
the
flexibility
to
develop
site
specific
crop
rotation
practices
requested
by
these
commenters.
The
regulation
as
originally
written
includes
the
"
but
not
limited
to"
clause
that
allows
producers
to
include
alternative
management
practices
in
their
organic
system
plan.
Additionally,
the
regulation
states
that
the
producer
must
implement
a
crop
rotation
that
provides
the
required
functions
"
that
are
applicable
to
the
operation."
This
further
establishes
that
the
crop
rotation
component
of
an
organic
system
plan
must
be
considered
within
the
context
of
site
specific
environmental
conditions
including
climate,
hydrology,
soil
conditions,
and
the
crops
being
produced.
The
final
rule
requires
implementation
of
a
crop
rotation,
but
the
producer
and
certifying
agent
will
determine
the
specific
crops
and
the
frequency
and
sequencing
of
their
use
in
that
rotation.
Crop
rotations
must
fulfill
the
requirements
of
this
practice
standard
to
maintain
or
improve
soil
organic
matter
content,
provide
for
pest
management,
manage
deficient
or
excess
plant
nutrients,
and
control
erosion
and
are
not
obligated
to
use
any
specific
management
practice.
We
structured
this
and
other
practice
standards,
as
well
as
the
requirements
of
the
organic
system
plan,
to
enable
producers
and
certifying
agents
to
develop
organic
system
plans
adapted
to
natural
variation
in
environmental
conditions
and
production
systems.
(
2)
Excluding
Annual
Seedlings
from
Planting
Stock.
The
proposed
rule
allowed
a
83
producer
to
use
nonorganically
produced
seeds
and
planting
stock
if
organically
produced
equivalent
varieties
were
not
commercially
available.
Several
commenters,
including
the
NOSB,
were
concerned
that
the
definition
of
planting
stock
as
"
any
plant
or
plant
tissue,
including
rhizomes,
shoots,
leaf
or
stem
cuttings,
roots,
or
tubers,
used
in
plant
production
or
propagation"
was
sufficiently
broad
to
be
applied
to
annual
seedlings.
While
many
commenters,
including
the
NOSB,
supported
the
commercial
availability
exemption
in
the
case
of
seeds
and
planting
stock,
they
objected
to
extending
it
to
annual
seedlings.
The
proposed
rule
did
not
intend
to
include
annual
seedling
within
the
definition
of
planting
stock
and
included
a
separate
definition
of
"
annual
seedling"
as
"
a
plant
grown
from
seed
that
will
complete
its
life
cycle
or
produce
a
harvestable
crop
yield
within
the
same
crop
your
or
season
in
which
it
is
planted."
The
proposed
rule
addressed
annual
seedlings
as
a
distinct
category
within
the
seed
and
planting
stock
practice
standard.
There
was
no
allowance
for
using
nonorganically
produced
annual
seedlings
based
on
commercial
availability,
and
such
seedlings
can
only
be
used
when
a
temporary
variance
has
been
issued
due
to
a
catastrophic
business
interruption.
The
growth
of
markets
for
organically
produced
annual
seedlings,
unlike
those
for
seeds
and
planting
stock,
obviates
the
need
for
the
commercial
availability
provision.
We
have
retained
this
approach
in
the
final
rule.
Livestock
Production
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Whole
Herd
Conversion.
The
proposed
rule
required
that
livestock
receive
1
year
of
continuous
organic
management
prior
to
the
milk
or
milk
products
they
produce
being
labeled
as
organic.
Based
on
the
feed
provisions
in
that
proposal,
producers
would
be
required
to
provide
a
100
percent
organic
feed
ration
(
exclusive
of
National
List
substances
allowed
as
feed
84
supplements
and
additives)
for
that
entire
year.
Many
producers,
consumers,
State
certification
programs,
and
certifying
agents
commented
that
the
full
year
organic
feed
requirement
created
an
insurmountable
barrier
for
small
and
medium
size
dairy
operations
wishing
to
convert
to
organic
production.
They
maintained
that
the
added
expense
of
a
full
year,
100
percent
organic
feed
requirement
was
economically
prohibitive.
These
commenters
stated
that
"
new
entry"
or
"
whole
herd"
conversion
provisions
in
existing
certification
standards
have
been
instrumental
in
enabling
established
nonorganic
dairies
to
make
the
transition
to
organic
production.
Commenters
stated
that
these
provisions
typically
allow
producers
to
provide
livestock
80
percent
organic
or
selfraised
feed
for
the
first
9
months
of
a
herd's
transition,
before
requiring
100
percent
organic
feed
for
the
final
3
months.
Some
commenters
stated
that
many
current
organic
dairies
had
capitalized
on
this
whole
herd
conversion
provision
and
that
the
consistent
growth
in
demand
for
organic
milk
and
milk
products
reflected
consumer
acceptance
of
the
principle.
At
its
June
2000
meeting,
the
NOSB
reiterated
its
prior
endorsement
of
the
conversion
principle
for
operations
that
jointly
convert
dairy
herds
and
the
land
on
which
they
are
raised.
The
NOSB
recommended
allowing
a
producer
managing
an
entire,
distinct
herd
to
provide
80
percent
organic
or
self
raised
feed
during
the
first
9
months
of
the
final
year
of
conversion,
and
100
percent
organic
feed
for
the
final
3
months.
The
recommendation
further
required
that
dairy
animals
brought
onto
an
organic
dairy
must
be
organically
raised
form
the
last
third
of
gestation,
except
that
feed
produced
on
land
managed
under
an
organic
system
plan
could
be
fed
to
young
stock
up
to
12
months
prior
to
milk
production.
While
the
preponderance
of
comments
supported
the
whole
herd
conversion
provision,
a
significant
number
of
individuals,
certifying
agents,
and
State
certification
programs
opposed
it.
85
Some
commenters
felt
that
requiring
less
than
1
full
year
of
100
percent
organic
feed
would
not
satisfy
consumer
expectations
for
an
organically
managed
dairy.
Other
commenters
stated
that
the
whole
herd
conversion
merely
favored
one
segment
of
organic
producers
over
another.
They
maintained
that
the
full
year,
100
percent
organic
feed
requirement
would
stimulate
markets
for
organically
produced
hay
and
grain,
thereby
rewarding
good
row
crop
rotation.
One
certifying
agent
was
concerned
that
the
conversion
provision
would
create
a
permanent
exemption
and
that
split
operation
dairies
could
use
it
repeatedly
to
bring
nonorganic
animals
into
the
organic
operation.
The
final
rule
contains
a
provision
for
whole
herd
conversion
that
closely
resembles
those
found
in
the
NOSB
recommendation
and
the
existing
certification
standards.
The
final
rule
requires
that
an
entire,
distinct
dairy
herd
must
be
under
organic
management
for
1
year
prior
to
the
production
of
organic
milk.
During
the
first
9
months
of
that
year,
the
producer
must
provide
a
feed
ration
containing
a
minimum
of
80
percent
organic
feed
or
feed
that
is
raised
from
land
included
in
the
organic
system
plan
and
managed
in
compliance
with
organic
crop
requirements.
The
balance
of
the
feed
ration
may
be
nonorganically
produced,
but
it
must
not
include
prohibited
substances
including
antibiotics
or
hormones.
The
producer
must
provide
the
herd
100
percent
organic
feed
for
the
final
3
months
before
the
production
of
organic
milk.
The
producer
must
comply
with
the
provisions
in
the
livestock
health
and
living
conditions
practice
standard
during
the
entire
year
of
conversion.
After
the
dairy
operation
has
been
certified,
animals
brought
on
to
the
operation
must
be
organically
raised
from
the
last
third
of
gestation.
We
did
not
incorporate
the
NOSB's
recommendation
to
provide
young
stock
with
nonorganic
feed
up
to
12
months
prior
to
the
production
of
certified
milk.
By
creating
an
ongoing
allowance
for
using
nonorganic
feed
86
on
a
certified
operation,
this
provision
would
have
undermined
the
principle
that
a
whole
herd
conversion
is
a
distinct,
one
time
event.
We
anticipate
that
the
provisions
added
to
the
final
rule
will
address
the
concerns
of
commenters
who
objected
to
the
conversion
principle.
Consumers
have
embraced
milk
and
milk
products
from
dairies
certified
under
private
whole
herd
conversion
provisions
essentially
identical
to
that
in
the
final
rule.
While
the
conversion
provision
may
temporarily
reduce
demand
for
organic
feed
materials,
it
encourages
producers
to
develop
their
own
supplies
of
organic
feed.
The
conversion
provision
also
rewards
producers
for
raising
their
own
replacement
animals
while
still
allowing
for
the
introduction
of
animals
from
off
the
farm
that
were
organically
raised
from
the
last
third
of
gestation.
This
should
protect
existing
markets
for
organically
raised
heifers
while
not
discriminating
against
closed
herd
operations.
Finally,
the
conversion
provision
cannot
be
used
routinely
to
bring
nonorganically
raised
animals
into
an
organic
operation.
It
is
a
one
time
opportunity
for
producers
working
with
a
certifying
agent
to
implement
a
conversion
strategy
for
an
established,
discrete
dairy
herd
in
conjunction
with
the
land
resources
that
sustain
it.
(
2)
Organic
Management
for
Livestock
from
the
Last
Third
of
Gestation.
The
proposed
rule
required
that
organically
managed
breeder
and
dairy
stock
sold,
labeled,
or
represented
as
organic
slaughter
stock
must
be
under
continuous
organic
management
from
birth.
Many
commenters
stated
that
this
requirement
was
an
inappropriate
relaxation
of
most
existing
organic
standards,
which
require
organic
management
for
all
slaughter
stock
from
the
last
third
of
gestation.
These
commenters
cited
the
NOSB's
1994
recommendation
that
all
slaughter
stock
must
be
the
progeny
of
breeder
stock
under
organic
management
from
the
last
third
of
gestation
or
longer.
Commenters
also
recommended
extending
the
organic
management
provision
to
cover
87
the
last
third
of
gestation
to
make
it
consistent
with
the
requirements
in
section
205.236(
a)(
4)
for
the
organically
raised
offspring
of
breeder
stock.
We
agree
with
the
argument
presented
by
commenters
and
have
changed
the
final
rule
to
require
that
breeder
or
dairy
stock
be
organically
raised
from
the
last
third
of
gestation
to
be
sold
as
organic
slaughter
stock.
(
3)
Conversion
Period
for
Nonedible
Livestock
Products.
The
proposed
rule
required
that
livestock
must
be
under
continuous
organic
management
for
a
period
not
less
than
1
year
before
the
nonedible
products
produced
from
them
could
be
sold
as
organic.
Several
commenters
questioned
the
basis
for
creating
different
origin
of
livestock
requirements
based
on
whether
the
operation
intended
to
produce
edible
or
nonedible
products.
These
commenters
stated
that
the
OFPA
does
not
sanction
such
a
distinction,
nor
is
it
contained
in
existing
certification
standards.
They
questioned
why
the
proposed
rule
created
such
a
provision
in
the
absence
of
a
favorable
NOSB
recommendation.
We
agree
that
the
creation
of
a
separate
origin
of
livestock
requirement
for
animals
intended
to
provide
nonedible
products
could
be
confusing.
We
have
changed
this
provision
in
the
final
rule
to
require
that
nonedible
products
be
produced
from
livestock
that
have
been
organically
managed
from
the
last
third
of
gestation.
(
4)
Provisions
for
Feed
Supplements
and
Feed
Additives.
The
proposed
rule
provided
that
nonagricultural
products
and
synthetic
substances
included
on
the
National
List
could
be
used
as
feed
additives
and
supplements.
Many
commenters
stated
that
allowing
nonagricultural
products
and
synthetic
substances
as
feed
supplements
contradicted
the
definition
for
"
feed
supplement"
found
in
the
proposed
rule.
That
definition
stipulated
that
a
feed
supplement
must,
itself,
be
a
feed
material,
and
the
definition
for
"
feed"
in
the
proposed
rule
precluded
using
nonagricultural
products
and
synthetic
substances.
These
commenters
requested
that
either
the
88
definition
of
"
feed
supplement"
be
changed
to
make
it
consistent
with
the
allowance
for
nonagricultural
products
and
synthetic
substances
or
else
that
the
term
be
dropped
from
the
final
rule.
The
Food
and
Drug
Administration
(
FDA)
recommended
modifying
the
definitions
for
"
feed
additive"
and
"
feed
supplement"
and
further
specifying
the
components
required
in
a
feed
ration
under
the
livestock
health
care
practice
standard.
We
amended
the
definition
in
the
final
rule
to
state
that
a
feed
supplement
is
"
a
combination
of
feed
nutrients
added
to
livestock
feed
to
improve
the
nutritional
balance
or
performance
of
the
total
ration."
We
retained
the
second
component
of
the
proposed
definition,
which
described
how
a
feed
supplement
could
be
offered
to
livestock.
We
amended
the
definition
of
"
feed
additive"
to
"
a
substance
added
to
feed
in
micro
quantities
to
fulfill
a
specific
nutritional
need;
i.
e.,
essential
nutrients
in
the
form
of
amino
acids,
vitamins,
and
minerals."
The
definitions
for
"
feed
supplement"
and
"
feed
additive"
in
the
proposed
rule
were
originally
recommended
by
the
NOSB.
While
our
intent
in
the
proposed
rule
was
to
codify
as
fully
as
possible
the
recommendations
of
the
NOSB,
we
agree
with
commenters
that
the
proposed
definitions
were
was
incompatible
with
the
overall
provisions
for
livestock
feed.
The
definitions
in
the
final
rule
are
consistent
with
the
NOSB's
objective
to
create
clear
distinctions
between
feed,
feed
supplements,
and
feed
additives
while
clarifying
the
role
for
each
within
an
organic
livestock
ration.
We
also
incorporated
FDA's
recommendation
to
include
protein
and/
or
amino
acids,
fatty
acids,
energy
sources,
and
fiber
for
ruminants
as
required
elements
of
a
feed
ration
in
the
livestock
health
care
practice
standard.
These
additions
make
the
livestock
health
care
practice
standard
more
consistent
with
the
National
Research
Council's
Committee
on
Animal
Nutrition's
Nutrient
Requirement
series,
which
we
cited
in
the
proposed
rule
as
the
basis
for
feed
requirements.
89
Many
commenters
addressed
provisions
in
the
proposed
rule
to
allow
or
prohibit
specific
materials
and
categories
of
materials
used
in
livestock
feed.
Among
these,
some
commenters
questioned
whether
enzymes
were
defined
as
a
feed
additive
and,
therefore,
allowed.
One
certifying
agent
requested
guidance
on
the
status
of
supplementing
livestock
feed
with
amino
acids.
At
its
October
1999
meeting,
the
NOSB
discussed
the
Technical
Advisory
Panel
(
TAP)
reviews
on
the
use
of
enzymes
and
amino
acids
in
livestock
feed.
The
NOSB
determined
that
natural
sources
of
enzymes
exist
and
that
their
use
should
be
allowed
in
organic
production.
Their
discussion
of
natural
sources
of
enzymes
concluded
that
enzymes
derived
from
edible,
nontoxic
plants
and
nonpathogenic
bacteria
or
fungi
that
had
not
been
genetically
engineered
should
be
allowed
as
a
nonorganic
feed
additive.
The
NOSB
did
not
take
a
position
on
amino
acids
during
this
meeting
but
indicated
that
it
would
revisit
the
subject
in
the
near
future.
Based
on
these
recommendations,
the
final
rule
allows
the
use
of
natural
enzymes
but
not
amino
acids
as
nonorganic
feed
additives.
The
NOSB's
recommendation
that
natural
sources
of
enzymes
existed
and
were
compatible
with
organic
livestock
production
supports
allowing
them
without
adding
them
to
the
National
List.
Some
commenters
discussed
the
animal
welfare
and
environmental
benefits
associated
with
providing
amino
acids
in
livestock
feed
and
supported
allowing
them.
However,
without
a
recommendation
from
the
NOSB
that
amino
acids
are
natural
or
should
be
added
to
the
National
List
as
a
synthetic,
the
final
rule
does
not
allow
their
use.
Commenters
questioned
whether
nonsynthetic
but
nonagricultural
substances,
such
as
ground
oyster
shells
and
diatomaceous
earth,
would
be
allowed
in
agricultural
feed.
In
1994,
the
NOSB
recommended
that
natural
feed
additives
can
be
from
any
source,
provided
that
the
additive
is
not
classified
as
a
prohibited
natural
on
the
National
List.
We
agree
with
this
90
recommendation
and
have
amended
the
final
rule
to
allow
such
materials
as
feed
additives
and
supplements.
The
only
additional
constraint
on
these
materials
is
that
every
feed,
feed
additive,
and
feed
supplement
be
used
in
compliance
with
the
Federal
Food,
Drug,
and
Cosmetic
Act,
as
stated
in
section
205.237(
b)(
6).
The
NOSB
recommended
that
ruminants
maintained
under
temporary
confinement
must
have
access
to
dry,
unchopped
hay.
Although
this
position
was
an
NOSB
recommendation
and
not
part
of
the
proposed
rule,
several
commenters
responded
to
it.
Most
of
these
commenters
stated
that
the
language
was
too
restrictive
and
could
preclude
the
use
of
many
suitable
forage
products.
One
dairy
producer
stated
that
the
requirement
would
not
be
practical
for
operations
that
mix
hay
with
other
feed
components.
We
agree
that
the
NOSB's
proposed
language
is
too
prescriptive
and
have
not
included
it
in
the
final
rule.
(
5)
Provisions
for
Confinement.
The
proposed
rule
established
the
health,
nutritional,
and
behavioral
needs
of
the
particular
species
and
breed
of
animal
as
the
primary
considerations
for
determining
livestock
living
conditions.
The
proposed
rule
also
identified
essential
components
of
the
practice
standard,
including
access
to
shade,
shelter,
exercise
areas,
fresh
air,
and
direct
sunlight,
while
stating
that
species
specific
guidelines
would
be
developed
in
conjunction
with
future
NOSB
recommendations
and
public
comment.
Finally,
the
proposed
rule
outlined
the
conditions
pertaining
to
animal
welfare
and
environmental
protection
under
which
producers
could
temporarily
confine
livestock.
While
supportive
of
the
underlying
principles
of
this
practice
standard,
the
vast
majority
of
commenters
stated
that
the
actual
provisions
suffered
from
a
lack
of
clarity
and
specificity.
Many
commenters
were
concerned
that
the
proposed
rule
did
not
adequately
ensure
access
to
the
91
outdoors
for
all
animals.
While
supportive
of
the
access
to
pasture
requirement
for
ruminant
production,
commenters
stated
that
the
final
rule
needed
a
clear
definition
of
pasture
to
make
the
provision
meaningful.
Conversely,
some
commenters
supported
the
less
prescriptive
approach
adopted
in
the
proposed
rule.
The
NOSB
added
considerably
to
its
earlier
recommendations
on
livestock
living
conditions
during
its
June
2000
meeting.
Many
commenters
stated
that
the
criteria
identified
as
required
elements
in
the
provisions
for
livestock
living
conditions
did
not
specifically
include
access
to
the
outdoors.
One
commenter
stated
that
the
requirement
that
animals
receive
direct
sunlight
could
be
interpreted
to
simply
require
windows
in
livestock
confinement
facilities.
Commenters
were
virtually
unanimous
that,
except
for
the
limited
exceptions
for
temporary
confinement,
all
animals
of
all
species
must
be
afforded
access
to
the
outdoors.
Commenters
also
maintained
that
the
outdoor
area
must
accommodate
natural
livestock
behavior,
such
as
dust
wallows
for
poultry
and,
in
the
case
of
ruminants,
provide
substantial
nutrition.
Many
commenters
specifically
opposed
dry
lots
as
an
allowable
outdoor
environment.
The
NOSB
recommended
that
the
final
rule
state
that
all
livestock
shall
have
access
to
the
outdoors.
As
a
result
of
these
comments,
we
have
revised
the
final
rule
to
establish
that
access
to
the
outdoors
is
a
required
element
for
all
organically
raised
livestock.
We
further
amended
the
final
rule
to
include
a
definition
of
"
pasture."
The
definition
of
"
pasture"
we
included
emphasizes
that
livestock
producers
must
manage
their
land
to
provide
nutritional
benefit
to
grazing
animals
while
maintaining
or
improving
the
soil,
water,
and
vegetative
resources
of
the
operation.
The
producer
must
establish
and
maintain
forage
speciesappropriate
for
the
nutritional
requirements
of
the
species
using
the
pasture.
92
Numerous
commenters
requested
clarification
on
species
specific
living
conditions,
such
as
the
use
of
cages
for
poultry
and
confinement
systems
for
veal
production.
The
use
of
continuous
confinement
systems
including
cages
for
poultry
and
veal
production
is
incompatible
with
the
requirement
that
organically
raised
livestock
receive
access
to
the
outdoors
and
the
ability
to
engage
in
physical
activity
appropriate
to
their
needs.
There
will
be
times
when
producers
must
temporarily
confine
livestock
under
their
care,
but
these
instances
must
be
supported
by
the
exemptions
to
the
outdoor
access
requirement
included
in
the
final
rule.
Other
commenters
requested
additional
guidance
on
whether
confinement
for
the
purpose
of
finishing
slaughter
stock
would
be
allowed,
and,
if
so,
how
long
that
confinement
could
last.
Commenters
who
supported
an
allowance
for
finishing
most
often
recommended
that,
in
the
case
of
cattle,
confinement
should
not
exceed
90
days.
The
final
rule
does
not
include
a
specific
length
of
time
that
cattle
or
other
species
may
be
confined
prior
to
slaughter.
We
will
seek
additional
input
from
the
NOSB
and
public
comment
before
developing
such
standards.
Several
commenters
questioned
whether
a
Federal,
State,
or
local
regulation
that
required
confinement
would
supersede
the
requirement
for
outdoor
access.
These
commenters
were
aware
of
county
ordinances
that
prohibited
free
ranging
livestock
production
to
protect
water
quality.
Organic
operations
must
comply
with
all
Federal,
State,
and
local
regulations.
At
the
same
time,
to
sell,
label,
or
represent
an
agricultural
commodity
as
"
100
percent
organic,"
"
organic,"
or
"
made
with...,"
the
producer
or
handler
must
comply
with
the
all
applicable
requirements
set
forth
in
this
regulation.
Federal,
State,
or
local
regulations
that
prohibit
a
required
practice
or
require
a
prohibited
one
will
essentially
preclude
organic
certification
of
the
affected
commodity
within
that
jurisdiction.
93
(
6)
Prohibition
on
Parasiticides
During
Lactation.
The
proposed
rule
provided
that
breeder
stock
could
receive
synthetic
parasiticides
included
on
the
National
List,
provided
that
the
treatment
occurred
prior
to
the
last
third
of
gestation
for
progeny
that
were
to
be
organically
managed.
Many
commenters
supported
this
principle
but
were
concerned
that
the
wording
would
allow
producers
to
administer
parasiticides
to
lactating
breeder
stock
while
the
offspring
were
still
nursing.
These
commenters
felt
that
such
an
allowance
violated
the
intent
of
the
provision
because
offspring
could
be
exposed
to
systemic
parasiticides
or
their
residues
through
their
mother's
milk.
The
NOSB
recommended
a
prohibition
on
using
allowed
synthetic
parasiticides
during
lactation
for
progeny
that
are
organically
managed.
We
agree
with
these
commenters
and
have
modified
the
final
rule
to
prohibit
the
treatment
of
organically
managed
breeder
stock
with
allowed
synthetic
parasiticides
during
the
last
third
of
gestation
or
lactation.
Livestock
Production
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Prohibition
on
Factory
Farms.
Many
commenters
requested
that
the
final
rule
prohibit
the
certification
of
"
factory
farms."
These
commenters
stated
that
factory
farms
are
dependent
upon
practices
and
materials
that
are
inconsistent
with
or
expressly
prohibited
in
the
OFPA.
The
final
rule
does
not
contain
such
a
prohibition
because
commenters
did
not
provide
a
clear,
enforceable
definition
of
"
factory
farm"
for
use
in
the
final
rule.
All
organic
operations,
regardless
of
their
size
or
other
characteristics,
must
develop
and
adhere
to
an
approved
organic
system
plan
that
complies
with
these
regulations
in
order
to
be
certified.
(
2)
Nonorganic
Feed
Protocol.
The
proposed
rule
required
that,
except
for
94
nonagricultural
products
and
synthetic
substances
included
on
the
National
List,
a
producer
must
provide
livestock
with
a
total
feed
ration
composed
of
agricultural
feed
products,
including
pasture
and
forage,
that
is
organically
produced
and,
if
applicable,
handled.
It
also
included
provisions
for
temporary
variances
that,
under
very
limited
circumstances
and
with
the
approval
of
the
certifying
agent
and
the
Administrator,
would
provide
an
exemption
from
specific
production
and
handling
standards.
The
preamble
of
the
proposed
rule
described
an
emergency
resulting
in
the
unavailability
of
organic
agricultural
feed
products
as
an
example
of
a
situation
in
which
a
temporary
variance
could
be
issued.
Many
commenters
recommended
that
the
final
rule
require
a
producer
who
received
a
temporary
variance
for
a
feed
emergency
to
follow
the
order
of
preference
for
noncertified
organic
feed
developed
by
the
NOSB.
This
order
of
preference
requires
a
producer
to
procure
agricultural
feed
products
from
sources
that
are
as
close
to
complying
with
the
standards
for
organic
certification
as
possible.
Commenters
stated
that
adherence
to
the
order
of
preference
would
most
closely
conform
with
the
expectation
of
consumers
that
organically
raised
livestock
received
organic
feed
and
would
create
an
incentive
for
livestock
feed
producers
to
pursue
certification.
We
have
not
included
the
NOSB's
feed
emergency
order
of
preference
in
the
final
rule
because
it
would
be
too
prescriptive
and
difficult
to
enforce
during
an
emergency.
Receiving
a
temporary
variance
categorically
exempts
a
producer
from
the
provision
for
which
it
was
issued,
although
that
producer
may
not
substitute
any
practice,
material,
or
procedure
that
is
otherwise
prohibited,
although
that
producer
may
not
substitute
any
practice,
material,
or
procedure
that
is
otherwise
prohibited
under
section
205.105
.
Additionally,
certified
organic
feed
is
far
more
available
in
terms
of
quantity
and
affordability
than
when
the
NOSB
developed
its
order
of
95
preference
in
1994.
We
anticipate
that
producers
whose
original
supply
of
organic
agricultural
feed
products
is
interrupted
will
be
able
to
fill
the
shortfall
through
the
marketplace.
(
3)
Prohibition
on
Physical
Alterations.
The
proposed
rule
required
that
producers
perform
physical
alterations
as
needed
to
promote
animal
welfare
and
in
a
manner
that
minimizes
pain
and
stress.
This
provision
was
one
component
of
the
health
care
practice
standard
that
required
producers
to
establish
and
maintain
preventive
livestock
health
care
practices.
We
stated
in
the
preamble
that
there
was
insufficient
consensus
from
previous
public
comment
to
designate
specific
physical
alterations
as
allowed
or
prohibited
and
envisioned
working
with
producers,
certifying
agents,
and
consumers
to
achieve
that
goal.
We
requested
comment
on
techniques
to
measure
animal
stress
that
could
be
used
to
evaluate
whether
specific
physical
alterations
were
consistent
with
the
conditions
established
in
the
proposed
rule.
We
received
significant
numbers
of
comments
both
opposing
and
supporting
the
provision
in
the
proposed
rule
for
performing
physical
alterations.
Many
commenters
opposed
any
allowance
for
physical
alterations
and
argued
that
such
practices
are
cruel
and
debilitating
to
animals.
These
commenters
maintained
that
modifications
in
breed
selection,
stocking
densities,
and
the
configuration
of
living
conditions
could
achieve
results
similar
to
physical
alterations
without
harming
the
animal.
They
stated
that
by
adapting
their
production
systems
to
promote
the
physical
and
psychological
welfare
of
animals,
producers
could
obviate
the
need
for
physical
alterations.
In
particular,
commenters
cited
physical
alterations
to
the
beaks
and
feet
of
poultry
as
unnecessary
due
to
the
availability
of
alternative
production
systems.
Many
commenters
expressed
concern
that
the
allowance
for
physical
alterations
would
facilitate
the
certification
of
large
confinement
operations.
Commenters
also
stated
that
performing
physical
alterations
was
96
inconsistent
with
Codex
guidelines
and
objected
to
the
allowance
before
full
public
deliberation
on
the
subject
through
the
NOSB
process.
A
large
number
of
commenters
stated
that,
if
reasonable
guidelines
could
be
established,
the
allowance
for
physical
alterations
would
be
a
beneficial,
and
even
necessary,
condition
for
organic
livestock
production.
These
commenters
maintained
that
producers
engage
in
physical
alterations
for
the
overall
welfare
of
the
flock
or
herd
and
that
the
pain
and
stress
of
performing
them
must
be
weighed
against
the
pain
and
stress
of
not
doing
so.
For
example,
these
commenters
cited
the
traumatic
effect
of
cannibalism
on
poultry
flocks
that
had
not
undergone
beak
trimming
or
the
injuries
caused
by
animals
whose
horns
had
not
been
removed.
Many
of
these
commenters
stated
that
producers
could
reduce
but
not
eliminate
the
need
for
physical
alterations
through
alternative
production
practices
such
as
breed
selection
and
stocking
densities.
The
NOSB
supported
the
provision
as
written
in
the
proposed
rule,
stating
that
it
met
the
animal
welfare
requirements
while
allowing
practices
necessary
for
good
animal
husbandry.
We
have
retained
the
proposed
provision
for
physical
alterations
without
taking
any
further
position
on
whether
specific
practices
are
allowed
or
prohibited.
We
did
not
receive
substantial
new
guidance
on
techniques
to
measure
stress
in
animals
due
to
physical
alterations
and
have
made
no
revisions
in
that
regard.
The
final
rule
establishes
that,
when
appropriately
performed
and
within
the
context
of
an
overall
management
system,
specific
physical
alterations
are
allowed.
It
also
mandates
that,
as
an
element
of
a
preventative
health
care
program,
physical
alterations
must
benefit
the
ultimate
physical
and
psychological
welfare
of
the
affected
animal.
(
4)
Withdrawal
for
Synthetic
Parasiticides
in
Lactating
Livestock.
The
proposed
rule
required
a
90
day
withdrawal
period
before
milk
and
milk
products
produced
from
livestock
97
treated
with
an
allowed
synthetic
parasiticide
could
be
labeled
as
organic.
Referencing
the
statement
in
the
preamble
to
the
proposed
rule
that
the
90
day
withdrawal
period
was
attributable
to
"
consumer
expectations
of
organically
raised
animals,"
a
dairy
producer
commented
that
the
provision
ignored
animal
welfare
and
farm
economic
sustainability
considerations.
The
commenter
considered
the
90
day
withdrawal
period
capricious
and
problematic
since,
for
bovine
dairy
operations,
it
would
compel
producers
to
either
shorten
an
animal's
natural
drying
off
period,
or
lose
30
days
of
organic
milk
production.
The
commenter
stated
that
the
optimal
extended
withdrawal
period
for
this
situation
would
be
60
days
since
this
is
the
approximate
duration
of
a
dairy
cow's
natural
dry
period.
Under
this
approach,
livestock
requiring
treatment
could
receive
an
allowed
synthetic
parasiticide
at
the
time
of
drying
off,
thus
allowing
the
withdrawal
period
to
coincide
with
the
natural
60
day
period
when
the
livestock
were
not
lactating.
Livestock
could
complete
the
withdrawal
period
prior
to
the
birth
of
their
offspring
in
approximately
60
days,
at
which
time
the
mother's
milk
could
again
be
sold
as
organic.
The
commenter
maintained
that
the
60
day
period
would
satisfy
consumer
expectation
for
an
extended
withdrawal
period
after
treatment
with
an
allowed
synthetic
parasiticide
without
imposing
an
unnecessary
constraint
on
the
producer.
We
have
retained
the
90
day
withdrawal
period
in
the
final
rule.
The
provisions
in
the
final
rule
for
treating
livestock
with
an
allowed
synthetic
parasiticide
reflect
the
90
day
withdrawal
period
recommended
by
the
NOSB
at
its
October
1999
meeting.
The
NOSB
has
the
authority
to
reconsider
this
issue
and
propose
an
alternative
annotation
for
the
Secretary's
consideration.
(
5)
Delineation
of
Space
Requirements
for
Animal
Confinement.
The
proposed
rule
did
not
establish
space
requirements
for
livestock
living
conditions
but
stated
that
a
producer
must
98
accommodate
the
health
and
natural
behavior
of
animals
under
his
or
her
care.
Some
commenters
stated
their
preference
for
space
requirements
because
they
are
more
uniform
and
enforceable.
These
commenters
stated
that
some
existing
certification
standards
include
space
requirements
in
standards
for
livestock
living
conditions
and
that
Codex
guidelines
support
this
approach.
While
not
disagreeing
that
space
requirements
could
be
an
effective
certification
tool
for
organic
livestock
production
systems,
we
have
not
incorporated
any
such
provisions
in
the
final
rule.
We
anticipate
that
additional
NOSB
recommendations
and
public
comment
will
be
necessary
for
the
development
of
space
requirements.
At
its
June
2000
meeting,
the
NOSB
agreed
that
it
would
be
premature
to
include
space
requirements
in
the
final
rule.
(
6)
Access
to
pasture
versus
pasture
based.
Commenters
stated
that
the
proposed
rule's
requirement
that
ruminants
receive
"
access
to
pasture"
did
not
sufficiently
characterize
the
relationship
that
should
exist
between
ruminants
and
the
land
they
graze.
Many
of
these
commenters
recommended
that
the
final
rule
require
that
ruminant
production
be
"
pasture
based."
Many
commenters
stated
that
the
final
rule
needed
a
more
explicit
description
of
the
relationship
between
livestock
and
grazing
land.
The
NOSB
shared
this
perspective
and
recommended
that
the
final
rule
require
that
ruminant
production
systems
be
"
pasture
based."
In
contrast,
an
organic
dairy
producer
maintained
that
a
uniform,
prescriptive
definition
of
pasture
would
not
be
appropriate
in
a
final
rule.
This
commenter
stated
that
the
diversity
of
growing
seasons,
environmental
variables,
and
forage
and
grass
species
could
not
be
captured
in
a
single
definition
and
that
certifying
agents
should
define
pasture
on
a
case
by
case
basis.
This
commenter
also
disagreed
with
the
"
pasture
based"
requirement,
stating
that
pasture
should
be
only
one
of
several
components
of
balanced
livestock
nutrition.
Singling
out
pasture
as
the
foundation
for
ruminant
99
management
would
distort
this
balance
and
deprive
other
producers
of
the
revenue
and
rotation
benefits
they
generate
by
growing
livestock
feed.
We
retained
the
"
access
to
pasture"
requirement
because
the
term,
"
pasture
based,"
has
not
been
sufficiently
defined
to
use
for
implementing
the
final
rule.
The
final
rule
does
include
a
definition
for
pasture,
and
retention
of
the
"
access
to
pasture"
provision
provides
producers
and
certifying
agents
with
a
verifiable
and
enforceable
standard.
The
NOP
will
work
with
the
NOSB
to
develop
additional
guidance
for
managing
ruminant
production
operations.
(
7)
Stage
of
Production.
The
proposed
rule
contained
provisions
for
temporary
confinement,
during
which
time
livestock
would
not
receive
access
to
the
outdoors.
Many
commenters
were
concerned
that
the
stage
of
production
justification
for
temporary
confinement
could
be
used
to
deny
animals
access
to
the
outdoors
during
naturally
occurring
life
stages,
including
lactation.
Commenters
overwhelmingly
opposed
such
an
allowance
and
stated
that
the
stage
of
production
exemption
should
be
narrowly
applied.
One
commenter
stated
that
a
dairy
operation,
for
example,
might
have
seven
or
eight
distinct
age
groups
of
animals,
with
each
group
requiring
distinct
living
conditions.
Under
these
circumstances,
the
commenter
maintained
that
a
producer
should
be
allowed
to
temporarily
house
one
of
these
age
groups
indoors
to
maximize
use
of
the
whole
farm
and
the
available
pasture.
At
its
June
2000
meeting,
the
NOSB
stated
that
the
allowance
for
temporary
confinement
should
be
restricted
to
short
term
events
such
as
birthing
of
newborn
or
finish
feeding
for
slaughter
stock
and
should
specifically
exclude
lactating
dairy
animals.
We
have
not
changed
the
provision
in
the
final
rule
for
the
stage
of
production
allowance
in
response
to
these
comments.
The
NOSB
has
supported
the
principle
of
a
stage
of
production
100
allowance
but
has
not
provided
sufficient
guidance
for
determining,
on
a
species
specific
basis,
what
conditions
would
warrant
such
an
allowance.
Without
a
clearer
foundation
for
evaluating
practices,
we
have
not
identified
any
specific
examples
of
practices
that
would
or
would
not
warrant
a
stage
of
production
allowance.
We
will
continue
to
explore
with
the
NOSB
specific
conditions
under
which
certain
species
could
be
temporarily
confined
to
enhance
their
well
being.
In
the
final
rule,
temporary
confinement
refers
to
the
period
during
which
livestock
are
denied
access
to
the
outdoors.
The
length
of
temporary
confinement
will
vary
according
to
the
conditions
on
which
it
is
based,
such
as
the
duration
of
inclement
weather.
The
conditions
for
implementing
temporary
confinement
for
livestock
do
not
minimize
the
producer's
ability
to
restrain
livestock
in
the
performance
of
necessary
production
practices.
For
example,
it
is
allowable
for
a
producer
to
restrain
livestock
during
the
actual
milking
process
or
under
similar
circumstances,
such
as
the
administration
of
medication,
when
the
safety
and
welfare
of
the
livestock
and
producer
are
involved.
Handling
Changes
Based
on
Comments
The
following
changes
are
made
based
on
comments
received.
(
1)
Commercial
Availability.
A
large
number
of
commenters,
including
organic
handlers
and
certifying
agents,
stated
that
"
commercial
availability"
must
be
included
as
a
requirement
for
the
5
percent
of
nonorganic
ingredients
that
are
used
in
products
labeled
"
organic."
We
agree
and
have
added
a
commercial
availability
requirement
as
part
of
a
handler's
organic
system
plan
under
section
205.201
of
this
subpart.
Up
to
5
percent
(
less
water
and
salt)
of
a
product
labeled
"
organic,"
may
be
nonorganic
agricultural
ingredients.
However,
handlers
must
document
that
organic
forms
of
the
nonorganic
ingredients
are
not
commercially
available
101
before
using
the
nonorganic
ingredients.
(
2)
Prohibited
Practices.
Commenters
were
unclear
about
the
extent
of
the
prohibition
on
use
of
excluded
methods
and
ionizing
radiation.
To
make
that
prohibition
clear,
we
have
moved
the
handling
prohibitions
in
proposed
rule
sections
205.270
(
c)
to
205.105,
Applicability,
subpart
B.
Paragraphs
(
c)(
1)
and
(
c)(
2)
which
listed
excluded
methods
and
ionizing
radiation
in
the
proposed
rule
are
combined
into
paragraph
(
c)(
1)
that
cross
references
new
section
205.105.
(
3)
Use
of
Predator
Pests
and
Parasites.
Paragraph
(
b)(
1)
of
section
205.271
proposed
that
predator
pests
and
parasites
may
be
used
to
control
pests
in
handling
facilities.
Under
FDA's
Good
Manufacturing
Practice,
21
CFR
part
section
110.35(
c),
it
states
that
"
No
pests
shall
be
allowed
in
any
area
of
a
food
plant."
Some
commenters
believed
use
of
predator
pests
in
handling
facilities
is
prohibited
by
the
FDA
regulation.
Other
commenters
stated
that
predator
pests
could
be
used
in
certain
handling
facilities
under
the
FDA
regulation.
One
commenter
claimed
that
the
FDA
regulation
in
21
CFR
part
110.19
allows
exemptions
for
certain
establishments
that
only
harvest,
store,
or
distribute
raw
agricultural
product.
Another
commenter
suggested
that
use
of
predator
pests
should
be
allowed
when
FDA
does
not
prohibit
their
use.
We
do
not
intend
to
be
inconsistent
with
the
FDA
requirement
and,
thus,
have
removed
proposed
paragraph
(
b)(
1)
of
section
205.271.
Use
of
predator
pests
in
various
organic
handling
and
storage
areas
is
subject
to
FDA's
Good
Manufacturing
Practice.
Paragraphs
(
b)(
2)
and
(
b)(
3)
are
redesignated.
(
4)
Use
of
Synthetic
Pheromone
Lures.
Proposed
paragraph
(
b)(
3)
provided
for
use
of
nonsynthetic
lures
and
repellant.
A
few
handlers
and
certifying
agents
commented
that
nearly
all
pheromone
lures
use
synthetic
substances.
Because
pheromone
lures
do
not
come
into
contact
102
with
products
in
a
handling
facility,
commenters
argued
that
such
lures
should
be
allowed,
provided
that
the
synthetic
substance
used
is
on
the
National
List.
We
agree
and
have
added
"
synthetic
substances"
to
redesignated
paragraph
(
b)(
2)
for
use
in
lures
and
repellents.
The
synthetic
substances
used
must
be
consistent
with
the
National
List.
(
5)
Restrict
Initial
Use
of
Synthetics
to
National
List
Substances.
Paragraph
(
c)
in
the
proposed
rule
provided
for
use
of
any
synthetic
substance
to
prevent
or
control
pests.
Several
handlers
and
certifying
agents
stated
that
use
of
nonsynthetic
and
synthetic
substances
should
initially
be
limited
first
to
substances
which
are
allowed
on
the
National
List.
This
would
mean
that
substances
not
allowed
for
use
on
the
National
List
could
not
be
used
initially
to
control
or
prevent
pest
infestations.
We
agree
with
these
comments.
Use
of
allowed
substance
before
use
of
other
substances
is
a
fundamental
principle
of
organic
agriculture.
Therefore,
if
preferred
practices
under
paragraphs
(
a)
and
(
b)
are
not
successful
in
preventing
or
controlling
pest
infestations,
handlers
may
then
use,
under
amended
paragraph
(
c),
only
nonsynthetic
or
synthetic
substances
which
are
allowed
for
use
on
the
National
List.
We
have
removed
the
proviso
that
applications
of
a
pest
control
substance
must
be
consistent
with
the
product's
label
instructions.
This
requirement
is
readily
understood
and
does
not
need
to
be
explicitly
stated
in
the
regulations.
Because
paragraph
(
c)
now
provides
for
use
only
of
allowed
National
List
substances,
a
new
paragraph
(
d)
is
added
to
allow
for
use
of
other
synthetic
substances,
including
synthetic
substances
not
on
the
National
List,
to
prevent
or
control
pest
infestations.
These
substances
may
be
used
only
if
the
practices
in
paragraphs
(
a),
(
b),
and
(
c)
are
ineffective.
Before
the
substance
is
103
used,
the
handler
and
the
operation's
certifying
agent
must
agree
on
the
synthetic
substance
to
be
used
and
the
measures
to
be
taken
to
prevent
contact
of
the
substance
with
organic
products
and
ingredients
in
the
facility.
We
expect
that
this
communication
can
be
accomplished
with
telephone
calls
or
by
electronic
means.
This
regulation
does
not
preempt
Federal,
State,
or
local
health
and
sanitation
requirements.
We
recognize
that
inspectors
who
monitor
compliance
with
those
regulations
may
require
immediate
intervention
and
use
of
synthetic
substances,
not
on
the
National
List,
before
or
at
the
same
time
as
the
methods
specified
in
paragraphs
(
b)
and
(
c).
Therefore,
to
make
this
clear,
we
have
added
a
new
paragraph
(
f).
To
ensure
that
the
use
of
the
substances
does
not
destroy
a
product's
organic
integrity,
we
are
requiring
that
the
handler
take
appropriate
measures
to
prevent
contact
of
the
product
with
the
pest
control
substance
used.
(
6)
Preventing
Contact
with
Prohibited
Substances.
Commenters
recommended
that,
if
prohibited
substances
are
applied
by
fogging
or
fumigation,
the
organic
product
and
packaging
material
must
be
required
to
be
completely
removed
from
the
facility
and
reentry
of
the
product
or
packaging
be
delayed
for
a
period
three
times
longer
than
that
specified
on
the
pesticide
label.
Commenters
believed
removal
and
reentry
should
be
mandatory,
regardless
of
the
organic
product
or
container.
We
understand
the
commenters'
concerns.
However,
their
recommendations
are
not
appropriate
for
all
pest
infestations.
We
believe
that
measures
needed
to
be
taken
to
prevent
contact
with
a
synthetic
substance
must
be
determined
on
a
case
by
case
basis
by
the
handler
and
certifying
agent.
As
stated
earlier,
new
paragraph
(
d)
of
section
205.271
requires
a
handler
and
certifying
agent
to
agree
on
control
and
prevention
measures
prior
to
application
of
a
synthetic
104
substance.
We
believe
that
such
an
agreement
will
help
safeguard
a
product's
organic
integrity.
Use
of
a
synthetic
substance
in
fogging
or
fumigation
should
be
based
on,
among
other
things,
location
of
the
pest
relative
to
the
organic
products
in
the
facility;
the
extent
of
the
pest
infestation;
the
substance
and
application
method
to
be
used;
the
state
of
the
organically
produced
product
or
ingredient
(
raw,
unpackaged
bulk,
canned,
or
otherwise
sealed);
and
health
and
sanitation
requirements
of
local,
State,
and
Federal
authorities.
Paragraph
(
e)
is
changed
to
clarify
that
an
operation's
organic
handling
plan
must
be
updated
to
document
all
measures
taken
to
prevent
contact
between
synthetic
pest
control
substances
and
organically
produced
products
and
ingredients.
(
7)
Repetitive
Use
of
Pest
Control
Measures.
One
commenter
suggested
a
change
in
the
paragraph
(
e)
requirement
that
handlers'
organic
plans
must
include
"
an
evaluation
of
the
effects
of
repetitive
use"
of
pest
prevention
and
control
materials.
The
commenter
believed
that
the
requirement
was
excessive
and
beyond
what
should
be
expected
of
handlers.
The
commenter
indicated
that
handlers'
organic
plans
should
address
the
"
techniques
that
will
be
used
to
minimize"
the
negative
effects
of
repetitive
use
of
pest
control
materials.
We
agree
that
"
an
evaluation
of
the
effects
of
repetitive
use"
is
more
than
what
is
reasonable
to
expect
of
handlers
in
their
organic
plans.
We
do
not
agree,
however,
that
an
organic
plan
should
be
required
to
address
the
"
techniques"
used
to
minimize
the
effects
of
repetitive
use
of
pest
control
materials.
However,
we
believe
that
handlers
should
update
their
organic
handling
plans
to
account
for
the
use
of
pest
control
or
prevention
substances,
particularly
if
the
substances
are
prohibited
substances.
The
update
should
include
a
description
of
the
application
methods
used
and
the
measures
taken
to
prevent
contact
between
the
substance
used
105
and
the
organic
product.
We
have
added
these
requirements
in
redesignated
paragraph
(
e).
Proposed
paragraph
(
e)
of
section
205.271
is
removed.
Handling
Changes
Requested
But
Not
Made
(
1)
Exceptions
to
Handling
Processes.
A
commenter
stated
that
many
herbal
products
are
extracted
from
organically
produced
herbs
but
that
the
extraction
of
those
products
"
can
employ
significantly
different
methods
than
those
used
in
the
manufacture
of
more
traditional
foods."
To
be
labeled
as
"
organic"
ingredients,
substances
such
as
herbs,
spices,
flavorings,
colorings,
and
other
similar
substances,
must
be
derived
from
a
certified
organic
source
and
be
extracted
without
the
use
of
prohibited
substances.
(
2)
Allowed
Synthetics
Used
in
Packaging
Materials
and
Storage
Containers.
A
State
department
of
agriculture
commented
that
section
205.272(
b)(
1)
prohibits
use
of
synthetic
fungicides,
preservatives,
or
fumigants
in
packaging
materials
and
storage
containers
or
bins.
The
comment
stated
that
it
is
inconsistent
to
permit
use
of
allowed
substances
as
ingredients
in
processed
products
but
prohibit
their
use
as
a
preservative
or
fumigant
in
the
packaging
materials
and
storage
containers
and
bins.
The
commenter
suggested
that
paragraph
(
b)(
1)
be
amended
to
permit
use
of
National
List
allowed
substances
in
section
205.605,
particularly
carbon
dioxide
and
ozone,
in
packaging
materials
and
storage
containers
or
bins.
We
understand
the
commenter's
concern.
However,
section
6510(
a)(
5)
of
the
Act
specifically
prohibits
use
of
any
packaging
materials,
storage
containers,
or
bins
that
contain
synthetic
fungicides,
preservatives,
or
fumigants.
(
3)
Additional
Measures
to
Prevent
Product
Contamination.
A
few
commenters
suggested
changing
paragraph
(
e)
of
section
205.271
to
require
that
handlers'
organic
handling
106
plans
specify
measures
that
would
be
taken
to
prevent
contact
between
a
pest
control
substance
and
"
packaging
materials."
This
would
be
in
addition
to
measures
preventing
contamination
of
"
any
ingredient
or
finished
product"
in
the
handling
facility.
We
understand
the
commenters'
objective.
However,
for
the
reasons
stated
earlier
in
regard
to
commenters'
request
that
mandatory
removal
of
product
during
pest
control
treatment
be
required,
we
believe
that
such
a
requirement
should
not
be
mandatory
for
all
packaging
materials.
Measures
to
prevent
contamination
of
packaging
material
should
be
left
to
the
handler
and
certifying
agent
to
specify
in
the
handling
plan.
Handling
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters.
(
1)
Use
of
Nonorganic
Ingredients
in
Processed
Products.
We
have
corrected
paragraph
(
c)
of
section
205.270
to
clarify
what
must
not
be
used
in
or
on
organically
produced
ingredients
and
nonorganically
produced
ingredients
used
in
processed
organic
products.
The
prohibition
on
use
of
ionizing
radiation,
excluded
methods,
and
volatile
synthetic
solvents
applies
to
all
organically
produced
ingredients.
The
5
percent
of
nonorganic
ingredients
in
products
labeled
"
organic,"
also
are
subject
to
the
three
prohibited
practices.
The
nonorganic
ingredients
in
products
labeled
"
made
with
organic
ingredients"
must
not
be
produced
using
ionizing
radiation
or
excluded
methods
but
may
be
produced
using
volatile
synthetic
solvents.
The
nonorganic
ingredients
in
products
containing
less
than
70
percent
organically
produced
ingredients
may
be
produced
and
processed
using
ionizing
radiation,
excluded
methods,
and
synthetic
solvents.
(
2)
Water
Quality
Used
in
Processing.
A
handler
questioned
whether
public
drinking
water
containing
approved
levels
of
chlorine,
pursuant
to
the
Safe
Drinking
Water
Act,
is
107
acceptable
for
use
in
processing
products
labeled
"
100
percent
organic."
Water
meeting
the
Safe
Drinking
Water
Act
may
be
used
in
processing
any
organically
produced
products.
Temporary
Variances
Changes
Based
on
Comments
Additional
Causes
for
Issuing
Temporary
Variance.
A
few
State
department
of
agriculture
commenters
suggested
that
"
drought"
should
be
added
to
the
regulatory
text
as
a
natural
disaster
warranting
a
temporary
variance
from
regulations.
We
agree
and
have
added
drought
to
the
regulatory
text
in
paragraph
(
a)(
2)
of
section
205.290.
We
have
also
added
"
hail"
as
a
natural
disaster
warranting
a
temporary
variance.
Both
drought
and
hail
were
mentioned
in
the
preamble
of
the
proposed
rule
but
were
unintentionally
left
out
of
the
regulatory
text.
Temporary
Variances
Changes
Requested
But
Not
Made
Allowance
of
Temporary
Variances.
A
few
commenters
suggested
that
SOP's
governing
State
officials
should
be
able
to
authorize
temporary
variances
due
to
local
natural
disasters
which
may
occur
in
a
State.
We
do
not
agree
that
with
these
comments.
For
consistency
of
application,
we
believe
that
only
the
Administrator
should
have
the
authority
to
grant
a
temporary
variance.
Citing
local
conditions,
an
SOP's
governing
State
official
and
certifying
agents
may
recommend
a
temporary
variance
to
the
Administrator.
We
are
committed
to
providing
quick
responses
to
such
recommendations.
Subpart
D
Labels,
Labeling,
and
Market
Information
The
Act
provides
that
a
person
may
sell
or
label
an
agricultural
product
as
organically
produced
only
if
the
product
has
been
produced
and
handled
in
accordance
with
provisions
of
the
Act
and
these
regulations.
This
subpart
sets
forth
labeling
requirements
for
organic
agricultural
108
products
and
products
with
organic
ingredients
based
on
their
percentage
of
organic
composition.
For
each
labeling
category,
this
subpart
establishes
what
organic
terms
and
references
can
and
cannot
be
displayed
on
a
product
package's
principal
display
panel
(
pdp),
information
panel,
ingredient
statement,
and
on
other
package
panels.
Labeling
requirements
also
are
established
for
organically
produced
livestock
feed,
for
containers
used
in
shipping
and
storing
organic
product,
and
for
denoting
organic
bulk
products
in
market
information
which
is
displayed
or
disseminated
at
the
point
of
retail
sale.
Restrictions
on
labeling
organic
product
produced
by
exempt
operations
are
established.
Finally,
this
subpart
provides
for
a
USDA
seal
and
regulations
for
display
of
the
USDA
seal
and
the
seals,
logos,
or
other
identifying
marks
of
certifying
agents.
The
intent
of
these
sections
is
to
ensure
that
organically
produced
agricultural
products
and
ingredients
are
consistently
labeled
to
aid
consumers
in
selection
of
organic
products
and
to
prevent
labeling
abuses.
These
provisions
cover
the
labeling
of
a
product
as
organic
and
are
not
intended
to
supersede
other
labeling
requirements
specified
in
other
Federal
labeling
regulations.
The
Food
and
Drug
Administration
(
FDA)
regulates
the
placement
of
information
on
food
product
packages
in
21
CFR
parts
1
and
101.
USDA's
Food
Safety
and
Inspection
Service's
(
FSIS)
Federal
Meat
Inspection
Act,
Poultry
Products
Inspection
Act,
and
Egg
Products
Inspection
Act
have
implementing
regulations
in
9
CFR
part
317
which
must
be
followed
in
the
labeling
of
meat,
poultry,
and
egg
products.
The
Federal
Trade
Commission
(
FTC)
regulations
under
the
Fair
Packaging
and
Labeling
Act
(
FLPA)
in
16
CFR
part
500
and
the
Alcohol
Tobacco
and
Firearms
(
ATF)
regulations
under
the
Federal
Alcohol
Administration
Act
(
FAA)
in
27
CFR
parts
4,
5,
and
7,
also
must
be
followed,
as
applicable
to
the
nature
of
the
product.
The
labeling
requirements
specified
in
this
subpart
must
be
implemented
in
a
manner
so
that
they
do
not
109
conflict
with
the
labeling
requirements
of
these
and
other
Federal
labeling
requirements.
While
this
regulation
does
not
require
labeling
of
an
organic
product
as
organic,
we
assume
that
producers
and
handlers
choose
to
label
their
organic
products
and
display
the
USDA
seal
to
the
extent
allowed
in
these
regulations.
They
do
this
to
improve
the
marketability
of
their
organic
product.
Under
the
National
Organic
Program
(
NOP),
the
assembly,
packaging,
and
labeling
of
multiingredient
organic
products
are
considered
handling
activities.
The
certification
of
handling
operations
is
covered
in
subpart
C
of
this
regulation.
No
claims,
statements,
or
marks
using
the
term,
"
organic,"
or
display
of
certification
seals,
other
than
as
provided
in
this
regulation,
may
be
used.
Based
on
comments
received,
several
important
labeling
changes
from
the
proposed
rule
are
made
in
this
final
rule.
(
1)
The
term,
"
organic,"
cannot
be
used
in
an
agricultural
product
name
if
it
modifies
an
ingredient
that
is
not
organically
produced
(
e.
g.,
"
organic
chocolate
ice
cream"
when
the
chocolate
flavoring
is
not
organically
produced).
(
2)
The
5
percent
or
less
of
nonorganic
ingredients
in
products
labeled
"
organic"
must
be
determined
not
"
commercially
available"
in
organic
form.
(
3)
Display
of
a
product's
organic
percentage
is
changed
from
required
to
optional
for
"
organic"
and
"
made
with
..."
products.
(
4)
The
minimum
organic
content
for
"
made
with..."
products
is
increased
from
50
percent
to
70
percent.
(
5)
In
addition
to
listing
individual
ingredients,
the
"
made
with..."
label
may
identify
a
food
group
on
the
label
("
made
with
organic
fruit").
(
6)
A
new
section
is
added
to
provide
labeling
of
livestock
feed
that
is
organically
produced.
(
7)
Finally,
a
revised
design
for
the
USDA
seal
is
established.
In
addition
to
these
changes,
we
have
made
a
few
changes
in
the
regulatory
text
for
clarity
and
consistency
purposes.
These
do
not
change
the
intent
of
the
regulation.
110
Once
a
handler
makes
a
decision
to
market
a
product
as
organic
or
containing
organic
ingredients,
the
handler
is
required
to
follow
the
provisions
in
this
subpart
regarding
use,
display,
and
location
of
organic
claims
and
certification
seals.
Handlers
who
produce
and
label
organic
ingredients
and/
or
assemble
multiingredient
products
composed
of
70
percent
or
more
organic
ingredients
must
be
certified
as
an
organic
handling
operation.
Handlers
of
products
of
less
than
70
percent
organic
ingredients
do
not
have
to
be
certified
unless
the
handler
actually
produces
one
or
more
of
the
organic
ingredients
used
in
the
product.
Repackers
who
purchase
certified
organic
product
from
other
entities
for
repackaging
and
labeling
must
be
certified
as
an
organic
operation.
Entities
which
simply
relabel
an
organic
product
package
are
subject
to
recordkeeping
requirements
which
show
proof
that
the
product
purchased
prior
to
relabeling
was,
indeed,
organically
produced
and
handled.
Distributors
which
receive
and
transport
labeled
product
to
market
are
not
subject
to
certification
or
any
labeling
requirements
of
this
regulation.
Many
commenters
appealed
for
"
transition"
or
"
conversion"
labeling.
This
issue
is
discussed
under
Applicability
in
subpart
B.
Transition
labeling
is
not
provided
for
in
the
Act
or
the
proposed
rule
and
is
not
provided
for
in
this
regulation.
Description
of
Regulations
General
Requirements
The
general
labeling
principle
employed
in
this
regulation
is
that
labeling
or
identification
of
the
organic
nature
of
a
product
increases
as
the
organic
content
of
the
product
increases.
In
other
words,
the
higher
the
organic
content
of
a
product,
the
more
prominently
its
organic
nature
can
be
displayed.
This
is
consistent
with
provisions
of
the
Act
which
establish
the
three
percentage
categories
for
organic
content
and
basic
labeling
requirements
in
those
categories.
111
Section
205.300
specifies
the
general
use
of
the
term,
"
organic,"
on
product
labels
and
market
information.
Paragraph
(
a)
establishes
that
the
term,
"
organic,"
may
be
used
only
on
labels
and
in
market
information
as
a
modifier
of
agricultural
products
and
ingredients
that
have
been
certified
as
produced
and
handled
in
accordance
with
these
regulations.
The
term,
"
organic,"
cannot
be
used
on
a
product
label
or
in
market
information
for
any
purpose
other
than
to
modify
or
identify
the
product
or
ingredient
in
the
product
that
is
organically
produced
and
handled.
Food
products
and
ingredients
that
are
not
organically
produced
and
handled
cannot
be
modified,
described,
or
identified
with
the
term,
"
organic,"
on
any
package
panel
or
in
market
information
in
any
way
that
implies
the
product
is
organically
produced.
Section
6519(
b)
of
the
Act
provides
the
Secretary
with
the
authority
to
review
use
of
the
term,
"
organic,"
in
agricultural
product
names
and
the
names
of
companies
that
produce
agricultural
products.
While
we
believe
that
the
term,
"
organic,"
in
a
brand
name
context
does
not
inherently
imply
an
organic
production
or
handling
claim
and,
thus,
does
not
inherently
constitute
a
false
or
misleading
statement,
we
intend
to
monitor
the
use
of
the
term
in
the
context
of
the
entire
label.
We
will
consult
with
the
FTC
and
FDA
regarding
product
and
company
names
that
may
misrepresent
the
nature
of
the
product
and
take
action
on
a
case
by
case
basis.
Categories
of
Organic
Content
Section
205.301
establishes
the
organic
content
requirements
for
different
labeling
provisions
specified
under
this
program.
The
type
of
labeling
and
market
information
that
can
be
used
and
its
placement
on
different
panels
of
consumer
packages
and
in
market
information
is
based
on
the
percentage
of
organic
ingredients
in
the
product.
The
percentage
must
reflect
the
actual
weight
or
fluid
volume
(
excluding
water
and
salt)
of
the
organic
ingredients
in
the
product.
112
Four
categories
of
organic
content
are
established:
100
percent
organic;
95
percent
or
more
organic;
70
to
95
percent
organic;
and
less
than
70
percent
organic.
100
Percent
Organic
For
labeling
and
market
information
purposes,
this
regulation
allows
a
"
100
percent
organic"
label
on:
(
1)
agricultural
products
that
are
composed
of
a
single
ingredient
such
as
raw,
organically
produced
fruits
and
vegetables
and
(
2)
products
composed
of
two
or
more
organically
produced
ingredients,
provided
that
the
individual
ingredients
are,
themselves,
wholly
organic
and
produced
without
any
nonorganic
ingredients
or
additives.
Only
processing
aids
which
are,
themselves,
organically
produced,
may
be
used
in
the
production
of
products
labeled
"
100
percent
organic."
With
the
exception
of
the
description
phrase
"
100
percent"
on
the
pdp,
the
labeling
requirements
for
"
100
percent
organic"
products
are
the
same
as
requirements
for
95
percent
organic
products
specified
in
section
205.303.
Organic
Products
labeled
or
represented
as
"
organic"
must
contain,
by
weight
(
excluding
water
and
salt),
at
least
95
percent
organically
produced
raw
or
processed
agricultural
product.
The
organic
ingredients
must
be
produced
using
production
and
handling
practices
pursuant
to
subpart
C.
Up
to
5
percent
of
the
ingredients
may
be
nonagricultural
substances
(
consistent
with
the
National
List)
and,
if
not
commercially
available
in
organic
form
pursuant
to
section
205.201,
nonorganic
agricultural
products
and
ingredients
in
minor
amounts
(
hereinafter
referred
to
as
minor
ingredients)
(
spices,
flavors,
colorings,
oils,
vitamins,
minerals,
accessory
nutrients,
incidental
food
additives).
The
nonorganic
ingredients
must
not
be
produced
using
excluded
methods,
sewage
sludge,
or
ionizing
radiation.
113
Made
with
Organic
Ingredients
For
labeling
and
market
information
purposes,
the
third
category
of
agricultural
products
are
multiingredient
products
containing
by
weight
or
fluid
volume
(
excluding
water
and
salt)
between
70
and
95
percent
organic
agricultural
ingredients.
The
organic
ingredients
must
be
produced
in
accordance
with
subpart
C
and
subpart
G.
Such
products
may
be
labeled
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
By
"
specified,"
we
mean
the
name
of
the
agricultural
product(
s)
or
food
group(
s)
forming
the
organic
ingredient(
s).
Up
to
three
organically
produced
ingredients
or
food
groups
may
be
named
in
the
phrase.
If
one
or
more
food
groups
are
specified
in
the
phrase,
all
ingredients
in
the
product
which
belong
to
the
food
group(
s)
identified
on
the
label
must
be
organically
produced.
For
the
purposes
of
this
labeling,
the
following
food
groups
may
be
identified
as
organically
produced
on
a
food
package
label:
beans,
fish,
fruits,
grains,
herbs,
meats,
nuts,
oils,
poultry,
seeds,
spices,
sweeteners,
and
vegetables.
In
addition,
processed
milk
products
(
butter,
cheese,
yogurt,
milk,
sour
creams,
etc.)
also
may
be
identified
as
a
"
milk
products"
food
group.
For
instance,
a
vegetable
soup
made
with
85
percent
organically
produced
and
handled
potatoes,
tomatoes,
peppers,
celery,
and
onions
may
be
labeled
"
soup
made
with
organic
potatoes,
tomatoes,
and
peppers"
or,
alternatively,
"
soup
made
with
organic
vegetables."
In
the
latter
example,
the
soup
may
not
contain
nonorganic
vegetables.
For
the
purposes
of
this
labeling
provision,
tomatoes
are
classified,
according
to
food
use,
as
a
vegetable.
To
qualify
for
this
organic
labeling,
the
nonorganic
agricultural
ingredients
must
be
produced
and
handled
without
use
of
the
first
three
prohibited
practices
specified
in
paragraph
(
f)
of
section
205.301,
but
may
be
produced
or
handled
using
practices
prohibited
in
paragraphs
114
(
f)(
4)
through
(
f)(
7).
Because
of
the
length
of
the
labeling
phrase
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
such
products
are
referred
to
in
this
preamble
as
"
made
with..."
products.
The
labeling
requirements
for
"
made
with..."
products
are
specified
in
section
205.304.
Product
With
Less
Than
70
Percent
Organic
Ingredients
The
final
labeling
category
covers
multiingredient
products
with
less
than
70
percent
organic
ingredients
(
by
weight
or
fluid
volume,
excluding
water
and
salt).
The
organic
ingredients
must
be
produced
in
accordance
with
subparts
C
and
G.
The
remaining
nonorganic
ingredients
may
be
produced,
handled,
and
assembled
without
regard
to
these
regulations
(
using
prohibited
substances
and
prohibited
production
and
handling
practices).
Organic
labeling
of
these
products
is
limited
to
the
information
panel
only
as
provided
in
section
205.305.
Products
that
fail
to
meet
the
requirements
for
one
labeling
category
may
be
eligible
for
a
lower
labeling
category.
For
example,
if
a
product
contains
wholly
organic
ingredients
but
the
product
formulation
requires
a
processing
aid
or
less
than
5
percent
of
a
minor
ingredient
that
does
not
exist
in
organic
form,
the
product
cannot
be
labeled
"
100
percent
organic"
and
must
be
labeled
as
"
organic."
If
a
multiingredient
product
is
95
percent
or
more
organic
but
contains
a
prohibited
substance
in
the
remaining
5
percent,
the
product
cannot
be
labeled
as
"
organic,"
because
of
the
presence
of
the
prohibited
substance,
but
may
be
labeled
as
a
"
made
with..."
product.
Further,
a
handler
who
produces
a
"
100
percent
organic"
or
"
organic"
product
but
chooses
not
to
be
certified
under
this
program
may
only
display
the
organic
percentage
on
the
information
panel
and
label
the
ingredients
as
"
organic"
on
the
ingredient
statement.
The
handler
must
comply
with
recordkeeping
requirements
in
subpart
E.
115
Livestock
feed
All
agricultural
ingredients
used
in
raw
and
processed
livestock
feed
that
is
labeled
as
"
100
percent
organic"
and
"
organic"
must
be
organically
produced
and
handled
in
accordance
with
the
requirements
of
these
regulations.
The
difference
between
the
two
labels
is
that
feed
labeled
as
"
100
percent
organic"
must
be
composed
only
of
organically
produced
agricultural
ingredients
and
may
not
contain
nonorganic
feed
additives
or
supplements.
The
agricultural
portion
of
livestock
feed
labeled
as
"
organic"
must
contain
only
organically
produced
raw
and
processed
agricultural
ingredients
and
may
contain
feed
additives
and
supplements
in
conformance
with
the
requirements
of
section
205.237.
Additionally,
labeling
of
livestock
feed
containers
must
follow
State
livestock
feed
labeling
laws.
Prohibited
Practices
The
labeling
of
whole
products
or
ingredients
as
organic
is
prohibited
if
those
products
or
ingredients
are
produced
using
any
of
the
following
production
or
handling
practices:
(
1)
ingredients
or
processing
aids
produced
using
excluded
methods;
(
2)
ingredients
that
have
been
produced
using
applications
of
sewage
sludge;
(
3)
ingredients
that
have
been
processed
with
ionizing
radiation;
(
4)
synthetic
substances
not
on
the
National
List;
(
5)
sulfites,
nitrates,
or
nitrites
added
to
or
used
in
processing
of
an
organic
product
in
addition
to
those
substances
occurring
naturally
in
a
commodity
(
except
the
use
of
sulfites
in
the
production
of
wine);
(
6)
use
of
the
phrase,
"
organic
when
available,"
or
similar
statement
on
labels
or
in
market
information
when
referring
to
products
composed
of
nonorganic
ingredients
used
in
place
of
specified
organic
ingredients;
and
(
7)
labeling
as
"
organic"
any
product
containing
both
organic
and
nonorganic
forms
of
an
ingredient
specified
as
"
organic"
on
the
label.
116
These
seven
prohibitions
apply
to
the
four
labeling
categories
of
products
and
are
not
individually
repeated
as
prohibited
practices
in
the
following
sections.
Table
1,
Prohibited
Production
and
Handling
Practices
for
Organic
Labeling,
shows
how
use
of
the
seven
prohibited
practices
affects
the
labeling
of
organically
produced
products
and
ingredients
used
in
those
products.
117
TABLE
1:
PROHIBITED
PRODUCTION
AND
HANDLING
PRACTICES
FOR
LABELING
CATEGORIES
Organic
and
use
label
Use
excluded
methods
Use
sewage
sludge
Use
ionizing
radiation
Use
substances
not
on
National
List
Contain
added
sulfites,
nitrates,
nitrites
Use
nonorganic
ingredients
and
label
"
when
available"
Use
both
organic
and
nonorganic
forms
of
same
ingredient
"
100
percent
organic"
Single/
multiingredients
completely
organic
NO
NO
NO
NO
NO
NO
NO
"
Organic"
Organic
ingredients
(
95%
or
more)
Nonorganic
ingredients
(
5%
or
less)
NO
NO
NO
NO
NO
NO
NO
NO
NO
NO
NO
NO
NO
NO
"
Made
with
organic
ingredients"
Organic
ingredients
(
70
95%)
Nonorganic
ingredients
(
30%
or
less)
NO
NO
NO
NO
NO
NO
NO
OK
NO
except
wine
OK
NO
NA*
NO
NA*
Less
than
70%
organic
ingredients
Organic
Ingredients
(
30%
or
less)
Nonorganic
Ingredients
(
70%
or
more)
NO
OK
NO
OK
NO
OK
NO
OK
NO
except
wine
OK
NO
NA*
NO
NA*
*
Not
applicable,
provided
that
the
nonorganic
ingredient
is
not
labeled
as
"
organic"
on
the
ingredient
statement
and
is
not
counted
in
the
calculation
of
the
product's
organic
percentage.
118
Calculating
the
Percentage
of
Organic
Ingredients
Section
205.302
specifies
procedures
for
calculating
the
percentage,
by
weight
or
fluid
volume,
of
organically
produced
ingredients
in
an
agricultural
product
labeled
or
represented
as
"
organic."
The
calculation
is
made
by
the
handler
at
the
time
the
finished
product
is
assembled.
The
organic
percentage
of
liquid
products
and
liquid
ingredients
is
determined
based
on
the
fluid
volume
of
the
product
and
ingredients
(
excluding
water
and
salt).
When
a
product
is
identified
on
the
pdp
or
the
information
panel
as
being
reconstituted
with
water
from
a
concentrate,
the
organic
content
is
calculated
on
the
basis
of
a
single
strength
concentration.
For
products
that
contain
organically
produced
dry
and
liquid
ingredients,
the
percentage
of
total
organic
ingredients
is
based
on
the
combined
weight
of
the
dry
organic
ingredient(
s)
and
the
weight
of
the
liquid
organic
ingredient(
s)
(
excluding
water
and
salt).
For
example,
a
product
may
be
made
using
organically
produced
vegetable
oils
or
grain
oils
or
contain
organic
liquid
flavoring
extracts
in
addition
to
other
organic
and
nonorganic
ingredients.
In
such
cases,
the
weight
of
the
liquid
organic
oils
or
flavoring
extracts,
less
any
added
water
and
salt,
would
be
added
to
other
solid
organic
ingredients
in
the
product,
and
their
combined
weight
would
be
the
basis
for
calculating
the
percentage
of
organic
ingredients.
At
the
discretion
of
the
handler,
the
total
percentage
of
all
organic
ingredients
in
a
food
product
may
be
displayed
on
any
package
panel
of
the
product
with
the
phrase,
"
contains
X
percent
organic
ingredients,"
or
a
similar
phrase.
If
the
total
percentage
is
a
fraction,
it
must
be
rounded
down
to
the
nearest
whole
number.
The
percentage
of
each
organic
ingredient
is
not
required
to
be
displayed
in
the
ingredient
statement.
A
certified
operation
that
produces
organic
product
may
contract
with
another
operation
119
to
repackage
and/
or
relabel
the
product
in
consumer
packages.
In
such
cases,
the
repacker
or
relabeler
may
use
information
provided
by
the
certified
operation
to
determine
the
percentage
of
organic
ingredients
and
properly
label
the
organic
product
package
consistent
with
the
requirements
of
this
subpart.
Labeling
"
100
Percent
Organic"
and
"
Organic"
Products
Section
205.303
includes
optional,
required,
and
prohibited
practices
for
labeling
agricultural
products
that
are
"
100
percent
organic"
or
"
organic."
Products
that
are
composed
of
wholly
organic
ingredients
may
be
identified
with
the
label
statement,
"
100
percent
organic,"
on
any
package
panel.
Products
composed
of
between
95
and
100
percent
organic
ingredients
may
be
identified
with
the
label
statement
"
organic"
on
any
package
panel,
and
the
handler
must
identify
each
organic
ingredient
in
the
ingredient
statement.
The
handler
may
display
the
following
information
on
the
pdp,
the
information
panel,
and
any
other
part
of
the
package
and
in
market
information
representing
the
product:
(
1)
the
term,
"
100
percent
organic"
or
"
organic,"
as
applicable
to
the
content
of
the
product;
and
(
2)
for
products
labeled
"
organic,"
the
percentage
of
organic
ingredients
in
the
product.
The
size
of
the
percentage
statement
must
not
exceed
one
half
the
size
of
the
largest
type
size
on
the
panel
on
which
the
statement
is
displayed.
It
also
must
appear
in
its
entirety
in
the
same
type
size,
style,
and
color
without
highlighting;
(
3)
the
USDA
seal;
and
(
4)
the
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
(
hereafter
referred
to
as
"
seal
or
logo")
which
certified
the
handler
of
the
finished
product.
The
seals
or
logos
of
other
certifying
agents
which
certified
organic
raw
materials
or
organic
ingredients
used
in
the
product
also
may
be
displayed,
at
the
discretion
of
the
finished
product
handler.
If
multiple
organic
ingredients
are
identified
on
the
ingredient
120
statement,
the
handler
of
the
finished
product
that
combined
the
various
organic
ingredients
must
maintain
documentation,
pursuant
to
subpart
B
of
this
regulation.
While
certifying
agent
identifications
can
appear
on
the
package
with
the
USDA
seal,
they
may
not
appear
larger
than
the
USDA
seal
on
the
package.
There
is
no
restriction
on
the
size
of
the
USDA
seal
as
it
may
appear
on
any
panel
of
a
packaged
product,
provided
that
display
of
the
Seal
conforms
with
the
labeling
requirements
of
FDA
and
FSIS.
If
a
product
is
labeled
as
"
100
percent
organic"
the
ingredients
may
be
identified
with
the
term,
"
organic,"
but
will
not
have
to
be
so
labeled
because
it
is
assumed
from
the
100
percent
label
that
all
ingredients
are
organic.
For
95
percent
plus
products,
each
organically
produced
ingredient
listed
in
the
ingredient
statement
must
be
identified
with
the
term,
"
organic,"
or
an
asterisk
or
other
mark
to
indicate
that
the
ingredient
is
organically
produced.
Water
and
salt
cannot
be
identified
as
"
organic"
in
the
ingredient
statement.
The
handler
of
these
products
also
must
display
on
the
information
panel
the
name
of
the
certifying
agent
which
certified
the
handling
operation
that
produced
the
finished
product.
The
handler
may
include
the
business
address,
Internet
address,
or
telephone
number
of
the
certifying
agent.
This
information
must
be
placed
below
or
otherwise
near
the
manufacturer
or
distributor's
name.
Labeling
Products
"
Made
with
Organic
(
specified
ingredients
or
food
group(
s))"
With
regard
to
agricultural
products
"
made
with..."
those
products
containing
between
70
and
95
percent
organic
ingredients
this
rule
establishes,
in
section
205.304,
the
following
optional,
required,
and
prohibited
labeling
practices.
Under
optional
practices,
the
"
made
with..."
statement
is
used
to
identify
the
organically
121
produced
ingredients
in
the
product.
The
statement
may
be
placed
on
the
pdp
and
other
panels
of
the
package.
The
same
statement
can
also
be
used
in
market
information
representing
the
product.
However,
the
following
restrictions
are
placed
on
the
statement:
(
1)
the
statement
may
list
up
to
three
ingredients
or
food
group
commodities
that
are
in
the
product;
(
2)
the
individually
specified
ingredients
and
all
ingredients
in
a
labeled
food
group
must
be
organically
produced
and
must
be
identified
as
"
organic"
in
the
ingredient
statement
on
the
package's
information
panel;
(
3)
the
statement
cannot
appear
in
print
that
is
larger
than
one
half
(
50
percent)
of
the
size
of
the
largest
print
or
type
appearing
on
the
pdp;
and
(
4)
The
statement
and
optional
display
of
the
product's
organic
percentage
must
appear
in
their
entirety
in
the
same
type
size,
style,
and
color
without
highlighting.
The
following
food
groups
can
be
specified
in
the
"
made
with"
labeling
statement:
fish,
fruits,
grains,
herbs,
meats,
nuts,
oils,
poultry,
seeds,
spices,
sweeteners,
and
vegetables.
In
addition,
organically
produced
and
processed
butter,
cheeses,
yogurt,
milk,
sour
cream,
etc.,
may
be
identified
as
a
"
milk
products"
food
group.
For
the
purposes
of
this
labeling,
tomatoes
are
considered
as
vegetables,
based
on
their
use
in
a
product.
As
noted
immediately
above,
all
of
a
product's
ingredients
that
are
in
the
specified
food
group(
s)
must
be
organically
produced.
Display
of
the
"
made
with.."
statement
on
other
panels
must
be
similarly
consistent
with
the
size
of
print
used
on
those
panels.
These
restrictions
are
in
accordance
with
FDA
labeling
requirements
and
similar
to
the
recommendations
of
the
National
Organic
Standards
Board
(
NOSB).
This
provision
helps
assure
that
the
"
made
with..."
statement
is
not
displayed
in
such
a
manner
as
to
misrepresent
the
actual
organic
composition
of
the
product.
The
USDA
seal
may
not
be
displayed
on
the
pdp
of
products
labeled
"
made
with
organic
122
ingredients."
However,
at
the
handler's
option
and
consistent
with
any
contract
agreement
between
the
organic
producer
or
handler
and
the
certifying
agent,
the
certifying
agent's
seal
or
logo
may
be
displayed
on
the
pdp
and
other
package
panels.
Packages
of
"
made
with..."
products
may
display
on
the
pdp,
information
panel,
or
any
package
panel,
the
total
percentage
of
organic
ingredients
in
the
product.
Any
organically
produced
ingredient,
including
any
ingredient
that
is
a
member
of
a
food
group
listed
on
the
"
made
with..."
statement,
must
be
identified
in
the
ingredient
statement
with
the
term,
"
organic."
Alternatively,
an
asterisk
or
other
mark
may
be
placed
beside
each
organically
produced
ingredient
in
the
ingredients
statement
with
an
explanation
that
the
mark
indicates
the
ingredient
is
organically
produced.
The
name
of
the
certifying
agent
which
certified
the
handler
of
the
finished
product
must
be
displayed
below
or
otherwise
near
the
manufacturer
or
distributor's
name.
The
statement
may
include
the
phrase,
"
Certified
organic
by..."
or
"
Ingredients
certified
as
organically
produced
by...."
to
help
distinguish
the
certifying
agent
from
the
manufacturer
or
distributor.
The
handler
may
include
the
business
address,
Internet
address,
or
telephone
number
of
the
certifying
agent
which
certified
the
handler
of
the
finished
product.
If
the
percentage
of
organic
ingredients
in
the
product
is
displayed,
the
handler
who
affixes
the
label
to
the
product
package
is
responsible
for
determining
the
percentage.
The
handler
may
use
information
provided
by
the
certified
operation
in
determining
the
percentage.
As
part
of
the
certifying
agent's
annual
certification
of
the
handler,
the
certifier
must
verify
the
calculation
and
labeling
of
packages.
Labeling
Products
with
Less
Than
70
Percent
Organic
Ingredients
123
Section
205.305
covers
the
final
labeling
category
of
packaged
multiingredient
agricultural
products
containing
less
than
70
percent
organic
ingredients.
Handlers
of
"
less
than
70
percent"
multiingredient
products,
who
choose
to
declare
the
organic
nature
of
their
product,
may
do
so
only
in
the
ingredient
statement
by
identifying
the
organically
produced
ingredients
with
the
term,
"
organic,"
or
with
an
asterisk
or
other
mark.
If
the
handler
identifies
the
ingredients
that
are
organically
produced,
the
handler
also
may
declare
the
percentage
of
organic
content
in
the
product.
The
percentage
may
only
be
placed
on
the
information
panel
so
that
it
can
be
viewed
in
relation
to
the
ingredient
statement.
Processed
products
composed
of
less
than
70
percent
organic
content
cannot
display
the
USDA
seal
or
any
certifying
agent's
organic
certification
seal
or
logo
anywhere
on
the
product
package
or
in
market
information.
Handlers
of
such
products
are
subject
to
this
regulation
in
the
following
ways.
Those
handlers
who
only
purchase
organic
and
nonorganic
ingredients
and
assemble
a
finished
product
of
less
than
70
percent
organic
content
do
not
have
to
be
certified
as
organic
handlers.
However,
they
are
responsible
for
appropriate
handling
and
storage
of
the
organic
ingredients
(
section
205.101(
a)(
3))
and
for
maintaining
records
verifying
the
organic
certification
of
the
ingredients
used
in
the
product
(
section
205.101(
c)).
To
the
extent
that
the
packaging
process
includes
affixing
the
label
to
finished
product
package,
those
handlers
are
responsible
for
meeting
the
labeling
requirements
of
this
subpart.
The
nonorganic
ingredients
may
be
produced,
handled,
and
assembled
without
regard
to
the
requirements
of
this
part.
Table
2,
Labeling
Consumer
Product
Packages,
provides
a
summary
of
the
required
and
prohibited
labeling
practices
for
the
four
labeling
categories.
124
TABLE
2:
LABELING
CONSUMER
PRODUCT
PACKAGES
Labeling
category
Principle
display
panel
Information
panel
Ingredient
statement
Other
package
panels
"
100
percent
Organic"
(
Entirely
organic;
whole,
raw
or
processed
product)
"
100
percent
organic"
(
optional)
USDA
seal
and
certifying
agent
seal(
s)
(
optional)
"
100%
organic"
(
optional)
Certifying
agent
name
(
required);
business/
Internet
address,
tele.
#
(
optional)
If
multiingredient
product,
identify
each
ingredient
as
"
organic"
(
optional)
"
100
percent
organic"
(
optional)
USDA
seal
and
certifying
agent
seal(
s)
(
optional)
"
Organic"
(
95%
or
more
organic
ingredients)
"
Organic"
(
plus
product
name)
(
optional)
"
X%
organic"
(
optional)
USDA
seal
and
certifying
agent
seal(
s)
(
optional)
"
X
%
organic"
(
optional)
Certifying
agent
name
(
required);
business/
Internet
address,
tele.
#
(
optional)
Identify
organic
ingredients
as
"
organic"
(
required
if
other
organic
labeling
is
shown)
X%
organic"
(
optional)
USDA
seal
and
certifying
agent
seal(
s)
(
optional)
"
Made
with
Organic
Ingredients"
(
70
to
95%
organic
ingredients)
"
made
with
organic
(
ingredients
or
food
group(
s))"
(
optional)
"
X
%
organic"
(
optional)
Certifying
agent
seal
of
final
product
handler
(
optional)
Prohibited:
USDA
seal
"
X
%
organic
ingredients"
(
optional)
Certifying
agent
name
(
required);
business/
Internet
address,
tele.
#
(
optional)
Prohibited:
USDA
seal
Identify
organic
ingredients
as
"
organic"
(
required
if
other
organic
labeling
is
shown)
"
made
with
organic
(
ingredients
or
food
group(
s))"
(
optional)
"
X
%
organic"
(
optional)
Certifying
agent
seal
of
final
product
handler
(
optional)
Prohibited:
USDA
seal
Less
than
70%
organic
ingredients
Prohibited:
Any
reference
to
organic
content
of
product
Prohibited:
USDA
seal
&
certifying
agent
seal
"
X
%
organic"
(
optional)
Prohibited:
USDA
seal
&
certifying
agent
seal
Identify
organic
ingredients
as
"
organic"
(
optional)
(
required
if
%
organic
is
displayed)
Prohibited:
USDA
seal
&
certifying
agent
seal
Misrepresentation
in
Labeling
of
Organic
Products.
The
labeling
requirements
of
this
final
rule
are
intended
to
assure
that
the
term,
"
organic,"
and
other
similar
terms
or
phrases
are
not
125
used
on
a
product
package
or
in
marketing
information
in
a
way
that
misleads
consumers
as
to
the
contents
of
the
package.
Thus,
we
intend
to
monitor
the
use
of
the
term,
"
organic,"
and
other
similar
terms
and
phrases.
If
terms
or
phrases
are
used
on
product
packages
to
represent
"
organic"
when
the
products
are
not
produced
to
the
requirements
of
this
regulation,
we
will
proceed
to
restrict
their
use.
Handlers
may
not
qualify
or
modify
the
term,
"
organic,"
using
adjectives
such
as,
"
pure"
or
"
healthy,"
e.
g.,
"
pure
organic
beef"
or
"
healthy
organic
celery."
The
term,
"
organic,"
is
used
in
labeling
to
indicate
a
certified
system
of
agricultural
production
and
handling.
Terms
such
as
"
pure,"
"
healthy,"
and
other
similar
adjectives
attribute
hygienic,
compositional,
or
nutritional
characteristics
to
products.
Use
of
such
adjectives
may
misrepresent
products
produced
under
the
organic
system
of
agriculture
as
having
special
qualities
as
a
result
of
being
produced
under
the
organic
system.
Furthermore,
use
of
such
adjectives
would
incorrectly
imply
that
products
labeled
in
this
manner
are
different
from
other
organic
products
that
are
not
so
labeled.
Moreover,
"
pure,"
"
healthy,"
and
other
similar
terms
are
regulated
by
FDA
and
FSIS.
These
terms
may
be
used
only
in
accordance
with
the
labeling
requirements
of
FDA
and
FSIS.
The
prohibition
on
use
of
these
terms
to
modify
"
organic"
does
not
otherwise
preclude
their
use
in
other
labeling
statements
as
long
as
such
statements
are
in
accordance
with
other
applicable
regulations.
Representations
made
in
market
information
for
organic
products
are
also
subject
to
the
requirements
and
restrictions
of
other
Federal
statutes
and
applicable
regulations,
including
the
Federal
Trade
Commission
Act,
15
U.
S.
C.
45
et
seq.
Labeling
Organically
Produced
Livestock
Feed
Products
New
section
205.306
is
added
to
provide
for
labeling
of
the
two
categories
of
livestock
126
feed
that
are
organically
produced
under
this
regulation.
Feed
labeled
"
100
percent
organic"
may
contain
only
organically
produced
agricultural
product.
Such
feed
must
not
contain
feed
additives,
supplements,
or
synthetic
substances.
Feed
labeled
"
organic"
must
contain
only
organically
produced
agricultural
products
and
may
contain
feed
additives
and
supplements
in
accordance
with
section
205.237,
Livestock
Feed,
and
section
205.603
of
the
National
List.
This
rule
does
not
limit
the
percentage
of
such
additives
and
supplements
in
organic
feed
products,
which
may
be
required
under
various
State
laws.
Livestock
feed
labeled
"
100
percent
organic"
and
"
organic"
may,
at
the
handler's
option,
display
the
USDA
seal
and
the
seal
or
logo
of
the
certifying
agent.
The
organic
ingredients
listed
on
the
ingredient
statement
may
be
identified
with
the
word,
"
organic,"
or
other
reference
mark.
The
name
of
the
certifying
agent
must
be
displayed
on
the
information
panel.
The
business
address,
Internet
address,
and
other
contact
information
for
the
certifying
agent
may
be
displayed.
These
are
the
only
labeling
options
to
indicate
that
livestock
feed
that
is
organically
produced.
Labeling
of
Products
Shipped
in
International
Markets
Domestically
produced
organic
products
intended
for
export
may
be
labeled
to
meet
the
requirements
of
the
country
of
destination
or
any
labeling
requirements
specified
by
a
particular
foreign
buyer.
For
instance,
a
product
label
may
require
a
statement
that
the
product
has
been
certified
to,
or
meets,
certain
European
Union
(
EU)
organic
standards.
Such
factual
statements
regarding
the
organic
nature
of
the
product
are
permitted.
However,
those
packages
must
be
exported
and
cannot
be
sold
in
the
United
States
with
such
a
statement
on
the
label
because
the
statement
indicates
certification
to
standards
other
than
are
required
under
this
program.
As
a
safeguard
for
this
requirement,
we
require
that
shipping
containers
and
bills
of
lading
for
such
127
exported
products
display
the
statement,
"
for
export
only,"
in
bold
letters.
Handlers
also
are
expected
to
maintain
records,
such
as
bills
of
lading
and
U.
S.
Customs
Service
documentation,
showing
export
of
the
products.
Only
products
which
have
been
certified
and
labeled
in
accordance
with
the
requirements
of
the
NOP
may
be
shipped
to
international
markets
without
marking
the
shipping
containers
"
for
export
only."
Organically
produced
products
imported
into
the
United
States
must
be
labeled
in
accordance
with
the
requirements
of
this
subpart.
Labeling
and
market
representation
of
the
product
cannot
imply
that
the
product
is
also
certified
to
other
organic
standards
or
requirements
that
differ
from
this
national
program.
Labeling
Nonretail
Containers
Section
205.307
provides
for
labeling
nonretail
containers
used
to
ship
or
store
raw
or
processed
organic
agricultural
products
that
are
labeled
"
100
percent
organic,"
"
organic,"
and
"
made
with
organic..."
Labeling
nonretail
containers
as
containing
organically
produced
product
should
provide
for
easy
identification
of
the
product
to
help
prevent
commingling
with
nonorganic
product
or
handling
of
the
product
which
would
destroy
the
organic
nature
of
the
product
(
fumigation,
etc.).
These
labeling
provisions
are
not
intended
for
shipping
or
storage
containers
that
also
are
used
in
displays
at
the
point
of
retail
sale.
Retail
containers
must
meet
labeling
provisions
specified
in
section
205.307.
Containers
used
only
for
shipping
and
storage
of
any
organic
product
labeled
as
containing
70
percent
or
more
organic
content
may,
at
the
handler's
discretion,
display
the
following
information:
(
1)
the
name
and
contact
information
of
the
certifying
agent
which
certified
the
handler
of
the
finished
product;
(
2)
the
term,
"
organic,"
modifying
the
product
name;
(
3)
any
128
special
handling
instructions
that
must
be
followed
to
maintain
the
organic
integrity
of
the
product;
and
(
4)
the
USDA
seal
and
the
appropriate
certifying
agent
seal.
This
information
is
available
to
handlers
if
they
believe
display
of
the
information
helps
ensure
special
handling
or
storage
practices
which
are
consistent
with
organic
practices.
Containers
used
for
shipping
and
storage
of
organic
product
must
display
a
production
lot
number
if
such
a
number
is
used
in
the
processing
and
handling
of
the
product.
Much
of
this
information
may
overlap
information
that
the
handler
normally
affixes
to
shipping
and
storage
containers
or
information
that
is
required
under
other
Federal
labeling
regulations.
There
are
no
restrictions
on
size
or
display
of
the
term,
"
organic,"
or
the
certifying
agent
seal
unless
required
by
other
Federal
or
State
statutes.
Labeling
Products
at
the
Point
of
Retail
Sale
Section
205.308
applies
to
organically
produced
"
100
percent
organic"
and
"
organic"
products
that
are
not
packaged
prior
to
sale
and
are
presented
in
a
manner
which
allows
the
consumer
to
select
the
quantity
of
the
product
purchased.
The
terms,
"
100
percent
organic"
and
"
organic,"
as
applicable,
may
be
used
to
modify
the
name
of
the
product
in
retail
displays,
labeling,
and
market
information.
The
ingredient
statement
of
a
product
labeled
"
organic"
displayed
at
retail
sale
must
identify
the
organic
ingredients.
If
the
product
is
prepared
in
a
certified
facility,
the
retail
materials
may
also
display
the
USDA
seal
and
the
seal
or
logo
of
the
certifying
agent.
If
shown,
the
certifying
agent
seal
must
not
be
larger
than
the
USDA
seal.
Section
205.309
addresses
"
made
with..."
products
that
are
not
packaged
prior
to
sale
and
are
presented
in
a
manner
which
allows
the
consumer
to
select
the
quantity
of
the
product
129
purchased.
These
products
include,
but
are
not
limited
to,
multiingredient
products
containing
between
70
and
95
percent
organic
ingredients.
The
"
made
with..."
label
may
be
used
to
modify
the
name
of
the
product
in
retail
displays,
labeling,
and
market
information.
Up
to
three
organic
ingredients
or
food
groups
may
be
identified
in
the
statement.
If
such
statement
is
declared
in
market
information
at
the
point
of
retail
sale,
the
ingredient
statement
and
market
information
must
identify
the
organic
ingredients.
Retail
display
and
market
information
of
bulk
products
cannot
display
the
USDA
seal
but
may,
if
the
product
is
prepared
in
a
certified
facility,
display
the
seal
or
logo
of
the
certifying
agent
which
certified
the
finished
product.
The
certifying
agent's
seal
or
logo
may
be
displayed
at
the
option
of
the
retail
food
establishment.
Products
containing
less
than
70
percent
organic
ingredients
may
not
be
identified
as
organic
or
containing
organic
ingredients
at
retail
sale.
The
USDA
seal
and
any
certifying
agent
seal
or
logo
may
not
be
displayed
for
such
products.
Labeling
Products
Produced
in
Exempt
or
Excluded
Operations
Section
205.310
provides
limited
organic
labeling
provisions
for
organic
product
produced
or
handled
on
exempt
and
excluded
operations.
Such
operations
would
include
retail
food
establishments,
certain
manufacturing
facilities,
and
production
and
handling
operations
with
annual
organic
sales
of
less
the
$
5,000.
These
operations
are
discussed
more
thoroughly
in
subpart
B,
Applicability.
Any
such
operation
that
is
exempt
or
excluded
from
certification
or
which
chooses
not
to
be
certified
may
not
label
its
organically
produced
products
in
a
way
which
indicates
that
the
operation
has
been
certified
as
organic.
Exempt
producers
may
market
whole,
raw
organic
product
directly
to
consumers,
for
example,
at
a
farmers
market
or
roadside
stand
as
"
organic
130
apples"
or
"
organic
tomatoes."
Exempt
producers
may
market
their
products
to
retail
food
establishments
for
resale
to
consumers.
However,
no
terms
may
be
used
which
indicate
that
such
products
are
"
certified"
as
organic.
Finally,
exempt
organic
producers
cannot
sell
their
product
to
a
handler
for
use
as
an
ingredient
or
for
processing
into
an
ingredient
that
is
labeled
as
organic
on
the
information
panel.
These
provisions
are
truth
in
labeling
provisions
because
display
of
a
certification
seal
indicates
that
the
product
has
been
certified.
We
believe
this
requirement
helps
differentiate
between
certified
and
uncertified
products
and
helps
maintain
the
integrity
of
certified
products
while
providing
organic
labeling
opportunities
for
exempt
and
excluded
operations.
USDA
Organic
Seal
This
final
rule
establishes
a
USDA
seal
that
can
be
placed
on
consumer
packages,
displayed
at
retail
food
establishments,
and
used
in
market
information
to
show
that
certified
organic
products
have
been
produced
and
handled
in
accordance
with
these
regulations.
The
USDA
seal
can
only
be
used
to
identify
raw
and
processed
products
that
are
certified
as
organically
produced.
It
cannot
be
used
for
products
labeled
as
"
made
with
organic
ingredients"
(
70
to
95
percent
organic
ingredients)
or
on
products
with
less
than
70
percent
organic
ingredients.
The
USDA
seal
is
composed
of
an
outer
circle
around
two
interior
half
circles
with
an
overlay
of
the
words
"
USDA
Organic."
When
used,
the
USDA
seal
must
be
the
same
form
and
design
as
shown
in
figure
1
of
section
205.311
of
this
regulation.
The
USDA
seal
must
be
printed
legibly
and
conspicuously.
On
consumer
packages,
retail
displays,
and
labeling
and
market
information,
the
USDA
seal
should
be
printed
on
a
white
background
in
earth
tones
with
a
131
brown
outer
circle
and
separate
interior
half
circles
of
white
(
upper)
and
green
(
lower).
The
term,
"
USDA,"
must
appear
in
green
on
the
white
half
circle.
The
term,
"
organic,"
must
appear
in
white
on
the
green
half
circle.
The
handler
may
print
the
USDA
seal
in
black
and
white,
using
black
in
the
place
of
green
and
brown.
Size
permitting,
the
green
(
or
black)
lower
half
circle
may
have
four
light
lines
running
from
left
to
right
and
disappearing
at
the
right
horizon,
to
resemble
a
cultivated
field.
The
choice
between
these
two
color
schemes
is
left
to
the
discretion
of
the
producer,
handler,
or
retail
food
establishment.
Labeling
Changes
Based
on
Comments
The
following
changes
are
made
based
on
comments
received.
(
1)
Use
of
"
Organic"
in
Product
Names.
The
NOSB,
State
organic
program
(
SOP)
managers,
certifying
agents,
and
a
large
number
of
individual
commenters
strongly
recommended
that
USDA
prohibit
use
of
the
term,
"
organic,"
to
modify
an
ingredient
in
a
product
name
if
the
ingredient,
itself,
is
not
produced
organically.
The
examples
offered
were
"
organic
chocolate
ice
cream"
and
"
organic
cherry
sweets"
in
which
the
ice
cream
and
candy
are
at
least
95
percent
organic
but
the
chocolate
and
cherry
flavoring
is
not
organically
produced.
We
agree
with
commenters
that
such
product
names
can
be
misleading
and
would
be
a
violation
of
section
205.300(
a).
In
the
examples,
the
word,
"
organic,"
precedes
the
words,
"
chocolate"
and
"
cherry,"
and
clearly
implies
that
those
ingredients
are
organically
produced.
The
chocolate
and
cherry
flavorings
must
be
organically
produced
to
be
used
in
this
way.
If
the
product
is
at
least
95
percent
organically
produced
but
the
flavoring
is
nonorganic,
the
word
sequence
must
be
reversed
or
the
word,
"
flavored,"
must
be
added
to
the
name;
e.
g.,
"
chocolate
organic
ice
cream"
or
"
chocolate
flavored
organic
ice
cream."
A
sentence
has
been
added
to
132
section
205.300(
a)
to
specify
that
the
term,
"
organic,"
may
not
be
used
in
a
product
name
to
identify
an
ingredient
that
is
not
organically
produced.
A
similar
comment
was
received
asking
how
a
single
product
with
two
separately
wrapped
components
can
be
labeled
if
one
of
the
components
is
organically
produced
and
the
other
is
not.
The
commenter's
example
was
a
carrot
and
dip
snack
pack
in
which
the
carrots
are
organically
produced
and
the
dip
is
a
conventional
product.
Another
example
is
ready
to
eat
tossed
green
salad
in
which
the
salad
greens
are
organically
produced
but
the
separately
pouched
salad
dressing
is
a
nonorganic
component
of
the
product.
Such
products
also
must
be
labeled
in
accordance
with
section
205.300(
a).
It
would
be
misleading
to
label
the
snack
pack
"
organic
carrots
and
dip"
or
"
organic
green
salad
and
ranch
dressing,"
if
the
dip
and
ranch
dressing
are
not
produced
with
organic
ingredients.
The
salad
may
be
labeled
"
organic
green
salad
with
ranch
dressing."
Section
6519(
b)
of
the
Act
provides
the
Secretary
with
the
authority
to
take
action
against
misuse
of
the
term,
"
organic."
USDA
will
monitor
use
of
the
term,
"
organic,"
in
product
names
and
will
restrict
use
of
the
term
in
names
that
are
determined
to
be
deliberately
misleading
to
consumers.
Such
determinations
must
be
made
on
a
case
by
cases
basis.
(
2)
Labeling
Livestock
Feed.
In
the
definition
of
"
agricultural
product,"
the
Act
includes
product
marketed
for
"
livestock
consumption."
This
means
that
NOP
regulations
have
applicability
to
livestock
feed
production.
The
Association
of
American
Feed
Control
Officials
(
AAFCO)
and
a
few
States
departments
of
agriculture
commented
that
the
proposed
provisions
conflict
with
widely
followed
standards
for
livestock
feed
labeling.
AAFCO's
"
Model
Bill
and
Regulation"
standards
are
incorporated
in
many
State
feed
laws.
The
commenters
claimed
that
133
the
requirement
to
identify
organic
ingredients
in
the
ingredient
statement
conflicts
with
feed
regulations
which
prohibit
reference
to
an
ingredient's
"
quality
or
grade."
They
also
claimed
that
the
percentage
of
organic
content
requirement
is
a
quantitative
claim
that
must
be
verified
by
independent
sources
(
e.
g.,
sources
other
than
the
certifying
agent).
The
commenters
suggested
that
a
provision
be
added
to
address
labeling
of
commercial
livestock
feed.
We
have
added
new
paragraph
(
e)
of
section
205.301
which
provides
for
two
kinds
of
feed
that
can
be
labeled
as
"
organic."
The
first
is
feed
that
contains
only
organically
produced
agricultural
ingredients
and
contains
no
added
nutrients
or
supplements.
The
second
organic
feed
category
also
must
contain
only
organically
produced
agricultural
ingredients
but
may
contain
feed
additives
and
supplements
that
are
needed
to
meet
the
nutritional
and
health
needs
of
the
livestock
for
which
the
feed
is
intended.
Feed
labeled
as
"
organic"
must
conform
with
the
requirements
of
section
205.237,
Livestock
feed.
That
section
provides
that
feed
additives
and
supplements
produced
in
conformity
with
section
205.603
of
the
National
List
may
be
used.
The
NOP
requires
that
livestock
under
organic
management
must
only
be
fed
organically
produced
agricultural
ingredients.
We
also
have
added
new
section
205.306
to
address
commenters'
labeling
concerns.
The
new
section
provides
for
optional
display
of
a
feed's
organic
percentage
and
optional
identification
of
the
feed
ingredients
that
are
organically
produced.
The
labeling
requirements
are
not
intended
to
supersede
the
general
feed
labeling
requirements
established
in
the
FFDCA
and
those
found
under
various
State
laws.
Handling
processes,
feed
formulations
and
recordkeeping
must
be
sufficient
to
meet
the
requirements
of
applicable
State
regulations.
We
believe
the
provisions
in
new
paragraph
(
e)
of
section
205.301
on
feed
content
and
134
new
section
205.306
on
labeling
will
allow
livestock
feed
producers
to
produce
and
label
organic
livestock
feed
that
is
in
accordance
with
these
regulations
and
State
requirements.
(
3)
Organic
Processing
Aids.
Several
industry
leaders
and
SOP
managers
questioned
whether
the
proposed
rule
intended
to
exclude
the
use
of
certified
organic
processing
aids
in
the
creation
of
"
100
percent
organic"
products.
Commenters
pointed
out
that
a
handler
should
be
able
to
use
organically
produced
processing
aids
to
create
products
that
are
labeled
as
"
100
percent
organic."
The
processing
aid
can
be
a
by
product
of
an
organic
agricultural
product;
e.
g.,
a
filter
made
of
rice
hulls
from
organically
produced
rice.
AMS
concurs.
Accordingly,
a
change
is
made
in
paragraph
(
f)(
4)
of
section
205.301
to
provide
for
use
of
organically
produced
processing
aids
in
products
labeled
"
100
percent
organic."
To
help
clarify
this
and
correct
an
incomplete
reference
in
the
proposed
rule
preamble,
we
have
changed
the
column
heading
of
the
fourth
prohibited
practice
in
the
preamble
table
1.
(
4)
Content
of
"
100
Percent
Organic
Products."
Certifying
agents
and
several
industry
commenters
called
attention
to
the
regulatory
text
of
section
205.301(
a)
describing
100
percent
organic
products.
They
argued
that
the
proposed
rule
would
allow
products
with
one
or
more
95
percent
plus
"
organic"
ingredients
to
be
combined
as
components
and
have
the
resulting
product
be
labeled
as
"
100
percent
organic."
We
did
not
intend
to
allow
any
ingredient
that
is
less
than
100
percent
organic
to
be
used
in
a
product
labeled
"
100
percent
organic."
To
leave
no
doubt
as
to
the
nature
of
any
product
labeled
"
100
percent
organic,"
we
have
changed
the
wording
of
paragraph
(
a)
of
section
205.301
to
clarify
that
a
multiingredient
"
100
percent
organic"
product
must
be
comprised
entirely
of
100
percent
organic
ingredients.
135
(
5)
Labeling
of
Organic
Percentage.
We
received
many
comments
requesting
clearer
display
of
a
product's
percentage
of
organic
content.
Most
suggested
that
any
product
containing
less
than
100
percent
organic
ingredients
should
be
required
to
display
the
organic
percentage
on
the
pdp.
They
argued
that
display
of
the
organic
percentage
on
the
front
of
the
package
would
enable
consumers
to
more
easily
determine
organic
content,
compare
competing
products,
and
make
better
purchase
decisions.
The
NOSB
did
not
recommend
display
of
organic
percentage
on
the
pdp
for
all
products
containing
organic
ingredients.
We
also
received
several
comments
from
handlers
concerned
that
the
required
display
of
a
product's
organic
percentage
can
be
a
burden
on
handlers.
They
stated
that,
to
save
packaging
and
printing
costs,
handlers
order
bulk
quantities
of
printed
packages,
labels,
and
other
printed
marketing
materials.
When
printed
in
advance
of
a
growing
season
and
harvest,
the
handler
may
not
be
able
to
assemble
a
product
that
is
exactly
consistent
with
the
preprinted
labeling
information,
particularly
the
percentage
of
organic
content.
One
commenter
representing
a
commodity
association
opposed
the
required
percentage
labeling
because
the
association
believes
consumers
will
not
understand
any
organic
claim
if
a
percentage
of
less
than
100
percent
is
displayed.
We
believe
that
display
of
the
percentage
of
organic
content
is
important
product
information
that
can
be
very
helpful
to
consumers
in
their
purchase
decisions.
We
also
believe
that
the
opportunity
to
display
the
percentage
content
of
organically
produced
ingredients
can
be
a
positive
factor
in
encouraging
handlers
to
use
more
organic
ingredients
in
their
multiingredient
products.
At
the
same
time,
we
understand
the
financial
commitment
involved
in
preprinting
bulk
quantities
of
packages
and
labels
well
in
advance
of
harvests,
which
determine
availability
of
136
needed
ingredients.
This
final
rule
implements
changes
in
sections
205.303
and
205.304
for
products
labeled
"
organic"
and
"
made
with
organic
ingredients."
The
requirement
to
display
the
percentage
of
organic
content
on
the
information
panel
is
removed.
That
requirement
is
replaced
with
optional
labeling
of
the
product's
organic
percentage
on
the
pdp
or
any
other
package
panels.
This
will
allow
those
handlers
to
display
the
percentage
of
their
product's
organically
produced
contents
on
the
pdp
where
it
will
be
most
immediately
visible
to
consumers.
Handlers
who
cannot,
with
certainty,
display
their
product's
organic
percentage
or
who
choose
not
to
display
the
percentage,
are
not
required
to
do
so.
This
revised
labeling
provision
also
removes
the
requirement
in
section
205.305
that
products
with
less
than
70
percent
organic
content
display
the
product's
organic
percentage
on
the
information
panel.
Under
this
final
rule,
that
percentage
labeling
is
optional
but
is
still
restricted
to
the
information
panel.
The
percentage
of
a
less
than
70
percent
organic
product
may
not
be
displayed
on
the
pdp
and
may
not
be
displayed
if
the
organic
ingredients
are
not
identified
in
the
ingredient
statement.
(
6)
Designation
of
Organically
Produced
Ingredients.
A
certifying
agent
suggested
that
identification
of
organic
ingredients
in
ingredient
statements
should
be
allowed
to
be
made
with
an
asterisk
or
similar
mark,
with
the
asterisk
defined
on
the
information
panel.
The
commenter
stated
that
the
repetitive
use
of
the
word,
"
organic,"
may
cause
space
problems
on
some
small
packages
and
that
use
of
a
mark
is
a
common
industry
practice.
We
agree
with
the
comment
and
have
changed
sections
205.303(
b)(
1),
205.304(
b)(
1),
and
205.305(
a)(
i)
of
the
regulatory
text
accordingly.
Thus,
organic
ingredients
may
be
identified
in
the
ingredient
statement
with
either
137
the
term,
"
organic,"
or
an
asterisk
or
other
mark,
provided
that
the
asterisk
or
other
mark
is
defined
on
the
information
panel
adjacent
to
the
ingredient
statement.
(
7)
Minimum
Organic
Percentage
for
Labeling.
In
the
proposed
rule's
preamble,
we
asked
for
public
comment
on
whether
the
50
percent
minimum
organic
content
for
pdp
labeling
should
be
increased.
The
50
percent
minimum
content
was
established
in
section
6505(
c)
of
the
Act.
However,
the
Act
also
provides
the
Secretary
with
the
authority
to
require
such
other
terms
and
conditions
as
are
necessary
to
implement
the
program.
Thus,
the
minimum
organic
content
level
for
pdp
labeling
could
be
changed
if
the
change
would
further
the
purposes
of
the
Act.
Comments
to
the
first
(
1997)
proposal
and
to
the
revised
proposed
rule
suggested
that
the
minimum
organic
content
for
labeling
purposes
should
be
increased.
All
comments
received,
including
comments
from
certifying
agents,
a
leading
organic
association,
the
EU
and
other
international
commenters
recommended
that
the
minimum
organic
content
to
qualify
for
pdp
labeling
should
be
raised
to
70
percent,
which
is
the
EU's
minimum.
All
comments
stated
that
the
increase
is
necessary
to
make
the
NOP
standards
consistent
with
international
organic
standards.
Commenters
also
pointed
to
advances
in
organic
production
and
processing
technologies
and
to
increases
in
the
availability
of
organically
produced
products
and
processed
ingredients.
These
factors
should
make
it
easier
for
handlers
to
assemble
food
products
with
higher
organic
content.
We
concur
with
the
comments.
We
view
this
as
a
tightening
of
labeling
requirements
in
that
pdp
labeling
now
requires
a
higher
percentage
of
organic
ingredients
and
makes
the
U.
S.
standard
consistent
with
international
norms.
In
the
proposed
rule's
preamble,
we
also
asked
for
specific
public
comment
on
whether
a
minimum
percentage
of
total
product
content
should
be
required
for
any
single
organic
ingredient
138
that
is
included
in
the
pdp
statement
"
made
with
organic
(
specified
ingredients)."
No
commenters
responded
to
this
question.
Therefore,
no
required
minimum
percentage
for
a
single
organic
ingredient
in
"
made
with..."
products
is
established.
(
8)
"
Made
With
Organic
(
Specified
Food
Groups)."
Several
industry
organizations
suggested
that,
as
an
alternative
to
listing
up
to
three
organic
ingredients
in
the
"
made
with..."
label,
the
rule
should
also
allow
for
identification
of
food
"
groups"
or
"
classes"
of
food
in
the
"
made
with"
label.
Commenters
suggested,
for
instance,
that
a
soup
(
with
70
percent
or
more
organic
ingredients,
less
water
and
salt)
containing
organically
produced
potatoes,
carrots,
and
onions
may
be
labeled
as
"
soup
made
with
organic
potatoes,
carrots,
and
onions"
or,
alternatively,
"
soup
made
with
organic
vegetables."
We
agree
that
this
label
option
offers
handlers
of
such
multiingredient
products
with
more
flexibility
in
their
labeling.
All
ingredients
in
the
identified
food
group
must
be
organically
produced
and
must
be
identified
in
the
ingredient
statement
as
"
organic."
In
the
above
example,
if
soup
also
contains
conventionally
produced
cauliflower,
only
"
soup
made
with
organic
potatoes,
carrots,
and
onions"
can
be
displayed.
We
also
believe
that
some
parameters
must
be
established
as
to
what
are
considered
as
food
groups
or
classes
of
food.
For
the
purposes
of
this
regulation,
products
from
the
following
food
groups
may
be
labeled
as
"
organic"
in
a
"
made
with..."
label:
beans,
fruits,
grains,
herbs,
meats,
nuts,
oils,
poultry,
seeds,
spices,
and
vegetables.
In
addition,
organically
produced
and
processed
butter,
cheeses,
yogurt,
milk,
sour
cream,
etc.
may
be
combined
in
a
product
and
identified
as
"
organic
milk
products."
Organically
produced
and
processed
sugar
cane,
sugar
beets,
corn
syrup,
maple
syrup,
etc.
may
be
used
in
a
product
and
identified
as
"
organic
139
sweeteners."
Finally,
to
be
consistent
with
the
"
made
with..."
labeling
for
individual
ingredients,
up
to
three
food
groups
can
be
identified
in
the
"
made
with..."
statement.
Section
205.304
is
changed
accordingly.
(
9)
Labeling
Products
from
Exempt
and
Excluded
Operations.
A
change
is
made
in
redesignated
section
205.310
which
provides
for
labeling
of
organic
products
produced
by
exempt
and
excluded
operations.
SOP
managers
and
an
organic
handler
pointed
out
that
the
preamble
suggested
restrictions
on
labeling
that
would
prevent
exempt
and
excluded
operations
from
identifying
their
products
as
"
organic."
After
review
of
the
proposed
rule,
we
have
revised
redesignated
section
205.310
to
more
clearly
specify
labeling
opportunities
for
exempt
operations.
The
regulatory
text
more
clearly
states
that
such
operations
may
not
label
or
represent
their
organic
products
as
being
"
certified"
as
organic
and
that
such
exempt
and
excluded
operations
must
comply
with
applicable
production
and
handling
provisions
of
subpart
C.
Labeling
must
be
consistent
with
the
four
labeling
categories
based
on
the
product's
organic
content.
A
State
organic
advisory
board
recommended
that
proposed
section
205.309
be
revised
to
apply
to
exempt
and
excluded
operations
which
choose
to
be
certified
under
this
program.
We
do
not
believe
it
is
necessary
to
provide
separate
regulatory
text
for
exempt
and
excluded
operations
that
are
certified.
An
exempt
operation
is
not
precluded
from
organic
certification,
if
qualified.
(
10)
Redesigned
USDA
Seal.
Leading
industry
members,
certifying
agents,
SOP
managers,
and
many
individual
commenters
opposed
the
proposed
wording
and
design
of
the
USDA
seal.
Comments
generally
stated
the
following
points:
(
1)
the
proposed
Seal
wording
indicates
that
USDA
is
the
certifying
agent
rather
than
accredited
certifiers;
(
2)
international
140
Organization
for
Standardization
(
ISO)
Guide
61
prohibits
government
bodies
from
acting
or
appearing
as
certifying
agents;
and
(
3)
The
shield
or
badge
design
indicates
a
certification
of
product
"
quality"
and
assurance
of
safety
which
is
inconsistent
with
the
NOP's
claim
to
be
a
certification
of
"
process"
only.
Commenters
suggested
several
alternative
seal
statements,
including:
"
Certified
Organic
USDA
Accredited,"
"
Certified
Organic
USDA
Approved,"
"
USDA
Certified
Organic
Production,"
"
Meets
USDA
Organic
Production
Requirements."
Based
on
comments
received,
we
are
implementing
a
revised
USDA
seal
which
is
shown
in
the
regulatory
text
under
section
301.311.
It
is
a
circular
design
with
the
words,
"
USDA
Organic."
The
color
scheme
is
a
white
background,
brown
outer
circle,
white
and
green
inner
semicircles,
and
green
and
white
words.
A
black
and
white
color
scheme
also
may
be
used
if
preferred
by
the
handler.
Some
commenters
suggested
changing
the
shape
of
the
USDA
seal
to
a
circle
or
triangle
which,
they
state,
is
more
in
keeping
with
recognized
recycling
and
sustainability
logos.
We
did
not
choose
a
triangle
design
because
processors
have
commented
that
triangle
designs
may
cause
tears
in
shrink
wrap
coverings
at
the
points
of
the
triangle.
Labeling
Changes
Requested
But
Not
Made
(
1)
"
Organic"
in
Company
Names.
Many
commenters
stated
that
the
term,
"
organic,"
must
not
be
used
as
part
of
a
company
name
if
the
company
does
not
market
organically
produced
foods.
They
are
concerned
that
the
term
in
a
company
name
would
incorrectly
imply
that
the
product,
itself,
is
organically
produced.
While
we
understand
commenter
concerns,
we
do
not
know
the
extent
of
the
problem.
We
do
not
believe
those
concerns
require
such
a
prohibition
in
the
regulations
at
this
time.
These
141
regulations
may
not
be
the
best
mechanism
to
address
the
issue.
Section
6519(
b)
of
the
Act
provides
the
Secretary
with
the
authority
to
take
action
against
misuse
of
the
term,
"
organic."
USDA
will
monitor
use
of
the
term,
"
organic,"
in
company
names
and
will
work
with
the
FTC
to
take
action
against
such
misuse
of
the
term.
These
determinations
must
be
made
on
a
case
bycase
basis.
The
proposed
rule
did
not
specifically
address
this
issue.
We
have
added
a
sentence
to
paragraph
(
a)
of
section
205.300
to
this
effect.
(
2)
The
"
100
Percent
Organic"
Label.
A
large
number
of
commenters
opposed
the
"
100
percent
organic"
label
for
different
reasons.
A
few
claimed
that
the
label
is
not
authorized
under
the
Act.
Several
commenters
suggested
that
consumers
will
not
understand
the
difference
between
multiingredient
products
labeled
"
100
percent
organic"
and
"
organic."
Others
raised
the
concern
that
the
"
100
percent
organic"
phrase
to
modify
raw,
fresh
fruits
and
vegetables
in
produce
sections
and
farmers
markets
may
be
confusing
to
consumers.
Regarding
the
first
comment,
the
term
is
not
specifically
provided
for
in
the
Act.
However,
the
Secretary
has
the
authority
under
section
6506(
a)(
11)
to
require
other
terms
and
conditions
as
may
be
necessary
to
develop
a
national
organic
program.
When
a
product
is
wholly
organic,
pursuant
to
the
production
and
handling
requirements
of
the
NOP,
we
believe
the
handler
should
have
the
option
to
differentiate
it
from
products
which,
by
necessity,
are
less
than
100
percent
organic.
We
believe
the
label
meets
the
purposes
of
the
Act.
Regarding
consumer
confusion,
we
believe
consumers
will
understand
the
difference
between
the
two
kinds
of
organic
products
and
will
make
their
organic
purchases
accordingly.
Regarding
the
labeling
of
raw,
fresh
product
as
"
100
percent
organic,"
organically
produced
products
can
be
labeled
to
a
lower
labeling
category.
Raw,
fresh
fruits
and
vegetables
142
which
qualify
for
a
"
100
percent
organic"
label
may
be
labeled
simply
as
"
organic,"
if
the
producer
or
retail
operator
believes
that
label
is
best
for
marketing
purposes.
(
3)
Explain
Why
Product
Is
Not
100
Percent
Organic.
A
large
number
of
commenters
also
suggested
any
"
product
that
is
less
than
100
percent
organic
should
carry
that
information
on
the
main
display
panel..."
By
"
that
information,"
we
assume
the
commenters
are
referring
to
the
reasons
why
a
product
cannot
be
certified
as
"
100
percent
organic."
AMS
believes
such
a
labeling
requirement
is
impractical.
Products
may
fail
to
qualify
for
a
"
100
percent
organic"
label
for
very
technical,
or
little
understood,
reasons.
Contemporary
food
processing
often
uses
ingredients,
processing
technologies,
and
product
formulations
that
are
complicated,
technical,
and
probably
not
of
interest
to
the
general
organic
consumer.
Such
information
is
not
required
on
nonorganically
produced
products
for
the
simple
reason
that
it
is
not
considered
useful
to
consumers.
Explanations
of
the
different
processing
technologies
used
in
food
products
would
be
cumbersome
and
would
interfere
with
other
product
labeling.
We
believe
the
optional
display
of
the
organic
percentage
and
required
identification
of
organic
ingredients
on
the
information
panel
provides
sufficient
information
for
consumers
to
make
purchase
decisions.
Other
descriptive
information
regarding
processing
substances
and
procedures
may,
of
course,
be
provided
at
the
handler's
option
and
placed
in
accordance
with
other
Federal
labeling
requirements.
(
4)
Check
the
Appropriate
Organic
Category.
One
commenter
suggested
that
packages
of
organically
produced
product
display
a
small
box
listing
the
four
organic
label
categories
and
a
check
mark
beside
the
category
which
fits
the
product.
We
understand
the
simplicity
and
comparative
nature
of
such
a
standardized
organic
label
143
that
allows
easy
comparison
of
similar
products.
However,
we
believe
that
the
optional
display
of
the
product's
organic
percentage
and
required
identification
of
organic
ingredients
will
be
more
helpful
to
consumers
and
makes
the
grid
box
redundant.
(
5)
Nonorganic
Ingredients
in
Organic
Products.
A
large
number
of
comments
were
received
on
the
composition
and
use
of
nonorganic
ingredients
in
products
labeled
"
made
with..."
and
on
conventional
products
with
less
than
50
(
now
70)
percent
organic
ingredients.
Several
industry
commenters
suggested
that
nonorganic
ingredients
in
"
made
with..."
products
must
be
"
natural"
(
nonsynthetic
agricultural
substances)
and
not
be
artificially
produced.
Commenters
argued
that
all
ingredients
in
"
made
with..."
and
less
than
70
percent
products
should
be
produced
in
accordance
with
the
prohibited
practices
under
sections
205.105
and
205.301(
f).
A
significant
number
of
commenters
opposed
identification
of
organic
ingredients
in
what
they
called
"
natural
food"
products.
First,
we
do
not
agree
that
the
nonorganic
ingredients
in
"
made
with..."
products
must
be
restricted
to
only
"
natural"
products.
Such
restrictions
on
the
composition
of
nonorganic
ingredients
would
significantly
reduce
handlers'
options
in
producing
those
products
and,
thus,
reduce
consumers'
options
in
purchasing
products
with
organic
ingredients.
Regarding
prohibited
practices,
this
rule
implements
the
strong
industry
and
consumer
demand
that
the
prohibited
practices
found
under
section
205.105
(
excluded
methods,
irradiation,
and
sewage
sludge)
not
be
used
in
nonorganic
ingredients
in
"
made
with..."
products.
However,
we
do
not
believe
that
restrictions
on
use
of
the
other
prohibited
practices,
found
in
section
205.301(
f),
would
further
the
purposes
of
the
Act.
Application
of
all
prohibited
practices
on
the
nonorganic
ingredients
in
the
"
made
with..."
and
less
than
70
percent
organic
products
would
144
essentially
require
that
those
products
be
organically
produced.
The
Act
allows
for
products
that
are
not
wholly
organic.
We
believe
the
"
made
with..."
label
and
the
labeling
restrictions
on
the
less
than
70
percent
organic
products
clearly
states
to
consumers
that
only
some
of
the
ingredients
in
those
products
are
organically
produced.
If
accepted,
these
comments
would
unnecessarily
restrict
a
handler's
ability
to
truthfully
represent
and
market
a
conventionally
produced
agricultural
product
with
some
organic
ingredients.
A
handler
should
not
be
prohibited
from
making
a
truthful
claim
about
some
ingredients
in
a
less
than
70
percent
organic
product.
(
6)
Alternative
"
Made
With..."
Labels.
A
few
SOP
managers
commented
that
the
phrase,
"
made
with...,"
is
confusing.
They
stated
that
many
processed
foods
contain
at
least
50
percent
organic
ingredients
but
do
not
make
an
organic
claim
on
the
pdp.
They
believe
the
label
would
be
less
confusing
if
it
stated
a
minimum
organic
percentage
rather
than
identifying
the
organic
ingredients.
They
suggest
the
labeling
category
be
changed
to
"
contains
at
least
50
percent
organic
ingredients
(
or,
as
revised
in
this
rule,
"
contains
at
least
70
percent
organic
ingredients").
We
disagree.
Identification
of
up
to
three
organically
produced
ingredients
or
food
groups
on
the
pdp
gives
consumers
useful,
specific
information
about
the
product's
organic
ingredients.
This
label,
combined
with
the
optional
display
of
the
percentage
content
on
the
pdp
and
required
identification
of
organic
ingredients,
should
provide
enough
information
for
consumers
to
make
good
decisions.
A
few
commenters
contended
that
the
statement
"
made
with
organic
(
specified
ingredients)"
is
unclear
and
"
open
ended"
and
that
consumers
may
assume
the
entire
product
is
organically
produced.
The
"
made
with..."
labeling
claim
refers
only
to
the
organic
ingredients
and
145
not
to
the
whole
product.
We
do
not
believe
that
consumers
will
be
confused
by
the
label.
(
7)
Use
of
Other
Terms
as
Synonymous
for
"
Organic".
A
few
commenters
representing
international
organic
standards
suggested
that
use
of
the
terms,
"
biologic"
and
"
ecologic,"
which
are
synonymous
with
"
organic"
in
other
countries,
should
be
allowed
under
the
NOP.
Commenters
claimed
these
terms
are
approved
by
Codex
and
their
inclusion
in
this
regulation
would
facilitate
international
trade
and
equivalency
agreements.
These
terms
were
addressed
in
the
proposed
rule
and
are
not
accepted.
Under
the
NOP,
these
terms
may
be
used
as
eco
labels
on
a
product
package
but
may
not
be
used
in
place
of
the
term,
"
organic."
Although
such
terms
may
be
considered
synonymous
with
"
organic"
in
other
countries,
they
are
not
widely
used
or
understood
in
this
country.
We
believe
their
use
as
synonymous
for
"
organic"
would
only
lend
to
consumer
confusion.
Regarding
the
Codex
labeling
standard,
we
point
out
that
Codex
also
provides
that
terms
commonly
used
in
a
country
may
be
used
in
place
of
"
biologic"
and
"
ecologic."
Thus,
the
use
of
"
organic"
in
the
United
States
is
consistent
with
Codex
standards.
With
regard
to
the
commenters'
claim
that
the
alternate
labels
would
facilitate
international
trade,
this
regulation
allows
alternative
labeling
of
products
which
are
being
shipped
to
international
markets.
Thus,
a
certified
organic
operation
in
the
United
States
may
produce
a
product
to
meet
contracted
organic
requirements
of
a
foreign
buyer,
label
the
product
as
"
biologic"
or
"
ecologic"
on
the
pdp
consistent
with
the
market
preferences
of
the
receiving
country,
and
ship
the
product
to
the
foreign
buyer.
Other
terms
were
suggested
by
commenters
as
alternatives
to
the
term,
"
organic,"
including
"
grown
by
age
old,
natural
methods,"
"
grown
without
chemical
input,"
and
"
residue
146
Free."
These
phrases
may
be
consumer
friendly
but
clearly
do
not
convey
the
extensive
and
complex
nature
of
contemporary
organic
agriculture.
These
phrases
may
be
used
as
additional,
eco
labels,
provided
they
are
truthful
labeling
statements.
They
are
not
permitted
as
replacements
for
the
term,
"
organic."
(
8)
Reconstituted
Organic
Concentrates.
A
certifying
agent
objected
to
paragraph
(
a)(
2)
of
section
205.302,
which
allows
labeling
of
an
organically
produced
concentrate
ingredient
which
is
reconstituted
with
water
during
assembly
of
the
processed
product.
The
commenter
claimed
that
this
provision
gives
consumers
the
message
that
reconstituted
juice
is
equivalent
to
fresh
juice
when,
the
commenter
claims,
it
is
not
the
same.
AMS
disagrees.
This
labeling
is
consistent
with
current
industry
practices.
The
Act
does
not
prohibit
such
labeling
of
concentrates.
We
believe
it
is
in
the
interest
of
the
program
to
allow
labeling
of
organically
produced
concentrates,
provided
that
the
process
to
produce
the
concentrate
and
the
reconstitution
process
is
consistent
with
organic
principles
and
the
National
List.
(
9)
Calculating
Reconstituted
Versus
Dehydrated
Weight.
Several
comments
were
received
regarding
specific
problems
encountered
in
the
calculation
of
the
percentage
of
organic
content
as
provided
under
section
295.302.
A
handler
claimed
the
reconstituted
weight
of
an
organically
produced
spice
should
be
counted
in
the
percentage
calculation
rather
than
the
dehydrated
weight
of
the
spice
used
in
the
formulation.
A
similar
comment
was
received
from
a
food
cooperative
suggesting
that,
if
an
organically
produced
concentrate
(
in
powdered
form)
is
added
to
the
same
organically
produced
ingredient
in
its
organic
liquid
form
(
not
from
concentrate),
then
the
product's
organic
percentage
should
be
calculated
based
on
the
147
concentrate's
single
strength
reconstituted
weight
plus
the
weight
of
the
natural
organic
liquid.
AMS
disagrees
with
these
comments.
This
regulation
provides
for
an
ingredient's
weight
to
be
calculated,
excluding
added
water
and
salt.
If
an
organically
produced
spice
is
added
to
a
product
in
its
natural
form,
the
weight
of
the
spice
is
calculated.
If
the
spice
ingredient
is
in
dehydrated,
powdered
form
when
added
in
the
product
formulation,
the
dehydrated
weight
of
the
spice
must
be
the
basis
for
its
percentage
of
content
calculation.
If
an
organically
produced
dehydrated
spice
is
reconstituted
with
water
prior
to
product
assembly,
the
spice
must
still
be
calculated
at
its
dehydrated
weight
because
percentage
calculations
are
based
on
the
ingredient
weight,
excluding
water
and
salt.
It
would
be
misleading
to
calculate
the
weight
of
the
concentrate
ingredient
in
its
reconstituted
form.
Likewise,
if
a
powdered
ingredient
is
added
to
the
same
organically
produced
ingredient
in
its
natural,
liquid
form,
the
weight
of
the
powdered
ingredient
must
be
used.
Using
the
reconstituted
weight
of
the
powdered
ingredient
would
increase
the
percentage
of
the
ingredient
above
the
actual
weight
of
the
ingredient
in
the
product.
We
believe
that
if
the
comment
were
accepted,
the
handler
would
be
able
to
use
less
natural
organic
liquid
than
the
organic
percentage
and
ingredient
statement
indicates.
(
10)
Calculate
Organic
Percentage
in
Tenths
of
a
Percent.
A
trade
organization
suggested
that
the
organic
percentage
be
rounded
to
tenths
of
one
percent
to
accommodate
products
that
may
contain
a
minor
ingredient
or
additive
that
comprises
less
than
1
percent
of
the
product.
The
example
provided
was
Vitamin
D
in
milk.
The
comment
suggested
that
it
is
misleading
to
consumers
to
suggest
that
1
percent
of
a
milk
product
is
nonorganic
when
the
Vitamin
D
additive
may
be
comprise
only
a
few
tenths
of
one
percent
of
the
product.
148
AMS
disagrees.
Rounding
down
the
percentage
to
a
whole
number
is
sufficient
for
consumer
information
and
does
not
misrepresent
the
product's
organic
content.
A
handler
may
add
a
qualifying
statement
regarding
the
minor
ingredient's
weight
in
relation
to
the
whole
product
weight.
(
11)
Verifying
Calculations.
A
State
department
of
agriculture
comment
suggested
that
the
paragraph
(
c)
of
section
205.302
be
revised
slightly
to
provide
that
percentage
calculations
must
be
verified
"
to
the
satisfaction"
of
the
certifying
agent.
The
commenter
believes
that
the
suggested
language
allows
the
handler
the
flexibility
to
determine
the
number
calculations
that
need
to
be
checked
in
order
to
verify
that
the
organic
percentage
calculation
is
correct.
We
do
not
believe
the
suggested
change
is
necessary.
We
assume
that
any
use
of
a
certifying
agent's
seal
on
a
product
means
that
the
certifying
agent
has
checked
and
approves
of
the
method
of
calculating
the
product's
organic
percentage.
If
the
calculations
are
not
to
the
certifying
agent's
satisfaction,
the
agent
would
not
certify
the
handling
process.
While
we
appreciate
the
point
made
by
the
commenter,
we
do
not
believe
the
suggested
change
means
what
the
commenter
intends.
Paragraph
(
c)
of
section
205.302
does
not
specify
the
number
and
methods
of
calculations
that
need
to
be
carried
out
by
a
certifying
agent
because
that
will
depend
on
the
handling
process
being
certified
and
the
ingredients
in
the
product.
We
leave
that
to
the
discretion
of
the
certifying
agent.
Also,
the
basis
for
a
product's
organic
percentage
calculation
should
be
clarified
in
the
organic
plan.
It
is
assumed
that
the
certifying
agent
will
either
be
satisfied
that
the
methodology
for
calculating
organic
percentage
is
correct
or
the
methodology
will
be
changed.
(
12)
Labeling
Nonretail
Shipping
Containers.
A
few
State
departments
of
agriculture
149
commented
that
shipping
and
storage
containers
with
organic
products
should
be
required
to
be
labeled
as
containing
organic
product.
Other
commenters
recommended
that
shipping
containers
be
required
to
display
the
name
of
the
grower
and
the
certifying
agent.
They
cite
these
requirements
as
current
industry
practice.
This
regulation
does
not
require
organic
labeling
on
shipping
and
storage
containers
because
those
containers
are
not
used
in
the
marketplace.
The
only
information
required
by
the
NOP
is
the
production
lot
number
of
the
product,
if
a
lot
number
exists
for
the
particular
product.
Product
content
and
shipper
information
may
be
displayed,
as
required
by
other
Federal
or
State
regulations
or
at
the
discretion
of
the
handler.
Proper
identification
of
the
organic
nature
of
a
product
with
special
instructions
for
shipment
or
storage
could
prevent
exposure
to
prohibited
substances
that
would
lead
to
subsequent
loss
of
the
shipment
as
an
organic
product.
(
13)
Disclaimers
on
Organic
Products.
Several
commenters
complained
that
consumers
are
misled
by
the
organic
labeling
and
the
NOP.
They
claimed
that
when
science
based
technologies
(
genetic
engineering,
irradiation,
chlorination,
etc.)
are
not
used
on
products,
the
food
is
less
safe
than
conventionally
produced
foods.
Some
of
the
commenters
suggested
that
a
disclaimer
regarding
food
safety
and
nutritional
value
be
required
on
packages
with
organic
labeling.
AMS
disagrees.
The
USDA
seal
indicates
only
that
the
product
has
been
certified
to
a
certain
production
and/
or
handling
"
process"
or
"
system."
The
seal
does
not
convey
a
message
of
food
safety
or
more
nutritional
value.
The
NOP
prohibitions
on
use
of
excluded
methods,
ionizing
radiation,
sewage
sludge,
and
some
substances
and
materials
are
not
intended
to
imply
that
conventionally
produced
products
made
by
those
methods
or
containing
those
prohibited
150
substances
are
less
safe
or
nutritious
than
organically
produced
products.
We
do
not
believe
that
organic
food
packages
or
labeling
should
carry
disclaimers
of
what
the
USDA
seal
or
a
certifying
agent's
seal
does
not
represent.
Other
Federal
and
State
seals
and
marketing
claims
are
placed
on
consumer
products,
including
food
products,
without
disclaimers
regarding
those
seals
and
claims.
A
disclaimer
displayed
in
relation
to
USDA
seal
or
a
certifying
agent's
seal
would
confuse
consumers.
Finally,
disclaimer
statements
also
would
present
space
problems
on
small
product
packages.
Labeling
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters:
(
1)
Certification
Is
to
an
Organic
Process,
Not
Organic
Product.
Several
commenters
suggested
that
the
final
rule
more
clearly
state
that
the
NOP
provides
for
certification
of
an
organic
process
or
system
of
agriculture
and
not
certification
of
products,
themselves,
as
"
organic."
They
stated
that
the
phrase
"...
contain
or
be
created
using..."
in
paragraphs
(
a),
(
b),
and
(
c)
of
section
205.301
implies
certification
of
the
product's
content
and
not
to
the
processedbased
organic
system
of
agriculture.
We
agree
and
have
revised
the
wording
in
those
paragraphs
to
clarify
that
such
products
must
be
organically
produced
in
accordance
with
organic
production
and
handling
requirement
of
this
regulation.
(
2)
Phasing
Out
Use
of
Old
Labels
and
Packages.
Citing
FDA
regulations,
the
NOSB,
certifying
agents,
and
some
State
agencies
suggested
a
minimum
18
month
period
for
handlers
to
use
up
their
current
supplies
of
packages
and
labels
before
complying
with
the
new
labeling
requirements.
151
This
rule
provides
for
an
interim
period
of
18
months
between
publication
of
the
final
rule
and
the
implementation
date
of
the
program.
Publication
of
this
final
rule
serves
notice
to
certified
producers
and
handlers
that
they
should
begin
planning
for
phasing
out
use
of
labels
that
are
not
in
accordance
with
these
requirements.
The
implementation
process
is
discussed
in
Applicability,
subpart
B.
An
organic
operation
will
automatically
be
certified
under
this
program
when
its
certifying
agent
is
accredited
by
AMS.
At
that
time,
the
operation
may
begin
following
these
labeling
requirements
but
may
not
display
the
new
USDA
seal
until
the
implementation
date.
AMS
assumes
that
certifying
agents
and
their
client
certified
operations
will
maintain
frequent
contact
as
to
the
status
of
the
agent's
application
for
accreditation
so
that
the
certified
operation
may
schedule
the
phasing
out
of
old
labels
and
purchase
of
new
labels
and
packages.
AMS
expects
to
accredit
all
currently
operating
certifying
agents
by
the
implementation
date
of
this
regulation.
Stick
on
labels
to
comply
with
the
new
requirements
are
acceptable.
Newly
established
organic
operations
certified
for
the
first
time
must
immediately
begin
using
labels
in
accordance
with
this
program.
(
3)
Labeling
of
Products
With
Minor
Ingredients.
Several
commenters
questioned
how
the
minor
ingredients
(
spices,
flavors,
colorings,
preservatives,
oils,
vitamins,
minerals,
accessory
nutrients,
processing
aids,
and
incidental
food
additives)
needed
for
formulation
or
processing
of
many
multiingredient
products
will
be
treated
under
the
"
100
percent
organic"
and
"
organic"
labeling
categories.
Because
minor
ingredients
may
not
exist
or
are
difficult
to
obtain
in
organic
form,
their
use
in
a
product
can
affect
the
labeling
of
the
product,
even
though
the
percentage
of
the
ingredient
is
extremely
small
compared
to
the
rest
of
the
product's
ingredients.
152
Minor
ingredients
and
processing
aids
must
be
treated
as
any
other
ingredient
or
substance
which
is
used
as
an
ingredient
in
or
in
the
processing
of
an
organically
produced
product.
To
be
added
as
an
ingredient
or
used
in
the
processing
of
a
product
labeled
"
100
percent
organic,"
a
minor
ingredient
must
be
extracted
from
a
certified
organic
source
without
the
use
of
chemicals
or
solvents.
To
be
added
as
an
ingredient
or
used
in
the
processing
of
a
product
labeled
"
organic,"
a
minor
ingredient
must
be
from
an
organic
agricultural
source,
if
commercially
available.
If
not
commercially
available,
the
ingredient
must
be
an
agricultural
product
or
a
substance
consistent
with
the
National
List.
(
4)
Reusing
Containers.
A
commenter
complained
that
small
producers
should
not
be
subjected
to
costly
packaging
and
labeling
requirements
when
their
products
are
sold
directly
to
the
public
at
farmers
markets
and
roadside
stands.
The
commenter
requested
that
small
producers
be
able
to
reuse
retail
boxes
and
labels.
The
commenter
did
not
specify
which
labeling
provisions
presented
burdensome
costs
on
small
entities.
We
agree
that
costs
for
exempt
operations,
indeed
all
organic
operations,
should
be
kept
to
a
minimum.
NOP
does
not
prohibit
reuse
of
containers
provided
their
labeling
does
not
misrepresent
product
and
does
not
allow
organic
product
to
come
into
contact
with
prohibited
substances
from
the
container's
previous
contents.
(
5)
Clarifying
Prohibited
Labeling
Practices.
Commenters
identified
a
few
inconsistencies
between
the
preamble
and
regulatory
text
regarding
the
seven
prohibited
production
and
processing
practices
now
specified
in
section
205.301(
f).
We
have
made
the
following
changes
to
clarify
the
intent
of
the
regulation.
A
commenter
correctly
pointed
out
that
the
regulatory
text
of
paragraph
(
f)
incorrectly
153
refers
only
to
ingredients
that
cannot
be
produced
using
the
seven
prohibited
production
and
handling
practices
listed
in
the
paragraph.
That
text
is
not
consistent
with
the
preamble,
which
correctly
states
that
whole
products,
as
well
as
ingredients,
labeled
as
"
organic"
cannot
be
produced
or
processed
using
the
seven
prohibited
practices.
The
term,
"
whole
products,"
is
added
to
the
introductory
sentence
of
new
section
205.301(
f).
A
few
commenters
pointed
out
that
all
seven
practices
are
prohibited
in
the
production
of
nonorganic
ingredients
used
in
products
labeled
as
"
organic."
The
second
sentence
of
proposed
paragraph
(
b)
of
section
205.301
(
products
labeled
"
organic")
incorrectly
listed
only
the
first
three
prohibited
practices.
A
phrase
is
added
to
the
introductory
sentence
of
new
paragraph
(
f)
to
specify
that
the
5
percent
or
less
of
nonorganic
ingredients
in
products
labeled
as
"
organic"
may
not
be
produced
or
handled
using
any
of
the
seven
prohibited
practices.
Finally,
with
the
addition
of
the
commercial
availability
requirement
in
section
205.201,
a
conforming
change
is
needed
in
section
205.301(
f)(
6)
regarding
use
of
nonorganic
ingredients
when
organically
produced
ingredients
are
available.
(
6)
Consistency
with
State
Labeling
Requirements.
One
State
organic
association
commented
that
the
State's
law
requires
identification
of
the
certifying
agent
if
the
term,
"
certified
organic,"
appears
on
the
label.
The
comment
was
not
clear
about
where
on
the
package
the
certifier
must
be
identified;
e.
g.,
with
the
"
certified
organic"
term
on
the
pdp
or
anywhere
on
the
package.
The
commenter
did
not
specifically
suggest
changing
the
labeling
provisions
to
include
the
certifying
agent
on
the
pdp.
This
regulation
allows
a
handler
the
option
of
displaying
the
certifying
agent's
seal
or
logo
on
the
pdp
for
products
with
70
percent
or
more
organically
produced
ingredients.
This
154
regulation
also
requires
identification
of
the
certifying
agent
on
the
information
panel
of
all
products
containing
70
percent
or
more
organically
produced
ingredients.
The
identification
must
include
an
address
or
contact
information
and
be
placed
adjacent
to
identification
of
the
manufacturer,
required
by
FDA.
We
believe
these
provisions
are
sufficient
to
meet
the
State's
labeling
requirements.
The
NOP
will
be
available
to
consult
with
States
regarding
alternative
labeling
required
to
be
used
in
the
State.
(
7)
Clarifying
Labeling
of
Products
in
Other
Than
Packaged
Form.
We
have
modified
sections
205.308
and
205.309
to
clarify
that
products
in
other
than
packaged
form
at
the
point
of
retail
sale
that
are
prepared
by
an
exempt
or
excluded
operation
may
be
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
as
appropriate.
Consistent
with
the
general
restrictions
on
the
labeling
of
products
from
such
operations,
which
are
found
in
section
205.310,
such
products
may
not
display
the
USDA
seal
or
any
certifying
agent's
seal
or
other
identifying
mark
or
otherwise
be
represented
as
a
certified
organic
product.
Subpart
E
Certification
This
subpart
sets
forth
the
requirements
for
a
national
program
to
certify
production
and
handling
operations
as
certified
organic
production
or
handling
operations.
This
certification
process
will
be
carried
out
by
accredited
certifying
agents.
Description
of
Regulations
General
Requirements
Production
and
handling
operations
seeking
to
receive
or
maintain
organic
certification
must
comply
with
the
Act
and
applicable
organic
production
and
handling
regulations.
Such
operations
must
establish,
implement,
and
annually
update
an
organic
production
or
handling
155
system
plan
that
is
submitted
to
an
accredited
certifying
agent.
They
must
permit
on
site
inspections
by
the
certifying
agent
with
complete
access
to
the
production
or
handling
operation,
including
noncertified
production
and
handling
areas,
structures,
and
offices.
As
discussed
in
subpart
B,
certified
operations
must
maintain
records
concerning
the
production
and
handling
of
agricultural
products
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
sufficient
to
demonstrate
compliance
with
the
Act
and
regulations.
Records
applicable
to
the
organic
operation
must
be
maintained
for
not
less
than
5
years
beyond
their
creation.
Authorized
representatives
of
the
Secretary,
the
applicable
State
organic
program's
(
SOP)
governing
State
official,
and
the
certifying
agent
must
be
allowed
access
to
the
operation's
records
during
normal
business
hours.
Access
to
the
operation's
records
will
be
for
the
purpose
of
reviewing
and
copying
the
records
to
determine
compliance
with
the
Act
and
regulations.
Certified
operations
are
required
to
immediately
notify
the
certifying
agent
concerning
any
application,
including
drift,
of
a
prohibited
substance
to
any
field,
production
unit,
site,
facility,
livestock,
or
product
that
is
part
of
the
organic
operation.
They
must
also
immediately
notify
the
certifying
agent
concerning
any
change
in
a
certified
operation
or
any
portion
of
a
certified
operation
that
may
affect
its
compliance
with
the
Act
and
regulations.
Certification
Process
To
obtain
certification,
a
producer
or
handler
must
submit
an
application
for
certification
to
an
accredited
certifying
agent.
The
application
must
contain
descriptive
information
about
the
applicant's
business,
an
organic
production
and
handling
system
plan,
information
concerning
any
previous
business
applications
for
certification,
and
any
other
information
necessary
to
determine
156
compliance
with
the
Act.
Applicants
for
certification
and
certified
operations
must
submit
the
applicable
fees
charged
by
the
certifying
agent.
An
applicant
may
withdraw
its
application
at
anytime.
An
applicant
who
withdraws
its
application
will
be
liable
for
the
costs
of
services
provided
up
to
the
time
of
withdrawal
of
the
application.
The
certifying
agent
will
decide
whether
to
accept
the
applicant's
application
for
certification.
A
certifying
agent
must
accept
all
production
and
handling
applications
that
fall
within
its
area(
s)
of
accreditation
and
certify
all
qualified
applicants
to
the
extent
of
its
administrative
capacity
to
do
so.
In
other
words,
a
certifying
agent
may
decline
to
accept
an
application
for
certification
when
the
certifying
agent
is
not
accredited
for
the
area
to
be
certified
or
when
the
certifying
agent
lacks
the
resources
to
perform
the
certification.
However,
the
certifying
agent
may
not
decline
to
accept
an
application
on
the
basis
of
race,
color,
national
origin,
gender,
religion,
age,
disability,
political
beliefs,
sexual
orientation,
or
marital
or
family
status.
Upon
acceptance
of
an
application
for
certification,
a
certifying
agent
will
review
the
application
to
ensure
completeness
and
to
determine
whether
the
applicant
appears
to
comply
or
may
be
able
to
comply
with
the
applicable
production
or
handling
regulations.
As
part
of
its
review,
the
certifying
agent
will
verify
that
an
applicant
has
submitted
documentation
to
support
the
correction
of
any
noncompliances
identified
in
a
previously
received
notification
of
noncompliance
or
denial
of
certification.
We
anticipate
that
at
a
future
date
the
certifying
agent
will
also
review
any
available
U.
S.
Department
of
Agriculture
(
USDA)
data
on
production
and
handling
operations
for
information
concerning
the
applicant.
157
We
anticipate
using
data
collected
from
certifying
agents
to
establish
and
maintain
a
password
protected
Internet
database
only
available
to
accredited
certifying
agents
and
USDA.
This
database
would
include
data
on
production
and
handling
operations
issued
a
notification
of
noncompliance,
noncompliance
correction,
denial
of
certification,
certification,
proposed
suspension
or
revocation
of
certification,
and
suspension
or
revocation
of
certification.
Certifying
agents
would
use
this
Internet
database
during
their
review
of
an
application
for
certification.
This
data
will
not
be
available
to
the
general
public
because
much
of
the
data
would
involve
ongoing
compliance
issues
inappropriate
for
release
prior
to
a
final
determination.
After
a
complete
review
of
the
application,
which
shall
be
conducted
within
a
reasonable
time,
the
certifying
agent
will
communicate
its
findings
to
the
applicant.
If
the
review
of
the
application
reveals
that
the
applicant
may
be
in
compliance
with
the
applicable
production
or
handling
regulations,
the
certifying
agent
will
schedule
an
on
site
inspection
of
the
applicant's
operation
to
determine
whether
the
applicant
qualifies
for
certification.
The
initial
on
site
inspection
must
be
conducted
within
a
reasonable
time
following
a
determination
that
the
applicant
appears
to
comply
or
may
be
able
to
comply
with
the
requirements
for
certification.
The
initial
inspection
may
be
delayed
for
up
to
6
months
to
comply
with
the
requirement
that
the
inspection
be
conducted
when
the
land,
facilities,
and
activities
that
demonstrate
compliance
or
capacity
to
comply
can
be
observed.
The
certifying
agent
will
conduct
an
initial
on
site
inspection
of
each
production
unit,
facility,
and
site
that
produces
or
handles
organic
products
and
that
is
included
in
the
applicant's
operation.
As
a
benchmark,
certifying
agents
should
follow
auditing
guidelines
prescribed
by
the
International
Organization
for
Standardization
Guide
10011
1,
"
Guidelines
for
auditing
quality
1
ISO
Guide
10011
1
is
available
for
viewing
at
USDA
AMS,
Transportation
and
Marketing
Programs,
Room
2945
South
Building,
14th
and
Independence
Ave.,
SW,
Washington,
DC,
from
9:
00
a.
m.
to
4:
00
p.
m.,
Monday
through
Friday
(
except
official
Federal
holidays).
A
copy
may
be
obtained
from
the
American
National
Standards
Institute,
11
West
42d
Street,
New
York,
NY
10036;
Website:
www.
ansi.
org;
E
mail:
ansionline@
ansi.
org;
Telephone:
212
642
4900;
Facsimile:
212
398
0023.
158
systems
Part
1:
Auditing"
(
ISO
Guide
10011
1).
1
The
certifying
agent
will
use
the
on
site
inspection
in
determining
whether
to
approve
the
request
for
certification
and
to
verify
the
operation's
compliance
or
capability
to
comply
with
the
Act
and
regulations.
Certifying
agents
will
conduct
on
site
inspections
when
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
operation
is
present.
An
on
site
inspection
must
also
be
conducted
when
land,
facilities,
and
activities
that
demonstrate
the
operation's
compliance
with
or
capability
to
comply
with
the
applicable
production
or
handling
regulations
can
be
observed.
The
on
site
inspection
must
verify
that
the
information
provided
to
the
certifying
agent
accurately
reflects
the
practices
used
or
to
be
used
by
the
applicant
or
certified
operation
and
that
prohibited
substances
have
not
been
and
are
not
being
applied
to
the
operation.
Certifying
agents
may
use
the
collection
and
testing
of
soil;
water;
waste;
plant
tissue;
and
plant,
animal,
and
processed
products
samples
as
tools
in
accomplishing
this
verification.
The
inspector
will
conduct
an
exit
interview
with
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
inspected
operation
to
confirm
the
accuracy
and
completeness
of
inspection
observations
and
information
gathered
during
the
on
site
inspection.
The
main
purpose
of
this
exit
interview
is
to
present
the
inspection
observations
to
those
in
charge
of
the
firm
in
such
a
manner
so
as
to
ensure
they
clearly
understand
the
results
of
the
inspection.
The
firm
is
not
required
to
volunteer
any
information
during
the
exit
interview
but
would
be
159
required
to
respond
to
questions
or
requests
for
additional
information.
The
inspector
will
raise
and
discuss
during
the
exit
interview
any
known
issues
of
concern,
taking
into
account
their
perceived
significance.
As
a
general
rule,
the
inspector
will
not
make
recommendations
for
improvements
to
the
operation
during
the
exit
interview.
However,
the
certifying
agent
will
have
the
discretion
to
decide
the
extent
to
which
an
inspector
may
discuss
any
compliance
issue.
At
the
time
of
the
inspection,
the
inspector
shall
provide
the
operation's
authorized
representative
with
a
receipt
for
any
samples
taken
by
the
inspector.
There
shall
be
no
charge
to
the
inspector
for
the
samples
taken.
The
certifying
agent
shall,
within
a
reasonable
time,
provide
the
inspected
operation
with
a
copy
of
the
on
site
inspection
report,
as
approved
by
the
certifying
agent,
for
any
on
site
inspection
performed
and
provide
the
operation
with
a
copy
of
the
test
results
for
any
samples
taken
by
an
inspector.
Notification
of
Approval
A
certifying
agent
will
review
the
on
site
inspection
report,
the
results
of
any
analyses
for
substances,
and
any
additional
information
provided
by
the
applicant
within
a
reasonable
time
after
completion
of
the
initial
on
site
inspection.
The
certifying
agent
will
grant
certification
upon
making
two
determinations:
(
1)
that
the
applicant's
operation,
including
its
organic
system
plan
and
all
procedures
and
activities,
is
in
compliance
with
the
Act
and
regulations
and
(
2)
that
the
applicant
is
able
to
conduct
operations
in
accordance
with
its
organic
systems
plan.
Upon
determining
the
applicant's
compliance
and
ability
to
comply,
the
agent
will
grant
certification
and
issue
a
"
certificate
of
organic
operation."
The
certification
may
include
requirements
for
the
correction
of
minor
noncompliances
within
a
specified
time
period
as
a
160
condition
of
continued
certification.
A
certificate
of
organic
operation
will
specify
the
name
and
address
of
the
certified
operation;
the
effective
date
of
certification;
the
categories
of
organic
operation,
including
crops,
wild
crops,
livestock,
or
processed
products
produced
by
the
certified
operation;
and
the
name,
address,
and
telephone
number
of
the
certifying
agent.
Once
certified,
a
production
or
handling
operation's
organic
certification
continues
in
effect
until
surrendered
by
the
organic
operation
or
suspended
or
revoked
by
the
certifying
agent,
the
SOP's
governing
State
official,
or
the
Administrator.
Denial
of
Certification
Should
the
certifying
agent
determine
that
the
applicant
is
not
able
to
comply
or
is
not
in
compliance
with
the
Act,
the
certifying
agent
will
issue
a
written
notification
of
noncompliance
to
the
applicant.
The
notification
of
noncompliance
will
describe
each
noncompliance,
the
facts
on
which
the
notification
is
based,
and
the
date
by
which
rebuttal
or
correction
of
each
noncompliance
must
be
made.
Applicants
who
receive
a
notification
of
noncompliance
may
correct
the
noncompliances
and
submit,
by
the
date
specified,
a
description
of
correction
and
supporting
documentation
to
the
certifying
agent.
As
an
alternative,
the
applicant
may
submit
a
new
application
to
another
certifying
agent,
along
with
the
notification
of
noncompliance
and
a
description
of
correction
of
the
noncompliances
and
supporting
documentation.
Applicants
may
also
submit,
by
the
date
specified,
written
information
to
the
issuing
certifying
agent
to
rebut
the
noncompliance
described
in
the
notification
of
noncompliance.
When
a
noncompliance
cannot
be
corrected,
a
notification
of
noncompliance
and
a
"
notification
of
denial
of
certification"
may
be
combined
in
one
notification.
The
certifying
agent
will
evaluate
the
applicant's
corrective
actions
taken
and
supporting
161
documentation
submitted
or
the
written
rebuttal.
If
necessary,
the
certifying
agent
will
conduct
a
followup
on
site
inspection
of
the
applicant's
operation.
When
the
corrective
action
or
rebuttal
is
sufficient
for
the
applicant
to
qualify
for
certification,
the
certifying
agent
will
approve
certification.
When
the
corrective
action
or
rebuttal
is
not
sufficient
for
the
applicant
to
qualify
for
certification,
the
certifying
agent
will
issue
the
applicant
a
written
notice
of
denial
of
certification.
The
certifying
agent
will
also
issue
a
written
notice
of
denial
of
certification
when
an
applicant
fails
to
respond
to
the
notification
of
noncompliance.
The
notice
of
denial
of
certification
will
state
the
reasons
for
denial
and
the
applicant's
right
to
reapply
for
certification,
request
mediation,
or
file
an
appeal.
An
applicant
who
has
received
a
notification
of
noncompliance
or
notice
of
denial
of
certification
may
apply
for
certification
again
at
any
time
with
any
certifying
agent.
When
the
applicant
submits
a
new
application
to
a
different
certifying
agent,
the
application
must
include,
when
available,
a
copy
of
the
notification
of
noncompliance
or
notice
of
denial
of
certification.
The
application
must
also
include
a
description
of
the
actions
taken,
with
supporting
documentation,
to
correct
the
noncompliances
noted
in
the
notification
of
noncompliance.
When
a
certifying
agent
receives
such
an
application,
the
certifying
agent
will
treat
the
application
as
a
new
application
and
begin
a
new
application
process.
A
certifying
agent
has
limited
authority
to
deny
certification
without
first
issuing
a
notification
of
noncompliance.
This
authority
may
be
exercised
when
the
certifying
agent
has
reason
to
believe
that
an
applicant
for
certification
has
willfully
made
a
false
statement
or
otherwise
purposefully
misrepresented
its
operation
or
its
compliance
with
the
requirements
for
certification.
162
Continuation
of
Certification
Each
year,
the
certified
operation
must
update
its
organic
production
or
handling
system
plan
and
submit
the
updated
information
to
the
certifying
agent
and
pay
the
certification
fees
to
continue
certification.
The
updated
organic
system
plan
must
include
a
summary
statement,
supported
by
documentation,
detailing
deviations
from,
changes
to,
modifications
to,
or
other
amendments
to
the
previous
year's
organic
system
plan.
The
updated
organic
system
plan
must
also
include
additions
to
or
deletions
from
the
previous
year's
organic
system
plan,
intended
to
be
undertaken
in
the
coming
year.
The
certified
operation
must
update
the
descriptive
information
about
its
business
and
other
information
as
deemed
necessary
by
the
certifying
agent
to
determine
compliance
with
the
Act
and
regulations.
The
certified
operation
must
also
provide
an
update
on
the
correction
of
minor
noncompliances
previously
identified
by
the
certifying
agent
as
requiring
correction
for
continued
certification.
Following
receipt
of
the
certified
operation's
updated
information,
the
certifying
agent
will,
within
a
reasonable
time,
arrange
and
conduct
an
on
site
inspection
of
the
certified
operation.
When
it
is
impossible
for
the
certifying
agent
to
conduct
the
annual
on
site
inspection
following
receipt
of
the
certified
operation's
annual
update
of
information,
the
certifying
agent
may
allow
continuation
of
certification
and
issue
an
updated
certificate
of
organic
operation
on
the
basis
of
the
information
submitted
and
the
most
recent
on
site
inspection
conducted
during
the
previous
12
months.
However,
the
annual
on
site
inspection
must
be
conducted
within
the
first
6
months
following
the
certified
operation's
scheduled
date
of
annual
update.
As
a
benchmark,
certifying
agents
should
follow
auditing
guidelines
prescribed
by
ISO
Guide
10011
1.
Upon
completion
of
the
inspection
and
a
review
of
updated
information,
the
certifying
agent
will
determine
whether
163
the
operation
continues
to
comply
with
the
Act
and
regulations.
If
the
certifying
agent
determines
that
the
operation
is
in
compliance,
certification
will
continue.
If
any
of
the
information
specified
on
the
certificate
of
organic
operation
has
changed,
the
certifying
agent
will
issue
an
updated
certificate
of
organic
operation.
If
the
certifying
agent
finds
that
the
operation
is
not
complying
with
the
Act
and
regulations,
a
written
notification
of
noncompliance
will
be
issued
as
described
in
section
205.662.
In
addition
to
annual
inspections,
a
certifying
agent
may
conduct
additional
on
site
inspections
of
certified
operations
that
produce
or
handle
organic
products
to
determine
compliance
with
the
Act
and
regulations.
The
Administrator
or
SOP's
governing
State
official
may
also
require
that
additional
inspections
be
performed
by
the
certifying
agent
to
determine
compliance
with
the
Act
and
regulations.
Additional
inspections
may
be
announced
or
unannounced
and
would
be
conducted,
as
necessary,
to
obtain
information
needed
to
determine
compliance
with
identified
requirements.
Such
on
site
inspections
would
likely
be
precipitated
by
reasons
to
believe
that
the
certified
operation
was
operating
in
violation
of
one
or
more
requirements
of
the
Act
or
these
regulations.
The
policies
and
procedures
regarding
additional
inspections,
including
how
the
costs
of
such
inspections
are
handled,
would
be
the
responsibility
of
each
certifying
agent.
Misuse
of
such
authority
would
be
subject
to
review
by
USDA
during
its
evaluation
of
a
certifying
agent
for
reaccreditation
and
at
other
times
in
response
to
complaints.
Certified
production
and
handling
operations
can
file
complaints
with
USDA
at
any
time
should
they
believe
a
certifying
agent
abuses
its
authority
to
perform
additional
inspections.
Certification
After
Suspension
or
Revocation
of
Certifying
Agent's
Accreditation
164
When
the
Administrator
revokes
or
suspends
a
certifying
agent's
accreditation,
affected
certified
operations
will
need
to
make
application
for
certification
with
another
accredited
certifying
agent.
The
certification
of
the
production
or
handling
operation
remains
in
effect
during
this
transfer
of
the
certification.
The
certified
production
or
handling
operation
may
seek
certification
by
any
qualified
certifying
agent
accredited
by
the
Administrator.
To
minimize
the
burden
of
obtaining
the
new
certification,
the
Administrator
will
oversee
transfer
of
the
original
certifying
agent's
file
on
the
certified
operation
to
the
operation's
new
certifying
agent.
Upon
initiation
of
suspension
or
revocation
of
a
certifying
agent's
accreditation
or
upon
suspension
or
revocation
of
a
certifying
agent's
accreditation,
the
Administrator
may
initiate
proceedings
to
suspend
or
revoke
the
certification
of
operations
certified
by
the
certifying
agent.
The
Administrator's
decision
to
suspend
or
revoke
a
producer's
or
handler's
certification
in
light
of
the
loss
of
its
certifying
agent's
accreditation
would
be
made
on
a
case
by
case
basis.
Actions
such
as
fraud,
bribery,
or
collusion
by
the
certifying
agent,
which
cause
the
Administrator
to
believe
that
the
certifying
agent's
clients
do
not
meet
the
standards
of
the
Act
or
these
regulations,
might
require
the
immediate
initiation
of
procedures
to
suspend
or
revoke
certification
from
some
or
all
of
its
client
base.
Removal
of
accreditation,
regardless
of
the
reason,
in
no
way
affects
the
appeals
rights
of
the
certifying
agent's
clients.
Further,
a
certified
operation's
certification
will
remain
in
effect
pending
the
final
resolution
of
any
proceeding
to
suspend
or
revoke
its
certification.
A
private
entity
certifying
agent
must
furnish
reasonable
security
for
the
purpose
of
protecting
the
rights
of
operations
certified
by
such
certifying
agent.
This
security
is
to
ensure
the
performance
of
the
certifying
agent's
contractual
obligations.
As
noted
elsewhere
in
this
rule,
the
165
specific
amount
and
type
of
security
that
must
be
furnished
by
a
private
certifying
agent
will
be
the
subject
of
future
rulemaking
by
USDA.
We
anticipate
that
the
amount
of
the
security
will
be
tied
to
the
number
of
clients
served
by
the
certifying
agent
and
the
anticipated
costs
of
certification
that
may
be
incurred
by
its
clients
in
the
event
that
the
certifying
agent's
accreditation
is
suspended
or
revoked.
We
anticipate
that
the
security
may
be
in
the
form
of
cash,
surety
bonds,
or
other
financial
instrument
(
such
as
a
letter
of
credit)
administered
in
a
manner
comparable
to
cash
or
surety
bonds
held
under
the
Perishable
Agricultural
Commodities
Act.
Certification
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Access
to
Production
and
Handling
Operation.
We
have
amended
section
205.400(
c)
by
changing
"
noncertified
areas
and
structures"
to
"
noncertified
production
and
handling
areas,
structures,
and
offices."
A
commenter
requested
that
section
205.400(
c)
be
amended
to
allow
for
access
to
farm
related
structures
only.
The
commenter
believes
that
the
requirements
of
section
205.400(
c)
could
be
interpreted
as
giving
inspectors
access
to
residential
property.
We
agree
with
the
commenter
that
residential
privacy
should
be
maintained.
However,
if
a
certified
operation
conducts
business
from
or
stores
records
at
a
residential
property,
the
certified
operation
will
be
considered
to
be
maintaining
an
office
at
the
residential
property.
The
records
in
such
office
shall
be
made
accessible
for
review
and
copying.
Accordingly,
we
have
amended
section
205.400(
c)
to
further
clarify
which
areas
and
structures
are
to
be
made
accessible
during
an
on
site
inspection.
(
2)
Application
for
Certification.
We
have
amended
the
first
paragraph
of
section
205.401
by
replacing
the
word,
"
request,"
each
time
it
occurred
with
the
word,
"
application."
A
166
commenter
recommended
that
we
amend
the
first
paragraph
of
section
205.401
by
replacing
the
word,
"
request,"
with
"
application."
We
have
accepted
the
commenter's
recommendation
because
the
amendment
makes
the
language
in
the
first
paragraph
consistent
with
the
title
and
the
requirements
of
the
section.
(
3)
Verification
of
Correction
of
Noncompliances.
To
make
section
205.402(
a)(
3)
consistent
with
section
205.401(
c)
we
have
amended
the
language
in
section
205.402(
a)(
3)
to
require
that
the
certifying
agent
verify
that
an
applicant
who
previously
applied
to
another
certifying
agent
and
received
a
notification
of
denial
of
certification
has
submitted
documentation
to
support
the
correction
of
any
noncompliances
identified
in
the
notification
of
denial
of
certification.
A
commenter
recommended
that
section
205.402(
a)(
3)
be
amended
by
inserting
"
or
denial
of
certification"
after
the
phrase,
"
notification
of
noncompliance."
We
have
accepted
the
commenter's
recommended
amendment
because
it
is
consistent
with
the
requirements
of
section
205.401(
c).
Section
205.401(
c)
requires
an
applicant
for
certification
to
include
the
name(
s)
of
any
organic
certifying
agent(
s)
to
which
application
has
previously
been
made,
the
year(
s)
of
application,
and
the
outcome
of
the
application(
s)
submission.
The
applicant
is
also
required
to
include,
when
available,
a
copy
of
any
notification
of
noncompliance
or
denial
of
certification
issued
to
the
applicant
for
certification.
The
words,
"
when
available,"
have
been
added
to
this
requirement
in
this
final
rule
to
satisfy
concerns
regarding
the
status
of
applicants
who
cannot
find
or
no
longer
have
a
copy
of
any
notification
of
noncompliance
or
denial
of
certification
previously
received.
We
see
no
down
side
to
relaxing
this
requirement
since
the
applicant
must
still
comply
with
each
of
the
other
provisions
in
section
205.401(
c),
including
the
requirement
that
the
applicant
include
a
description
of
the
actions
taken
to
correct
the
noncompliances
noted
in
any
167
notification
of
noncompliance
or
denial
of
certification,
including
evidence
of
such
correction.
Further,
the
certifying
agent
will
be
using
USDA's
database
of
certification
actions
during
its
review
of
an
application
for
certification.
(
4)
Timely
Communication
to
the
Applicant.
We
have
amended
section
205.402(
b),
by
requiring
at
paragraph
(
b)(
1)
that
the
certifying
agent,
within
a
reasonable
time,
review
the
application
materials
received
and
communicate
its
findings
to
the
applicant.
A
commenter
requested
that
we
amend
section
205.402(
b)
which
required
a
certifying
agent
to
communicate
to
the
applicant
its
findings
on
the
review
of
application
materials
submitted
by
the
applicant.
Specifically,
the
commenter
requested
that
section
205.402(
b)
be
amended
by
adding
to
the
end
thereof,
"
in
a
timely
manner
so
as
to
prevent
the
avoidable
tillage
of
native
habitat
that
had
been
identified
in
the
application
as
lands
for
organic
production."
We
concur
that
certification
decisions
should
be
timely.
There
are
many
reasons
(
e.
g.,
financial
and
contractual)
for
why
certification
must
be
timely.
It
would
be
impractical,
however,
to
attempt
to
address
all
of
the
reasons
for
timely
certification
in
these
regulations.
We
have,
therefore,
amended
section
205.402(
b)
as
noted
above.
This
amendment
is
consistent
with
the
requirement
in
section
205.402(
a)
that
the
certifying
agent,
upon
acceptance
of
an
application
for
certification,
review
the
application
for
completeness,
determine
by
a
review
of
the
application
materials
whether
the
applicant
appears
to
comply
or
may
be
able
to
comply
with
the
requirements
for
certification,
and
schedule
an
on
site
inspection.
The
"
upon
acceptance"
requirement
necessitates
that
the
certifying
agent
review
the
application
for
certification
and
provide
feedback
to
the
applicant
in
a
timely
manner.
(
5)
On
site
Inspections.
We
have
amended
section
205.403(
a)(
1)
by
specifying
that
the
168
initial
and
annual
on
site
inspections
of
each
production
unit,
facility,
and
site
in
an
operation
applies
to
those
units,
facilities,
and
sites
that
produce
or
handle
organic
products.
A
commenter
recommended
that
section
205.403(
a)(
1)
be
amended
to
specify
that
on
site
inspections
of
each
production
unit,
facility,
and
site
will
include
just
those
that
produce
or
handle
organic
products.
The
commenter
stated
that
this
change
was
necessary
because
some
retail
corporations
choose
to
certify
all
store
locations
regardless
of
whether
the
location
sells
organic
products.
The
commenter
went
on
to
say
that,
if
a
location
does
not
stock
any
organic
products,
the
certifying
agent
should
have
the
discretion
to
modify
the
inspection
requirement.
We
have
excluded
all
retail
food
establishments
from
certification.
The
exclusion
is
found
in
section
205.101(
b)(
2).
Accordingly,
the
commenter's
recommendation
is
not
applicable
to
retail
food
establishments.
We
have,
however,
made
the
recommended
amendment
to
section
205.403(
a)(
1)
because
of
its
potential
applicability
to
other
operations
which
may
apply
for
certification.
(
6)
Scheduling
Initial
On
site
Inspection.
We
have
amended
section
205.403(
b)
to
provide
that
the
initial
inspection
may
be
delayed
for
up
to
6
months
to
comply
with
the
requirement
that
the
inspection
be
conducted
when
the
land,
facilities,
and
activities
that
demonstrate
compliance
or
capacity
to
comply
with
the
organic
production
and
handling
requirements
can
be
observed.
We
received
a
comment
stating
that
if
an
application
is
received
in
January
for
a
crop
that
will
be
planted
in
May,
it
would
be
necessary
to
delay
the
inspection
until
late
May
or
June
to
observe
the
crop
in
the
field.
The
commenter
went
on
to
say
that
the
alternative
would
be
to
conduct
the
initial
inspection
before
the
crop
is
planted,
in
order
to
meet
the
"
within
a
reasonable
time"
requirement,
and
then
conduct
a
reinspection
during
the
growing
169
season.
The
commenter
recommended
amending
section
205.403(
b)
to
allow
the
certifying
agent
to
delay
the
initial
on
site
inspection
until
the
land,
facilities,
and
activities
that
demonstrate
compliance
or
capacity
to
comply
can
be
observed.
We
have
accepted
the
recommendation
because
there
may
be
situations
where
a
later
onsite
inspection
will
prove
mutually
beneficial
to
the
certifying
agent
and
the
operation
to
be
inspected.
However,
certifying
agents
are
reminded
that
the
operation
may
be
certified
following
a
demonstration
that
the
operation
is
able
to
comply
with
the
organic
production
and
handling
requirements
found
in
subpart
C
of
these
regulations.
Accordingly,
certifying
agents
should
not
unnecessarily
delay
the
certification
of
an
organic
production
or
handling
operation
by
insisting
that
the
inspection
only
be
performed
when
the
operation
can
demonstrate
its
actual
compliance
with
the
organic
production
and
handling
requirements.
Applicants
who
believe
that
the
certifying
agent
is
abusing
its
authority
to
delay
the
on
site
inspection
may
file
a
complaint
with
the
Administrator.
We
have
also
amended
the
second
sentence
in
section
205.403(
b)
by
inserting
the
word,
"
all,"
and
removing
both
references
to
"
applicant"
to
clarify
that
the
provision
applies
to
all
onsite
inspections.
(
7)
Exit
Interview.
We
have
amended
section
205.403(
d)
by
requiring
that
the
inspector
conduct
an
exit
interview
with
"
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
inspected
operation"
rather
than
"
an
authorized
representative
of
the
inspected
operation"
as
required
in
the
proposed
rule.
This
amendment
is
consistent
with
the
requirement
in
section
205.403(
b)
that
an
on
site
inspection
be
conducted
when
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
operation
is
present.
170
A
commenter
requested
that
we
define
"
authorized
representative."
Another
commenter
recommended
changing
the
term,
"
authorized
representative,"
to
"
responsible
executive."
Our
amendment
of
section
205.403(
d)
responds
to
both
of
these
comments
by
clarifying
the
qualifications
of
an
authorized
representative.
A
third
commenter
stated
that
an
exit
interview
is
not
a
practical
requirement
and
that
an
initial
interview
is
often
preferred.
The
commenter
stressed
that
verification
that
the
inspector
has
correctly
understood
what
is
presented
is
ongoing.
This
commenter
also
expressed
the
belief
that
there
may
be
times
when
it
may
not
be
appropriate
for
the
inspector
to
address
issues
of
concern
and
that
such
issues
may
be
best
left
to
the
certifying
agent.
The
commenter
recommended
that
the
requirement
for
an
exit
interview
be
deleted
or
presented
as
an
option.
Another
commenter
suggested
that
issues
of
concern
are
often
identified
and
discussed
with
the
operation's
representative
during
the
course
of
the
inspection.
This
commenter
believes
that
it
is
unnecessarily
confrontational
to
require
an
exit
interview
during
which
these
issues
of
concern
are
repeated.
This
commenter
recommended
replacing
the
required
exit
interview
with
a
communications
provision
that
would
require
the
inspector
to
discuss
the
need
for
any
additional
information
as
well
as
any
issues
of
concern.
The
recommended
provision
would
also
authorize
the
certifying
agent
to
provide
the
applicant
with
a
summary
of
the
inspector's
areas
of
concern.
While
we
agree
that
the
language
in
section
205.403(
d)
needed
clarification,
we
do
not
agree
that
the
exit
interview
is
impractical
or
unnecessarily
confrontational.
The
exit
interview
is
intended
to
give
the
inspector
an
opportunity
to
confirm
the
accuracy
and
completeness
of
inspection
observations
and
information
gathered
during
the
on
site
inspection,
to
request
any
additional
information
necessary
to
establish
eligibility
for
certification,
and
to
raise
and
discuss
171
any
known
issues
of
concern.
Issues
of
concern
that
may
involve
compliance
issues
will
be
handled
as
authorized
by
the
certifying
agent.
The
exit
interview
is
also
intended
to
give
the
inspected
operation's
authorized
representative
general
information
concerning
the
inspector's
observations.
Such
exit
interviews
are
required
under
ISO
Guide
10011
1.
Accordingly,
requiring
exit
interviews
is
consistent
with
ISO
standards
and
our
expectation,
as
stated
earlier
in
this
preamble,
that
certifying
agents
benchmark
their
on
site
inspection
procedures
to
ISO
Guide
10011
1.
(
8)
On
site
Inspection
Documentation.
We
have
amended
section
205.402(
b)
by
adding
the
requirements
that
the
certifying
agent:
(
1)
provide
the
applicant
with
a
copy
of
the
on
site
inspection
report,
as
approved
by
the
certifying
agent,
for
any
on
site
inspection
performed
and
(
2)
provide
the
applicant
with
a
copy
of
the
test
results
for
any
samples
taken
by
an
inspector.
We
have
also
amended
section
205.403
by
adding
a
new
paragraph
(
e)
that
requires
the
inspector,
at
the
time
of
the
inspection,
to
provide
the
operation's
authorized
representative
with
a
receipt
for
any
samples
taken
by
the
inspector.
This
new
paragraph
also
addresses
the
requirement
that
the
certifying
agent
provide
the
operation
inspected
with
a
copy
of
the
inspection
report
and
any
test
results.
Having
the
certifying
agent
issue
the
on
site
inspection
report
to
the
operation
inspected
is
consistent
with
ISO
Guide
65,
section
11(
b).
Several
commenters
recommended
that
section
205.403
be
amended
to
require
that
the
inspector
issue
a
copy
of
the
on
site
inspection
report
to
the
operation
at
the
exit
interview.
They
also
recommended
that
the
inspector
be
required
to
provide
the
operation
with
a
receipt
for
samples
collected
for
testing.
The
commenters,
further,
recommended
that
the
certifying
agent
be
required
to
provide
the
operation
with
a
written
report
on
the
results
of
the
testing
performed
on
172
the
samples
taken.
A
commenter
also
recommended
that
the
operation
be
paid
for
any
samples
taken.
One
of
the
commenters
recommended
that
section
205.403
be
amended
by
adding
protocol
for
an
exit
interview.
We
concur
that
the
applicant
for
certification
and
certified
operations
should
be
provided
with
a
copy
of
the
on
site
inspection
report,
a
receipt
for
samples
taken,
and
a
copy
of
the
test
results
for
samples
taken.
Accordingly,
we
have
amended
sections
205.402(
b)
and
205.403
as
noted
above.
The
protocol
for
an
exit
interview
will
be
set
forth
in
the
certifying
agent's
procedures
to
be
used
to
evaluate
certification
applicants,
make
certification
decisions,
and
issue
certification
certificates.
The
NOP
is
available
to
respond
to
questions
and
to
assist
certifying
agents
in
the
development
of
these
procedures
which
are
required
under
section
205.504(
b)(
1).
Accordingly,
AMS
is
not
amending
the
section
to
include
a
protocol
for
exit
interviews.
AMS
is
also
not
including
a
requirement
that
the
certifying
agent
pay
the
applicant
for
samples
taken,
since
such
charges
would
just
be
charged
back
to
the
applicant
as
a
cost
for
processing
the
applicant's
application
for
certification.
(
9)
Granting
Certification.
We
have
amended
the
last
sentence
of
section
205.404(
a)
by
removing
the
word,
"
restrictions,"
and
replacing
it
with
"
requirements
for
the
correction
of
minor
noncompliances
within
a
specified
time
period."
A
commenter
suggested
that
the
last
sentence
of
section
205.404(
a)
be
amended
to
read:
"
The
approval
may
include
restrictions
or
requirements
as
a
condition
of
continued
certification,
which
includes
a
time
line
for
fulfilling
the
requirement."
Another
commenter
requested
that
we
define
"
restrictions."
This
commenter
also
recommended
amending
section
205.404(
a)
to
clarify
the
meaning
of
"
restrictions"
and
to
require
corrective
173
action
by
the
operator
within
a
specific
time
period.
We
agree
with
the
commenters
that
the
last
sentence
of
section
205.404(
a)
was
in
need
of
further
clarification.
We
also
agree
that
it
is
appropriate
for
the
regulations
to
require
that
the
requirements
for
correction
include
a
specified
time
period
within
which
the
corrections
must
be
made.
Accordingly,
we
amended
section
205.404(
a)
as
noted
above.
The
certifying
agent
will
make
the
determination
of
whether
a
violation
of
the
Act
and
regulations
is
minor.
Minor
noncompliances
are
those
infractions
that,
by
themselves,
do
not
preclude
the
certification
or
continued
certification
of
an
otherwise
qualified
organic
producer
or
handler.
The
certifying
agent
would
be
free
to
modify
the
time
period
for
correction
should
it
believe
it
to
be
appropriate.
We
have
also
made
editorial
changes
to
section
205.404(
a)
consistent
with
suggestions
we
received
on
section
205.506.
In
the
title
to
section
205.404
we
have
replaced
"
Approval
of"
with
"
Granting."
In
section
205.404(
a)
we
have
replaced
"
approve"
with
"
grant"
and
"
approval"
with
"
certification."
This
change
makes
the
language
in
section
205.404
consistent
with
ISO
Guide
65,
section
4.6,
which
addresses
the
granting
of
certification.
(
10)
Payment
of
Fees.
We
have
amended
the
introductory
statement
within
section
205.406(
a)
by
adding
the
requirement
that,
to
continue
certification,
a
certified
operation
annually
pay
the
certifying
agent's
certification
fees.
A
commenter
recommended
amending
section
205.404(
c)
by
adding
a
sentence
providing
that
a
certified
operation's
failure
to
pay
the
certifying
agent's
certification
fees
may
be
a
cause
for
suspension
or
revocation
of
certification.
We
agree
that
the
issue
of
payment
of
fees
should
be
addressed
but
not
in
section
205.404(
c),
which
deals
with
the
duration
of
a
certified
operation's
certification.
We
believe
the
issue
of
payment
of
certification
fees
is
more
appropriately
addressed
in
section
205.406,
which
deals
with
174
continuation
of
certification.
Accordingly,
we
have
amended
section
205.406(
a)
to
require
payment
of
the
certifying
agent's
fees
as
a
condition
of
continued
certification.
This
addition
would
allow
a
certifying
agent
to
initiate
suspension
or
revocation
proceedings
against
any
operation
that
fails
to
pay
the
required
fees.
The
certifying
agent
is
not
required
to
initiate
suspension
or
revocation
proceedings
for
failure
to
pay
the
fees.
In
fact,
the
certifying
agent
is
encouraged
to
use
one
or
more
of
the
legal
debt
collection
alternatives
available
to
it.
(
11)
Denial
of
Certification.
We
have
amended
section
205.405
to
include
noncompliance
and
resolution
provisions
originally
included
by
cross
reference
to
section
205.662(
a).
We
have
made
this
amendment
in
response
to
a
comment
that
these
regulations
do
not
provide
an
opportunity
for
a
hearing
upon
denial
of
certification.
We
disagree
with
the
commenter's
assessment
but
have
amended
section
205.405(
a)
to
eliminate
confusion
that
may
result
from
the
cross
reference
to
section
205.662(
a).
We
have
determined
that
section
205.662(
a)
may
cause
confusion
for
certification
applicants
because
the
section
does
not
specifically
address
applicants.
As
amended,
section
205.405(
a)
required
a
written
notification
of
noncompliance
that
describes
each
noncompliance,
the
facts
on
which
the
noncompliance
is
based,
and
the
date
by
which
the
applicant
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
Section
205.405(
b)
lists
the
options
available
to
the
applicant,
including
the
options
of
correcting
the
noncompliance
or
submitting
written
information
to
rebut
the
noncompliance.
Successful
correction
or
rebuttal
will
result
in
an
approval
of
certification.
When
the
corrective
action
or
rebuttal
is
not
sufficient
for
the
applicant
to
qualify
for
certification,
the
certifying
agent
will
issue
a
written
notice
of
denial
of
175
certification.
This
notice
will
state
the
reason(
s)
for
denial
and
the
applicant's
right
to
request
mediation
in
accordance
with
section
205.663
or
to
file
an
appeal
in
accordance
with
section
205.681.
(
12)
Rebuttal
of
a
Noncompliance.
We
have
amended
section
205.405(
b)(
3)
to
clarify
that
rebuttal
of
a
noncompliance
shall
be
submitted
to
the
certifying
agent
that
issued
the
notification
of
noncompliance.
We
made
this
amendment
in
response
to
a
commenter's
question
about
who
has
authority
to
evaluate
a
written
rebuttal.
(
13)
Correction
of
Minor
Noncompliances.
We
have
amended
section
205.406(
a)
by
adding
a
new
paragraph
(
3)
which
requires
the
certified
operation
to
include
with
its
annual
reporting
an
update
on
the
correction
of
minor
noncompliances
previously
identified
by
the
certifying
agent
as
requiring
correction
for
continued
certification.
A
commenter
recommended
adding
at
205.406(
a)
a
requirement
that
the
certified
operation
address
any
restrictions
that
have
been
applied
to
its
certification
under
205.404(
a).
We
agree
with
the
commenter
that
the
annual
reporting
by
the
certified
operation
should
include
an
update
addressing
the
certified
operation's
compliance
with
the
certifying
agent's
requirements
for
the
correction
of
minor
noncompliances.
Accordingly,
we
amended
section
205.406(
a)
as
noted
above
and
redesignated
paragraph
(
3)
as
paragraph
(
4).
The
certifying
agent
will
make
the
determination
of
whether
a
violation
of
the
Act
and
regulations
is
minor.
Minor
noncompliances
are
those
infractions
that,
by
themselves,
do
not
preclude
the
certification
or
continued
certification
of
an
otherwise
qualified
organic
producer
or
handler.
(
14)
Scheduling
Annual
On
site
Inspections.
We
have
amended
section
205.406(
b)
to
provide
that,
when
it
is
impossible
for
the
certifying
agent
to
conduct
the
annual
on
site
inspection
176
following
receipt
of
the
certified
operation's
annual
update
of
information,
the
certifying
agent
may
allow
continuation
of
certification
and
issue
an
updated
certificate
of
organic
operation
on
the
basis
of
the
information
submitted
and
the
most
recent
on
site
inspection
conducted
during
the
previous
12
months.
The
annual
on
site
inspection,
required
by
section
205.403,
must,
however,
be
conducted
within
the
first
6
months
following
the
certified
operation's
scheduled
date
of
annual
update.
A
commenter
expressed
the
belief
that
the
requirement
for
an
on
site
inspection
after
receipt
of
the
certified
operation's
annual
update
of
information
would
have
required
that
all
annual
on
site
inspections
be
performed
at
the
same
time
of
the
year.
The
commenter
went
on
to
express
the
belief
that,
to
avoid
inspecting
certified
operations
twice
a
year,
certifying
agents
would
have
to
schedule
the
annual
update
to
occur
during
the
growing
season
in
order
to
comply
with
the
requirement
for
timing
inspections
when
normal
production
activities
can
be
observed.
The
commenter
stated
that
certifying
agents
should
be
given
more
flexibility
for
scheduling
inspections
and
conducting
their
certification
programs
according
to
management
procedures
best
suited
to
their
agency.
The
commenter
recommended
amending
section
205.406(
b)
by
adding
to
the
end
thereof:
"
or
base
the
decision
regarding
eligibility
for
renewal
on
an
on
site
inspection
conducted
during
the
previous
12
months."
We
agree
with
the
commenter
that
certifying
agents
should
be
given
more
flexibility
for
scheduling
on
site
inspections
so
as
to
best
meet
the
management
needs
of
the
certifying
agent.
Accordingly,
we
have
amended
section
205.406(
b)
to
allow
continuation
of
certification
and
issuance
of
an
updated
certificate
of
organic
operation
on
the
basis
of
the
information
submitted
and
the
most
recent
on
site
inspection
conducted
during
the
previous
12
months.
This
option
will
177
be
available
to
the
certifying
agent
when
renewal
is
scheduled
for
a
time
when
it
is
impossible
to
conduct
the
annual
on
site
inspection
following
receipt
of
the
annual
update
and
at
a
time
when
land,
facilities,
and
activities
that
demonstrate
the
operation's
compliance
or
capability
to
comply
can
be
observed.
This
change
does
not
affect
the
requirement
in
section
205.403(
a)(
1)
that
the
certifying
agent
conduct
an
annual
on
site
inspection
of
each
certified
operation.
Further,
the
annual
on
site
inspection
must
be
conducted
within
the
first
6
months
following
the
certified
operation's
scheduled
date
of
annual
update.
Certification
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Number
of
On
site
Inspections.
A
commenter
recommended
that
section
205.403(
a)(
1)
be
amended
by
adding
a
requirement
that
production
operations
be
under
active
organic
management
for
the
last
year
of
the
3
year
land
conversion
period
and
that
two
on
site
inspections
be
performed
prior
to
organic
certification.
Section
205.403(
a)(
1)
provides
that
the
certifying
agent
must
conduct
an
initial
on
site
inspection
of
each
production
unit,
facility,
and
site
that
produces
or
handles
organic
products
and
that
is
included
in
an
operation
for
which
certification
is
requested.
The
requirement
does
not
preclude
a
certifying
agent
from
conducting
additional
on
site
inspections,
if
necessary,
to
establish
the
applicant's
eligibility
for
certification.
The
Act
requires
a
3
year
period
immediately
preceding
harvest,
during
which
the
production
operation
must
be
free
from
the
application
of
prohibited
substances.
The
Act
does
not,
however,
require
that
land
be
under
active
organic
management
during
this
period,
and
we
do
not
believe
such
a
requirement
in
these
regulations
is
178
necessary.
Such
a
requirement,
for
example,
would
necessitate
some
process
for
verifying
that
an
operation
is
under
active
organic
management,
which
would,
in
effect,
require
a
certification
type
decision
a
year
before
certification
is
granted
and
the
operation
can
begin
to
label
products
as
certified
organic.
Accordingly,
we
disagree
with
the
commenter's
recommendation
that
an
operation
be
under
active
organic
management
for
the
last
year
of
the
3
year
land
conversion
and
that
two
on
site
inspections
be
required.
(
2)
Unannounced
Inspections.
A
commenter
recommended
that
section
205.403(
a)(
2)(
iii)
be
amended
to
require
additional
unannounced
inspections
either
by
defining
the
circumstances
under
which
the
inspections
should
be
undertaken
or
by
setting
a
minimum
percentage
of
unannounced
inspections.
The
commenter
claimed
that
5
percent
is
a
common
percentage
adopted
by
certifying
agents
around
the
world.
Section
205.403
requires
an
initial
on
site
inspection,
annual
on
site
inspection,
and
additional
on
site
inspections
to
determine
compliance
with
the
Act
and
regulations,
to
verify
that
information
provided
reflects
actual
practices,
and
to
verify,
through
testing
if
necessary,
that
prohibited
substances
are
not
used
by
the
operation.
Because
of
the
widely
disparate
nature
of
certified
operations,
we
believe
the
certifying
agent
is
in
the
best
position
to
determine
the
need
for
additional
on
site
inspections.
Accordingly,
we
have
rejected
the
commenter's
request
that
the
regulations
require
additional
unannounced
visits
either
by
defining
the
circumstances
under
which
these
should
be
undertaken
or
by
setting
a
minimum
percentage.
(
3)
Timeliness
of
Certifying
Agent
Review
Information.
A
commenter
requested
that
section
205.404(
a)
be
amended
to
specify
a
timeframe
of
60
days
rather
than
"
Within
a
reasonable
time"
as
the
time
by
which
the
certifying
agent
must
review
the
on
site
inspection
report,
the
179
results
of
any
analyses
for
substances,
and
any
additional
information
requested
from
or
supplied
by
the
applicant.
Section
205.404(
a)
requires
the
certifying
agent,
within
a
reasonable
time
after
completion
of
the
initial
on
site
inspection,
to
review
the
on
site
inspection
report,
the
results
of
any
analyses
for
substances
conducted,
and
any
additional
information
requested
from
or
supplied
by
the
applicant.
Section
205.504(
b)(
1)
requires
the
certifying
agent
to
submit
a
copy
of
the
procedures
to
be
used
to
evaluate
certification
applicants,
make
certification
decisions,
and
issue
certification
certificates.
Such
procedures
and
the
certifying
agent's
performance
in
making
timely
certification
decisions
will
be
subject
to
review
during
accreditation
and
reaccreditation
of
the
certifying
agent.
Certifying
agents
are
expected
to
make
timely
decisions
regarding
whether
to
certify
an
applicant
and
whether
a
certified
operation
is
in
compliance
with
the
Act
and
regulations.
Applicants
with
complaints
regarding
timeliness
of
service
could
forward
their
complaints
to
the
Administrator.
Accordingly,
timely
service
will
be
in
the
best
interest
of
certifying
agents
since
such
complaints
could
have
an
impact
on
their
reaccreditation
or
continued
accreditation.
Further,
our
original
position
is
consistent
with
those
commenters
requesting
flexibility
in
determining
what
constitutes
reasonable
time.
Accordingly,
we
have
not
amended
section
205.404(
a)
as
requested.
(
4)
Categories
of
Organic
Operation.
We
received
a
variety
of
comments
regarding
the
requirement
that
the
certifying
agent
issue
a
certificate
of
organic
operation
which
specifies
the
categories
of
organic
operation,
including
crops,
wild
crops,
livestock,
or
processed
products
produced
by
the
certified
operation.
One
commenter
recommended
that
section
205.404(
b)(
3)
be
amended,
with
regard
to
processing,
to
only
require
a
processing
category
to
be
specified
on
the
180
certificate,
such
as
food
processing
or
feed
processing.
The
commenter
stated
that
it
should
not
be
necessary
to
list
every
product
on
the
certificate.
Specifically,
the
commenter
recommended
amending
section
205.404(
b)(
3)
by
inserting
the
words,
"
general
categories
of,"
immediately
in
front
of
the
word,
"
processed."
Another
commenter
recommended
amending
section
205.404(
b)(
3)
to
require
the
identity
of
specific
crops
and
the
specific
processing
operations
certified.
Still
another
commenter
requested
that
section
205.404(
b)
be
amended
by
adding
a
new
paragraph
requiring
that
the
certificate
include
the
number
of
livestock
of
each
species
produced
on
the
certified
operation.
This
same
commenter
also
recommended
the
addition
of
a
new
paragraph
requiring
that
the
certificate
identify
the
specific
location
of
each
certified
organic
field
and
handling
operation.
We
also
received
support
for
section
205.404(
b)(
3)
as
written.
This
commenter
does
not
support
the
addition
of
information
regarding
the
number
of
livestock
or
the
location
of
fields.
We
disagree
with
the
suggestion
that
the
certificate
list
every
crop,
wild
crop,
livestock,
or
processed
product
produced
by
the
certified
operation.
We
believe
that
listing
categories
of
organic
operation
is
sufficient.
This
does
not,
however,
prevent
the
certifying
agent,
in
cooperation
with
the
certified
operation,
from
listing
specific
crops,
livestock,
or
processed
products
on
the
certificate.
Such
information
could
always
be
listed
on
the
certificate
when
requested
by
the
certified
operation.
We
also
disagree
with
the
commenter
who
requested
that
certifying
agents
display
the
number
of
livestock
of
each
species
produced
by
the
certified
operation
and
the
specific
location
of
each
certified
organic
field
and
handling
operation.
We
do
not
believe
it
is
necessary
to
list
the
quantity
of
product
to
be
produced
or
handled
at
a
certified
operation,
nor
do
we
believe
it
is
necessary
to
list
the
location
of
a
certified
operation's
fields
or
181
facilities.
Such
information
may,
however,
be
listed
on
the
certificate
upon
the
written
request
of
the
certified
operation.
By
requiring
the
name,
address,
and
telephone
number
of
the
certifying
agent,
the
certificate
would
provide
interested
persons
with
a
contact
for
obtaining
releasable
information
concerning
the
certified
operation.
Further,
the
certifying
agent
is
the
first
line
of
compliance
under
this
program
and,
as
such,
is
the
person
to
whom
all
questions
and
concerns
should
be
addressed
about
certified
operations.
(
5)
Annual
Renewal
of
Certification.
Numerous
commenters
requested
that
section
205.404(
b)(
2)
be
amended
to
provide
for
the
placement
of
an
expiration
date
on
the
certificate
of
organic
operation.
The
commenters
want
yearly
expiration
of
certification
and
yearly
expiration
of
the
certificate
of
organic
operation.
Commenters
also
requested
that
section
205.404(
c)
be
amended
to
provide
that
once
certified,
a
production
or
handling
operation's
organic
certification
continues
in
effect
until
the
expiration
date
on
the
certificate,
until
surrendered
by
the
organic
operation,
or
until
suspended
or
revoked
by
the
certifying
agent,
the
SOP's
governing
State
official,
or
the
Administrator.
Some
commenters
recommended
the
addition
of
a
new
paragraph
205.406(
e)
that
would
provide
for
automatic
suspension
of
a
certification
if
the
certified
operation
did
not
provide
the
information
required
in
paragraph
205.406(
a)
by
the
expiration
date
to
be
placed
on
the
certificate
of
organic
operation.
We
disagree
with
the
commenters
who
have
requested
annual
renewal
of
certification
and
that
the
certified
operation's
certification
and
its
certificate
of
organic
operation
expire
annually.
We
prefer
continuous
certification
due
to
the
very
real
possibility
that
the
renewal
process
might
not
always
be
completed
before
expiration
of
the
certification
period.
Expiration
of
the
certification
period
would
result
in
termination
of
the
operation's
certification.
Even
a
short
182
period
of
interruption
in
an
operation's
organic
status
could
have
severe
economic
ramifications.
Further,
we
believe
that
a
regular
schedule
of
expiration
of
certification
is
unnecessary
inasmuch
as
all
certified
operations
are
required
to
annually
update
their
organic
system
plan
and
submit
any
changes
to
their
certifying
agent.
More
importantly,
unlike
accreditation,
where
the
Act
provides
for
expiration
and
renewal,
the
Act
does
not
provide
for
an
expiration
or
renewal
of
certification.
Therefore,
it
is
also
our
position
that
once
granted
certification
the
production
or
handling
operation
retains
that
certification
until
voluntarily
surrendered
or
removed,
following
due
process,
for
violation
of
the
Act
or
these
regulations.
(
6)
Denial
of
Certification.
A
commenter
recommended
that
section
205.405(
e)
be
amended
to
place
a
time
restriction
on
reapplication
for
certification
after
denial
of
certification.
The
commenter
suggested
a
3
year
period.
We
disagree
with
this
recommendation
because
the
reasons
for
denial
include
a
wide
range
of
noncompliances.
The
ability
to
correct
noncompliances
will
vary
as
will
the
time
needed
to
correct
the
noncompliances.
(
7)
Production
and
Handling
Operation
Certification
Following
Suspension
or
Revocation
of
Certifying
Agent
Accreditation.
A
few
commenters
requested
amendment
of
section
205.406
through
the
addition
of
a
new
paragraph
(
f).
Specifically,
the
commenters
requested
provisions
that
would
provide
for
USDA
notification
of
certified
operations
regarding
the
suspension
or
revocation
of
their
certifying
agent's
accreditation.
Some
of
these
commenters
requested
that
the
provisions
also
allow
the
affected
certified
operation
to
use
current
market
labels
for
a
maximum
period
of
12
months,
provided
the
certified
operation
made
application
for
certification
with
another
USDA
accredited
certifying
agent
within
3
months
of
being
notified
of
their
certifying
agent's
suspension
or
revocation
of
accreditation.
Another
commenter
requested
that
the
new
183
paragraph
provide
that
the
affected
certified
operation
will
continue
to
operate
as
if
certified
by
the
USDA
and
will
be
allowed
to
use
current
market
labels
for
a
maximum
period
of
12
months.
The
commenter
stated
that
this
amendment
would
provide
the
certified
operation
with
the
time
needed
to
obtain
recertification
by
an
accredited
certifying
agent
and
to
prepare
new
labels.
We
disagree
with
the
recommendations.
USDA
does
not
perform
organic
certification
activities
under
any
circumstance,
including
upon
surrender,
suspension,
or
revocation
of
an
accredited
certifying
agent's
accreditation.
Operations
certified
by
a
certifying
agent
that
surrenders
or
loses
its
USDA
accreditation
will
be
notified
by
USDA
and
given
an
opportunity
to
immediately
begin
seeking
certification
by
the
USDA
accredited
certifying
agent
of
their
choice.
Certified
operations
shall
not
affix
the
seal
or
other
representation
of
a
certifying
agent
to
any
product
that
they
produce
after
the
certifying
agent
has
surrendered
or
had
its
accreditation
revoked.
The
certified
operation
may
use
the
USDA
organic
seal.
In
the
case
of
suspension
of
the
certifying
agent,
the
reasons
for
the
suspension
and
the
terms
of
the
suspension
will
determine
whether
the
certifying
agent's
certified
operations
will
have
to
seek
recertification
or
stop
affixing
the
certifying
agent's
seal
or
other
representation
to
their
products.
USDA
will
announce
the
suspension
or
revocation
of
a
certifying
agent's
accreditation,
and
the
announcement
will
address
the
status
of
operations
certified
by
the
certifying
agent.
Certification
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters
as
follows:
(
1)
Recordkeeping.
A
commenter
stated
that
most
computerized
recordkeeping
systems
used
at
retail
and
wholesale
are
set
up
to
save
the
data
for
a
maximum
of
2
years;
adding
3
additional
years
to
that
requirement
would
be
extremely
costly
as
systems
modifications
and
184
additional
hardware
and
support
would
be
required
to
meet
the
mandate.
The
commenter
suggested
that
since
food
product
is
generally
sold
and
consumed
within
a
matter
of
months
(
if
not
weeks),
shortening
this
requirement
to
2
years
should
meet
the
goal
for
tracking
of
any
product
through
the
distribution
system.
This
commenter
was
referring
to
the
requirement
in
section
205.400(
d)
that
records
be
maintained
for
not
less
than
5
years
beyond
their
creation.
Section
205.103
requires
that
a
certified
operation
maintain
records;
that
the
records
be
adapted
to
the
particular
business
that
the
certified
operation
is
conducting,
fully
disclose
all
activities
and
transactions
of
the
certified
operation
in
sufficient
detail
as
to
be
readily
understood
and
audited,
be
maintained
for
not
less
than
5
years
beyond
their
creation,
and
be
sufficient
to
demonstrate
compliance
with
the
Act
and
the
regulations
in
this
part;
and
that
the
certified
operation
must
make
such
records
available
for
inspection
and
copying
during
normal
business
hours
by
authorized
representatives
of
the
Secretary,
the
applicable
SOP's
governing
State
official,
and
the
certifying
agent.
The
requirements
do
not
state
in
what
form
(
i.
e.,
paper,
electronic,
film)
that
the
records
must
be
maintained.
Therefore,
in
answer
to
the
commenter's
concern,
database
records
more
than
2
years
old
could
be
stored
in
any
form,
including
on
an
electronic
storage
device,
which
would
permit
retrieval
upon
request.
(
2)
Application
Fees.
A
commenter
recommended
that
section
205.401
be
amended
by
adding
a
new
paragraph
(
e)
which
would
require
an
applicant
for
certification
to
include,
along
with
the
other
required
application
information,
the
application
fees
required
by
the
certifying
agent.
The
requested
language
is
unnecessary
because
section
205.400(
e)
requires
submission
of
the
applicable
fees
charged
by
the
certifying
agent
as
a
general
requirement
for
certification.
185
(
3)
Applicant
Identification.
In
reference
to
section
205.401(
c)
a
commenter
stated
that
an
applicant
that
is
a
corporation
could
easily
change
the
name
of
the
corporation
in
order
to
avoid
having
to
report
applications
submitted
and
denied
under
the
previous
name.
The
commenter
went
on
to
state
that
there
must
be
a
database
available
to
certifying
agents
that
includes
names
and
location
addresses
of
operations
that
have
received
a
notification
of
noncompliance,
denial
of
certification,
or
a
suspension
or
revocation
of
certification.
Section
205.401(
b)
requires
the
applicant
to
include
in
its
application
the
name
of
the
person
completing
the
application;
the
applicant's
business
name,
address,
and
telephone
number;
and,
when
the
applicant
is
a
corporation,
the
name,
address,
and
telephone
number
of
the
person
authorized
to
act
on
the
applicant's
behalf.
As
we
stated
in
the
preamble
to
the
proposed
rule,
we
anticipate
using
the
data
collected
under
section
205.501(
a)(
15)
to
establish
and
maintain
two
Internet
databases.
The
first
Internet
database
would
be
accessible
to
the
general
public
and
would
include
the
names
and
other
appropriate
data
on
certified
organic
production
and
handling
operations.
The
second
Internet
database
would
be
password
protected
and
only
available
to
accredited
certifying
agents
and
USDA.
This
second
database
would
include
data
on
production
and
handling
operations
issued
a
notification
of
noncompliance,
noncompliance
correction,
denial
of
certification,
certification,
proposed
suspension
or
revocation
of
certification,
and
suspension
or
revocation
of
certification.
Certifying
agents
would
use
the
second
Internet
database
during
their
review
of
an
application
for
certification.
(
4)
Withdrawal
of
Application.
Several
commenters
expressed
the
belief
that
allowing
an
applicant
to
voluntarily
withdraw
its
application
will
be
used
as
a
tool
to
avoid
denial
of
186
certification.
They
expressed
concern
that
voluntary
withdrawal
before
denial
of
certification
will
allow
the
applicant
to
make
application
with
a
different
certifying
agent
with
a
clean
record.
These
commenters
were
responding
to
the
provision
in
section
205.402(
e)
which
allows
an
applicant
for
certification
to
withdraw
its
application
at
any
time.
We
continue
to
believe
that
operations
should
not
be
unnecessarily
stigmatized
because
they
applied
for
certification
before
the
operation
was
ready
to
meet
all
requirements
for
certification.
While
some
operations
may
use
voluntary
withdrawal
as
a
means
to
avoid
the
issuance
of
a
notification
of
noncompliance
or
a
notice
of
denial
of
certification,
this
should
not
adversely
affect
the
National
Organic
Program
(
NOP)
because
all
certifying
agents
are
responsible
for
using
qualified
personnel
in
the
certification
process
and
for
ensuring
an
applicant's
eligibility
for
certification.
Further,
all
applicants
for
certification
are
required
under
section
205.401(
c)
to
include
in
their
application
the
name(
s)
of
any
organic
certifying
agent(
s)
to
which
application
has
previously
been
made,
the
year(
s)
of
application,
and
the
outcome
of
the
application(
s)
submission.
(
5)
On
site
Inspections.
Section
205.403(
a)(
2)(
ii)
provides
that
the
Administrator
or
SOP's
governing
State
official
may
require
that
additional
inspections
be
performed
by
the
certifying
agent
for
the
purpose
of
determining
compliance
with
the
Act
and
the
regulations
in
this
part.
In
commenting
on
this
provision,
a
commenter
asked,
"
Who
is
running
this
program:
State
or
Federal
officials?"
This
is
a
national
organic
program
administered
by
the
Agricultural
Marketing
Service
of
the
United
States
Department
of
Agriculture.
States
may
administer
their
own
organic
program.
However,
all
SOP's
are
subject
to
USDA
approval.
The
National
Organic
Standards
and
a
187
State's
organic
standards
under
a
USDA
approved
SOP
are
the
National
Organic
Standards
for
that
State.
The
State,
under
USDA's
approval
of
the
SOP,
has
enforcement
responsibilities
for
the
Federal
and
State
components
of
the
organic
program
within
the
State.
(
6)
Verification
of
Information.
A
commenter
stated
that
section
205.403(
c)
is
insufficiently
comprehensive.
The
commenter
stated
that
organic
inspection
is
assessment
of
a
process
evaluated
against
comprehensive
standards
and,
as
such,
it
requires
specific
rules
to
provide
confidence
in
the
quality
of
the
inspection.
The
commenter
recommended
amending
section
205.403(
c)
by
including
requirements
on
minimum
verification
methods.
Section
205.403(
c)
identifies
what
must
be
verified
during
the
on
site
inspection.
The
details
on
how
the
verification
will
be
accomplished
will
be
set
forth
in
the
certifying
agent's
procedures
to
be
used
to
evaluate
certification
applicants,
make
certification
decisions,
and
issue
certification
certificates
and
the
certifying
agent's
procedures
for
reviewing
and
investigating
certified
operation
compliance
with
the
Act
and
regulations.
The
NOP
is
available
to
respond
to
questions
and
to
assist
certifying
agents
in
complying
with
the
on
site
inspection
requirements,
including
those
for
the
verification
of
information.
(
7)
Notifying
Customers
of
Change
in
Certification
Status.
A
commenter
stated
that
the
regulations
do
not
indicate
when
a
certified
organic
producer
must
stop
using
the
organic
seal
or
whether
they
must
notify
customers
of
their
denial
of
certification.
The
commenter
recommended
amending
section
205.405
to
include
a
provision
for
notifying
customers
of
a
certified
operation's
change
in
certification
status.
Any
producer
or
handler
who
plans
to
sell,
label,
or
represent
its
product
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
must
be
certified
unless
exempted
under
the
small
188
operation
exemption
under
section
205.101(
a)(
1)
or
not
regulated
under
the
NOP
(
i.
e.,
a
producer
of
dog
food).
Only
certified
operations
may
represent
themselves
as
certified.
Operations
denied
certification
may
not
represent
their
products
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
Operations
that
have
had
their
certification
suspended
or
revoked
will
be
subject
to
the
terms
and
conditions
of
their
suspension
or
revocation
relative
to
the
labeling
of
product
produced
prior
to
the
suspension
or
revocation.
No
product
produced
by
an
operation
after
suspension
or
revocation
of
certification
may
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
Buyers
of
organic
product
can
request
to
see
the
producer's
or
handler's
certificate
of
organic
operation.
Operations
that
have
lost
their
organic
status
will
be
unable
to
obtain
an
updated
certificate.
Buyers
with
questions
regarding
an
operation's
organic
status
may
also
contact
the
certifying
agent
identified
on
a
certificate
of
organic
operation.
Further,
as
previously
noted,
we
anticipate
using
the
data
collected
under
section
205.501(
a)(
15)
to
establish
and
maintain
an
Internet
database
accessible
to
the
general
public
that
will
include
the
names
and
other
appropriate
data
on
certified
organic
production
and
handling
operations.
(
8)
Continuation
of
Certification.
A
few
commenters
recommended
amending
section
205.406
to
include
a
safety
net
for
producers
who
are
certified
by
a
certifying
agent
that
does
not
become
accredited
by
USDA.
They
stated
that
the
rule
must
clearly
state
that
a
certified
organic
producer
will
have
the
full
18
month
implementation
period
starting
from
the
effective
date
of
the
final
rule
to
get
recertified
if
their
certifying
agent
is
not
accredited.
One
of
the
commenters
stated
that
because
the
NOP
anticipates
that
the
accreditation
process
will
require
12
months,
producers
will,
in
effect,
have
6
months
to
be
certified
by
a
new
certifying
agent
should
the
189
producer's
certifying
agent
not
be
accredited.
Certification
under
the
NOP
will
become
mandatory
18
months
after
the
effective
date
of
the
final
rule.
Applications
for
accreditation
will
be
processed
on
a
first
come,
first
served
basis.
Accreditations
will
be
announced
approximately
12
months
after
the
effective
date
of
the
final
rule
for
those
qualified
certifying
agents
who
apply
within
the
first
6
months
following
the
effective
date
and
for
any
other
applicants
that
AMS
determines
eligible.
Certifying
agents
will
begin
the
process
of
certifying
organic
production
and
handling
operations
to
the
national
standards
upon
receipt
of
their
USDA
accreditation.
All
production
and
handling
operations
certified
by
an
accredited
certifying
agent
will
be
considered
certified
to
the
national
standards
until
the
certified
operation's
anniversary
date
of
certification.
This
phase
in
period
will
only
be
available
to
those
certified
operations
certified
by
a
certifying
agent
that
receives
its
accreditation
within
18
months
from
the
effective
date
of
the
final
rule.
We
anticipate
that
certifying
agents
and
production
and
handling
operations
will
move
as
quickly
as
possible
to
begin
operating
under
the
national
organic
standards.
Operations
certified
by
a
certifying
agent,
which
fails
to
apply
for
or
fails
to
meet
the
requirements
for
USDA
accreditation
under
the
NOP,
must
seek
and
receive
certification
by
a
USDA
accredited
certifying
agent
before
they
can
sell,
label,
or
represent
their
products
as
organic,
effective
18
months
after
the
effective
date
of
the
final
rule.
Subpart
F
Accreditation
of
Certifying
Agents
This
subpart
sets
forth
the
requirements
for
a
national
program
to
accredit
State
and
private
entities
as
certifying
agents
to
certify
domestic
or
foreign
organic
production
or
handling
operations.
This
subpart
also
provides
that
USDA
will
accept
a
foreign
certifying
agent's
accreditation
to
certify
organic
production
or
handling
operations
if:
(
1)
USDA
determines,
upon
2
ISO/
IEC
Guide
65
is
available
for
viewing
at
USDA
AMS,
Transportation
and
Marketing
Programs,
Room
2945
South
Building,
14th
and
Independence
Ave.,
SW,
Washington,
DC,
from
9:
00
a.
m.
to
4:
00
p.
m.,
Monday
through
Friday
(
except
official
Federal
holidays).
A
copy
may
be
obtained
from
the
American
National
Standards
Institute,
11
West
42d
Street,
New
York,
NY
10036;
Website:
www.
ansi.
org;
E
mail:
ansionline@
ansi.
org;
Telephone:
212
642
4900;
Facsimile:
212
398
0023.
190
the
request
of
a
foreign
government,
that
the
standards
under
which
the
foreign
government
authority
accredited
the
foreign
certifying
agent
meet
the
requirements
of
this
part;
or
(
2)
the
foreign
governmental
authority
that
accredited
the
certifying
agent
acted
under
an
equivalency
agreement
negotiated
between
the
United
States
Government
and
the
foreign
government.
This
National
Organic
Program
(
NOP)
accreditation
process
will
facilitate
national
and
international
acceptance
of
U.
S.
organically
produced
agricultural
commodities.
The
accreditation
requirements
in
these
regulations
will,
upon
announcement
of
the
first
group
of
accredited
certifying
agents,
replace
the
voluntary
fee
for
service
organic
assessment
program,
established
by
AMS
under
the
Agricultural
Marketing
Act
of
1946.
That
assessment
program
verifies
that
State
and
private
organic
certifying
agents
comply
with
the
requirements
prescribed
under
the
International
Organization
for
Standardization/
International
Electrotechnical
Commission
Guide
65,
"
General
Requirements
for
Bodies
Operating
Product
Certification
Systems"
(
ISO
Guide
65).
2
ISO
Guide
65
provides
the
general
requirements
that
a
certifying
agent
would
need
to
meet
to
be
recognized
as
competent
and
reliable.
That
assessment
program
was
originally
established
to
enable
organic
certifying
agents
in
the
absence
of
a
U.
S.
national
organic
program
to
comply
with
European
Union
(
EU)
requirements
beginning
on
June
30,
1999.
That
assessment
program
verifies
that
State
and
private
organic
certifying
agents
are
operating
third
party
certification
systems
in
a
consistent
and
reliable
manner,
thereby
facilitating
191
uninterrupted
exports
of
U.
S.
organic
agricultural
commodities
to
the
EU.
ISO
Guide
65
was
used
as
a
benchmark
in
developing
the
accreditation
program
described
in
this
final
rule.
Certifying
agents
accredited
under
the
NOP
that
maintain
compliance
with
the
Act
and
these
regulations
will
meet
or
exceed
the
requirements
of
ISO
Guide
65;
therefore,
the
organic
assessment
program
is
no
longer
needed.
Participation
in
the
NOP
does
not
preclude
the
accredited
certifying
agent
from
conducting
other
business
operations,
including
the
certification
of
agricultural
products,
practices,
and
procedures
to
standards
that
do
not
make
an
organic
claim.
An
accredited
certifying
agent
may
not,
however,
engage
in
any
business
operations
or
activities
which
would
involve
the
agent
in
a
violation
of
or
in
a
conflict
of
interest
under
the
NOP.
Description
of
Regulations
The
Administrator
will
accredit
qualified
domestic
and
foreign
applicants
in
the
areas
of
crops,
livestock,
wild
crops,
or
handling
or
any
combination
thereof
to
certify
domestic
or
foreign
production
or
handling
operations
as
certified
organic
operations.
Qualified
applicants
will
be
accredited
for
5
years.
Application
Process
Certifying
agents
will
apply
to
the
Administrator
for
accreditation
to
certify
production
or
handling
operations
operating
under
the
NOP.
The
certifying
agent's
application
must
include
basic
business
information,
must
identify
each
area
of
operation
for
which
accreditation
is
requested
and
the
estimated
number
of
each
type
of
operation
to
be
certified
annually,
and
must
include
a
list
of
each
State
or
foreign
country
where
it
currently
certifies
production
or
handling
operations
and
where
it
intends
to
certify
such
operations.
Certifying
agents
must
also
submit
192
personnel,
administrative,
conflict
of
interest,
current
certification,
and
other
documents
and
information
to
demonstrate
their
expertise
in
organic
production
or
handling
techniques,
their
ability
to
comply
with
and
implement
the
organic
certification
program,
and
their
ability
to
comply
with
the
requirements
for
accreditation.
Certifying
agents
planning
to
certify
production
or
handling
operations
within
a
State
with
an
approved
State
organic
program
(
SOP)
must
demonstrate
their
ability
to
comply
with
the
requirements
of
the
SOP.
The
administrative
information
submitted
by
the
applicant
must
include
copies
of
its
procedures
for
certifying
operations,
for
ensuring
compliance
of
its
certified
operations
with
the
Act
and
regulations,
for
complying
with
recordkeeping
requirements,
and
for
making
information
available
to
the
public
about
certified
operations.
The
procedures
for
certifying
operations
encompass
the
processes
used
by
the
certifying
agent
to
evaluate
applicants,
make
certification
decisions,
issue
certification
certificates,
and
maintain
the
confidentiality
of
any
business
information
submitted
by
the
certified
operation.
The
procedures
for
ensuring
compliance
of
the
certified
operations
will
include
the
methods
used
to
review
and
investigate
certified
operations,
for
sampling
and
residue
testing,
and
to
report
violations.
The
personnel
information
submitted
with
the
application
must
demonstrate
that
the
applicant
uses
a
sufficient
number
of
adequately
trained
personnel
to
comply
with
and
implement
the
organic
certification
program.
The
certifying
agent
will
also
have
to
provide
evidence
that
its
responsibly
connected
persons,
employees,
and
contractors
with
inspection,
analysis,
and
decision
making
responsibilities
have
sufficient
expertise
in
organic
production
or
handling
techniques
to
successfully
perform
the
duties
assigned.
They
must
also
show
that
all
persons
who
review
applications
for
certification
perform
on
site
inspections,
review
certification
documents,
193
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
that
all
parties
responsibly
connected
to
the
certifying
agent
have
revealed
existing
or
potential
conflicts
of
interest.
Applicants
who
currently
certify
production
or
handling
operations
must
also
submit
a
list
of
the
production
and
handling
operations
currently
certified
by
them.
For
each
area
in
which
the
applicant
requests
accreditation,
the
applicant
should
furnish
copies
of
inspection
reports
and
certification
evaluation
documents
for
at
least
three
operations.
If
the
applicant
underwent
any
other
accrediting
process
in
the
year
previous
to
the
application,
the
applicant
should
also
submit
the
results
of
the
process.
Certifying
agents
are
prohibited
from
giving
advice
or
providing
consultancy
services
to
certification
applicants
or
certified
operations
for
overcoming
identified
barriers
to
certification.
This
requirement
does
not
apply
to
voluntary
education
programs
available
to
the
general
public
and
sponsored
by
the
certifying
agent.
The
Administrator
will
provide
oversight
of
the
fees
to
ensure
that
the
schedule
of
fees
filed
with
the
Administrator
is
applied
uniformly
and
in
a
nondiscriminatory
manner.
The
Administrator
may
inform
a
certifying
agent
that
its
fees
appear
to
be
unreasonable
and
require
that
the
certifying
agent
justify
the
fees.
The
Administrator
will
investigate
the
level
of
fees
charged
by
an
accredited
certifying
agent
upon
receipt
of
a
valid
complaint
or
under
compelling
circumstances
warranting
such
an
investigation.
Statement
of
Agreement.
Upon
receipt
of
the
certifying
agent's
application
for
accreditation,
the
Administrator
will
send
a
statement
of
agreement
to
the
person
responsible
for
the
certifying
agent's
day
to
day
194
operations
for
signature.
The
statement
of
agreement
affirms
that,
if
granted
accreditation
as
a
certifying
agent
under
this
subpart,
the
applicant
will
carry
out
the
provisions
of
the
Act
and
the
regulations
in
this
part.
Accreditation
will
not
be
approved
until
this
statement
is
signed
and
returned
to
the
Administrator.
The
statement
of
agreement
will
include
the
applicant's
agreement
to
accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
section
205.500
and
the
applicant's
agreement
to
refrain
from
making
false
or
misleading
claims
about
its
accreditation
status,
the
USDA
accreditation
program,
or
the
nature
or
qualities
of
products
labeled
as
organically
produced.
Further,
the
statement
will
include
the
applicant's
agreement
to
pay
and
submit
the
fees
charged
by
AMS
and
to
comply
with,
implement,
and
carry
out
any
other
terms
and
conditions
determined
by
the
Administrator
to
be
necessary.
Applicants
are
also
required
to
affirm
through
this
statement
of
agreement
that
they
will:
(
1)
conduct
an
annual
performance
evaluation
of
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
implement
measures
to
correct
any
deficiencies
in
certification
services;
and
(
2)
have
an
annual
program
review
conducted
of
their
certification
activities
by
their
staff,
an
outside
auditor,
or
a
consultant
who
has
expertise
to
conduct
such
reviews
and
implement
measures
to
correct
any
noncompliances
with
the
Act
and
the
regulations
in
this
part
that
are
identified
in
the
evaluation.
A
private
entity
certifying
agent
must
additionally
agree
to
hold
the
Secretary
harmless
for
any
failure
on
the
agent's
part
to
carry
out
the
provisions
of
the
Act
and
regulations.
A
private
entity
certifying
agent's
statement
will
also
include
an
agreement
to
furnish
reasonable
security
for
195
the
purpose
of
protecting
the
rights
of
operations
certified
by
such
certifying
agent.
Such
security
will
be
in
an
amount
and
according
to
such
terms
as
the
Administrator
may
by
regulation
prescribe.
A
private
entity
certifying
agent
must
agree
to
transfer
all
records
or
copies
of
records
concerning
its
certification
activities
to
the
Administrator
if
it
dissolves
or
loses
its
accreditation.
This
requirement
for
the
transfer
of
records
does
not
apply
to
a
merger,
sale,
or
other
transfer
of
ownership
of
a
certifying
agent.
A
private
entity
certifying
agent
must
also
agree
to
make
such
records
available
to
any
applicable
SOP's
governing
State
official.
Granting
Accreditation.
Upon
receiving
all
the
required
information,
including
the
statement
of
agreement,
and
the
required
fee,
the
Administrator
will
determine
if
the
applicant
meets
the
requirements
for
accreditation.
The
Administrator's
determination
will
be
based
on
a
review
of
the
information
submitted
and,
if
necessary,
a
review
of
the
information
obtained
from
a
site
evaluation.
The
Administrator
will
notify
the
applicant
of
the
granting
of
accreditation
in
writing.
The
notice
of
accreditation
will
state
the
area(
s)
for
which
accreditation
is
given,
the
effective
date
of
the
accreditation,
any
terms
or
conditions
for
the
correction
of
minor
noncompliances,
and,
for
a
private
entity
certifying
agent,
the
amount
and
type
of
security
that
must
be
established.
Certifying
agents
who
apply
for
accreditation
and
do
not
meet
the
requirements
for
accreditation
will
be
provided
with
a
notification
of
noncompliance
which
will
describe
each
noncompliance,
the
facts
on
which
the
notification
is
based,
and
the
date
by
which
the
applicant
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
If
the
applicant
is
successful
in
its
rebuttal
or
provides
acceptable
evidence
demonstrating
correction
of
the
noncompliances,
the
NOP
Program
Manager
196
will
send
the
applicant
a
written
notification
of
noncompliance
resolution
and
proceed
with
further
processing
of
the
application.
If
the
applicant
fails
to
correct
the
noncompliances,
fails
to
report
the
corrections
by
the
date
specified
in
the
notification
of
noncompliance,
fails
to
file
a
rebuttal
by
the
date
specified
in
the
notification
of
noncompliance,
or
is
unsuccessful
in
its
rebuttal,
the
Program
Manager
will
issue
a
written
notification
of
accreditation
denial
to
the
applicant.
An
applicant
who
has
received
written
notification
of
accreditation
denial
may
apply
for
accreditation
again
at
any
time
or
file
an
appeal
of
the
denial
of
accreditation
with
the
Administrator
by
the
date
specified
in
the
notification
of
accreditation
denial.
Once
accredited,
a
certifying
agent
may
establish
a
seal,
logo,
or
other
identifying
mark
to
be
used
by
certified
production
and
handling
operations.
However,
the
certifying
agent
may
not
require
use
of
its
seal,
logo,
or
other
identifying
mark
on
any
product
sold,
labeled,
or
represented
as
organically
produced
as
a
condition
of
certification.
The
certifying
agent
also
may
not
require
compliance
with
any
production
or
handling
practices
other
than
those
provided
for
in
the
Act
and
regulations
as
a
condition
for
use
of
its
identifying
mark.
However,
certifying
agents
certifying
production
or
handling
operations
within
a
State
with
more
restrictive
requirements,
approved
by
the
Administrator,
shall
require
compliance
with
such
requirements
as
a
condition
of
use
of
their
identifying
mark
by
such
operations.
Site
Evaluations.
One
or
more
representatives
of
the
Administrator
will
perform
site
evaluations
for
each
certifying
agent
in
order
to
examine
the
certifying
agent's
operations
and
to
evaluate
compliance
with
the
Act
and
regulations.
Site
evaluations
will
include
an
on
site
review
of
the
certifying
agent's
certification
procedures,
decisions,
facilities,
administrative
and
management
systems,
and
197
production
or
handling
operations
certified
by
the
certifying
agent.
A
site
evaluation
of
an
accreditation
applicant
will
be
conducted
before
or
within
a
reasonable
time
after
issuance
of
the
applicant's
notification
of
accreditation.
Certifying
agents
will
be
billed
for
each
site
evaluation
conducted
in
association
with
an
initial
accreditation,
amendments
to
an
accreditation,
and
renewals
of
accreditation.
Certifying
agents
will
not
be
billed
by
USDA
for
USDA
initiated
site
evaluations
conducted
to
determine
compliance
with
the
Act
and
regulations.
As
noted
above,
a
certifying
agent
may
be
accredited
prior
to
a
site
evaluation.
If
the
Program
Manager
finds,
following
the
site
evaluation,
that
an
accredited
certifying
agent
is
not
in
compliance
with
the
Act
or
regulations,
the
Program
Manager
will
issue
the
certifying
agent
a
written
notification
of
noncompliance.
If
the
certifying
agent
fails
to
correct
the
noncompliances,
report
the
corrections
by
the
date
specified
in
the
notification
of
noncompliance,
or
file
a
rebuttal
by
the
date
specified
in
the
notification
of
noncompliance,
the
Administrator
will
begin
proceedings
to
suspend
or
revoke
the
accreditation.
A
certifying
agent
that
has
had
its
accreditation
suspended
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
accreditation.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
regulations.
A
certifying
agent
whose
accreditation
is
revoked
will
be
ineligible
for
accreditation
for
a
period
of
not
less
than
3
years
following
the
date
of
such
determination.
Peer
Review
Panels.
The
Administrator
shall
establish
a
peer
review
panel
pursuant
to
the
Federal
Advisory
Committee
Act
(
FACA)
(
5
U.
S.
C.
App.
2
et
seq.).
The
peer
review
panel
shall
be
composed
of
3
ISO/
IEC
Guide
61
is
available
for
viewing
at
USDA
AMS,
Transportation
and
Marketing
Programs,
Room
2945
South
Building,
14th
and
Independence
Ave.,
SW,
Washington,
DC,
from
9:
00
a.
m.
to
4:
00
p.
m.,
Monday
through
Friday
(
except
official
Federal
holidays).
A
copy
may
be
obtained
from
the
American
National
Standards
Institute,
11
West
42d
Street,
New
York,
NY
10036;
Website:
www.
ansi.
org;
E
mail:
ansionline@
ansi.
org;
Telephone:
212
642
4900;
Facsimile:
212
398
0023.
198
not
fewer
than
three
members
who
shall
annually
evaluate
the
NOP's
adherence
to
the
accreditation
procedures
in
subpart
F
of
these
regulations
and
ISO/
IEC
Guide
613,
General
requirements
for
assessment
and
accreditation
of
certification/
registration
bodies,
and
the
NOP's
accreditation
decisions.
This
will
be
accomplished
through
the
review
of:
(
1)
accreditation
procedures,
(
2)
document
review
and
site
evaluation
reports,
and
(
3)
accreditation
decision
documents
or
documentation.
The
peer
review
panel
shall
report
its
finding,
in
writing,
to
the
NOP
Program
Manager.
Continuing
Accreditation.
An
accredited
certifying
agent
must
submit
annually
to
the
Administrator,
on
or
before
the
anniversary
date
of
the
issuance
of
the
notification
of
accreditation,
the
following
reports
and
fees:
(
1)
a
complete
and
accurate
update
of
its
business
information,
including
its
fees,
and
information
evidencing
its
expertise
in
organic
production
or
handling
and
its
ability
to
comply
with
these
regulations;
(
2)
information
supporting
any
changes
requested
in
the
areas
of
accreditation;
(
3)
a
description
of
measures
implemented
in
the
previous
year
and
any
measures
to
be
implemented
in
the
coming
year
to
satisfy
any
terms
and
conditions
specified
in
the
most
recent
notification
of
accreditation
or
notice
of
renewal
of
accreditation;
(
4)
the
results
of
the
most
recent
performance
evaluations
and
annual
program
review
and
a
description
of
adjustments
to
the
certifying
agent's
operation
and
procedures
implemented
or
to
be
implemented
in
response
to
the
performance
199
evaluations
and
program
review;
and
(
5)
the
required
AMS
fees.
Certifying
agents
will
keep
the
Administrator
informed
of
their
certification
activities
by
providing
the
Administrator
with
a
copy
of:
(
1)
any
notice
of
denial
of
certification,
notification
of
noncompliance,
notification
of
noncompliance
correction,
notification
of
proposed
suspension
or
revocation,
and
notification
of
suspension
or
revocation
issued
simultaneously
with
its
issuance
and
(
2)
a
list,
on
January
2
of
each
year,
including
the
name,
address,
and
telephone
number
of
each
operation
granted
certification
during
the
preceding
year.
One
or
more
site
evaluations
will
occur
during
the
5
year
period
of
accreditation
to
determine
whether
an
accredited
certifying
agent
is
complying
with
the
Act
and
regulations.
USDA
will
establish
an
accredited
certifying
agent
compliance
monitoring
program,
which
will
involve
no
less
than
one
randomly
selected
site
evaluation
of
each
certifying
agent
during
its
5
year
period
of
accreditation.
Larger
and
more
diverse
operations,
operations
with
clients
marketing
their
products
internationally,
and
operations
with
a
history
of
problems
should
expect
more
frequent
site
evaluations
by
USDA.
Operations
with
clients
marketing
their
products
internationally
will
be
annually
site
evaluated
to
meet
the
ISO
Guide
61
requirement
for
periodic
surveillance
of
accredited
certifying
agents.
USDA
may
also
conduct
site
evaluations
during
investigations
of
alleged
or
suspected
violations
of
the
Act
or
regulations
and
in
followup
to
such
investigations.
Such
investigations
will
generally
be
the
result
of
complaints
filed
with
the
Administrator
alleging
violations
by
the
certifying
agent.
Compliance
site
evaluations
may
be
announced
or
unannounced
at
the
discretion
of
the
Administrator.
Certifying
agents
will
not
be
billed
by
USDA
for
USDA
initiated
site
evaluations
conducted
to
determine
compliance
with
the
Act
and
regulations.
200
An
accredited
certifying
agent
must
provide
sufficient
information
to
persons
seeking
certification
to
enable
them
to
comply
with
the
applicable
requirements
of
the
Act
and
these
regulations.
The
certifying
agent
must
maintain
strict
confidentiality
with
respect
to
its
clients
and
not
disclose
to
third
parties
(
with
the
exception
of
the
Secretary
or
the
applicable
SOP's
governing
State
official
or
their
authorized
representatives)
any
business
related
information
concerning
any
client
obtained
while
implementing
these
regulations
except
as
authorized
by
regulation.
A
certifying
agent
must
make
the
following
information
available
to
the
public:
(
1)
certification
certificates
issued
during
the
current
and
3
preceding
calender
years;
(
2)
a
list
of
producers
and
handlers
whose
operations
it
has
certified,
including
for
each
the
name
of
the
operation,
type(
s)
of
operation,
products
produced,
and
the
effective
date
of
the
certification,
during
the
current
and
3
preceding
calender
years;
and
(
3)
the
results
of
laboratory
analyses
for
residues
of
pesticides
and
other
prohibited
substances
conducted
during
the
current
and
3
preceding
calender
years.
A
certifying
agent
may
make
other
business
information
available
to
the
public
if
permitted
in
writing
by
the
producer
or
handler.
This
information
will
be
made
available
to
the
public
at
the
public's
expense.
An
accredited
certifying
agent
must
maintain
records
according
to
the
following
schedule:
(
1)
records
obtained
from
applicants
for
certification
and
certified
operations
must
be
maintained
for
not
less
than
5
years
beyond
their
receipt;
(
2)
records
created
by
the
certifying
agent
regarding
applicants
for
certification
and
certified
operations
must
be
maintained
for
not
less
than
10
years
beyond
their
creation;
and
(
3)
records
created
or
received
by
the
certifying
agent
pursuant
to
the
accreditation
requirements,
excluding
any
records
covered
by
the
10
year
requirement,
must
be
maintained
for
not
less
than
5
years
beyond
their
creation
or
receipt.
Examples
of
records
201
obtained
from
applicants
for
certification
and
certified
operations
include
organic
production
system
plans,
organic
handling
system
plans,
application
documents,
and
any
documents
submitted
to
the
certifying
agent
by
the
applicant/
certified
operation.
Examples
of
records
created
by
the
certifying
agent
regarding
applicants
for
certification
and
certified
operations
include
certification
certificates,
notices
of
denial
of
certification,
notification
of
noncompliance,
notification
of
noncompliance
correction,
notification
of
proposed
suspension
or
revocation,
notification
of
suspension
or
revocation,
correspondence
with
applicants
and
certified
operations,
on
site
inspection
reports,
documents
concerning
residue
testing,
and
internal
working
papers
and
memorandums
concerning
applicants
and
certified
operations.
Examples
of
records
created
or
received
by
the
certifying
agent
pursuant
to
the
accreditation
requirements
include
operations
manuals;
policies
and
procedures
documents
(
personnel,
administrative);
training
records;
annual
performance
evaluations
and
supporting
documents;
conflict
of
interest
disclosure
reports
and
supporting
documents;
annual
program
review
working
papers,
memorandums,
letters,
and
reports;
fee
schedules;
annual
reports
of
operations
granted
certification;
application
materials
submitted
to
the
NOP;
correspondence
received
from
and
sent
to
USDA;
and
annual
reports
to
the
Administrator.
The
certifying
agent
must
make
all
records
available
for
inspection
and
copying
during
normal
business
hours
by
authorized
representatives
of
the
Secretary
and
the
applicable
SOP's
governing
State
official.
In
the
event
that
the
certifying
agent
dissolves
or
loses
its
accreditation,
it
must
transfer
to
the
Administrator
and
make
available
to
any
applicable
SOP's
governing
State
official
all
records
or
copies
of
records
concerning
its
certification
activities.
This
requirement
for
the
transfer
of
records
does
not
apply
to
a
merger,
sale,
or
other
transfer
of
ownership
of
a
202
certifying
agent.
Certifying
agents
are
also
required
to
prevent
conflicts
of
interest
and
to
require
the
completion
of
an
annual
conflict
of
interest
disclosure
report
by
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
all
parties
responsibly
connected
to
the
certifying
agent.
Coverage
of
the
conflict
of
interest
provisions
extends
to
immediate
family
members
of
persons
required
to
complete
an
annual
conflict
of
interest
disclosure
report.
A
certifying
agent
may
not
certify
a
production
or
handling
operation
if
the
certifying
agent
or
a
responsibly
connected
party
of
such
certifying
agent
has
or
has
held
a
commercial
interest
in
the
production
or
handling
operation,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification.
A
certifying
agent
may
certify
a
production
or
handling
operation
if
any
employee,
inspector,
contractor,
or
other
personnel
of
the
certifying
agent
has
or
has
held
a
commercial
interest,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification.
However,
such
persons
must
be
excluded
from
work,
discussions,
and
decisions
in
all
stages
of
the
certification
process
and
the
monitoring
of
the
entity
in
which
they
have
or
have
held
a
commercial
interest.
The
acceptance
of
payment,
gifts,
or
favors
of
any
kind,
other
than
prescribed
fees,
from
any
business
inspected
is
prohibited.
However,
a
certifying
agent
that
is
a
not
for
profit
organization
with
an
Internal
Revenue
Code
tax
exemption
or,
in
the
case
of
a
foreign
certifying
agent,
a
comparable
recognition
of
not
for
profit
status
from
its
government,
may
accept
voluntary
labor
from
certified
operations.
Certifying
agents
are
also
prohibited
from
203
giving
advice
or
providing
consultancy
services
to
certification
applicants
or
certified
operations
for
overcoming
identified
barriers
to
certification.
To
further
ensure
against
conflict
of
interest,
the
certifying
agent
must
ensure
that
the
decision
to
certify
an
operation
is
made
by
a
person
different
from
the
person
who
conducted
the
on
site
inspection.
The
certifying
agent
must
reconsider
a
certified
operation's
application
for
certification
when
the
certifying
agent
determines,
within
12
months
of
certifying
the
operation,
that
a
person
participating
in
the
certification
process
and
covered
under
section
205.501(
c)(
11)(
ii)
has
or
had
a
conflict
of
interest
involving
the
applicant.
If
necessary,
the
certifying
agent
must
perform
a
new
on
site
inspection.
All
costs
associated
with
a
reconsideration
of
an
application,
including
onsite
inspection
costs,
shall
be
borne
by
the
certifying
agent.
When
it
is
determined
that,
at
the
time
of
certification,
a
conflict
of
interest
existed
between
the
applicant
and
a
person
covered
under
section
205.501(
c)(
11)(
i),
the
certifying
agent
must
refer
the
certified
operation
to
a
different
accredited
certifying
agent
for
recertification.
The
certifying
agent
must
also
reimburse
the
operation
for
the
cost
of
the
recertification.
No
accredited
certifying
agent
may
exclude
from
participation
in
or
deny
the
benefits
of
the
NOP
to
any
person
due
to
discrimination
because
of
race,
color,
national
origin,
gender,
religion,
age,
disability,
political
beliefs,
sexual
orientation,
or
marital
or
family
status.
Accredited
certifying
agents
must
accept
all
production
and
handling
applications
that
fall
within
their
areas
of
accreditation
and
certify
all
qualified
applicants,
to
the
extent
of
their
administrative
capacity
to
do
so,
without
regard
to
size
or
membership
in
any
association
or
group.
Renewal
of
Accreditation.
To
avoid
a
lapse
in
accreditation,
certifying
agents
must
apply
for
renewal
of
accreditation
204
at
least
6
months
prior
to
the
fifth
anniversary
of
issuance
of
the
notification
of
accreditation
and
each
subsequent
renewal
of
accreditation.
The
Administrator
will
send
the
certifying
agent
a
notice
of
pending
expiration
of
accreditation
approximately
1
year
prior
to
the
scheduled
date
of
expiration.
The
accreditation
of
certifying
agents
who
make
timely
application
for
renewal
of
accreditation
will
not
expire
during
the
renewal
process.
The
accreditation
of
certifying
agents
who
fail
to
make
timely
application
for
renewal
of
accreditation
will
expire
as
scheduled
unless
renewed
prior
to
the
scheduled
expiration
date.
Certifying
agents
with
an
expired
accreditation
must
not
perform
certification
activities
under
the
Act
and
these
regulations.
Following
receipt
of
the
certifying
agent's
annual
report
and
fees
and
the
results
of
a
site
evaluation,
the
Administrator
will
determine
whether
the
certifying
agent
remains
in
compliance
with
the
Act
and
regulations
and
should
have
its
accreditation
renewed.
Upon
a
determination
that
the
certifying
agent
is
in
compliance
with
the
Act
and
regulations,
the
Administrator
will
issue
a
notice
of
renewal
of
accreditation.
The
notice
of
renewal
will
specify
any
terms
and
conditions
that
must
be
addressed
by
the
certifying
agent
and
the
time
within
which
those
terms
and
conditions
must
be
satisfied.
Renewal
of
accreditation
will
be
for
5
years.
Upon
a
determination
that
the
certifying
agent
is
not
in
compliance
with
the
Act
and
regulations,
the
Administrator
will
initiate
proceedings
to
suspend
or
revoke
the
certifying
agent's
accreditation.
Any
certifying
agent
subject
to
a
proceeding
to
suspend
or
revoke
its
accreditation
may
continue
to
perform
certification
activities
pending
resolution
of
the
proceedings
to
suspend
or
revoke
the
accreditation.
Amending
accreditation.
An
accredited
certifying
agent
may
request
amendment
to
its
accreditation
at
any
time.
205
The
application
for
amendment
must
be
sent
to
the
Administrator
and
must
contain
information
applicable
to
the
requested
change
in
accreditation,
a
complete
and
accurate
update
of
the
certifying
agent's
application
information
and
evidence
of
expertise
and
ability,
and
the
applicable
fees.
Accreditation
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Advice
and
Consultancy
Services.
We
have
amended
section
205.501(
a)(
11)(
iv)
to
clarify
that
certifying
agents
are
to
prevent
conflicts
of
interest
by
not
giving
advice
or
providing
consultancy
services
to
applicants
for
certification
and
certified
operations
for
overcoming
identified
barriers
to
certification.
This
amendment
has
been
made
in
response
to
a
commenter
who
stated
that
the
provisions
of
section
205.501(
a)(
11)(
iv),
as
proposed,
seemed
to
preclude
the
providing
of
advice
and
educational
workshops
and
training
programs.
It
was
not
our
intent
to
prevent
certifying
agents
from
sponsoring
in
house
publications,
conferences,
workshops,
informational
meetings,
and
field
days
for
which
participation
is
voluntary
and
open
to
the
general
public.
The
provisions
as
originally
proposed
and
as
amended
are
intended
to
prohibit
certifying
agents
from
telling
applicants
and
certified
operations
how
to
overcome
barriers
to
certification
identified
by
the
certifying
agent.
It
would
be
a
conflict
of
interest
for
a
certifying
agent
to
tell
an
operation
how
to
comply
inasmuch
as
the
certifying
agents
impartiality
and
objectivity
will
be
lost
should
the
advice
or
consultancy
prove
ineffective
in
resolving
the
noncompliance.
The
provisions
of
section
205.501(
a)(
11)(
iv)
are
consistent
with
ISO
Guide
61.
To
further
clarify
this
issue,
we
have
also
amended
section
205.501(
a)(
16)
by
adding
"
for
certification
activities"
after
the
word,
"
charges."
206
(
2)
Conflicts
of
Interest
Persons
Covered.
We
have
amended
section
205.501(
a)(
11)(
v)
to
limit
the
completion
of
annual
conflict
of
interest
disclosure
reports
to
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
all
parties
responsibly
connected
to
the
certifying
agent.
A
commenter
recommended
amending
section
205.501(
a)(
11)(
v)
to
have
it
apply
to
all
persons
with
direct
oversight
of
or
participation
in
the
certification
program
rather
than
all
persons
identified
in
section
205.504(
a)(
2).
Section
205.504(
a)(
2)
includes
all
personnel
to
be
used
in
the
certification
operation,
including
administrative
staff,
certification
inspectors,
members
of
any
certification
review
and
evaluation
committees,
contractors,
and
all
parties
responsibly
connected
to
the
certifying
agent.
We
have
decided
that
completion
of
annual
conflict
of
interest
disclosure
reports
by
persons
not
involved
in
the
certification
process
or
responsibly
connected
to
the
certifying
agent
is
unnecessary.
As
amended,
section
205.501(
a)(
11)(
v)
includes
all
persons
with
the
opportunity
to
influence
the
outcome
of
a
decision
on
whether
to
certify
a
specific
production
or
handling
operation.
Completed
conflict
of
interest
disclosure
reports
will
be
used
by
certifying
agents
to
identify
persons
with
interests
in
applicants
for
certification
and
certified
operations
that
may
affect
the
impartiality
of
such
persons.
(
3)
Reporting
Certifications
Granted.
We
have
amended
section
205.501(
a)(
15)(
ii)
(
formerly
section
205.501(
a)(
14)(
ii))
by
replacing
"
a
quarterly
calendar
basis"
with
"
January
2
of
each
year."
A
commenter
stated
that
the
requirement
that
certifying
agents
report
certifications
that
they
have
granted
on
a
quarterly
basis
to
the
Administrator
is
burdensome.
The
commenter
requested
that
section
205.501(
a)(
14)(
ii)
be
amended
to
require
a
midyear
or
end
year
reporting.
207
Section
205.501(
a)(
15)(
ii)
now
requires
the
certifying
agent
to
submit
a
list,
on
January
2
of
each
year,
including
the
name,
address,
and
telephone
number
of
each
operation
granted
certification
during
the
preceding
year.
Certifying
agents
can
fulfill
this
requirement
by
providing
an
up
todate
copy
of
the
list
of
producers
and
handlers
required
to
be
made
available
to
the
public
by
section
205.504(
b)(
5)(
ii).
(
4)
Notification
of
Inspector.
We
have
added
a
new
section
205.501(
a)(
18)
requiring
the
certifying
agent
to
provide
the
inspector,
prior
to
each
on
site
inspection,
with
previous
on
site
inspection
reports
and
to
notify
the
inspector
of
the
certifying
agent's
decision
relative
to
granting
or
denying
certification
to
the
applicant
site
inspected
by
the
inspector.
Such
notification
must
identify
any
requirements
for
the
correction
of
minor
noncompliances.
We
have
made
this
addition
because
we
agree
with
the
commenter
that
such
information
should
be
provided
to
the
inspector
and
because
the
requirements
are
consistent
with
ISO
Guide
61.
(
5)
Acceptance
of
Applications.
We
have
added
a
new
section
205.501(
a)(
19)
requiring
the
certifying
agent
to
accept
all
production
or
handling
applications
for
certification
that
fall
within
the
certifying
agent's
areas
of
accreditation
and
to
certify
all
qualified
applicants,
to
the
extent
of
their
administrative
capacity
to
do
so,
without
regard
to
size
or
membership
in
any
association
or
group.
We
have
made
this
addition
because
we
agree
with
the
many
commenters
who
requested
that
certifying
agents
be
required
to
certify
all
qualified
applicants.
We
recognize,
however,
that
there
may
be
times
when
the
certifying
agent's
workload
or
the
size
of
its
client
base
might
make
it
necessary
for
the
certifying
agent
to
decline
acceptance
of
an
application
for
certification
within
its
area
of
accreditation.
This
is
why
we
have
included
the
proviso,
"
to
the
extent
of
their
administrative
capacity
to
do
so."
We
have
included
"
without
regard
to
size
or
208
membership
in
any
association
or
group"
to
address
commenter
concerns
about
discrimination
in
the
providing
of
certification
services.
This
addition
is
consistent
with
ISO
Guide
61.
(
6)
Ability
to
Comply
with
SOP.
We
have
added
a
new
section
205.501(
a)(
20)
requiring
the
certifying
agent
to
demonstrate
its
ability
to
comply
with
an
SOP,
to
certify
organic
production
or
handling
operations
within
the
State.
This
change,
as
pointed
out
by
a
State
commenter,
is
necessary
to
clarify
that
a
certifying
agent
must
be
able
to
comply
with
an
SOP
to
certify
production
or
handling
operations
within
that
State.
(
7)
Performance
Evaluation.
We
have
amended
section
205.501(
a)(
6)
by
replacing
"
appraisal"
with
"
evaluation"
and
expanding
the
coverage
from
inspectors
to
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions.
Corresponding
amendments
have
also
been
made
to
section
205.510(
a)(
4).
Further,
we
have
amended
section
205.501(
a)(
6)
to
clarify
that
the
deficiencies
to
be
corrected
are
deficiencies
in
certification
services.
We
changed
"
appraisal"
to
"
evaluation"
at
the
request
of
a
State
commenter
who
pointed
out
that
State
inspectors
generally
perform
other
duties
in
addition
to
the
inspection
of
organic
production
or
handling
operations.
We
concur
that
this
change
will
help
differentiate
between
the
State's
employee
performance
appraisal
for
all
duties
as
a
State
employee
and
the
evaluation
of
certification
services
provided
under
the
NOP.
Expanding
the
coverage
from
inspectors
to
all
persons
involved
in
the
certification
process
makes
the
regulation
consistent
with
ISO
Guide
61.
Sections
205.505(
a)(
3)
and
205.510(
a)(
4)
have
been
amended
to
make
their
language
consistent
with
the
changes
to
section
205.501(
a)(
6).
(
8)
Annual
Program
Evaluation.
We
have
amended
section
205.501(
a)(
7)
by
replacing
209
"
evaluation"
with
"
review"
and
by
replacing
"
evaluations"
with
"
reviews."
A
commenter
suggested
amending
section
205.501(
a)(
7)
by
replacing
the
requirement
of
an
annual
program
evaluation
with
an
annual
review
of
program
activities.
We
agree
that
"
review"
is
a
more
appropriate
term
than
"
evaluate"
since
to
review
is
to
examine,
report,
and
correct
while
evaluate
is
more
in
the
nature
of
assessing
value.
We
have
not,
however,
accepted
that
portion
of
the
commenter's
suggestion
which
would
have
removed
the
reference
to
the
review
being
conducted
by
the
certifying
agent's
staff,
an
outside
auditor,
or
a
consultant
who
has
the
expertise
to
conduct
such
reviews.
We
have
not
accepted
this
suggestion
because
the
comment
would
have
limited
the
review
to
being
conducted
by
the
certifying
agent
with
no
requirement
that
the
certifying
agent
be
qualified
to
conduct
the
review.
Another
commenter
wanted
to
change
the
requirement
to
an
annual
assessment
of
the
quality
of
the
inspection
system.
We
have
not
accepted
this
suggestion
because
it
can
be
interpreted
as
narrowing
the
scope
of
the
review
from
the
full
certification
program
to
just
the
inspection
component
of
the
certification
program.
This
commenter
would
also
have
limited
the
review
to
being
conducted
by
the
certifying
agent
with
no
requirement
that
the
certifying
agent
be
qualified
to
conduct
the
review.
We
believe
that
narrowing
the
scope
of
the
review
would
be
inconsistent
with
ISO
Guide
65.
It
is
also
inconsistent
with
our
intent
that
the
entire
certification
program
be
reviewed
annually.
We
also
received
a
comment
stating
that
it
is
a
violation
of
ISO
Guide
65
to
have
staff
perform
an
internal
review.
We
disagree
with
this
commenter.
ISO
Guide
65
provides
that
the
certification
body
shall
conduct
periodic
internal
audits
covering
all
procedures
in
a
planned
and
systematic
manner.
Sections
205.505(
a)(
4)
and
205.510(
a)(
4)
have
been
amended
to
make
their
language
consistent
with
the
changes
to
section
205.501(
a)(
7).
210
(
9)
Certification
Decision.
We
have
added
a
new
section
205.501(
a)(
11)(
vi)
that
requires
the
certifying
agent
to
ensure
that
the
decision
to
certify
an
operation
is
made
by
a
person
different
from
the
person
who
carried
out
the
on
site
inspection.
Commenters
requested
that
this
provision
be
added
to
the
requirement
that
certifying
agents
prevent
conflicts
of
interest.
We
concur
with
the
request
because
it
clearly
separates
the
act
of
inspecting
an
organic
operation
from
the
act
of
granting
certification.
This
addition
is
also
consistent
with
ISO
Guide
65,
section
4.2(
f),
which
requires
that
the
certification
body
ensure
that
each
decision
on
certification
is
taken
by
a
person
different
from
those
who
carried
out
the
evaluation.
(
10)
Determination
of
Conflict
of
Interest.
We
have
added
a
new
section
205.501(
a)(
12)
addressing
situations
where
a
conflict
of
interest
present
at
the
time
of
certification
is
identified
after
certification.
Several
commenters
requested
the
addition
of
a
provision
that,
if
a
conflict
of
interest
is
identified
within
12
months
of
certification,
the
certifying
agent
must
reconsider
the
application
and
may
reinspect
the
operation
if
necessary.
We
agree
with
the
commenters
that
the
issue
of
conflicts
of
interest
present
at
the
time
of
certification
but
identified
after
certification
need
to
be
addressed
in
the
regulations.
Accordingly,
we
have
provided
that
an
entity
accredited
as
a
certifying
agent
must
reconsider
a
certified
operation's
application
for
certification
and,
if
necessary,
perform
a
new
on
site
inspection
when
it
is
determined,
within
12
months
of
certifying
the
operation,
that
any
person
participating
in
the
certification
process
and
covered
under
section
205.501(
a)(
11)(
ii)
has
or
had
a
conflict
of
interest
involving
the
applicant.
Because
the
certifying
agent
is
responsible
for
preventing
conflicts
of
interest,
all
costs
associated
with
a
reconsideration
of
application,
including
onsite
inspection
costs,
must
be
borne
by
the
certifying
agent.
Further,
a
certifying
agent
must
refer
a
certified
operation
to
a
different
accredited
certifying
agent
for
211
recertification
when
it
is
determined
that
any
person
covered
under
section
205.501(
a)(
11)(
i)
at
the
time
of
certification
of
the
applicant
had
a
conflict
of
interest
involving
the
applicant.
Because
the
certifying
agent
is
responsible
for
preventing
conflicts
of
interest,
the
certifying
agent
must
reimburse
the
operation
for
the
cost
of
the
recertification.
Sections
205.501(
a)(
12)
through
205.501(
a)(
17)
have
been
redesignated
as
sections
205.501(
a)(
13)
through
205.501(
a)(
18),
respectively.
(
11)
Financial
Security.
We
published
an
advanced
notice
of
proposed
rulemaking
and
request
for
comments
regarding
financial
security
in
the
August
9,
2000,
issue
of
the
Federal
Register.
We
issued
a
news
release
announcing
the
Federal
Register
publication
on
August
9,
2000.
Numerous
commenters
expressed
concern
about
reasonable
security
relative
to
its
amount
and
impact
on
small
certifying
agents.
A
few
commenters
requested
a
definition
for
reasonable
security.
Others
stated
that
the
formula
for
determining
the
amount
of
security
should
be
published
in
the
Federal
Register.
The
March
13,
2000,
NOP
proposed
rule
stated
that
the
amount
and
terms
of
reasonable
financial
security
would
be
the
subject
of
additional
rulemaking.
The
August
9,
2000,
advanced
notice
of
proposed
rulemaking
solicited
comments
on
all
aspects
of
reasonable
security
and
protection
of
the
rights
of
program
participants.
We
requested
comments
from
any
interested
parties,
including
producers
and
handlers
of
organic
agricultural
products,
certifying
agents,
importers
and
exporters,
the
international
community,
and
any
other
person
or
group.
Six
questions
were
provided
to
facilitate
public
comment
on
the
advanced
notice
of
proposed
rulemaking.
Comments
addressing
other
relevant
issues
were
also
invited.
The
questions
posed
in
the
advanced
notice
of
proposed
rulemaking
were:
(
1)
From
what
risks
or
events
might
a
customer
of
a
private
certifying
agent
require
212
reasonable
security?
(
2)
What
are
the
financial
instrument(
s)
that
could
provide
the
reasonable
security
to
protect
customers
from
these
events?
(
3)
What
dollar
amounts
of
security
would
give
reasonable
protection
to
a
customer
of
a
private
certifying
agent?
(
4)
What
are
the
financial
costs
to
private
certifiers,
especially
small
certifiers,
of
providing
reasonable
security?
(
5)
Do
the
risks
or
events
provided
in
response
to
question
#
1
necessarily
require
financial
compensation?
(
6)
Are
there
situations
in
which
reasonable
security
is
not
needed?
Following
analysis
of
the
comments
received,
we
will
publish
a
proposed
rule
on
reasonable
security
in
the
Federal
Register.
The
public
will
again
be
invited
to
submit
comments.
The
proposed
rule
will
include
the
proposed
regulation,
an
explanation
of
the
decision
making
process,
an
analysis
of
the
costs
and
benefits,
the
effects
on
small
businesses,
and
an
estimate
of
the
paperwork
burden
imposed
by
the
regulation.
(
12)
Use
of
Identifying
Mark.
We
have
amended
section
205.501(
b)(
2)
to
clarify
that
all
certifying
agents
(
private
and
State)
certifying
production
or
handling
operations
within
a
State
with
more
restrictive
requirements,
approved
by
the
Secretary,
shall
require
compliance
with
such
requirements
as
a
condition
of
use
of
their
identifying
mark
by
such
operations.
Numerous
commenters
stated
that
they
wanted
USDA
to
permit
higher
production
standards
by
private
certifying
agents.
See
also
item
17
under
Accreditation
Changes
Requested
But
Not
Made.
This
amendment
is
intended
to
further
clarify
our
position
that
no
certifying
agent
(
State
or
213
private)
may
establish
or
require
compliance
with
its
own
organic
standards.
It
is
an
SOP,
not
a
State
certifying
agent,
that
receives
approval
from
the
Secretary
for
more
restrictive
requirements.
See
also
item
7
under
Accreditation
Clarifications.
(
13)
Transfer
of
Records.
To
address
the
issues
of
a
merger,
sale,
or
other
transfer
of
ownership,
we
have
added
the
following
to
the
end
of
section
205.501(
c)(
3);
"
Provided,
That,
such
transfer
shall
not
apply
to
a
merger,
sale,
or
other
transfer
of
ownership
of
a
certifying
agent."
Commenters
suggested
amending
section
205.501(
c)(
3)
to
provide
for
the
transfer
of
records
accumulated
from
the
time
of
accreditation
to
the
Administrator
or
his
or
her
designee,
another
accredited
certifying
agent,
or
an
SOP's
governing
State
official
in
a
State
where
such
official
exists.
It
was
also
stated
that
this
section
needs
to
take
into
account
a
certifying
agent's
decision
to
merge
or
transfer
accounts
to
another
certifying
agent
in
the
case
of
loss
of
accreditation.
Under
the
NOP,
should
a
certifying
agent
dissolve
or
lose
its
accreditation,
its
certified
operations
will
be
free
to
seek
certification
with
the
accredited
certifying
agent
of
their
choice.
Accordingly,
it
would
be
inappropriate
to
automatically
transfer
an
operation's
records
to
another
certifying
agent
as
requested
by
the
commenters.
However,
in
analyzing
the
comments,
we
realized
that
a
provision
was
needed
for
a
merger,
sale,
or
other
transfer
of
ownership
of
a
certifying
agent;
thus,
the
amendment
to
section
205.501(
c)(
3).
Section
205.505(
b)(
3)
has
been
amended
to
make
its
language
consistent
with
the
changes
to
section
205.501(
c)(
3).
(
14)
Fees
for
Information.
We
have
amended
section
205.504(
b)(
5)
by
inserting
"
including
any
fees
to
be
assessed"
after
the
word,
"
used."
This
change
is
made
in
response
to
the
question
of
whether
fees
may
be
charged
for
making
information
available
to
the
public.
It
is
our
intent
that
certifying
agents
may
charge
reasonable
fees
for
document
search
time,
duplication,
214
and,
when
applicable,
review
costs.
We
anticipate
that
review
costs
will
most
likely
be
incurred
when
the
information
requested
is
located
within
documents
which
may
contain
confidential
business
information.
(
15)
Information
Available
to
the
Public.
We
have
amended
section
205.504(
b)(
5)(
ii)
by
adding
products
produced
to
the
information
to
be
released
to
the
public.
This
addition
responds
in
an
alternate
way
to
commenters
who
wanted
the
information
included
on
certificates
of
organic
operation.
That
request
was
denied;
see
item
4,
Changes
Requested
But
Not
Made,
under
subpart
E,
Certification.
This
addition
is
consistent
with
ISO
Guide
61.
(
16)
Equivalency
of
Certification
Decisions
and
Statement
of
Agreement.
We
have
amended
sections
205.501(
a)(
12)
(
redesignated
as
205.501(
a)(
13))
and
205.505(
a)(
1)
by
deleting
the
words,
"
USDA
accredited"
and
"
as
equivalent
to
its
own,"
and
adding
to
the
end
thereof:
"
accredited
or
accepted
by
USDA
pursuant
to
section
205.500."
We
have
made
this
amendment
to
clarify
that
the
provision
applies
to
certification
decisions
by
domestic
certifying
agents
as
well
as
foreign
certifying
agents
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
There
were
many
comments
in
support
of
section
205.501(
a)(
12)
as
written.
However
some
did
not
agree
that
certifying
agents
should
have
to
recognize
another
agent's
decision
as
equivalent
to
their
own.
These
commenters
want
to
maintain
the
right
and
ability
not
to
use
their
seal
on
a
product
that
does
not
meet
their
standards.
The
most
strongly
voiced
comment
stated:
"
delete
section
205.501(
a)(
12)
and
section
205.505(
a)(
1).
The
requirements
constitute
a
"
taking"
in
violation
of
the
Fifth
Amendment
and
are
unnecessary
to
accomplish
the
goal
of
establishing
a
consistent
standard
and
facilitating
trade."
We
do
not
concur
with
the
commenters
who
want
to
change
sections
205.501(
a)(
12)
and
215
205.505(
a)(
1).
We
also
do
not
agree
with
the
comment
that
sections
205.501(
a)(
12)
and
205.505(
a)(
1)
constitute
a
taking
in
violation
of
the
Fifth
Amendment
and
are
unnecessary
to
accomplish
the
goal
of
establishing
a
consistent
standard
and
facilitating
trade.
We
believe
that,
to
accomplish
the
goal
of
establishing
a
consistent
standard
and
to
facilitate
trade,
it
is
vital
that
an
accredited
certifying
agent
accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
All
domestic
organic
production
and
handling
operations,
unless
exempted
or
excluded
under
section
205.101,
must
be
certified
to
these
national
standards
and,
when
applicable,
any
State
standards
approved
by
the
Secretary.
All
domestic
certified
operations
must
be
certified
by
a
certifying
agent
accredited
by
the
Administrator.
No
USDA
accredited
certifying
agent,
domestic
or
foreign,
may
establish
or
require
compliance
with
its
own
organic
standards.
Certifying
agents
are
not
required
to
have
an
identifying
mark
for
use
under
the
NOP.
However,
if
a
certifying
agent
is
going
to
use
an
identifying
mark
under
the
NOP,
the
use
of
such
mark
must
be
voluntary
and
available
to
all
of
the
certifying
agent's
clients
certified
under
the
NOP.
Accordingly,
we
have
not
changed
the
requirement
that
a
certifying
agent
accept
the
certification
decisions
made
by
another
USDAaccredited
certifying
agent.
We
have,
however,
as
noted
above,
amended
both
sections
to
require
that
USDA
accredited
certifying
agents
accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
(
17)
Granting
Accreditation.
We
have
made
editorial
changes
to
section
205.506
consistent
with
the
suggestion
that
we
replace
"
approval
of
accreditation"
with
"
granting
of
accreditation."
In
the
title
to
section
205.506,
we
have
replaced
"
Approval
of"
with
"
Granting."
In
section
205.506(
a),
we
have
replaced
"
approved"
with
"
granted,"
and
in
section
205.506(
b),
216
we
have
replaced
"
approval"
with
"
the
granting."
We
have
made
these
change
because,
under
the
NOP,
we
grant
accreditation
rather
than
approve
accreditation.
(
18)
Correction
of
Minor
Noncompliances.
We
have
added
a
new
section
205.506(
b)(
3)
providing
that
the
notification
granting
accreditation
will
state
any
terms
and
conditions
for
the
correction
of
minor
noncompliances.
Commenters
requested
the
addition
of
language
to
section
205.506(
b)
which
would
clarify
that
the
Administrator
may
accredit
with
required
corrective
actions
for
minor
noncompliances.
In
the
proposed
rule,
we
addressed
accreditation
subject
to
the
correction
of
minor
noncompliances
at
section
205.510(
a)(
3).
We
agree
with
commenters
that,
for
the
purposes
of
clarity,
this
issue
should
also
be
addressed
in
section
205.506
on
the
granting
of
accreditation.
Accordingly,
we
have
added
new
section
205.506(
b)(
3)
as
noted
above.
We
have
also
retained
the
provisions
of
section
205.510(
a)(
3),
which
requires
certifying
agents
to
annually
report
on
actions
taken
to
satisfy
any
terms
and
conditions
addressed
in
the
most
recent
notification
of
accreditation
or
notice
of
renewal
of
accreditation.
Section
205.506(
b)(
3)
has
been
redesignated
as
section
205.506(
b)(
4).
(
19)
Denial
of
Accreditation.
We
have
amended
section
205.507
to
include
noncompliance
and
resolution
provisions
originally
included
by
cross
reference
to
section
205.665(
a).
This
cross
reference
created
confusion
for
commenters,
regarding
section
205.665'
s
applicability
to
applicants
for
accreditation
because
the
section
does
not
specifically
address
applicants.
Rather
than
specifically
identifying
applicants
within
section
205.665,
we
believe
the
issue
is
best
clarified
by
addressing
noncompliance
and
resolution
within
section
205.507.
As
amended,
section
205.507
now
states
in
paragraph
(
a)
that
the
written
notification
of
noncompliance
must
describe
each
noncompliance,
the
facts
on
which
the
notification
is
based,
217
and
the
date
by
which
the
applicant
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
This
rewrite
of
paragraph
(
a)
also
enabled
us
to
eliminate
paragraph
(
b)
since
its
provisions
are
addressed
in
amended
paragraph
(
a).
The
section
also
provides,
at
new
paragraph
(
b),
that
when
each
noncompliance
has
been
resolved,
the
Program
Manager
will
send
the
applicant
a
written
notification
of
noncompliance
resolution
and
proceed
with
further
processing
of
the
application.
We
have
also
clarified
the
applicant's
appeal
rights
by
adding
"
or
appeal
the
denial
of
accreditation
in
accordance
with
section
205.681
by
the
date
specified
in
the
notification
of
accreditation
denial"
to
the
end
of
paragraph
(
c).
(
20)
Reinstatement
of
Accreditation.
We
have
amended
section
205.507(
d)
by
removing
the
requirement
that
a
certifying
agent
that
has
had
its
accreditation
suspended
reapply
for
accreditation
in
accordance
with
section
205.502.
In
its
place,
we
provide
that
the
certifying
agent
may
request
reinstatement
of
its
accreditation.
Such
request
may
be
submitted
at
any
time
unless
otherwise
stated
in
the
notification
of
suspension.
Amended
section
205.507(
d)
also
provides
that
the
certifying
agent's
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
We
have
made
this
change
because
unlike
revocation,
suspension
does
not
terminate
a
certifying
agent's
accreditation.
Accordingly,
requiring
a
new
application
for
accreditation
is
unnecessary
and
burdensome
on
the
certifying
agent.
This
change
is
consistent
with
changes
to
sections
205.662(
f)
and
205.665(
g)(
1),
which
were
made
based
on
comments
received
on
section
205.662(
f).
(
21)
Ineligible
for
accreditation.
We
have
amended
section
205.507(
d)
by
deleting
218
"
private
entity"
from
the
third
sentence.
The
amended
sentence
provides
that
"
A
certifying
agent
whose
accreditation
is
revoked
will
be
ineligible
for
accreditation
for
a
period
of
not
less
than
3
years
following
the
date
of
such
determination."
Several
commenters
recommended
deletion
of
"
private
entity"
so
that
private
certifying
agents
would
be
regulated
on
an
equivalent
basis
with
State
certifying
agents.
It
is
our
intent
to
regulate
private
and
State
certifying
agents
on
an
equivalent
basis.
Accordingly,
we
made
the
recommended
change.
(
22)
Peer
Review.
We
have
amended
section
205.509.
As
amended,
the
section
requires
that
the
Administrator
establish
a
peer
review
panel
pursuant
to
FACA
(
5
U.
S.
C.
App.
2
et
seq.).
The
peer
review
panel
will
be
composed
of
not
less
than
3
members
who
will
annually
evaluate
the
NOP's
adherence
to
the
accreditation
procedures
in
subpart
F
of
these
regulations
and
ISO/
IEC
Guide
61,
General
requirements
for
assessment
and
accreditation
of
certification/
registration
bodies,
and
the
NOP's
accreditation
decisions.
This
will
be
accomplished
through
the
review
of
accreditation
procedures,
document
review
and
site
evaluation
reports,
and
accreditation
decision
documents
and
documentation.
The
peer
review
panel
will
report
its
finding,
in
writing,
to
the
NOP's
Program
Manager.
We
developed
this
approach
to
peer
review
as
a
means
of
addressing
the
suggestions
of
the
commenters
and
the
need
for
administration
of
an
effective
and
timely
accreditation
program.
Many
commenters
wanted
the
opening
language
in
the
first
sentence
of
section
205.509
changed
from
"
The
Administrator
may"
to
the
"
The
Administrator
shall"
establish
a
peer
review
panel
to
assist
in
evaluating
applicants
for
accreditation,
amendment
to
an
accreditation,
and
renewal
of
accreditation
as
certifying
agents.
One
of
the
most
frequent
comments,
including
a
comment
by
the
NOSB,
was
that
peer
reviewers
should
be
compensated
for
their
time
and
219
expenses.
Many
commenters
believe
also
that
the
peer
review
process
should
be
collaborative.
Some
commenters
who
wanted
this
change
recognized
that
a
collaborative
process
where
confidential
information
was
shared
could
run
into
problems
because
FACA
(
P.
L.
92
463,
5
U.
S.
C.
App.)
meetings
are
open
to
the
public.
They
advised
creating
a
FACA
panel
but
restricting
public
access
during
discussion
of
confidential
business
information
based
on
5
U.
S.
C.
Section
522b(
c)(
4)
of
the
Government
in
the
Sunshine
Act.
As
requested,
amended
section
205.509
requires
the
formation
of
a
peer
review
panel.
Also
as
requested,
peer
reviewers,
who
will
serve
as
a
FACA
committee,
will
be
reimbursed
for
their
travel
and
per
diem
expenses.
The
reviewers
will
also
work
collaboratively.
We
have
not,
however,
provided
for
collaborative
review
of
each
applicant
for
accreditation
by
the
peer
review
panel
because
of
the
administrative
burden
that
an
outside
collaborative
review
process
would
place
on
the
NOP.
Currently,
there
are
36
private
and
13
State
certifying
agencies.
It
is,
therefore,
likely
that
USDA
will
receive
approximately
50
applications
for
accreditation
the
first
year
of
the
program.
Given
the
need
to
make
accreditation
decisions
in
a
timely,
organized
fashion,
it
would
be
infeasible
to
convene
a
panel
of
peers
for
each
applicant
for
accreditation
prior
to
rendering
a
decision
on
accreditation.
However,
as
noted
above,
we
have
provided
that
a
peer
review
panel
will
annually
evaluate
the
NOP's
adherence
to
the
accreditation
procedures
in
subpart
F
of
these
regulations
and
ISO/
IEC
Guide
61,
General
requirements
for
assessment
and
accreditation
of
certification/
registration
bodies,
and
validate
the
NOP's
accreditation
decisions.
We
have
also
amended
current
section
205.510(
c)(
3)
by
removing
the
reference
to
reports
submitted
by
a
peer
review
panel
to
make
that
section
consistent
with
the
rewrite
of
section
205.509.
220
(
23)
Expiration
of
accreditation.
We
have
added
a
new
section
205.510(
c)(
1)
which
provides
that
the
Administrator
shall
send
the
accredited
certifying
agent
a
notice
of
pending
expiration
of
accreditation
approximately
1
year
prior
to
the
scheduled
date
of
expiration.
A
commenter
suggested
USDA
notification
of
certifying
agents
at
least
1
year
prior
to
the
scheduled
expiration
of
accreditation.
We
have
made
the
suggested
change
because
we
believe
notification
about
1
year
prior
to
expiration
will
facilitate
the
timely
receipt
of
applications
for
renewal.
We
have
redesignated
sections
205.510(
c)(
1)
and
205.510(
c)(
2)
as
205.510(
c)(
2)
and
205.510(
c)(
3),
respectively.
(
24)
Amendments
to
Accreditation.
We
have
added
a
new
section
205.510(
f)
to
provide
that
an
amendment
to
an
accreditation
may
be
requested
at
any
time.
The
application
for
amendment
must
be
sent
to
the
Administrator
and
must
contain
information
applicable
to
the
requested
change
in
accreditation.
The
application
for
amendment
must
also
contain
a
complete
and
accurate
update
of
the
information
submitted
in
accordance
with
section
205.503,
Applicant
information;
and
section
205.504,
Evidence
of
expertise
and
ability.
The
applicant
must
also
submit
the
applicable
fees
required
in
section
205.640.
We
have
added
this
new
section
because
we
agree
with
the
commenter
who
expressed
concern
that
the
regulations
were
not
clear
regarding
amendments
to
accreditation.
This
addition
is
consistent
with
section
205.510(
a)(
2)
which
allows
certifying
agents
to
request
amendment
of
their
accreditation
as
part
of
their
annual
report
to
the
Administrator.
Accreditation
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule,
regulations
on
which
we
received
comments
as
follows:
221
(
1)
Accreditation
by
USDA.
A
commenter
stated
that
ISO/
IEC
Guide
61
specifies,
but
the
proposed
rule
did
not
specify,
the
requirements
for
USDA
to
assess
and
accredit
certifying
agents.
The
commenter
questioned
USDA's
acceptance
internationally
as
a
competent
accreditation
body.
A
few
commenters
requested
that
USDA
provide
certifying
agents
with
assurance
of
international
trade
acceptance
of
the
USDA's
accreditation
program
prior
to
implementation
of
the
final
rule.
We
do
not
believe
that
it
is
necessary
to
include
in
these
regulations
detailed
procedures
by
which
USDA
will
operate
its
accreditation
program.
USDA
has
developed
its
accreditation
and
certification
programs
with
the
intent
that
they
meet
or
exceed
international
guidelines.
Every
country
will
make
its
own
decision
regarding
acceptance
of
this
accreditation
program.
Accordingly,
while
we
do
not
anticipate
problems
with
acceptance
of
our
accreditation
program,
we
cannot
provide
assurance
against
problems
as
requested
by
the
commenters.
(
2)
Equivalency
at
the
European
Community
(
EC)
Level.
A
commenter
requested
confirmation
that
an
equivalency
agreement
would
be
negotiated
at
the
EC
level
since
the
EC
legislation
provides
for
the
basic
rules
while
accreditation
of
certifying
agents
is
a
task
for
each
member
state.
Another
commenter
pointed
out
that
because
Switzerland
has
the
same
regulations
as
the
EC,
equivalency
would
have
to
be
done
in
close
coordination
with
the
EC.
The
commenter
went
on
to
say
that
according
to
Swiss
and
European
practice,
not
only
the
organic
product,
but
also
the
bodies
involved
will
be
mutually
accepted.
This
commenter
also
stated
that,
due
to
Swiss
import
provisions,
brokers
must
be
subject
to
a
certain
control.
Equivalency
will
be
negotiated
between
the
United
States
and
the
foreign
government
authority
seeking
the
equivalency
agreement.
222
(
3)
Period
of
Accreditation.
It
was
suggested
that
accreditation
should
be
for
a
4
year
period
with
full
reevaluation
occurring
once
every
4
years
and
annual
surveillance
visits
in
the
intervening
years.
We
do
not
concur
with
changing
the
period
of
accreditation
from
5
years
to
4
years
as
suggested.
The
5
year
period
that
we
have
provided
that
accreditation
is
consistent
with
the
Act,
which
provides
that
accreditation
shall
be
for
a
period
of
not
to
exceed
5
years.
The
commenter
claims
that
the
international
norm
is
for
full
reevaluations
to
take
place
once
every
4
years
with
annual
surveillance
visits
in
the
intervening
years.
ISO
Guide
61,
section
3.5.1,
provides
that
the
accreditation
body
shall
have
an
established
documented
program,
consistent
with
the
accreditation
granted,
for
carrying
out
periodic
surveillance
and
reassessment
at
sufficiently
close
intervals
to
verify
that
its
accredited
body
continues
to
comply
with
the
accreditation
requirements.
We
believe
that
accreditation
for
5
years
is
a
reasonable
period
of
time.
Further,
we
believe
that
a
5
year
period
of
accreditation
is
consistent
with
ISO
Guide
61
inasmuch
as
we
require
an
annual
evaluation
of
the
certification
program;
annual
review
of
persons
associated
with
the
certification
process,
including
inspectors;
annual
reporting
with
a
complete
and
accurate
update
of
information
required
for
accreditation;
and
one
or
more
site
evaluations
during
the
period
of
accreditation
in
addition
to
the
initial
site
evaluation
for
the
period
of
accreditation.
Accordingly,
we
have
not
made
the
recommended
change.
(
4)
Accreditation
by
Private
Sector
Accreditation
Bodies.
Numerous
commenters
wanted
language
added
to
section
205.500(
c)
that
would
allow
private
sector
accreditation
bodies
to
accredit
foreign
certifying
agents.
For
example,
several
commenters
suggested
adding
a
provision
reading
as
follows:
"
The
foreign
certifying
agent
is
accredited
by
a
private
accreditation
body
recognized
by
the
USDA
as
defined
by
an
equivalency
agreement
negotiated
between
the
223
USDA
and
the
accreditation
body."
Commenters
also
wanted
us
to
amend
section
205.502(
a)
to
recognize
accreditation
by
private
accreditation
programs.
USDA
is
the
accrediting
body
for
all
accreditations
under
the
NOP.
USDA
will
not
recognize
nongovernmental
accrediting
bodies.
USDA
will
recognize
foreign
certifying
agents
accredited
by
a
foreign
government
authority
when
USDA
determines
that
the
foreign
government's
standards
meet
the
requirements
of
the
NOP
or
when
an
equivalency
agreement
has
been
negotiated
between
the
United
States
and
a
foreign
government.
(
5)
Requirements
for
Accreditation.
Some
commenters
requested
more
specificity
in
the
requirements
for
accreditation.
For
example,
one
recommended
that
section
205.501(
a)(
1)
should
include
the
requirement
that
inspectors
demonstrate
completion
of
a
specified
training
program
or
internship
or
ongoing
education
and/
or
licensing.
Another
commenter
wanted
baseline
criteria
for
denying
an
application
due
to
expertise.
Still
others
wanted
a
definition
for
(
1)
"
experience
and
training
pertaining
to
organic/
sustainable
agricultural
methods
and
their
implementation
on
farm
or
in
processing
facilities,"
(
2)
"
trained
certifying
agent
personnel,"
and
(
3)
"
reasonable
time."
Finally,
one
wanted
recordkeeping
and
evaluative
parameters.
AMS
does
not
believe
that
it
is
necessary
to
present
the
requirements
for
accreditation
to
the
extent
of
detail
requested
by
the
commenters.
The
intent
is
to
provide
flexibility
to
the
certifying
agents
such
that
they
can
tailor
their
policies
and
procedures
to
the
nature
and
scope
of
their
operation.
The
NOP
is
available
to
respond
to
questions
and
to
assist
certifying
agents
in
complying
with
the
requirements
for
accreditation.
(
6)
Volunteer
Board
Members.
Some
commenters
suggested
amending
section
205.501(
a)(
5)
to
include
a
reference
to
committees
and
to
expand
"
sufficient
expertise"
to
224
"
sufficient
balance
of
interests
and
expertise."
The
commenters
proposed
the
amendment
to
create
a
firewall
between
those
persons
involved
in
decision
making
and
the
volunteer
board
members.
However,
the
purpose
of
section
205.501(
a)(
5)
is
to
ensure
that
the
persons
used
by
the
certifying
agent
to
assume
inspection,
analysis,
and
decision
making
responsibilities
have
sufficient
expertise
in
organic
production
or
handling
techniques
to
successfully
perform
the
duties
assigned.
Therefore,
we
have
not
made
the
suggested
changes.
Conflict
of
interest
guidelines
are
found
at
section
205.501(
a)(
11).
(
7)
Confidentiality.
A
commenter
stated
that
Texas
law
prevents
the
Texas
Department
of
Agriculture
from
guaranteeing
confidentiality
to
its
clients.
Accordingly,
the
commenter
requested
that
section
205.501(
a)(
10)
be
amended
by
adding
to
the
end
thereof:
"
or
as
required
by
State
statutes."
We
have
not
made
the
suggested
change
because
the
Act
requires
that
the
certifying
agent
maintain
strict
confidentiality
with
respect
to
its
clients
under
the
NOP
and
not
disclose
any
business
related
information
concerning
such
client
obtained
while
implementing
the
Act.
To
be
accredited
under
the
NOP,
certifying
agents
must
fully
comply
with
the
requirements
of
the
Act
and
these
regulations.
Further,
no
SOP
will
be
approved
which
does
not
comply
with
the
NOP.
(
8)
Certifying
Agent
Fees.
Several
commenters
requested
that
the
regulations
prohibit
royalty
formulas
(
i.
e.,
fees
from
every
certified
sale)
for
certifying
agent
fees.
It
is
not
our
intent
to
regulate
how
a
certifying
agent
sets
its
fees
beyond
their
being
reasonable
and
nondiscriminatory.
(
9)
Conflicts
of
Interest.
We
received
numerous
comments
stating
that
section
205.501(
a)(
11)(
i)
was
too
restrictive
and
unnecessary
due
to
the
provisions
of
section
225
205.501(
a)(
11)(
ii)
to
prevent
conflicts
of
interest.
Some
argued
that
these
conflict
of
interest
provisions
are
beyond
ISO
requirements
and
place
an
undue
burden
on
membership
based
certifying
agents
and
the
entities
they
serve.
They
requested
a
conflict
of
interest
policy
enabling
membership
based
certification
organizations
to
continue
operating.
A
commenter
suggested
that
section
205.501(
a)(
11)
be
amended
to
require
that
a
certifying
agent's
board
members
sign
an
affidavit
listing
potential
conflicts
of
interest,
identify
issues
where
an
organization
decision
might
help
them
personally,
and
exclude
themselves
from
decision
making
that
would
assist
them
personally.
This
commenter
proposed
the
amendment
for
the
purpose
of
creating
a
firewall
between
those
persons
involved
in
certification
decision
making
and
the
volunteer
board
members.
We
do
not
believe
that
the
conflict
of
interest
provisions
are
too
restrictive.
These
provisions
are
very
similar
to
conflict
of
interest
provisions
under
other
USDA
programs
involving
public
private
partnerships
(
e.
g.,
grain
inspection).
The
certifying
agent
and
its
responsibly
connected
parties,
including
volunteer
board
members,
hold
positions
of
influence
over
the
certifying
agent's
employees
and
persons
with
whom
the
certifying
agent
contracts
for
such
services
as
inspection,
sampling,
and
residue
testing.
Therefore,
we
continue
to
believe
that
avoiding
such
conflicts
of
interest
is
necessary
to
maintain
the
integrity
of
the
organic
certification
process.
(
10)
Conflicts
of
Interest
and
Prohibition
on
Certification.
A
commenter
requested
that
we
include
an
"
or"
between
sections
205.501(
a)(
11)(
i)
and
205.501(
a)(
11)(
ii).
We
have
not
made
the
recommended
change
because
both
sections
must
be
complied
with;
they
are
not
mutually
exclusive.
Section
205.501(
a)(
11)(
i)
prohibits
the
certification
of
an
applicant
when
the
certifying
226
agent
or
a
responsibly
connected
party
of
such
certifying
agent
has
or
has
held
a
commercial
interest
in
the
applicant
for
certification,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification.
When
the
certifying
agent
and
its
responsibly
connected
persons
are
free
of
any
conflict
of
interest
involving
the
applicant
for
certification,
the
applicant
may
be
certified
if
qualified.
However,
section
205.501(
a)(
11)(
ii)
requires
the
certifying
agent
to
exclude
any
person
(
employees
and
contractors
who
do
not
meet
the
definition
of
responsibly
connected),
including
contractors,
with
conflicts
of
interest
from
work,
discussions,
and
decisions
in
all
stages
of
the
certification
process
and
the
monitoring
of
certified
production
or
handling
operations
for
all
entities
in
which
such
person
has
or
has
held
a
commercial
interest,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification.
(
11)
Gifts
and
Contributions.
Commenters
recommended
that
section
205.501(
a)(
11)(
iii)
be
amended
to
allow
not
for
profit
organizations
to
accept
gifts
and
contributions
from
certified
operations
for
those
programs
not
directly
related
to
the
certifying
agent's
organic
certification
activities.
They
also
wanted
it
clarified
that
not
for
profit
organizations
can
accept
voluntary
labor
from
certified
operations
for
those
programs
not
directly
related
to
the
certifying
agent's
organic
certification
activities.
We
have
not
made
the
requested
changes.
First,
the
acceptance
of
gifts
and
contributions
would
constitute
a
conflict
of
interest
and
would
be
contrary
to
ISO
Guide
61.
Certifying
agents
must
have
the
financial
stability
and
resources
to
perform
their
certification
duties
without
relying
on
gifts
and
contributions
from
those
they
serve.
Second,
we
have
not
added
the
requested
provision
on
voluntary
labor
because
section
205.501(
a)(
11)(
iii)
already
227
addresses
the
acceptance
of
voluntary
labor
by
not
for
profit
organizations
from
certified
operations.
(
12)
Conflicts
of
Interest
Determination
Period.
Commenters
wanted
to
increase
the
conflict
determination
period
from
12
months
to
24
months.
Some
also
wanted
the
period
to
extend
for
2
years
after,
with
the
exception
of
those
who
have
left
the
employ
of
the
certifying
agent
or
are
no
longer
under
contract
with
the
certifying
agent.
We
disagree
with
the
recommendations
calling
for
a
longer
precertification
conflict
of
interest
prohibition
period.
We
continue
to
believe
that
12
months
is
a
sufficient
period
to
ensure
that
any
previous
commercial
interest
would
not
create
a
conflict
of
interest
situation
for
two
reasons.
First,
this
time
period
is
consistent
with
similar
provisions
governing
conflicts
of
interest
for
government
employees.
Second,
section
205.501(
a)(
11)(
v)
requires
the
completion
of
an
annual
conflict
of
interest
disclosure
report
by
all
personnel
designated
to
be
used
in
the
certification
operation,
including
administrative
staff,
certification
inspectors,
members
of
any
certification
review
and
program
evaluation
committees,
contractors,
and
all
parties
responsibly
connected
to
the
certification
operation.
This
requirement
will
assist
certifying
agents
in
complying
with
the
requirements
to
prevent
conflicts
of
interest.
We
also
continue
to
believe
that
a
longer
prohibition
period
would
have
the
effect
of
severely
curtailing
most
certifying
agents'
ability
to
comply
with
the
Act's
requirement
that
they
employ
persons
with
sufficient
expertise
to
implement
the
applicable
certification
program.
Accordingly,
we
have
not
made
the
recommended
change.
The
change
recommended
by
the
commenters
who
requested
that
the
conflict
of
interest
determination
period
extend
for
2
years
after
certification
is
unnecessary.
Certifying
agents
and
228
their
responsibly
connected
parties,
employees,
inspectors,
contractors,
and
other
personnel
are
prohibited
from
engaging
in
activities
or
associations
at
any
time
during
their
affiliation
with
the
certifying
agent
which
would
result
in
a
conflict
of
interest.
While
associated
with
the
certifying
agent,
all
employees,
inspectors,
contractors,
and
other
personnel
are
expected
to
disclose
to
the
certifying
agent
any
offer
of
employment
they
have
received
and
not
immediately
refused.
They
are
also
expected
to
disclose
any
employment
they
are
seeking
and
any
arrangement
they
have
concerning
future
employment
with
an
applicant
for
certification
or
a
certified
operation.
The
certifying
agent
would
then
have
to
exclude
that
person
from
work,
discussions,
and
decisions
in
all
stages
of
the
certification
or
monitoring
of
the
operation
making
the
employment
offer.
If
a
certifying
agent
or
a
responsibly
connected
party
of
the
certifying
agent
has
received
and
not
immediately
refused
an
offer
of
employment,
is
seeking
employment,
or
has
an
arrangement
concerning
future
employment
with
an
applicant
for
certification,
the
certifying
agent
may
not
accept
or
process
the
application.
Further,
certifying
agents
and
responsibly
connected
parties
may
not
seek
employment
or
have
an
arrangement
concerning
future
employment
with
an
operation
certified
by
the
certifying
agent
while
associated
with
that
certifying
agent.
Certifying
agents
and
responsibly
connected
parties
must
sever
their
association
with
the
certifying
agent
when
such
person
does
not
immediately
refuse
an
offer
of
employment
from
a
certified
operation.
Accordingly,
we
have
decided
not
to
include
a
postcertification
prohibition
period
in
this
final
rule.
(
13)
False
and
Misleading
Claims.
A
commenter
asked
who
will
determine
what
is
a
misleading
claim
about
the
nature
or
qualities
of
products
labeled
as
organically
produced.
This
same
commenter
recommended
amending
section
205.501(
a)(
13)
by
removing
the
prohibition
229
against
making
false
or
misleading
claims
about
the
nature
or
qualities
of
products
labeled
as
organically
produced.
We
disagree
with
this
recommendation.
Claims
regarding
accreditation
status,
the
USDA
accreditation
program
for
certifying
agents,
and
the
nature
and
quality
of
products
labeled
as
organically
produced
all
fall
under
the
authority
of
the
Act.
Accordingly,
USDA
will
determine
what
is
a
misleading
claim.
We
believe
that
the
requirements
are
needed
to
prevent
the
dissemination
of
inaccurate
or
misleading
information
to
consumers
about
organically
produced
products.
We
further
believe
that
the
change
suggested
by
the
commenter
would
undermine
the
goal
of
a
uniform
NOP
by
allowing
certifying
agents
to
make
claims
that
would
state
or
imply
that
organic
products
produced
by
operations
that
they
certify
are
superior
to
those
of
operations
certified
by
other
certifying
agents.
These
requirements
would
not
prohibit
certifying
agents
from
sharing
factual
information
with
consumers,
farmers,
processors,
and
other
interested
parties
regarding
verifiable
attributes
of
organic
food
and
organic
production
systems.
Accordingly,
we
have
not
made
the
recommended
change
to
what
is
now
section
205.501(
a)(
14).
(
14)
Certifying
Agent
Compliance
With
Terms
and
Conditions
Deemed
Necessary.
A
commenter
recommended
that
we
remove
section
205.501(
a)(
17).
This
section
requires
that
certifying
agents
comply
with
and
implement
other
terms
and
conditions
deemed
necessary
by
the
Secretary.
This
requirement
is
consistent
with
section
6515(
d)(
2)
of
the
Act,
which
requires
a
certifying
agent
to
enter
into
an
agreement
with
the
Secretary
under
which
such
agent
shall
agree
to
such
other
terms
and
conditions
as
the
Secretary
determines
appropriate.
Accordingly,
we
have
not
accepted
the
commenter's
recommendation.
This
requirement
is
located
at
current
section
205.501(
a)(
21).
230
(
15)
Limitations
on
the
Use
of
Certifying
Agent's
Marks.
Numerous
commenters
stated
that
they
wanted
USDA
to
permit
higher
production
standards
by
private
certifying
agents.
A
common
argument
for
allowing
higher
standards
was
that
practitioners
must
be
allowed
to
"
raise
the
bar"
through
superior
ecological
on
farm
practices
or
pursuit
of
other
social
and
ecological
goals.
Some
commenters
recommended
that
the
language
in
section
205.501(
b)(
2)
be
replaced
with
provisions
that
would
allow
certifying
agents
to
issue
licensing
agreements
with
contract
specifications
that
clearly
establish
conditions
for
use
of
the
certifying
agent's
identifying
mark.
We
believe
the
positions
advocated
by
the
commenters
are
inconsistent
with
section
6501(
2)
of
the
Act,
which
provides
that
a
stated
purpose
of
the
Act
is
to
assure
consumers
that
organically
produced
products
meet
a
consistent
national
standard.
We
believe
that,
to
accomplish
the
goal
of
establishing
a
consistent
standard
and
to
facilitate
trade,
it
is
vital
that
an
accredited
certifying
agent
accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
All
organic
production
and
handling
operations,
unless
exempted
or
excluded
under
section
205.101
or
not
regulated
under
the
NOP
(
i.
e.,
a
producer
of
dog
food),
must
be
certified
to
these
national
standards
and,
when
applicable,
any
State
standards
approved
by
the
Secretary.
All
certified
operations
must
be
certified
by
a
certifying
agent
accredited
by
the
Administrator.
No
accredited
certifying
agent
may
establish
or
require
compliance
with
its
own
organic
standards.
Accredited
certifying
agents
may
establish
other
standards
outside
of
the
NOP.
They
may
not,
however,
refer
to
them
as
organic
standards
nor
require
that
applicants
for
certification
under
the
NOP
or
operations
certified
under
the
NOP
comply
with
such
standards
as
a
requirement
for
certification
under
the
NOP.
Use
of
the
certifying
agent's
identifying
mark
must
be
voluntary
and
available
to
all
of
its
231
clients
certified
under
the
NOP.
However,
a
certifying
agent
may
withdraw
a
certified
operation's
authority
to
use
its
identifying
mark
during
a
compliance
process.
The
certifying
agent,
however,
accepts
full
liability
for
any
such
action.
The
national
standards
implemented
by
this
final
rule
can
be
amended
as
needed
to
establish
more
restrictive
national
standards.
Anyone
may
request
that
a
provision
of
these
regulations
be
amended
by
submitting
a
request
to
the
NOP
Program
Manager
or
the
Chairperson
of
the
NOSB.
Requests
for
amendments
submitted
to
the
NOP
Program
Manager
will
be
forwarded
to
the
NOSB
for
its
consideration.
The
NOSB
will
consider
the
requested
amendments
and
make
its
recommendations
to
the
Administrator.
When
appropriate,
the
NOP
will
conduct
rulemaking
on
the
recommended
amendment.
Such
rulemaking
will
include
an
opportunity
for
public
comment.
(
16)
Evidence
of
Expertise
and
Ability.
A
commenter
stated
that
section
205.504,
which
addresses
the
documentation
necessary
to
establish
evidence
of
expertise
and
abilities,
requires
too
much
paperwork.
We
believe
the
amount
of
paperwork
is
appropriate
for
the
task
at
hand,
verifying
a
certifying
agent's
expertise
in
and
eligibility
for
accreditation
to
certify
organic
production
and
handling
operations
to
the
NOP.
We
further
believe
that
the
level
of
paperwork
is
necessary
to
meet
international
guidelines
for
determining
whether
an
applicant
is
qualified
for
accreditation
as
a
certifying
agent.
(
17)
Procedures
for
Making
Information
Available
to
the
Public.
Comments
on
section
205.504(
b)(
5)
were
mixed.
Some
commenters
felt
that
the
proposal
fell
short
of
the
OFPA
requirement
to
"
Provide
for
public
access
to
certification
documents
and
lab
analysis."
Others
thought
that
too
much
confidential
information
would
be
released.
232
The
Act
requires
public
access,
at
section
2107(
a)(
9),
to
certification
documents
and
laboratory
analyses
pertaining
to
certification.
Accordingly,
we
disagree
with
those
commenters
who
requested
that
such
documents
not
be
released
to
the
public.
We
also
disagree
with
the
commenters
who
contend
that
the
requirement
for
public
disclosure
falls
short
of
what
is
required
by
the
Act.
Section
205.504(
b)(
5)
meets
the
requirements
of
the
Act
by
requiring
the
release
of
those
documents
cited
in
section
2107(
a)(
9)
of
the
Act.
The
section
also
authorizes
the
release
of
other
business
information
as
authorized
in
writing
by
the
producer
or
handler.
(
18)
Accreditation
Prior
to
Site
Evaluation.
Numerous
commenters
recommended
that
we
require
site
visits
prior
to
accreditation.
Some
commenters
cited
ISO
Guide
61,
section
2.3.1,
in
their
arguments
for
site
visits
prior
to
accreditation.
ISO
Guide
61,
section
2.3.1.,
provides
that
the
decision
on
whether
to
accredit
a
body
shall
be
made
on
the
basis
of
the
information
gathered
during
the
accreditation
process
and
any
other
relevant
information.
Section
3.3.2
of
ISO
Guide
61
provides
that
the
accreditation
body
shall
witness
fully
the
on
site
activities
of
one
or
more
assessments
or
audits
conducted
by
an
applicant
body
before
an
initial
accreditation
is
granted.
We
do
not
concur
with
the
commenters.
These
regulations
provide
for
assessment
of
the
applicant's
qualifications
and
capabilities
through
a
rigorous
review
of
the
application
and
supporting
documentation.
Following
this
review,
an
initial
site
evaluation
shall
be
conducted
before
or
within
a
reasonable
period
of
time
after
issuance
of
the
applicant's
"
notification
of
accreditation."
In
cases
where
the
document
review
raises
concerns
regarding
the
applicant's
qualifications
and
capabilities
and
the
Administrator
deems
it
necessary,
a
preapproval
site
evaluation
will
be
conducted.
We
have
further
provided
that
a
site
evaluation
shall
be
conducted
233
after
application
for
renewal
of
accreditation
but
prior
to
renewal
of
accreditation.
Our
purpose
in
allowing
for
initial
accreditation
prior
to
a
site
evaluation
is
to
facilitate
implementation
of
the
NOP
and
to
provide
a
means
for
newly
established
certifying
agents
to
obtain
a
client
base
to
demonstrate
that
they
can
meet
the
requirements
of
the
NOP
regulations.
We
believe
this
is
consistent
with
the
intent
of
ISO
Guide
61,
section
2.3.1.
and
fits
within
its
"
and
any
other
relevant
information"
provision.
Accordingly,
we
restate
our
position
that
accreditation
approval
without
a
site
evaluation
is
appropriate,
necessary
in
the
case
of
established
certifying
agents
that
may
need
to
make
adjustments
in
their
operations
to
comply
with
the
NOP
regulations,
and
necessary
in
the
case
of
newly
established
certifying
agents
who
will
have
to
obtain
a
client
base
to
demonstrate
beyond
the
paperwork
that
they
can
meet
the
requirements
of
the
NOP
regulations.
(
19)
Ineligibility
After
Revocation
of
Accreditation.
Section
205.507(
d)
provides
that
a
certifying
agent
whose
accreditation
is
revoked
will
be
ineligible
for
accreditation
for
a
period
of
not
less
than
3
years
following
the
date
of
such
determination.
A
commenter
stated
that
the
3
year
period
of
ineligibility
is
overly
long
and
effectively
puts
the
certifying
agent
out
of
business.
The
commenter
suggested
that
a
6
to
12
month
period
might
be
reasonable.
We
have
not
accepted
the
suggested
6
to
12
month
ineligibility
period
because
the
Act
requires
a
period
of
ineligibility
of
not
less
than
3
years
following
revocation
of
accreditation.
(
20)
Qualifications
of
the
Site
Evaluator.
A
commenter
recommended
amending
section
205.508(
a)
to
indicate
the
required
qualifications
of
the
site
evaluator.
We
have
not
accepted
the
recommendation.
We
do
not
believe
that
it
is
necessary
to
specify
the
required
qualifications
of
site
evaluators
in
these
regulations.
All
USDA
employees
who
will
perform
site
evaluations
under
234
the
NOP
are
quality
systems
auditors
trained
in
accordance
with
internationally
recognized
protocols.
(
21)
Complaint
Process.
A
commenter
recommended
that
section
205.510
include
a
complaint
process
for
complaints
by
certified
operations
regarding
the
performance
of
a
certifying
agent
or
inspector.
The
commenter
also
recommended
that
section
205.510
include
a
complaint
process
for
the
public
should
they
feel
that
a
certifying
agent
is
not
in
compliance.
We
do
not
believe
that
it
is
necessary
to
include
a
complaint
process
in
the
regulations.
All
interested
parties
are
free
to
file
a
complaint
with
an
accredited
certifying
agent,
SOP's
governing
State
official,
or
the
Administrator
at
any
time.
We
will
provide
guidance
to
accredited
certifying
agents
and
SOP's
governing
State
officials
regarding
the
type
of
information
to
gather
when
receiving
a
complaint.
SOP's
governing
State
officials
will
include
in
their
request
for
approval
of
their
SOP
information
on
their
collection
of
complaint
information.
Certifying
agents
will
include
details
regarding
the
collection
of
complaint
information
and
the
investigation
of
complaints
involving
certified
operations
in
their
procedures
for
reviewing
and
investigating
certified
operation
compliance
(
section
205.504(
b)(
2)).
This
will
include
maintaining
records
of
complaints
and
remedial
actions
relative
to
certification
as
well
as
documentation
of
followup
actions.
Further,
certifying
agents
will
include
details
regarding
the
collection
of
complaint
information
and
the
investigation
of
complaints
involving
inspectors
and
other
personnel
employed
by
or
contracted
by
the
certifying
agents
in
their
policies
and
procedures
for
training,
evaluating,
and
supervising
personnel
(
section
205.504(
a)(
1)).
(
22)
Recordkeeping
by
Certifying
Agents.
A
commenter
stated
that
the
10
year
recordkeeping
requirement
of
section
205.510(
b)(
2)
for
records
created
by
the
certifying
agent
235
regarding
applicants
for
certification
and
certified
operations
is
excessive.
The
commenter
recommended
a
5
year
retention
period.
We
have
not
accepted
the
recommended
5
year
records
retention
period
for
records
created
by
the
certifying
agent
regarding
applicants
for
certification
and
certified
operations
because
the
Act
requires
the
retention
of
such
records
for
10
years.
(
23)
Reaccreditation.
A
commenter
recommended
that
section
205.510(
c)(
1)
be
amended
to
require
reaccreditation
every
3
years.
We
have
provided
that
accreditation
will
be
for
a
period
of
5
years.
This
is
consistent
with
the
Act
which
provides
that
accreditation
shall
be
for
a
period
of
not
to
exceed
5
years.
The
commenter
believes
that
a
5
year
period
is
not
consistent
with
ISO
Guide
61,
section
3.5.1,
which
provides
that
the
accreditation
body
shall
have
an
established
documented
program,
consistent
with
the
accreditation
granted,
for
carrying
out
periodic
surveillance
and
reassessment
at
sufficiently
close
intervals
to
verify
that
its
accredited
body
continues
to
comply
with
the
accreditation
requirements.
We
believe
that
accreditation
for
5
years
is
a
reasonable
period
of
time.
Further,
we
believe
that
a
5
year
period
of
accreditation
is
consistent
with
ISO
Guide
61
inasmuch
as
we
require
an
annual
evaluation
of
the
certification
program;
annual
review
of
persons
associated
with
the
certification
process,
including
inspectors;
annual
reporting
with
a
complete
and
accurate
update
of
information
required
for
accreditation;
and
one
or
more
site
evaluations
during
the
period
of
accreditation
in
addition
to
the
initial
site
evaluation
for
the
period
of
accreditation.
Accordingly,
we
have
not
made
the
recommended
change.
This
requirement
is
located
at
current
section
205.510(
c)(
2).
(
24)
Notice
of
Renewal
of
Accreditation.
A
commenter
recommended
that
section
205.510(
d)
be
amended
to
include
a
timeframe
within
which
the
Administrator
must
notify
an
applicant
of
its
renewal
of
accreditation.
We
believe
that
a
mandated
timeframe
for
notifying
the
236
applicant
of
renewal
of
accreditation
is
inappropriate.
We
plan
to
process
all
applications
for
renewal
of
accreditation
in
the
order
in
which
they
are
received,
to
confirm
the
receipt
of
each
application,
and
to
establish
a
dialog
with
the
applicant
upon
confirmation
of
receipt
of
an
application
for
renewal
of
accreditation.
The
length
of
the
renewal
process
will
depend
in
large
part
on
the
nature
of
the
operation
seeking
renewal
of
accreditation.
To
minimize
the
chances
that
an
accreditation
will
expire
during
the
renewal
process,
we
have:
(
1)
provided
that
the
Administrator
shall
send
the
accredited
certifying
agent
a
notice
of
pending
expiration
of
accreditation
approximately
1
year
before
the
date
of
expiration
of
the
certifying
agent's
accreditation,
(
2)
required
that
an
application
for
renewal
of
accreditation
must
be
received
at
least
6
months
prior
to
expiration
of
the
certifying
agent's
accreditation,
and
(
3)
provided
that
the
accreditation
of
a
certifying
agent
who
makes
timely
application
for
renewal
of
accreditation
will
not
expire
during
the
renewal
process.
Accordingly,
we
have
not
made
the
recommended
amendment.
Accreditation
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters
as
follows:
(
1)
Accreditation
of
Foreign
Certifying
Agents.
A
commenter
suggested
that
section
205.500
be
amended
to
provide
that
if
there
is
a
government
system
operating
in
a
foreign
country
then
the
government
is
the
appropriate
pathway
for
that
country
to
apply
for
accreditation.
USDA
will
accept
an
application
for
accreditation
to
perform
certification
activities
under
the
NOP
from
any
private
entity
or
governmental
entity
certifying
agent
and
accredit
such
applicant
upon
proof
of
qualification
for
accreditation.
USDA
will
provide
for
USDA
237
accreditation
of
certifying
agents
and
acceptance
of
a
foreign
government's
accreditation
of
certifying
agent
within
the
same
country.
This
maximizes
opportunity
for
certifying
agents
without
the
potential
for
confusion
and
overlap
in
documentation.
Further,
we
believe
these
requirements
facilitate
world
trade.
(
2)
State
Approval
of
Product
From
Foreign
Countries.
A
commenter
stated
that
any
product
making
claims
of
organic
agricultural
ingredients
to
be
sold
in
California
shall
fall
under
the
jurisdiction
of
the
California
Organic
Program
for
enforcement,
inspection,
and
certification
direction.
The
commenter
further
stated
that,
should
any
foreign
certifying
agents
be
accepted,
they
too
shall
be
subject
to
the
sovereign
rights
of
the
State
of
California
to
protect
and
enforce
the
laws
of
the
State
of
California
and
to
protect
agricultural
claims
in
this
State.
Any
organic
program
administered
by
a
State
will
have
to
be
approved
by
the
Secretary.
Approval
of
an
SOP
will
be
contingent
upon
the
State's
agreeing
to
accept
the
certification
decisions
made
by
certifying
agents
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
(
3)
Equivalency.
A
commenter
stated
that
USDA
should
declare
in
section
205.500
that
there
are
no
alternative
methods
of
production
that
meet
the
Congressional
purpose
"
to
assure
consumers
that
organically
produced
products
meet
a
consistent
standard."
The
commenter
went
on
to
state
that,
if
USDA
proceeds
with
equivalency
then
the
regulations
should
be
amended
to
provide
for:
(
1)
no
importing
until
final
determination,
(
2)
no
final
determination
until
Federal
Register
publication
and
public
comment,
(
3)
audit
of
foreign
agency
and
production
sites,
and
(
4)
revocation
of
accreditation
for
violations.
The
commenter
also
recommended
that
foreign
certifying
agents
be
reviewed
with
the
same
frequency
as
State
certifying
agents.
We
disagree
that
there
are
no
alternative
methods
of
production
that
assure
consumers
238
that
organically
produced
products
meet
a
consistent
standard.
Accordingly,
we
will
negotiate
equivalency
agreements
with
foreign
governments.
A
final
equivalency
agreement
will
be
required
before
affected
product
may
be
imported
into
the
United
States
and
sold,
labeled,
or
represented
as
organic.
Equivalency
agreements
will
be
announced
to
the
public
through
a
notice
in
the
Federal
Register
and
a
news
release.
Site
evaluations
are
a
possibility.
Foreign
certifying
agents
that
receive
USDA
accreditation,
rather
than
recognition
through
their
government,
will
have
to
fully
comply
with
the
NOP
and
will
be
treated
the
same
as
domestic
accredited
certifying
agents.
(
4)
Evaluation
of
Equivalency.
Commenters
asked
how
equivalency
would
be
evaluated
and
recommended
basing
equivalency,
not
on
a
check
of
formalities,
but
on
the
finding
of
substantive
equivalence
and
equivalent
effectiveness
of
certifying
systems.
The
negotiation
of
an
equivalency
agreement
will
involve
meetings
between
representatives
of
the
foreign
government
seeking
equivalency
and
representatives
of
USDA's
Agricultural
Marketing
Service
and
Foreign
Agricultural
Service.
Support
will
be
provided
by
the
Office
of
the
U.
S.
Trade
Representative.
The
process
will
also
include
the
review
of
documents
and
possibly
one
or
more
site
evaluations.
Equivalency
agreements
will
be
announced
to
the
public
through
a
notice
in
the
Federal
Register
and
a
news
release.
(
5)
Treatment
of
Certifying
Agents
Operating
in
More
Than
One
Country.
A
few
commenters
requested
that
we
amend
section
205.500(
c)
by
adding
a
provision
to
clarify
the
issue
of
how
the
international
activities
of
foreign
or
domestic
certifying
agents
will
be
treated
when
they
operate
in
more
than
one
country.
We
believe
that
the
requested
provision
is
unnecessary.
Certifying
agents,
domestic
and
239
foreign,
accredited
under
the
NOP
will
be
expected
to
comply
fully
with
the
requirements
of
the
NOP
regardless
of
where
they
operate.
The
only
exception
would
be
when
they
operate
in
a
country
in
which
the
Secretary
has
negotiated
an
equivalency
agreement.
(
6)
Accreditation
of
Foreign
Certifying
Agents.
A
commenter
requested
that
we
amend
section
205.500(
c)
to
exempt
foreign
applicants
from
having
to
be
accredited
certifying
agents
in
USDA's
program
if
the
exporting
country's
national
organic
program
meets
international
standards;
e.
g,
Codex
guidelines.
We
have
provided
for
USDA
accreditation
of
qualified
foreign
certifying
agents
upon
application.
We
have
also
provided
that
USDA
will
accept
a
foreign
certifying
agent's
accreditation
to
certify
organic
production
or
handling
operations
if
it
determines,
upon
the
request
of
a
foreign
government,
that
the
standards
under
which
the
foreign
government
authority
accredited
the
foreign
certifying
agent
meet
the
requirements
of
this
part.
We
have
further
provided
that
USDA
will
accept
a
foreign
certifying
agent's
accreditation
to
certify
organic
production
or
handling
operations
if
the
foreign
government
authority
that
accredited
the
foreign
certifying
agent
acted
under
an
equivalency
agreement
negotiated
between
the
United
States
and
the
foreign
government.
These
recognitions
of
foreign
government
programs,
however,
do
not
extend
to
international
standards
such
as
Codex
guidelines.
In
either
case,
we
are
recognizing
the
ability
of
a
foreign
government's
program
to
meet
U.
S.
standards,
not
some
other
international
standard.
(
7)
States
with
an
Organic
Statute.
A
commenter
stated
that
a
State
with
an
organic
statute
or
regulations
that
does
not
certify
organic
producers
or
organic
handlers
should
not
have
to
be
accredited.
240
The
NOP
requires
the
Secretary's
approval
of
SOP's
whether
or
not
the
State
has
a
State
certifying
agent.
A
State
may
have
an
SOP
but
not
have
a
State
certifying
agent.
In
this
case
the
SOP
must
be
approved
by
the
Secretary.
A
State
may
have
a
State
certifying
agent
but
no
SOP.
In
this
case,
the
State
certifying
agent
must
apply
for
and
receive
accreditation
to
certify
organic
production
or
handling
operations.
Finally,
a
State
may
have
an
SOP
and
a
State
certifying
agent.
In
this
case,
the
SOP
must
be
approved
by
the
Secretary,
and
the
State
certifying
agent
must
apply
for
and
receive
accreditation
to
certify
organic
production
or
handling
operations.
(
8)
Nondiscriminatory
Services.
A
commenter
wanted
the
addition
of
a
provision
in
section
205.501(
a)
requiring
certifying
agents
to
provide
nondiscriminatory
services.
We
have
not
included
the
suggested
addition
in
this
final
rule
because
the
provision
already
exists
in
section
205.501(
d).
(
9)
Release
of
Information.
A
few
commenters
requested
that
we
amend
section
205.501(
a)(
10)
to
include
a
general
exclusion
allowing
the
release
of
any
information
with
the
client's
permission.
We
have
not
included
the
suggested
addition
in
this
final
rule
because
section
205.504(
b)(
5)(
iv)
already
addresses
the
allowed
release
of
other
business
information
as
permitted
in
writing
by
the
producer
or
handler.
(
10)
Use
of
the
Term,
"
Certified
Organic."
In
commenting
on
section
205.501(
b)(
1),
a
commenter
stated
that
if
the
term,
"
certified
organic,"
is
included
on
a
label,
it
must
state
by
whom,
according
to
Maine
State
law.
We
do
not
believe
that
the
requirements
of
section
205.501(
b)(
1)
would
preclude
a
certified
operation
from
complying
with
a
State
law
requiring
identification
of
the
certifying
agent
on
a
product
sold,
labeled,
or
represented
as
"
certified
organic."
Further,
these
regulations
do
not
require
a
certified
operation
to
use
the
word,
241
"
certified,"
on
its
label.
(
11)
Holding
the
Secretary
Harmless.
In
commenting
on
the
requirements
of
section
205.501(
c)(
1),
a
commenter
stated
that
certifying
agents
are
responsible
for
representing
USDA
but
seem
to
have
no
recourse.
Another
commenter
asked,
what
happens
if
a
certifying
agent
is
found
in
violation
of
the
Act
but
the
violation
was
due
to
information
or
direction
that
came
from
USDA?
Under
the
NOP,
accredited
certifying
agents
are
required
to
comply
with
and
carry
out
the
requirements
of
the
Act
and
these
regulations.
If
they
fail
to
do
so,
they
are
responsible
for
their
actions
or
failures
to
act.
This
would
not
be
true
if
the
action
or
failure
to
act
was
at
the
direction
of
the
Secretary.
(
12)
Self
evaluation
of
Ability
to
Comply.
A
commenter
requested
that
section
205.504
be
amended
to
provide
clarity
on
the
baseline
requirements
that
would
allow
a
certifying
agent
to
conduct
a
self
evaluation
to
determine
its
ability
to
comply.
The
commenter
stated
that
there
should
be
some
type
of
baseline
acceptance
of
expertise
and
ability.
The
commenter
wants
details
regarding
the
"
training"
or
"
experience"
requirements
necessary
to
qualify
for
accreditation.
This
commenter
also
stated
that
criteria
for
inspector
and
reviewer
training
should
be
added
and
enlarged.
We
do
not
believe
that
it
is
necessary
to
present
the
requirements
for
accreditation
to
the
extent
of
detail
requested
by
the
commenter.
The
intent
is
to
provide
flexibility
to
the
certifying
agents
such
that
they
can
tailor
their
policies
and
procedures
to
the
nature
and
scope
of
their
operation.
The
NOP
is
available
to
respond
to
questions
and
to
assist
certifying
agents
in
complying
with
the
requirements
for
accreditation.
242
(
13)
Evidence
of
Expertise
and
Ability.
Commenters
stated
that
important
elements
of
ISO
Guide
65
are
missing
from
section
205.504.
They
cite
the
maintenance
of
a
complaints
register
and
a
register
of
precedents
and
provisions
for
subcontracting
and
a
documents
control
policy
or
a
document
register.
Certifying
agents
grant
certification,
deny
certification,
and
take
enforcement
action
against
a
certified
operation's
certification.
Certifying
agents
are
required
to
maintain
records
applicable
to
all
such
actions
and
to
report
such
actions
to
the
Administrator.
Certifying
agents
may
contract
with
qualified
individuals
for
the
performance
of
services
such
as
inspection,
sampling,
and
residue
testing.
Certifying
agents
are
required
to
submit
personnel
information
(
employed
and
contracted)
and
administrative
policies
and
procedures
to
the
Administrator.
All
such
documents
must
be
updated
annually.
The
regulations
also
require
the
maintenance
of
records
according
to
specified
retention
periods.
All
of
these
factors
will
be
considered
in
granting
or
denying
accreditation.
We
believe
these
requirements
meet
or
exceed
the
ISO
Guide
65
guidelines.
(
14)
Personnel
Evidence
of
Expertise.
A
commenter
inquired
about
the
frequency
at
which
the
personnel
information,
required
by
section
205.504(
a)
and
used
to
establish
evidence
of
expertise
and
ability,
is
to
be
updated.
Section
205.510
requires
that
the
certifying
agent
annually
submit
a
complete
and
accurate
update
of
the
information
required
in
section
205.504.
(
15)
Responsibly
Connected.
A
commenter
stated
that
the
term,
"
responsibly
connected,"
as
used
in
section
205.504(
a)(
2)
is
a
broad
sweep.
The
commenter
believes
the
term
would
include
everyone
they
do
business
with.
Section
205.504(
a)(
2)
requires
the
certifying
agent
to
provide
the
name
and
position
243
description
of
all
personnel
to
be
used
in
the
certification
operation.
The
section
assists
the
certifying
agent
in
meeting
the
requirement
by
identifying
categories
of
persons
covered
by
the
requirement
including
persons
responsibly
connected
to
the
certifying
agent.
Responsibly
connected
does
not
include
everyone
that
the
certifying
agent
does
business
with.
Responsibly
connected
is
defined
in
the
Definitions
subpart
of
this
final
rule
as
"
any
person
who
is
a
partner,
officer,
director,
holder,
manager,
or
owner
of
10
percent
or
more
of
the
voting
stock
of
an
applicant
or
a
recipient
of
certification
or
accreditation."
This
definition
has
not
changed.
(
16)
Independent
Third
Party
Inspectors.
A
commenter
recommended
amending
section
205.504(
a)(
3)(
I)
to
provide
for
the
use
of
independent
third
party
inspectors.
We
believe
that
this
recommended
amendment
is
unnecessary
since
nothing
in
these
regulations
precludes
a
certifying
agent
from
contracting
with
independent
third
parties
for
inspection
services.
(
17)
Response
to
Accreditation
Applicant.
A
commenter
requested
that
section
205.506(
a)(
3)
be
amended
to
provide
a
timeframe
within
which
the
Administrator
has
to
respond
to
the
accreditation
application.
While
section
205.506(
a)(
3)
identifies
the
information
to
be
reviewed
by
the
Administrator
prior
to
the
granting
of
accreditation,
we
assume
the
commenter
is
seeking
a
specific
time
limit
by
which
the
Administrator
will
acknowledge
receipt
of
an
application
for
accreditation.
In
the
alternative,
the
commenter
may
have
been
seeking
a
specific
time
limit
by
which
the
Administrator
must
grant
or
deny
accreditation.
We
believe
that
a
regulation
mandated
timeframe
for
notifying
the
applicant
of
receipt
of
an
application
or
for
granting
or
denying
accreditation
is
unnecessary.
We
plan
to
process
all
applications
in
the
order
in
which
they
are
received,
to
confirm
the
receipt
of
each
application
upon
receipt,
and
to
establish
a
dialog
with
the
applicant
upon
confirmation
of
receipt
of
an
application
for
accreditation.
We
will
work
with
244
each
applicant
to
complete
the
accreditation
process
as
expeditiously
as
possible.
A
firm
timeframe,
however,
cannot
be
set
for
granting
or
denying
accreditation
due
to
the
anticipated
uniqueness
of
each
applicant
and
its
application
for
accreditation.
(
18)
Duration
of
Accreditation
and
Certification.
A
commenter
asked,
"
How
can
certification
be
essentially
in
perpetuity
and
accreditation
have
a
time
restraint?"
The
commenter's
question
does
not
indicate
a
preference
for
certification
or
accreditation
longevity.
The
commenter
correctly
points
out
that
certification
and
accreditation,
both
of
which
must
be
updated
annually,
are
granted
for
different
time
periods.
The
Act
limits
the
period
of
accreditation
to
5
years
but
does
not
establish
a
limit
to
the
period
of
certification.
We
believe
the
requirement
that
the
certified
operation
submit
an
annual
update
of
its
organic
plan
negates
the
need
for
a
certification
expiration
date.
(
19)
Denial
of
Accreditation.
In
commenting
on
section
205.507,
a
commenter
stated
that
the
regulations
need
to
address
what
happens
to
a
certifying
agent's
clients
when
the
certifying
agent
fails
to
qualify
for
accreditation
on
its
first
attempt.
Section
205.507(
c)
provides
that
an
applicant
who
has
received
written
notification
of
accreditation
denial
may
apply
for
accreditation
again
at
any
time
in
accordance
with
section
205.502.
Upon
implementation
of
the
certification
requirements
of
the
NOP,
production
and
handling
operations
planning
to
sell,
label,
or
represent
their
products
as
organic
must
be
certified
by
a
USDA
accredited
certifying
agent
before
selling,
labeling,
or
representing
their
products
as
organic.
If
a
producer's
or
handler's
choice
of
certifying
agents
does
not
receive
USDA
accreditation,
the
producer
or
handler
must
seek
and
receive
certification
under
the
NOP
from
a
USDA
accredited
certifying
agent
before
selling,
labeling,
or
representing
their
products
as
245
organic.
Producers
and
handlers
not
so
certified
may
not
sell,
label,
or
represent
their
products
as
organic.
Any
producer
or
handler
who
violates
this
requirement
will
be
subject
to
prosecution
under
section
2120
of
the
Act.
(
20)
Loss
of
Accreditation
After
Initial
Site
Visit.
Commenting
on
section
205.508(
b),
a
commenter
stated
the
belief
that
accreditation
before
a
site
visit
may
cause
problems
if
the
certifying
agent
does
not
meet
the
requirements
and,
subsequently,
loses
its
accreditation.
We
believe
the
problems
will
be
no
greater
than
will
occur
at
any
other
time
when
it
becomes
necessary
to
revoke
a
certifying
agent's
accreditation,
including
when
it
becomes
necessary
to
initiate
proceedings
to
suspend
or
revoke
the
certification
of
one
or
more
of
the
certifying
agent's
certified
operations.
However,
just
because
revocation
of
a
certifying
agent's
accreditation
may
be
justified,
it
may
not
be
necessary
to
suspend
or
revoke
the
certification
of
one
or
more
of
its
clients.
An
operation
certified
by
a
certifying
agent
that
has
lost
its
accreditation
must
make
application
with
a
new
certifying
agent
if
it
is
going
to
continue
to
sell,
label,
or
represent
its
products
as
organic.
(
21)
Prohibition
on
Certification
After
Expiration
of
Accreditation.
A
commenter
stated
that,
"
USDA
should
allow
certifying
agents
to
apply
the
same
provisions
to
expiration
of
certification
of
a
certified
operation."
The
provision
referenced
by
the
commenter
is
the
section
205.510(
c)(
1)
(
current
section
205.510(
c)(
2))
requirement
that
certifying
agents
with
an
expired
accreditation
must
not
perform
certification
activities
under
the
Act
and
these
regulations.
We
have
not
accepted
the
commenter's
request
that
the
same
prohibition
be
applied
to
production
and
handling
operations
with
an
expired
certification
because
certification
does
not
expire.
(
22)
Expiration
of
Accreditation.
Many
commenters
requested
that
we
amend
section
246
205.510(
c)(
1)
to
require
annual
reports
and
"
minivisits."
The
commenters
cited
ISO
Guide
61,
section
3.5.1.
We
do
not
believe
that
annual
"
minivisits"
are
necessary
to
meet
the
requirements
of
ISO
Guide
61
or
to
assure
compliance
with
the
NOP.
One
or
more
site
evaluations
will
be
conducted
during
the
period
of
accreditation.
The
certifying
agent's
annual
report
will
be
used
as
a
determining
factor
in
whether
to
conduct
a
site
evaluation.
A
request
for
amendment
to
a
certifying
agent's
area
of
accreditation
will
also
result
in
a
site
evaluation.
This
requirement
is
located
at
current
section
205.510(
c)(
2).
(
23)
Update
and
Review
of
Inspector
Lists.
In
commenting
on
section
205.510(
c)(
1)
(
current
section
205.510(
c)(
2))
several
commenters
stated
that
updating
and
review
of
inspector
lists
must
occur
more
frequently
than
every
5
years.
They
cited
ISO
Guide
61,
section
3.5.1.
Section
205.510(
a)(
1)
requires
that
the
certifying
agent
annually
update
the
information
required
in
section
205.504.
This
includes
the
inspector
information
required
by
paragraphs
205.504(
a)(
2)
and
205.504(
a)(
3)(
i).
Subpart
G
Administrative
The
National
List
of
Allowed
and
Prohibited
Substances
Description
of
Regulations
General
Requirements
This
subpart
contains
criteria
for
determining
which
substances
and
ingredients
are
allowed
or
prohibited
in
products
to
be
sold,
labeled,
or
represented
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
It
establishes
the
National
List
of
Allowed
and
Prohibited
Substances
(
National
List)
and
identifies
specific
substances
which
may
or
may
not
be
used
in
organic
production
and
handling
operations.
Sections
6504,
6510,
6517,
and
6518
of
the
247
Organic
Foods
Production
Act
(
OFPA)
of
1990
provide
the
Secretary
with
the
authority
to
develop
the
National
List.
The
contents
of
the
National
List
are
based
upon
a
Proposed
National
List,
with
annotations,
as
recommended
to
the
Secretary
by
the
National
Organic
Standards
Board
(
NOSB).
The
NOSB
is
established
by
the
OFPA
to
advise
the
Secretary
on
all
aspects
of
the
National
Organic
Program
(
NOP).
The
OFPA
prohibits
synthetic
substances
in
the
production
and
handling
of
organically
produced
agricultural
products
unless
such
synthetic
substances
are
placed
on
the
National
List.
Substances
appearing
on
the
National
List
are
designated
using
the
following
classifications:
1.
Synthetic
substances
allowed
for
use
in
organic
crop
production
2.
Nonsynthetic
substances
prohibited
for
use
in
organic
crop
production
3.
Synthetic
substances
allowed
for
use
in
organic
livestock
production
4.
Nonsynthetic
substances
prohibited
for
use
in
organic
livestock
production
5.
Nonagricultural
(
nonorganic)
substances
allowed
as
ingredients
in
or
on
processed
products
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))
6.
Nonorganically
produced
agricultural
products
allowed
as
ingredients
in
or
on
processed
products
labeled
as
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))
This
subpart
also
outlines
procedures
through
which
an
individual
may
petition
the
Secretary
to
evaluate
substances
for
developing
proposed
National
List
amendments
and
deletions.
The
NOSB
is
responsible
for
making
the
recommendation
of
whether
a
substance
is
248
suitable
for
use
in
organic
production
and
handling.
The
OFPA
allows
the
NOSB
to
develop
substance
recommendations
and
annotations
and
forward
to
the
Secretary
a
Proposed
National
List
and
any
subsequent
proposed
amendments.
We
have
made
every
effort
to
ensure
the
National
List
in
this
final
rule
corresponds
to
the
recommendations
on
allowed
and
prohibited
substances
made
by
the
NOSB.
In
developing
their
recommendations,
the
NOSB
evaluates
synthetic
substances
for
the
National
List
utilizing
the
criteria
stipulated
by
the
Act.
Additionally,
criteria
for
evaluating
synthetic
processing
ingredients
have
been
implemented
by
the
NOSB.
These
criteria
are
an
interpretation
and
application
of
the
general
evaluation
criteria
for
synthetic
substances
contained
in
the
OFPA
that
the
NOSB
will
apply
to
processing
aids
and
adjuvants.
The
NOSB
adopted
these
criteria
as
internal
guidelines
for
evaluating
processing
aids
and
adjuvants.
The
adopted
criteria
do
not
supersede
the
criteria
contained
in
the
OFPA
or
replace
the
Food
and
Drug
Administration's
(
FDA)
regulations
related
to
food
additives
and
generally
recognized
as
safe
(
GRAS)
substances.
The
NOSB
has
also
provided
recommendations
for
the
use
of
synthetic
inert
ingredients
in
formulated
pesticide
products
used
as
production
inputs
in
organic
crop
or
livestock
operations.
The
Environmental
Protection
Agency
(
EPA)
regulates
and
maintains
the
EPA
Lists
of
Inert
ingredients
used
for
pesticide.
In
this
final
rule,
EPA
Inerts
List
1
and
2
are
prohibited,
EPA
List
3
is
also
prohibited
unless
specifically
recommended
as
allowed
by
the
NOSB,
and
EPA
List
4
Inerts
are
allowed
unless
specifically
prohibited.
In
this
final
rule,
only
EPA
List
4
Inerts
are
allowed
as
ingredients
in
formulated
pesticide
products
used
in
organic
crop
and
livestock
production.
The
allowance
for
EPA
List
4
Inerts
only
applies
to
pesticide
formulations.
Synthetic
ingredients
in
any
formulated
products
used
as
organic
production
inputs,
including
pesticides,
fertilizers,
animal
drugs,
and
feeds,
must
be
249
included
on
the
National
List.
As
sanctioned
by
OFPA,
synthetic
substances
can
be
used
in
organic
production
and
handling
as
long
as
they
appear
on
the
National
List.
The
organic
industry
should
clearly
understand
that
NOSB
evaluation
of
the
wide
variety
of
inert
ingredients
and
other
nonactive
substances
will
require
considerable
coordination
between
the
NOP,
the
NOSB,
and
industry.
Materials
review
can
be
anticipated
as
one
of
the
NOSB's
primary
activities
during
NOP
implementation.
Considering
the
critical
nature
of
this
task,
the
organic
industry
should
make
a
collaborative
effort
to
prioritize
for
NOSB
review
those
substances
that
are
essential
to
organic
production
and
handling.
The
development
and
maintenance
of
the
National
List
has
been
and
will
be
designed
to
allow
the
use
of
a
minimal
number
of
synthetic
substances
that
are
acceptable
to
the
organic
industry
and
meet
the
OFPA
criteria.
We
expect
the
maintenance
of
the
National
List
to
be
a
dynamic
process.
We
anticipate
that
decisions
on
substance
petitions
for
the
inclusion
on
or
deletion
from
the
National
List
will
be
made
on
an
annual
basis.
Any
person
seeking
a
change
in
the
National
List
should
request
a
copy
of
the
petition
procedures
that
were
published
in
the
Federal
Register
(
65
Fed
Reg
43259
43261)
on
July
13,
2000,
from
the
NOP.
The
National
List
petition
process
contact
information
is:
Program
Manager,
National
Organic
Program,
USDA/
AMS/
TMP/
NOP,
Room
2945
S,
Ag
Stop
0268,
P.
O.
Box
96456,
Washington,
DC
20090
6456
or
visit
the
NOP
website:
www.
ams.
usda.
gov/
nop.
Substances
petitioned
for
inclusion
on
the
National
List
will
be
reviewed
by
the
NOSB,
which
will
forward
a
recommendation
to
the
Secretary.
Any
amendments
to
the
National
List
will
require
rulemaking
and
must
be
published
for
comment
in
the
Federal
Register.
Nothing
in
this
subpart
alters
the
authority
of
other
Federal
agencies
to
regulate
250
substances
appearing
on
the
National
List.
FDA
issues
regulations
for
the
safe
use
of
substances
in
food
production
and
processing.
USDA's
Food
Safety
and
Inspection
Service
(
FSIS)
has
the
authority
to
determine
efficacy
and
suitability
regarding
the
production
and
processing
of
meat,
poultry,
and
egg
products.
FDA
and
FSIS
restrictions
on
use
or
combinations
of
food
additives
or
GRAS
substances
take
precedence
over
the
approved
and
prohibited
uses
specified
in
this
final
rule.
In
other
words,
any
combinations
of
substances
in
food
processing
not
already
addressed
in
FDA
and
FSIS
regulations
must
be
approved
by
FDA
and
FSIS
prior
to
use.
FDA
and
FSIS
regulations
can
be
amended
from
time
to
time
under
their
rulemaking
procedures,
and
conditions
of
safe
use
of
food
additives
and
GRAS
substances
can
be
revised
by
the
amendment.
It
is
important
that
certified
organic
producers
and
handlers
of
both
crop
and
livestock
products
consult
with
FDA
regulations
in
21
CFR
parts
170
through
199
and
FSIS
regulations
in
this
regard.
All
feeds,
feed
ingredients,
and
additives
for
feeds
used
in
the
production
of
livestock
in
an
organic
operation
must
comply
with
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA).
Animal
feed
labeling
requirements
are
published
in
21
CFR
Part
501,
and
new
animal
drug
requirements
and
a
listing
of
approved
animal
drugs
are
published
in
21
CFR
Parts
510
558.
Food
(
feed)
additive
requirements,
a
list
of
approved
food
(
feed)
additives
generally
recognized
as
safe
substances,
substances
affirmed
as
GRAS,
and
substances
prohibited
from
use
in
animal
food
or
feed
are
published
in
21
CFR
570
571,
21
CFR
573,
21
CFR
582,
21
CFR
584,
and
21
CFR
589,
respectively.
Furthermore,
the
Food
and
Drug
Administration
has
worked
closely
with
the
Association
of
American
Feed
Control
Officials
(
AAFCO)
and
recognizes
the
list
of
additives
and
feedstuffs
published
in
the
AAFCO
Official
Publication,
which
is
updated
annually.
Under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
EPA
regulates
251
the
use
of
all
pesticide
products,
including
those
that
may
be
approved
for
use
in
the
NOP.
In
registering
a
pesticide
under
FIFRA,
EPA
approves
the
uses
of
each
pesticide
product.
It
is
a
violation
of
FIFRA
to
use
a
registered
product
in
a
manner
inconsistent
with
its
labeling.
The
fact
that
a
substance
is
on
the
National
List
does
not
authorize
use
or
a
pesticide
product
for
that
use
if
the
pesticide
product
label
does
not
include
that
use.
If
the
National
List
and
the
pesticide
labeling
conflict,
the
pesticide
labeling
takes
precedence
and
may
prohibit
a
practice
allowed
on
the
National
List.
National
List
Changes
Based
On
Comments
This
subpart
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Comprehensive
Prohibition
on
Excluded
Methods.
Many
commenters
supported
a
comprehensive
prohibition
on
the
use
of
excluded
methods
in
organic
production
and
handling.
These
commenters
stated
that
the
proposed
language
on
excluded
methods
could
have
allowed
some
uses
since
the
general
prohibition
described
in
section
205.301
of
the
proposed
rule
could
be
interpreted
as
applying
only
to
multiingredient
products.
In
order
to
provide
a
comprehensive
prohibition
on
the
use
of
excluded
methods,
we
incorporated
a
new
provision
within
section
205.105.
A
more
comprehensive
discussion
of
this
issue
is
found
in
subpart
B,
Applicability.
(
2)
Substance
Evaluation
Criteria
for
the
National
List.
Commenters
stated
that
the
final
rule
should
include
in
the
regulation
text
the
evaluation
criteria
utilized
by
the
NOSB
for
the
development
of
substance
recommendations.
We
agree,
and
we
have
inserted
the
substance
evaluation
criteria
developed
by
the
NOSB
for
processing
ingredients
and
cited
the
criteria
within
the
Act
(
7
U.
S.
C.
6518(
m))
for
crops
and
livestock
production
as
new
provisions
for
section
205.600,
which
is
now
entitled
"
Evaluation
criteria
for
allowed
and
prohibited
substances,
252
methods,
and
ingredients."
(
3)
Substances
Approved
for
Inclusion
on
the
National
List.
Commenters
stated
that
the
National
List
did
not
contain
all
of
the
substances
recommended
by
the
NOSB
for
inclusion
on
the
National
List
of
Allowed
and
Prohibited
Substances.
We
agree
and
have
added
the
following
substances
consistent
with
the
most
recent
NOSB
recommendations:
Crop
Production:
Lime
sulfur
as
a
plant
disease
control
substance
Elemental
sulfur
as
a
plant
or
soil
amendment
Copper
as
a
plant
or
soil
micronutrient
Streptomycin
sulfate
as
plant
disease
control
substances
with
the
annotation
"
for
fire
blight
control
in
apples
and
pears
only"
Terramycin
(
oxytetracycline
calcium
complex)
as
a
plant
disease
control
substance
with
the
annotation
"
for
fire
blight
control
only"
Magnesium
sulfate
as
a
plant
or
soil
amendment
with
the
annotation
"
allowed
with
a
documented
soil
deficiency"
Ethylene
as
a
plant
growth
regulator,
with
the
annotation
"
for
regulation
of
pineapple
flowering"
We
have
added
sodium
nitrate
and
potassium
chloride
to
the
National
List
as
nonsynthetic
substances
prohibited
for
use
in
crop
production
unless
used
in
accordance
with
the
substance
annotations.
Sodium
nitrate
is
prohibited
unless
use
is
restricted
to
no
more
than
20
percent
of
the
crop's
total
nitrogen
requirement.
Potassium
chloride
is
prohibited
unless
derived
from
a
mined
source
and
applied
in
a
manner
that
minimizes
chloride
accumulation
in
the
soil.
These
253
additions
are
discussed
further
in
item
3
under
Changes
Based
on
Comments,
subpart
C.
Livestock
Production:
Oxytocin
with
the
annotation
"
for
use
in
postparturition
therapeutic
applications"
EPA
List
4
inert
ingredients
as
synthetic
inert
ingredients
for
use
with
nonsynthetic
substances
or
synthetic
substances
allowed
in
organic
livestock
production.
Several
commenters
recommended
that
the
final
rule
should
specify
which
nonsynthetic
substances
are
prohibited
for
use
in
livestock
production.
These
commenters
stated
that
the
proposed
rule
prohibited
six
such
substances
for
use
in
crop
production
and
maintained
that
an
analogous
list
for
livestock
operations
would
be
beneficial.
Of
the
six
nonsynthetic
substances
in
the
proposed
rule
prohibited
for
use
in
crop
production,
four
were
based
on
NOSB
recommendations
(
strychnine,
tobacco
dust,
sodium
fluoaluminate
(
mined),
and
ash
from
burning
manure)
and
two
were
based
on
statutory
provisions
in
the
OFPA
(
arsenic
and
lead
salts).
After
reviewing
these
substances
and
the
NOSB
recommendations,
we
determined
that
the
prohibition
for
one,
strychnine,
also
applies
to
livestock
production.
Individuals
may
petition
the
NOSB
to
have
additional
nonsynthetic
substances
prohibited
for
use
in
organic
crop
and
livestock
production.
Organic
Handling
(
Processing):
Tribasic
calcium
phosphate
Nonsynthetic
colors
Flavors,
with
the
annotation
"
nonsynthetic
sources
only
and
must
not
be
produced
using
synthetic
solvents
and
carrier
systems
or
any
artificial
preservatives"
Nonsynthetic
waxes,
carnauba
wax,
wood
resin
254
Cornstarch
(
native),
gums,
kelp,
lecithin
and
pectin
were
moved
from
section
205.605
to
section
205.606
(
4)
Substance
Removed
from
the
National
List.
Commenters
stated
that
certain
substances
on
the
National
List
in
the
proposed
rule
had
not
been
recommended
by
the
NOSB.
We
agree
with
the
comment
that
the
NOSB
did
not
recommend
that
magnesium
should
be
allowed
as
a
plant
or
soil
micronutrient
and
have
removed
it
from
the
National
List.
(
5)
Changes
in
Substance
Annotations
on
the
National
List.
Commenters
stated
that
certain
annotations
in
the
proposed
rule
did
not
capture
the
precise
recommendations
of
the
NOSB.
We
agree
and
have
amended
the
annotations
within
the
National
List
as
follows:
The
annotation
for
hydrated
lime
as
a
plant
disease
control
substance
now
states,
"
must
be
used
in
a
manner
that
minimizes
accumulation
of
copper
in
the
soil."
The
annotation
for
horticultural
oils
as
an
insecticide
substance
and
as
a
plant
disease
control
substance
now
states,
"
Narrow
range
oils
as
dormant,
suffocating,
and
summer
oils."
The
annotation
for
hydrated
lime
in
livestock
production
now
states,
"
not
permitted
for
soil
application
or
to
cauterize
physical
alterations
or
deodorize
animal
wastes."
The
annotation
for
the
allowed
synthetic
parasiticide
Ivermectin
has
been
modified
to
state
that
the
substance
may
not
be
used
during
the
lactation
period
of
breeding
stock.
The
annotation
for
trace
minerals
and
vitamins
allowed
as
feed
additives
has
been
modified
and
now
states,
"
used
for
enrichment
or
fortification
when
FDA
approved."
The
annotation
for
magnesium
sulfate
in
organic
handling
now
states,
"
nonsynthetic
sources
only."
The
annotation
for
EPA
List
4
Inerts
allowed
in
crop
and
livestock
production
has
been
255
modified
to
state,
"...
for
use
with
nonsynthetic
substances
or
synthetic
substances
listed
in
this
section..."
(
6)
Sulfur
Dioxide
for
Organic
Wines.
Many
commenters
recommended
that
this
final
rule
should
allow
for
the
use
of
sulfur
dioxide
in
wine
labeled
"
made
with
organic
grapes."
They
argued
that
sulfur
dioxide
is
necessary
in
organic
wine
production
and
that
prohibiting
its
use
would
have
a
negative
impact
on
organic
grape
production
and
wineries
that
produce
wine
labeled
"
made
with
organic
grapes."
The
prohibition
on
the
use
of
sulfur
dioxide
in
the
proposed
rule
was
based
upon
the
requirement
in
the
Act
that
prohibited
the
addition
of
sulfites
to
organically
produced
foods.
However,
a
change
in
the
Act
now
allows
the
use
of
sulfites
in
wine
labeled
as
"
made
with
organic
grapes."
Therefore,
we
have
added
sulfur
dioxide
to
the
National
List
with
the
annotation,
"
for
use
only
in
wine
labeled
`
made
with
organic
grapes,'
Provided,
That,
total
sulfite
concentration
does
not
exceed
100
ppm."
The
label
for
the
wine
must
indicate
the
presence
of
sulfites.
This
addition
to
the
National
List
is
also
in
agreement
with
the
NOSB
recommendation
for
allowing
the
use
of
sulfur
dioxide
in
producing
wine
to
be
labeled
as
"
made
with
organic
grapes."
National
List
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Restructuring
the
National
List.
Commenters
requested
a
restructuring
of
the
National
List
to
improve
its
clarity
and
ease
of
use.
Some
of
the
commenters
asked
for
minor
changes
involving
the
wording
of
section
titles.
Other
commenters
were
opposed
to
the
categories
used
in
the
National
List
because
the
categories
are
not
in
compliance
with
the
Act.
In
256
its
June
2000
meeting,
the
NOSB
asked
the
NOP
to
review
a
proposal
from
a
research
institute
proposing
that
processing
materials
for
the
National
List
be
categorized
according
to
industry
standards.
This
proposal
recommended
including
new
sections
for
substances
used
in
"
made
with..."
and
substances
used
in
the
5
percent
nonorganic
portion
of
"
organic"
multiingredient
products.
We
agree
that
the
present
structure
of
the
National
List
may
not
have
optimum
clarity
and
ease
of
use.
However,
extensive
restructuring
of
the
National
List
without
additional
NOSB
consideration
and
public
discussion
would
be
a
significant
variation
from
the
policy
that
established
the
National
List
for
this
final
rule.
The
NOP
will
work
with
the
NOSB
and
the
public
to
refine
the
National
list
consistent
with
industry
norms
and
public
expectations.
(
2)
Use
of
EPA
List
4
Inerts.
The
proposed
rule
allowed
EPA
List
4
Inerts
to
be
used
as
synthetic
inert
ingredients
with
allowed
synthetic
active
ingredients
in
crop
production.
Some
commenters
stated
that
certain
substances
among
the
EPA
List
4
inerts
should
not
be
allowed
in
organic
production.
Some
commenters
went
further
and
recommended
that
the
allowance
for
synthetic
inert
ingredients
should
be
limited
to
the
subset
of
materials
that
the
EPA
designates
as
List
4A.
We
do
not
agree
with
these
commenters
and
have
retained
the
allowance
for
all
inerts
included
on
EPA
List
4.
List
4
inerts
are
classified
by
EPA
as
those
of
"
minimal
concern"
and,
after
continuing
consultation
with
EPA,
we
believe
there
is
no
justification
for
a
further
restriction
to
List
4A.
If
commenters
believe
that
a
particular
List
4
inert
should
not
be
allowed
in
formulated
products
used
in
organic
production,
they
can
petition
the
NOSB
to
have
that
substance
prohibited.
(
3)
Removing
Vaccines
from
the
National
List.
Some
commenters
asserted
that
vaccines
should
not
be
included
on
the
National
List
because
the
NOSB
had
never
favorably
recommended
257
their
use
in
livestock
production.
However,
the
OFPA
authorizes
the
use
of
vaccines,
and
in
1995,
the
NOSB
recommended
allowing
their
use.
The
NOSB
stated
that
use
of
vaccines
may
be
necessary
to
ensure
the
health
of
the
animal
and
to
remain
in
compliance
with
Federal,
State,
or
regional
regulations.
We
agree
with
the
NOSB's
recommendation
and
have
retained
vaccines
as
an
allowed
substance
in
livestock
medication.
(
4)
Adding
Amino
Acids
to
the
National
List.
Some
commenters
recommended
that
amino
acids
should
be
added
to
the
National
List
as
allowed
synthetic
substances
for
livestock
production.
We
have
not
added
amino
acids
to
the
National
List
because
the
NOSB
has
not
recommended
that
they
should
be
allowed.
This
subject
is
discussed
further
in
item
4,
Livestock
Changes
Based
on
Comments,
subpart
C.
(
5)
Creating
a
Category
for
Prohibited
Nonsynthetic
Seed
Treatments.
A
commenter
stated
that
the
National
List
of
nonsynthetic
substances
prohibited
for
use
in
crop
production
should
include
provisions
for
seed
treated
with
a
nonsynthetic
substance.
This
commenter
stated
that
the
final
rule
should
acknowledge
that
a
nonsynthetic
seed
treatment
could
be
prohibited
on
the
National
List.
We
do
not
believe
it
is
necessary
to
include
a
separate
category
for
seed
treatments
under
the
prohibited
nonsynthetic
section
of
the
National
List.
An
individual
may
petition
the
NOSB
to
have
a
particular
nonsynthetic
seed
treatments
placed
on
the
prohibited
list
without
creating
a
new
category
for
seed
treatments.
(
6)
Creating
a
Category
for
Treated
Seed
and
Toxins
Derived
from
Bacteria.
Commenters
stated
that
the
National
List
of
synthetic
substances
allowed
in
crop
production
should
include
categories
for
treated
seed
and
toxins
derived
from
bacteria.
These
commenters
stated
that
these
categories
are
sanctioned
by
the
OFPA,
and
failure
to
consider
them
would
place
258
a
significant
burden
on
organic
producers.
We
believe
it
is
unnecessary
to
include
these
categories
on
the
National
List.
Specific
substances
from
these
categories
could
be
incorporated
in
existing
categories
that
reflect
their
function,
such
as
plant
disease
control
or
insecticide.
An
individual
may
submit
petitions
to
the
NOSB
to
have
specific
substances
from
these
categories
considered
for
inclusion
on
the
National
List.
(
7)
Remove
Categories
for
Feed
Supplements.
A
commenter
stated
that
it
was
inappropriate
for
the
National
List
of
synthetic
substances
allowed
in
livestock
production
to
contain
categories
for
feed
supplements
and
feed
additives
because
they
are
not
authorized
in
the
OFPA.
We
disagree
with
this
commenter
because
the
identification
of
categories
on
the
National
List
does
not
mean
that
all
substances
within
that
category
are
allowed.
The
categories
help
to
clarify
which
types
of
materials
may
be
included
on
the
National
List.
The
substances
included
under
the
categories
of
feed
supplements
and
feed
additives
were
recommended
by
the
NOSB
and
added
to
the
National
List
with
the
Secretary's
approval.
(
8)
Neurotoxic
Substances
on
the
National
List.
Many
commenters
requested
that
the
NOP
remove
particular
substances
from
section
205.605
of
the
National
List.
They
stated
these
substances
were
sources
of
neurotoxic
compounds
that
negatively
effect
human
health.
The
substances
cited
were
yeast
(
autolysate
and
brewers),
carrageenan,
and
enzymes.
Moreover,
these
commenters
argued
against
including
on
the
National
List
some
amino
acids
or
their
derivatives
which
the
commenters
claim
have
neurotoxic
side
effects.
These
commenters
requested
that
amino
acids
should
be
prohibited
from
the
National
List
due
to
the
possibility
that
neurotoxic
substances
could
be
utilized
for
either
organic
agricultural
production
or
handling.
We
do
not
agree
with
the
requests
of
the
commenters
and
we
have
not
made
the
requested
259
changes.
There
are
no
amino
acids
currently
on
the
National
List;
therefore,
synthetic
sources
of
amino
acids
are
prohibited.
Unless
recommended
for
use
by
the
NOSB,
synthetic
amino
acids
will
not
be
included
on
the
National
List.
The
NOP
has
established
a
petition
process
for
substances
to
be
evaluated
for
inclusion
on
or
removal
from
the
National
List
of
Allowed
and
Prohibited
Substances
in
organic
production
and
handling.
Anyone
seeking
to
have
a
particular
substance
removed
from
the
National
List
may
file
a
substance
petition
to
amend
the
National
List.
(
9)
EPA
List
4
Inerts
for
Organic
Processing.
A
few
commenters
recommended
that
substances
in
EPA
List
4
inerts
that
are
allowed
for
use
in
crop
production
also
be
allowed
for
use
as
processing
materials.
We
do
not
agree,
and
we
have
not
included
EPA
List
4
Inerts
on
the
National
List
for
organic
handling.
Inerts
listed
on
EPA
List
4
have
been
evaluated
and
approved
for
use
in
pesticide
formulations,
not
for
use
as
processing
materials.
Inerts
that
are
included
on
EPA
List
4
would
have
to
be
further
evaluated
to
determine
whether
such
materials
meet
the
criteria
for
inclusion
on
the
National
List.
(
10)
Modifying
Annotations
of
Organic
Processing
Substances.
One
commenter
requested
that
the
Department
modify
the
annotation
for
phosphoric
acid
to
include
its
use
as
a
processing
aid.
We
have
not
made
the
suggested
change.
Any
change
in
the
annotation
of
a
substance
can
only
occur
through
an
NOSB
recommendation.
Individuals
or
groups
can
use
the
petition
process
to
submit
substance
petitions
to
the
NOSB
for
the
evaluation
to
be
included
on
or
removed
from
the
National
List.
(
11)
Nutritional
Supplementation
of
Organic
Foods.
Some
commenters
asserted
that
21
CFR
104.20
is
not
an
adequate
stand
alone
reference
for
nutritional
supplementation
of
organic
foods.
As
a
result,
these
commenters
recommended
that
the
final
rule
include
as
additional
cites
260
21
CFR
101.9(
c)(
8)
for
FDA
regulated
foods
and
9
CFR
317.30(
c),
318.409(
c)(
8)
for
foods
regulated
by
FSIS
to
support
21
CFR
104.20.
We
did
not
implement
the
suggested
changes
of
the
commenters.
Section
205.605(
b)(
20)
in
the
proposed
rule
allowed
the
use
of
synthetic
nutrient
vitamins
and
minerals
to
be
used
in
accordance
with
21
CFR
104.20,
Nutritional
Quality
Guidelines
For
Foods,
as
ingredients
in
processed
products
to
be
sold
as
"
organic"
or
"
made
with..."
The
commenters
recommended
cites,
21
CFR
101.9(
c)(
8)
for
FDA
regulated
foods
and
9
CFR
317.30(
c);
section
318.409(
c)(
8)
did
not
provide
provisions
for
nutritional
supplementation
of
foods.
Instead,
these
suggested
cites
were
particularly
aimed
toward:
(
1)
the
declaration
of
nutrition
information
on
the
label
and
in
labeling
of
a
food;
(
2)
labeling,
marking
devices,
and
containers;
(
3)
entry
into
official
establishments;
and
(
4)
reinspection
and
preparation
of
products.
The
NOP,
in
consultation
with
FDA,
considers
21
CFR
104.20
to
be
the
most
appropriate
reference
regarding
nutritional
supplementation
for
organic
foods.
(
12)
National
List
Petition
Process
as
Part
of
the
Final
Rule.
Commenters
have
requested
that
the
National
List
Petition
Process,
approved
by
the
NOSB
at
its
June
2000
meeting
(
and
published
in
the
Federal
Register
on
July
13,
2000),
be
included
in
the
final
rule.
We
do
not
agree
with
the
commenters,
and
we
have
retained
the
National
List
Petition
Process
regulation
language
from
the
proposed
rule.
We
have
separated
the
specific
petition
process
from
the
regulation
to
provide
for
maximum
flexibility
to
change
and
clarify
the
petition
process
to
accommodate
new
considerations
developed
during
the
NOP
implementation.
If
this
process
were
part
of
this
final
rule,
updates
to
the
petition
process
would
require
notice
and
comment
rulemaking.
Any
changes
in
the
National
List
that
may
be
a
result
of
the
petition
process,
however,
would
require
notice
and
comment
rulemaking.
261
(
13)
Nonapproved
Substance
Amendments
to
the
National
List.
Commenters
also
requested
to
have
many
substances
that
are
not
on
the
National
List
and
that
have
not
be
recommended
by
the
NOSB
for
use
in
organic
production
and
handling
be
added
to
the
National
List.
We
do
not
agree.
Amendments
to
the
National
List
must
be
petitioned
for
NOSB
consideration,
must
have
an
NOSB
recommendation,
and
must
be
published
for
public
comment
in
the
Federal
Register.
National
List
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters
as
follows:
(
1)
Inerts
Use
in
Botanical
or
Microbial
Pesticides.
Commenters
expressed
concern
that
the
prohibition
on
the
use
of
EPA
List
3
inerts
would
prevent
organic
producers
from
using
certain
botanical
or
microbial
formulated
products
that
are
currently
allowed
under
some
certification
programs.
These
commenters
requested
that
the
NOP
and
the
NOSB
expedite
the
evaluation
of
List
3
inerts
used
in
nonsynthetic
formulated
products
to
prevent
the
loss
of
certain
formulated
products.
The
prohibition
of
List
3
inerts
was
based
on
the
recommendation
of
the
NOSB
to
add
only
those
substances
from
List
4
to
the
National
List.
The
NOSB
also
recommended
that
individual
inert
substances
included
on
List
3
could
be
petitioned
for
addition
to
the
National
List.
The
NOP
has
requested
that
the
NOSB
identify
for
expedited
review
those
List
3
inerts
that
are
most
important
in
formulated
products
used
in
organic
production.
Individuals
may
petition
to
have
these
inerts
considered
for
inclusion
on
the
National
List.
Additionally,
the
NOP
will
work
with
the
EPA
and
the
registrants
of
formulated
products
to
expedite
review
of
List
3
inerts
currently
included
in
formulated
products
used
in
organic
production.
Unless
List
3
inerts
are
moved
to
List
4
or
individually
added
to
the
National
List,
262
they
are
prohibited
for
use
in
organic
production.
(
2)
Prohibiting
Ash,
Grit,
and
Screenings
Derived
from
Sewage
Sludge.
Many
commenters
recommended
that
the
ash,
grit,
and
screenings
derived
from
the
production
of
sewage
sludge
should
be
added
to
the
National
List
as
nonsynthetic
materials
prohibited
for
use
in
crop
production.
While
the
use
of
sewage
sludge,
including
ash,
grit,
and
screenings,
is
prohibited
in
organic
production,
we
did
not
add
them
to
the
National
List
as
prohibited
nonsynthetic
substances.
This
subject
is
discussed
further
under
subpart
A,
Definitions
Changes
Requested
But
Not
Made.
(
3)
Allowed
Uses
for
Pheromones.
Some
commenters
were
concerned
that
the
annotation
for
using
pheromones
as
"
insect
attractants"
was
too
limiting
and
would
not
include
uses
such
as
mating
disruption,
trapping,
and
monitoring.
The
annotation
for
pheromones
does
not
preclude
any
use
for
a
pheromone
that
is
otherwise
allowed
by
Federal,
State,
or
local
regulation.
(
4)
Nonagricultural
Products
as
Livestock
Feed
Ingredients.
Some
commenters
questioned
whether
nonsynthetic,
nonagricultural
substances
such
as
fishmeal
and
crushed
oyster
shell
needed
to
be
added
to
the
National
List
to
be
used
in
livestock
feed.
Nonsynthetic
substances
do
not
have
to
appear
on
the
National
List
and
may
be
used
in
organic
livestock
feed,
provided
that
they
are
used
in
compliance
with
the
FFDCA.
This
subject
is
discussed
further
under
item
4,
Livestock
Changes
Based
on
Comments,
subpart
C.
(
5)
Chlorine
Disinfectant
Limit
Annotation
for
Organic
Production
and
Handling.
Some
commenters
requested
clarification
on
the
annotation
for
using
chlorine
materials
as
an
allowed
synthetic
substance
in
crop
and
handling
operations.
The
annotation
in
the
proposed
rule,
which
263
has
been
retained
in
the
final
rule,
stated
that
"
residual
chlorine
levels
in
the
water
shall
not
exceed
the
maximum
residual
disinfectant
limit
under
the
Safe
Water
Drinking
Act."
With
this
annotation,
the
residual
chlorine
levels
at
the
point
where
the
waste
water
stream
leaves
the
production
or
handling
operation
must
meet
limits
under
the
Safe
Drinking
Water
Act.
(
6)
Tobacco
Use
in
Organic
Production.
One
commenter
questioned
whether
forms
of
tobacco
other
than
tobacco
dust,
such
as
water
extracts
or
smoke,
were
prohibited
nonsynthetic
substances.
The
technical
advisory
panel
(
TAP)
review
on
which
the
NOSB
based
its
recommendation
to
prohibit
tobacco
dust
identified
nicotine
sulfate
as
the
active
ingredient.
Therefore,
any
substance
containing
nicotine
sulfate
as
an
active
ingredient
is
prohibited
in
crop
production.
(
7)
Nonsynthetic
Agricultural
Processing
Aids
on
the
National
List.
A
commenter
requested
clarification
from
the
NOP
on
whether
processing
aids
(
e.
g.,
defoaming
agents),
which
are
nonsynthetic
and
nonorganic
agricultural
substances
(
e.
g.,
soybean
oil),
must
appear
on
the
National
List
when
used
in
processing.
In
the
this
regulation,
a
nonsynthetic
and
nonorganic
agricultural
product,
such
as
soybean
oil,
used
as
a
processing
aid
does
not
have
to
appear
on
the
National
List.
Such
products
are
included
in
the
provision
in
section
205.606
that
nonorganically
produced
agricultural
products
may
be
used
in
accordance
with
any
applicable
restrictions
when
the
substance
is
not
commercially
available
in
organic
form.
(
8)
Transparency
of
the
National
List
Petition
Process.
Some
commenters
stated
the
petition
process
for
amending
the
National
List
appears
to
have
limited
public
access
and
should
be
more
transparent.
These
commenters
advocate
that
any
amendments
to
the
National
List
should
be
subject
to
notice
and
comment.
They
also
requested
clarity
on
how
petitions
are
264
prioritized
and
reviewed
and
the
timeframes
for
review.
Additionally,
these
commenters
asked
the
NOP
to
expedite
the
review
of
materials
for
the
National
List.
On
July
13,
2000,
AMS
published
in
the
Federal
Register
(
Vol.
65,
43259
43261)
guidelines
for
submitting
petitions
for
the
evaluations
of
substances
for
the
addition
to
or
removal
from
the
National
List.
In
this
notice,
the
NOP
stated
that
most
petition
information
is
available
for
public
inspection
with
the
exception
of
information
considered
to
be
"
confidential
business
information."
The
notice
also
specified
that
any
changes
to
the
National
List
must
be
published
in
the
Federal
Register
for
public
comment.
The
published
petition
notice
has
also
provided
an
indication
to
the
industry
about
the
urgency
of
the
need
for
substance
review
and
that
the
industry
should
provide
pertinent
information
to
the
NOSB
to
expedite
the
review
of
materials
not
on
the
National
List.
State
Organic
Programs
The
Act
provides
that
each
State
may
implement
an
organic
program
for
agricultural
products
that
have
been
produced
and
handled
within
the
State,
using
organic
methods
that
meet
the
requirements
of
the
Act
and
these
regulations.
The
Act
further
provides
that
a
State
organic
program
(
SOP)
may
contain
more
restrictive
requirements
for
organic
products
produced
and
handled
within
the
State
than
are
contained
in
the
National
Organic
Program
(
NOP).
All
SOP's
and
subsequent
amendments
thereto
must
be
approved
by
the
Secretary.
A
State
may
have
an
SOP
but
not
have
a
State
certifying
agent.
A
State
may
have
a
State
certifying
agent
but
no
SOP.
Finally,
a
State
may
have
an
SOP
and
a
State
certifying
agent.
In
all
cases,
the
SOP's
must
be
approved
by
the
Secretary.
In
all
cases,
the
State
certifying
agent
must
apply
for
and
receive
accreditation
to
certify
organic
production
or
handling
operations
pursuant
to
subpart
F.
265
In
States
with
an
approved
SOP,
the
SOP's
governing
State
official
is
responsible
for
administering
a
compliance
program
for
enforcement
of
the
NOP
and
any
more
restrictive
requirements
contained
in
the
SOP.
The
SOP
governing
State
officials
may
review
and
investigate
complaints
of
noncompliance
involving
organic
production
or
handling
operations
operating
within
their
State
and,
when
appropriate,
initiate
suspension
or
revocation
of
certification.
The
SOP
governing
State
officials
may
also
review
and
investigate
complaints
of
noncompliance
involving
accredited
certifying
agents
operating
within
their
State.
They
must
report
the
findings
of
any
review
and
investigation
of
a
certifying
agent
to
the
NOP
Program
Manager
along
with
any
recommendations
for
appropriate
action.
States
that
do
not
have
an
SOP
will
not
be
responsible
for
compliance
under
the
NOP,
except
that
an
accredited
State
certifying
agent
operating
within
such
State
will
have
compliance
responsibilities
under
the
NOP
as
a
condition
of
its
accreditation.
The
sections
covering
SOP's,
beginning
with
section
205.620,
establish:
(
1)
the
requirements
for
an
SOP
and
amending
such
a
program
and
(
2)
the
process
for
approval
of
an
SOP
and
amendments
to
the
SOP's.
Review
and
approval
of
an
SOP
will
occur
not
less
than
once
during
each
5
year
period.
Review
related
to
compliance
matters
may
occur
at
any
time.
Description
of
Regulations
State
Organic
Program
Requirements
A
State
may
establish
an
SOP
for
production
and
handling
operations
within
the
State
that
produces
and
handles
organic
agricultural
products.
The
SOP
and
supporting
documentation
must
demonstrate
that
the
SOP
meets
the
requirements
for
organic
programs
specified
in
the
Act.
An
SOP
may
contain
more
restrictive
requirements
governing
the
production
and
handling
266
of
organic
products
within
the
State.
Such
requirements
must
be
based
on
environmental
conditions
or
specific
production
or
handling
practices
particular
to
the
State
or
region
of
the
United
States,
which
necessitates
the
more
restrictive
requirement.
More
restrictive
requirements
must
be
justified
and
shown
to
be
consistent
with
and
to
further
the
purposes
of
the
Act
and
the
regulations
in
this
part.
Requirements
necessitated
by
an
environmental
condition
that
is
limited
to
a
specific
geographic
area
of
the
State
should
only
be
required
of
organic
production
and
handling
operations
operating
within
the
applicable
geographic
area.
If
approved
by
the
Secretary,
the
more
restrictive
requirements
will
become
the
NOP
regulations
for
organic
producers
and
handlers
in
the
State
or
applicable
geographical
area
of
the
State.
All
USDAaccredited
certifying
agents
planning
to
operate
within
a
State
with
an
SOP
will
be
required
to
demonstrate
their
ability
to
comply
with
the
SOP's
more
restrictive
requirements.
No
provision
of
an
SOP
shall
discriminate
against
organic
agricultural
products
produced
by
production
or
handling
operations
certified
by
certifying
agents
accredited
or
accepted
by
USDA
pursuant
to
section
205.500.
Specifically,
an
SOP
may
not
discriminate
against
agricultural
commodities
organically
produced
in
other
States
in
accordance
with
the
Act
and
the
regulations
in
this
part.
Further,
an
SOP
may
not
discriminate
against
agricultural
commodities
organically
produced
by
production
or
handling
operations
certified
by
foreign
certifying
agents
operating
under:
(
1)
standards
determined
by
USDA
to
meet
the
requirements
of
this
part
or
(
2)
an
equivalency
agreement
negotiated
between
the
United
States
and
a
foreign
government.
To
receive
approval
of
its
SOP,
a
State
must
assume
enforcement
obligations
in
the
State
for
the
requirements
of
this
part
and
any
more
restrictive
requirements
included
in
the
SOP
and
approved
by
the
Secretary.
Specifically,
the
State
must
ensure
compliance
with
the
Act,
the
267
regulations
in
this
part,
and
the
provisions
of
the
SOP
by
certified
production
and
handling
operations
operating
within
the
State.
The
SOP
must
include
compliance
and
appeals
procedures
equivalent
to
those
provided
for
under
the
NOP.
An
SOP
and
any
amendments
thereto
must
be
approved
by
the
Secretary
prior
to
implementation
by
the
State.
State
Organic
Program
Approval
Process
An
SOP
and
subsequent
amendments
thereto
must
be
submitted
to
the
Secretary
by
the
SOP's
governing
State
official
for
approval
prior
to
implementation.
A
request
for
approval
of
an
SOP
must
contain
supporting
materials
that
include
statutory
authorities,
program
descriptions,
documentation
of
environmental
or
ecological
conditions
or
specific
production
and
handling
practices
particular
to
the
State
which
necessitate
more
restrictive
requirements
than
the
requirements
of
this
part,
and
other
information
as
may
be
required
by
the
Secretary.
A
request
for
amendment
of
an
approved
SOP
must
contain
supporting
materials
that
include
an
explanation
and
documentation
of
the
environmental
or
ecological
conditions
or
specific
production
practices
particular
to
the
State
or
region,
which
necessitate
the
proposed
amendment.
Supporting
material
also
must
explain
how
the
proposed
amendment
furthers
and
is
consistent
with
the
purposes
of
the
Act
and
the
regulations
in
this
part.
Each
request
for
approval
of
an
SOP
or
amendment
to
an
SOP
and
its
supporting
materials
and
documentation
will
be
reviewed
for
compliance
with
the
Act
and
these
regulations.
Within
6
months
of
receiving
the
request
for
approval,
the
Secretary
will
notify
the
SOP's
governing
State
official
of
approval
or
disapproval.
A
disapproval
will
include
the
reasons
for
disapproval.
A
State
receiving
a
notice
of
disapproval
of
its
SOP
or
amendment
to
its
SOP
may
268
submit
a
revised
SOP
or
amendment
to
its
SOP
at
any
time.
Review
of
State
Organic
Programs
SOP's
will
be
reviewed
at
least
once
every
5
years
by
the
Secretary
as
required
by
section
6507(
c)(
1)
of
the
Act.
The
Secretary
will
notify
the
SOP's
governing
State
official
of
approval
or
disapproval
of
the
program
within
6
months
after
initiation
of
the
review.
State
Organic
Programs
Changes
Based
on
Comments
This
portion
of
subpart
G
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Publication
of
SOP's
and
Consideration
of
Public
Comments.
Some
commenters
assert
that
the
USDA
should
not
publish
SOP
provisions
for
public
comment
in
the
Federal
Register.
These
commenters
argued
that
it
is
not
appropriate
for
the
NOP
to
have
nonresidents
commenting
on
a
particular
State
program
as
nearly
all
States
have
a
mechanism
to
ensure
full
public
participation
in
their
regulation
promulgation.
They
believe
the
comment
process
set
forth
in
the
proposed
rule
is
a
redundant
and
unacceptable
intrusion
on
State
sovereignty.
We
will
not
publish
for
public
comment
the
provisions
of
SOP's
under
review
by
the
Secretary
in
the
Federal
Register.
We
have
removed
the
provision
from
this
final
rule,
described
in
section
205.621(
b),
requiring
the
Secretary
to
publish
in
the
Federal
Register
for
public
comment
a
summary
of
the
SOP
and
a
summary
of
any
amendment
to
such
a
program.
Alternatively,
we
will
announce
which
SOP's
are
being
reviewed
through
the
NOP
website.
The
NOP
will
issue
public
information
notices
that
will
announce
each
approved
SOP
and
any
approved
amendments
to
an
existing
State
program.
The
notices
will
identify
the
characteristics
of
the
approved
State
program
that
warranted
the
more
restrictive
organic
production
or
handling
requirements.
We
also
will
include
a
summary
of
the
new
program
on
the
NOP
website.
269
(
2)
NOP
Oversight
of
SOP's.
Several
commenters
stated
that,
in
the
proposed
rule,
the
provisions
did
not
provide
a
comprehensive
description
of
organic
programs
operated
by
States
that
would
be
under
NOP
authority.
Some
commenters
implied
that
the
proposed
rule
would
only
include
States
with
organic
certification
programs,
while
other
commenters
inquired
whether
the
sections
205.620
to
205.622
included
other
SOP
activities
beyond
certification.
To
address
the
commenters'
concerns,
we
have
modified
the
section
heading
by
adding
the
term,
"
organic,"
and
removing
the
term,
"
certification,"
from
the
description
and
definition
of
SOP's.
We
have
taken
this
action
to
clarify
that,
while
certification
is
one
component
of
the
requirements,
it
does
not
define
the
extent
of
evaluation
of
State
programs
that
will
be
conducted
by
the
NOP.
SOP's
can
choose
not
to
conduct
certification
activities
under
their
existing
organic
program.
State
programs
whose
provisions
fall
within
the
scope
of
the
eleven
general
provisions
described
in
the
Act
(
7
U.
S.
C.
6506)
will
require
Departmental
review.
States
may
conduct
other
kinds
of
organic
programs
that
will
not
need
review
and
approval
by
the
NOP.
Examples
of
these
other
programs
may
include:
organic
promotion
and
research
projects,
marketing;
transition
assistance
or
cost
share
programs,
registration
of
State
organic
production
and
handling
operations,
registration
of
certifying
agents
operating
within
the
State,
or
a
consumer
referral
program.
The
NOP
will
not
regulate
such
State
activities.
Such
programs
may
not
advertise,
promote,
or
otherwise
infer
that
the
State's
organic
products
are
more
organic
or
better
than
organic
product
produced
in
other
States.
Such
programs
and
projects
would
be
beyond
the
scope
of
this
national
program
and
will
not
be
subject
to
the
Secretary's
review.
State
Organic
Programs
Changes
Requested
But
Not
Made
270
(
1)
Limitations
on
SOP
More
Restrictive
Requirements.
Commenters
expressed
concern
that
limiting
a
State's
ability
to
craft
a
regulation
designated
as
a
more
restrictive
requirement
to
environmental
conditions
or
specific
production
and
handling
practices
would
hinder
the
ongoing
development
of
SOP's.
They
were
concerned
that
any
State
legislation
modifying
the
SOP
would
need
to
be
preapproved
by
the
Secretary.
We
have
retained
the
provision
limiting
the
scope
of
more
restrictive
requirements
States
can
include
in
their
organic
program
as
described
in
section
205.620(
c).
We
believe
the
language
contained
in
the
provision
is
broad
enough
to
facilitate
the
development
of
SOP's
without
hindering
development
or
State
program
implementation
and
enforcement.
Section
6507(
b)(
1)
of
the
Act
provides
that
States
may
establish
more
restrictive
organic
certification
requirements;
paragraph
(
b)(
2)
establishes
parameters
for
those
requirements.
More
restrictive
SOP
requirements
must:
further
the
purposes
of
the
Act,
be
consistent
with
the
Act,
not
discriminate
against
other
State's
agricultural
commodities,
and
be
approved
by
the
Secretary
before
becoming
effective.
We
expect
that
a
State's
more
restrictive
requirements
are
likely
to
cover
specific
organic
production
or
handling
practices
to
address
a
State's
specific
environmental
conditions.
The
Secretary
will
approve
State's
requests
for
more
restrictive
State
requirements
that
are
consistent
with
the
purposes
of
the
Act.
However,
we
believe
requests
from
States
for
more
restrictive
requirements
will
be
rare.
Although
SOP's
can
impose
additional
requirements,
we
believe
States
will
be
reluctant
to
put
their
program
participants
at
a
competitive
disadvantage
when
compared
to
producers
and
handlers
in
other
States
absent
compelling
environmental
conditions
or
a
compelling
need
for
special
production
and
handling
practices.
While
preapproval
of
State
legislation
modifying
an
existing
SOP
is
not
required,
the
NOP
envisions
a
close
271
consultation
with
States
with
existing
programs
to
ensure
consistency
with
the
final
rule.
(
2)
SOP
Enforcement
Obligations.
Some
commenters
expressed
concern
about
States
having
adequate
resources
available
to
implement
enforcement
activities
that
they
are
obligated
to
conduct
under
the
NOP.
A
few
of
these
commenters
argue
that
the
enforcement
obligation
will
result
in
their
State
programs
being
discontinued.
A
few
commenters
cited
a
lack
of
federal
funding
to
support
State
enforcement
obligations
and
suggested
the
NOP
provide
funding
for
enforcement
activities.
The
proposed
rule
indicated
that
States
with
organic
programs
must
assume
enforcement
obligations
for
this
regulation
within
their
State.
We
have
retained
this
enforcement
obligation
in
section
205.620(
d).
Many
States
currently
have
organic
programs
with
the
kind
of
comprehensive
enforcement
and
compliance
mechanisms
necessary
for
implementing
any
State
regulatory
program.
Assuming
those
enforcement
activities
are
consistent
with
the
NOP,
this
final
rule
adds
no
additional
regulatory
burden
to
the
SOP's.
The
costs
associated
with
the
enforcement
activities
of
an
approved
SOP
should
be
similar
to
the
enforcement
costs
associated
with
the
existing
State
program.
Additional
clarification
of
SOP
enforcement
obligations
is
in
the
Accreditation,
Appeals,
and
Compliance
preamble
discussions.
(
3)
SOP
Evaluation
Notification
Period.
A
few
commenters
indicated
that
the
SOP
review
and
decision
notification
period
described
in
section
205.621(
b)
of
the
proposed
rule
could
hinder
a
State's
ability
to
develop
or
implement
an
SOP.
These
commenters
cited
potential
cases
in
which
particular
States
have
requirements
for
regulatory
promulgation
that
must
occur
within
6
months
under
a
State
legislative
session
that
is
held
once
every
2
years.
These
commenters
suggested
the
NOP
should
reduce
the
notification
time
to
1
to
3
months.
272
We
disagree
with
the
commenters.
In
the
proposed
rule
in
section
205.621(
b),
the
Secretary
is
required
to
notify
the
SOP's
governing
State
official
within
6
months
of
receipt
of
submission
of
documents
and
information
regarding
the
approval
of
the
SOP.
We
have
retained
this
time
period.
We
will
review
SOP
applications
as
quickly
as
possible
and
will
endeavor
to
make
decisions
in
less
than
6
months
whenever
possible.
However,
some
SOP's
may
be
very
complex
and
require
more
review
time.
The
NOP
envisions
working
closely
with
the
States
and
State
officials
to
ensure
a
smooth
transition
to
the
requirements
of
this
final
rule.
State
Organic
Programs
Clarifications
(
1)
Discrimination
Against
Organic
Products.
Several
commenters
requested
the
addition
of
a
provision
prohibiting
an
SOP
from
discriminating
against
agricultural
commodities
organically
produced
in
other
States.
Discrimination
by
a
State
against
organically
produced
agricultural
products
produced
in
another
State
is
prevented
in
two
ways.
First,
any
organic
program
administered
by
a
State
must
meet
the
requirements
for
organic
programs
specified
in
the
Act
and
be
approved
by
the
Secretary.
Finally,
a
USDA
accredited
certifying
agent
must
accept
the
certification
decisions
made
by
another
USDA
accredited
certifying
agent
as
its
own.
(
2)
Potential
Duplication
Between
the
Accreditation
and
SOP
Review
Process.
Some
commenters
asked
about
possible
duplication
between
the
process
for
reviewing
SOP's
and
the
process
of
accreditation
review.
These
commenters
have
asked
the
NOP
to
eliminate
any
duplication
that
may
exist
between
the
two
review
processes.
The
NOP
will
be
conducting
a
review
process
for
SOP's
and
a
separate
review
process
for
accrediting
State
and
private
certifying
agents.
The
two
reviews
are
different.
The
SOP
review
is
the
evaluation
of
SOP
compliance
with
the
Act
and
the
NOP
regulations.
If
approved,
the
SOP
becomes
the
NOP
273
standards
for
the
particular
State
with
which
all
certifying
agents
operating
in
that
State
must
comply.
Approved
SOP's
must
be
in
compliance
with
the
Act
and
the
NOP
regulations.
They
cannot
have
weaker
standards
than
the
NOP.
States
can
have
more
restrictive
requirements
than
the
NOP
if
approved
by
the
Secretary.
The
accreditation
review
is
an
evaluation
of
the
ability
of
certifying
agents
to
carry
out
their
responsibilities
under
the
NOP.
This
review
is
a
measure
of
the
competency
of
certifying
agents
to
evaluate
compliance
to
national
organic
standards.
Certifying
agents
will
not
be
unilaterally
establishing
regulations
or
standards
related
to
the
certification
of
organic
products.
They
will
only
provide
an
assessment
of
compliance.
Thus,
SOP
reviews
and
accreditation
reviews
are
separate
evaluations
of
different
procedures.
We
acknowledge
some
of
the
information
for
the
two
evaluations
may
be
similar;
e.
g.,
compliance
procedures.
The
reviews
do
not
duplicate
the
same
requirements.
However,
the
NOP
envisions
working
with
States
to
ensure
documentation
is
not
duplicated.
(
3)
Scope
of
Enforcement
by
States.
A
number
of
State
commenters
have
requested
clarification
on
the
proposed
rule
provision
specifying
that
approved
SOP's
must
assume
enforcement
obligations
in
their
State
for
the
requirements
of
the
NOP
and
any
additional
requirements
approved
by
the
Secretary.
These
commenters
have
indicated
that
they
remain
uncertain
as
to
what
is
expected
by
the
term,
"
enforcement
obligation."
Approved
SOP's
will
have
to
administer
and
provide
enforcement
of
the
requirements
of
the
Act
and
the
regulations
of
the
NOP.
The
administrative
procedures
used
by
the
State
in
administering
the
approved
SOP
should
have
the
same
force
and
effect
as
the
procedures
use
by
AMS
in
administering
this
program.
This
final
rule
specifies
that
the
requirements
for
274
environmental
conditions
or
for
special
production
and
handling
practices
are
necessary
for
establishing
more
restrictive
requirements.
These
factors
establish
our
position
that
a
State
must
agree
to
incurring
increased
enforcement
responsibilities
and
obligations
to
be
approved
as
an
SOP
under
the
NOP.
For
instance,
a
State
with
an
approved
organic
program
will
oversee
compliance
and
appeals
procedures
for
certified
organic
operations
in
the
State.
Those
procedures
must
provide
due
process
opportunities
such
as
rebuttal,
mediation,
and
correction
procedures.
Once
approved
by
the
Secretary,
the
State
governing
official
of
the
SOP
must
administer
the
SOP
in
a
manner
that
is
consistent
and
equitable
for
the
certified
parties
involved
in
compliance
actions.
(
4)
SOP's
That
Do
not
Certify
and
NOP
Oversight.
A
few
commenters
requested
that
the
NOP
develop
new
provisions
to
include
State
programs
that
have
organic
regulations
but
do
not
conduct
certification
activities.
These
commenters
argue
that
any
SOP
that
has
a
regulatory
impact
on
organic
producers,
regardless
of
whether
or
not
the
program
includes
certification,
be
approved
by
the
Secretary.
This
regulation,
in
section
205.620(
b),
provides
for
NOP
oversight
of
SOP's
that
do
not
conduct
certification
activities.
(
5)
State's
Use
of
Private
Certifying
Agents.
Some
commenters
have
requested
that
the
NOP
provide
clarification
of
the
proposed
rule
sections
205.620
through
205.622
on
how
these
sections
will
affect
States
that
delegate
certification
activities
to
private
certifying
agents.
These
commenters
asked
how
the
NOP
intends
to
oversee
this
type
of
State
activity.
The
NOP
intends
to
give
considerable
latitude
to
States
in
choosing
the
most
appropriate
system
or
procedures
to
structure
their
programs.
This
may
include
a
State
establishing
its
own
275
certifying
agent
or
relying
on
private
certifying
agents.
However,
States
will
not
be
accrediting
certifying
agents
operating
in
their
State.
Accreditation
of
all
certifying
agents
operating
in
the
United
States
is
the
responsibility
of
USDA.
Establishment
of
a
single
national
accreditation
program
is
an
essential
part
of
the
NOP.
As
stated
elsewhere
in
this
final
rule,
any
accreditation
responsibilities
of
a
State's
current
organic
program
will
cease
with
implementation
of
this
program.
Pursuant
to
the
Compliance
provisions
of
this
subpart,
the
governing
State
official
charged
with
compliance
oversight
under
the
SOP
may
investigate
and
notify
the
NOP
of
possible
compliance
violations
on
the
part
of
certifying
agents
operating
in
the
State.
However,
the
State
may
not
pursue
compliance
actions
or
remove
accreditation
of
any
certifying
agent
accredited
by
the
Secretary.
That
authority
is
the
sole
responsibility
of
the
Secretary.
If
more
restrictive
State
requirements
are
approved
by
the
Secretary,
we
will
review
certifying
agent
qualifications
in
the
State,
as
provided
by
section
205.501(
a)(
20),
and
determine
whether
they
are
able
to
certify
to
the
approved,
more
restrictive
requirements.
Our
accreditation
responsibilities
include
oversight
of
both
State
and
private
certifying
agents,
including
any
foreign
certifying
agents
that
may
operate
in
a
State.
Subpart
G
Fees
This
portion
of
subpart
G
sets
forth
the
regulations
on
fees
and
other
charges
to
be
assessed
for
accreditation
and
certification
services
under
the
National
Organic
Program
(
NOP).
These
regulations
address
the
kinds
of
fees
and
charges
to
be
assessed
by
the
U.
S.
Department
of
Agriculture
(
USDA)
for
the
accreditation
of
certifying
agents,
the
level
of
such
fees
and
charges,
and
the
payment
of
such
fees
and
charges.
These
regulations
also
address
general
requirements
to
be
met
by
certifying
agents
in
assessing
fees
and
other
charges
for
the
certification
of
producers
276
and
handlers
as
certified
organic
operations.
Finally,
these
regulations
address
the
Secretary's
oversight
of
a
certifying
agent's
fees
and
charges
for
certification
services.
Description
of
Regulation
Fees
and
Other
Charges
for
Accreditation
Fees
and
other
charges
will
be
assessed
and
collected
from
applicants
for
initial
accreditation
and
accredited
certifying
agents
submitting
annual
reports
or
seeking
renewal
of
accreditation.
Such
fees
will
be
equal
as
nearly
as
may
be
to
the
cost
of
the
accreditation
services
rendered
under
these
regulations.
Fees
for
service
will
be
based
on
the
time
required
to
render
the
service
provided
calculated
to
the
nearest
15
minute
period.
Activities
to
be
billed
on
the
basis
of
time
used
include
the
review
of
applications
and
accompanying
documents
and
information,
evaluator
travel,
the
conduct
of
on
site
evaluations,
review
of
annual
reports
and
updated
documents
and
information,
and
the
preparation
of
reports
and
any
other
documents
in
connection
with
the
performance
of
service.
The
hourly
rate
will
be
the
same
as
that
charged
by
the
Agricultural
Marketing
Service
(
AMS),
through
its
Quality
System
Certification
Program,
to
certification
bodies
requesting
conformity
assessment
to
the
International
Organization
for
Standardization
"
General
Requirements
for
Bodies
Operating
Product
Certification
Systems"
(
ISO
Guide
65).
Applicants
for
initial
accreditation
and
accredited
certifying
agents
submitting
annual
reports
or
seeking
renewal
of
accreditation
during
the
first
18
months
following
the
effective
date
of
subpart
F
will
receive
service
without
incurring
an
hourly
charge
for
such
service.
Applicants
for
initial
accreditation
and
renewal
of
accreditation
must
pay
at
the
time
of
application,
effective
18
months
following
the
effective
date
of
subpart
F,
a
nonrefundable
fee
of
277
$
500.00.
This
fee
will
be
applied
to
the
applicant's
fees
for
service
account.
When
service
is
requested
at
a
place
so
distant
from
the
evaluator's
headquarters
that
a
total
of
one
half
hour
or
more
is
required
for
the
evaluator(
s)
to
travel
to
such
a
place
and
back
to
the
headquarters
or
from
a
place
of
prior
assignment
on
circuitous
routing
requiring
a
total
of
one
half
hour
or
more
to
travel
to
the
next
place
of
assignment
on
the
circuitous
routing,
the
charge
for
such
service
will
include
all
applicable
travel
charges.
Travel
charges
may
include
a
mileage
charge
administratively
determined
by
USDA,
travel
tolls,
or,
when
the
travel
is
made
by
public
transportation
(
including
hired
vehicles),
a
fee
equal
to
the
actual
cost
thereof.
If
the
service
is
provided
on
a
circuitous
routing,
the
travel
charges
will
be
prorated
among
all
the
applicants
and
certifying
agents
furnished
the
service
involved.
Travel
charges
will
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F.
The
applicant
or
certifying
agent
will
not
be
charged
a
new
mileage
rate
without
notification
before
the
service
is
rendered.
When
service
is
requested
at
a
place
away
from
the
evaluator's
headquarters,
the
fee
for
such
service
shall
include
a
per
diem
charge
if
the
employee(
s)
performing
the
service
is
paid
per
diem
in
accordance
with
existing
travel
regulations.
Per
diem
charges
to
applicants
and
certifying
agents
will
cover
the
same
period
of
time
for
which
the
evaluator(
s)
receives
per
diem
reimbursement.
The
per
diem
rate
will
be
administratively
determined
by
USDA.
Per
diem
charges
shall
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F.
The
applicant
or
certifying
agent
will
not
be
charged
a
new
per
diem
rate
without
notification
before
the
service
is
rendered.
When
costs,
other
than
fees
for
service,
travel
charges,
and
per
diem
charges,
are
278
associated
with
providing
the
services,
the
applicant
or
certifying
agent
will
be
charged
for
these
costs.
Such
costs
include
but
are
not
limited
to
equipment
rental,
photocopying,
delivery,
facsimile,
telephone,
or
translation
charges
incurred
in
association
with
accreditation
services.
The
amount
of
the
costs
charged
will
be
determined
administratively
by
USDA.
Such
costs
will
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F.
Payment
of
Fees
and
Other
Charges
Applicants
for
initial
accreditation
and
renewal
of
accreditation
must
remit
the
nonrefundable
fee
along
with
their
application.
Remittance
must
be
made
payable
to
the
Agricultural
Marketing
Service,
USDA,
and
mailed
to:
Program
Manager,
USDA
AMS
TMP
NOP,
Room
2945
South
Building,
P.
O.
Box
96456,
Washington,
DC
20090
6456
or
such
other
address
as
required
by
the
Program
Manager.
All
other
payments
for
fees
and
other
charges
must
be
received
by
the
due
date
shown
on
the
bill
for
collection,
made
payable
to
the
Agricultural
Marketing
Service,
USDA,
and
mailed
to
the
address
provided
on
the
bill
for
collection.
The
Administrator
will
assess
interest,
penalties,
and
administrative
costs
on
debts
not
paid
by
the
due
date
shown
on
a
bill
for
collection
and
collect
delinquent
debts
or
refer
such
debts
to
the
Department
of
Justice
for
litigation.
Fees
and
Other
Charges
for
Certification
Fees
charged
by
a
certifying
agent
must
be
reasonable,
and
a
certifying
agent
may
charge
applicants
for
certification
and
certified
production
and
handling
operations
only
those
fees
and
charges
that
it
has
filed
with
the
Administrator.
The
certifying
agent
must
provide
each
applicant
with
an
estimate
of
the
total
cost
of
certification
and
an
estimate
of
the
annual
cost
of
updating
279
the
certification.
The
certifying
agent
may
require
applicants
for
certification
to
pay
at
the
time
of
application
a
nonrefundable
fee
that
must
be
applied
to
the
applicant's
fees
for
service
account.
A
certifying
agent
may
set
the
nonrefundable
portion
of
certification
fees;
however,
the
nonrefundable
portion
of
certification
fees
must
be
explained
in
the
fee
schedule
submitted
to
the
Administrator.
The
fee
schedule
must
explain
what
fee
amounts
are
nonrefundable
and
at
what
stage
during
the
certification
process
the
respective
fees
become
nonrefundable.
The
certifying
agent
must
provide
all
persons
inquiring
about
the
application
process
with
a
copy
of
its
fee
schedule.
Fees
Changes
Based
on
Comments
This
subpart
differs
from
the
proposal
in
the
following
respects:
Nonrefundable
Portion
of
Certification
Fees.
Commenters
were
not
satisfied
with
the
provision
in
section
205.642
that
stated,
"
The
certifying
agent
may
require
applicants
for
certification
to
pay
at
the
time
of
application
a
nonrefundable
fee
of
no
more
than
$
250.00,
which
shall
be
applied
to
the
applicant's
fee
for
service
account."
Some
commenters
believed
we
were
requiring
the
certifying
agents
to
bill
fees
for
inspection
services
separately.
One
State
agency
expressed
a
concern
that
we
were
placing
a
limit
on
the
initial
fee
the
certifying
agent
could
collect.
As
a
result,
the
State
agency
commented
that
by
not
being
allowed
to
collect
the
full
certification
fee
at
the
time
of
application,
the
certifying
agent,
in
effect,
would
be
extending
credit
to
the
applicant.
Commenters
reported
that
some
State
agencies
are
prevented
by
statute
from
extending
credit
and
are
required
to
collect
all
fees
at
the
time
of
application.
Several
commenters
stated
that
the
amount
of
$
250.00
was
too
low
and
would
not
cover
the
costs
the
certifying
agents
could
incur
during
the
certification
process.
One
organization
noted
that
we
should
280
consider
prorating
the
amount
of
the
of
the
fee
to
be
refunded
when
an
applicant
for
certification
withdraws
before
the
completion
of
the
certification
process.
The
organization
recommended
that
the
amount
of
the
prorated
fee
should
be
based
on
how
far
along
in
the
certification
process
the
applicant
had
progressed
before
withdrawal.
Another
commenter
believed
it
was
inappropriate
for
USDA
to
set
any
fees
for
private
certification
programs
and
that
the
fees
should
be
market
driven.
It
was
not
our
intent
to
limit
the
initial
amount
that
certifying
agents
could
collect
from
the
applicant
for
certification.
Our
intent
was
to
limit
the
portion
of
the
fee
that
would
be
nonrefundable
in
order
to
reduce
the
potential
liability
for
the
small
producer/
handler
who
may
need
to
withdraw
prematurely
from
the
certification
process.
However,
we
acknowledge
that
this
provision
could
be
misinterpreted.
We
also
realize
that
certifying
agents
may
incur
initial
costs
during
the
preliminary
stage
of
the
certification
process
that
may
be
more
or
less
than
the
$
250.00
application
rate
proposed.
As
a
result,
we
have
removed
the
provision
that
stated
certifying
agents
could
collect
a
nonrefundable
fee
of
not
more
than
$
250.00
at
the
time
of
application
from
applicants
for
certification.
Certifying
agents
may
set
the
nonrefundable
portion
of
their
certification
fees.
However,
the
nonrefundable
portion
of
their
certification
fees
must
be
explained
in
the
fee
schedule
submitted
to
the
Administrator.
The
fee
schedule
must
explain
what
fee
amounts
are
nonrefundable
and
at
what
stage
during
the
certification
process
the
respective
fees
become
nonrefundable.
Certifying
agents
will
also
provide
all
persons
inquiring
about
the
application
process
with
a
copy
of
its
fee
schedule.
Fees
Changes
Requested
But
Not
Made
281
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Farm
Subsidy/
Transition
Program.
Many
commenters
asked
that
USDA
subsidize
or
develop
a
cost
share
program
for
small
farmers/
producers
who
are
certified
or
who
are
in
transition
to
organic
farming.
Some
commenters
wanted
these
costs
to
be
fully
subsidized;
a
few
commenters
suggested
that
USDA
pay
for
any
extra
site
visit
costs;
and
many
others
wanted
USDA
to
pay
premium
prices
to
farmers
for
their
products
during
the
period
of
transition
to
organic
production.
In
addition,
many
commenters
argued
that
USDA
should
fully
fund
certification
costs.
Finally,
many
commenters
suggested
that
the
USDA
should
provide
additional
financial
support
to
the
organic
industry
because
the
industry
is
relatively
young
and
composed
of
a
large
number
of
small,
low
resource
businesses.
We
have
considered
the
commenters
requests
but
have
not
made
the
suggested
changes.
The
NOP
under
AMS
is
primarily
a
user
fee
based
Federal
program.
Section
2107(
a)(
10)
of
the
Organic
Food
Production
Act
of
1990
(
OFPA)
requires
that
the
NOP
provide
for
the
collection
of
reasonable
fees
from
producers,
certifying
agents,
and
handlers
who
participate
in
activities
to
certify,
produce,
or
handle
agricultural
products
as
organically
produced.
Therefore,
under
the
statutory
authority
of
OFPA,
it
is
outside
of
the
scope
of
the
NOP
to
provide
for
the
subsidization
of
producers,
handlers,
and
certifying
agents
as
desired
by
some
commenters.
We
have,
however,
established
provisions
in
this
part
that
we
believe
will
minimize
the
economic
impact
of
the
NOP
on
producers,
handlers,
and
certifying
agents.
(
2)
Small
Farmer
Exemption
Versus
Lower
Certification
Fees.
Many
commenters
suggested
that
certification
fees
be
lowered
or
based
on
a
sliding
scale
rather
than
instituting
an
282
exemption
from
certification
for
small
farmers
and
handlers.
We
have
not
accepted
the
commenters'
suggestion.
We
cannot
remove
the
small
farmer
exemption
because
section
2106(
d)
of
the
Act
requires
that
small
farmers
be
provided
an
exemption
from
organic
certification
if
they
sell
no
more
than
$
5,000
annually
in
value
of
agricultural
products.
Also,
certification
fees
cannot
be
lowered
by
USDA
because
NOP
under
AMS
is
primarily
a
user
fee
based
Federal
agency.
It
is
not
our
goal
or
objective
to
make
a
profit
on
our
accreditation
activities.
However,
our
fees
associated
with
the
accreditation
process
are
targeted
toward
recovering
costs
incurred
during
the
accreditation
process.
Commenters
expressed
a
concern
that
the
accreditation
fees
charged
by
USDA
would
have
an
impact
on
the
certification
fees
prescribed
by
certifying
agents
to
operations
seeking
organic
certification.
We
understand
the
commenters'
concern
that
accreditation
fees
charged
to
certifying
agents
will
most
likely
be
calculated
into
the
fees
that
certifiers
charge
their
clients.
However,
we
believe
that
our
provision
to
waive
the
hourly
service
charges
for
accreditation
during
the
first
18
months
of
implementation
of
the
NOP
should
help
reduce
accreditation
costs
of
the
certifying
agent
and
should,
therefore,
result
lower
certification
fee
charged
by
certifying
agents.
As
provided
by
the
Act
and
the
regulations
in
this
part,
fees
charged
by
certifying
agents
must
be
reasonable.
Also,
certifying
agents
must
submit
their
fee
schedule
to
the
Administrator
and
may
only
charge
those
fees
and
charges
filed
with
the
Administrator.
In
addition,
certifiers
are
required
to
provide
their
approved
fee
schedules
to
applicants
for
certification.
Therefore,
applicants
for
certification
will
be
able
to
base
their
selection
of
a
certifying
agent
on
price
if
they
choose.
Moreover,
there
are
no
provisions
in
the
regulations
that
preclude
certifying
agents
from
pricing
their
services
on
a
sliding
scale,
as
long
as
their
fees
are
consistent
and
nondiscriminatory
and
are
approved
during
283
the
accreditation
process.
(
3)
Accreditation
Fees.
Many
industry
commenters
suggested
that
we
reevaluate
our
accreditation
fee
structure.
They
believe
the
hourly
accreditation
rate
proposed
is
unacceptable.
Commenters
were
concerned
that
high
accreditation
costs
would
lead
to
high
certification
costs,
which
would
have
a
greater
impact
on
small
operations.
Some
industry
commenters
also
noted
that
we
should
be
required
to
provide
a
fee
schedule
such
as
the
certifiers
are
required
to
do.
They
stated
that
unless
USDA
provided
a
fee
schedule
that
included
travel
costs,
they
would
not
be
able
to
accurately
budget
for
these
costs.
A
few
commenters
wanted
USDA
to
forgo
charging
travel
costs
or
not
charge
travel
time
at
the
full
rate.
Several
commenters
also
stated
that
the
hourly
rate
stated
in
the
proposal
is
much
higher
than
what
the
people
who
actually
perform
the
accreditations
will
earn.
However,
a
large
majority
of
the
commenters
favored
the
18
month
period
in
which
AMS
will
not
charge
the
hourly
accreditation
rate
to
applicants.
As
stated
in
the
proposal,
the
hourly
rate
will
be
the
same
as
that
of
AMS'
Quality
Systems
Certification
Program.
Due
to
the
fact
that
AMS'
Quality
Systems
Certification
Program
publishes
one
rate
that
is
readily
available
to
the
public,
it
is
our
belief
that
it
is
unnecessary
for
the
NOP
to
set
up
a
separate
fee
schedule.
The
NOP
will
notify
accredited
certifying
agents
and
applicants
for
accreditation
of
any
proposed
rate
changes
and
final
actions
on
such
rates
by
AMS.
We
will
also
periodically
report
the
status
of
fees
to
the
National
Organic
Standards
Board.
Those
applicants
and
certifying
agents
who
need
accreditation
cost
estimates,
including
travel,
for
budgetary
or
other
reasons
may
notify
the
NOP.
The
NOP
staff
will
provide
the
applicant
with
a
cost
estimate,
based
on
information
provided
by
the
applicant.
As
stated
in
an
earlier
response
((
2)
Changes
Requested
But
Not
Made),
the
objective
of
the
fee
that
is
charged
284
to
accredit
certifying
agents
is
not
to
gain
a
profit
for
accreditation
activities
but
to
recover
costs
incurred
during
the
accreditation
process.
As
such,
these
costs
include
but
are
not
limited
to
salaries,
benefits,
clerical
help,
equipment,
supplies,
etc.
Compliance
This
portion
of
subpart
G
sets
forth
the
enforcement
procedures
for
the
National
Organic
Program
(
NOP).
These
procedures
describe
the
compliance
responsibilities
of
the
NOP
Program
Manager,
State
organic
programs'
(
SOP)
governing
State
officials,
and
State
and
private
certifying
agents.
These
provisions
also
address
the
rights
of
certified
production
and
handling
operations
and
accredited
certifying
agents
operating
under
the
NOP.
The
granting
and
denial
of
certification
and
accreditation
are
addressed
under
subparts
E
and
F.
Description
of
Regulations
The
Secretary
is
required
under
the
Act
to
review
the
operations
of
SOP's,
accredited
certifying
agents,
and
certified
production
or
handling
operations
for
compliance
with
the
Act
and
these
regulations.
The
Program
Manager
of
the
NOP
may
carry
out
compliance
proceedings
and
provide
oversight
of
compliance
proceedings
on
behalf
of
the
Secretary
and
the
Administrator.
The
Program
Manager
will
initiate
proceedings
to
suspend
or
revoke
a
certified
operation's
certification
if
a
certifying
agent
or
SOP's
governing
State
official
fails
to
take
appropriate
enforcement
action.
The
Program
Manager
may
also
initiate
proceedings
to
suspend
or
revoke
a
certified
operation's
certification
if
the
operation
is
found
to
have
been
erroneously
certified
by
a
certifying
agent
whose
accreditation
has
been
suspended
or
revoked.
We
anticipate,
however,
that
most
investigations,
reviews,
and
analyses
of
certification
noncompliance
and
initiation
of
suspension
or
revocation
will
be
conducted
by
the
certified
operation's
certifying
agent.
With
285
regard
to
certifying
agents,
the
Program
Manager
will,
when
appropriate,
initiate
proceedings
to
suspend
or
revoke
the
accreditation
of
a
certifying
agent
for
noncompliance
with
the
Act
and
these
regulations.
In
States
with
an
approved
SOP,
the
SOP's
governing
State
official
is
responsible
for
administering
a
compliance
program
for
enforcement
of
the
NOP/
SOP.
SOP's
governing
State
officials
may
review
and
investigate
complaints
of
noncompliance
involving
organic
production
or
handling
operations
operating
within
their
State
and,
when
appropriate,
initiate
suspension
or
revocation
of
certification.
SOP's
governing
State
officials
may
also
review
and
investigate
complaints
of
noncompliance
involving
accredited
certifying
agents
operating
within
their
State.
They
must
report
the
findings
of
any
review
and
investigation
of
a
certifying
agent
to
the
Program
Manager
along
with
any
recommendations
for
appropriate
action.
The
compliance
provisions
of
the
NOP
are
consistent
with
the
requirements
of
the
Administrative
Procedure
Act
(
APA)
(
5
U.
S.
C.
553
559)
in
that
this
program
provides
for
due
process
including
an
opportunity
for
hearing,
appeal
procedures,
written
notifications
of
noncompliance,
and
opportunities
to
demonstrate
or
achieve
compliance
before
any
suspension
or
revocation
of
organic
certification
or
accreditation
is
invoked.
A
compliance
action
regarding
certification
carried
out
under
an
approved
SOP's
compliance
procedures
will
have
the
same
force
and
effect
as
a
certification
compliance
action
carried
out
under
these
NOP
compliance
procedures.
The
notification
process
for
denying
certification
and
accreditation
is
laid
out
in
subparts
E
and
F,
respectively.
Each
notification
of
noncompliance,
rejection
of
mediation,
noncompliance
resolution,
proposed
suspension
or
revocation,
and
suspension
or
revocation
issued
under
these
regulations
286
must
be
sent
to
the
recipient's
place
of
business
via
a
delivery
service
which
provides
return
receipts.
Certified
operations
and
certifying
agents
must
respond
to
all
compliance
notifications
via
a
delivery
service
which
provides
return
receipts.
Noncompliance
Procedure
for
Certified
Operations
The
Act
provides
for
the
enforcement
of
certification
requirements.
Statutory
oversight
of
production
and
handling
operations
by
certifying
agents
includes
review
of
organic
plans,
on
site
inspections,
residue
and
tissue
testing,
authority
to
conduct
investigations
and
initiate
suspension
or
revocation
actions,
and
responsibility
to
report
violations.
Notification
of
Noncompliance
A
written
notification
of
noncompliance
will
be
sent
to
the
certified
operation
when
an
inspection,
review,
or
investigation
reveals
any
noncompliance
with
the
Act
or
these
regulations.
A
noncompliance
notification
may
encompass
the
entire
operation
or
a
portion
of
the
operation.
For
instance,
a
violation
at
one
farm
may
not
warrant
loss
of
certification
at
other
farms
of
the
certified
operation
not
affected
by
the
violation.
The
notification
of
noncompliance
will
provide:
(
1)
a
description
of
each
condition,
action,
or
item
of
noncompliance;
(
2)
the
facts
upon
which
the
notification
is
based;
and
(
3)
the
date
by
which
the
certified
operation
must
rebut
the
notification
or
correct
the
noncompliance
and
submit
supporting
documentation
of
the
correction.
A
certified
operation
may
continue
to
sell
its
product
as
organic
upon
receiving
a
notification
of
noncompliance
and
throughout
the
compliance
proceeding
and
any
appeal
procedure
which
might
follow
the
compliance
proceeding
unless
otherwise
notified
by
a
State
or
Federal
government
agency.
If
a
certified
operation
believes
the
notification
of
noncompliance
is
incorrect
or
not
well
287
founded,
the
certified
operation
may
submit
a
rebuttal
to
the
certifying
agent
or
SOP's
governing
State
official,
as
applicable,
providing
supporting
data
to
refute
the
facts
stated
in
the
notification.
The
opportunity
for
rebuttal
is
provided
to
allow
certifying
agents
and
certified
operations
to
informally
resolve
noncompliance
issues.
The
rebuttal
process
should
be
helpful
in
resolving
differences
which
may
be
the
result
of
misinterpretation
of
requirements,
misunderstandings,
or
incomplete
information.
Alternatively,
the
certified
operation
may
correct
the
identified
noncompliances
and
submit
proof
of
such
corrections.
When
the
certified
operation
demonstrates
that
each
noncompliance
has
been
corrected
or
otherwise
resolved,
the
certifying
agent
or
SOP's
governing
State
official,
as
applicable,
will
send
the
certified
operation
a
written
notification
of
noncompliance
resolution.
Proposed
Suspension
or
Revocation
of
Certification
If
the
noncompliance
is
not
resolved
or
is
not
in
the
process
of
being
resolved
by
the
date
specified
in
the
notification
of
noncompliance,
the
certifying
agent
or
SOP's
governing
State
official
will
send
the
certified
operation
a
written
notification
of
proposed
suspension
or
revocation
of
certification
for
the
entire
operation
or
a
portion
of
the
operation
affected
by
the
noncompliance.
The
notification
will
state:
(
1)
the
reasons
for
the
proposed
suspension
or
revocation;
(
2)
the
proposed
effective
date
of
the
suspension
or
revocation;
(
3)
the
impact
of
the
suspension
or
revocation
on
the
certified
operation's
future
eligibility
for
certification;
and
(
4)
that
the
certified
operation
has
a
right
to
request
mediation
or
to
file
an
appeal.
The
impact
of
a
proposed
suspension
or
revocation
may
include
the
suspension
or
revocation
period
or
whether
the
suspension
or
revocation
applies
to
the
entire
operation
or
to
a
portion
or
portions
of
the
operation.
288
If
a
certifying
agent
or
SOP's
governing
State
official
determines
that
correction
of
a
noncompliance
is
not
possible,
the
notification
of
noncompliance
and
the
proposed
suspension
or
revocation
of
certification
may
be
combined
in
one
notification
of
proposed
suspension
or
revocation.
The
certified
operation
will
have
an
opportunity
to
appeal
the
proposed
suspension
or
revocation.
If
a
certifying
agent
or
SOP's
governing
State
official
has
reason
to
believe
that
a
certified
operation
has
willfully
violated
the
Act
or
regulations,
a
notification
of
proposed
suspension
or
revocation
will
be
sent
to
the
certified
operation.
The
proposed
suspension
or
revocation
will
be
for
the
entire
operation
or
a
portion
of
the
operation.
This
notification,
because
it
involves
a
willful
violation,
will
be
sent
without
first
issuing
a
notification
of
noncompliance.
Mediation
A
production
or
handling
operation
may
request
mediation
of
any
dispute
regarding
denial
of
certification
or
proposed
suspension
or
revocation
of
certification.
Mediation
is
not
required
prior
to
filing
an
appeal
but
is
offered
as
an
option
which
may
resolve
the
dispute
more
quickly
than
the
next
step,
which
is
filing
an
appeal.
When
mediation
is
requested,
it
must
be
requested
in
writing
to
the
applicable
certifying
agent.
The
certifying
agent
will
have
the
option
of
accepting
or
rejecting
the
request
for
mediation.
If
the
certifying
agent
rejects
the
request
for
mediation,
the
certifying
agent
must
provide
written
notification
to
the
applicant
for
certification
or
certified
operation.
The
written
notification
must
advise
the
applicant
for
certification
or
certified
operation
of
the
right
to
request
an
appeal
in
accordance
with
section
205.681.
Any
such
appeal
must
be
requested
within
30
days
of
the
date
of
the
written
notification
of
rejection
of
the
request
for
mediation.
If
mediation
is
accepted
by
the
certifying
agent,
such
mediation
must
be
conducted
289
by
a
qualified
mediator
mutually
agreed
upon
by
the
parties
to
the
mediation.
If
an
SOP
is
in
effect,
the
mediation
procedures
established
in
the
SOP,
as
approved
by
the
Secretary,
must
be
followed.
The
parties
to
the
mediation
will
have
no
more
than
30
days
to
reach
an
agreement
following
a
mediation
session.
If
mediation
is
unsuccessful,
the
production
or
handling
operation
will
have
30
days
from
termination
of
mediation
to
appeal
the
denial
of
certification
or
proposed
suspension
or
revocation
in
accordance
with
the
appeal
procedures
in
section
205.681.
Any
agreement
reached
during
or
as
a
result
of
the
mediation
process
must
be
in
compliance
with
the
Act
and
these
regulations.
The
Secretary
reserves
the
right
to
review
any
mediated
agreement
for
conformity
to
the
Act
and
these
regulations
and
to
reject
any
agreement
or
provision
not
in
conformance
with
the
Act
or
these
regulations
Suspension
or
Revocation
The
certifying
agent
or
SOP's
governing
State
official
will
suspend
or
revoke
the
certified
operation's
certification
when
the
operation
fails
to
resolve
the
issue
through
rebuttal
or
mediation,
fails
to
complete
needed
corrections,
or
does
not
file
an
appeal.
The
operation
will
be
notified
of
the
suspension
or
revocation
by
written
notification.
The
certifying
agent
or
SOP's
governing
State
official
must
not
send
a
notification
of
suspension
or
revocation
to
a
certified
operation
that
has
requested
mediation
or
filed
an
appeal
while
final
resolution
of
either
is
pending.
The
decision
to
suspend
or
revoke
certification
will
be
based
on
the
seriousness
of
the
noncompliance.
Such
decisions
must
be
made
on
a
case
by
case
basis.
Section
6519
of
the
Act
establishes
that
willful
violations
include
making
a
false
statement,
knowingly
affixing
a
false
label,
or
otherwise
violating
the
purposes
of
the
Act.
290
In
addition
to
suspension
or
revocation,
a
certified
operation
that
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
will
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
Further,
a
certified
operation
that
makes
a
false
statement
under
the
Act
to
the
Secretary,
an
SOP's
governing
State
official,
or
a
certifying
agent
will
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
A
certified
operation
whose
certification
has
been
suspended
under
this
section
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
certification.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
NOP.
A
certified
operation
or
a
person
responsibly
connected
with
an
operation
that
has
had
its
certification
revoked
will
be
ineligible
to
receive
certification
for
an
operation
in
which
such
operation
or
person
has
an
interest
for
5
years
following
the
date
of
revocation.
Accordingly,
an
operation
will
be
ineligible
for
organic
certification
if
one
of
its
responsibly
connected
parties,
was
a
responsibly
connected
party
of
an
operation
that
had
its
certification
revoked.
The
Secretary
may,
when
in
the
best
interest
of
the
certification
program,
reduce
or
eliminate
the
period
of
ineligibility.
Noncompliance
Procedure
for
Certifying
Agents
The
Program
Manager,
on
behalf
of
the
Secretary,
may
initiate
a
compliance
action
against
an
accredited
certifying
agent
who
violates
the
Act
or
these
regulations.
Compliance
proceedings
may
be
initiated
as
a
result
of
annual
reviews
for
continuation
of
accreditation,
site
evaluations,
or
investigations
initiated
in
response
to
complaints
of
noncompliant
activities.
291
Compliance
proceedings
also
may
be
initiated
on
recommendation
of
an
SOP's
governing
State
official.
A
written
notification
of
noncompliance
will
be
sent
by
the
Program
Manager
to
an
accredited
certifying
agent
when
an
inspection,
review,
or
investigation
of
such
person
reveals
any
noncompliance
with
the
Act
or
these
regulations.
A
notification
of
noncompliance
will
provide
a
description
of
each
noncompliance
found
and
the
facts
upon
which
the
notification
is
based.
Additionally,
the
notification
will
provide
the
date
by
which
the
certifying
agent
must
rebut
or
correct
each
noncompliance
described
and
submit
supporting
documentation
of
each
correction.
When
documentation
received
by
the
Program
Manager
demonstrates
that
each
noncompliance
has
been
resolved,
the
Program
Manager
will
send
the
certifying
agent
a
written
notification
of
noncompliance
resolution.
If
a
noncompliance
is
not
resolved
by
rebuttal
or
correction,
the
Program
Manager
will
issue
a
notification
of
proposed
suspension
or
revocation
of
accreditation.
The
notification
will
state
whether
the
suspension
or
revocation
will
be
for
the
certifying
agent's
entire
accreditation,
that
portion
of
the
accreditation
applicable
to
a
particular
field
office,
or
a
specific
area
of
accreditation.
For
instance,
if
a
certifying
agent
with
field
offices
in
different
geographic
areas
is
cited
for
a
compliance
violation
at
one
field
office,
the
Program
Manager
could
determine
that
only
that
portion
of
the
accreditation
applicable
to
the
noncompliant
field
office
should
be
suspended
or
revoked.
If
the
Program
Manager
determines
that
the
noncompliance
cannot
be
immediately
or
easily
corrected,
the
Program
Manager
may
combine
the
notification
of
noncompliance
and
the
proposed
suspension
or
revocation
in
one
notification.
292
The
notification
of
proposed
suspension
or
revocation
of
accreditation
will
state
the
reasons
and
effective
date
for
the
proposed
suspension
or
revocation.
Such
notification
will
also
state
the
impact
of
a
suspension
or
revocation
on
future
eligibility
for
accreditation
and
the
certifying
agent's
right
to
file
an
appeal.
If
the
Program
Manager
has
reason
to
believe
that
a
certifying
agent
has
willfully
violated
the
Act
or
regulations,
the
Program
Manager
will
issue
a
notification
of
proposed
suspension
or
revocation
of
accreditation.
The
proposed
suspension
or
revocation
may
be
for
the
certifying
agent's
entire
accreditation,
that
portion
of
the
accreditation
applicable
to
a
particular
field
office,
or
a
specified
area
of
accreditation.
This
notification,
because
it
involves
a
willful
violation,
will
be
sent
without
first
issuing
a
notification
of
noncompliance.
The
certifying
agent
may
file
an
appeal
of
the
Program
Manager's
determination
pursuant
to
section
205.681.
If
the
certifying
agent
fails
to
file
an
appeal
of
the
proposed
suspension
or
revocation,
the
Program
Manager
will
suspend
or
revoke
the
certifying
agent's
accreditation.
The
certifying
agent
will
be
notified
of
the
suspension
or
revocation
by
written
notification.
A
certifying
agent
whose
accreditation
is
suspended
or
revoked
must
cease
all
certification
activities
in
each
area
of
accreditation
and
in
each
State
for
which
its
accreditation
is
suspended
or
revoked.
Any
certifying
agent
whose
accreditation
has
been
suspended
or
revoked
must
transfer
to
the
Secretary
all
records
concerning
its
certification
activities
that
were
suspended
or
revoked.
The
certifying
agent
must
also
make
such
records
available
to
any
applicable
SOP's
governing
State
official.
The
records
will
be
used
to
determine
whether
operations
certified
by
the
certifying
agent
may
retain
their
organic
certification.
A
certifying
agent
whose
accreditation
is
suspended
by
the
Secretary
may
at
any
time,
293
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
accreditation.
Such
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
regulations.
A
certifying
agent
whose
accreditation
is
revoked
by
the
Secretary
will
be
ineligible
to
be
accredited
as
a
certifying
agent
under
the
Act
and
regulations
for
a
period
of
not
less
than
3
years
following
the
date
of
revocation.
State
Organic
Programs'
Compliance
Procedures
An
SOP's
governing
State
official
may
initiate
noncompliance
proceedings
against
certified
organic
operations
operating
in
the
State.
Such
proceedings
may
be
initiated
for
failure
of
a
certified
operation
to
meet
the
production
or
handling
requirements
of
this
part
or
the
State's
more
restrictive
requirements,
as
approved
by
the
Secretary.
The
SOP's
governing
State
official
must
promptly
notify
the
Program
Manager
of
commencement
of
noncompliance
proceedings
initiated
against
certified
operations
and
forward
to
the
Program
Manager
a
copy
of
each
notice
issued.
A
noncompliance
proceeding,
brought
by
an
SOP's
governing
State
official
against
a
certified
operation
may
be
appealed
in
accordance
with
the
appeal
procedures
of
the
SOP.
There
will
be
no
subsequent
rights
of
appeal
to
the
Secretary.
Final
decisions
of
a
State
may
be
appealed
to
the
United
States
District
Court
for
the
district
in
which
such
certified
operation
is
located.
An
SOP's
governing
State
official
may
review
and
investigate
complaints
of
noncompliance
with
the
Act
or
regulations
concerning
accreditation
of
certifying
agents
operating
in
the
State.
When
such
review
or
investigation
reveals
any
noncompliance,
the
SOP's
governing
State
official
must
send
a
written
report
of
noncompliance
to
the
Program
Manager.
The
SOP's
294
governing
State
official's
report
must
provide
a
description
of
each
noncompliance
and
the
facts
upon
which
the
noncompliance
is
based.
Compliance
Changes
Based
On
Comments
This
portion
of
subpart
G
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
Written
Notifications.
We
have
added
a
new
paragraph
(
d)
to
section
205.660.
The
preamble
to
the
proposed
rule
stated
that
all
written
notifications
sent
by
certifying
agents
and
SOP's
governing
State
officials,
as
well
as
rebuttals,
requests
for
mediation,
and
notices
of
correction
of
noncompliances
sent
by
certified
operations,
will
be
sent
to
the
addressee's
place
of
business
by
a
delivery
service
which
provides
dated
return
receipts.
The
assurance
of
completed
communications
and
timely
compliance
procedures
was
given
as
the
reason
for
delivery
by
a
service
which
provides
dated
return
receipts.
The
addition
of
paragraph
(
d)
at
section
205.660
is
one
of
the
actions
that
we
have
taken
in
response
to
requests
from
commenters
that
we
further
clarify
the
compliance
process.
Paragraph
(
d)
requires
that
each
notification
of
noncompliance,
rejection
of
mediation,
noncompliance
resolution,
proposed
suspension
or
revocation,
and
suspension
or
revocation
issued
in
accordance
with
sections
205.662,
205.663,
and
205.665
and
each
response
to
such
notification
must
be
sent
to
the
recipient's
place
of
business
via
a
delivery
service
which
provides
return
receipts.
This
action
will
facilitate
the
effective
administration
of
the
compliance
process
by
assuring
a
verifiable
time
line
on
the
issuance
and
receipt
of
compliance
documents
and
the
response
given
to
each
such
document.
(
2)
Determination
of
Willful.
The
preamble
statement
that
"
only
the
Program
Manager
or
governing
State
official
may
make
the
final
determination
that
a
violation
is
willful"
was
incorrect
and
inconsistent
with
the
regulatory
language
in
section
205.662(
d).
Section
205.662(
d)
provides
295
that,
"
if
a
certifying
agent
or
State
organic
program's
governing
State
official
has
reason
to
believe
that
a
certified
operation
has
willfully
violated
the
Act
or
regulations
in
this
part,
the
certifying
agent
or
State
organic
program's
governing
State
official
shall
send
the
certified
operation
a
notification
of
proposed
suspension
or
revocation
of
certification
of
the
entire
operation
or
a
portion
of
the
operation,
as
applicable
to
the
noncompliance."
Accordingly,
as
recommended
by
a
commenter,
the
incorrect
statement
has
been
deleted
from
the
preamble
to
this
final
rule.
(
3)
Proposed
Suspension
or
Revocation.
We
have
amended
sections
205.662(
c)
and
205.665(
c)
by
removing
the
redundant
phrase
"
or
is
not
adequate
to
demonstrate
that
each
noncompliance
has
been
corrected"
from
the
first
sentence
of
each
section.
(
4)
Suspension
or
Revocation.
We
have
amended
section
205.662(
e)(
2)
by
adding
"
while
final
resolution
of
either
is
pending"
to
the
end
thereof.
The
language
of
section
205.662(
e)(
2)
now
reads:
"
A
certifying
agent
or
State
organic
program's
governing
State
official
must
not
send
a
notification
of
suspension
or
revocation
to
a
certified
operation
that
has
requested
mediation
pursuant
to
section
205.663
or
filed
an
appeal
pursuant
to
section
205.681
while
final
resolution
of
either
is
pending."
We
have
made
this
change
because
we
agree
with
those
commenters
who
expressed
the
belief
that
section
205.662(
e)(
2)
needed
to
be
amended
to
clarify
the
duration
of
the
stay
on
the
issuance
of
a
notification
of
suspension
or
revocation
when
mediation
is
requested
or
an
appeal
is
filed.
Several
commenters
stated
that
section
205.662(
e)(
2)
needed
to
be
amended
to
clarify
that
requesting
mediation
or
filing
an
appeal
does
not
indefinitely
stop
the
suspension
or
revocation
process.
(
5)
Eligibility
After
Suspension
or
Revocation
of
Certification.
We
have
amended
section
296
205.662(
f)
such
that
it
now
parallels
section
205.665(
g)
which
addresses
suspension
and
revocation
of
certifying
agents.
We
have
also
changed
the
title
of
section
205.662(
f)
from
"
Ineligibility"
to
"
Eligibility"
to
parallel
section
205.665(
g).
A
few
commenters
referred
to
the
provisions
in
section
205.665(
g),
which
addresses
eligibility
after
suspension
or
revocation
of
accreditation,
and
requested
clarification
of
the
difference
between
suspension
and
revocation
of
certification.
Upon
reviewing
section
205.662(
f),
we
decided
that
amendment
was
needed
to
clarify
the
difference
between
suspension
and
revocation
of
certification
relative
to
eligibility
for
certification.
Accordingly,
we
added
a
new
paragraph
(
1)
which
provides
that
a
certified
operation
whose
certification
has
been
suspended
under
this
section
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
certification.
The
paragraph
also
provides
that
the
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
We
also
amended
what
is
now
paragraph
(
2)
of
section
205.662(
f)
to
clarify
that
the
period
of
ineligibility
following
revocation
of
certification
is
5
years
unless
reduced
or
eliminated
by
the
Secretary.
Further,
we
have
amended
section
205.665(
g)(
1)
to
clarify
that
a
certifying
agent
that
has
had
its
accreditation
suspended
may
request
reinstatement
of
its
accreditation
rather
than
submit
a
new
request
for
accreditation.
The
amendment
also
clarifies
that
the
reinstatement
may
be
requested
at
any
time
unless
otherwise
stated
in
the
notification
of
suspension.
This
amendment
makes
section
205.665(
g)(
1)
similar
to
new
paragraph
(
1)
of
section
205.662(
f).
This
amendment
is
also
consistent
with
commenter
desires
that
the
noncompliance
procedures
for
certified
297
operations
and
accredited
certifying
agents
be
similar.
(
6)
Penalties
for
Violations
of
the
Act.
We
have
amended
section
205.662
by
adding
a
new
paragraph
(
g)
which
incorporates
therein
the
provisions
of
paragraphs
(
a)
and
(
b)
of
section
2120,
7
U.
S.
C.
6519,
Violations
of
Title,
of
the
Act.
Specifically,
paragraph
(
g)
provides
that,
in
addition
to
suspension
or
revocation,
any
certified
operation
that
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
This
paragraph
also
provides
that
any
certified
operation
that
makes
a
false
statement
under
the
Act
to
the
Secretary,
an
SOP's
governing
State
official,
or
a
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
Commenters
requested
regulatory
language
citing
section
2120,
7
USC
6519,
Violations
of
Title,
of
the
Act.
Commenters
also
requested
a
clearer
description
of
enforcement.
Specifically,
they
want
provisions
describing
how
USDA
will
deal
with
operations
that
make
false
claims
or
do
not
meet
the
NOP
requirements.
Further,
numerous
commenters
expressed
concern
that
there
are
no
penalties
in
the
regulations
other
than
suspension
and
revocation.
The
European
Community
stated
that
it
did
not
find,
in
the
proposal,
requirements
for
penalties
to
be
applied
by
certifying
agents
when
irregularities
or
infringements
are
found.
The
European
Community
went
on
to
say
that
the
European
Union
requires
such
penalties.
The
Act
provides
for
suspension
and
revocation
of
certification
and
the
civil
and
criminal
penalties
addressed
in
7
U.
S.
C.
6519.
Certified
operations
are
also
required
through
the
compliance
program
set
forth
in
these
regulations,
to
correct
all
noncompliances
with
the
Act
or
regulations
as
a
condition
of
retaining
their
certification.
Furthermore,
to
get
a
suspended
certification
reinstated,
an
operation
must
submit
a
request
to
the
Secretary.
The
request
must
be
298
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
An
operation
or
a
person
responsibly
connected
with
an
operation
whose
certification
has
been
revoked
will
be
ineligible
to
receive
certification
for
a
period
of
not
more
than
5
years.
We
believe
adding
paragraph
(
g)
will
help
clarify
that
there
are
penalties
which
may
be
imposed
on
certified
operations
that
violate
the
Act
and
these
regulations
in
addition
to
suspension
or
revocation.
The
provisions
of
the
Act
and
these
regulations
apply
to
all
persons
who
sell,
label,
or
represent
their
agricultural
product
as
organic.
Accordingly,
persons
who
falsely
sell,
label,
or
represent
their
product
as
organic,
are
subject
to
the
provisions
of
paragraphs
(
a)
and
(
b)
of
section
2120,
7
USC
6519,
of
the
Act.
To
clarify
this,
we
have
added
a
new
paragraph
(
c)
to
section
205.100
of
the
Applicability
subpart.
Certifying
agents,
SOP's
governing
State
officials,
and
USDA
will
receive
complaints
alleging
violations
of
the
Act
or
these
regulations.
Certifying
agents
will
review
all
complaints
that
they
receive
to
determine
if
the
complaint
involves
one
of
their
clients.
If
the
complaint
involves
a
client
of
the
certifying
agent,
the
agent
will
handle
the
complaint
in
accordance
with
its
procedures
for
reviewing
and
investigating
certified
operation
compliance.
If
the
complaint
involves
a
person
who
is
not
a
client
of
the
certifying
agent,
the
certifying
agent
will
refer
the
complaint
to
the
SOP's
governing
State
official,
when
applicable,
or,
in
the
absence
of
an
applicable
SOP's
governing
State
official,
the
Administrator.
SOP's
governing
State
officials
will
review
all
complaints
that
they
receive
in
accordance
with
their
procedures
for
reviewing
and
investigating
alleged
violations
of
the
NOP
and
SOP.
The
SOP's
governing
State
official's
299
review
of
the
complaint
could
result
in
referral
of
the
complaint
to
a
certifying
agent
when
the
complaint
involves
a
client
of
the
certifying
agent,
dismissal,
or
investigation
by
the
SOP's
governing
State
official.
SOP's
governing
State
officials
will,
as
appropriate,
investigate
allegations
of
violations
of
the
Act
by
noncertified
operations
operating
within
their
State.
USDA
will
review
all
complaints
that
it
receives
in
accordance
with
its
procedures
for
reviewing
and
investigating
alleged
violations
of
the
NOP.
USDA
will
refer
complaints
alleging
violations
of
the
NOP/
SOP
to
the
applicable
SOP's
governing
State
official,
who
may,
in
turn,
refer
the
complaint
to
the
applicable
certifying
agent.
In
States
without
an
approved
SOP,
USDA
will
refer
complaints
to
the
applicable
certifying
agent.
USDA
will,
as
appropriate,
investigate
allegations
of
violations
of
the
Act
by
noncertified
operations
operating
in
States
where
there
is
no
approved
SOP.
(
7)
Mediation.
We
have
amended
section
205.663
by
providing
that
a
dispute
with
respect
to
proposed
suspension
or
revocation
of
certification
may,
rather
than
shall,
be
mediated.
We
have
also
provided
that
mediation
must
be
requested
in
writing
to
the
applicable
certifying
agent.
The
certifying
agent
will
have
the
option
of
accepting
or
rejecting
the
request
for
mediation.
If
the
certifying
agent
rejects
the
request
for
mediation,
the
certifying
agent
must
provide
written
notification
to
the
applicant
for
certification
or
certified
operation.
The
written
notification
must
advise
the
applicant
for
certification
or
certified
operation
of
the
right
to
request
an
appeal
within
30
days
of
the
date
of
the
written
notification
of
rejection
of
the
request
for
mediation.
If
mediation
is
accepted
by
the
certifying
agent,
such
mediation
must
be
conducted
by
a
qualified
mediator
mutually
agreed
upon
by
the
parties
to
the
mediation.
Several
commenters
wanted
section
205.663
amended
to
provide
that
disputes
"
may,"
300
rather
than
"
shall,"
be
mediated.
The
commenters
advocated
allowing
the
certifying
agent
to
determine
when
mediation
is
a
productive
option.
Several
State
commenters
wanted
to
amend
the
second
sentence
to
read
as
follows:
"
If
a
State
organic
program
is
in
effect,
the
mediation
procedures
established
in
the
State
orgnic
program,
as
approved
by
the
Secretary,
will
be
followed
for
cases
involving
the
State
organic
program
and
its
applicants
or
certified
parties."
Another
commenter
wanted
to
retain
the
requirement
that
disputes
"
shall"
be
mediated
but
wanted
disputes
mediated
in
accordance
with
7
CFR
Part
11
and
section
205.681
of
these
regulations.
We
concur
that
certifying
agents
should
be
authorized
to
reject
a
request
for
mediation,
especially
when
they
believe
that
the
noncompliance
issue
is
not
conducive
to
mediation.
Accordingly,
we
amended
section
205.663
as
noted
above.
We
disagree,
however,
with
the
State
commenters
who
want
to
amend
the
second
sentence.
We
believe
that
the
recommended
change
would
exclude
the
clients
of
private
sector
certifying
agents
operating
within
the
State.
USDA
approval
of
an
SOP
will
require
that
all
certified
operations
operating
within
the
State
have
the
same
opportunities
for
mediation,
regardless
of
whether
they
are
certified
by
a
private
or
State
certifying
agent.
If
an
approved
SOP
provides
for
mediation,
such
mediation
must
be
available
to
all
certified
operations
operating
within
the
State.
We
also
disagree
with
the
commenter
who
requested
that
disputes
be
mediated
in
accordance
with
7
CFR
Part
11
and
section
205.681
of
these
regulations.
First,
we
believe
that
States
with
an
approved
SOP
must
be
allowed
to
establish
their
own
mediation
program
and
procedures.
Second,
the
Act
and
its
implementing
regulations
are
subject
to
the
APA
for
adjudication.
The
provisions
of
the
APA
generally
applicable
to
agency
adjudication
are
not
applicable
to
proceedings
under
7
CFR
Part
11,
National
301
Appeals
Division
Rules
of
Procedure.
Even
if
7
CFR
Part
11
were
applicable,
it
does
not
address
mediation
procedures.
Mediation
is
merely
addressed
in
7
CFR
Part
11
as
an
available
dispute
resolution
method
along
with
its
impact
on
the
filing
of
an
appeal.
(
8)
Noncompliance
Procedure
for
Certifying
Agents.
We
have
amended
section
205.665(
a)(
3)
to
clarify
that,
like
certified
operations,
certifying
agents
must
submit
supporting
documentation
of
each
correction
of
a
noncompliance
identified
in
a
notification
of
noncompliance.
This
amendment
to
section
205.665(
a)(
3)
was
made
in
response
to
commenter
concerns
that
the
noncompliance
procedures
for
certified
operations
and
certifying
agents
be
similar.
It
had
been
our
intent
that
certifying
agents
would
have
to
document
their
correction
of
noncompliances
and
that
the
noncompliance
procedures
for
certified
operations
and
certifying
agents
would
be
similar.
Compliance
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule,
regulations
on
which
we
received
comments
as
follows:
(
1)
Funding
for
Enforcement.
Several
commenters
stated
that
USDA
should
provide
funding
to
the
States
for
the
cost
of
performing
enforcement
activities.
Others
asked
who
should
fund
investigations
and
enforcement
actions
if
certifying
agents
(
State
and
private)
are
enforcing
compliance
with
a
Federal
law.
Numerous
commenters
requested
information
on
how
enforcement
will
be
funded.
The
National
Organic
Standards
Board
(
NOSB)
recommended
that
the
NOP
examine
existing
models
for
capturing
enforcement
fees
such
as
the
State
of
California's
registration
program
for
all
growers,
handlers,
and
processors
who
use
the
word,
"
organic,"
in
marketing
their
products.
302
We
disagree
with
the
commenters
who
stated
that
USDA
should
fund
enforcement
activities
(
State
and
private).
Costs
for
compliance
under
the
NOP
will
be
borne
by
USDA,
States
with
approved
SOP's,
and
accredited
certifying
agents.
Each
of
the
entities
will
bear
the
cost
of
their
own
enforcement
activities
under
the
NOP.
AMS
anticipates
that
States
will
consider
the
cost
of
enforcing
their
SOP's
prior
to
seeking
USDA
approval
of
such
programs.
We
also
anticipate
that
certifying
agents
will
factor
the
cost
of
compliance
into
their
certification
fee
schedules.
We
agree
that
there
may
be
alternatives,
such
as
the
State
of
California's
registration
program,
available
to
raise
funds
for
enforcing
the
NOP.
We
will
help
identify
existing
models
and
potential
options
that
may
be
available
in
the
future
at
the
Federal,
State,
or
certifying
agent
level.
In
the
interim,
we
believe
that
SOP's
should
explore
funding
options
at
their
level
and
that
certifying
agents
should
factor
the
cost
of
enforcement
into
their
certification
fees
structure.
(
2)
Stop
Sale.
A
number
of
commenters
requested
that
the
regulations
include
the
ability
to
stop
sales
or
recall
misbranded
or
fraudulently
produced
products.
The
Act
does
not
authorize
the
NOP
to
stop
sales
or
recall
misbranded
or
fraudulently
produced
product.
Accordingly,
USDA
cannot
authorize
stop
sales
or
the
recall
of
product.
We
also
believe
that
the
certified
operation's
right
to
due
process
precludes
a
stop
sale
or
recall
prior
to
full
adjudication
of
the
alleged
noncompliance.
However,
the
Food
and
Drug
Administration
(
FDA)
and
the
USDA's
Food
Safety
Inspection
Service
(
FSIS)
have
stop
sale
authority
that
may
be
used
in
certain
organic
noncompliance
cases.
Further,
States
may,
at
their
discretion,
be
able
to
provide
for
stop
sale
or
recall
of
misbranded
or
fraudulently
produced
products
produced
within
their
State.
While
the
Act
does
not
provide
for
stop
sale
or
recall,
it
does
provide
at
7
U.
S.
C.
6519
that
any
person
303
who:
(
1)
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
and
(
2)
makes
a
false
statement
under
the
Act
to
the
Secretary,
an
SOP's
governing
State
official,
or
a
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
(
3)
Notification
of
Proposed
Suspension
or
Revocation.
A
commenter
recommended
replacing
"
notification
of
proposed
suspension
or
revocation"
in
section
205.662(
d)
with
"
notification
of
suspension
or
revocation."
Certification
cannot
be
suspended
or
revoked
without
due
process.
Accordingly,
the
issuance
of
a
written
notification
of
proposed
suspension
or
revocation
is
necessary
to
provide
the
certified
operation
with
information
regarding
the
alleged
noncompliance(
s)
and
its
right
to
answer
the
allegations.
For
this
reason
we
have
not
accepted
the
commenter's
recommendation.
(
4)
Mediation
for
Certifying
Agents.
Several
commenters
recommended
amending
section
205.665(
c)(
4)
to
provide
for
mediation
between
a
certifying
agent
and
the
Program
Manager
when
a
proposed
suspension
or
revocation
is
disputed
by
the
certifying
agent.
We
have
not
accepted
the
recommendation.
USDA
uses
7
CFR
Part
1,
Rules
of
Practice
Governing
Formal
Adjudicatory
Proceedings
Instituted
by
the
Secretary
Under
Various
Statutes,
for
adjudicatory
proceedings
involving
the
denial,
suspension,
and
revocation
of
accreditation.
(
5)
Revocation
of
Accreditation.
A
commenter
stated
that
revocation
of
accreditation
for
3
years
is
excessive.
The
commenter
stated
that
a
period
of
6
to
12
months
might
be
reasonable.
We
have
not
amended
section
205.665(
g)(
2)
because
the
Act
requires
that
the
period
of
revocation
for
certifying
agents,
who
violate
the
Act
and
these
regulations,
be
for
not
less
than
3
years.
Suspension
is
available
to
the
Secretary
to
address
less
egregious
noncompliances.
A
304
certifying
agent
whose
accreditation
is
suspended
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
accreditation.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
these
regulations.
(
6)
Appeals
Under
SOP's.
Several
commenters
recommended
amending
205.668(
b)
by
adding
at
the
end
thereof:
"
unless
the
State
program's
appeals
procedures
include
judicial
review
through
the
State
District
Court."
Another
commenter
wanted
205.668(
b)
amended
by
removing
"
of
the
State
organic
certification
program.
There
shall
be
no
subsequent
rights
of
appeal
to
the
Secretary.
Final
decisions
of
a
State
may
be
appealed
to
the
United
States
District
Court
for
the
district
in
which
such
certified
operation
is
located,"
and
inserting
in
its
place
"
at
7
CFR
part
11
and
205.681
of
this
chapter."
We
have
not
accepted
the
recommendations
because
the
Act
at
7
U.
S.
C.
6520
provides
that
a
final
decision
of
the
Secretary
may
be
appealed
to
the
United
States
District
Court
for
the
district
in
which
the
person
is
located.
We
consider
an
approved
SOP
to
be
the
NOP
for
that
State.
As
such,
we
consider
the
SOP's
governing
State
official
of
such
approved
SOP
to
be
the
equivalent
of
a
representative
of
the
Secretary
for
the
purposes
of
the
appeals
procedures
under
the
NOP.
Accordingly,
the
final
decision
of
the
SOP's
governing
State
official
of
an
approved
SOP
is
considered
the
final
decision
of
the
Secretary
and,
as
such,
is
appealable
to
the
United
States
District
Court
for
the
district
in
which
the
person
is
located,
not
a
State's
District
Court.
We
also
disagree
with
the
commenter
who
wanted
all
appeals
to
be
made
to
the
National
Appeals
Division
under
the
provisions
at
7
CFR
Part
11
and
section
205.681
of
these
regulations.
305
First,
we
believe
that
States
with
an
approved
SOP
must
be
allowed
to
establish
their
own
appeal
procedures.
Such
procedures
would
have
to
comply
with
the
Act,
be
equivalent
to
the
procedures
of
USDA,
and
be
approved
by
the
Secretary.
Second,
as
noted
elsewhere
in
this
preamble,
the
Act
and
its
implementing
regulations
are
subject
to
the
APA
for
adjudication.
The
provisions
of
the
APA
generally
applicable
to
agency
adjudication
are
not
applicable
to
proceedings
under
7
CFR
Part
11.
Compliance
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters:
(
1)
Complaints,
Investigations,
Stop
Sales,
and
Penalties.
Many
commenters
wanted
USDA
to
spell
out
the
responsibilities
and
authorities
of
States,
State
and
private
certifying
agents,
Federal
agencies,
and
citizens
to
make
complaints,
investigate
violations,
halt
the
sale
of
products,
and
impose
penalties.
Anyone
may
file
a
complaint,
with
USDA,
an
SOP's
governing
State
official,
or
certifying
agent,
alleging
violation
of
the
Act
or
these
regulations.
Certifying
agents,
SOP's
governing
State
officials,
and
USDA
will
receive,
review,
and
investigate
complaints
alleging
violations
of
the
Act
or
these
regulations
as
described
in
item
6
above
under
Changes
Based
on
Comments.
Citizens
have
no
authority
under
the
NOP
to
investigate
complaints
alleging
violation
of
the
Act
or
these
regulations.
As
noted
elsewhere
in
this
preamble,
the
Act
does
not
authorize
USDA
to
stop
the
sale
of
product.
Accordingly,
USDA
cannot
authorize
stop
sales
by
accredited
certifying
agents.
We
also
believe
that
the
certified
operation's
right
to
due
process
precludes
a
stop
sale
prior
to
full
adjudication
of
the
alleged
noncompliance.
However,
FDA
and
FSIS
have
stop
sale
authority
that
may
be
used
in
the
event
of
food
safety
concerns.
Further,
States
may,
at
their
discretion,
be
able
306
to
provide
for
stop
sale
of
product
produced
within
their
State.
Citizens
have
no
authority
under
the
NOP
to
stop
the
sale
of
a
product.
The
Act
and
these
regulations
provide
for
suspension
or
revocation
of
certification
by
certifying
agents,
SOP's
governing
State
officials,
and
the
Secretary.
Only
USDA
may
suspend
or
revoke
a
certifying
agent's
accreditation.
All
proposals
to
suspend
or
revoke
a
certification
or
accreditation
are
subject
to
appeal
as
provided
in
section
205.681.
The
Act
provides
at
7
U.
S.
C.
6519
that
any
person
who:
(
1)
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
and
(
2)
makes
a
false
statement
under
the
Act
to
the
Secretary,
an
SOP's
governing
State
official,
or
a
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
Only
USDA
may
bring
an
action
under
7
U.
S.
C.
6519.
(
2)
Certifying
Agent's
Identifying
Mark.
The
NOSB
reaffirmed
its
recommendation
which
would
allow
private
certifying
agents
to
prevent
the
use
of
their
service
mark
(
seal)
upon
written
notification
that:
(
1)
certification
by
the
private
certifying
agent
has
been
terminated,
and
(
2)
the
certifying
agent
has
30
days
to
appeal
the
certifying
agent's
decision
to
the
Secretary
of
Agriculture.
We
will
neither
prohibit
nor
approve
a
certifying
agent's
actions
to
withdraw
a
certified
operation's
authority
to
use
the
certifying
agent's
identifying
mark
for
alleged
violations
of
the
Act
or
regulations.
We
stand
fast
in
our
position
that
all
certified
operations
are
to
be
given
due
process
prior
to
the
suspension
or
revocation
of
their
certification.
The
reader
is
also
reminded
that
the
certifying
agent
cannot
terminate,
suspend,
or
revoke
a
certification
if
the
certified
operation
files
an
appeal
with
an
SOP's
governing
State
official,
when
applicable,
or
the
Administrator
as
provided
for
in
the
notification
of
proposed
suspension
or
revocation.
The
307
certifying
agent
accepts
full
liability
for
any
action
brought
as
a
result
of
the
withdrawal
of
a
certified
operation's
authority
to
use
the
certifying
agent's
identifying
mark.
(
3)
Loss
of
Certification.
A
commenter
posed
several
questions
regarding
the
loss
of
certification.
The
commenter's
questions
and
our
responses
are
as
follows.
How
will
consumers
and
affected
regulatory
agencies
know
if
a
grower
or
handler
loses
its
certification?
We
will
provide
public
notification
of
suspensions
and
revocations
of
certified
operations
through
means
such
as
the
NOP
website.
What
will
the
effect
of
a
lost
certification
be?
Suspension
or
revocation
of
a
producer's
or
handler's
certification
will
require
that
the
producer
or
handler
immediately
cease
its
sale,
labeling,
and
representation
of
agricultural
products
as
organically
produced
or
handled
as
provided
in
the
suspension
or
revocation
order.
A
production
or
handling
operation
or
a
person
responsibly
connected
with
an
operation
whose
certification
has
been
suspended
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
new
request
for
certification
in
accordance
with
section
205.401.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
An
operation
or
a
person
responsibly
connected
with
an
operation
whose
certification
has
been
revoked
will
be
ineligible
to
receive
certification
for
a
period
of
not
more
than
5
years
following
the
date
of
such
revocation,
as
determined
by
the
Secretary.
Any
producer
or
handler
who
sells,
labels,
or
represents
its
product
as
organic
contrary
to
the
provisions
of
the
suspension
or
revocation
order
would
be
subject
to
prosecution
under
7
U.
S.
C.
6519
of
the
Act.
Will
the
certifying
agent
give
a
future
effective
date
for
loss
of
certification,
or
could
the
308
loss
of
certification
be
immediate
or
even
retroactive?
Suspension
or
revocation
will
become
effective
as
specified
in
the
suspension
or
revocation
order
once
it
becomes
final
and
effective.
The
operation,
upon
suspension
or
revocation,
will
be
prohibited
from
selling,
labeling,
and
representing
its
product
as
organic
per
the
provisions
of
the
suspension
or
revocation
order.
If
organic
products
already
on
the
market
were
grown
or
handled
by
someone
whose
certification
is
revoked
or
suspended,
would
USDA
require
that
the
products
be
recalled
and
relabeled?
USDA
will
not,
unless
the
noncompliance
involves
a
food
safety
issue
under
FSIS,
require
the
recall
or
relabeling
of
product
in
the
channels
of
commerce
prior
to
the
issuance
of
a
suspension
or
revocation
order.
First,
at
the
time
the
product
was
produced,
it
may
have
been
produced
in
compliance
with
the
Act
and
these
regulations.
Second,
USDA
does
not
have
the
authority,
under
the
Act,
to
issue
a
stop
sale
order
for
product
sold,
labeled,
or
represented
as
organic
and
placed
in
the
channels
of
commerce
prior
to
suspension
or
revocation
of
a
certified
operation's
certification.
The
Act,
however,
provides
at
7
U.
S.
C.
6519(
a)
for
the
prosecution
of
any
person
who
knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act.
Such
persons
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
(
4)
Investigations.
A
commenter
suggested
that
we
amend
section
205.661(
a)
to
require
that
all
complaints
must
be
investigated
in
accordance
with
the
certifying
agent's
complaints
policy.
The
commenter
also
stated
that
the
Administrator
should
know
which
complaints
were
not
investigated.
We
disagree
that
all
complaints
must
be
investigated
since,
upon
review
of
the
alleged
noncompliance,
some
complaints
may
lack
grounds
for
investigation.
For
example,
a
concerned
citizen
could
allege
that
an
organic
producer
was
seen
applying
a
pesticide
to
a
specific
field.
Upon
review
of
the
allegation,
the
certifying
agent
could
determine
that
the
producer
in
309
question
was
a
split
operation
and
that
the
field
in
question
was
part
of
the
conventional
side
of
the
production
operation.
Accordingly,
there
would
be
no
need
for
an
investigation.
However,
the
certifying
agent
will
be
expected
to:
(
1)
take
each
allegation
seriously,
(
2)
review
each
complaint
received,
(
3)
make
a
determination
as
to
whether
there
may
be
a
basis
for
conducting
an
investigation,
(
4)
investigate
all
allegations
when
it
is
believed
that
there
may
be
a
basis
for
conducting
the
investigation,
and
(
5)
maintain
a
detailed
log
of
all
complaints
received
and
their
disposition.
The
actions
taken
by
the
certifying
agent
must
be
in
conformance
with
the
certifying
agent's
procedures
for
reviewing
and
investigating
certified
operation
compliance.
(
5)
Deadline
for
the
Correction
of
a
Noncompliance.
Several
commenters
requested
that
205.662(
a)(
3)
be
amended
by
adding:
"
The
deadline
for
correction
of
the
noncompliance
may
be
extended
at
the
discretion
of
the
certifier
if
substantial
progress
has
been
made
to
correct
the
noncompliance."
We
believe
that
the
requested
amendment
is
unnecessary.
Section
205.662(
a)(
3)
requires
that
the
notification
of
noncompliance
include
a
date
by
which
the
certified
operation
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
correction
when
correction
is
possible.
There
is
no
prohibition
preventing
the
certifying
agent
from
extending
the
deadline
specified
when
the
certifying
agent
believes
that
the
certified
operation
has
made
a
good
faith
effort
at
correcting
each
noncompliance.
(
6)
Compliance
with
SOP.
Several
States
requested
that
section
205.665
be
amended
to
clarify
how
States
may
handle
a
private
certifying
agent
found
to
be
in
noncompliance
with
SOP's
approved
by
the
Secretary.
A
majority
of
these
commenters
also
asked
if
NOP
intends
to
suspend
or
revoke
the
accreditation
of
certifying
agents
on
a
State
by
State
basis.
Section
205.668(
c)
authorizes
an
SOP's
governing
State
official
to
review
and
investigate
complaints
of
310
noncompliance
with
the
Act
or
regulations
concerning
accreditation
of
certifying
agents
operating
in
the
State.
When
such
review
or
investigation
reveals
any
noncompliance,
the
SOP's
governing
State
official
shall
send
a
written
report
of
noncompliance
to
the
NOP
Program
Manager.
The
report
shall
provide
a
description
of
each
noncompliance
and
the
facts
upon
which
the
noncompliance
is
based.
The
NOP
Program
Manager
will
then
employ
the
noncompliance
procedures
for
certifying
agents
as
found
in
section
205.665.
This
may
include
additional
investigative
work
by
AMS.
Only
USDA
may
suspend
or
revoke
a
certifying
agent's
accreditation.
SOP's
must
meet
the
general
requirements
for
organic
programs
specified
in
the
Act
and
be
at
least
equivalent
to
these
regulations.
Accordingly,
noncompliances
worthy
of
suspension
or
revocation
would
in
all
probability
be
worthy
of
national
suspension
or
revocation
of
accreditation
for
one
or
more
areas
of
accreditation.
Therefore,
USDA
does
not
anticipate
suspending
or
revoking
accreditations,
or
areas
of
accreditation,
on
a
State
by
State
basis.
It
is
possible,
however,
that
the
Secretary
may
decide
to
only
suspend
or
revoke
a
certifying
agent's
accreditation
or
an
area
of
accreditation
to
certify
producers
or
handlers
within
a
given
State.
Such
a
decision
would
in
all
probability
be
tied
to
a
State's
more
restrictive
requirements.
Inspection
and
Testing,
Reporting,
and
Exclusion
from
Sale
This
portion
of
subpart
G
sets
forth
the
inspection
and
testing
requirements
for
agricultural
products
that
have
been
produced
on
organic
production
operations
or
handled
through
organic
handling
operations.
Residue
testing
plays
an
important
role
in
organic
certification
by
providing
a
means
for
monitoring
compliance
with
the
National
Organic
Program
(
NOP)
and
by
discouraging
the
311
mislabeling
of
agricultural
products.
This
testing
program
provides
State
organic
programs'
(
SOP)
governing
State
officials
and
certifying
agents
with
a
tool
for
ensuring
compliance
with
three
areas
for
testing:
(
1)
preharvest
residue
testing,
(
2)
postharvest
residue
testing,
and
(
3)
testing
for
unavoidable
residual
environmental
contamination
levels.
Description
of
Regulations
General
Requirements
Under
the
residue
testing
requirements
of
the
NOP,
all
agricultural
products
sold,
labeled,
or
represented
as
organically
produced
must
be
available
for
inspection
by
the
Administrator,
SOP's
governing
State
official,
or
certifying
agent.
Organic
farms
and
handling
operations
must
be
made
available
for
inspection
under
subpart
E,
Certification.
In
addition,
products
from
the
aforementioned
organic
operations
may
be
required
by
the
SOP's
governing
State
official
or
certifying
agent
to
undergo
preharvest
or
postharvest
testing
when
there
is
reason
to
believe
that
agricultural
inputs
used
in
organic
agriculture
production
or
agricultural
products
to
be
sold
or
labeled
as
organically
produced
have
come
into
contact
with
prohibited
substances
or
have
been
produced
using
excluded
methods.
The
cost
of
such
testing
will
be
borne
by
the
applicable
certifying
agent
and
is
considered
a
cost
of
doing
business.
Accordingly,
certifying
agents
should
make
provisions
for
the
cost
of
preharvest
or
postharvest
residue
testing
when
structuring
certification
fees.
Preharvest
and
Postharvest
Residue
Testing
The
main
objectives
of
the
residue
testing
program
are
to:
(
1)
ensure
that
certified
organic
production
and
handling
operations
are
in
compliance
with
the
requirements
set
forth
in
this
final
rule
and
(
2)
serve
as
a
means
for
monitoring
drift
and
unavoidable
residue
contamination
of
312
agricultural
products
to
be
sold
or
labeled
as
organically
produced.
Any
detectable
residues
of
a
prohibited
substance
or
a
product
produced
using
excluded
methods
found
in
or
on
samples
during
analysis
will
serve
as
a
warning
indicator
to
the
certifying
agent.
The
Administrator,
SOP's
governing
State
official,
or
certifying
agent
may
require
preharvest
or
postharvest
testing
of
any
agricultural
input
used
in
organic
agricultural
production
or
any
agricultural
product
to
be
sold
or
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
It
is
based
on
the
Administrator's,
SOP's
governing
State
official's,
or
certifying
agent's
belief
that
an
agricultural
product
or
agricultural
input
has
come
into
contact
with
one
or
more
prohibited
substances
or
has
been
produced
using
excluded
methods.
Certifying
agents
do
not
have
to
conduct
residue
tests
if
they
do
not
have
reason
to
believe
that
there
is
a
need
for
testing.
Certifying
agents
must
ensure,
however,
that
certified
organic
operations
are
operating
in
accordance
with
the
Act
and
the
regulations
set
forth
in
this
part.
The
"
reason
to
believe"
could
be
triggered
by
various
situations,
for
example:
(
1)
the
applicable
authority
receiving
a
formal,
written
complaint
regarding
the
practices
of
a
certified
organic
operation;
(
2)
an
open
container
of
a
prohibited
substance
found
on
the
premises
of
a
certified
organic
operation;
(
3)
the
proximity
of
a
certified
organic
operation
to
a
potential
source
of
drift;
(
4)
suspected
soil
contamination
by
historically
persistent
substances;
or
(
5)
the
product
from
a
certified
organic
operation
being
unaffected
when
neighboring
fields
or
crops
are
infested
with
pests.
These
situations
do
not
represent
all
of
the
possible
occurrences
that
would
trigger
an
investigation.
Preharvest
or
postharvest
residue
testing
will
occur
on
a
case
by
case
basis.
In
each
case,
an
inspector
representing
the
Administrator,
SOP's
governing
State
official,
313
or
certifying
agent
or
will
conduct
sampling.
According
to
subpart
F,
Accreditation,
private
or
State
entities
accredited
as
certifying
agents
under
the
NOP
must
ensure
that
its
responsibly
connected
persons,
employees,
and
contractors
with
inspection,
analysis,
and
decision
making
responsibilities
have
sufficient
expertise
to
successfully
perform
the
duties
assigned.
Therefore,
all
inspectors
employed
by
certifying
agents
to
conduct
sampling
must
have
sufficient
expertise
in
methods
of
chain
of
custody
sampling.
Moreover,
testing
for
chemical
residues
must
be
performed
in
an
accredited
laboratory.
When
conducting
chemical
analyses,
the
laboratory
must
incorporate
the
analytical
methods
described
in
the
most
current
edition
of
the
Official
Methods
of
Analysis
of
the
AOAC
International
or
other
current
applicable
validated
methodology
for
determining
the
presence
of
contaminants
in
agricultural
products.
Results
of
all
analyses
and
tests
performed
under
section
205.670
must
be
promptly
provided
to
the
Administrator,
except,
that,
where
an
SOP
exists,
all
test
results
and
analyses
should
be
provided
to
the
SOP's
governing
State
official
by
the
applicable
certifying
party
that
requested
testing.
Residue
test
results
and
analyses
must
also
be,
according
to
section
205.403(
e)(
2),
provided
to
the
owner
of
the
certified
organic
operation
whose
product
was
tested.
All
other
parities
desiring
to
obtain
such
information
must
request
it
from
the
applicable
certifying
agent.
OFPA
requires
certifying
agents,
to
the
extent
of
their
awareness,
to
report
violations
of
applicable
laws
relating
to
food
safety
to
appropriate
health
agencies
such
as
EPA
and
FDA.
When
residue
testing
indicates
that
an
agricultural
product
contains
pesticide
residues
or
environmental
contaminants
that
exceed
either
the
EPA
tolerance
level
or
FDA
action
level,
as
applicable,
the
certifying
agent
must
promptly
report
data
revealing
such
information
to
the
Federal
agency
whose
regulatory
tolerance
or
action
level
has
been
exceeded.
314
Residue
Testing
and
Monitoring
Tools
When
testing
indicates
that
an
agricultural
product
to
be
sold
or
labeled
as
organically
produced
contains
residues
of
prohibited
substances,
certifying
agents
will
compare
the
level
of
detected
residues
with
5
percent
of
the
Environmental
Protection
Agency
(
EPA)
tolerance
for
the
specific
residue
detected
on
the
agricultural
product
intended
to
be
sold
as
organically
produced.
This
compliance
measure,
5
percent
of
EPA
tolerance
for
the
detected
prohibited
residue,
will
serve
as
a
standard
for
the
Administrator,
SOP's
governing
State
officials,
and
certifying
agents
to
assist
in
monitoring
for
illegal
use
violations.
In
addition,
we
intend
to
establish
levels
of
unavoidable
residual
environmental
contamination
(
UREC)
for
crop
and
site
specific
agricultural
commodities
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
These
levels
will
represent
limits
at
which
USDA
may
take
compliance
action
to
suspend
the
use
of
a
contaminated
area
for
organic
agricultural
production.
Currently,
USDA
is
seeking
scientifically
sound
principles
and
measures
by
which
it
can
establish
UREC
levels
to
most
effectively
address
issues
of
unavoidable
residual
environmental
contamination
with
respect
to
this
rule.
However,
in
the
interim,
UREC
will
be
defined
as
the
Food
and
Drug
Administration's
(
FDA)
action
levels
for
poisonous
or
deleterious
substances
in
human
food
or
animal
feed.
UREC
levels
will
be
initially
set
for
persistent
prohibited
substances
(
aldrin,
dieldrin,
chlordane,
DDE,
etc.)
in
the
environment.
They
may
become
more
inclusive
of
prohibited
residues
as
additional
information
becomes
available.
Unavoidable
residual
environmental
contamination
levels
will
be
based
on
the
unavoidability
of
the
chemical
substances
and
do
not
represent
permissible
levels
of
contamination
where
it
is
avoidable.
315
Analyses
and
test
results
will
be
available
for
public
access
unless
the
residue
testing
is
part
of
an
ongoing
compliance
investigation.
Information
relative
to
an
ongoing
compliance
investigation
will
be
confidential
and
restricted
to
the
public.
Detection
of
Prohibited
Substances
or
Products
Derived
from
Excluded
Methods
In
the
case
of
residue
testing
and
the
detection
of
prohibited
substances
in
or
on
agricultural
products
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with...,"
products
with
detectable
residues
of
prohibited
substances
that
exceed
5
percent
of
the
EPA
tolerance
for
the
specific
residue
or
UREC
cannot
be
sold
or
labeled
as
organically
produced.
When
such
an
agricultural
crop
is
in
violation
of
these
requirements,
the
certification
of
that
crop
will
be
suspended
for
the
period
that
the
crop
is
in
production.
Certifying
agents
must
follow
the
requirements
specified
in
sections
205.662
and
205.663
of
subpart
G,
Compliance.
The
"
5
percent
of
EPA
tolerance"
standard
is
considered
a
level
above
which
an
agricultural
product
cannot
be
sold
as
organic,
regardless
of
how
the
product
may
have
come
into
contact
with
a
potential
prohibited
substance.
This
standard
has
been
established
to:
(
1)
satisfy
consumer
expectations
that
organic
agricultural
products
will
contain
minimal
chemical
residues
and
(
2)
respond
to
the
organic
industry's
request
to
implement
a
standard
comparable
to
current
industry
practices.
However,
the
"
5
percent
of
EPA
tolerance"
standard
cannot
be
used
to
automatically
qualify
agricultural
products
as
organically
produced,
even
if
the
level
of
chemical
residues
detected
on
an
agricultural
product
is
below
5
percent
of
the
EPA
tolerance
for
the
respective
prohibited
substance.
This
final
rule
is
a
comprehensive
set
of
standards
and
regulations
that
determines
whether
a
product
can
or
cannot
be
considered
to
carry
the
specified
316
organic
labeling
terms
in
subpart
D,
Labeling.
Therefore,
in
addition
to
this
section
of
subpart
G,
Administrative,
all
other
requirements
of
this
part
must
be
met
by
certified
organic
operations
to
have
an
agricultural
product
considered
"
organically
produced."
When
residue
testing
detects
the
presence
of
any
prohibited
substance,
whether
above
or
below
5
percent
of
the
EPA
tolerance
for
the
specific
pesticide
or
UREC,
the
SOP's
governing
State
official
or
certifying
agent
may
conduct
an
investigation
of
the
certified
organic
operation
to
determine
the
cause
of
the
prohibited
substance
or
product
in
or
on
the
agricultural
product
to
be
sold
or
labeled
as
organically
produced.
The
same
shall
occur
if
testing
detects
a
product
produced
using
excluded
methods.
If
the
investigation
reveals
that
the
presence
of
the
prohibited
substance
or
product
produced
using
excluded
methods
in
or
on
an
agricultural
product
intended
to
be
sold
as
organically
produced
is
the
result
of
an
intentional
application
of
a
prohibited
substance
or
use
of
excluded
methods,
the
certified
organic
operation
shall
be
subject
to
suspension
or
revocation
of
its
organic
certification.
In
addition,
any
person
who
knowingly
sells,
labels,
or
represents
an
agricultural
product
as
organically
produced
in
violation
of
the
Act
or
these
regulations
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
Emergency
Pest
or
Disease
Treatment
Programs
When
a
prohibited
substance
is
applied
to
an
organic
production
or
handling
operation
due
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program
and
the
organic
handling
or
production
operation
otherwise
meets
the
requirements
of
this
final
rule,
the
certification
status
of
the
operation
shall
not
be
affected
as
a
result
of
the
application
of
the
prohibited
substance,
except
that:
(
1)
any
harvested
crop
or
plant
part
to
be
harvested
that
has
contact
with
a
prohibited
substance
applied
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
317
cannot
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
and
(
2)
any
livestock
that
are
treated
with
a
prohibited
substance
applied
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
or
product
derived
from
such
treated
livestock
cannot
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
However,
milk
or
milk
products
may
be
labeled
or
sold
as
organically
produced
beginning
12
months
following
the
last
date
that
the
dairy
animal
was
treated
with
the
prohibited
substance.
Additionally,
the
offspring
of
gestating
mammalian
breeder
stock
treated
with
a
prohibited
substance
may
be
considered
organic
if
the
breeder
stock
was
not
in
the
last
third
of
gestation
on
the
date
that
the
breeder
stock
was
treated
with
the
prohibited
substance.
Residue
Testing
Changes
Based
on
Comments
This
portion
of
subpart
G
differs
from
our
proposal
in
several
respects
as
follows:
(
1)
Reporting
Requirements.
Commenters
were
not
satisfied
with
the
language
in
section
205.670(
d)(
1)
that
required
results
of
all
analyses
and
tests
performed
under
section
205.670
to
be
provided
to
the
Administrator
promptly
upon
receipt.
They
asked
that
the
paragraph
be
amended
to
include
that:
(
1)
results
of
all
analyses
and
tests
performed
under
section
205.670
be
provided
by
the
Administrator
to
the
appropriate
SOP's
governing
State
official
and
(
2)
test
results
be
made
immediately
available
to
the
owner
of
the
material
sampled.
They
stated
that
since
State
organic
certification
programs
are
responsible
for
enforcement
within
their
State,
results
of
residue
tests
conducted
by
certifying
agents
must
be
provided
to
the
SOP's
governing
State
official
for
routine
monitoring
and
for
investigating
possible
violations
of
the
Act.
We
agree
with
the
commenters
and
have
responded
to
their
concerns
accordingly.
To
318
ensure
that
SOP's
receive
results
of
all
tests
and
analyses
conducted
under
the
inspection
and
testing
requirements
of
subpart
G,
section
205.670(
d)
has
been
amended
to
include
that
the
results
of
all
analyses
and
residue
tests
must
be
provided
to
the
Administrator
promptly
upon
receipt;
Except:
That
where
an
SOP
exists,
all
test
results
and
analyses
should
be
provided
to
the
SOP's
governing
State
official.
In
regard
to
the
commenters'
request
that
certified
organic
operations
be
provided
with
a
copy
of
test
results
from
samples
taken
by
an
inspector,
an
additional
paragraph,
section
205.403(
e)(
2),
has
been
added
to
subpart
E,
Certification,
that
assures
that
such
information
is
provided
to
the
owners
of
certified
organic
operations
by
the
certifying
agents.
(
2)
Integrity
Of
Organic
Samples.
We
have
modified
language
in
section
205.670(
c)
to
clarify
our
intent
regarding
the
maintenance
of
sample
integrity.
The
proposed
rule
stated
that
"
sample
integrity
must
be
maintained
in
transit,
and
residue
testing
must
be
performed
in
an
accredited
laboratory."
During
the
final
rulemaking
process,
we
did
not
believe
that
our
intent
was
clear
on
this
subject.
Our
intent
is
to
ensure
that
sample
integrity
is
maintained
throughout
the
entire
chain
of
custody
during
the
residue
testing
process.
Proposed
language
only
suggests
that
sample
integrity
be
maintained
in
transit.
Therefore,
the
we
have
changed
the
second
sentence
in
section
205.670(
c)
to
state
that
"
sample
integrity
must
be
maintained
throughout
the
chain
of
custody,
and
residue
testing
must
be
performed
in
an
accredited
laboratory."
(
3)
Reporting
Residue
and
Other
Food
Safety
Violations
to
Appropriate
Health
Agencies.
In
the
proposed
rule,
section
205.671(
b)
under
Exclusion
from
Organic
Sale
states,
"
If
test
results
indicate
a
specific
agricultural
product
contains
pesticide
residues
or
environmental
contaminants
that
exceed
the
FDA's
or
the
EPA's
regulatory
tolerances,
the
data
must
be
reported
promptly
to
319
the
appropriate
public
health
agencies."
During
the
final
rulemaking
process,
a
group
of
commenters
suggested
that
we
move
section
205.671(
b)
into
section
205.670
as
paragraph
(
e).
They
recommended
that
we
move
section
205.671(
b)
because
it
does
not
specifically
address
the
sale
of
organically
produced
products,
as
indicated
by
the
section
heading.
They
recommended
that
section
205.671(
b)
be
placed
under
section
205.670
as
paragraph
(
e)
because
it
dealt
with
the
reporting
of
residues
that
exceed
Federal
regulatory
tolerances.
The
commenters
further
stated
that,
while
section
205.671(
b)
creates
a
duty
to
report,
it
is
not
specific
as
to
who
must
report.
We
have
accepted
the
suggestions
of
the
commenters
and
have
responded
accordingly.
We
have
removed
section
205.671(
b)
and
relocated
it
under
section
205.670
as
paragraph
(
e).
We
have
also
modified
the
regulatory
text
of
paragraph
(
e)
to
include
language
that
instructs
certifying
agents
to
report,
when
residue
testing
indicates
that
an
agricultural
product
contains
pesticide
residues
or
environmental
contaminants
that
exceed
either
the
EPA
tolerance
level
or
FDA
action
level,
as
applicable,
data
reveling
such
information
to
the
Federal
agency
whose
regulatory
tolerance
or
action
level
has
been
exceeded.
(
4)
Exclusion
from
Organic
Sale.
We
have
reviewed
section
205.671(
a),
removed
the
requirement
to
implement
the
Pesticide
Data
Program
(
pdp)
estimated
national
mean
as
a
compliance
tool
in
monitoring
for
the
presence
of
unacceptable
levels
of
prohibited
substances
in
agricultural
products
intended
to
be
sold
as
organic,
and
added
the
"
5
percent
of
EPA
tolerance"
standard.
Commenters
voiced
the
opinion
that
the
estimated
national
mean
would
be
a
difficult
standard
in
organic
agricultural
production
for
several
reasons.
Some
stated
that
the
estimated
national
mean
was
a
new
concept
that
would
confuse
producers
and
handlers
because
they
would
320
not
know
the
exact
definition
of
"
estimated
national
mean"
and
how
it
would
be
determined.
Others
stated
that
the
PDP
was
too
limited
in
scope
to
employ
an
estimated
national
mean
for
all
commodity/
pesticide
combinations.
Commenters
reasoned
that
PDP
data
were
limited
in
terms
of
the
agricultural
commodities
that
are
sampled
and
tested.
Another
group
of
commenters
stated
that
PDP
data
would
be
unfair
to
use
in
the
NOP's
residue
testing
plan.
They
argued
PDP
data
should
not
be
used
to
set
maximum
residue
levels
for
organic
agricultural
products
because
PDP
samples
its
products
as
close
to
the
point
of
consumption
as
possible.
As
a
result,
commenters
believe
that
PDP
data
may
not
be
totally
reflective
of
residue
levels
of
agricultural
products
at
the
farmgate
level.
Since
most
residue
testing
in
organic
agricultural
production
takes
place
at
the
farmgate,
these
commenters
argued
that
it
would
be
an
inappropriate
standard
for
organic
agricultural
production.
As
a
result,
a
large
number
of
commenters
suggested
that
we
reconsider
using
the
estimated
national
mean
as
a
standard
for
the
maximum
allowable
residues
on
organically
produced
products.
Instead,
commenters
recommended
that
the
NOP
incorporate
the
National
Organic
Standards
Board's
(
NOSB)
recommendation
and
current
industry
practice
of
using
5
percent
of
the
EPA
tolerance
as
a
maximum
level
of
pesticide
residue
on
organic
agricultural
products.
Commenters
argued
that
using
5
percent
of
the
EPA
tolerance
provides
a
sense
of
confidence
to
the
consumers
of
organic
agricultural
products.
In
many
respects,
we
agree
with
the
commenters.
We
have
revisited
using
PDP
data
to
establish
an
estimated
national
mean
for
commodity/
pesticide
combinations
and
for
setting
a
maximum
level
of
pesticide
residue
that
could
exclude
agricultural
products
from
being
sold,
labeled,
or
represented
as
organic.
As
a
result,
we
have
concluded
that
such
an
approach
may
be
321
somewhat
underdeveloped
to
incorporate
into
the
NOP.
We
have
reached
this
conclusion
based
on
many
of
the
same
arguments
presented
by
commenters
(
i.
e.,
limited
scope
of
agricultural
products
tested
under
PDP,
product
sampling
based
upon
market
availability,
testing
near
the
point
of
consumption,
etc.).
Also,
we
estimated
that
there
would
be
a
considerable
time
lag
between
the
implementation
of
the
NOP
and
defining
a
comprehensive
list
of
estimated
national
means
for
all
commodity/
pesticide
combinations.
Thus,
we
have
decided
not
to
use
the
estimated
national
mean
as
a
tool
for
monitoring
organic
agricultural
products
for
the
presence
of
prohibited
substances
and
as
a
standard
to
exclude
agricultural
products
from
being
sold,
labeled,
or
represented
as
organically
produced.
Instead,
we
have
decided
to
follow
the
recommendation
of
the
commenters
by
replacing
the
estimated
national
mean
for
specific
commodity/
pesticide
pairs
with
5
percent
of
the
EPA
tolerance
for
the
specific
pesticide.
Therefore,
when
residue
testing
detects
prohibited
substances
at
levels
that
are
greater
than
5
percent
of
the
EPA
tolerance
for
the
specific
pesticide
detected
on
the
particular
product
samples,
the
agricultural
product
must
not
be
sold
or
labeled
as
organically
produced.
We
fully
understand
that
the
EPA
tolerance
is
defined
as
the
maximum
legal
level
of
a
pesticide
residue
in
or
on
a
raw
or
processed
agricultural
commodity.
We
also
acknowledge
that
the
EPA
tolerance
is
a
health
based
standard.
We
are
not
trying
to
employ
the
5
percent
standard
in
a
manner
similar
to
that
of
EPA.
As
mentioned
in
our
proposal,
the
national
organic
standards,
including
provisions
governing
prohibited
substances,
are
based
on
the
method
of
production,
not
the
content
of
the
product.
The
primary
purpose
of
the
residue
testing
approach
described
in
this
final
rule,
then,
is
to
provide
an
additional
tool
for
SOP's'
governing
State
322
officials
and
certifying
agents
to
use
in
monitoring
and
ensuring
compliance
with
the
NOP.
(
5)
Unavoidable
Residual
Environmental
Contamination.
We
have
defined,
as
an
interim
measure,
UREC
as
the
FDA
action
levels
for
poisonous
or
deleterious
substances
in
human
food
or
animal
feed.
Section
205.671
proposed
the
use
of
UREC
to
serve
as
a
residue
testing
tool
for
compliance.
Commenters
believed
UREC
levels,
as
prescribed
in
section
205.671
of
the
proposed
rule,
would
be
problematic
as
a
standard
because
they
were
undefined.
Commenters
argued
that
it
would
be
impractical
and
very
expensive
to
establish
UREC
levels
for
every
organic
crop
and
region
in
the
United
States.
They
suggested
that
UREC
levels
be
managed
as
a
practice
standard
or
program
manual
issue.
They
also
expressed
the
concern
that
inconsistent
application
of
UREC
levels
could
create
difficulties
for
certifying
agents
and
certified
operations.
We
agree
that
UREC
levels
should
be
defined.
We
are
seeking
scientifically
sound
principles
and
measures
by
which
we
can
establish
UREC
levels
to
most
effectively
address
issues
of
unavoidable
residual
contamination
with
respect
to
this
rule.
However,
in
the
interim,
the
ability
to
implement
an
undefined
standard
would
be
difficult
for
certifying
agents.
Therefore,
we
have
included
language
in
the
preamble
that
temporarily
defines
UREC
as
the
FDA
action
levels
for
poisonous
or
deleterious
substances
in
human
food
or
animal
feed.
When
residue
testing
detects
the
presence
of
a
prohibited
substance
on
an
agricultural
product
greater
than
such
levels
mentioned,
the
agricultural
product
cannot
be
sold
as
organic.
We
have
decided
to
use
FDA
action
levels
for
UREC
because
they
encompass
many
of
the
toxic,
persistent
chemicals
and
heavy
metals
that
are
present
in
the
environment
and
may
be
found
on
food
and
animal
feed.
As
mentioned
earlier,
the
FDA
action
levels
are
being
employed
in
this
part
as
temporary
measures
323
for
compliance.
We
will
continue
to
seek
scientifically
sound
principles
and
measures
by
which
to
establish
UREC
levels
that
more
appropriately
satisfy
the
purposes
of
this
part.
Residue
Testing
Changes
Requested
But
Not
Made
This
subpart
retains
from
the
proposed
rule
regulations
on
which
we
received
comments
as
follows:
(
1)
Residue
Testing
Responsibility.
Commenters
petitioned
that
we
remove
the
requirement
in
section
205.670(
b)
that
states
residue
tests
must
be
conducted
by
the
applicable
SOP's
governing
State
official
or
the
certifying
agent
at
the
official's
or
certifying
agent's
own
expense.
The
commenters
expressed
the
opinion
that
we
were
practicing
"
micromanagement."
They
also
said
that
there
was
no
need
for
the
proposal
to
be
so
detailed
with
respect
to
who
pays
for
residue
testing.
Based
on
the
commenters'
responses,
residue
analyses
are
reportedly
paid
by
producers,
buyers,
brokers,
certifiers,
and
government
residue
testing
programs.
We
have
not
adopted
the
suggestion
of
the
commenters.
In
the
proposal,
we
stated
that
conducting
residue
tests
was
considered
a
cost
of
doing
business
for
certifying
agents.
Our
position
has
not
changed.
Certifying
agents
can
factor
residue
testing
costs
into
certification
fees.
It
is
not
our
intention
to
"
micromanage"
the
way
that
certifying
agents
conduct
business.
Section
2107(
a)(
6)
of
the
Act
requires
that
certifying
agents
conduct
residue
testing
of
agricultural
products
that
have
been
produced
on
certified
organic
farms
and
handled
through
certified
organic
handling
operations.
OFPA
also
requires,
under
section
2112(
a)
through
(
c),
that
certifying
agents
enforce
its
provisions
by
implementing
a
system
of
residue
testing
to
test
products
sold
or
labeled
as
organically
produced.
In
addition,
subpart
E,
Certification,
authorizes
certifying
agents
to
conduct
on
site
inspections,
which
may
include
residue
testing,
of
certified
324
organic
operations
to
verify
that
the
operation
is
complying
with
the
provisions
in
the
Act
and
the
regulations
in
this
part.
Certifying
agents
are
responsible
for
monitoring
organic
operations
for
the
presence
of
prohibited
substances;
we
view
residue
testing
as
a
cost
of
doing
business.
Therefore,
we
believe
that
certifying
agents
should
factor
monitoring
costs
associated
with
implementing
the
provisions
in
the
Act
and
Rule
into
their
certification
fees.
(
2)
Reporting
to
Federal
Regulatory
Agencies.
Commenters
disagree
with
section
205.671(
b)
of
the
proposed
rule
which
states
that
if
test
results
indicate
a
specific
agricultural
product
contains
pesticide
residues
or
environmental
contaminants
that
exceed
the
FDA
action
level
or
EPA
tolerance,
the
data
must
be
reported
promptly
to
appropriate
public
health
agencies.
Commenters
believe
that
since
results
of
all
analyses
and
tests
must
be
provided
to
the
Administrator,
USDA
should
be
responsible
for
communicating
such
test
results
to
other
Federal
agencies
such
as
FDA
or
EPA
if
regulatory
tolerances
or
action
levels
are
exceeded.
They
also
suggested
that
section
205.671(
b)
be
removed
from
the
national
regulations.
Commenters
expressed
the
view
that
such
a
requirement
is
not
related
to
organic
certification.
We
do
not
agree
with
the
commenters.
It
is
not
our
intent
to
create
additional
responsibility
for
the
certifying
agent.
Section
205.671(
b),
redesignated
as
section
205.670(
e),
is
a
statutory
requirement.
Section
2107(
a)(
6)
of
the
Organic
Food
Production
Act
of
1990
requires
certifying
agents,
to
the
extent
of
their
awareness,
to
report
violations
of
applicable
laws
relating
to
food
safety
to
appropriate
health
agencies
such
as
EPA
and
FDA.
Therefore,
due
to
section
2107
of
the
Act,
section
205.670(
e)
has
been
included
in
the
national
regulations.
(
3)
"
Threshold"
for
Genetic
Contamination.
Many
commenters
suggested
that
we
establish
a
"
threshold"
for
the
unintended
or
adventitious
presence
of
products
of
excluded
325
methods
in
organic
products.
Some
commenters
argued
that
a
threshold
is
necessary
because,
without
the
mandatory
labeling
of
biotechnology
derived
products,
organic
operations
and
certifying
agents
could
not
be
assured
that
products
of
excluded
methods
were
not
being
used.
Others
argued
that,
without
an
established
threshold,
the
regulations
would
constitute
a
"
zero
tolerance"
for
products
of
excluded
methods,
which
would
be
impossible
to
achieve.
We
do
not
believe
there
is
sufficient
consensus
upon
which
to
establish
such
a
standard
at
this
time.
Much
of
the
basic,
baseline
information
about
the
prevalence
of
genetically
engineered
products
in
the
conventional
agricultural
marketplace
that
would
be
necessary
to
set
such
a
threshold
e.
g.,
the
effects
of
pollen
drift
where
it
may
be
a
factor,
the
extent
of
mixing
at
various
points
throughout
the
marketing
chain,
the
adventitious
presence
of
genetically
engineered
seed
in
nonengineered
seed
lots
is
still
largely
unknown.
Our
understanding
of
how
the
use
of
biotechnology
in
conventional
agricultural
production
might
affect
organic
crop
production
is
even
less
well
developed.
Also,
as
was
pointed
out
in
some
comments,
the
testing
methodology
for
the
presence
of
products
of
excluded
methods
has
not
yet
been
fully
validated.
Testing
methods
for
some
biotechnology
traits
in
some
commodities
are
becoming
commercially
available.
Without
recognized
methods
of
testing
for
and
quantifying
of
all
traits
in
a
wide
range
of
food
products,
however,
it
would
be
very
difficult
to
establish
a
reliable
numerical
tolerance.
There
are
publicly
and
privately
funded
research
projects
underway
that
may
provide
useful
baseline
information.
Efforts
of
Federal
agencies
to
clarify
the
marketing
and
labeling
of
biotechnology
and
nonbiotechnology
derived
crops
may
also
help
address
these
concerns.
FDA,
for
example,
is
developing
guidance
for
food
producers
who
voluntarily
chose
to
label
326
biotechnology
and
nonbiotechnology
derived
foods.
USDA
is
also
preparing
a
Federal
Register
Notice
to
seek
public
comment
on
the
appropriate
role,
if
any,
that
it
can
play
in
facilitating
the
marketing
of
agricultural
products
through
the
development
of
"
quality
assurance"
type
programs
that
help
to
preserve
the
identity
of
agricultural
commodities.
USDA,
in
cooperation
with
the
technology
providers,
is
also
working
to
validate
testing
procedures
and
laboratories
for
some
commodities.
All
of
these
efforts
may
help
to
provide
information
on
this
issue.
Practices
for
preserving
product
identity,
including
segregating
genetically
engineered
and
nongenetically
engineered
products,
are
evolving
in
some
conventional
markets.
As
we
discussed
in
the
preamble
to
the
proposed
rule,
we
anticipate
that
these
evolving
industry
best
practices
and
standards
will
become
the
standards
for
implementing
the
provisions
in
this
regulation
relating
to
the
use
of
excluded
methods.
As
was
also
discussed
in
the
proposed
rule,
these
regulations
do
not
establish
a
"
zero
tolerance"
standard.
As
with
other
substances
not
approve
for
use
in
organic
production
systems,
a
positive
detection
of
a
product
of
excluded
methods
would
trigger
an
investigation
by
the
certifying
agent
to
determine
if
a
violation
of
organic
production
or
handling
standards
occurred.
The
presence
of
a
detectable
residue
alone
does
not
necessarily
indicate
use
of
a
product
of
excluded
methods
that
would
constitute
a
violation
of
the
standards.
(
4)
Certification
Status
After
Emergency
Pest
or
Disease
Treatment.
We
have
not
modified
language
in
section
205.672
that
would
affect
the
certification
status
of
a
certified
organic
operation
if
the
operation
had
been
subjected
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program.
Section
205.672
states
that
when
a
prohibited
substance
is
applied
to
a
certified
operation
327
due
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program
and
the
certified
operation
otherwise
meets
the
requirements
of
this
part,
the
certification
status
of
the
operation
shall
not
be
affected
as
a
result
of
the
application
of
the
prohibited
substance:
Provided,
That,
the
certified
operation
adheres
to
certain
requirements
prescribed
by
the
NOP.
One
group
of
commenters
informed
us
that
they
did
not
support
maintaining
the
organic
status
of
an
operation
that
has
been
directly
treated
with
prohibited
substances,
regardless
of
the
reason
for
treatment.
They
believe
that
Federal
and
State
emergency
pest
or
disease
treatment
programs
should
provide
alternatives
for
organic
operations
whenever
feasible.
If
no
alternative
measure
is
feasible,
the
organic
operation
should
choose
between
voluntary
surrender
of
their
organic
status
on
targeted
parts
of
the
operation
or
destruction
of
the
crop
to
eliminate
pest
habitat.
The
commenters
also
suggested
that
compensation
should
be
provided
to
organic
producers
whose
crops
must
be
destroyed
to
eliminate
habitat.
They
feel
that
allowing
the
application
of
prohibited
materials
to
certified
organic
land
without
affecting
the
certification
status
violates
the
trust
consumers
place
in
organic
certification.
We
disagree
with
the
position
of
the
commenters.
Historically,
residues
from
emergency
pest
or
disease
treatment
programs
have
been
treated
as
drift
cases
by
certifiers.
In
these
cases,
the
specific
crop
may
not
be
sold
as
organic,
but
the
organic
status
of
future
crop
years
are
not
affected.
We
intend
to
handle
such
cases
in
a
similar
manner.
We
understand
that
commenters
would
like
us
to
remove
the
certification
of
an
organic
operation
that
has
been
treated
with
a
prohibited
substance,
but
organic
certification
is
a
production
claim,
not
a
content
claim.
We,
along
with
the
commenters,
are
concerned
with
consumers
trusting
organic
certification.
At
the
same
time,
we
are
concerned
with
the
welfare
of
certified
organic
operations.
We
have
tried
to
328
include
language
in
section
205.672
that
would
address
both
issues.
We
believe
that,
if
a
certified
organic
grower
has
been
a
good
steward
of
his/
her
land
and
has
managed
the
production
of
his/
her
product(
s)
in
accordance
with
all
regulations
in
the
Act
and
other
requirements
in
this
part,
the
certification
status
of
the
operation
should
not
be
affected.
The
application
of
a
prohibited
substance
as
part
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
is
outside
the
control
of
the
certified
operation.
We
also
believe
that
maintaining
consumer
trust
is
important.
Thus,
section
205.672
states
that
any
harvested
crop
or
plant
part
to
be
harvested
that
has
been
treated
with
a
prohibited
substance
as
part
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
cannot
be
sold
as
organically
produced.
Therefore,
the
certified
organic
operation
can
retain
its
certification
status,
and
the
consumer
can
be
assured
that
a
product
from
a
certified
organic
operation
that
has
been
in
contact
with
a
prohibited
substance
as
the
result
of
a
Federal
or
State
pest
or
disease
treatment
program
will
not
enter
the
organic
marketplace.
Accordingly,
we
have
not
made
the
change
to
section
205.672
as
proposed
by
the
commenters.
(
5)
Emergency
Pest
or
Disease
Treatment
Programs.
Commenters
suggested
that
the
Department
add
a
new
paragraph
to
section
205.672
that
states
"
the
certifying
agent
must
monitor
production
operations
that
have
been
subjected
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program,
and
may
require
testing
of
following
crops,
or
an
extended
transition
period
for
affected
production
sites,
if
residue
test
results
indicate
the
presence
of
a
prohibited
substance."
Commenters
said
the
language
in
the
proposed
rule
did
not
clearly
establish
that
a
transition
period
could
be
needed
after
contamination
of
a
certified
organic
operation
by
a
government
mandated
spray
program.
They
felt
that
there
may
be
a
need
for
a
case
by
case
determination
by
the
certifying
agent
as
to
when
it
would
be
best
for
a
certified
organic
operation
329
to
begin
selling
its
products
as
organically
produced
after
it
has
been
subject
to
a
government
mandated
spray
program.
We
understand
that
commenters
would
like
USDA
to
mandate
certifying
agents
to
monitor
operations
that
have
been
subject
to
Federal
or
State
emergency
pest
or
disease
treatment
programs;
however,
we
do
not
see
a
need
to
prescribe
such
a
provision.
Based
on
the
responsibilities
of
being
a
USDA
accredited
certifier,
it
is
our
belief
that
certifying
agents
would
monitor
a
certified
organic
operation
that
has
been
subjected
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program
to
make
sure
that
product
being
produced
for
organic
sale
is
actually
being
produced
in
accordance
with
the
Act
and
the
regulations
in
this
part.
Certifying
agents
have
been
granted
the
authority
to
conduct
additional
on
site
inspections
of
certified
organic
operations
to
determine
compliance
with
the
Act
and
national
standards
under
subpart
E,
section
205.403.
Commenters
requested
that
we
include
language
that
would
allow
certifying
agents
to
recommend
an
extended
transition
period
for
affected
production
sites
if
residue
tests
indicate
the
presence
of
a
prohibited
substance.
Again,
we
understand
the
commenters'
concern,
but
we
are
not
aware
of
comprehensive
soil
residue
data
that
could
guide
certifying
agents
in
determining
appropriate
withdrawal
intervals
for
operations
that
have
been
subjected
to
emergency
pest
or
disease
treatment
programs.
Residue
Testing
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters
as
follows:
(
1)
Sampling
and
Testing.
Commenters
stated
that
the
purpose
of
residue
testing
under
the
Act
is
to
assure
that
organically
produced
agricultural
products
that
are
sold
as
organic
do
not
contain
pesticide
residues
or
residues
of
other
prohibited
substances
that
exceed
levels
as
specified
330
by
the
NOP.
Based
on
language
in
section
205.670(
b)
of
the
proposed
rule,
commenters
expressed
the
opinion
that
the
Agricultural
Marketing
Service
(
AMS)
was,
not
only
requiring
residue
testing
of
organic
agricultural
products,
but
also
of
"
any"
agricultural
input
used
or
agricultural
product
intended
to
be
sold
as
"
100
percent
organic,"
"
organic,"
or
"
made
with..."
when
there
is
reason
to
believe
that
the
agricultural
input
or
product
has
come
into
contact
with
a
prohibited
substance.
Commenters
believe
that
organic
certifying
agents
may
be
required
to
test
many
nonorganic
agricultural
inputs
(
such
as
seeds,
compost,
straw,
sawdust,
and
plastic)
and
nonorganic
agricultural
products
and
ingredients
used
in
products
labeled
as
"
made
with...".
They
also
argued
that
such
testing
would
be
unnecessary,
burdensome,
and
expensive
because
such
materials
are
more
likely
to
have
come
into
contact
with
a
prohibited
substance.
Therefore,
commenters
suggested
that
we
amend
section
205.670(
b)
by
deleting
"
agricultural
inputs"
and
replacing
"
agricultural
product"
with
"
organically
produced
agricultural
product."
They
also
recommended
that
we
replace
the
second
occurrence
of
"
product"
with
"
organic
product."
Thus
section
205.670(
b)
would
suggest
that
only
organic
agricultural
products
could
be
required
to
be
tested
by
the
certifying
agent.
We
understand
the
concerns
of
the
commenters
but
believe
that
the
commenters
have
misinterpreted
the
intent
of
section
205.670(
b).
It
is
not
our
intent
to
mandate
residue
testing
of
all
inputs
and
ingredients
used
in
the
production
of
organic
agricultural
products.
Neither
is
it
our
intent
for
certifying
agents
to
abuse
residue
testing
responsibility
by
conducting
residue
tests
of
certified
organic
operations
without
reason
to
believe
that
the
agricultural
input
or
product
intended
to
be
sold
as
organic
has
come
into
contact
with
prohibited
substances.
Our
intent
is
to
make
it
clear
that
certifying
agents
have
the
authority
to
test
any
agricultural
input
used
or
331
agricultural
product
intended
to
be
sold
as
organically
produced
when
there
is
reason
to
believe
that
the
agricultural
input
or
product
has
come
into
contact
with
a
prohibited
substance.
Section
205.670(
b)
allows
for
testing
of
inputs
and
agricultural
products,
but
it
does
not
require
that
all
inputs
of
a
product
intended
to
be
sold
as
organically
produced
must
be
tested.
However,
certifying
agents
must
be
able
to
ensure
that
certified
organic
operations
are
operating
in
accordance
with
the
Act
and
the
regulations
set
forth
in
this
part.
To
assure
that
certifying
agents
have
established
fair
and
effective
procedures
for
enforcing
residue
testing
requirements,
section
205.504(
b)(
6)
provides
that
they
must
submit
to
USDA
a
copy
of
the
procedures
to
be
used
for
sampling
and
residue
testing
pursuant
to
section
205.670.
(
2)
Chain
Of
Custody
Training.
A
commenter
suggested
that
section
205.670(
c)
address
chain
of
custody
training
for
inspectors
that
will
be
performing
preharvest
or
postharvest
tissue
test
sample
collection
on
behalf
of
the
Administrator,
SOP's
governing
State
official,
or
certifying
agent.
The
commenter
proposed
that
all
inspectors
should
be
trained
to
handle
chain
of
custody
samples
in
order
to
maintain
the
integrity
of
the
samples.
We
agree
that
inspectors
should
be
appropriately
trained
to
handle
chain
of
custody
samples
in
order
to
maintain
the
integrity
of
the
samples
taken
from
a
certified
organic
operation.
However,
we
do
not
believe
that
the
language
in
section
205.670(
c)
must
be
modified
to
address
such
an
issue.
As
a
USDA
accredited
body,
a
private
or
State
entity
operating
as
a
certifying
agent
must
ensure
that
its
responsibly
connected
persons,
employees,
and
contractors
with
inspection,
analysis,
and
decision
making
responsibilities
have
sufficient
expertise
in
organic
production
or
handling
techniques
to
successfully
perform
the
duties
assigned.
The
certifying
agent
must
also
submit
a
description
of
the
training
that
has
been
provided
or
intends
to
be
332
provided
to
personnel
to
ensure
that
they
comply
with
and
implement
the
requirements
of
the
Act
and
the
regulations
in
this
part.
In
addition,
certifying
agents
must
submit
a
copy
of
the
procedure
to
be
used
for
sampling
and
residue
testing
for
approval
by
the
Administrator.
Through
the
accreditation
process,
therefore,
we
will
be
able
to
assess
the
expertise
of
the
individuals
employed
by
the
certifying
agent
and
provide
guidance
in
areas
where
additional
training
is
needed
to
comply
with
the
requirements
of
the
Act
and
the
regulations
in
this
part.
(
3)
Exclusion
from
Organic
Sale.
Commenters
expressed
that
section
205.671(
a)
could
be
easily
misinterpreted.
They
said
that
section
205.671(
a)
did
not
make
clear
that
residue
testing
may
not
be
used
to
qualify
crops
to
be
sold
as
organic
if
a
direct
application
of
prohibited
materials
occurred.
Commenters
suggested
that
section
205.671(
a)
include:
"
Any
crop
or
product
to
which
prohibited
materials
have
been
directly
applied
shall
not
be
sold,
labeled,
or
represented
as
organically
produced."
We
do
not
believe
this
additional
language
is
necessary.
Residue
testing
cannot
be
used
to
qualify
any
agricultural
crop
or
product
to
which
a
prohibited
material
has
been
purposefully/
directly
applied.
The
presence
of
any
prohibited
substance
on
an
agricultural
product
to
be
sold
as
organic
warrants
an
investigation
as
to
why
the
detected
prohibited
substance
is
present
on
the
agricultural
product.
It
does
not
matter
if
the
product
has
come
into
contact
with
a
prohibited
substance
through
means
of
drift
or
intentional
application.
If
the
outcome
of
the
investigation
reveals
that
the
presence
of
the
detected
prohibited
substance
is
the
result
of
an
intentional
application,
the
certified
operation
will
be
subject
to
suspension
or
revocation
of
its
organic
certification
and/
or
a
civil
penalty
of
not
more
than
$
10,000
if
he/
she
knowingly
sells
the
product
as
organic.
The
use
of
prohibited
substances
is
not
allowed
in
the
Act
333
or
this
final
rule.
Residue
testing
is
not
a
means
of
qualifying
a
crop
or
product
as
organic
if
a
prohibited
substance
has
been
intentionally/
directly
applied.
It
is
a
tool
for
monitoring
compliance
with
the
regulations
set
forth
in
the
Act
and
in
this
part.
(
4)
Emergency
Pest
or
Disease
Treatment
Programs.
Commenters
requested
that
we
make
a
clear
distinction
between
crops
or
agricultural
products
that
have
had
prohibited
substances
directly
applied
to
them
and
those
that
have
come
into
contact
with
prohibited
substances
through
chemical
drift.
They
have
proposed
that
we
amend
section
205.672(
a)
to
address
this
issue.
Section
205.672(
a)
of
the
proposal
states
that
any
harvested
crop
or
plant
part
to
be
harvested
that
has
had
contact
with
a
prohibited
substance
applied
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
cannot
be
sold
as
organically
produced.
Commenters
did
not
find
this
language
acceptable
because
it
did
not
distinguish
between
the
two
types
of
ways
that
products
can
come
into
contact
with
prohibited
substances
(
drift
and
direct/
intentional
application)
and
how
each
situation
would
be
addressed
with
respect
to
the
national
organic
standards.
Commenters
believed
that
section
205.672(
a)
was
fairly
ambiguous
and
open
for
misinterpretation.
Commenters
requested
that
we
amend
language
in
section
205.672(
a)
to
include
that
"
Any
harvested
crop
or
plant
part
to
be
harvested
that
has
contact
with
a
prohibited
substance
directly
applied
to
the
crop
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
cannot
be
sold,
labeled,
or
represented
as
organically
produced."
We
do
not
accept
the
commenters'
request
and
believe
that
the
commenters
have
misinterpreted
section
205.672
of
the
proposed
rule.
Section
205.672
specifically
addresses
certified
organic
operations
that
have
had
prohibited
substances
applied
to
them
due
to
a
Federal
334
or
State
pest
or
disease
treatment
program.
Section
205.672
does
not
include
those
organic
operations
that
may
have
been
drifted
upon
by
prohibited
substances
that
have
been
applied
to
a
neighboring
farm
as
a
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program.
Any
potential
drift
from
a
mandatory
pest
and
disease
treatment
program
will
be
treated
in
the
same
manner
as
drift
from
any
other
source.
Adverse
Action
Appeal
Process
This
portion
of
subpart
G
sets
forth
the
procedures
for
appealing
adverse
actions
under
the
National
Organic
Program
(
NOP).
These
procedures
will
be
used
by:
(
1)
producers
and
handlers
appealing
denial
of
certification
and
proposed
suspension
or
revocation
of
certification
decisions;
and
(
2)
certifying
agents
appealing
denial
of
accreditation
and
proposed
suspension
or
revocation
of
accreditation
decisions.
The
Act
and
the
Administrative
Procedure
Act
(
APA)
(
5
U.
S.
C.
553
559)
provides
affected
persons
with
the
right
to
appeal
any
adverse
actions
taken
against
their
application
for
certification
or
accreditation
or
their
certification
or
accreditation.
The
Administrator
will
handle
certification
appeals
from
operations
in
States
that
do
not
have
an
approved
State
organic
program
(
SOP).
The
Administrator
will
also
handle
appeals
of
accreditation
decisions
of
the
NOP
Program
Manager.
The
Administrator
will
issue
decisions
to
sustain
or
deny
appeals.
If
an
appeal
is
denied,
the
Administrator
will
initiate
a
formal
adjudicatory
proceeding
to
deny,
suspend,
or
revoke
certification
or
accreditation.
Such
proceedings
will
be
conducted
pursuant
to
USDA's
Rules
of
Practice
Governing
Formal
Adjudicatory
Proceedings
Instituted
by
the
Secretary
Under
Various
Statutes,
7
CFR
1.130
through
1.151.
Under
these
rules
of
practice,
if
the
Administrative
Law
Judge
denies
the
appeal,
the
appellant
may
appeal
the
Administrative
Law
Judge's
decision
to
the
Judicial
Officer.
If
the
335
Judicial
Officer
denies
the
appeal,
the
appellant
may
appeal
the
Judicial
Officer's
decision
to
the
United
States
District
Court
for
the
district
in
which
the
appellant
is
located.
In
States
with
approved
SOP's,
the
SOP
will
oversee
certification
compliance
proceedings
and
handle
appeals
from
certified
operations
in
the
State.
An
SOP's
appeal
procedures
and
rules
of
procedure
must
be
approved
by
the
Secretary
and
must
be
equivalent
to
those
of
the
NOP
and
USDA.
The
final
decision
on
an
appeal
under
the
SOP
may
be
appealed
by
the
appellant
to
United
States
District
Court
for
the
district
in
which
the
appellant
is
located.
Description
of
Regulations
These
appeal
procedures
provide
that:
(
1)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
the
NOP's
Program
Manager
may
appeal
such
decision
to
the
Administrator;
(
2)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
an
SOP
may
appeal
such
decision
to
the
SOP's
governing
State
official
who
will
initiate
handling
of
the
appeal
in
accordance
with
the
appeal
procedures
approved
by
the
Secretary;
and
(
3)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
a
certifying
agent
may
appeal
such
decision
to
the
Administrator
unless
the
person
is
subject
to
an
approved
SOP,
in
which
case
the
appeal
must
be
made
to
the
SOP.
All
written
communications
between
parties
involved
in
appeal
proceedings
must
be
sent
to
the
recipient's
place
of
business
by
a
delivery
service
which
provides
dated
return
receipts.
All
appeals
filed
under
these
procedures
will
be
reviewed,
heard,
and
decided
by
persons
not
involved
with
the
decision
being
appealed.
Certification
Appeals
336
Applicants
for
certification
may
appeal
a
certifying
agent's
notice
of
denial
of
certification.
Certified
operations
may
appeal
a
notification
of
proposed
suspension
or
revocation
of
their
certification
issued
by
their
certifying
agent.
Such
appeals
will
be
made
to
the
Administrator
unless
the
person
is
subject
to
an
approved
SOP,
in
which
case
the
appeal
must
be
made
to
the
SOP.
If
the
Administrator
or
SOP
sustains
an
appeal,
the
applicant
or
certified
operation
will
be
granted
certification
or
continued
certification,
as
applicable
to
the
operation's
status.
The
act
of
sustaining
the
appeal
will
not
be
considered
an
adverse
action
and
may
not
be
appealed
by
the
certifying
agent
which
issued
the
notice
of
denial
of
certification
or
notification
of
proposed
suspension
or
revocation
of
certification.
If
the
Administrator
or
SOP
denies
an
appeal,
a
formal
administrative
proceeding
will
be
initiated
to
deny,
suspend,
or
revoke
the
certification.
Such
proceeding
will
be
conducted
in
accordance
with
USDA's
Uniform
Rules
of
Practice
or
the
SOP's
rules
of
procedure.
Accreditation
Appeals
Applicants
for
accreditation
may
appeal
the
Program
Manager's
notification
of
accreditation
denial.
Accredited
certifying
agents
may
appeal
a
notification
of
proposed
suspension
or
revocation
of
their
accreditation
issued
by
the
Program
Manager.
Such
appeals
will
be
made
to
the
Administrator.
If
the
Administrator
sustains
an
appeal,
the
applicant
or
certifying
agent
will
be
granted
accreditation
or
continued
accreditation,
as
applicable
to
the
operation's
status.
If
the
Administrator
denies
an
appeal,
a
formal
administrative
proceeding
will
be
initiated
to
deny,
suspend,
or
revoke
the
accreditation.
Such
proceeding
will
be
conducted
in
accordance
with
USDA's
Uniform
Rules
of
Practice.
337
Filing
Period
An
appeal
of
a
noncompliance
decision
must
be
filed
within
the
time
period
provided
in
the
letter
of
notification
or
within
30
days
from
the
date
of
receipt
of
the
notification,
whichever
occurs
later.
The
appeal
will
be
considered
"
filed"
on
the
date
received
by
the
Administrator
or,
when
applicable,
the
SOP.
Unless
appealed
in
a
timely
manner,
a
notification
to
deny,
suspend,
or
revoke
a
certification
or
accreditation
will
become
final.
The
applicant,
certified
operation,
or
certifying
agent
that
does
not
file
an
appeal
in
the
time
period
provided
waives
the
right
to
further
appeal
of
the
compliance
proceeding.
Where
and
What
to
File
Appeals
to
the
Administrator
must
be
filed
in
writing
and
sent
to:
Administrator,
USDAAMS
Room
3071
S,
P.
O.
Box
96456,
Washington,
DC
20090
6456.
Appeals
to
the
SOP
must
be
filed
in
writing
to
the
address
and
person
identified
in
the
letter
of
notification.
All
appeals
must
include
a
copy
of
the
adverse
decision
to
be
reviewed
and
a
statement
of
the
appellant's
reasons
for
believing
that
the
decision
was
not
proper
or
made
in
accordance
with
applicable
program
regulations,
policies,
or
procedures.
Appeals
Changes
Based
On
Comments
This
portion
of
subpart
G
differs
from
the
proposal
in
several
respects
as
follows:
(
1)
To
Whom
an
Appeal
Is
Made.
We
have
amended
section
205.680
to
clarify
to
whom
an
appeal
is
made
when
the
noncompliance
decision
is
made
by
the
NOP's
Program
Manager,
an
SOP,
or
a
certifying
agent.
Several
commenters
requested
that
we
amend
section
205.680
to
make
it
consistent
with
the
provision
providing
that
appeals
to
the
Administrator
are
not
allowed
in
the
case
of
an
SOP
decision,
because
such
appeals
have
to
be
made
to
the
SOP's
governing
338
State
official.
We
agree
that
section
205.680
did
not
convey
sufficient
explanation
of
to
whom
an
appeal
is
made.
Accordingly,
we
have
amended
the
language
in
section
205.680
to
clarify
through
paragraphs
(
a),
(
b),
and
(
c)
that:
(
1)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
the
NOP's
Program
Manager
may
appeal
such
decision
to
the
Administrator;
(
2)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
an
SOP
may
appeal
such
decision
to
the
SOP's
governing
State
official
who
will
initiate
handling
of
the
appeal
pursuant
to
appeal
procedures
approved
by
the
Secretary;
and
(
3)
persons,
subject
to
the
Act,
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
a
certifying
agent
may
appeal
such
decision
to
the
Administrator
unless
the
person
is
subject
to
an
approved
SOP,
in
which
case
the
appeal
must
be
made
to
the
SOP.
(
2)
Written
Communications.
We
have
added
a
new
paragraph
(
d)
to
section
205.680,
which
provides
that
all
written
communications
between
parties
involved
in
appeal
proceedings
must
be
sent
to
the
recipient's
place
of
business
by
a
delivery
service
which
provides
dated
return
receipts.
We
have
taken
this
action
to
further
clarify
the
appeals
process.
This
addition
to
section
205.680
implements
the
same
requirements
for
appeal
documents
as
our
addition
of
new
paragraph
(
d)
to
section
205.660
stipulates
for
compliance
documents.
(
3)
Who
Shall
Handle
Appeals.
We
have
added
a
new
paragraph
(
e)
to
section
205.680,
which
provides
that
all
appeals
must
be
reviewed,
heard,
and
decided
by
persons
not
involved
with
the
decision
being
appealed.
This
provision
was
added
to
section
205.680
to
allay
the
fears
of
commenters
that
the
person
making
the
decision
would
be
the
person
deciding
the
appeal.
A
couple
of
commenters
recommended
that
an
appeal
be
heard
by
persons
other
than
those
who
339
made
the
decision
being
appealed.
Specifically,
they
want
the
appeal
conducted
by
independent
hearing
officers
who
are
not
responsible
for
implementation
or
administration
of
the
NOP.
They
also
want
the
final
decision
making
authority
in
the
administrative
review
process
placed
in
the
hands
of
the
Secretary.
Under
the
NOP,
once
the
compliance
procedures
are
completed
at
the
certifying
agent
level,
the
certified
operation
may
appeal
the
decision
of
the
certifying
agent
to
the
Administrator
or
to
the
SOP
when
the
certified
operation
is
located
within
a
State
with
an
approved
SOP.
The
Administrator
or
the
SOP
will
review
the
case
and
render
an
opinion
on
the
appeal.
When
the
appeal
is
sustained,
the
certified
operation
and
certifying
agent
are
notified
and
the
case
ends.
However,
if
the
appeal
is
denied
the
certified
operation
and
certifying
agent
are
notified
and
the
certified
operation
is
given
an
opportunity
to
appeal
the
decision
of
the
Administrator
or
SOP.
Appeals
of
decisions
made
by
the
Administrator
will
be
heard
by
an
Administrative
Law
Judge.
If
the
Administrative
Law
Judge
rules
against
the
certified
operation,
the
Administrative
Law
Judge's
decision
may
be
appealed
by
the
certified
operation
to
the
Judicial
Officer.
The
Judicial
Officer
is
the
USDA
official
delegated
authority
by
the
Secretary
as
the
final
deciding
officer
in
adjudication
proceedings.
If
the
Judicial
Officer
rules
against
the
certified
operation,
the
Judicial
Officer's
decision
may
be
appealed
by
the
certified
operation
to
the
United
States
District
Court
for
the
district
in
which
the
certified
operation
is
located.
For
additional
information
see
USDA's
Uniform
Rules
of
Practice
found
at
7
CFR
Part
1,
subpart
H.
Appeals
of
decisions
made
by
an
SOP
will
follow
procedures
comparable
to
those
just
described
for
an
appeal
of
a
decision
made
by
the
Administrator.
As
with
a
final
decision
of
USDA,
a
final
decision
of
the
State
that
goes
against
the
certified
operation
may
be
appealed
to
340
the
United
States
District
Court
for
the
district
in
which
the
certified
operation
is
located.
(
4)
Filing
Period.
We
have
amended
the
first
sentence
of
section
205.681(
c)
by
replacing
"
at
least"
with
"
within"
and
by
adding
the
words,
"
whichever
occurs
later,"
to
the
end
thereof.
This
amendment
has
been
made
to
clarify
our
intent
that
persons
affected
by
a
noncompliance
proceeding
decision
receive
not
less
than
30
days
in
which
to
file
their
appeal
of
the
decision.
(
5)
Where
To
File
an
Appeal.
We
have
amended
section
205.681(
d)
to
clarify
where
appeals
are
to
be
filed.
First,
we
have
amended
what
is
now
paragraph
(
1)
by
removing
the
requirement
that
the
appellant
send
a
copy
of
the
appeal
to
the
certifying
agent.
This
action
shifts
the
responsibility
of
notifying
the
certifying
agent
of
the
appeal
from
the
appellant
to
USDA
or,
when
applicable,
the
SOP.
Second,
we
have
added
language
at
paragraph
(
2)
which
clarifies
that
appeals
to
the
SOP
must
be
filed
in
writing
to
the
address
and
person
identified
in
the
letter
of
notification.
Finally,
we
have
amended
what
is
now
paragraph
(
3)
of
section
205.681
by
replacing
"
position"
with
"
reasons
for
believing"
to
clarify
the
intended
scope
and
purpose
of
the
appellant's
appeal
statement.
Clarification
of
section
205.681(
d)
was
prompted
by
a
commenter
who
stated
that
it
is
discriminatory
to
require
clients
of
private
certifying
agents
to
appeal
to
USDA
in
Washington,
when
State
program
clients
can
appeal
locally.
There
are
various
levels
of
appeal
within
the
NOP.
Clients
of
certifying
agents
(
State
and
private)
are
provided
with
an
opportunity
to
rebut
the
noncompliance
findings
of
the
certifying
agent.
Once
the
certified
operation
has
exhausted
its
options
at
the
certifying
agent
level,
the
certified
operation
may
appeal
the
decision
of
the
certifying
agent
to
the
Administrator
or
to
the
SOP
when
the
certified
operation
is
located
within
a
State
with
an
approved
SOP.
The
Administrator
will
review
the
case
and
render
an
opinion
on
the
appeal.
This
level
of
341
appeal
will
not
require
the
certified
operation's
representative
to
travel
to
the
Administrator.
An
appeal
of
a
decision
made
by
the
Administrator
will
be
heard
by
an
Administrative
Law
Judge
as
near
as
possible
to
the
certified
operation's
representative's
place
of
business
or
residence.
An
appeal
of
a
decision
made
by
the
Administrative
Law
Judge
will
be
heard
by
the
Judicial
Officer.
Again
the
certified
operation's
representative
will
not
be
required
to
travel
outside
of
the
representative's
place
of
business
or
residence.
If
the
certified
operation
appeals
the
decision
of
the
Judicial
Officer,
the
appeal
would
be
heard
by
the
United
States
District
Court
for
the
district
in
which
the
certified
operation
is
located.
Appeals
of
decisions
made
by
an
SOP
will
follow
procedures
comparable
to
those
just
described
for
an
appeal
of
a
decision
made
by
the
Administrator.
As
with
a
final
decision
of
USDA,
a
final
decision
of
the
State
that
goes
against
the
certified
operation
may
be
appealed
to
the
United
States
District
Court
for
the
district
in
which
the
certified
operation
is
located.
(
6)
Appeal
Reports.
We
will
submit
an
annual
report
on
appeals
to
the
National
Organic
Standards
Board
(
NOSB),
which
will
include
nonconfidential
compliance
information.
A
commenter
requested
that
we
report
quarterly
to
the
NOSB
on
appeals
(
number,
outcome,
kinds,
and
problems).
We
agree
that
it
would
be
appropriate
for
the
NOP
to
submit
an
appeals
report
to
the
NOSB.
We
will
compile
appeal
data
such
as
the
number,
outcome,
kinds,
and
problems
encountered.
We
will
maintain
this
information
under
the
compliance
program
to
be
developed
within
the
NOP.
We
do
not
believe
that
it
is
necessary
to
put
this
type
of
detail
or
activity
into
the
regulations.
Further,
we
do
not
believe,
at
this
time,
that
reporting
more
frequently
than
annually
will
be
needed.
The
NOP,
however,
will
work
closely
with
the
NOSB
to
provide
it
with
the
information
it
may
need
to
recommend
program
amendments
designed
to
address
compliance
342
and
appeal
issues.
(
7)
Availability
of
Appeal
Information.
We
will
develop
and
distribute
appeal
information.
A
commenter
requested
that
section
205.680
be
amended
to
require
the
distribution
of
an
appeal
information
brochure
to
any
applicant
for
accreditation
or
certification.
We
agree
that
the
development
and
distribution
of
such
information
is
a
good
idea.
We
do
not
believe,
however,
that
it
is
necessary
or
appropriate
to
put
this
type
of
detail
or
activity
into
the
regulations.
We
plan
to
provide
program
information,
including
appeals
and
related
issues,
on
the
NOP
website.
Appeals
Changes
Requested
But
Not
Made
This
portion
of
subpart
G
retains
from
the
proposed
rule,
regulations
on
which
we
received
comments
as
follows:
(
1)
National
Appeals
Division.
Several
commenters
recommend
amending
sections
205.680
and
205.681
to
provide
for
appeals
to
the
National
Appeals
Division
under
the
provisions
at
7
CFR
Part
11.
We
disagree
with
the
request
that
the
NOP
use
the
National
Appeals
Division
Rules
of
Procedure.
The
Act
and
its
implementing
regulations
are
subject
to
the
APA
for
rulemaking
and
adjudication.
The
provisions
of
the
APA
generally
applicable
to
agency
adjudication
are
not
applicable
to
proceedings
under
7
CFR
Part
11,
National
Appeals
Division
Rules
of
Procedure.
USDA
uses
7
CFR
Part
1,
Rules
of
Practice
Governing
Formal
Adjudicatory
Proceedings
Instituted
by
the
Secretary
Under
Various
Statutes,
for
adjudicatory
proceedings
involving
the
denial,
suspension,
and
revocation
of
certification
and
accreditation.
Appeals
Clarifications
Clarification
is
given
on
the
following
issues
raised
by
commenters:
343
(
1)
Appeals.
A
commenter
stated
that
appeals
of
certification
decisions
should
always
be
taken
first
to
the
certifying
agent
to
provide
an
opportunity
to
rectify
any
possible
error.
Another
commenter
requested
an
appeals
process
that
includes
private
certifying
agents.
Section
205.662(
a)
requires
a
written
notification
of
noncompliance
with
opportunity
to
rebut
or
correct.
When
the
noncompliance
has
been
resolved
due
to
rebuttal
or
correction,
a
written
notification
of
noncompliance
resolution
is
issued
in
accordance
with
section
205.662(
b).
When
rebuttal
is
unsuccessful
or
correction
of
the
noncompliance
is
not
completed
within
the
prescribed
time
period,
a
written
notification
of
proposed
suspension
or
revocation
will
be
issued
in
accordance
with
section
205.662(
c).
This
notification
will
advise
the
certified
operation
of
its
right
to
request
mediation
or
file
an
appeal
with
the
Administrator
or,
when
applicable,
an
SOP.
We
believe
this
process
of
providing
a
notification
of
noncompliance
with
opportunity
to
rebut
or
correct,
followed
by
a
notification
of
proposed
suspension
or
revocation,
provides
ample
opportunity
for
the
certified
operation
to
work
with
its
certifying
agent
to
resolve
issues
of
noncompliance.
(
2)
Timely
Notification.
A
few
commenters
requested
that
we
amend
section
205.680
to
include
mandatory
procedures
for
timely
written
notice
of
an
adverse
decision,
the
reasons
for
the
decision,
the
person's
appeal
rights,
and
the
procedures
for
filing
an
appeal.
We
recognize
that
all
compliance
activities
need
to
be
carried
out
as
quickly
and
expeditiously
as
possible
within
the
confines
of
due
process.
We
believe
that
the
commenters'
concerns
are
addressed
through
various
sections
of
these
regulations.
Section
205.402(
a)
requires
review
of
an
application
upon
acceptance
of
the
application.
Section
205.405,
on
denial
of
certification,
requires
a
notification
of
noncompliance,
followed,
as
applicable,
by
a
notice
of
denial
of
certification.
In
accordance
344
with
section
205.405(
d),
the
notice
of
denial
of
certification
will
state
the
reasons
for
denial
and
the
applicant's
right
to
request
mediation
or
appeal
the
decision.
Section
205.507
on
denial
of
accreditation
requires
a
notification
of
noncompliance,
followed,
as
applicable,
by
a
denial
of
accreditation.
The
notification
of
accreditation
denial
will
state
the
reasons
for
denial
and
the
applicant's
right
to
appeal
the
decision.
Compliance
sections
205.662
for
certified
operations
and
205.665
for
certifying
agents
require
a
notification
of
noncompliance
with
an
opportunity
to
correct
or
rebut
the
noncompliance(
s).
Sections
205.662
and
205.665,
when
applicable,
require
the
issuance
of
a
notification
of
proposed
suspension
or
revocation.
Such
notice
must
describe
the
noncompliance
and
the
entity's
right
to
an
appeal.
Section
205.681
provides
the
procedures
for
filling
an
appeal.
Miscellaneous
Section
205.690
provisions
the
Office
of
Management
and
Budget
control
number
assigned
to
the
information
collection
requirements
of
these
regulations.
Sections
205.691
through
205.699
are
reserved.
List
of
Subjects
in
7
CFR
Part
205
Administrative
practice
and
procedure,
Agriculture,
Animals,
Archives
and
records,
Imports,
Labeling,
Organically
produced
products,
Plants,
Reporting
and
recordkeeping
requirements,
Seals
and
insignia,
Soil
conservation.
For
the
reasons
set
forth
in
the
preamble,
it
is
proposed
that
Title
7,
Chapter
I
of
the
Code
of
Federal
Regulations
be
amended
as
follows:
1.
Parts
205
through
209,
which
are
currently
reserved
in
subchapter
K
(
Federal
Seed
Act),
are
removed.
345
2.
A
new
subchapter
M
consisting
of
part
205
through
209
is
added
to
read
as
follows:
SUBCHAPTER
M
ORGANIC
FOODS
PRODUCTION
ACT
PROVISIONS
PART
205
NATIONAL
ORGANIC
PROGRAM
Subpart
A
Definitions
Sec.
205.1
Meaning
of
words.
205.2
Terms
defined.
Subpart
B
Applicability
205.100
What
has
to
be
certified.
205.101
Exemptions
and
exclusions
from
certification.
205.102
Use
of
the
term,
"
organic."
205
103
Recordkeeping
by
certified
operations.
205.104
[
Reserved]
205.105
Allowed
and
prohibited
substances,
methods,
and
ingredients
in
organic
production
and
handling.
205.106
205.199
[
Reserved]
Subpart
C
Organic
Crop,
Wild
Crop,
Livestock,
and
Handling
Requirements
205.200
General.
205.201
Organic
production
and
handling
system
plan.
205.202
Land
requirements.
205.203
Soil
fertility
and
crop
nutrient
management
practice
standard.
205.204
Seeds
and
planting
stock
practice
standard.
346
205.205
Crop
rotation
practice
standard.
205.206
Crop
pest,
weed,
and
disease
management
practice
standard.
205.207
Wild
crop
harvesting
practice
standard.
205.208
205.235
[
Reserved]
205.236
Origin
of
livestock.
205.237
Livestock
feed.
205.238
Livestock
health
care
practice
standard.
205.239
Livestock
living
conditions.
205.240
205.269
[
Reserved]
205.270
Organic
handling
requirements.
205.271
Facility
pest
management
practice
standard.
205.272
Commingling
and
contact
with
prohibited
substance
prevention
practice
standard.
205.273
205.289
[
Reserved]
205.290
Temporary
variances.
205.291
205.299
[
Reserved]
Subpart
D
Labels,
Labeling,
and
Market
Information
205.300
Use
of
the
term,
"
organic."
205.301
Product
composition.
205.302
Calculating
the
percentage
of
organically
produced
ingredients.
205.303
Packaged
products
labeled
"
100
percent
organic"
or
"
organic."
205.304
Packaged
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
347
205.305
Multiingredient
packaged
products
with
less
that
70
percent
organically
produced
ingredients.
205.306
Labeling
of
livestock
feed.
205.307
Labeling
of
nonretail
containers
used
for
only
shipping
or
storage
of
raw
or
processed
agricultural
products
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
205.308
Agricultural
products
in
other
than
packaged
form
at
the
point
of
retail
sale
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic"
or
"
organic."
205.309
Agricultural
products
in
other
than
packaged
form
at
the
point
of
retail
sale
that
are
sold,
labeled,
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
205.310
Agricultural
products
produced
on
an
exempt
production
operation.
205.311
USDA
Seal.
205.312
205.399
[
Reserved]
Subpart
E
Certification
205.400
General
requirements
for
certification.
205.401
Application
for
certification.
205.402
Review
of
application.
205.403
On
site
inspections.
205.404
Granting
certification.
205.405
Denial
of
certification.
205.406
Continuation
of
certification.
348
205.407
205.499
[
Reserved]
Subpart
F
Accreditation
of
Certifying
Agents
205.500
Areas
and
duration
of
accreditation.
205.501
General
requirements
for
accreditation.
205.502
Applying
for
accreditation.
205.503
Applicant
information.
205.504
Evidence
of
expertise
and
ability.
205.505
Statement
of
agreement.
205.506
Granting
accreditation.
205.507
Denial
of
accreditation.
205.508
Site
evaluations.
205.509
Peer
review
panel.
205.510
Annual
report,
recordkeeping,
and
renewal
of
accreditation.
205.511
205.599
[
Reserved]
Subpart
G
Administrative
The
National
List
of
Allowed
and
Prohibited
Substances
205.600
Evaluation
criteria
for
allowed
and
prohibited
substances,
methods,
and
ingredients.
205.601
Synthetic
substances
allowed
for
use
in
organic
crop
production.
205.602
Nonsynthetic
substances
prohibited
for
use
in
organic
crop
production.
205.603
Synthetic
substances
allowed
for
use
in
organic
livestock
production.
205.604
Nonsynthetic
substances
prohibited
for
use
in
organic
livestock
production.
349
205.605
Nonagricultural
(
nonorganic)
substances
allowed
as
ingredients
in
or
on
processed
products
labeled
as
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
205.606
Nonorganically
produced
agricultural
products
allowed
as
ingredients
in
or
on
processed
products
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
205.607
Amending
the
National
List.
205.608
205.619
[
Reserved]
State
Programs
205.620
Requirements
of
State
organic
programs.
205.621
Submission
and
determination
of
proposed
State
organic
programs
and
amendments
to
approved
State
organic
programs.
205.622
Review
of
approved
State
organic
programs.
205.623
205.639
[
Reserved]
Fees
205.640
Fees
and
other
charges
for
accreditation.
205.641
Payment
of
fees
and
other
charges.
205.642
Fees
and
other
charges
for
certification.
205.643
205.649
[
Reserved]
Compliance
205.660
General.
205.661
Investigation
of
certified
operations.
350
205.662
Noncompliance
procedure
for
certified
operations.
205.663
Mediation.
205.664
[
Reserved]
205.665
Noncompliance
procedure
for
certifying
agents.
205.666
205.667
[
Reserved]
205.668
Noncompliance
procedures
under
State
Organic
Programs.
205.699
[
Reserved]
Inspection
and
Testing,
Reporting,
and
Exclusion
from
Sale
205.670
Inspection
and
testing
of
agricultural
product
to
be
sold
or
labeled
"
organic."
205.671
Exclusion
from
organic
sale.
205.672
Emergency
pest
or
disease
treatment.
205.673
205.679
[
Reserved]
Adverse
Action
Appeal
Process
205.680
General.
205.681
Appeals.
205.682
205.689
[
Reserved]
Miscellaneous
205.690
OMB
control
number.
205.691
205.699
[
Reserved]
Authority:
7
U.
S.
C.
6501
6522
Subpart
A
Definitions
§
205.1
Meaning
of
words.
351
For
the
purpose
of
the
regulations
in
this
subpart,
words
in
the
singular
form
shall
be
deemed
to
impart
the
plural
and
vice
versa,
as
the
case
may
demand.
§
205.2
Terms
defined.
Accreditation.
A
determination
made
by
the
Secretary
that
authorizes
a
private,
foreign,
or
State
entity
to
conduct
certification
activities
as
a
certifying
agent
under
this
part.
Act.
The
Organic
Foods
Production
Act
of
1990,
as
amended
(
7
U.
S.
C.
6501
et
seq.).
Action
level.
The
limit
at
or
above
which
the
Food
and
Drug
Administration
will
take
legal
action
against
a
product
to
remove
it
from
the
market.
Action
levels
are
based
on
unavoidability
of
the
poisonous
or
deleterious
substances
and
do
not
represent
permissible
levels
of
contamination
where
it
is
avoidable.
Administrator.
The
Administrator
for
the
Agricultural
Marketing
Service,
United
States
Departure
of
Agriculture,
or
the
representative
to
whom
authority
has
been
delegated
to
act
in
the
stead
of
the
Administrator.
Agricultural
inputs.
All
substances
or
materials
used
in
the
production
or
handling
of
organic
agricultural
products.
Agricultural
product.
Any
agricultural
commodity
or
product,
whether
raw
or
processed,
including
any
commodity
or
product
derived
from
livestock,
that
is
marketed
in
the
United
States
for
human
or
livestock
consumption.
Allowed
synthetic.
A
substance
that
is
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
production
or
handling.
Agricultural
Marketing
Service
(
AMS).
The
Agricultural
Marketing
Service
of
the
United
States
Department
of
Agriculture.
352
Animal
drug.
Any
drug
as
defined
in
section
201
of
the
Federal
Food,
Drug,
and
Cosmetic
Act,
as
amended
(
21
U.
S.
C.
321),
that
is
intended
for
use
in
livestock,
including
any
drug
intended
for
use
in
livestock
feed
but
not
including
such
livestock
feed.
Annual
seedling.
A
plant
grown
from
seed
that
will
complete
its
life
cycle
or
produce
a
harvestable
yield
within
the
same
crop
year
or
season
in
which
it
was
planted.
Area
of
operation.
The
types
of
operations:
crops,
livestock,
wild
crop
harvesting
or
handling,
or
any
combination
thereof
that
a
certifying
agent
may
be
accredited
to
certify
under
this
part.
Audit
trail.
Documentation
that
is
sufficient
to
determine
the
source,
transfer
of
ownership,
and
transportation
of
any
agricultural
product
labeled
as
"
100
percent
organic,"
the
organic
ingredients
of
any
agricultural
product
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients)"
or
the
organic
ingredients
of
any
agricultural
product
containing
less
than
70
percent
organic
ingredients
identified
as
organic
in
an
ingredients
statement.
Biodegradable.
Subject
to
biological
decomposition
into
simpler
biochemical
or
chemical
components.
Biologics.
All
viruses,
serums,
toxins,
and
analogous
products
of
natural
or
synthetic
origin,
such
as
diagnostics,
antitoxins,
vaccines,
live
microorganisms,
killed
microorganisms,
and
the
antigenic
or
immunizing
components
of
microorganisms
intended
for
use
in
the
diagnosis,
treatment,
or
prevention
of
diseases
of
animals.
Breeder
stock.
Female
livestock
whose
offspring
may
be
incorporated
into
an
organic
operation
at
the
time
of
their
birth.
Buffer
zone.
An
area
located
between
a
certified
production
operation
or
portion
of
a
353
production
operation
and
an
adjacent
land
area
that
is
not
maintained
under
organic
management.
A
buffer
zone
must
be
sufficient
in
size
or
other
features
(
e.
g.,
windbreaks
or
a
diversion
ditch)
to
prevent
the
possibility
of
unintended
contact
by
prohibited
substances
applied
to
adjacent
land
areas
with
an
area
that
is
part
of
a
certified
operation.
Bulk.
The
presentation
to
consumers
at
retail
sale
of
an
agricultural
product
in
unpackaged,
loose
form,
enabling
the
consumer
to
determine
the
individual
pieces,
amount,
or
volume
of
the
product
purchased.
Certification
or
certified.
A
determination
made
by
a
certifying
agent
that
a
production
or
handling
operation
is
in
compliance
with
the
Act
and
the
regulations
in
this
part,
which
is
documented
by
a
certificate
of
organic
operation.
Certified
operation.
A
crop
or
livestock
production,
wild
crop
harvesting
or
handling
operation,
or
portion
of
such
operation
that
is
certified
by
an
accredited
certifying
agent
as
utilizing
a
system
of
organic
production
or
handling
as
described
by
the
Act
and
the
regulations
in
this
part.
Certifying
agent.
Any
entity
accredited
by
the
Secretary
as
a
certifying
agent
for
the
purpose
of
certifying
a
production
or
handling
operation
as
a
certified
production
or
handling
operation.
Certifying
agent's
operation.
All
sites,
facilities,
personnel,
and
records
used
by
a
certifying
agent
to
conduct
certification
activities
under
the
Act
and
the
regulations
in
this
part.
Claims.
Oral,
written,
implied,
or
symbolic
representations,
statements,
or
advertising
or
other
forms
of
communication
presented
to
the
public
or
buyers
of
agricultural
products
that
relate
to
the
organic
certification
process
or
the
term,
"
100
percent
organic,"
"
organic,"
or
"
made
354
with
organic
(
specified
ingredients
or
food
group(
s)),"
or,
in
the
case
of
agricultural
products
containing
less
than
70
percent
organic
ingredients,
the
term,
"
organic,"
on
the
ingredients
panel.
Commercially
available.
The
ability
to
obtain
a
production
input
in
an
appropriate
form,
quality,
or
quantity
to
fulfill
an
essential
function
in
a
system
of
organic
production
or
handling,
as
determined
by
the
certifying
agent
in
the
course
of
reviewing
the
organic
plan.
Commingling.
Physical
contact
between
unpackaged
organically
produced
and
nonorganically
produced
agricultural
products
during
production,
processing,
transportation,
storage
or
handling,
other
than
during
the
manufacture
of
a
multiingredient
product
containing
both
types
of
ingredients.
Compost.
The
product
of
a
managed
process
through
which
microorganisms
break
down
plant
and
animal
materials
into
more
available
forms
suitable
for
application
to
the
soil.
Compost
must
be
produced
through
a
process
that
combines
plant
and
animal
materials
with
an
initial
C:
N
ratio
of
between
25:
1
and
40:
1.
Producers
using
an
in
vessel
or
static
aerated
pile
system
must
maintain
the
composting
materials
at
a
temperature
between
131
E
F
and
170
E
F
for
3
days.
Producers
using
a
windrow
system
must
maintain
the
composting
materials
at
a
temperature
between
131
E
F
and
170
E
F
for
15
days,
during
which
time,
the
materials
must
be
turned
a
minimum
of
five
times.
Control.
Any
method
that
reduces
or
limits
damage
by
populations
of
pests,
weeds,
or
diseases
to
levels
that
do
not
significantly
reduce
productivity.
Crop.
A
plant
or
part
of
a
plant
intended
to
be
marketed
as
an
agricultural
product
or
fed
to
livestock.
Crop
residues.
The
plant
parts
remaining
in
a
field
after
the
harvest
of
a
crop,
which
355
include
stalks,
stems,
leaves,
roots,
and
weeds.
Crop
rotation.
The
practice
of
alternating
the
annual
crops
grown
on
a
specific
field
in
a
planned
pattern
or
sequence
in
successive
crop
years
so
that
crops
of
the
same
species
or
family
are
not
grown
repeatedly
without
interruption
on
the
same
field.
Perennial
cropping
systems
employ
means
such
as
alley
cropping,
intercropping,
and
hedgerows
to
introduce
biological
diversity
in
lieu
of
crop
rotation.
Crop
year.
That
normal
growing
season
for
a
crop
as
determined
by
the
Secretary.
Cultivation.
Digging
up
or
cutting
the
soil
to
prepare
a
seed
bed;
control
weeds;
aerate
the
soil;
or
work
organic
matter,
crop
residues,
or
fertilizers
into
the
soil.
Cultural
methods.
Methods
used
to
enhance
crop
health
and
prevent
weed,
pest,
or
disease
problems
without
the
use
of
substances;
examples
include
the
selection
of
appropriate
varieties
and
planting
sites;
proper
timing
and
density
of
plantings;
irrigation;
and
extending
a
growing
season
by
manipulating
the
microclimate
with
green
houses,
cold
frames,
or
wind
breaks.
Detectable
residue.
The
amount
or
presence
of
chemical
residue
or
sample
component
that
can
be
reliably
observed
or
found
in
the
sample
matrix
by
current
approved
analytical
methodology.
Disease
vectors.
Plants
or
animals
that
harbor
or
transmit
disease
organisms
or
pathogens
which
may
attack
crops
or
livestock.
Drift.
The
physical
movement
of
prohibited
substances
from
the
intended
target
site
onto
an
organic
operation
or
portion
thereof.
Emergency
pest
or
disease
treatment
program.
A
mandatory
program
authorized
by
a
Federal,
State,
or
local
agency
for
the
purpose
of
controlling
or
eradicating
a
pest
or
disease.
356
Employee.
Any
person
providing
paid
or
volunteer
services
for
a
certifying
agent.
Excluded
methods.
A
variety
of
methods
used
to
genetically
modify
organisms
or
influence
their
growth
and
development
by
means
that
are
not
possible
under
natural
conditions
or
processes
and
are
not
considered
compatible
with
organic
production.
Such
methods
include
cell
fusion,
microencapsulation
and
macroencapsulation,
and
recombinant
DNA
technology
(
including
gene
deletion,
gene
doubling,
introducing
a
foreign
gene,
and
changing
the
positions
of
genes
when
achieved
by
recombinant
DNA
technology).
Such
methods
do
not
include
the
use
of
traditional
breeding,
conjugation,
fermentation,
hybridization,
in
vitro
fertilization,
or
tissue
culture.
Feed.
Edible
materials
which
are
consumed
by
livestock
for
their
nutritional
value.
Feed
may
be
concentrates
(
grains)
or
roughages
(
hay,
silage,
fodder).
The
term,
"
feed,"
encompasses
all
agricultural
commodities,
including
pasture
ingested
by
livestock
for
nutritional
purposes.
Feed
additive.
A
substance
added
to
feed
in
micro
quantities
to
fulfill
a
specific
nutritional
need;
i.
e.,
essential
nutrients
in
the
form
of
amino
acids,
vitamins,
and
minerals.
Feed
Supplement.
A
combination
of
feed
nutrients
added
to
livestock
feed
to
improve
the
nutrient
balance
or
performance
of
the
total
ration
and
intended
to
be:
(
1)
Diluted
with
other
feeds
when
fed
to
livestock;
(
2)
Offered
free
choice
with
other
parts
of
the
ration
if
separately
available;
or
(
3)
Further
diluted
and
mixed
to
produce
a
complete
feed.
Fertilizer.
A
single
or
blended
substance
containing
one
or
more
recognized
plant
nutrient(
s)
which
is
used
primarily
for
its
plant
nutrient
content
and
which
is
designed
for
use
or
claimed
to
have
value
in
promoting
plant
growth.
357
Field.
An
area
of
land
identified
as
a
discrete
unit
within
a
production
operation.
Forage.
Vegetative
material
in
a
fresh,
dried,
or
ensiled
state
(
pasture,
hay,
or
silage),
which
is
fed
to
livestock.
Governmental
entity.
Any
domestic
government,
tribal
government,
or
foreign
governmental
subdivision
providing
certification
services.
Handle.
To
sell,
process,
or
package
agricultural
products,
except
such
term
shall
not
include
the
sale,
transportation,
or
delivery
of
crops
or
livestock
by
the
producer
thereof
to
a
handler.
Handler.
Any
person
engaged
in
the
business
of
handling
agricultural
products,
including
producers
who
handle
crops
or
livestock
of
their
own
production,
except
such
term
shall
not
include
final
retailers
of
agricultural
products
that
do
not
process
agricultural
products.
Handling
operation.
Any
operation
or
portion
of
an
operation
(
except
final
retailers
of
agricultural
products
that
do
not
process
agricultural
products)
that
receives
or
otherwise
acquires
agricultural
products
and
processes,
packages,
or
stores
such
products.
Immediate
family.
The
spouse,
minor
children,
or
blood
relatives
who
reside
in
the
immediate
household
of
a
certifying
agent
or
an
employee,
inspector,
contractor,
or
other
personnel
of
the
certifying
agent.
For
the
purpose
of
this
part,
the
interest
of
a
spouse,
minor
child,
or
blood
relative
who
is
a
resident
of
the
immediate
household
of
a
certifying
agent
or
an
employee,
inspector,
contractor,
or
other
personnel
of
the
certifying
agent
shall
be
considered
to
be
an
interest
of
the
certifying
agent
or
an
employee,
inspector,
contractor,
or
other
personnel
of
the
certifying
agent.
Inert
ingredient.
Any
substance
(
or
group
of
substances
with
similar
chemical
structures
if
358
designated
by
the
Environmental
Protection
Agency)
other
than
an
active
ingredient
which
is
intentionally
included
in
any
pesticide
product
(
40
CFR
152.3(
m)).
Information
panel.
That
part
of
the
label
of
a
packaged
product
that
is
immediately
contiguous
to
and
to
the
right
of
the
principal
display
panel
as
observed
by
an
individual
facing
the
principal
display
panel,
unless
another
section
of
the
label
is
designated
as
the
information
panel
because
of
package
size
or
other
package
attributes
(
e.
g.,
irregular
shape
with
one
usable
surface).
Ingredient.
Any
substance
used
in
the
preparation
of
an
agricultural
product
that
is
still
present
in
the
final
commercial
product
as
consumed.
Ingredients
statement.
The
list
of
ingredients
contained
in
a
product
shown
in
their
common
and
usual
names
in
the
descending
order
of
predominance.
Inspector.
Any
person
retained
or
used
by
a
certifying
agent
to
conduct
inspections
of
certification
applicants
or
certified
production
or
handling
operations.
Inspection.
The
act
of
examining
and
evaluating
the
production
or
handling
operation
of
an
applicant
for
certification
or
certified
operation
to
determine
compliance
with
the
Act
and
the
regulations
in
this
part.
Label.
A
display
of
written,
printed,
or
graphic
material
on
the
immediate
container
of
an
agricultural
product
or
any
such
material
affixed
to
any
agricultural
product
or
affixed
to
a
bulk
container
containing
an
agricultural
product,
except
for
package
liners
or
a
display
of
written,
printed,
or
graphic
material
which
contains
only
information
about
the
weight
of
the
product.
Labeling.
All
written,
printed,
or
graphic
material
accompanying
an
agricultural
product
at
any
time
or
written,
printed,
or
graphic
material
about
the
agricultural
product
displayed
at
359
retail
stores
about
the
product.
Livestock.
Any
cattle,
sheep,
goat,
swine,
poultry,
or
equine
animals
used
for
food
or
in
the
production
of
food,
fiber,
feed,
or
other
agricultural
based
consumer
products;
wild
or
domesticated
game;
or
other
nonplant
life,
except
such
term
shall
not
include
aquatic
animals
or
bees
for
the
production
of
food,
fiber,
feed,
or
other
agricultural
based
consumer
products.
Lot.
Any
number
of
containers
which
contain
an
agricultural
product
of
the
same
kind
located
in
the
same
conveyance,
warehouse,
or
packing
house
and
which
are
available
for
inspection
at
the
same
time.
Manure.
Feces,
urine,
other
excrement,
and
bedding
produced
by
livestock
that
has
not
been
composted.
Market
information.
Any
written,
printed,
audiovisual,
or
graphic
information,
including
advertising,
pamphlets,
flyers,
catalogues,
posters,
and
signs,
distributed,
broadcast,
or
made
available
outside
of
retail
outlets
that
are
used
to
assist
in
the
sale
or
promotion
of
a
product.
Mulch.
Any
nonsynthetic
material,
such
as
wood
chips,
leaves,
or
straw,
or
any
synthetic
material
included
on
the
National
List
for
such
use,
such
as
newspaper
or
plastic
that
serves
to
suppress
weed
growth,
moderate
soil
temperature,
or
conserve
soil
moisture.
Narrow
range
oils.
Petroleum
derivatives,
predominately
of
paraffinic
and
napthenic
fractions
with
50
percent
boiling
point
(
10
mm
Hg)
between
415
E
F
and
440
E
F.
National
List.
A
list
of
allowed
and
prohibited
substances
as
provided
for
in
the
Act.
National
Organic
Program
(
NOP).
The
program
authorized
by
the
Act
for
the
purpose
of
implementing
its
provisions.
National
Organic
Standards
Board
(
NOSB).
A
board
established
by
the
Secretary
under
7
360
U.
S.
C.
6518
to
assist
in
the
development
of
standards
for
substances
to
be
used
in
organic
production
and
to
advise
the
Secretary
on
any
other
aspects
of
the
implementation
of
the
National
Organic
Program.
Natural
resources
of
the
operation.
The
physical,
hydrological,
and
biological
features
of
a
production
operation,
including
soil,
water,
wetlands,
woodlands,
and
wildlife.
Nonagricultural
substance.
A
substance
that
is
not
a
product
of
agriculture,
such
as
a
mineral
or
a
bacterial
culture,
that
is
used
as
an
ingredient
in
an
agricultural
product.
For
the
purposes
of
this
part,
a
nonagricultural
ingredient
also
includes
any
substance,
such
as
gums,
citric
acid,
or
pectin,
that
is
extracted
from,
isolated
from,
or
a
fraction
of
an
agricultural
product
so
that
the
identity
of
the
agricultural
product
is
unrecognizable
in
the
extract,
isolate,
or
fraction.
Nonsynthetic
(
natural).
A
substance
that
is
derived
from
mineral,
plant,
or
animal
matter
and
does
not
undergo
a
synthetic
process
as
defined
in
section
6502(
21)
of
the
Act
(
7
U.
S.
C.
6502(
21)).
For
the
purposes
of
this
part,
nonsynthetic
is
used
as
a
synonym
for
natural
as
the
term
is
used
in
the
Act.
Nontoxic.
Not
known
to
cause
any
adverse
physiological
effects
in
animals,
plants,
humans,
or
the
environment.
Nonretail
container.
Any
container
used
for
shipping
or
storage
of
an
agricultural
product
that
is
not
used
in
the
retail
display
or
sale
of
the
product.
Organic.
A
labeling
term
that
refers
to
an
agricultural
product
produced
in
accordance
with
the
Act
and
the
regulations
in
this
part.
Organic
matter.
The
remains,
residues,
or
waste
products
of
any
organism.
Organic
production.
A
production
system
that
is
managed
in
accordance
with
the
Act
and
361
regulations
in
this
part
to
respond
to
site
specific
conditions
by
integrating
cultural,
biological,
and
mechanical
practices
that
foster
cycling
of
resources,
promote
ecological
balance,
and
conserve
biodiversity.
Organic
system
plan.
A
plan
of
management
of
an
organic
production
or
handling
operation
that
has
been
agreed
to
by
the
producer
or
handler
and
the
certifying
agent
and
that
includes
written
plans
concerning
all
aspects
of
agricultural
production
or
handling
described
in
the
Act
and
the
regulations
in
subpart
C
of
this
part.
Pasture.
Land
used
for
livestock
grazing
that
is
managed
to
provide
feed
value
and
maintain
or
improve
soil,
water,
and
vegetative
resources.
Peer
review
panel.
A
panel
of
individuals
who
have
expertise
in
organic
production
and
handling
methods
and
certification
procedures
and
who
are
appointed
by
the
Administrator
to
assist
in
evaluating
applicants
for
accreditation
as
certifying
agents.
Person.
An
individual,
partnership,
corporation,
association,
cooperative,
or
other
entity.
Pesticide.
Any
substance
which
alone,
in
chemical
combination,
or
in
any
formulation
with
one
or
more
substances
is
defined
as
a
pesticide
in
section
2(
u)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
7
U.
S.
C.
136(
u)
et
seq).
Petition.
A
request
to
amend
the
National
List
that
is
submitted
by
any
person
in
accordance
with
this
part.
Planting
stock.
Any
plant
or
plant
tissue
other
than
annual
seedlings
but
including
rhizomes,
shoots,
leaf
or
stem
cuttings,
roots,
or
tubers,
used
in
plant
production
or
propagation.
Practice
standard.
The
guidelines
and
requirements
through
which
a
production
or
handling
operation
implements
a
required
component
of
its
production
or
handling
organic
system
362
plan.
A
practice
standard
includes
a
series
of
allowed
and
prohibited
actions,
materials,
and
conditions
to
establish
a
minimum
level
performance
for
planning,
conducting,
and
maintaining
a
function,
such
as
livestock
health
care
or
facility
pest
management,
essential
to
an
organic
operation.
Principal
display
panel.
That
part
of
a
label
that
is
most
likely
to
be
displayed,
presented,
shown,
or
examined
under
customary
conditions
of
display
for
sale.
Private
entity.
Any
domestic
or
foreign
nongovernmental
for
profit
or
not
for
profit
organization
providing
certification
services.
Processing.
Cooking,
baking,
curing,
heating,
drying,
mixing,
grinding,
churning,
separating,
extracting,
slaughtering,
cutting,
fermenting,
distilling,
eviscerating,
preserving,
dehydrating,
freezing,
chilling,
or
otherwise
manufacturing
and
includes
the
packaging,
canning,
jarring,
or
otherwise
enclosing
food
in
a
container.
Processing
aid.
(
a)
substance
that
is
added
to
a
food
during
the
processing
of
such
food
but
is
removed
in
some
manner
from
the
food
before
it
is
packaged
in
its
finished
form;
(
b)
a
substance
that
is
added
to
a
food
during
processing,
is
converted
into
constituents
normally
present
in
the
food,
and
does
not
significantly
increase
the
amount
of
the
constituents
naturally
found
in
the
food;
and
(
c)
a
substance
that
is
added
to
a
food
for
its
technical
or
functional
effect
in
the
processing
but
is
present
in
the
finished
food
at
insignificant
levels
and
does
not
have
any
technical
or
functional
effect
in
that
food.
Producer.
A
person
who
engages
in
the
business
of
growing
or
producing
food,
fiber,
feed,
and
other
agricultural
based
consumer
products.
Production
lot
number/
identifier.
Identification
of
a
product
based
on
the
production
363
sequence
of
the
product
showing
the
date,
time,
and
place
of
production
used
for
quality
control
purposes.
Prohibited
substance.
A
substance
the
use
of
which
in
any
aspect
of
organic
production
or
handling
is
prohibited
or
not
provided
for
in
the
Act
or
the
regulations
of
this
part.
Records.
Any
information
in
written,
visual,
or
electronic
form
that
documents
the
activities
undertaken
by
a
producer,
handler,
or
certifying
agent
to
comply
with
the
Act
and
regulations
in
this
part.
Residue
testing.
An
official
or
validated
analytical
procedure
that
detects,
identifies,
and
measures
the
presence
of
chemical
substances,
their
metabolites,
or
degradations
products
in
or
on
raw
or
processed
agricultural
products.
Responsibly
connected.
Any
person
who
is
a
partner,
officer,
director,
holder,
manager,
or
owner
of
10
percent
or
more
of
the
voting
stock
of
an
applicant
or
a
recipient
of
certification
or
accreditation.
Retail
food
establishment.
A
restaurant;
delicatessen;
bakery;
grocery
store;
or
any
retail
outlet
with
an
in
store
restaurant,
delicatessen,
bakery,
salad
bar,
or
other
eat
in
or
carry
out
service
of
processed
or
prepared
raw
and
ready
to
eat
food.
Routine
use
of
parasiticide.
The
regular,
planned,
or
periodic
use
of
parasiticides.
Secretary.
The
Secretary
of
Agriculture
or
a
representative
to
whom
authority
has
been
delegated
to
act
in
the
Secretary's
stead.
Sewage
sludge.
A
solid,
semisolid,
or
liquid
residue
generated
during
the
treatment
of
domestic
sewage
in
a
treatment
works.
Sewage
sludge
includes
but
is
not
limited
to:
domestic
septage;
scum
or
solids
removed
in
primary,
secondary,
or
advanced
wastewater
treatment
364
processes;
and
a
material
derived
from
sewage
sludge.
Sewage
sludge
does
not
include
ash
generated
during
the
firing
of
sewage
sludge
in
a
sewage
sludge
incinerator
or
grit
and
screenings
generated
during
preliminary
treatment
of
domestic
sewage
in
a
treatment
works.
Slaughter
stock.
Any
animal
that
is
intended
to
be
slaughtered
for
consumption
by
humans
or
other
animals.
Split
operation.
An
operation
that
produces
or
handles
both
organic
and
nonorganic
agricultural
products.
Soil
and
water
quality.
Observable
indicators
of
the
physical,
chemical,
or
biological
condition
of
soil
and
water,
including
the
presence
of
environmental
contaminants.
State.
Any
of
the
several
States
of
the
United
States
of
America,
its
territories,
the
District
of
Columbia,
and
the
Commonwealth
of
Puerto
Rico.
State
certifying
agent.
A
certifying
agent
accredited
by
the
Secretary
under
the
National
Organic
Program
and
operated
by
the
State
for
the
purposes
of
certifying
organic
production
and
handling
operations
in
the
State.
State
organic
program
(
SOP).
A
State
program
that
meets
the
requirements
of
section
6506
of
the
Act,
is
approved
by
the
Secretary,
and
is
designed
to
ensure
that
a
product
that
is
sold
or
labeled
as
organically
produced
under
the
Act
is
produced
and
handled
using
organic
methods.
State
organic
program's
governing
State
official.
The
chief
executive
official
of
a
State
or,
in
the
case
of
a
State
that
provides
for
the
statewide
election
of
an
official
to
be
responsible
solely
for
the
administration
of
the
agricultural
operations
of
the
State,
such
official
who
administers
a
State
organic
certification
program.
Synthetic.
A
substance
that
is
formulated
or
manufactured
by
a
chemical
process
or
by
a
365
process
that
chemically
changes
a
substance
extracted
from
naturally
occurring
plant,
animal,
or
mineral
sources,
except
that
such
term
shall
not
apply
to
substances
created
by
naturally
occurring
biological
processes.
Tolerance.
The
maximum
legal
level
of
a
pesticide
chemical
residue
in
or
on
a
raw
or
processed
agricultural
commodity
or
processed
food.
Transplant.
A
seedling
which
has
been
removed
from
its
original
place
of
production,
transported,
and
replanted.
Unavoidable
residual
environmental
contamination
(
UREC).
Background
levels
of
naturally
occurring
or
synthetic
chemicals
that
are
present
in
the
soil
or
present
in
organically
produced
agricultural
products
that
are
below
established
tolerances.
Wild
crop.
Any
plant
or
portion
of
a
plant
that
is
collected
or
harvested
from
a
site
that
is
not
maintained
under
cultivation
or
other
agricultural
management.
Subpart
B
Applicability
§
205.100
What
has
to
be
certified.
(
a)
Except
for
operations
exempt
or
excluded
in
§
205.101,
each
production
or
handling
operation
or
specified
portion
of
a
production
or
handling
operation
that
produces
or
handles
crops,
livestock,
livestock
products,
or
other
agricultural
products
that
are
intended
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
be
certified
according
to
the
provisions
of
subpart
E
of
this
part
and
must
meet
all
other
applicable
requirements
of
this
part.
(
b)
Any
production
or
handling
operation
or
specified
portion
of
a
production
or
handling
operation
that
has
been
already
certified
by
a
certifying
agent
on
the
date
that
the
certifying
agent
366
receives
its
accreditation
under
this
part
shall
be
deemed
to
be
certified
under
the
Act
until
the
operation's
next
anniversary
date
of
certification.
Such
recognition
shall
only
be
available
to
those
operations
certified
by
a
certifying
agent
that
receives
its
accreditation
within
18
months
from
the
effective
date
of
this
final
rule.
(
c)
Any
operation
that:
(
1)
Knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
(
2)
Makes
a
false
statement
under
the
Act
to
the
Secretary,
a
governing
State
official,
or
an
accredited
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
§
205.101
Exemptions
and
exclusions
from
certification.
(
a)
Exemptions.
(
1)
A
production
or
handling
operation
that
sells
agricultural
products
as
"
organic"
but
whose
gross
agricultural
income
from
organic
sales
totals
$
5,000
or
less
annually
is
exempt
from
certification
under
subpart
E
of
this
part
and
from
submitting
an
organic
system
plan
for
acceptance
or
approval
under
§
205.201
but
must
comply
with
the
applicable
organic
production
and
handling
requirements
of
subpart
C
of
this
part
and
the
labeling
requirements
of
§
205.310.
The
products
from
such
operations
shall
not
be
used
as
ingredients
identified
as
organic
in
processed
products
produced
by
another
handling
operation.
(
2)
A
handling
operation
that
is
a
retail
food
establishment
or
portion
of
a
retail
food
establishment
that
handles
organically
produced
agricultural
products
but
does
not
process
them
is
exempt
from
the
requirements
in
this
part.
367
(
3)
A
handling
operation
or
portion
of
a
handling
operation
that
only
handles
agricultural
products
that
contain
less
than
70
percent
organic
ingredients
by
total
weight
of
the
finished
product
(
excluding
water
and
salt)
is
exempt
from
the
requirements
in
this
part,
except:
(
i)
The
provisions
for
prevention
of
contact
of
organic
products
with
prohibited
substances
set
forth
in
§
205.272
with
respect
to
any
organically
produced
ingredients
used
in
an
agricultural
product;
(
ii)
The
labeling
provisions
of
§
§
205.305
and
205.310;
and
(
iii)
The
recordkeeping
provisions
in
paragraph
(
c)
of
this
section.
(
4)
A
handling
operation
or
portion
of
a
handling
operation
that
only
identifies
organic
ingredients
on
the
information
panel
is
exempt
from
the
requirements
in
this
part,
except:
(
i)
The
provisions
for
prevention
of
contact
of
organic
products
with
prohibited
substances
set
forth
in
§
205.272
with
respect
to
any
organically
produced
ingredients
used
in
an
agricultural
product;
(
ii)
The
labeling
provisions
of
§
§
205.305
and
205.310;
and
(
iii)
The
recordkeeping
provisions
in
paragraph
(
c)
of
this
section.
(
b)
Exclusions.
(
1)
A
handling
operation
or
portion
of
a
handling
operation
is
excluded
from
the
requirements
of
this
part,
except
for
the
requirements
for
the
prevention
of
commingling
and
contact
with
prohibited
substances
as
set
forth
in
§
205.272
with
respect
to
any
organically
produced
products,
if
such
operation
or
portion
of
the
operation
only
sells
organic
agricultural
products
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
that:
368
(
i)
Are
packaged
or
otherwise
enclosed
in
a
container
prior
to
being
received
or
acquired
by
the
operation;
and
(
ii)
Remain
in
the
same
package
or
container
and
are
not
otherwise
processed
while
in
the
control
of
the
handling
operation.
(
2)
A
handling
operation
that
is
a
retail
food
establishment
or
portion
of
a
retail
food
establishment
that
processes,
on
the
premises
of
the
retail
food
establishment,
raw
and
ready
toeat
food
from
agricultural
products
that
were
previously
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
is
excluded
from
the
requirements
in
this
part,
except:
(
i)
The
requirements
for
the
prevention
of
contact
with
prohibited
substances
as
set
forth
in
§
205.272;
and
(
ii)
The
labeling
provisions
of
§
205.310.
(
c)
Records
to
be
maintained
by
exempt
operations.
(
1)
Any
handling
operation
exempt
from
certification
pursuant
to
paragraph
(
a)(
3)
or
(
a)(
4)
of
this
section
must
maintain
records
sufficient
to:
(
i)
Prove
that
ingredients
identified
as
organic
were
organically
produced
and
handled;
and
(
ii)
Verify
quantities
produced
from
such
ingredients.
(
2)
Records
must
be
maintained
for
no
less
than
3
years
beyond
their
creation
and
the
operations
must
allow
representatives
of
the
Secretary
and
the
applicable
State
organic
programs'
governing
State
official
access
to
these
records
for
inspection
and
copying
during
normal
business
hours
to
determine
compliance
with
the
applicable
regulations
set
forth
in
this
part.
369
§
205.102
Use
of
the
term,
"
organic."
Any
agricultural
product
that
is
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
be:
(
a)
Produced
in
accordance
with
the
requirements
specified
in
§
205.101
or
§
§
205.202
through
205.207
or
§
§
205.236
through
205.239
and
all
other
applicable
requirements
of
part
205;
and
(
b)
Handled
in
accordance
with
the
requirements
specified
in
§
205.101
or
§
§
205.270
through
205.272
and
all
other
applicable
requirements
of
this
part
205.
§
205.103
Recordkeeping
by
certified
operations.
(
a)
A
certified
operation
must
maintain
records
concerning
the
production,
harvesting,
and
handling
of
agricultural
products
that
are
or
that
are
intended
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
(
b)
Such
records
must:
(
1)
Be
adapted
to
the
particular
business
that
the
certified
operation
is
conducting;
(
2)
Fully
disclose
all
activities
and
transactions
of
the
certified
operation
in
sufficient
detail
as
to
be
readily
understood
and
audited;
(
3)
Be
maintained
for
not
less
than
5
years
beyond
their
creation;
and
(
4)
Be
sufficient
to
demonstrate
compliance
with
the
Act
and
the
regulations
in
this
part.
(
c)
The
certified
operation
must
make
such
records
available
for
inspection
and
copying
during
normal
business
hours
by
authorized
representatives
of
the
Secretary,
the
applicable
State
program's
governing
State
official,
and
the
certifying
agent.
370
§
205.104
[
Reserved]
§
205.105
Allowed
and
prohibited
substances,
methods,
and
ingredients
in
organic
production
and
handling.
To
be
sold
or
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
the
product
must
be
produced
and
handled
without
the
use
of:
(
a)
Synthetic
substances
and
ingredients,
except
as
provided
in
§
205.601
or
§
205.603;
(
b)
Nonsynthetic
substances
prohibited
in
§
205.602
or
§
205.604;
(
c)
Nonagricultural
substances
used
in
or
on
processed
products,
except
as
otherwise
provided
in
§
205.605;
(
d)
Nonorganic
agricultural
substances
used
in
or
on
processed
products,
except
as
otherwise
provided
in
§
205.606;
(
e)
Excluded
methods,
except
for
vaccines,
Provided,
That,
the
vaccines
are
approved
in
accordance
with
§
205.600(
a);
(
f)
Ionizing
radiation,
as
described
in
Food
and
Drug
Administration
regulation,
21
CFR
179.26;
and
(
g)
Sewage
sludge.
§
§
205.106
205.199
[
Reserved]
Subpart
C
Organic
Production
and
Handling
Requirements
§
205.200
General.
The
producer
or
handler
of
a
production
or
handling
operation
intending
to
sell,
label,
or
represent
agricultural
products
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
comply
with
the
applicable
provisions
of
371
this
subpart.
Production
practices
implemented
in
accordance
with
this
subpart
must
maintain
or
improve
the
natural
resources
of
the
operation,
including
soil
and
water
quality.
§
205.201
Organic
production
and
handling
system
plan.
(
a)
The
producer
or
handler
of
a
production
or
handling
operation,
except
as
exempt
or
excluded
under
§
205.101,
intending
to
sell,
label,
or
represent
agricultural
products
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
develop
an
organic
production
or
handling
system
plan
that
is
agreed
to
by
the
producer
or
handler
and
an
accredited
certifying
agent.
An
organic
system
plan
must
meet
the
requirements
set
forth
in
this
section
for
organic
production
or
handling.
An
organic
production
or
handling
system
plan
must
include:
(
1)
A
description
of
practices
and
procedures
to
be
performed
and
maintained,
including
the
frequency
with
which
they
will
be
performed;
(
2)
A
list
of
each
substance
to
be
used
as
a
production
or
handling
input,
indicating
its
composition,
source,
location(
s)
where
it
will
be
used,
and
documentation
of
commercial
availability,
as
applicable;
(
3)
A
description
of
the
monitoring
practices
and
procedures
to
be
performed
and
maintained,
including
the
frequency
with
which
they
will
be
performed,
to
verify
that
the
plan
is
effectively
implemented;
(
4)
A
description
of
the
recordkeeping
system
implemented
to
comply
with
the
requirements
established
in
§
205.103;
(
5)
A
description
of
the
management
practices
and
physical
barriers
established
to
prevent
commingling
of
organic
and
nonorganic
products
on
a
split
operation
and
to
prevent
contact
of
372
organic
production
and
handling
operations
and
products
with
prohibited
substances;
and
(
6)
Additional
information
deemed
necessary
by
the
certifying
agent
to
evaluate
compliance
with
the
regulations.
(
b)
A
producer
may
substitute
a
plan
prepared
to
meet
the
requirements
of
another
Federal,
State,
or
local
government
regulatory
program
for
the
organic
system
plan:
Provided,
That,
the
submitted
plan
meets
all
the
requirements
of
this
subpart.
§
205.202
Land
requirements.
Any
field
or
farm
parcel
from
which
harvested
crops
are
intended
to
be
sold,
labeled,
or
represented
as
"
organic,"
must:
(
a)
Have
been
managed
in
accordance
with
the
provisions
of
§
§
205.203
through
205.206;
(
b)
Have
had
no
prohibited
substances,
as
listed
in
§
205.105,
applied
to
it
for
a
period
of
3
years
immediately
preceding
harvest
of
the
crop;
and
(
c)
Have
distinct,
defined
boundaries
and
buffer
zones
such
as
runoff
diversions
to
prevent
the
unintended
application
of
a
prohibited
substance
to
the
crop
or
contact
with
a
prohibited
substance
applied
to
adjoining
land
that
is
not
under
organic
management.
§
205.203
Soil
fertility
and
crop
nutrient
management
practice
standard.
(
a)
The
producer
must
select
and
implement
tillage
and
cultivation
practices
that
maintain
or
improve
the
physical,
chemical,
and
biological
condition
of
soil
and
minimize
soil
erosion.
(
b)
The
producer
must
manage
crop
nutrients
and
soil
fertility
through
rotations,
cover
crops,
and
the
application
of
plant
and
animal
materials.
(
c)
The
producer
must
manage
plant
and
animal
materials
to
maintain
or
improve
soil
373
organic
matter
content
in
a
manner
that
does
not
contribute
to
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
pathogenic
organisms,
heavy
metals,
or
residues
of
prohibited
substances.
Animal
and
plant
materials
include:
(
1)
Raw
animal
manure,
which
must
be
composted
unless
it
is:
(
i)
Applied
to
land
used
for
a
crop
not
intended
for
human
consumption;
(
ii)
Incorporated
into
the
soil
not
less
than
120
days
prior
to
the
harvest
of
a
product
whose
edible
portion
has
direct
contact
with
the
soil
surface
or
soil
particles;
or
(
iii)
Incorporated
into
the
soil
not
less
than
90
days
prior
to
the
harvest
of
a
product
whose
edible
portion
does
not
have
direct
contact
with
the
soil
surface
or
soil
particles;
(
2)
Composted
plant
and
animal
materials
produced
though
a
process
that
(
i)
established
an
initial
C:
N
ratio
of
between
25:
1
and
40:
1;
and
(
ii)
maintained
a
temperature
of
between
131
E
F
and
170
E
F
for
3
days
using
an
in
vessel
or
static
aerated
pile
system;
or
(
iii)
maintained
a
temperature
of
between
131
E
F
and
170
E
F
for
15
days
using
a
windrow
composting
system,
during
which
period,
the
materials
must
be
turned
a
minimum
of
five
times.
(
3)
Uncomposted
plant
materials.
(
d)
A
producer
may
manage
crop
nutrients
and
soil
fertility
to
maintain
or
improve
soil
organic
matter
content
in
a
manner
that
does
not
contribute
to
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
pathogenic
organisms,
heavy
metals,
or
residues
of
prohibited
substances
by
applying:
(
1)
A
crop
nutrient
or
soil
amendment
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
crop
production;
374
(
2)
A
mined
substance
of
low
solubility;
(
3)
A
mined
substance
of
high
solubility,
Provided,
That,
the
substance
is
used
in
compliance
with
the
conditions
established
on
the
National
List
of
nonsynthetic
materials
prohibited
for
crop
production;
(
4)
Ash
obtained
from
the
burning
of
a
plant
or
animal
material,
except
as
prohibited
in
paragraph
(
e)
of
this
section:
Provided,
That,
the
material
burned
has
not
been
treated
or
combined
with
a
prohibited
substance
or
the
ash
is
not
included
on
the
National
List
of
nonsynthetic
substances
prohibited
for
use
in
organic
crop
production;
and
(
5)
A
plant
or
animal
material
that
has
been
chemically
altered
by
a
manufacturing
process:
Provided,
That,
the
material
is
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
crop
production
established
in
§
205.601.
(
e)
The
producer
must
not
use:
(
1)
Any
fertilizer
or
composted
plant
and
animal
material
that
contains
a
synthetic
substance
not
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
crop
production;
(
2)
Sewage
sludge
(
biosolids)
as
defined
in
40
CFR
Part
503;
and
(
3)
Burning
as
a
means
of
disposal
for
crop
residues
produced
on
the
operation:
Except,
That,
burning
may
be
used
to
suppress
the
spread
of
disease
or
to
stimulate
seed
germination.
§
205.204
Seeds
and
planting
stock
practice
standard.
(
a)
The
producer
must
use
organically
grown
seeds,
annual
seedlings,
and
planting
stock:
Except,
That,
(
1)
Nonorganically
produced,
untreated
seeds
and
planting
stock
may
be
used
to
produce
375
an
organic
crop
when
an
equivalent
organically
produced
variety
is
not
commercially
available,
Except,
That,
organically
produced
seed
must
be
used
for
the
production
of
edible
sprouts;
(
2)
Nonorganically
produced
seeds
and
planting
stock
that
have
been
treated
with
a
substance
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
crop
production
may
be
used
to
produce
an
organic
crop
when
an
equivalent
organically
produced
or
untreated
variety
is
not
commercially
available;
(
3)
Nonorganically
produced
annual
seedlings
may
be
used
to
produce
an
organic
crop
when
a
temporary
variance
has
been
granted
in
accordance
with
§
205.290(
a)(
2);
(
4)
Nonorganically
produced
planting
stock
to
be
used
to
produce
a
perennial
crop
may
be
sold,
labeled,
or
represented
as
organically
produced
only
after
the
planting
stock
has
been
maintained
under
a
system
of
organic
management
for
a
period
of
no
less
than
1
year;
and
(
5)
Seeds,
annual
seedlings,
and
planting
stock
treated
with
prohibited
substances
may
be
used
to
produce
an
organic
crop
when
the
application
of
the
materials
is
a
requirement
of
Federal
or
State
phytosanitary
regulations.
§
205.205
Crop
rotation
practice
standard.
The
producer
must
implement
a
crop
rotation
including
but
not
limited
to
sod,
cover
crops,
green
manure
crops,
and
catch
crops
that
provide
the
following
functions
that
are
applicable
to
the
operation:
(
a)
Maintain
or
improve
soil
organic
matter
content;
(
b)
Provide
for
pest
management
in
annual
and
perennial
crops;
(
c)
Manage
deficient
or
excess
plant
nutrients;
and
(
d)
Provide
erosion
control.
376
§
205.206
Crop
pest,
weed,
and
disease
management
practice
standard.
(
a)
The
producer
must
use
management
practices
to
prevent
crop
pests,
weeds,
and
diseases
including
but
not
limited
to:
(
1)
Crop
rotation
and
soil
and
crop
nutrient
management
practices,
as
provided
for
in
§
§
205.203
and
205.205;
(
2)
Sanitation
measures
to
remove
disease
vectors,
weed
seeds,
and
habitat
for
pest
organisms;
and
(
3)
Cultural
practices
that
enhance
crop
health,
including
selection
of
plant
species
and
varieties
with
regard
to
suitability
to
site
specific
conditions
and
resistance
to
prevalent
pests,
weeds,
and
diseases.
(
b)
Pest
problems
may
be
controlled
through
mechanical
or
physical
methods
including
but
not
limited
to:
(
1)
Augmentation
or
introduction
of
predators
or
parasites
of
the
pest
species;
(
2)
Development
of
habitat
for
natural
enemies
of
pests;
(
3)
Nonsynthetic
controls
such
as
lures,
traps,
and
repellents.
(
c)
Weed
problems
may
be
controlled
through:
(
1)
Mulching
with
fully
biodegradable
materials;
(
2)
Mowing;
(
3)
Livestock
grazing;
(
4)
Hand
weeding
and
mechanical
cultivation;
(
5)
Flame,
heat,
or
electrical
means;
or
(
6)
Plastic
or
other
synthetic
mulches:
Provided,
That,
they
are
removed
from
the
field
at
377
the
end
of
the
growing
or
harvest
season.
(
d)
Disease
problems
may
be
controlled
through:
(
1)
Management
practices
which
suppress
the
spread
of
disease
organisms;
or
(
2)
Application
of
nonsynthetic
biological,
botanical,
or
mineral
inputs.
(
e)
When
the
practices
provided
for
in
paragraphs
(
a)
through
(
d)
of
this
section
are
insufficient
to
prevent
or
control
crop
pests,
weeds,
and
diseases,
a
biological
or
botanical
substance
or
a
substance
included
on
the
National
List
of
synthetic
substances
allowed
for
use
in
organic
crop
production
may
be
applied
to
prevent,
suppress,
or
control
pests,
weeds,
or
diseases:
Provided,
That,
the
conditions
for
using
the
substance
are
documented
in
the
organic
system
plan.
(
f)
The
producer
must
not
use
lumber
treated
with
arsenate
or
other
prohibited
materials
for
new
installations
or
replacement
purposes
in
contact
with
soil
or
livestock.
§
205.207
Wild
crop
harvesting
practice
standard.
(
a)
A
wild
crop
that
is
intended
to
be
sold,
labeled,
or
represented
as
organic
must
be
harvested
from
a
designated
area
that
has
had
no
prohibited
substance,
as
set
forth
in
§
205.105,
applied
to
it
for
a
period
of
3
years
immediately
preceding
the
harvest
of
the
wild
crop.
(
b)
A
wild
crop
must
be
harvested
in
a
manner
that
ensures
that
such
harvesting
or
gathering
will
not
be
destructive
to
the
environment
and
will
sustain
the
growth
and
production
of
the
wild
crop.
§
§
205.208
205.235
[
Reserved]
§
205.236
Origin
of
livestock.
(
a)
Livestock
products
that
are
to
be
sold,
labeled,
or
represented
as
organic
must
be
from
livestock
under
continuous
organic
management
from
the
last
third
of
gestation
or
hatching:
378
Except,
That,
(
1)
Poultry.
Poultry
or
edible
poultry
products
must
be
from
poultry
that
has
been
under
continuous
organic
management
beginning
no
later
than
the
second
day
of
life;
(
2)
Dairy
animals.
Milk
or
milk
products
must
be
from
animals
that
have
been
under
continuous
organic
management
beginning
no
later
than
1
year
prior
to
the
production
of
the
milk
or
milk
products
that
are
to
be
sold,
labeled,
or
represented
as
organic,
Except,
That,
when
an
entire,
distinct
herd
is
converted
to
organic
production,
the
producer
may:
(
i)
For
the
first
9
months
of
the
year,
provide
a
minimum
of
80
percent
feed
that
is
either
organic
or
raised
from
land
included
in
the
organic
system
plan
and
managed
in
compliance
with
organic
crop
requirements;
and
(
ii)
provide
feed
in
compliance
with
§
205.237
for
the
final
3
months.
(
iii)
Once
an
entire,
distinct
herd
has
been
converted
to
organic
production,
all
dairy
animals
shall
be
under
organic
management
from
the
last
third
of
gestation.
(
3)
Breeder
stock.
Livestock
used
as
breeder
stock
may
be
brought
from
a
nonorganic
operation
onto
an
organic
operation
at
any
time:
Provided,
That,
if
such
livestock
are
gestating
and
the
offspring
are
to
be
raised
as
organic
livestock,
the
breeder
stock
must
be
brought
onto
the
facility
no
later
than
the
last
third
of
gestation.
(
b)
The
following
are
prohibited:
(
1)
Livestock
or
edible
livestock
products
that
are
removed
from
an
organic
operation
and
subsequently
managed
on
a
nonorganic
operation
may
be
not
sold,
labeled,
or
represented
as
organically
produced.
(
2)
Breeder
or
dairy
stock
that
has
not
been
under
continuous
organic
management
since
the
last
third
of
gestation
may
not
be
sold,
labeled,
or
represented
as
organic
slaughter
stock.
379
(
c)
The
producer
of
an
organic
livestock
operation
must
maintain
records
sufficient
to
preserve
the
identity
of
all
organically
managed
animals
and
edible
and
nonedible
animal
products
produced
on
the
operation.
§
205.237
Livestock
feed.
(
a)
The
producer
of
an
organic
livestock
operation
must
provide
livestock
with
a
total
feed
ration
composed
of
agricultural
products,
including
pasture
and
forage,
that
are
organically
produced
and,
if
applicable,
organically
handled:
Except,
That,
nonsynthetic
substances
and
synthetic
substances
allowed
under
§
205.603
may
be
used
as
feed
additives
and
supplements.
(
b)
The
producer
of
an
organic
operation
must
not:
(
1)
Use
animal
drugs,
including
hormones,
to
promote
growth;
(
2)
Provide
feed
supplements
or
additives
in
amounts
above
those
needed
for
adequate
nutrition
and
health
maintenance
for
the
species
at
its
specific
stage
of
life;
(
3)
Feed
plastic
pellets
for
roughage;
(
4)
Feed
formulas
containing
urea
or
manure;
(
5)
Feed
mammalian
or
poultry
slaughter
by
products
to
mammals
or
poultry;
or
(
6)
Use
feed,
feed
additives,
and
feed
supplements
in
violation
of
the
Federal
Food,
Drug,
and
Cosmetic
Act.
§
205.238
Livestock
health
care
practice
standard.
(
a)
The
producer
must
establish
and
maintain
preventive
livestock
health
care
practices,
including:
(
1)
Selection
of
species
and
types
of
livestock
with
regard
to
suitability
for
site
specific
conditions
and
resistance
to
prevalent
diseases
and
parasites;
380
(
2)
Provision
of
a
feed
ration
sufficient
to
meet
nutritional
requirements,
including
vitamins,
minerals,
protein
and/
or
amino
acids,
fatty
acids,
energy
sources,
and
fiber
(
ruminants);
(
3)
Establishment
of
appropriate
housing,
pasture
conditions,
and
sanitation
practices
to
minimize
the
occurrence
and
spread
of
diseases
and
parasites;
(
4)
Provision
of
conditions
which
allow
for
exercise,
freedom
of
movement,
and
reduction
of
stress
appropriate
to
the
species;
(
5)
Performance
of
physical
alterations
as
needed
to
promote
the
animal's
welfare
and
in
a
manner
that
minimizes
pain
and
stress;
and
(
6)
Administration
of
vaccines
and
other
veterinary
biologics.
(
b)
When
preventive
practices
and
veterinary
biologics
are
inadequate
to
prevent
sickness,
a
producer
may
administer
synthetic
medications:
Provided,
That,
such
medications
are
allowed
under
§
205.603.
Parasiticides
allowed
under
§
205.603
may
be
used
on
(
1)
Breeder
stock,
when
used
prior
to
the
last
third
of
gestation
but
not
during
lactation
for
progeny
that
are
to
be
sold,
labeled,
or
represented
as
organically
produced;
and
(
2)
Dairy
stock,
when
used
a
minimum
of
90
days
prior
to
the
production
of
milk
or
milk
products
that
are
to
be
sold,
labeled,
or
represented
as
organic.
(
c)
The
producer
of
an
organic
livestock
operation
must
not:
(
1)
Sell,
label,
or
represent
as
organic
any
animal
or
edible
product
derived
from
any
animal
treated
with
antibiotics,
any
substance
that
contains
a
synthetic
substance
not
allowed
under
§
205.603,
or
any
substance
that
contains
a
nonsynthetic
substance
prohibited
in
§
205.604.
(
2)
Administer
any
animal
drug,
other
than
vaccinations,
in
the
absence
of
illness;
(
3)
Administer
hormones
for
growth
promotion;
381
(
4)
Administer
synthetic
parasiticides
on
a
routine
basis;
(
5)
Administer
synthetic
parasiticides
to
slaughter
stock;
(
6)
Administer
animal
drugs
in
violation
of
the
Federal
Food,
Drug,
and
Cosmetic
Act;
or
(
7)
Withhold
medical
treatment
from
a
sick
animal
in
an
effort
to
preserve
its
organic
status.
All
appropriate
medications
must
be
used
to
restore
an
animal
to
health
when
methods
acceptable
to
organic
production
fail.
Livestock
treated
with
a
prohibited
substance
must
be
clearly
identified
and
shall
not
be
sold,
labeled,
or
represented
as
organically
produced.
§
205.239
Livestock
living
conditions.
(
a)
The
producer
of
an
organic
livestock
operation
must
establish
and
maintain
livestock
living
conditions
which
accommodate
the
health
and
natural
behavior
of
animals,
including:
(
1)
Access
to
the
outdoors,
shade,
shelter,
exercise
areas,
fresh
air,
and
direct
sunlight
suitable
to
the
species,
its
stage
of
production,
the
climate,
and
the
environment;
(
2)
Access
to
pasture
for
ruminants;
(
3)
Appropriate
clean,
dry
bedding.
If
the
bedding
is
typically
consumed
by
the
animal
species,
it
must
comply
with
the
feed
requirements
of
§
205.237;
(
4)
Shelter
designed
to
allow
for:
(
i)
Natural
maintenance,
comfort
behaviors,
and
opportunity
to
exercise;
(
ii)
Temperature
level,
ventilation,
and
air
circulation
suitable
to
the
species;
and
(
iii)
Reduction
of
potential
for
livestock
injury;
(
b)
The
producer
of
an
organic
livestock
operation
may
provide
temporary
confinement
for
an
animal
because
of:
(
1)
Inclement
weather;
382
(
2)
The
animal's
stage
of
production;
(
3)
Conditions
under
which
the
health,
safety,
or
well
being
of
the
animal
could
be
jeopardized;
or
(
4)
Risk
to
soil
or
water
quality.
(
c)
The
producer
of
an
organic
livestock
operation
must
manage
manure
in
a
manner
that
does
not
contribute
to
contamination
of
crops,
soil,
or
water
by
plant
nutrients,
heavy
metals,
or
pathogenic
organisms
and
optimizes
recycling
of
nutrients.
§
§
205.240
205.269
[
Reserved]
§
205.270
Organic
handling
requirements.
(
a)
Mechanical
or
biological
methods,
including
but
not
limited
to
cooking,
baking,
curing,
heating,
drying,
mixing,
grinding,
churning,
separating,
distilling,
extracting,
slaughtering,
cutting,
fermenting,
eviscerating,
preserving,
dehydrating,
freezing,
chilling,
or
otherwise
manufacturing,
and
the
packaging,
canning,
jarring,
or
otherwise
enclosing
food
in
a
container
may
be
used
to
process
an
organically
produced
agricultural
product
for
the
purpose
of
retarding
spoilage
or
otherwise
preparing
the
agricultural
product
for
market.
(
b)
Nonagricultural
substances
allowed
under
§
205.605
and
nonorganically
produced
agricultural
products
allowed
under
§
205.606
may
be
used:
(
1)
In
or
on
a
processed
agricultural
product
intended
to
be
sold,
labeled,
or
represented
as
"
organic,"
pursuant
to
§
205.301(
b),
if
not
commercially
available
in
organic
form.
(
2)
In
or
on
a
processed
agricultural
product
intended
to
be
sold,
labeled,
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
pursuant
to
§
205.301(
c).
(
c)
The
handler
of
an
organic
handling
operation
must
not
use
in
or
on
agricultural
383
products
intended
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
or
in
or
on
any
ingredients
labeled
as
organic:
(
1)
Practices
prohibited
under
paragraphs
(
e)
and
(
f)
of
§
205.105.
(
2)
A
volatile
synthetic
solvent
or
other
synthetic
processing
aid
not
allowed
under
§
205.605,
Except,
That,
nonorganic
ingredients
in
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
are
not
subject
to
this
requirement.
§
205.271
Facility
pest
management
practice
standard.
(
a)
The
producer
or
handler
of
an
organic
facility
must
use
management
practices
to
prevent
pests,
including
but
not
limited
to:
(
1)
Removal
of
pest
habitat,
food
sources,
and
breeding
areas;
(
2)
Prevention
of
access
to
handling
facilities;
and
(
3)
Management
of
environmental
factors,
such
as
temperature,
light,
humidity,
atmosphere,
and
air
circulation,
to
prevent
pest
reproduction.
(
b)
Pests
may
be
controlled
through:
(
1)
Mechanical
or
physical
controls
including
but
not
limited
to
traps,
light,
or
sound;
or
(
2)
Lures
and
repellents
using
nonsynthetic
or
synthetic
substances
consistent
with
the
National
List.
(
c)
If
the
practices
provided
for
in
paragraphs
(
a)
and
(
b)
of
this
section
are
not
effective
to
prevent
or
control
pests,
a
nonsynthetic
or
synthetic
substance
consistent
with
the
National
List
may
be
applied.
(
d)
If
the
practices
provided
for
in
paragraphs
(
a),
(
b),
and
©
of
this
section
are
not
384
effective
to
prevent
or
control
facility
pests,
a
synthetic
substance
not
on
the
National
List
may
be
applied,
Provided,
That,
the
handler
and
certifying
agent
agree
on
the
substance,
method
of
application,
and
measures
to
be
taken
to
prevent
contact
of
the
organically
produced
products
or
ingredients
with
the
substance
used.
(
e)
The
handler
of
an
organic
handling
operation
who
applies
a
nonsynthetic
or
synthetic
substance
to
prevent
or
control
pests
must
update
the
operation's
organic
handling
plan
to
reflect
the
use
of
such
substances
and
methods
of
application.
The
updated
organic
plan
must
include
a
list
of
all
measures
taken
to
prevent
contact
of
the
organically
produced
products
or
ingredients
with
the
substance
used.
(
f)
Notwithstanding
the
practices
provided
for
in
paragraphs
(
a),
(
b),
(
c),
and
(
d)
of
this
section,
a
handler
may
otherwise
use
substances
to
prevent
or
control
pests
as
required
by
Federal,
State,
or
local
laws
and
regulations,
Provided,
That,
measures
are
taken
to
prevent
contact
of
the
organically
produced
products
or
ingredients
with
the
substance
used.
§
205.272
Commingling
and
contact
with
prohibited
substance
prevention
practice
standard.
(
a)
The
handler
of
an
organic
handling
operation
must
implement
measures
necessary
to
prevent
the
commingling
of
organic
and
nonorganic
products
and
protect
organic
products
from
contact
with
prohibited
substances.
(
b)
The
following
are
prohibited
for
use
in
the
handling
of
any
organically
produced
agricultural
product
or
ingredient
labeled
in
accordance
with
subpart
D
of
this
part:
(
1)
Packaging
materials,
and
storage
containers,
or
bins
that
contain
a
synthetic
fungicide,
preservative,
or
fumigant;
385
(
2)
The
use
or
reuse
of
any
bag
or
container
that
has
been
in
contact
with
any
substance
in
such
a
manner
as
to
compromise
the
organic
integrity
of
any
organically
produced
product
or
ingredient
placed
in
those
containers,
unless
such
reusable
bag
or
container
has
been
thoroughly
cleaned
and
poses
no
risk
of
contact
of
the
organically
produced
product
or
ingredient
with
the
substance
used.
§
§
205.273
205.289
[
Reserved]
§
205.290
Temporary
variances.
(
a)
Temporary
variances
from
the
requirements
in
§
§
205.203
through
205.207,
205.236
through
205.239,
and
205.270
through
205.272
may
be
established
by
the
Administrator
for
the
following
reasons:
(
1)
Natural
disasters
declared
by
the
Secretary;
(
2)
Damage
caused
by
drought,
wind,
flood,
excessive
moisture,
hail,
tornado,
earthquake,
fire,
or
other
business
interruption;
and
(
3)
Practices
used
for
the
purpose
of
conducting
research
or
trials
of
techniques,
varieties,
or
ingredients
used
in
organic
production
or
handling.
(
b)
A
State
organic
program's
governing
State
official
or
certifying
agent
may
recommend
in
writing
to
the
Administrator
that
a
temporary
variance
from
a
standard
set
forth
in
subpart
C
of
this
part
for
organic
production
or
handling
operations
be
established:
Provided,
That,
such
variance
is
based
on
one
or
more
of
the
reasons
listed
in
paragraph
(
a)
of
this
section.
(
c)
The
Administrator
will
provide
written
notification
to
certifying
agents
upon
establishment
of
a
temporary
variance
applicable
to
the
certifying
agent's
certified
production
or
handling
operations
and
specify
the
period
of
time
it
shall
remain
in
effect,
subject
to
extension
as
386
the
Administrator
deems
necessary.
(
d)
A
certifying
agent,
upon
notification
from
the
Administrator
of
the
establishment
of
a
temporary
variance,
must
notify
each
production
or
handling
operation
it
certifies
to
which
the
temporary
variance
applies.
(
e)
Temporary
variances
will
not
be
granted
for
any
practice,
material,
or
procedure
prohibited
under
§
205.105.
§
§
205.291
205.299
[
Reserved]
Subpart
D
Labels,
Labeling,
and
Market
Information
§
205.300
Use
of
the
term,
"
organic."
(
a)
The
term,
"
organic,"
may
only
be
used
on
labels
and
in
labeling
of
raw
or
processed
agricultural
products,
including
ingredients,
that
have
been
produced
and
handled
in
accordance
with
the
regulations
in
this
part.
The
term,
"
organic,"
may
not
be
used
in
a
product
name
to
modify
a
nonorganic
ingredient
in
the
product.
(
b)
Products
for
export,
produced
and
certified
to
foreign
national
organic
standards
or
foreign
contract
buyer
requirements,
may
be
labeled
in
accordance
with
the
organic
labeling
requirements
of
the
receiving
country
or
contract
buyer:
Provided,
That,
the
shipping
containers
and
shipping
documents
meet
the
labeling
requirements
specified
in
§
205.307(
c).
(
c)
Products
produced
in
a
foreign
country
and
exported
for
sale
in
the
United
States
must
be
certified
pursuant
to
subpart
E
of
this
part
and
labeled
pursuant
to
this
subpart
D.
(
d)
Livestock
feeds
produced
in
accordance
with
the
requirements
of
this
part
must
be
labeled
in
accordance
with
the
requirements
of
§
205.306.
§
205.301
Product
composition.
387
(
a)
Products
sold,
labeled,
or
represented
as
"
100
percent
organic."
A
raw
or
processed
agricultural
product
sold,
labeled,
or
represented
as
"
100
percent
organic"
must
contain
(
by
weight
or
fluid
volume,
excluding
water
and
salt)
100
percent
organically
produced
ingredients.
If
labeled
as
organically
produced,
such
product
must
be
labeled
pursuant
to
§
205.303.
(
b)
Products
sold,
labeled,
or
represented
as
"
organic."
A
raw
or
processed
agricultural
product
sold,
labeled,
or
represented
as
"
organic"
must
contain
(
by
weight
or
fluid
volume,
excluding
water
and
salt)
not
less
than
95
percent
organically
produced
raw
or
processed
agricultural
products.
Any
remaining
product
ingredients
must
be
organically
produced,
unless
not
commercially
available
in
organic
form,
or
must
be
nonagricultural
substances
or
nonorganically
produced
agricultural
products
produced
consistent
with
the
National
List
in
subpart
G
of
this
part.
If
labeled
as
organically
produced,
such
product
must
be
labeled
pursuant
to
§
205.303.
(
c)
Products
sold,
labeled,
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
Multiingredient
agricultural
product
sold,
labeled,
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
contain
(
by
weight
or
fluid
volume,
excluding
water
and
salt)
at
least
70
percent
organically
produced
ingredients
which
are
produced
and
handled
pursuant
to
requirements
in
subpart
C
of
this
part.
No
ingredients
may
be
produced
using
prohibited
practices
specified
in
paragraphs
(
1),
(
2),
and
(
3)
of
§
205.301(
f).
Nonorganic
ingredients
may
be
produced
without
regard
to
paragraphs
(
4),
(
5),
(
6),
and
(
7)
of
§
205.301(
f).
If
labeled
as
containing
organically
produced
ingredients
or
food
groups,
such
product
must
be
labeled
pursuant
to
§
205.304.
(
d)
Products
with
less
than
70
percent
organically
produced
ingredients.
The
organic
388
ingredients
in
multiingredient
agricultural
product
containing
less
than
70
percent
organically
produced
ingredients
(
by
weight
or
fluid
volume,
excluding
water
and
salt)
must
be
produced
and
handled
pursuant
to
requirements
in
subpart
C
of
this
part.
The
nonorganic
ingredients
may
be
produced
and
handled
without
regard
to
the
requirements
of
this
part.
Multiingredient
agricultural
product
containing
less
than
70
percent
organically
produced
ingredients
may
represent
the
organic
nature
of
the
product
only
as
provided
in
§
205.305.
(
e)
Livestock
feed:
(
1)
A
raw
or
processed
livestock
feed
product
sold,
labeled,
or
represented
as
"
100
percent
organic"
must
contain
(
by
weight
or
fluid
volume,
excluding
water
and
salt)
not
less
than
100
percent
organically
produced
raw
or
processed
agricultural
product.
(
2)
A
raw
or
processed
livestock
feed
product
sold,
labeled,
or
represented
as
"
organic"
must
be
produced
in
conformance
with
§
205.237.
(
f)
All
products
labeled
as
"
100
percent
organic"
or
"
organic"
and
all
ingredients
identified
as
"
organic"
in
the
ingredient
statement
of
any
product
must
not:
(
1)
Be
produced
using
excluded
methods,
pursuant
to
§
201.105(
e);
(
2)
Be
produced
using
sewage
sludge,
pursuant
to
§
201.105(
f);
(
3)
Be
processed
using
ionizing
radiation,
pursuant
to
§
201.105(
g);
(
4)
Be
processed
using
processing
aids
not
approved
on
the
National
List
of
Allowed
and
Prohibited
Substances
in
subpart
G
of
this
part:
Except,
That,
products
labeled
as
"
100
percent
organic,"
if
processed,
must
be
processed
using
organically
produced
processing
aids;
(
5)
Contain
sulfites,
nitrates,
or
nitrites
added
during
the
production
or
handling
process,
Except,
That,
wine
containing
added
sulfites
may
be
labeled
"
made
with
organic
grapes";
389
(
6)
Be
produced
using
nonorganic
ingredients
when
organic
ingredients
are
available;
or
(
7)
Include
organic
and
nonorganic
forms
of
the
same
ingredient.
§
205.302
Calculating
the
percentage
of
organically
produced
ingredients.
(
a)
The
percentage
of
all
organically
produced
ingredients
in
an
agricultural
product
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
or
that
include
organic
ingredients
must
be
calculated
by:
(
1)
Dividing
the
total
net
weight
(
excluding
water
and
salt)
of
combined
organic
ingredients
at
formulation
by
the
total
weight
(
excluding
water
and
salt)
of
the
finished
product.
(
2)
Dividing
the
fluid
volume
of
all
organic
ingredients
(
excluding
water
and
salt)
by
the
fluid
volume
of
the
finished
product
(
excluding
water
and
salt)
if
the
product
and
ingredients
are
liquid.
If
the
liquid
product
is
identified
on
the
principal
display
panel
or
information
panel
as
being
reconstituted
from
concentrates,
the
calculation
should
be
made
on
the
basis
of
singlestrength
concentrations
of
the
ingredients
and
finished
product.
(
3)
For
products
containing
organically
produced
ingredients
in
both
solid
and
liquid
form,
dividing
the
combined
weight
of
the
solid
ingredients
and
the
weight
of
the
liquid
ingredients
(
excluding
water
and
salt)
by
the
total
weight
(
excluding
water
and
salt)
of
the
finished
product.
(
b)
The
percentage
of
all
organically
produced
ingredients
in
an
agricultural
product
must
be
rounded
down
to
the
nearest
whole
number.
(
c)
The
percentage
must
be
determined
by
the
handler
who
affixes
the
label
on
the
consumer
package
and
verified
by
the
certifying
agent
of
the
handler.
The
handler
may
use
information
provided
by
the
certified
operation
in
determining
the
percentage.
390
§
205.303
Packaged
products
labeled
"
100
percent
organic"
or
"
organic."
(
a)
Agricultural
products
in
packages
described
in
§
205.301(
a)
and
(
b)
may
display,
on
the
principal
display
panel,
information
panel,
and
any
other
panel
of
the
package
and
on
any
labeling
or
market
information
concerning
the
product,
the
following:
(
1)
The
term,
"
100
percent
organic"
or
"
organic,"
as
applicable,
to
modify
the
name
of
the
product;
(
2)
For
products
labeled
"
organic,"
the
percentage
of
organic
ingredients
in
the
product;
(
The
size
of
the
percentage
statement
must
not
exceed
one
half
the
size
of
the
largest
type
size
on
the
panel
on
which
the
statement
is
displayed
and
must
appear
in
its
entirety
in
the
same
type
size,
style,
and
color
without
highlighting.)
(
3)
The
term,
"
organic,"
to
identify
the
organic
ingredients
in
multiingredient
products
labeled
"
100
percent
organic";
(
4)
The
USDA
seal;
and/
or
(
5)
The
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
which
certified
the
production
or
handling
operation
producing
the
finished
product
and
any
other
certifying
agent
which
certified
production
or
handling
operations
producing
raw
organic
product
or
organic
ingredients
used
in
the
finished
product:
Provided,
That,
the
handler
producing
the
finished
product
maintain
records,
pursuant
to
this
part,
verifying
organic
certification
of
the
operations
producing
such
ingredients,
and:
Provided
further,
That,
such
seals
or
marks
are
not
individually
displayed
more
prominently
than
the
USDA
seal.
(
b)
Agricultural
products
in
packages
described
in
§
205.301(
a)
and
(
b)
must:
(
1)
For
products
labeled
"
organic,"
identify
each
organic
ingredient
in
the
ingredient
391
statement
with
the
word,
"
organic,"
or
with
an
asterisk
or
other
reference
mark
which
is
defined
below
the
ingredient
statement
to
indicate
the
ingredient
is
organically
produced.
Water
or
salt
included
as
ingredients
cannot
be
identified
as
organic.
(
2)
On
the
information
panel,
below
the
information
identifying
the
handler
or
distributor
of
the
product
and
preceded
by
the
statement,
"
Certified
organic
by...,"
or
similar
phrase,
identify
the
name
of
the
certifying
agent
that
certified
the
handler
of
the
finished
product
and
may
display
the
business
address,
Internet
address,
or
telephone
number
of
the
certifying
agent
in
such
label.
§
205.304
Packaged
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
(
a)
Agricultural
products
in
packages
described
in
§
205.301(
c)
may
display
on
the
principal
display
panel,
information
panel,
and
any
other
panel
and
on
any
labeling
or
market
information
concerning
the
product:
(
1)
The
statement:
(
i)
"
Made
with
organic
(
specified
ingredients)":
Provided,
That,
the
statement
does
not
list
more
than
three
organically
produced
ingredients;
or
(
ii)
"
Made
with
organic
(
specified
food
groups)":
Provided,
That,
the
statement
does
not
list
more
than
three
of
the
following
food
groups:
beans,
fish,
fruits,
grains,
herbs,
meats,
nuts,
oils,
poultry,
seeds,
spices,
sweeteners,
and
vegetables
or
processed
milk
products;
and,
Provided
Further,
That,
all
ingredients
of
each
listed
food
group
in
the
product
must
be
organically
produced;
and
(
iii)
Which
appears
in
letters
that
do
not
exceed
one
half
the
size
of
the
largest
type
size
on
the
panel
and
which
appears
in
its
entirety
in
the
same
type
size,
style,
and
color
without
392
highlighting.
(
2)
The
percentage
of
organic
ingredients
in
the
product.
The
size
of
the
percentage
statement
must
not
exceed
one
half
the
size
of
the
largest
type
size
on
the
panel
on
which
the
statement
is
displayed
and
must
appear
in
its
entirety
in
the
same
type
size,
style,
and
color
without
highlighting.
(
3)
The
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
that
certified
the
handler
of
the
finished
product.
(
b)
Agricultural
products
in
packages
described
in
§
205.301(
c)
must:
(
1)
In
the
ingredient
statement,
identify
each
organic
ingredient
with
the
word,
"
organic,"
or
with
an
asterisk
or
other
reference
mark
which
is
defined
below
the
ingredient
statement
to
indicate
the
ingredient
is
organically
produced.
Water
or
salt
included
as
ingredients
cannot
be
identified
as
organic.
(
2)
On
the
information
panel,
below
the
information
identifying
the
handler
or
distributor
of
the
product
and
preceded
by
the
statement,
"
Certified
organic
by...,"
or
similar
phrase,
identify
the
name
of
the
certifying
agent
that
certified
the
handler
of
the
finished
product:
Except,
That,
the
business
address,
Internet
address,
or
telephone
number
of
the
certifying
agent
may
be
included
in
such
label.
(
c)
Agricultural
products
in
packages
described
in
§
205.301(
c)
must
not
display
the
USDA
seal.
§
205.305
Multiingredient
packaged
products
with
less
than
70
percent
organically
produced
ingredients.
(
a)
An
agricultural
product
with
less
than
70
percent
organically
produced
ingredients
393
may
only
identify
the
organic
content
of
the
product
by:
(
1)
Identifying
each
organically
produced
ingredient
in
the
ingredient
statement
with
the
word,
"
organic,"
or
with
an
asterisk
or
other
reference
mark
which
is
defined
below
the
ingredient
statement
to
indicate
the
ingredient
is
organically
produced,
and
(
2)
If
the
organically
produced
ingredients
are
identified
in
the
ingredient
statement,
displaying
the
product's
percentage
of
organic
contents
on
the
information
panel.
(
b)
Agricultural
products
with
less
than
70
percent
organically
produced
ingredients
must
not
display:
(
1)
The
USDA
seal;
and
(
2)
Any
certifying
agent
seal,
logo,
or
other
identifying
mark
which
represents
organic
certification
of
a
product
or
product
ingredients.
§
205.306
Labeling
of
livestock
feed.
(
a)
Livestock
feed
products
described
in
§
205.301(
e)(
1)
and
(
e)(
2)
may
display
on
any
package
panel
the
following
terms:
(
1)
The
statement,
"
100
percent
organic"
or
"
organic,"
as
applicable,
to
modify
the
name
of
the
feed
product;
(
2)
The
USDA
seal;
(
3)
The
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
which
certified
the
production
or
handling
operation
producing
the
raw
or
processed
organic
ingredients
used
in
the
finished
product,
Provided,
That,
such
seals
or
marks
are
not
displayed
more
prominently
than
the
USDA
seal;
(
4)
The
word,
"
organic,"
or
an
asterisk
or
other
reference
mark
which
is
defined
on
the
394
package
to
identify
ingredients
that
are
organically
produced.
Water
or
salt
included
as
ingredients
cannot
be
identified
as
organic.
(
b)
Livestock
feed
products
described
in
§
205.301(
e)(
1)
and
(
e)(
2)
must:
(
i)
On
the
information
panel,
below
the
information
identifying
the
handler
or
distributor
of
the
product
and
preceded
by
the
statement,
"
Certified
organic
by...,"
or
similar
phrase,
display
the
name
of
the
certifying
agent
that
certified
the
handler
of
the
finished
product.
The
business
address,
Internet
address,
or
telephone
number
of
the
certifying
agent
may
be
included
in
such
label.
(
ii)
Comply
with
other
Federal
agency
or
State
feed
labeling
requirements
as
applicable.
§
205.307
Labeling
of
nonretail
containers
used
for
only
shipping
or
storage
of
raw
or
processed
agricultural
products
labeled
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
(
a)
Nonretail
containers
used
only
to
ship
or
store
raw
or
processed
agricultural
product
labeled
as
containing
organic
ingredients
may
display
the
following
terms
or
marks:
(
1)
The
name
and
contact
information
of
the
certifying
agent
which
certified
the
handler
which
assembled
the
final
product;
(
2)
Identification
of
the
product
as
organic;
(
3)
Special
handling
instructions
needed
to
maintain
the
organic
integrity
of
the
product;
(
4)
The
USDA
seal;
(
5)
The
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
that
certified
the
organic
production
or
handling
operation
that
produced
or
handled
the
finished
product.
(
b)
Nonretail
containers
used
to
ship
or
store
raw
or
processed
agricultural
product
395
labeled
as
containing
organic
ingredients
must
display
the
production
lot
number
of
the
product
if
applicable.
(
c)
Shipping
containers
of
domestically
produced
product
labeled
as
organic
intended
for
export
to
international
markets
may
be
labeled
in
accordance
with
any
shipping
container
labeling
requirements
of
the
foreign
country
of
destination
or
the
container
labeling
specifications
of
a
foreign
contract
buyer:
Provided,
That,
the
shipping
containers
and
shipping
documents
accompanying
such
organic
products
are
clearly
marked
"
For
Export
Only"
and:
Provided
further,
That,
proof
of
such
container
marking
and
export
must
be
maintained
by
the
handler
in
accordance
with
recordkeeping
requirements
for
exempt
and
excluded
operations
under
§
205.101.
§
205.308
Agricultural
products
in
other
than
packaged
form
at
the
point
of
retail
sale
that
are
sold,
labeled,
or
represented
as
"
100
percent
organic"
or
"
organic."
(
a)
Agricultural
products
in
other
than
packaged
form
may
use
the
term,
"
100
percent
organic"
or
"
organic,"
as
applicable,
to
modify
the
name
of
the
product
in
retail
display,
labeling,
and
display
containers:
Provided,
That,
the
term,
"
organic,"
is
used
to
identify
the
organic
ingredients
listed
in
the
ingredient
statement.
(
b)
If
the
product
is
prepared
in
a
certified
facility,
the
retail
display,
labeling,
and
display
containers
may
use:
(
1)
The
USDA
seal;
and
(
2)
The
seal,
logo,
or
other
identifying
mark
of
the
certifying
agent
that
certified
the
production
or
handling
operation
producing
the
finished
product
and
any
other
certifying
agent
which
certified
operations
producing
raw
organic
product
or
organic
ingredients
used
in
the
396
finished
product:
Provided,
That,
such
seals
or
marks
are
not
individually
displayed
more
prominently
than
the
USDA
seal.
§
205.309
Agricultural
products
in
other
than
packaged
form
at
the
point
of
retail
sale
that
are
sold,
labeled,
or
represented
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
(
a)
Agricultural
products
in
other
than
packaged
form
containing
between
70
and
95
percent
organically
produced
ingredients
may
use
the
phrase,
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
to
modify
the
name
of
the
product
in
retail
display,
labeling,
and
display
containers.
(
1)
Such
statement
must
not
list
more
than
three
organic
ingredients
or
food
groups,
and
(
2)
In
any
such
display
of
the
product's
ingredient
statement,
the
organic
ingredients
are
identified
as
"
organic."
(
b)
If
prepared
in
a
certified
facility,
such
agricultural
products
labeled
as
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
in
retail
displays,
display
containers,
and
market
information
may
display
the
certifying
agent's
seal,
logo,
or
other
identifying
mark.
§
205.310
Agricultural
products
produced
on
an
exempt
or
excluded
operation.
(
a)
An
agricultural
product
organically
produced
or
handled
on
an
exempt
or
excluded
operation
must
not:
(
1)
Display
the
USDA
seal
or
any
certifying
agent's
seal
or
other
identifying
mark
which
represents
the
exempt
or
excluded
operation
as
a
certified
organic
operation,
or
(
2)
Be
represented
as
a
certified
organic
product
or
certified
organic
ingredient
to
any
buyer.
397
(
b)
An
agricultural
product
organically
produced
or
handled
on
an
exempt
or
excluded
operation
may
be
identified
as
an
organic
product
or
organic
ingredient
in
a
multiingredient
product
produced
by
the
exempt
or
excluded
operation.
Such
product
or
ingredient
must
not
be
identified
or
represented
as
"
organic"
in
a
product
processed
by
others.
(
c)
Such
product
is
subject
to
requirements
specified
in
paragraph
(
a)
of
§
205.300,
and
paragraphs
(
f)(
1)
through
(
f)(
7)
of
§
205.301.
§
205.311
USDA
Seal.
(
a)
The
USDA
seal
described
in
paragraphs
(
b)
and
(
c)
of
this
section
may
be
used
only
for
raw
or
processed
agricultural
products
described
in
paragraphs
(
a),
(
b),
(
e)(
1),
and
(
e)(
2)
of
§
205.301.
(
b)
The
USDA
seal
must
replicate
the
form
and
design
of
the
example
in
figure
1
and
must
be
printed
legibly
and
conspicuously:
(
1)
On
a
white
background
with
a
brown
outer
circle
and
with
the
term,
"
USDA,"
in
green
overlaying
a
white
upper
semicircle
and
with
the
term,
"
organic,"
in
white
overlaying
the
green
lower
half
circle;
or
(
2)
On
a
white
or
transparent
background
with
black
outer
circle
and
black
"
USDA"
on
a
white
or
transparent
upper
half
of
the
circle
with
a
contrasting
white
or
transparent
"
organic"
on
the
black
lower
half
circle.
(
3)
The
green
or
black
lower
half
circle
may
have
four
light
lines
running
from
left
to
right
and
disappearing
at
the
point
on
the
right
horizon
to
resemble
a
cultivated
field.
398
§
§
205.312
205.399
[
Reserved]
Subpart
E
Certification
§
205.400
General
requirements
for
certification.
A
person
seeking
to
receive
or
maintain
organic
certification
under
the
regulations
in
this
part
must:
(
a)
Comply
with
the
Act
and
applicable
organic
production
and
handling
regulations
of
this
part;
(
b)
Establish,
implement,
and
update
annually
an
organic
production
or
handling
system
plan
that
is
submitted
to
an
accredited
certifying
agent
as
provided
for
in
§
205.200;
(
c)
Permit
on
site
inspections
with
complete
access
to
the
production
or
handling
operation,
including
noncertified
production
and
handling
areas,
structures,
and
offices
by
the
certifying
agent
as
provided
for
in
§
205.403;
(
d)
Maintain
all
records
applicable
to
the
organic
operation
for
not
less
than
5
years
beyond
their
creation
and
allow
authorized
representatives
of
the
Secretary,
the
applicable
State
organic
program's
governing
State
official,
and
the
certifying
agent
access
to
such
records
during
normal
business
hours
for
review
and
copying
to
determine
compliance
with
the
Act
and
the
regulations
in
this
part,
as
provided
for
in
§
205.104;
399
(
e)
Submit
the
applicable
fees
charged
by
the
certifying
agent;
and
(
f)
Immediately
notify
the
certifying
agent
concerning
any:
(
1)
Application,
including
drift,
of
a
prohibited
substance
to
any
field,
production
unit,
site,
facility,
livestock,
or
product
that
is
part
of
an
operation;
and
(
2)
Change
in
a
certified
operation
or
any
portion
of
a
certified
operation
that
may
affect
its
compliance
with
the
Act
and
the
regulations
in
this
part.
§
205.401
Application
for
Certification.
A
person
seeking
certification
of
a
production
or
handling
operation
under
this
subpart
must
submit
an
application
for
certification
to
a
certifying
agent.
The
application
must
include
the
following
information:
(
a)
An
organic
production
or
handling
system
plan,
as
required
in
§
205.200;
(
b)
The
name
of
the
person
completing
the
application;
the
applicant's
business
name,
address,
and
telephone
number;
and,
when
the
applicant
is
a
corporation,
the
name,
address,
and
telephone
number
of
the
person
authorized
to
act
on
the
applicant's
behalf;
(
c)
The
name(
s)
of
any
organic
certifying
agent(
s)
to
which
application
has
previously
been
made;
the
year(
s)
of
application;
the
outcome
of
the
application(
s)
submission,
including,
when
available,
a
copy
of
any
notification
of
noncompliance
or
denial
of
certification
issued
to
the
applicant
for
certification;
and
a
description
of
the
actions
taken
by
the
applicant
to
correct
the
noncompliances
noted
in
the
notification
of
noncompliance,
including
evidence
of
such
correction;
and
(
d)
Other
information
necessary
to
determine
compliance
with
the
Act
and
the
regulations
in
this
part.
400
§
205.402
Review
of
application.
(
a)
Upon
acceptance
of
an
application
for
certification,
a
certifying
agent
must:
(
1)
Review
the
application
to
ensure
completeness
pursuant
to
§
205.401;
(
2)
Determine
by
a
review
of
the
application
materials
whether
the
applicant
appears
to
comply
or
may
be
able
to
comply
with
the
applicable
requirements
of
subpart
C
of
this
part;
(
3)
Verify
that
an
applicant
who
previously
applied
to
another
certifying
agent
and
received
a
notification
of
noncompliance
or
denial
of
certification,
pursuant
to
§
205.405,
has
submitted
documentation
to
support
the
correction
of
any
noncompliances
identified
in
the
notification
of
noncompliance
or
denial
of
certification,
as
required
in
§
205.405(
e);
and
(
4)
Schedule
an
on
site
inspection
of
the
operation
to
determine
whether
the
applicant
qualifies
for
certification
if
the
review
of
application
materials
reveals
that
the
production
or
handling
operation
may
be
in
compliance
with
the
applicable
requirements
of
subpart
C
of
this
part.
(
b)
The
certifying
agent
shall
within
a
reasonable
time:
(
1)
Review
the
application
materials
received
and
communicate
its
findings
to
the
applicant;
(
2)
Provide
the
applicant
with
a
copy
of
the
on
site
inspection
report,
as
approved
by
the
certifying
agent,
for
any
on
site
inspection
performed;
and
(
3)
Provide
the
applicant
with
a
copy
of
the
test
results
for
any
samples
taken
by
an
inspector.
(
c)
The
applicant
may
withdraw
its
application
at
any
time.
An
applicant
who
withdraws
its
application
shall
be
liable
for
the
costs
of
services
provided
up
to
the
time
of
withdrawal
of
its
application.
An
applicant
that
voluntarily
withdrew
its
application
prior
to
the
issuance
of
a
notice
401
of
noncompliance
will
not
be
issued
a
notice
of
noncompliance.
Similarly,
an
applicant
that
voluntarily
withdrew
its
application
prior
to
the
issuance
of
a
notice
of
certification
denial
will
not
be
issued
a
notice
of
certification
denial.
§
205.403
On
site
inspections.
(
a)
On
site
inspections.
(
1)
A
certifying
agent
must
conduct
an
initial
on
site
inspection
of
each
production
unit,
facility,
and
site
that
produces
or
handles
organic
products
and
that
is
included
in
an
operation
for
which
certification
is
requested.
An
on
site
inspection
shall
be
conducted
annually
thereafter
for
each
certified
operation
that
produces
or
handles
organic
products
for
the
purpose
of
determining
whether
to
approve
the
request
for
certification
or
whether
the
certification
of
the
operation
should
continue.
(
2)
(
i)
A
certifying
agent
may
conduct
additional
on
site
inspections
of
applicants
for
certification
and
certified
operations
to
determine
compliance
with
the
Act
and
the
regulations
in
this
part.
(
ii)
The
Administrator
or
State
organic
program's
governing
State
official
may
require
that
additional
inspections
be
performed
by
the
certifying
agent
for
the
purpose
of
determining
compliance
with
the
Act
and
the
regulations
in
this
part.
(
iii)
Additional
inspections
may
be
announced
or
unannounced
at
the
discretion
of
the
certifying
agent
or
as
required
by
the
Administrator
or
State
organic
program's
governing
State
official.
(
b)
Scheduling.
(
1)
The
initial
on
site
inspection
must
be
conducted
within
a
reasonable
time
following
a
determination
that
the
applicant
appears
to
comply
or
may
be
able
to
comply
with
the
requirements
of
subpart
C
of
this
part:
Except,
That,
the
initial
inspection
may
be
402
delayed
for
up
to
6
months
to
comply
with
the
requirement
that
the
inspection
be
conducted
when
the
land,
facilities,
and
activities
that
demonstrate
compliance
or
capacity
to
comply
can
be
observed.
(
2)
All
on
site
inspections
must
be
conducted
when
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
operation
is
present
and
at
a
time
when
land,
facilities,
and
activities
that
demonstrate
the
operation's
compliance
with
or
capability
to
comply
with
the
applicable
provisions
of
subpart
C
of
this
part
can
be
observed,
except
that
this
requirement
does
not
apply
to
unannounced
on
site
inspections.
(
c)
Verification
of
information.
The
on
site
inspection
of
an
operation
must
verify:
(
1)
The
operation's
compliance
or
capability
to
comply
with
the
Act
and
the
regulations
in
this
part;
(
2)
That
the
information,
including
the
organic
production
or
handling
system
plan,
provided
in
accordance
with
§
§
205.401,
205.406,
and
205.200,
accurately
reflects
the
practices
used
or
to
be
used
by
the
applicant
for
certification
or
by
the
certified
operation;
(
3)
That
prohibited
substances
have
not
been
and
are
not
being
applied
to
the
operation
through
means
which,
at
the
discretion
of
the
certifying
agent,
may
include
the
collection
and
testing
of
soil;
water;
waste;
seeds;
plant
tissue;
and
plant,
animal,
and
processed
products
samples.
(
d)
Exit
interview.
The
inspector
must
conduct
an
exit
interview
with
an
authorized
representative
of
the
operation
who
is
knowledgeable
about
the
inspected
operation
to
confirm
the
accuracy
and
completeness
of
inspection
observations
and
information
gathered
during
the
onsite
inspection.
The
inspector
must
also
address
the
need
for
any
additional
information
as
well
as
403
any
issues
of
concern.
(
e)
Documents
to
the
inspected
operation.
(
1)
At
the
time
of
the
inspection,
the
inspector
shall
provide
the
operation's
authorized
representative
with
a
receipt
for
any
samples
taken
by
the
inspector.
There
shall
be
no
charge
to
the
inspector
for
the
samples
taken.
(
2)
A
copy
of
the
on
site
inspection
report
and
any
test
results
will
be
sent
to
the
inspected
operation
by
the
certifying
agent.
§
205.404
Granting
certification.
(
a)
Within
a
reasonable
time
after
completion
of
the
initial
on
site
inspection,
a
certifying
agent
must
review
the
on
site
inspection
report,
the
results
of
any
analyses
for
substances
conducted,
and
any
additional
information
requested
from
or
supplied
by
the
applicant.
If
the
certifying
agent
determines
that
the
organic
system
plan
and
all
procedures
and
activities
of
the
applicant's
operation
are
in
compliance
with
the
requirements
of
this
part
and
that
the
applicant
is
able
to
conduct
operations
in
accordance
with
the
plan,
the
agent
shall
grant
certification.
The
certification
may
include
requirements
for
the
correction
of
minor
noncompliances
within
a
specified
time
period
as
a
condition
of
continued
certification.
(
b)
The
certifying
agent
must
issue
a
certificate
of
organic
operation
which
specifies
the:
(
1)
Name
and
address
of
the
certified
operation;
(
2)
Effective
date
of
certification;
(
3)
Categories
of
organic
operation,
including
crops,
wild
crops,
livestock,
or
processed
products
produced
by
the
certified
operation;
and
(
4)
Name,
address,
and
telephone
number
of
the
certifying
agent.
(
c)
Once
certified,
a
production
or
handling
operation's
organic
certification
continues
in
404
effect
until
surrendered
by
the
organic
operation
or
suspended
or
revoked
by
the
certifying
agent,
the
State
organic
program's
governing
State
official,
or
the
Administrator.
§
205.405
Denial
of
certification.
(
a)
When
the
certifying
agent
has
reason
to
believe,
based
on
a
review
of
the
information
specified
in
§
205.402
or
§
205.404,
that
an
applicant
for
certification
is
not
able
to
comply
or
is
not
in
compliance
with
the
requirements
of
this
part,
the
certifying
agent
must
provide
a
written
notification
of
noncompliance
to
the
applicant.
When
correction
of
a
noncompliance
is
not
possible,
a
notification
of
noncompliance
and
a
notification
of
denial
of
certification
may
be
combined
in
one
notification.
The
notification
of
noncompliance
shall
provide:
(
1)
A
description
of
each
noncompliance;
(
2)
The
facts
upon
which
the
notification
of
noncompliance
is
based;
and
(
3)
The
date
by
which
the
applicant
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
(
b)
Upon
receipt
of
such
notification
of
noncompliance,
the
applicant
may:
(
1)
Correct
noncompliances
and
submit
a
description
of
the
corrective
actions
taken
with
supporting
documentation
to
the
certifying
agent;
(
2)
Correct
noncompliances
and
submit
a
new
application
to
another
certifying
agent:
Provided,
That,
the
applicant
must
include
a
complete
application,
the
notification
of
noncompliance
received
from
the
first
certifying
agent,
and
a
description
of
the
corrective
actions
taken
with
supporting
documentation;
or
(
3)
Submit
written
information
to
the
issuing
certifying
agent
to
rebut
the
noncompliance
described
in
the
notification
of
noncompliance.
405
(
c)
After
issuance
of
a
notification
of
noncompliance,
the
certifying
agent
must:
(
1)
Evaluate
the
applicant's
corrective
actions
taken
and
supporting
documentation
submitted
or
the
written
rebuttal,
conduct
an
on
site
inspection
if
necessary,
and
(
i)
When
the
corrective
action
or
rebuttal
is
sufficient
for
the
applicant
to
qualify
for
certification,
issue
the
applicant
an
approval
of
certification
pursuant
to
§
205.404;
or
(
ii)
When
the
corrective
action
or
rebuttal
is
not
sufficient
for
the
applicant
to
qualify
for
certification,
issue
the
applicant
a
written
notice
of
denial
of
certification.
(
2)
Issue
a
written
notice
of
denial
of
certification
to
an
applicant
who
fails
to
respond
to
the
notification
of
noncompliance.
(
3)
Provide
notice
of
approval
or
denial
to
the
Administrator,
pursuant
to
§
205.501(
a)(
14).
(
d)
A
notice
of
denial
of
certification
must
state
the
reason(
s)
for
denial
and
the
applicant's
right
to:
(
1)
Reapply
for
certification
pursuant
to
§
§
205.401
and
205.405(
e);
(
2)
Request
mediation
pursuant
to
§
205.663
or,
if
applicable,
pursuant
to
a
State
organic
program;
or
(
3)
File
an
appeal
of
the
denial
of
certification
pursuant
to
§
205.681
or,
if
applicable,
pursuant
to
a
State
organic
program.
(
e)
An
applicant
for
certification
who
has
received
a
written
notification
of
noncompliance
or
a
written
notice
of
denial
of
certification
may
apply
for
certification
again
at
any
time
with
any
certifying
agent,
in
accordance
with
§
§
205.401
and
205.405(
e).
When
such
applicant
submits
a
new
application
to
a
certifying
agent
other
than
the
agent
who
issued
the
406
notification
of
noncompliance
or
notice
of
denial
of
certification,
the
applicant
for
certification
must
include
a
copy
of
the
notification
of
noncompliance
or
notice
of
denial
of
certification
and
a
description
of
the
actions
taken,
with
supporting
documentation,
to
correct
the
noncompliances
noted
in
the
notification
of
noncompliance.
(
f)
A
certifying
agent
who
receives
a
new
application
for
certification,
which
includes
a
notification
of
noncompliance
or
a
notice
of
denial
of
certification,
must
treat
the
application
as
a
new
application
and
begin
a
new
application
process
pursuant
to
§
205.402.
(
g)
Notwithstanding
paragraph
(
a)
of
this
section,
if
a
certifying
agent
has
reason
to
believe
that
an
applicant
for
certification
has
willfully
made
a
false
statement
or
otherwise
purposefully
misrepresented
the
applicant's
operation
or
its
compliance
with
the
certification
requirements
pursuant
to
this
part,
the
certifying
agent
may
deny
certification
pursuant
to
paragraph
(
c)(
1)(
ii)
of
this
section
without
first
issuing
a
notification
of
noncompliance.
§
205.406
Continuation
of
certification.
(
a)
To
continue
certification,
a
certified
operation
must
annually
pay
the
certification
fees
and
submit
the
following
information,
as
applicable,
to
the
certifying
agent:
(
1)
An
updated
organic
production
or
handling
system
plan
which
includes:
(
i)
A
summary
statement,
supported
by
documentation,
detailing
any
deviations
from,
changes
to,
modifications
to,
or
other
amendments
made
to
the
previous
year's
organic
system
plan
during
the
previous
year;
and
(
ii)
Any
additions
or
deletions
to
the
previous
year's
organic
system
plan,
intended
to
be
undertaken
in
the
coming
year,
detailed
pursuant
to
§
205.200;
(
2)
Any
additions
to
or
deletions
from
the
information
required
pursuant
to
§
205.401(
b);
407
(
3)
An
update
on
the
correction
of
minor
noncompliances
previously
identified
by
the
certifying
agent
as
requiring
correction
for
continued
certification;
and
(
4)
Other
information
as
deemed
necessary
by
the
certifying
agent
to
determine
compliance
with
the
Act
and
the
regulations
in
this
part.
(
b)
Following
the
receipt
of
the
information
specified
in
paragraph
(
a)
of
this
section,
the
certifying
agent
shall
within
a
reasonable
time
arrange
and
conduct
an
on
site
inspection
of
the
certified
operation
pursuant
to
§
205.403:
Except,
That,
when
it
is
impossible
for
the
certifying
agent
to
conduct
the
annual
on
site
inspection
following
receipt
of
the
certified
operation's
annual
update
of
information,
the
certifying
agent
may
allow
continuation
of
certification
and
issue
an
updated
certificate
of
organic
operation
on
the
basis
of
the
information
submitted
and
the
most
recent
on
site
inspection
conducted
during
the
previous
12
months:
Provided,
That,
the
annual
on
site
inspection,
required
pursuant
to
§
205.403,
is
conducted
within
the
first
6
months
following
the
certified
operation's
scheduled
date
of
annual
update.
(
c)
If
the
certifying
agent
has
reason
to
believe,
based
on
the
on
site
inspection
and
a
review
of
the
information
specified
in
§
205.404,
that
a
certified
operation
is
not
complying
with
the
requirements
of
the
Act
and
the
regulations
in
this
part,
the
certifying
agent
shall
provide
a
written
notification
of
noncompliance
to
the
operation
in
accordance
with
§
205.662.
(
d)
If
the
certifying
agent
determines
that
the
certified
operation
is
complying
with
the
Act
and
the
regulations
in
this
part
and
that
any
of
the
information
specified
on
the
certificate
of
organic
operation
has
changed,
the
certifying
agent
must
issue
an
updated
certificate
of
organic
operation
pursuant
to
§
205.404(
b).
§
§
205.407
205.499
[
Reserved]
408
Subpart
F
Accreditation
of
Certifying
Agents
§
205.500
Areas
and
duration
of
accreditation.
(
a)
The
Administrator
shall
accredit
a
qualified
domestic
or
foreign
applicant
in
the
areas
of
crops,
livestock,
wild
crops,
or
handling
or
any
combination
thereof
to
certify
a
domestic
or
foreign
production
or
handling
operation
as
a
certified
operation.
(
b)
Accreditation
shall
be
for
a
period
of
5
years
from
the
date
of
approval
of
accreditation
pursuant
to
§
205.506.
(
c)
In
lieu
of
accreditation
under
paragraph
(
a)
of
this
section,
USDA
will
accept
a
foreign
certifying
agent's
accreditation
to
certify
organic
production
or
handling
operations
if:
(
1)
USDA
determines,
upon
the
request
of
a
foreign
government,
that
the
standards
under
which
the
foreign
government
authority
accredited
the
foreign
certifying
agent
meet
the
requirements
of
this
part;
or
(
2)
The
foreign
government
authority
that
accredited
the
foreign
certifying
agent
acted
under
an
equivalency
agreement
negotiated
between
the
United
States
and
the
foreign
government.
§
205.501
General
requirements
for
accreditation.
(
a)
A
private
or
governmental
entity
accredited
as
a
certifying
agent
under
this
subpart
must:
(
1)
Have
sufficient
expertise
in
organic
production
or
handling
techniques
to
fully
comply
with
and
implement
the
terms
and
conditions
of
the
organic
certification
program
established
under
the
Act
and
the
regulations
in
this
part;
(
2)
Demonstrate
the
ability
to
fully
comply
with
the
requirements
for
accreditation
set
409
forth
in
this
subpart;
(
3)
Carry
out
the
provisions
of
the
Act
and
the
regulations
in
this
part,
including
the
provisions
of
§
§
205.402
through
205.406
and
§
205.670;
(
4)
Use
a
sufficient
number
of
adequately
trained
personnel,
including
inspectors
and
certification
review
personnel,
to
comply
with
and
implement
the
organic
certification
program
established
under
the
Act
and
the
regulations
in
subpart
E
of
this
part;
(
5)
Ensure
that
its
responsibly
connected
persons,
employees,
and
contractors
with
inspection,
analysis,
and
decision
making
responsibilities
have
sufficient
expertise
in
organic
production
or
handling
techniques
to
successfully
perform
the
duties
assigned.
(
6)
Conduct
an
annual
performance
evaluation
of
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
implement
measures
to
correct
any
deficiencies
in
certification
services;
(
7)
Have
an
annual
program
review
of
its
certification
activities
conducted
by
the
certifying
agent's
staff,
an
outside
auditor,
or
a
consultant
who
has
expertise
to
conduct
such
reviews
and
implement
measures
to
correct
any
noncompliances
with
the
Act
and
the
regulations
in
this
part
that
are
identified
in
the
evaluation;
(
8)
Provide
sufficient
information
to
persons
seeking
certification
to
enable
them
to
comply
with
the
applicable
requirements
of
the
Act
and
the
regulations
in
this
part;
(
9)
Maintain
all
records
pursuant
to
§
205.510(
b)
and
make
all
such
records
available
for
inspection
and
copying
during
normal
business
hours
by
authorized
representatives
of
the
Secretary
and
the
applicable
State
organic
program's
governing
State
official;
410
(
10)
Maintain
strict
confidentiality
with
respect
to
its
clients
under
the
applicable
organic
certification
program
and
not
disclose
to
third
parties
(
with
the
exception
of
the
Secretary
or
the
applicable
State
organic
program's
governing
State
official
or
their
authorized
representatives)
any
business
related
information
concerning
any
client
obtained
while
implementing
the
regulations
in
this
part,
except
as
provided
for
in
§
205.504(
b)(
5);
(
11)
Prevent
conflicts
of
interest
by:
(
i)
Not
certifying
a
production
or
handling
operation
if
the
certifying
agent
or
a
responsibly
connected
party
of
such
certifying
agent
has
or
has
held
a
commercial
interest
in
the
production
or
handling
operation,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification;
(
ii)
Excluding
any
person,
including
contractors,
with
conflicts
of
interest
from
work,
discussions,
and
decisions
in
all
stages
of
the
certification
process
and
the
monitoring
of
certified
production
or
handling
operations
for
all
entities
in
which
such
person
has
or
has
held
a
commercial
interest,
including
an
immediate
family
interest
or
the
provision
of
consulting
services,
within
the
12
month
period
prior
to
the
application
for
certification;
(
iii)
Not
permitting
any
employee,
inspector,
contractor,
or
other
personnel
to
accept
payment,
gifts,
or
favors
of
any
kind,
other
than
prescribed
fees,
from
any
business
inspected,
Except,
That,
a
certifying
agent
that
is
a
not
for
profit
organization
with
an
Internal
Revenue
Code
tax
exemption
or,
in
the
case
of
a
foreign
certifying
agent,
a
comparable
recognition
of
notfor
profit
status
from
its
government,
may
accept
voluntary
labor
from
certified
operations;
(
iv)
Not
giving
advice
or
providing
consultancy
services,
to
certification
applicants
or
certified
operations,
for
overcoming
identified
barriers
to
certification;
411
(
v)
Requiring
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
all
parties
responsibly
connected
to
the
certifying
agent
to
complete
an
annual
conflict
of
interest
disclosure
report;
and
(
vi)
Ensuring
that
the
decision
to
certify
an
operation
is
made
by
a
person
different
from
those
who
conducted
the
review
of
documents
and
on
site
inspection.
(
12)
(
i)
Reconsider
a
certified
operation's
application
for
certification
and,
if
necessary,
perform
a
new
on
site
inspection
when
it
is
determined,
within
12
months
of
certifying
the
operation,
that
any
person
participating
in
the
certification
process
and
covered
under
§
205.501(
a)(
11)(
ii)
has
or
had
a
conflict
of
interest
involving
the
applicant.
All
costs
associated
with
a
reconsideration
of
application,
including
onsite
inspection
costs,
shall
be
borne
by
the
certifying
agent.
(
ii)
Refer
a
certified
operation
to
a
different
accredited
certifying
agent
for
recertification
and
reimburse
the
operation
for
the
cost
of
the
recertification
when
it
is
determined
that
any
person
covered
under
§
205.501(
a)(
11)(
i)
at
the
time
of
certification
of
the
applicant
had
a
conflict
of
interest
involving
the
applicant.
(
13)
Accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
§
205.500;
(
14)
Refrain
from
making
false
or
misleading
claims
about
its
accreditation
status,
the
USDA
accreditation
program
for
certifying
agents,
or
the
nature
or
qualities
of
products
labeled
as
organically
produced;
412
(
15)
Submit
to
the
Administrator
a
copy
of:
(
i)
Any
notice
of
denial
of
certification
issued
pursuant
to
§
205.405,
notification
of
noncompliance,
notification
of
noncompliance
correction,
notification
of
proposed
suspension
or
revocation,
and
notification
of
suspension
or
revocation
sent
pursuant
to
§
205.662
simultaneously
with
its
issuance
and
(
ii)
A
list,
on
January
2
of
each
year,
including
the
name,
address,
and
telephone
number
of
each
operation
granted
certification
during
the
preceding
year;
(
16)
Charge
applicants
for
certification
and
certified
production
and
handling
operations
only
those
fees
and
charges
for
certification
activities
that
it
has
filed
with
the
Administrator;
(
17)
Pay
and
submit
fees
to
AMS
in
accordance
with
§
205.640;
(
18)
Provide
the
inspector,
prior
to
each
on
site
inspection,
with
previous
on
site
inspection
reports
and
notify
the
inspector
of
its
decision
regarding
certification
of
the
production
or
handling
operation
site
inspected
by
the
inspector
and
of
any
requirements
for
the
correction
of
minor
noncompliances;
(
19)
Accept
all
production
or
handling
applications
that
fall
within
its
area(
s)
of
accreditation
and
certify
all
qualified
applicants,
to
the
extent
of
its
administrative
capacity
to
do
so
without
regard
to
size
or
membership
in
any
association
or
group;
and
(
20)
Demonstrate
its
ability
to
comply
with
a
State's
organic
program
to
certify
organic
production
or
handling
operations
within
the
State.
(
21)
Comply
with,
implement,
and
carry
out
any
other
terms
and
conditions
determined
by
the
Administrator
to
be
necessary.
(
b)
A
private
or
governmental
entity
accredited
as
a
certifying
agent
under
this
subpart
may
establish
a
seal,
logo,
or
other
identifying
mark
to
be
used
by
production
and
handling
413
operations
certified
by
the
certifying
agent
to
indicate
affiliation
with
the
certifying
agent:
Provided,
That,
the
certifying
agent:
(
1)
Does
not
require
use
of
its
seal,
logo,
or
other
identifying
mark
on
any
product
sold,
labeled,
or
represented
as
organically
produced
as
a
condition
of
certification
and
(
2)
Does
not
require
compliance
with
any
production
or
handling
practices
other
than
those
provided
for
in
the
Act
and
the
regulations
in
this
part
as
a
condition
of
use
of
its
identifying
mark:
Provided,
That,
certifying
agents
certifying
production
or
handling
operations
within
a
State
with
more
restrictive
requirements,
approved
by
the
Secretary,
shall
require
compliance
with
such
requirements
as
a
condition
of
use
of
their
identifying
mark
by
such
operations.
(
c)
A
private
entity
accredited
as
a
certifying
agent
must:
(
1)
Hold
the
Secretary
harmless
for
any
failure
on
the
part
of
the
certifying
agent
to
carry
out
the
provisions
of
the
Act
and
the
regulations
in
this
part;
(
2)
Furnish
reasonable
security,
in
an
amount
and
according
to
such
terms
as
the
Administrator
may
by
regulation
prescribe,
for
the
purpose
of
protecting
the
rights
of
production
and
handling
operations
certified
by
such
certifying
agent
under
the
Act
and
the
regulations
in
this
part;
and
(
3)
Transfer
to
the
Administrator
and
make
available
to
any
applicable
State
organic
program's
governing
State
official
all
records
or
copies
of
records
concerning
the
person's
certification
activities
in
the
event
that
the
certifying
agent
dissolves
or
loses
its
accreditation;
Provided,
That,
such
transfer
shall
not
apply
to
a
merger,
sale,
or
other
transfer
of
ownership
of
a
certifying
agent.
(
d)
No
private
or
governmental
entity
accredited
as
a
certifying
agent
under
this
subpart
414
shall
exclude
from
participation
in
or
deny
the
benefits
of
the
National
Organic
Program
to
any
person
due
to
discrimination
because
of
race,
color,
national
origin,
gender,
religion,
age,
disability,
political
beliefs,
sexual
orientation,
or
marital
or
family
status.
§
205.502
Applying
for
accreditation.
(
a)
A
private
or
governmental
entity
seeking
accreditation
as
a
certifying
agent
under
this
subpart
must
submit
an
application
for
accreditation
which
contains
the
applicable
information
and
documents
set
forth
in
§
§
205.503
through
205.505
and
the
fees
required
in
§
205.640
to:
Program
Manager,
USDA
AMS
TMP
NOP,
Room
2945
South
Building,
PO
Box
96456,
Washington,
DC
20090
6456.
(
b)
Following
the
receipt
of
the
information
and
documents,
the
Administrator
will
determine,
pursuant
to
§
205.506,
whether
the
applicant
for
accreditation
should
be
accredited
as
a
certifying
agent.
§
205.503
Applicant
information.
A
private
or
governmental
entity
seeking
accreditation
as
a
certifying
agent
must
submit
the
following
information:
(
a)
The
business
name,
primary
office
location,
mailing
address,
name
of
the
person(
s)
responsible
for
the
certifying
agent's
day
to
day
operations,
contact
numbers
(
telephone,
facsimile,
and
Internet
address)
of
the
applicant,
and,
for
an
applicant
who
is
a
private
person,
the
entity's
taxpayer
identification
number;
(
b)
The
name,
office
location,
mailing
address,
and
contact
numbers
(
telephone,
facsimile,
and
Internet
address)
for
each
of
its
organizational
units,
such
as
chapters
or
subsidiary
offices,
and
the
name
of
a
contact
person
for
each
unit;
415
(
c)
Each
area
of
operation
(
crops,
wild
crops,
livestock,
or
handling)
for
which
accreditation
is
requested
and
the
estimated
number
of
each
type
of
operation
anticipated
to
be
certified
annually
by
the
applicant
along
with
a
copy
of
the
applicant's
schedule
of
fees
for
all
services
to
be
provided
under
these
regulations
by
the
applicant;
(
d)
The
type
of
entity
the
applicant
is
(
e.
g.,
government
agricultural
office,
for
profit
business,
not
for
profit
membership
association)
and
for:
(
1)
A
governmental
entity,
a
copy
of
the
official's
authority
to
conduct
certification
activities
under
the
Act
and
the
regulations
in
this
part,
(
2)
A
private
entity,
documentation
showing
the
entity's
status
and
organizational
purpose,
such
as
articles
of
incorporation
and
by
laws
or
ownership
or
membership
provisions,
and
its
date
of
establishment;
and
(
e)
A
list
of
each
State
or
foreign
country
in
which
the
applicant
currently
certifies
production
and
handling
operations
and
a
list
of
each
State
or
foreign
country
in
which
the
applicant
intends
to
certify
production
or
handling
operations.
§
205.504
Evidence
of
expertise
and
ability.
A
private
or
governmental
entity
seeking
accreditation
as
a
certifying
agent
must
submit
the
following
documents
and
information
to
demonstrate
its
expertise
in
organic
production
or
handling
techniques;
its
ability
to
fully
comply
with
and
implement
the
organic
certification
program
established
in
§
§
205.100
and
205.101,
§
§
205.201
through
205.203,
§
§
205.300
through
205.303,
§
§
205.400
through
205.406,
and
§
§
205.661
and
205.662;
and
its
ability
to
comply
with
the
requirements
for
accreditation
set
forth
in
§
205.501:
(
a)
Personnel.
(
1)
A
copy
of
the
applicant's
policies
and
procedures
for
training,
416
evaluating,
and
supervising
personnel;
(
2)
The
name
and
position
description
of
all
personnel
to
be
used
in
the
certification
operation,
including
administrative
staff,
certification
inspectors,
members
of
any
certification
review
and
evaluation
committees,
contractors,
and
all
parties
responsibly
connected
to
the
certifying
agent;
(
3)
A
description
of
the
qualifications,
including
experience,
training,
and
education
in
agriculture,
organic
production,
and
organic
handling,
for:
(
i)
Each
inspector
to
be
used
by
the
applicant
and
(
ii)
Each
person
to
be
designated
by
the
applicant
to
review
or
evaluate
applications
for
certification;
and
(
4)
A
description
of
any
training
that
the
applicant
has
provided
or
intends
to
provide
to
personnel
to
ensure
that
they
comply
with
and
implement
the
requirements
of
the
Act
and
the
regulations
in
this
part.
(
b)
Administrative
policies
and
procedures.
(
1)
A
copy
of
the
procedures
to
be
used
to
evaluate
certification
applicants,
make
certification
decisions,
and
issue
certification
certificates;
(
2)
A
copy
of
the
procedures
to
be
used
for
reviewing
and
investigating
certified
operation
compliance
with
the
Act
and
the
regulations
in
this
part
and
the
reporting
of
violations
of
the
Act
and
the
regulations
in
this
part
to
the
Administrator;
(
3)
A
copy
of
the
procedures
to
be
used
for
complying
with
the
recordkeeping
requirements
set
forth
in
§
205.501(
a)(
9);
(
4)
A
copy
of
the
procedures
to
be
used
for
maintaining
the
confidentiality
of
any
business
related
information
as
set
forth
in
§
205.501(
a)(
10);
417
(
5)
A
copy
of
the
procedures
to
be
used,
including
any
fees
to
be
assessed,
for
making
the
following
information
available
to
any
member
of
the
public
upon
request:
(
i)
Certification
certificates
issued
during
the
current
and
3
preceding
calender
years;
(
ii)
A
list
of
producers
and
handlers
whose
operations
it
has
certified,
including
for
each
the
name
of
the
operation,
type(
s)
of
operation,
products
produced,
and
the
effective
date
of
the
certification,
during
the
current
and
3
preceding
calender
years;
(
iii)
The
results
of
laboratory
analyses
for
residues
of
pesticides
and
other
prohibited
substances
conducted
during
the
current
and
3
preceding
calender
years;
and
(
iv)
Other
business
information
as
permitted
in
writing
by
the
producer
or
handler;
and
(
6)
A
copy
of
the
procedures
to
be
used
for
sampling
and
residue
testing
pursuant
to
§
205.670.
(
c)
Conflicts
of
interest.
(
1)
A
copy
of
procedures
intended
to
be
implemented
to
prevent
the
occurrence
of
conflicts
of
interest,
as
described
in
§
205.501(
a)(
11).
(
2)
For
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
all
parties
responsibly
connected
to
the
certifying
agent,
a
conflict
of
interest
disclosure
report,
identifying
any
food
or
agriculturerelated
business
interests,
including
business
interests
of
immediate
family
members,
that
cause
a
conflict
of
interest.
(
d)
Current
certification
activities.
An
applicant
who
currently
certifies
production
or
handling
operations
must
submit:
(
1)
A
list
of
all
production
and
handling
operations
currently
certified
by
the
applicant;
418
(
2)
Copies
of
at
least
3
different
inspection
reports
and
certification
evaluation
documents
for
production
or
handling
operations
certified
by
the
applicant
during
the
previous
year
for
each
area
of
operation
for
which
accreditation
is
requested;
and
(
3)
The
results
of
any
accreditation
process
of
the
applicant's
operation
by
an
accrediting
body
during
the
previous
year
for
the
purpose
of
evaluating
its
certification
activities.
(
e)
Other
information.
Any
other
information
the
applicant
believes
may
assist
in
the
Administrator's
evaluation
of
the
applicant's
expertise
and
ability.
§
205.505
Statement
of
agreement.
(
a)
A
private
or
governmental
entity
seeking
accreditation
under
this
subpart
must
sign
and
return
a
statement
of
agreement
prepared
by
the
Administrator
which
affirms
that,
if
granted
accreditation
as
a
certifying
agent
under
this
subpart,
the
applicant
will
carry
out
the
provisions
of
the
Act
and
the
regulations
in
this
part,
including:
(
1)
Accept
the
certification
decisions
made
by
another
certifying
agent
accredited
or
accepted
by
USDA
pursuant
to
section
205.500;
(
2)
Refrain
from
making
false
or
misleading
claims
about
its
accreditation
status,
the
USDA
accreditation
program
for
certifying
agents,
or
the
nature
or
qualities
of
products
labeled
as
organically
produced;
(
3)
Conduct
an
annual
performance
evaluation
of
all
persons
who
review
applications
for
certification,
perform
on
site
inspections,
review
certification
documents,
evaluate
qualifications
for
certification,
make
recommendations
concerning
certification,
or
make
certification
decisions
and
implement
measures
to
correct
any
deficiencies
in
certification
services;
(
4)
Have
an
annual
internal
program
review
conducted
of
its
certification
activities
by
419
certifying
agent
staff,
an
outside
auditor,
or
a
consultant
who
has
the
expertise
to
conduct
such
reviews
and
implement
measures
to
correct
any
noncompliances
with
the
Act
and
the
regulations
in
this
part;
(
5)
Pay
and
submit
fees
to
AMS
in
accordance
with
§
205.640;
and
(
6)
Comply
with,
implement,
and
carry
out
any
other
terms
and
conditions
determined
by
the
Administrator
to
be
necessary.
(
b)
A
private
entity
seeking
accreditation
as
a
certifying
agent
under
this
subpart
must
additionally
agree
to:
(
1)
Hold
the
Secretary
harmless
for
any
failure
on
the
part
of
the
certifying
agent
to
carry
out
the
provisions
of
the
Act
and
the
regulations
in
this
part;
(
2)
Furnish
reasonable
security,
in
an
amount
and
according
to
such
terms
as
the
Administrator
may
by
regulation
prescribe,
for
the
purpose
of
protecting
the
rights
of
production
and
handling
operations
certified
by
such
certifying
agent
under
the
Act
and
the
regulations
in
this
part;
and
(
3)
Transfer
to
the
Administrator
and
make
available
to
the
applicable
State
organic
program's
governing
State
official
all
records
or
copies
of
records
concerning
the
certifying
agent's
certification
activities
in
the
event
that
the
certifying
agent
dissolves
or
loses
its
accreditation;
Provided,
That
such
transfer
shall
not
apply
to
a
merger,
sale,
or
other
transfer
of
ownership
of
a
certifying
agent.
§
205.506
Granting
accreditation.
(
a)
Accreditation
will
be
granted
when:
(
1)
The
accreditation
applicant
has
submitted
the
information
required
by
§
§
205.503
through
205.505;
420
(
2)
The
accreditation
applicant
pays
the
required
fee
in
accordance
with
§
205.640(
c);
and
(
3)
The
Administrator
determines
that
the
applicant
for
accreditation
meets
the
requirements
for
accreditation
as
stated
in
§
205.501,
as
determined
by
a
review
of
the
information
submitted
in
accordance
with
§
§
205.503
through
205.505
and,
if
necessary,
a
review
of
the
information
obtained
from
a
site
evaluation
as
provided
for
in
§
205.508.
(
b)
On
making
a
determination
to
approve
an
application
for
accreditation,
the
Administrator
will
notify
the
applicant
of
the
granting
of
accreditation
in
writing,
stating:
(
1)
The
area(
s)
for
which
accreditation
is
given;
(
2)
The
effective
date
of
the
accreditation;
(
3)
Any
terms
and
conditions
for
the
correction
of
minor
noncompliances;
and
(
4)
For
a
certifying
agent
who
is
a
private
entity,
the
amount
and
type
of
security
that
must
be
established
to
protect
the
rights
of
production
and
handling
operations
certified
by
such
certifying
agent.
(
c)
The
accreditation
of
a
certifying
agent
shall
continue
in
effect
until
such
time
as
the
certifying
agent
fails
to
renew
accreditation
as
provided
in
§
205.510(
c),
the
certifying
agent
voluntarily
ceases
its
certification
activities,
or
accreditation
is
suspended
or
revoked
pursuant
to
§
205.665.
§
205.507
Denial
of
accreditation.
(
a)
If
the
Program
Manager
has
reason
to
believe,
based
on
a
review
of
the
information
specified
in
§
§
205.503
through
205.505
or
after
a
site
evaluation
as
specified
in
§
205.508,
that
an
applicant
for
accreditation
is
not
able
to
comply
or
is
not
in
compliance
with
the
requirements
421
of
the
Act
and
the
regulations
in
this
part,
the
Program
Manager
shall
provide
a
written
notification
of
noncompliance
to
the
applicant.
Such
notification
shall
provide:
(
1)
A
description
of
each
noncompliance;
(
2)
The
facts
upon
which
the
notification
of
noncompliance
is
based;
and
(
3)
The
date
by
which
the
applicant
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
(
b)
When
each
noncompliance
has
been
resolved,
the
Program
Manager
will
send
the
applicant
a
written
notification
of
noncompliance
resolution
and
proceed
with
further
processing
of
the
application.
(
c)
If
an
applicant
fails
to
correct
the
noncompliances,
fails
to
report
the
corrections
by
the
date
specified
in
the
notification
of
noncompliance,
fails
to
file
a
rebuttal
of
the
notification
of
noncompliance
by
the
date
specified,
or
is
unsuccessful
in
its
rebuttal,
the
Program
Manager
will
provide
the
applicant
with
written
notification
of
accreditation
denial.
An
applicant
who
has
received
written
notification
of
accreditation
denial
may
apply
for
accreditation
again
at
any
time
in
accordance
with
§
205.502,
or
appeal
the
denial
of
accreditation
in
accordance
with
§
205.681
by
the
date
specified
in
the
notification
of
accreditation
denial.
(
d)
If
the
certifying
agent
was
accredited
prior
to
the
site
evaluation
and
the
certifying
agent
fails
to
correct
the
noncompliances,
fails
to
report
the
corrections
by
the
date
specified
in
the
notification
of
noncompliance,
or
fails
to
file
a
rebuttal
of
the
notification
of
noncompliance
by
the
date
specified,
the
Administrator
will
begin
proceedings
to
suspend
or
revoke
the
certifying
agent's
accreditation.
A
certifying
agent
who
has
had
its
accreditation
suspended
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
422
for
reinstatement
of
its
accreditation.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
A
certifying
agent
whose
accreditation
is
revoked
will
be
ineligible
for
accreditation
for
a
period
of
not
less
than
3
years
following
the
date
of
such
determination.
§
205.508
Site
evaluations.
(
a)
Site
evaluations
of
accredited
certifying
agents
shall
be
conducted
for
the
purpose
of
examining
the
certifying
agent's
operations
and
evaluating
its
compliance
with
the
Act
and
the
regulations
of
this
part.
Site
evaluations
shall
include
an
on
site
review
of
the
certifying
agent's
certification
procedures,
decisions,
facilities,
administrative
and
management
systems,
and
production
or
handling
operations
certified
by
the
certifying
agent.
Site
evaluations
shall
be
conducted
by
a
representative(
s)
of
the
Administrator.
(
b)
An
initial
site
evaluation
of
an
accreditation
applicant
shall
be
conducted
before
or
within
a
reasonable
period
of
time
after
issuance
of
the
applicant's
"
notification
of
accreditation."
A
site
evaluation
shall
be
conducted
after
application
for
renewal
of
accreditation
but
prior
to
the
issuance
of
a
notice
of
renewal
of
accreditation.
One
or
more
site
evaluations
will
be
conducted
during
the
period
of
accreditation
to
determine
whether
an
accredited
certifying
agent
is
complying
with
the
general
requirements
set
forth
in
§
205.501.
§
205.509
Peer
review
panel.
The
Administrator
shall
establish
a
peer
review
panel
pursuant
to
the
Federal
Advisory
Committee
Act
(
FACA)
(
5
U.
S.
C.
App.
2
et
seq.).
The
peer
review
panel
shall
be
composed
of
not
less
than
3
members
who
shall
annually
evaluate
the
National
Organic
Program's
adherence
to
423
the
accreditation
procedures
in
subpart
F
of
these
regulations
and
ISO/
IEC
Guide
61,
General
requirements
for
assessment
and
accreditation
of
certification/
registration
bodies,
and
the
National
Organic
Program's
accreditation
decisions.
This
shall
be
accomplished
through
the
review
of
accreditation
procedures,
document
review
and
site
evaluation
reports,
and
accreditation
decision
documents
or
documentation.
The
peer
review
panel
shall
report
its
finding,
in
writing,
to
the
National
Organic
Program's
Program
Manager.
§
205.510
Annual
report,
recordkeeping,
and
renewal
of
accreditation.
(
a)
Annual
report
and
fees.
An
accredited
certifying
agent
must
submit
annually
to
the
Administrator,
on
or
before
the
anniversary
date
of
the
issuance
of
the
notification
of
accreditation,
the
following
reports
and
fees:
(
1)
A
complete
and
accurate
update
of
information
submitted
pursuant
to
§
§
205.503
and
205.504;
(
2)
Information
supporting
any
changes
being
requested
in
the
areas
of
accreditation
described
in
§
205.500;
(
3)
A
description
of
the
measures
implemented
in
the
previous
year
and
any
measures
to
be
implemented
in
the
coming
year
to
satisfy
any
terms
and
conditions
determined
by
the
Administrator
to
be
necessary,
as
specified
in
the
most
recent
notification
of
accreditation
or
notice
of
renewal
of
accreditation;
(
4)
The
results
of
the
most
recent
performance
evaluations
and
annual
program
review
and
a
description
of
adjustments
to
the
certifying
agent's
operation
and
procedures
implemented
or
to
be
implemented
in
response
to
the
performance
evaluations
and
program
review;
and
(
5)
The
fees
required
in
§
205.640(
a).
424
(
b)
Recordkeeping.
Certifying
agents
must
maintain
records
according
to
the
following
schedule:
(
1)
Records
obtained
from
applicants
for
certification
and
certified
operations
must
be
maintained
for
not
less
than
5
years
beyond
their
receipt;
(
2)
Records
created
by
the
certifying
agent
regarding
applicants
for
certification
and
certified
operations
must
be
maintained
for
not
less
than
10
years
beyond
their
creation;
and
(
3)
Records
created
or
received
by
the
certifying
agent
pursuant
to
the
accreditation
requirements
of
this
subpart
F,
excluding
any
records
covered
by
§
§
205.510(
b)(
2),
must
be
maintained
for
not
less
than
5
years
beyond
their
creation
or
receipt.
(
c)
Renewal
of
accreditation.
(
1)
The
Administrator
shall
send
the
accredited
certifying
agent
a
notice
of
pending
expiration
of
accreditation
approximately
1
year
prior
to
the
scheduled
date
of
expiration.
(
2)
An
accredited
certifying
agent's
application
for
accreditation
renewal
must
be
received
at
least
6
months
prior
to
the
fifth
anniversary
of
issuance
of
the
notification
of
accreditation
and
each
subsequent
renewal
of
accreditation.
The
accreditation
of
certifying
agents
who
make
timely
application
for
renewal
of
accreditation
will
not
expire
during
the
renewal
process.
The
accreditation
of
certifying
agents
who
fail
to
make
timely
application
for
renewal
of
accreditation
will
expire
as
scheduled
unless
renewed
prior
to
the
scheduled
expiration
date.
Certifying
agents
with
an
expired
accreditation
must
not
perform
certification
activities
under
the
Act
and
these
regulations.
(
3)
Following
receipt
of
the
information
submitted
by
the
certifying
agent
in
accordance
with
paragraph
(
a)
of
this
section
and
the
results
of
a
site
evaluation,
the
Administrator
will
425
determine
whether
the
certifying
agent
remains
in
compliance
with
the
Act
and
the
regulations
of
this
part
and
should
have
its
accreditation
renewed.
(
d)
Notice
of
renewal
of
accreditation.
Upon
a
determination
that
the
certifying
agent
is
in
compliance
with
the
Act
and
the
regulations
of
this
part,
the
Administrator
will
issue
a
notice
of
renewal
of
accreditation.
The
notice
of
renewal
will
specify
any
terms
and
conditions
that
must
be
addressed
by
the
certifying
agent
and
the
time
within
which
those
terms
and
conditions
must
be
satisfied.
(
e)
Noncompliance.
Upon
a
determination
that
the
certifying
agent
is
not
in
compliance
with
the
Act
and
the
regulations
of
this
part,
the
Administrator
will
initiate
proceedings
to
suspend
or
revoke
the
certifying
agent's
accreditation.
(
f)
Amending
accreditation.
Amendment
to
scope
of
an
accreditation
may
be
requested
at
any
time.
The
application
for
amendment
shall
be
sent
to
the
Administrator
and
shall
contain
information
applicable
to
the
requested
change
in
accreditation,
a
complete
and
accurate
update
of
the
information
submitted
pursuant
to
§
§
205.503
and
205.504,
and
the
applicable
fees
required
in
§
205.640.
§
§
205.511
205.599
[
Reserved]
Subpart
G
Administrative
The
National
List
of
Allowed
and
Prohibited
Substances
§
205.600
Evaluation
criteria
for
allowed
and
prohibited
substances,
methods,
and
ingredients.
The
following
criteria
will
be
utilized
in
the
evaluation
of
substances
or
ingredients
for
the
organic
production
and
handling
sections
of
the
National
List:
426
(
a)
Synthetic
and
nonsynthetic
substances
considered
for
inclusion
on
or
deletion
from
the
National
List
of
allowed
and
prohibited
substances
will
be
evaluated
using
the
criteria
specified
in
the
Act
(
7
U.
S.
C.
6517
and
6518).
(
b)
In
addition
to
the
criteria
set
forth
in
the
Act,
any
synthetic
substance
used
as
a
processing
aid
or
adjuvant
will
be
evaluated
against
the
following
criteria:
(
1)
The
substance
cannot
be
produced
from
a
natural
source
and
there
are
no
organic
substitutes;
(
2)
The
substance's
manufacture,
use,
and
disposal
do
not
have
adverse
effects
on
the
environment
and
are
done
in
a
manner
compatible
with
organic
handling;
(
3)
The
nutritional
quality
of
the
food
is
maintained
when
the
substance
is
used,
and
the
substance,
itself,
or
its
breakdown
products
do
not
have
an
adverse
effect
on
human
health
as
defined
by
applicable
Federal
regulations;
(
4)
The
substance's
primary
use
is
not
as
a
preservative
or
to
recreate
or
improve
flavors,
colors,
textures,
or
nutritive
value
lost
during
processing,
except
where
the
replacement
of
nutrients
is
required
by
law;
(
5)
The
substance
is
listed
as
generally
recognized
as
safe
(
GRAS)
by
Food
and
Drug
Administration
(
FDA)
when
used
in
accordance
with
FDA's
good
manufacturing
practices
(
GMP)
and
contains
no
residues
of
heavy
metals
or
other
contaminants
in
excess
of
tolerances
set
by
FDA;
and
(
6)
The
substance
is
essential
for
the
handling
of
organically
produced
agricultural
products.
(
c)
Nonsynthetics
used
in
organic
processing
will
be
evaluated
using
the
criteria
specified
427
in
the
Act
(
7
U.
S.
C.
6517
and
6518).
§
205.601
Synthetic
substances
allowed
for
use
in
organic
crop
production.
In
accordance
with
restrictions
specified
in
this
section,
the
following
synthetic
substances
may
be
used
in
organic
crop
production:
(
a)
As
algicide,
disinfectants,
and
sanitizer,
including
irrigation
system
cleaning
systems
(
1)
Alcohols
(
i)
Ethanol
(
ii)
Isopropanol
(
2)
Chlorine
materials
Except,
That,
residual
chlorine
levels
in
the
water
shall
not
exceed
the
maximum
residual
disinfectant
limit
under
the
Safe
Drinking
Water
Act.
(
i)
Calcium
hypochlorite
(
ii)
Chlorine
dioxide
(
iii)
Sodium
hypochlorite
(
3)
Hydrogen
peroxide
(
4)
Soap
based
algicide/
demisters
(
b)
As
herbicides,
weed
barriers,
as
applicable.
(
1)
Herbicides,
soap
based
for
use
in
farmstead
maintenance
(
roadways,
ditches,
right
of
ways,
building
perimeters)
and
ornamental
crops
(
2)
Mulches
(
i)
Newspaper
or
other
recycled
paper,
without
glossy
or
colored
inks.
(
ii)
Plastic
mulch
and
covers
(
petroleum
based
other
than
polyvinyl
chloride
(
PVC))
(
c)
As
compost
feedstocks
428
Newspapers
or
other
recycled
paper,
without
glossy
or
colored
inks
(
d)
As
animal
repellents
Soaps,
ammonium
for
use
as
a
large
animal
repellant
only,
no
contact
with
soil
or
edible
portion
of
crop
(
e)
As
insecticides
(
including
acaricides
or
mite
control)
(
1)
Ammonium
carbonate
for
use
as
bait
in
insect
traps
only,
no
direct
contact
with
crop
or
soil
(
2)
Boric
acid
structural
pest
control,
no
direct
contact
with
organic
food
or
crops
(
3)
Elemental
sulfur
(
4)
Lime
sulfur
including
calcium
polysulfide
(
5)
Oils,
horticultural
narrow
range
oils
as
dormant,
suffocating,
and
summer
oils.
(
6)
Soaps,
insecticidal
(
7)
Sticky
traps/
barriers
(
f)
As
insect
attractants
Pheromones
(
g)
As
rodenticides
(
1)
Sulfur
dioxide
underground
rodent
control
only
(
smoke
bombs)
(
2)
Vitamin
D3
(
h)
As
slug
or
snail
bait
<
None>
(
i)
As
plant
disease
control
(
1)
Coppers,
fixed
copper
hydroxide,
copper
oxide,
copper
oxychloride,
includes
429
products
exempted
from
EPA
tolerance,
Provided,
That,
copper
based
materials
must
be
used
in
a
manner
that
minimizes
accumulation
in
the
soil
and
shall
not
be
used
as
herbicides.
(
2)
Copper
sulfate
Substance
must
be
used
in
a
manner
that
minimizes
accumulation
of
copper
in
the
soil.
(
3)
Hydrated
lime
must
be
used
in
a
manner
that
minimizes
copper
accumulation
in
the
soil.
(
4)
Hydrogen
peroxide
(
5)
Lime
sulfur
(
6)
Oils,
horticultural,
narrow
range
oils
as
dormant,
suffocating,
and
summer
oils.
(
7)
Potassium
bicarbonate
(
8)
Elemental
sulfur
(
9)
Streptomycin,
for
fire
blight
control
in
apples
and
pears
only
(
10)
Tetracycline
(
oxytetracycline
calcium
complex),
for
fire
blight
control
only
(
j)
As
plant
or
soil
amendments.
(
1)
Aquatic
plant
extracts
(
other
than
hydrolyzed)
Extraction
process
is
limited
to
the
use
of
potassium
hydroxide
or
sodium
hydroxide;
solvent
amount
used
is
limited
to
that
amount
necessary
for
extraction.
(
2)
Elemental
sulfur
(
3)
Humic
acids
naturally
occurring
deposits,
water
and
alkali
extracts
only
(
4)
Lignin
sulfonate
chelating
agent,
dust
suppressant,
floatation
agent
(
5)
Magnesium
sulfate
allowed
with
a
documented
soil
deficiency
(
6)
Micronutrients
not
to
be
used
as
a
defoliant,
herbicide,
or
desiccant.
Those
made
430
from
nitrates
or
chlorides
are
not
allowed.
Soil
deficiency
must
be
documented
by
testing.
(
i)
Soluble
boron
products
(
ii)
Sulfates,
carbonates,
oxides,
or
silicates
of
zinc,
copper,
iron,
manganese,
molybdenum,
selenium,
and
cobalt,
(
7)
Liquid
fish
products
can
be
pH
adjusted
with
sulfuric,
citric
or
phosphoric
acid.
The
amount
of
acid
used
shall
not
exceed
the
minimum
needed
to
lower
the
pH
to
3.5
(
8)
Vitamins,
B1,
C,
and
E
(
k)
As
plant
growth
regulators
Ethylene
for
regulation
of
pineapple
flowering
(
l)
As
floating
agents
in
postharvest
handling
(
1)
Lignin
sulfonate
(
2)
Sodium
silicate
for
tree
fruit
and
fiber
processing
(
m)
As
synthetic
inert
ingredients
as
classified
by
the
Environmental
Protection
Agency
(
EPA),
for
use
with
nonsynthetic
substances
or
synthetic
substances
listed
in
this
section
and
used
as
an
active
pesticide
ingredient
in
accordance
with
any
limitations
on
the
use
of
such
substances.
(
1)
EPA
List
4
Inerts
of
Minimal
Concern
(
n)(
z)
[
Reserved]
§
205.602
Nonsynthetic
substances
prohibited
for
use
in
organic
crop
production.
The
following
nonsynthetic
substances
may
not
be
used
in
organic
crop
production:
(
a)
Ash
from
manure
burning
(
b)
Arsenic
(
c)
Lead
salts
431
(
d)
Sodium
fluoaluminate
(
mined)
(
e)
Strychnine
(
f)
Tobacco
dust
(
nicotine
sulfate)
(
g)
Potassium
chloride
unless
derived
from
a
mined
source
and
applied
in
a
manner
that
minimizes
chloride
accumulation
in
the
soil.
(
h)
Sodium
nitrate
unless
use
is
restricted
to
no
more
than
20%
of
the
crop's
total
nitrogen
requirement.
(
i)(
z)
[
Reserved]
§
205.603
Synthetic
substances
allowed
for
use
in
organic
livestock
production.
In
accordance
with
restrictions
specified
in
this
section
the
following
synthetic
substances
may
be
used
in
organic
livestock
production:
(
a)
As
disinfectants,
sanitizer,
and
medical
treatments
as
applicable
(
1)
Alcohols
(
i)
Ethanol
disinfectant
and
sanitizer
only,
prohibited
as
a
feed
additive
(
ii)
Isopropanol
disinfectant
only
(
2)
Aspirin
approved
for
health
care
use
to
reduce
inflammation
(
3)
Chlorine
materials
disinfecting
and
sanitizing
facilities
and
equipment.
Residual
chlorine
levels
in
the
water
shall
not
exceed
the
maximum
residual
disinfectant
limit
under
the
Safe
Drinking
Water
Act
(
i)
Calcium
hypochlorite
(
ii)
Chlorine
dioxide
(
iii)
Sodium
hypochlorite
432
(
4)
Chlorohexidine
Allowed
for
surgical
procedures
conducted
by
a
veterinarian.
Allowed
for
use
as
a
teat
dip
when
alternative
germicidal
agents
and/
or
physical
barriers
have
lost
their
effectiveness
(
5)
Electrolytes
without
antibiotics
(
6)
Glucose
(
7)
Glycerin
Allowed
as
a
livestock
teat
dip,
must
be
produced
through
the
hydrolysis
of
fats
or
oils
(
8)
Iodine
(
9)
Hydrogen
peroxide
(
10)
Magnesium
sulfate
(
11)
Oxytocin
use
in
postparturition
therapeutic
applications
(
12)
Parasiticides
Ivermectin
prohibited
in
slaughter
stock,
allowed
in
emergency
treatment
for
dairy
and
breeder
stock
when
organic
system
plan
approved
preventive
management
does
not
prevent
infestation.
Milk
or
milk
products
from
a
treated
animal
cannot
be
labeled
as
provided
for
in
subpart
D
of
this
part
for
90
days
following
treatment.
In
breeder
stock,
treatment
cannot
occur
during
the
last
third
of
gestation
if
the
progeny
will
be
sold
as
organic
and
must
not
be
used
during
the
lactation
period
of
breeding
stock.
(
13)
Phosphoric
acid
allowed
as
an
equipment
cleaner,
Provided,
That,
no
direct
contact
with
organically
managed
livestock
or
land
occurs.
(
14)
Biologics
Vaccines
433
(
b)
As
topical
treatment,
external
parasiticide
or
local
anesthetic
as
applicable.
(
1)
Iodine
(
2)
Lidocaine
as
a
local
anesthetic.
Use
requires
a
withdrawal
period
of
90
days
after
administering
to
livestock
intended
for
slaughter
and
7
days
after
administering
to
dairy
animals
(
3)
Lime,
hydrated
(
bordeaux
mixes),
not
permitted
to
cauterize
physical
alterations
or
deodorize
animal
wastes.
(
4)
Mineral
oil
for
topical
use
and
as
a
lubricant
(
5)
Procaine
as
a
local
anesthetic,
use
requires
a
withdrawal
period
of
90
days
after
administering
to
livestock
intended
for
slaughter
and
7
days
after
administering
to
dairy
animals
(
6)
Copper
sulfate
(
c)
As
feed
supplements
Milk
replacers
without
antibiotics,
as
emergency
use
only,
no
nonmilk
products
or
products
from
BST
treated
animals
(
d)
As
feed
additives
(
1)
Trace
minerals,
used
for
enrichment
or
fortification
when
FDA
approved,
including:
(
i)
Copper
sulfate
(
ii)
Magnesium
sulfate
(
2)
Vitamins,
used
for
enrichment
or
fortification
when
FDA
approved
(
e)
As
synthetic
inert
ingredients
as
classified
by
the
Environmental
Protection
Agency
(
EPA),
for
use
with
nonsynthetic
substances
or
a
synthetic
substances
listed
in
this
section
and
used
as
an
active
pesticide
ingredient
in
accordance
with
any
limitations
on
the
use
of
such
substances.
434
EPA
List
4
Inerts
of
Minimal
Concern.
(
f)(
z)
[
Reserved]
§
205.604
Nonsynthetic
substances
prohibited
for
use
in
organic
livestock
production.
The
following
nonsynthetic
substances
may
not
be
used
in
organic
livestock
production:
(
a)
Strychnine
(
b)(
z)
[
Reserved]
§
205.605
Nonagricultural
(
nonorganic)
substances
allowed
as
ingredients
in
or
on
processed
products
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))."
The
following
nonagricultural
substances
may
be
used
as
ingredients
in
or
on
processed
products
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
only
in
accordance
with
any
restrictions
specified
in
this
section.
(
a)
Nonsynthetics
allowed:
(
1)
Acids
(
i)
Alginic
(
ii)
Citric
produced
by
microbial
fermentation
of
carbohydrate
substances
(
iii)
Lactic
(
2)
Bentonite
(
3)
Calcium
carbonate
(
4)
Calcium
chloride
(
5)
Colors,
nonsynthetic
sources
only
(
6)
Dairy
cultures
435
(
7)
Diatomaceous
earth
food
filtering
aid
only
(
8)
Enzymes
must
be
derived
from
edible,
nontoxic
plants,
nonpathogenic
fungi,
or
nonpathogenic
bacteria
(
9)
Flavors,
nonsynthetic
sources
only
and
must
not
be
produced
using
synthetic
solvents
and
carrier
systems
or
any
artificial
preservative.
(
10)
Kaolin
(
11)
Magnesium
sulfate,
nonsynthetic
sources
only
(
12)
Nitrogen
oil
free
grades
(
13)
Oxygen
oil
free
grades
(
14)
Perlite
for
use
only
as
a
filter
aid
in
food
processing
(
15)
Potassium
chloride
(
16)
Potassium
iodide
(
17)
Sodium
bicarbonate
(
18)
Sodium
carbonate
(
19)
Waxes
nonsynthetic
(
i)
Carnauba
wax
(
ii)
Wood
resin
(
20)
Yeast
nonsynthetic,
growth
on
petrochemical
substrate
and
sulfite
waste
liquor
is
prohibited
(
i)
Autolysate
(
ii)
Bakers
(
iii)
Brewers
436
(
iv)
Nutritional
(
v)
Smoked
nonsynthetic
smoke
flavoring
process
must
be
documented.
(
b)
Synthetics
allowed:
(
1)
Alginates
(
2)
Ammonium
bicarbonate
for
use
only
as
a
leavening
agent
(
3)
Ammonium
carbonate
for
use
only
as
a
leavening
agent
(
4)
Ascorbic
acid
(
5)
Calcium
citrate
(
6)
Calcium
hydroxide
(
7)
Calcium
phosphates
(
monobasic,
dibasic,
and
tribasic)
(
8)
Carbon
dioxide
(
9)
Chlorine
materials
disinfecting
and
sanitizing
food
contact
surfaces,
Except,
That,
residual
chlorine
levels
in
the
water
shall
not
exceed
the
maximum
residual
disinfectant
limit
under
the
Safe
Drinking
Water
Act.
(
i)
Calcium
hypochlorite
(
ii)
Chlorine
dioxide
(
iii)
Sodium
hypochlorite
(
10)
Ethylene
allowed
for
postharvest
ripening
of
tropical
fruit
(
11)
Ferrous
sulfate
for
iron
enrichment
or
fortification
of
foods
when
required
by
regulation
or
recommended
(
independent
organization)
(
12)
Glycerides
(
mono
and
di)
for
use
only
in
drum
drying
of
food
(
13)
Glycerin
produced
by
hydrolysis
of
fats
and
oils
437
(
14)
Hydrogen
peroxide
(
15)
Lecithin
bleached
(
16)
Magnesium
carbonate
for
use
only
in
agricultural
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
prohibited
in
agricultural
products
labeled
"
organic"
(
17)
Magnesium
chloride
derived
from
sea
water
(
18)
Magnesium
stearate
for
use
only
in
agricultural
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
prohibited
in
agricultural
products
labeled
"
organic"
(
19)
Nutrient
vitamins
and
minerals,
in
accordance
with
21
CFR
104.20,
Nutritional
Quality
Guidelines
For
Foods
(
20)
Ozone
(
21)
Pectin
(
low
methoxy)
(
22)
Phosphoric
acid
cleaning
of
food
contact
surfaces
and
equipment
only
(
23)
Potassium
acid
tartrate
(
24)
Potassium
tartrate
made
from
tartaric
acid
(
25)
Potassium
carbonate
(
26)
Potassium
citrate
(
27)
Potassium
hydroxide
prohibited
for
use
in
lye
peeling
of
fruits
and
vegetables
(
28)
Potassium
iodide
for
use
only
in
agricultural
products
labeled
"
made
with
organic
(
specified
ingredients
or
food
group(
s)),"
prohibited
in
agricultural
products
labeled
"
organic"
(
29)
Potassium
phosphate
for
use
only
in
agricultural
products
labeled
"
made
with
438
organic
(
specific
ingredients
or
food
group(
s)),"
prohibited
in
agricultural
products
labeled
"
organic"
(
30)
Silicon
dioxide
(
31)
Sodium
citrate
(
32)
Sodium
hydroxide
prohibited
for
use
in
lye
peeling
of
fruits
and
vegetables
(
33)
Sodium
phosphates
for
use
only
in
dairy
foods
(
34)
Sulfur
dioxide
for
use
only
in
wine
labeled
"
made
with
organic
grapes,"
Provided,
That,
total
sulfite
concentration
does
not
exceed
100
ppm.
(
35)
Tocopherols
derived
from
vegetable
oil
when
rosemary
extracts
are
not
a
suitable
alternative
(
36)
Xanthan
gum
(
c)(
z)
[
Reserved]
§
205.606
Nonorganically
produced
agricultural
products
allowed
as
ingredients
in
or
on
processed
products
labeled
as
organic
or
made
with
organic
ingredients.
The
following
nonorganically
produced
agricultural
products
may
be
used
as
ingredients
in
or
on
processed
products
labeled
as
"
organic"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
only
in
accordance
with
any
restrictions
specified
in
this
section.
Any
nonorganically
produced
agricultural
product
may
be
used
in
accordance
with
the
restrictions
specified
in
this
section
and
when
the
product
is
not
commercially
available
in
organic
form.
(
a)
Cornstarch
(
native)
(
b)
Gums
water
extracted
only
(
arabic,
guar,
locust
bean,
carob
bean)
439
(
c)
Kelp
for
use
only
as
a
thickener
and
dietary
supplement
(
d)
Lecithin
unbleached
(
e)
Pectin
(
high
methoxy)
§
205.607
Amending
the
National
List.
(
a)
Any
person
may
petition
the
National
Organic
Standard
Board
for
the
purpose
of
having
a
substance
evaluated
by
the
Board
for
recommendation
to
the
Secretary
for
inclusion
on
or
deletion
from
the
National
List
in
accordance
with
the
Act.
(
b)
A
person
petitioning
for
amendment
of
the
National
List
should
request
a
copy
of
the
petition
procedures
from
the
USDA
at
the
address
in
§
205.607(
c).
(
c)
A
petition
to
amend
the
National
List
must
be
submitted
to:
Program
Manager,
USDA/
AMS/
TMP/
NOP,
Room
2945,
South
Building,
P.
O.
Box
96456,
Washington,
DC
20090
6456.
State
Organic
Programs
§
205.620
Requirements
of
State
organic
programs.
(
a)
A
State
may
establish
a
State
organic
program
for
production
and
handling
operations
within
the
State
which
produce
and
handle
organic
agricultural
products.
(
b)
A
State
organic
program
must
meet
the
requirements
for
organic
programs
specified
in
the
Act.
(
c)
A
State
organic
program
may
contain
more
restrictive
requirements
because
of
environmental
conditions
or
the
necessity
of
specific
production
or
handling
practices
particular
to
the
State
or
region
of
the
United
States.
(
d)
A
State
organic
program
must
assume
enforcement
obligations
in
the
State
for
the
440
requirements
of
this
part
and
any
more
restrictive
requirements
approved
by
the
Secretary.
(
e)
A
State
organic
program
and
any
amendments
to
such
program
must
be
approved
by
the
Secretary
prior
to
being
implemented
by
the
State.
§
205.621
Submission
and
determination
of
proposed
State
organic
programs
and
amendments
to
approved
State
organic
programs.
(
a)
A
State
organic
program's
governing
State
official
must
submit
to
the
Secretary
a
proposed
State
organic
program
and
any
proposed
amendments
to
such
approved
program.
(
1)
Such
submission
must
contain
supporting
materials
that
include
statutory
authorities,
program
description,
documentation
of
the
environmental
conditions
or
specific
production
and
handling
practices
particular
to
the
State
which
necessitate
more
restrictive
requirements
than
the
requirements
of
this
part,
and
other
information
as
may
be
required
by
the
Secretary.
(
2)
Submission
of
a
request
for
amendment
of
an
approved
State
organic
program
must
contain
supporting
materials
that
include
an
explanation
and
documentation
of
the
environmental
conditions
or
specific
production
and
handling
practices
particular
to
the
State
or
region,
which
necessitates
the
proposed
amendment.
Supporting
material
also
must
explain
how
the
proposed
amendment
furthers
and
is
consistent
with
the
purposes
of
the
Act
and
the
regulations
of
this
part.
(
b)
Within
6
months
of
receipt
of
submission,
the
Secretary
will:
Notify
the
State
organic
program's
governing
State
official
of
approval
or
disapproval
of
the
proposed
program
or
amendment
of
an
approved
program
and,
if
disapproved,
the
reasons
for
the
disapproval.
(
c)
After
receipt
of
a
notice
of
disapproval,
the
State
organic
program's
governing
State
official
may
submit
a
revised
State
organic
program
or
amendment
of
such
a
program
at
any
time.
§
205.622
Review
of
approved
State
organic
programs.
441
The
Secretary
will
review
a
State
organic
program
not
less
than
once
during
each
5
year
period
following
the
date
of
the
initial
program
approval.
The
Secretary
will
notify
the
State
organic
program's
governing
State
official
of
approval
or
disapproval
of
the
program
within
6
months
after
initiation
of
the
review.
Fees
§
205.640
Fees
and
other
charges
for
accreditation.
Fees
and
other
charges
equal
as
nearly
as
may
be
to
the
cost
of
the
accreditation
services
rendered
under
the
regulations,
including
initial
accreditation,
review
of
annual
reports,
and
renewal
of
accreditation,
shall
be
assessed
and
collected
from
applicants
for
initial
accreditation
and
accredited
certifying
agents
submitting
annual
reports
or
seeking
renewal
of
accreditation
in
accordance
with
the
following
provisions:
(
a)
Fees
for
Service.
(
1)
Except
as
otherwise
provided
in
this
section,
fees
for
service
shall
be
based
on
the
time
required
to
render
the
service
provided
calculated
to
the
nearest
15
minute
period,
including
the
review
of
applications
and
accompanying
documents
and
information,
evaluator
travel,
the
conduct
of
on
site
evaluations,
review
of
annual
reports
and
updated
documents
and
information,
and
the
time
required
to
prepare
reports
and
any
other
documents
in
connection
with
the
performance
of
service.
The
hourly
rate
shall
be
the
same
as
that
charged
by
the
Agricultural
Marketing
Service,
through
its
Quality
Systems
Certification
Program,
to
certification
bodies
requesting
conformity
assessment
to
the
International
Organization
for
Standardization
"
General
Requirements
for
Bodies
Operating
Product
Certification
Systems"
(
ISO
Guide
65).
(
2)
Applicants
for
initial
accreditation
and
accredited
certifying
agents
submitting
annual
442
reports
or
seeking
renewal
of
accreditation
during
the
first
18
months
following
the
effective
date
of
subpart
F
of
this
part
shall
receive
service
without
incurring
an
hourly
charge
for
service.
(
3)
Applicants
for
initial
accreditation
and
renewal
of
accreditation
must
pay
at
the
time
of
application,
effective
18
months
following
the
effective
date
of
subpart
F
of
this
part,
a
nonrefundable
fee
of
$
500.00
which
shall
be
applied
to
the
applicant's
fees
for
service
account.
(
b)
Travel
charges.
When
service
is
requested
at
a
place
so
distant
from
the
evaluator's
headquarters
that
a
total
of
one
half
hour
or
more
is
required
for
the
evaluator(
s)
to
travel
to
such
place
and
back
to
the
headquarters
or
at
a
place
of
prior
assignment
on
circuitous
routing
requiring
a
total
of
one
half
hour
or
more
to
travel
to
the
next
place
of
assignment
on
the
circuitous
routing,
the
charge
for
such
service
shall
include
a
mileage
charge
administratively
determined
by
the
U.
S.
Department
of
Agriculture
and
travel
tolls,
if
applicable,
or
such
travel
prorated
among
all
the
applicants
and
certifying
agents
furnished
the
service
involved
on
an
equitable
basis
or,
when
the
travel
is
made
by
public
transportation
(
including
hired
vehicles),
a
fee
equal
to
the
actual
cost
thereof.
Travel
charges
shall
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F
of
this
part.
The
applicant
or
certifying
agent
will
not
be
charged
a
new
mileage
rate
without
notification
before
the
service
is
rendered.
(
c)
Per
diem
charges.
When
service
is
requested
at
a
place
away
from
the
evaluator's
headquarters,
the
fee
for
such
service
shall
include
a
per
diem
charge
if
the
employee(
s)
performing
the
service
is
paid
per
diem
in
accordance
with
existing
travel
regulations.
Per
diem
charges
to
applicants
and
certifying
agents
will
cover
the
same
period
of
time
for
which
the
evaluator(
s)
receives
per
diem
reimbursement.
The
per
diem
rate
will
be
administratively
443
determined
by
the
U.
S.
Department
of
Agriculture.
Per
diem
charges
shall
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F
of
this
part.
The
applicant
or
certifying
agent
will
not
be
charged
a
new
per
diem
rate
without
notification
before
the
service
is
rendered.
(
d)
Other
costs.
When
costs,
other
than
costs
specified
in
paragraphs
(
a),
(
b),
and
(
c)
of
this
section,
are
associated
with
providing
the
services,
the
applicant
or
certifying
agent
will
be
charged
for
these
costs.
Such
costs
include
but
are
not
limited
to
equipment
rental,
photocopying,
delivery,
facsimile,
telephone,
or
translation
charges
incurred
in
association
with
accreditation
services.
The
amount
of
the
costs
charged
will
be
determined
administratively
by
the
U.
S.
Department
of
Agriculture.
Such
costs
shall
become
effective
for
all
applicants
for
initial
accreditation
and
accredited
certifying
agents
on
the
effective
date
of
subpart
F
of
this
part.
§
205.641
Payment
of
fees
and
other
charges.
(
a)
Applicants
for
initial
accreditation
and
renewal
of
accreditation
must
remit
the
nonrefundable
fee,
pursuant
to
§
205.640(
a)(
3),
along
with
their
application.
Remittance
must
be
made
payable
to
the
Agricultural
Marketing
Service,
USDA,
and
mailed
to:
Program
Manager,
USDA
AMS
TMP
NOP,
Room
2945
South
Building,
P.
O.
Box
96456,
Washington,
DC
20090
6456
or
such
other
address
as
required
by
the
Program
Manager.
(
b)
Payments
for
fees
and
other
charges
not
covered
under
paragraph
(
a)
of
this
section
must
be:
(
1)
Received
by
the
due
date
shown
on
the
bill
for
collection;
(
2)
Made
payable
to
the
Agricultural
Marketing
Service,
USDA;
and
(
3)
Mailed
to
the
address
provided
on
the
bill
for
collection.
444
(
c)
The
Administrator
shall
assess
interest,
penalties,
and
administrative
costs
on
debts
not
paid
by
the
due
date
shown
on
a
bill
for
collection
and
collect
delinquent
debts
or
refer
such
debts
to
the
Department
of
Justice
for
litigation.
§
205.642
Fees
and
other
charges
for
certification.
Fees
charged
by
a
certifying
agent
must
be
reasonable,
and
a
certifying
agent
shall
charge
applicants
for
certification
and
certified
production
and
handling
operations
only
those
fees
and
charges
that
it
has
filed
with
the
Administrator.
The
certifying
agent
shall
provide
each
applicant
with
an
estimate
of
the
total
cost
of
certification
and
an
estimate
of
the
annual
cost
of
updating
the
certification.
The
certifying
agent
may
require
applicants
for
certification
to
pay
at
the
time
of
application
a
nonrefundable
fee
which
shall
be
applied
to
the
applicant's
fees
for
service
account.
The
certifying
agent
may
set
the
nonrefundable
portion
of
certification
fees;
however,
the
nonrefundable
portion
of
certification
fees
must
be
explained
in
the
fee
schedule
submitted
to
the
Administrator.
The
fee
schedule
must
explain
what
fee
amounts
are
nonrefundable
and
at
what
stage
during
the
certification
process
fees
become
nonrefundable.
The
certifying
agent
shall
provide
all
persons
inquiring
about
the
application
process
with
a
copy
of
its
fee
schedule.
§
§
205.643
205.659
[
Reserved]
Compliance
§
205.660
General.
(
a)
The
National
Organic
Program's
Program
Manager,
on
behalf
of
the
Secretary,
may
inspect
and
review
certified
production
and
handling
operations
and
accredited
certifying
agents
for
compliance
with
the
Act
or
regulations
in
this
part.
(
b)
The
Program
Manager
may
initiate
suspension
or
revocation
proceedings
against
a
445
certified
operation:
(
1)
When
the
Program
Manager
has
reason
to
believe
that
a
certified
operation
has
violated
or
is
not
in
compliance
with
the
Act
or
regulations
in
this
part;
or
(
2)
When
a
certifying
agent
or
a
State
organic
program's
governing
State
official
fails
to
take
appropriate
action
to
enforce
the
Act
or
regulations
in
this
part.
(
c)
The
Program
Manager
may
initiate
suspension
or
revocation
of
a
certifying
agent's
accreditation
if
the
certifying
agent
fails
to
meet,
conduct,
or
maintain
accreditation
requirements
pursuant
to
the
Act
or
this
part.
(
d)
Each
notification
of
noncompliance,
rejection
of
mediation,
noncompliance
resolution,
proposed
suspension
or
revocation,
and
suspension
or
revocation
issued
pursuant
to
§
205.662,
§
205.663,
and
§
205.665
and
each
response
to
such
notification
must
be
sent
to
the
recipient's
place
of
business
via
a
delivery
service
which
provides
dated
return
receipts.
§
205.661
Investigation
of
certified
operations.
(
a)
A
certifying
agent
may
investigate
complaints
of
noncompliance
with
the
Act
or
regulations
of
this
part
concerning
production
and
handling
operations
certified
as
organic
by
the
certifying
agent.
A
certifying
agent
must
notify
the
Program
Manager
of
all
compliance
proceedings
and
actions
taken
pursuant
to
this
part.
(
b)
A
State
organic
program's
governing
State
official
may
investigate
complaints
of
noncompliance
with
the
Act
or
regulations
in
this
part
concerning
organic
production
or
handling
operations
operating
in
the
State.
§
205.662
Noncompliance
procedure
for
certified
operations.
(
a)
Notification.
When
an
inspection,
review,
or
investigation
of
a
certified
operation
by
446
a
certifying
agent
or
a
State
organic
program's
governing
State
official
reveals
any
noncompliance
with
the
Act
or
regulations
in
this
part,
a
written
notification
of
noncompliance
shall
be
sent
to
the
certified
operation.
Such
notification
shall
provide:
(
1)
A
description
of
each
noncompliance;
(
2)
The
facts
upon
which
the
notification
of
noncompliance
is
based;
and
(
3)
The
date
by
which
the
certified
operation
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
such
correction
when
correction
is
possible.
(
b)
Resolution.
When
a
certified
operation
demonstrates
that
each
noncompliance
has
been
resolved,
the
certifying
agent
or
the
State
organic
program's
governing
State
official,
as
applicable,
shall
send
the
certified
operation
a
written
notification
of
noncompliance
resolution.
(
c)
Proposed
suspension
or
revocation.
When
rebuttal
is
unsuccessful
or
correction
of
the
noncompliance
is
not
completed
within
the
prescribed
time
period,
the
certifying
agent
or
State
organic
program's
governing
State
official
shall
send
the
certified
operation
a
written
notification
of
proposed
suspension
or
revocation
of
certification
of
the
entire
operation
or
a
portion
of
the
operation,
as
applicable
to
the
noncompliance.
When
correction
of
a
noncompliance
is
not
possible,
the
notification
of
noncompliance
and
the
proposed
suspension
or
revocation
of
certification
may
be
combined
in
one
notification.
The
notification
of
proposed
suspension
or
revocation
of
certification
shall
state:
(
1)
The
reasons
for
the
proposed
suspension
or
revocation;
(
2)
The
proposed
effective
date
of
such
suspension
or
revocation;
(
3)
The
impact
of
a
suspension
or
revocation
on
future
eligibility
for
certification;
and
(
4)
The
right
to
request
mediation
pursuant
to
§
205.663
or
to
file
an
appeal
pursuant
to
447
§
205.681.
(
d)
Willful
violations.
Notwithstanding
paragraph
(
a)
of
this
section,
if
a
certifying
agent
or
State
organic
program's
governing
State
official
has
reason
to
believe
that
a
certified
operation
has
willfully
violated
the
Act
or
regulations
in
this
part,
the
certifying
agent
or
State
organic
program's
governing
State
official
shall
send
the
certified
operation
a
notification
of
proposed
suspension
or
revocation
of
certification
of
the
entire
operation
or
a
portion
of
the
operation,
as
applicable
to
the
noncompliance.
(
e)
Suspension
or
revocation.
(
1)
If
the
certified
operation
fails
to
correct
the
noncompliance,
to
resolve
the
issue
through
rebuttal
or
mediation,
or
to
file
an
appeal
of
the
proposed
suspension
or
revocation
of
certification,
the
certifying
agent
or
State
organic
program's
governing
State
official
shall
send
the
certified
operation
a
written
notification
of
suspension
or
revocation.
(
2)
A
certifying
agent
or
State
organic
program's
governing
State
official
must
not
send
a
notification
of
suspension
or
revocation
to
a
certified
operation
that
has
requested
mediation
pursuant
to
§
205.663
or
filed
an
appeal
pursuant
to
§
205.681,
while
final
resolution
of
either
is
pending.
(
f)
Eligibility.
(
1)
A
certified
operation
whose
certification
has
been
suspended
under
this
section
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
certification.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
(
2)
A
certified
operation
or
a
person
responsibly
connected
with
an
operation
whose
448
certification
has
been
revoked
will
be
ineligible
to
receive
certification
for
a
period
of
5
years
following
the
date
of
such
revocation,
Except,
That,
the
Secretary
may,
when
in
the
best
interest
of
the
certification
program,
reduce
or
eliminate
the
period
of
ineligibility.
(
g)
Violations
of
Act.
In
addition
to
suspension
or
revocation,
any
certified
operation
that:
(
1)
Knowingly
sells
or
labels
a
product
as
organic,
except
in
accordance
with
the
Act,
shall
be
subject
to
a
civil
penalty
of
not
more
than
$
10,000
per
violation.
(
2)
Makes
a
false
statement
under
the
Act
to
the
Secretary,
a
State
organic
program's
governing
State
official,
or
a
certifying
agent
shall
be
subject
to
the
provisions
of
section
1001
of
title
18,
United
States
Code.
§
205.663
Mediation.
Any
dispute
with
respect
to
denial
of
certification
or
proposed
suspension
or
revocation
of
certification
under
this
part
may
be
mediated
at
the
request
of
the
applicant
for
certification
or
certified
operation
and
with
acceptance
by
the
certifying
agent.
Mediation
shall
be
requested
in
writing
to
the
applicable
certifying
agent.
If
the
certifying
agent
rejects
the
request
for
mediation,
the
certifying
agent
shall
provide
written
notification
to
the
applicant
for
certification
or
certified
operation.
The
written
notification
shall
advise
the
applicant
for
certification
or
certified
operation
of
the
right
to
request
an
appeal,
pursuant
to
§
205.681,
within
30
days
of
the
date
of
the
written
notification
of
rejection
of
the
request
for
mediation.
If
mediation
is
accepted
by
the
certifying
agent,
such
mediation
shall
be
conducted
by
a
qualified
mediator
mutually
agreed
upon
by
the
parties
to
the
mediation.
If
a
State
organic
program
is
in
effect,
the
mediation
procedures
established
in
the
State
organic
program,
as
approved
by
the
Secretary,
will
be
followed.
The
449
parties
to
the
mediation
shall
have
no
more
than
30
days
to
reach
an
agreement
following
a
mediation
session.
If
mediation
is
unsuccessful,
the
applicant
for
certification
or
certified
operation
shall
have
30
days
from
termination
of
mediation
to
appeal
the
certifying
agent's
decision
pursuant
to
§
205.681.
Any
agreement
reached
during
or
as
a
result
of
the
mediation
process
shall
be
in
compliance
with
the
Act
and
these
regulations.
The
Secretary
may
review
any
mediated
agreement
for
conformity
to
the
Act
and
these
regulations
and
may
reject
any
agreement
or
provision
not
in
conformance
with
the
Act
or
these
regulations.
§
205.664
[
Reserved]
§
205.665
Noncompliance
procedure
for
certifying
agents.
(
a)
Notification.
When
an
inspection,
review,
or
investigation
of
an
accredited
certifying
agent
by
the
Program
Manager
reveals
any
noncompliance
with
the
Act
or
regulations
in
this
part,
a
written
notification
of
noncompliance
shall
be
sent
to
the
certifying
agent.
Such
notification
shall
provide:
(
1)
A
description
of
each
noncompliance;
(
2)
The
facts
upon
which
the
notification
of
noncompliance
is
based;
and
(
3)
The
date
by
which
the
certifying
agent
must
rebut
or
correct
each
noncompliance
and
submit
supporting
documentation
of
each
correction
when
correction
is
possible.
(
b)
Resolution.
When
the
certifying
agent
demonstrates
that
each
noncompliance
has
been
resolved,
the
Program
Manager
shall
send
the
certifying
agent
a
written
notification
of
noncompliance
resolution.
(
c)
Proposed
suspension
or
revocation.
When
rebuttal
is
unsuccessful
or
correction
of
the
noncompliance
is
not
completed
within
the
prescribed
time
period,
the
Program
Manager
shall
450
send
a
written
notification
of
proposed
suspension
or
revocation
of
accreditation
to
the
certifying
agent.
The
notification
of
proposed
suspension
or
revocation
shall
state
whether
the
certifying
agent's
accreditation
or
specified
areas
of
accreditation
are
to
be
suspended
or
revoked.
When
correction
of
a
noncompliance
is
not
possible,
the
notification
of
noncompliance
and
the
proposed
suspension
or
revocation
may
be
combined
in
one
notification.
The
notification
of
proposed
suspension
or
revocation
of
accreditation
shall
state:
(
1)
The
reasons
for
the
proposed
suspension
or
revocation;
(
2)
The
proposed
effective
date
of
the
suspension
or
revocation;
(
3)
The
impact
of
a
suspension
or
revocation
on
future
eligibility
for
accreditation;
and
(
4)
The
right
to
file
an
appeal
pursuant
to
§
205.681.
(
d)
Willful
violations.
Notwithstanding
paragraph
(
a)
of
this
section,
if
the
Program
Manager
has
reason
to
believe
that
a
certifying
agent
has
willfully
violated
the
Act
or
regulations
in
this
part,
the
Program
Manager
shall
send
a
written
notification
of
proposed
suspension
or
revocation
of
accreditation
to
the
certifying
agent.
(
e)
Suspension
or
revocation.
When
the
accredited
certifying
agent
fails
to
file
an
appeal
of
the
proposed
suspension
or
revocation
of
accreditation,
the
Program
Manager
shall
send
a
written
notice
of
suspension
or
revocation
of
accreditation
to
the
certifying
agent.
(
f)
Cessation
of
certification
activities.
A
certifying
agent
whose
accreditation
is
suspended
or
revoked
must:
(
1)
Cease
all
certification
activities
in
each
area
of
accreditation
and
in
each
State
for
which
its
accreditation
is
suspended
or
revoked.
(
2)
Transfer
to
the
Secretary
and
make
available
to
any
applicable
State
organic
451
program's
governing
State
official
all
records
concerning
its
certification
activities
that
were
suspended
or
revoked.
(
g)
Eligibility.
(
1)
A
certifying
agent
whose
accreditation
is
suspended
by
the
Secretary
under
this
section
may
at
any
time,
unless
otherwise
stated
in
the
notification
of
suspension,
submit
a
request
to
the
Secretary
for
reinstatement
of
its
accreditation.
The
request
must
be
accompanied
by
evidence
demonstrating
correction
of
each
noncompliance
and
corrective
actions
taken
to
comply
with
and
remain
in
compliance
with
the
Act
and
the
regulations
in
this
part.
(
2)
A
certifying
agent
whose
accreditation
is
revoked
by
the
Secretary
shall
be
ineligible
to
be
accredited
as
a
certifying
agent
under
the
Act
and
the
regulations
in
this
part
for
a
period
of
not
less
than
3
years
following
the
date
of
such
revocation.
§
§
205.666
and
205.667
[
Reserved]
§
205.668
Noncompliance
procedures
under
State
organic
programs.
(
a)
A
State
organic
program's
governing
State
official
must
promptly
notify
the
Secretary
of
commencement
of
any
noncompliance
proceeding
against
a
certified
operation
and
forward
to
the
Secretary
a
copy
of
each
notice
issued.
(
b)
A
noncompliance
proceeding,
brought
by
a
State
organic
program's
governing
State
official
against
a
certified
operation,
shall
be
appealable
pursuant
to
the
appeal
procedures
of
the
State
organic
program.
There
shall
be
no
subsequent
rights
of
appeal
to
the
Secretary.
Final
decisions
of
a
State
may
be
appealed
to
the
United
States
District
Court
for
the
district
in
which
such
certified
operation
is
located.
(
c)
A
State
organic
program's
governing
State
official
may
review
and
investigate
complaints
of
noncompliance
with
the
Act
or
regulations
concerning
accreditation
of
certifying
452
agents
operating
in
the
State.
When
such
review
or
investigation
reveals
any
noncompliance,
the
State
organic
program's
governing
State
official
shall
send
a
written
report
of
noncompliance
to
the
Program
Manager.
The
report
shall
provide
a
description
of
each
noncompliance
and
the
facts
upon
which
the
noncompliance
is
based.
§
205.669
[
Reserved]
Inspection
and
Testing,
Reporting,
and
Exclusion
from
Sale
§
205.670
Inspection
and
testing
of
agricultural
product
to
be
sold
or
labeled
"
organic."
(
a)
All
agricultural
products
that
are
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
must
be
made
accessible
by
certified
organic
production
or
handling
operations
for
examination
by
the
Administrator,
the
applicable
State
organic
program's
governing
State
official,
or
the
certifying
agent.
(
b)
The
Administrator,
applicable
State
organic
program's
governing
State
official,
or
the
certifying
agent
may
require
preharvest
or
postharvest
testing
of
any
agricultural
input
used
or
agricultural
product
to
be
sold,
labeled,
or
represented
as
"
100
percent
organic,"
"
organic,"
or
"
made
with
organic
(
specified
ingredients
or
food
group(
s))"
when
there
is
reason
to
believe
that
the
agricultural
input
or
product
has
come
into
contact
with
a
prohibited
substance
or
has
been
produced
using
excluded
methods.
Such
tests
must
be
conducted
by
the
applicable
State
organic
program's
governing
State
official
or
the
certifying
agent
at
the
official's
or
certifying
agent's
own
expense.
(
c)
The
preharvest
or
postharvest
tissue
test
sample
collection
pursuant
to
paragraph
(
b)
of
this
section
must
be
performed
by
an
inspector
representing
the
Administrator,
applicable
State
453
organic
program's
governing
State
official,
or
certifying
agent.
Sample
integrity
must
be
maintained
throughout
the
chain
of
custody,
and
residue
testing
must
be
performed
in
an
accredited
laboratory.
Chemical
analysis
must
be
made
in
accordance
with
the
methods
described
in
the
most
current
edition
of
the
Official
Methods
of
Analysis
of
the
AOAC
International
or
other
current
applicable
validated
methodology
determining
the
presence
of
contaminants
in
agricultural
products.
(
d)
Results
of
all
analyses
and
tests
performed
under
this
section:
(
1)
Must
be
promptly
provided
to
the
Administrator;
Except,
That,
where
a
State
organic
program
exists,
all
test
results
and
analyses
shall
be
provided
to
the
State
organic
program's
governing
State
official
by
the
applicable
certifying
party
that
requested
testing;
and
(
2)
Will
be
available
for
public
access,
unless
the
testing
is
part
of
an
ongoing
compliance
investigation.
(
e)
If
test
results
indicate
a
specific
agricultural
product
contains
pesticide
residues
or
environmental
contaminants
that
exceed
the
Food
and
Drug
Administration's
or
the
Environmental
Protection
Agency's
regulatory
tolerences,
the
certifying
agent
must
promptly
report
such
data
to
the
Federal
health
agency
whose
regulatory
tolerance
or
action
level
has
been
exceeded.
§
205.671
Exclusion
from
organic
sale.
When
residue
testing
detects
prohibited
substances
at
levels
that
are
greater
than
5
percent
of
the
Environmental
Protection
Agency's
tolerance
for
the
specific
residue
detected
or
unavoidable
residual
environmental
contamination,
the
agricultural
product
must
not
be
sold,
labeled,
or
represented
as
organically
produced.
The
Administrator,
the
applicable
State
organic
454
program's
governing
State
official,
or
the
certifying
agent
may
conduct
an
investigation
of
the
certified
operation
to
determine
the
cause
of
the
prohibited
substance.
§
205.672
Emergency
pest
or
disease
treatment.
When
a
prohibited
substance
is
applied
to
a
certified
operation
due
to
a
Federal
or
State
emergency
pest
or
disease
treatment
program
and
the
certified
operation
otherwise
meets
the
requirements
of
this
part,
the
certification
status
of
the
operation
shall
not
be
affected
as
a
result
of
the
application
of
the
prohibited
substance:
Provided,
That:
(
a)
Any
harvested
crop
or
plant
part
to
be
harvested
that
has
contact
with
a
prohibited
substance
applied
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
cannot
be
sold,
labeled,
or
represented
as
organically
produced;
and
(
b)
Any
livestock
that
are
treated
with
a
prohibited
substance
applied
as
the
result
of
a
Federal
or
State
emergency
pest
or
disease
treatment
program
or
product
derived
from
such
treated
livestock
cannot
be
sold,
labeled,
or
represented
as
organically
produced:
Except,
That:
(
1)
Milk
or
milk
products
may
be
sold,
labeled,
or
represented
as
organically
produced
beginning
12
months
following
the
last
date
that
the
dairy
animal
was
treated
with
the
prohibited
substance;
and
(
2)
The
offspring
of
gestating
mammalian
breeder
stock
treated
with
a
prohibited
substance
may
be
considered
organic:
Provided,
That,
the
breeder
stock
was
not
in
the
last
third
of
gestation
on
the
date
that
the
breeder
stock
was
treated
with
the
prohibited
substance.
§
§
205.673
205.679
[
Reserved]
Adverse
Action
Appeal
Process
§
205.680
General.
455
(
a)
Persons
subject
to
the
Act
who
believe
they
are
adversely
affected
by
a
noncompliance
decision
of
the
National
Organic
Program's
Program
Manager
may
appeal
such
decision
to
the
Administrator.
(
b)
Persons
subject
to
the
Act
who
believe
that
they
are
adversely
affected
by
a
noncompliance
decision
of
a
State
organic
program
may
appeal
such
decision
to
the
State
organic
program's
governing
State
official
who
will
initiate
handling
of
the
appeal
pursuant
to
appeal
procedures
approved
by
the
Secretary.
(
c)
Persons
subject
to
the
Act
who
believe
that
they
are
adversely
affected
by
a
noncompliance
decision
of
a
certifying
agent
may
appeal
such
decision
to
the
Administrator,
Except,
That,
when
the
person
is
subject
to
an
approved
State
organic
program,
the
appeal
must
be
made
to
the
State
organic
program.
(
d)
All
written
communications
between
parties
involved
in
appeal
proceedings
must
be
sent
to
the
recipient's
place
of
business
by
a
delivery
service
which
provides
dated
return
receipts.
(
e)
All
appeals
shall
be
reviewed,
heard,
and
decided
by
persons
not
involved
with
the
decision
being
appealed.
§
205.681
Appeals.
(
a)
Certification
appeals.
An
applicant
for
certification
may
appeal
a
certifying
agent's
notice
of
denial
of
certification,
and
a
certified
operation
may
appeal
a
certifying
agent's
notification
of
proposed
suspension
or
revocation
of
certification
to
the
Administrator,
Except,
That,
when
the
applicant
or
certified
operation
is
subject
to
an
approved
State
organic
program
the
appeal
must
be
made
to
the
State
organic
program
which
will
carry
out
the
appeal
pursuant
to
the
State
organic
program's
appeal
procedures
approved
by
the
Secretary.
456
(
1)
If
the
Administrator
or
State
organic
program
sustains
a
certification
applicant's
or
certified
operation's
appeal
of
a
certifying
agent's
decision,
the
applicant
will
be
issued
organic
certification,
or
a
certified
operation
will
continue
its
certification,
as
applicable
to
the
operation.
The
act
of
sustaining
the
appeal
shall
not
be
an
adverse
action
subject
to
appeal
by
the
affected
certifying
agent.
(
2)
If
the
Administrator
or
State
organic
program
denies
an
appeal,
a
formal
administrative
proceeding
will
be
initiated
to
deny,
suspend,
or
revoke
the
certification.
Such
proceeding
shall
be
conducted
pursuant
to
the
U.
S.
Department
of
Agriculture's
Uniform
Rules
of
Practice
or
the
State
organic
program's
rules
of
procedure.
(
b)
Accreditation
appeals.
An
applicant
for
accreditation
and
an
accredited
certifying
agent
may
appeal
the
Program
Manager's
denial
of
accreditation
or
proposed
suspension
or
revocation
of
accreditation
to
the
Administrator.
(
1)
If
the
Administrator
sustains
an
appeal,
an
applicant
will
be
issued
accreditation,
or
a
certifying
agent
will
continue
its
accreditation,
as
applicable
to
the
operation.
(
2)
If
the
Administrator
denies
an
appeal,
a
formal
administrative
proceeding
to
deny,
suspend,
or
revoke
the
accreditation
will
be
initiated.
Such
proceeding
shall
be
conducted
pursuant
to
the
U.
S.
Department
of
Agriculture's
Uniform
Rules
of
Practice,
7
CFR
Part
1,
Subpart
H.
(
c)
Filing
period.
An
appeal
of
a
noncompliance
decision
must
be
filed
within
the
time
period
provided
in
the
letter
of
notification
or
within
30
days
from
receipt
of
the
notification,
whichever
occurs
later.
The
appeal
will
be
considered
"
filed"
on
the
date
received
by
the
Administrator
or
by
the
State
organic
program.
A
decision
to
deny,
suspend,
or
revoke
461
certification
or
accreditation
will
become
final
and
nonappealable
unless
the
decision
is
appealed
in
a
timely
manner.
(
d)
Where
and
what
to
file.
(
1)
Appeals
to
the
Administrator
must
be
filed
in
writing
and
addressed
to
Administrator,
USDA
AMS,
Room
3071
S,
P.
O.
Box
96456,
Washington,
DC
20090
6456.
(
2)
Appeals
to
the
State
organic
program
must
be
filed
in
writing
to
the
address
and
person
identified
in
the
letter
of
notification.
(
3)
All
appeals
must
include
a
copy
of
the
adverse
decision
and
a
statement
of
the
appellant's
reasons
for
believing
that
the
decision
was
not
proper
or
made
in
accordance
with
applicable
program
regulations,
policies,
or
procedures.
§
§
205.682
205.689
[
Reserved]
Miscellaneous
§
205.690
OMB
control
number.
The
control
number
assigned
to
the
information
collection
requirements
in
this
part
by
the
Office
of
Management
and
Budget
pursuant
to
the
Paperwork
Reduction
Act
of
1995,
44
U.
S
C.
Chapter
35,
is
OMB
number
0581
0181.
§
§
205.691
205.699
[
Reserved]
PARTS
206
209
[
Reserved]
Dated:
December
13,
2000
Kathleen
A.
Merrigan
Administrator
Agricultural
Marketing
Service
Appendixes
to
Preamble
462
Appendix
A.
Regulatory
Impact
Assessment
for
Final
Rule
Implementing
the
Organic
Foods
Production
Act
of
1990
The
following
regulatory
assessment
is
provided
to
fulfill
the
requirements
of
Executive
Order
12866.
This
assessment
consists
of
a
statement
of
the
need
for
national
organic
standards,
a
description
of
the
baseline
for
the
analysis,
a
summary
of
the
provisions
of
the
final
U.
S.
Department
of
Agriculture
(
USDA)
rule
and
the
alternative
approaches
that
were
examined,
and
an
analysis
of
the
benefits
and
costs.
Much
of
the
analysis
is
necessarily
descriptive
of
the
anticipated
effects
of
the
final
rule.
Because
basic
market
data
on
the
prices
and
quantities
of
organic
goods
and
the
costs
of
organic
production
are
limited,
it
is
not
possible
to
provide
quantitative
estimates
of
all
benefits
and
costs
of
the
final
rule.
The
cost
of
fees
and
recordkeeping
in
the
final
USDA
rule
are
quantified,
but
the
anticipated
benefits
and
other
costs
are
not.
Consequently,
the
analysis
does
not
estimate
the
magnitude
or
the
direction
(
positive
or
negative)
of
net
benefits.
Under
the
final
rule,
USDA
will
implement
a
program
of
uniform
standards
of
production
and
certification,
as
mandated
by
the
Organic
Foods
Production
Act
of
1990
(
OFPA).
The
primary
benefits
from
implementation
of
USDA's
National
Organic
Program
(
NOP)
are
standardizing
the
definitions
and
the
manner
in
which
organic
product
information
is
presented
to
consumers,
which
may
reduce
the
cost
associated
with
enforcement
actions
in
consumer
fraud
cases,
and
improved
access
to
domestic
and
international
markets
from
harmonizing
the
various
State
and
private
organic
standards
and
elevating
reciprocity
negotiations
to
the
national
level.
The
costs
of
this
rule
are
the
direct
costs
for
accreditation
and
the
costs
of
complying
with
the
specific
standards
in
the
proposal,
including
the
reporting
and
recordkeeping
requirements.
463
Certifiers
will
be
charged
fees
based
on
the
actual
costs
of
the
accreditation
work
done
by
USDA
staff.
Smaller
certifiers
with
less
complex
programs
are
expected
to
pay
somewhat
lower
fees.
Organic
farmers,
ranchers,
wild
crop
harvesters,
and
handlers
will
have
to
pay
fees
for
organic
certification
from
a
State
or
private
certifier
but
will
not
be
charged
any
additional
fees
by
USDA.
The
direct
accreditation
costs
to
an
estimated
59
certifying
agents
(
including
all
49
current
U.
S.
certifiers
and
an
estimated
10
foreign
agents)
during
the
first
18
months
following
the
final
rule
are
estimated
to
be
approximately
$
92,000
to
$
124,000
and
are
being
subsidized
with
appropriated
funds
derived
from
the
taxpayers.
In
addition,
USDA
will
use
appropriated
funds
to
cover
approximately
$
270,000$
448,000
in
hourly
charges
for
site
evaluation
during
this
period
and
for
other
costs
associated
with
starting
up
the
NOP.
The
magnitude
of
other
compliance
costs
for
adhering
to
this
regulation
including
the
costs
of
becoming
familiar
with
and
adopting
the
national
standards
have
not
been
measured.
For
organic
farmers
who
adhere
to
State
regulations
or
undergo
third
party
inspection
and
certification,
the
compliance
cost
may
not
be
large.
For
those
who
don't,
the
costs
may
be
more
substantial.
The
impact
of
this
regulation
on
small
certifying
agents
and
other
small
businesses
has
also
not
been
measured
but
may
be
significant.
To
account
for
significant
rule
changes
from
the
proposal
and
to
reflect
more
up
to
date
information,
we
revised
some
estimates
of
benefits
and
costs.
We
have
raised
our
estimates
of
current
certification
fees
and
USDA
accreditation
fees.
Also,
we
now
project
higher
USDA
accreditation
fees
after
the
18
month
implementation
period.
We
revised
our
estimates
of
the
certification
fees
charged
by
a
representative
set
of
public
and
private
certifiers
in
the
U.
S.
based
on
new
data,
and
our
new
estimates
are
about
25
percent
higher
for
small
and
midsized
farmers.
464
Small
and
midsized
farmers
are
now
estimated
to
pay
$
579
and
$
1,414
for
their
first
year
certification,
respectively.
Accreditation
costs
after
the
18
month
implementation
period
are
substantially
above
those
estimated
in
the
proposed
rule,
reflecting
a
slight
increase
in
the
government
per
diem
travel
allowance
since
the
proposed
rule
was
published
and
a
change
in
the
projected
number
of
reviewers
needed
for
site
evaluations
and
renewals
after
the
18
month
implementation
period.
In
the
proposed
rule,
USDA
had
projected
that
only
one
reviewer
would
be
needed
for
site
evaluations
and
renewals
that
took
place
after
the
18
month
implementation
period
but
has
changed
that
projection
to
two
reviewers
based
on
additional
experience
with
the
International
Organization
for
Standardization
(
ISO
Guide
65)
program.
We
estimate
that
initial
accreditation
costs
after
the
18
month
implementation
period
will
range
from
$
6,120
to
$
9,700,
approximately
double
our
estimate
in
the
March
2000
proposed
rule.
Marginal
changes
have
been
made
in
the
final
rule,
in
response
to
comments
on
the
March
2000
proposal,
which
generally
clarify
or
add
flexibility
to
producer
and
handler
provisions
or
make
them
better
reflect
current
industry
standards.
One
key
change
was
to
raise
the
threshold
for
labeling
products
as
"
made
with
organic
ingredients"
from
50
percent
organic
content
to
70
percent
to
be
consistent
with
international
industry
standards.
Although
not
quantified,
we
believe
that
this
will
increase
the
cost
of
the
rule.
Another
key
change
was
to
reduce
the
transition
period
for
a
dairy
operation
to
make
a
whole
herd
conversion
to
organic
production
in
order
to
make
conversion
affordable
for
a
wider
range
of
dairy
farms,
including
smaller
operations.
Although
not
quantified,
we
believe
that
this
will
decrease
the
cost
of
the
rule.
The
Need
for
National
Standards
465
Over
the
last
several
decades,
as
market
demand
has
grown
from
a
handful
of
consumers
bargaining
directly
with
farmers
to
millions
of
consumers
acquiring
goods
from
supermarket
shelves
as
well
as
market
stalls,
a
patchwork
of
State
and
private
institutions
has
evolved
to
set
standards
and
verify
label
claims.
Organically
produced
food
cannot
be
distinguished
visually
from
conventional
food
and
cannot
necessarily
be
distinguished
by
taste;
therefore,
consumers
must
rely
on
labels
and
other
advertising
tools
for
product
information.
Farmers,
food
handlers,
and
other
businesses
that
produce
and
handle
organically
grown
food
have
a
financial
incentive
to
advertise
that
information
because
consumers
have
been
willing
to
pay
a
price
premium
for
these
goods.
However,
consumers
face
difficulties
in
discerning
the
organic
attributes
of
a
product,
and
many
producers
and
handlers
have
sought
third
party
certification
of
organic
claims.
State
and
private
initiatives
have
resulted
in
a
fairly
robust
system
of
standards
and
certification,
and
the
difficulties
in
consumer
verification
have
been
partially
overcome
by
these
initiatives.
Private
organizations,
mostly
nonprofits,
began
developing
certification
standards
in
the
early
1970'
s
as
a
way
to
support
organic
farming,
as
well
as
to
strengthen
legitimate
product
claims.
The
first
organization
to
offer
third
party
certification,
California
Certified
Organic
Farmers,
was
formed
in
the
early
1970'
s,
and
the
first
State
regulations
and
laws
on
organic
labeling
were
also
passed
in
the
1970'
s.
Currently,
13
State
and
36
private
certification
programs
are
operating
in
the
United
States,
and
about
half
the
States
currently
have
some
form
of
regulation.
While
most
States
still
do
not
mandate
third
party
certification
and
many
organic
producers
still
market
goods
without
certification,
large
food
processors,
grain
traders,
and
retailers
are
increasingly
requiring
certification,
and
many
growers
have
turned
to
certification
as
a
marketing
tool.
466
However,
even
with
increasing
pressure
for
growers
to
use
third
party
certification
services
and
increasing
availability
of
these
services
from
State
and
private
certifiers,
the
discrepancies
between
the
certifiers
on
organic
standards
and
between
the
States
on
certification
requirements
have
resulted
in
several
impediments
to
market
development.
The
patchwork
of
variable
standards
has
made
producer
access
to
organic
markets,
international
and
domestic,
uneven.
The
recent
emergence
of
the
industry
developed
standards
may
have
mitigated
some
domestic
access
problems,
but
two
important
impediments
remain.
They
are:
multiingredient
certification
disputes
and
barriers
to
foreign
markets.
Difficulty
Certifying
Multiingredient
Products
Although
the
State
and
private
organic
standards
that
have
developed
over
the
last
several
decades
have
many
areas
of
overlap,
particularly
for
crop
production,
the
differences
have
caused
disagreements
among
certifying
agents
over
whose
standards
apply
to
multiingredient
organic
processed
products.
These
disagreements
have
created
sourcing
problems
for
food.
Disagreements
about
standards
also
create
sourcing
problems
for
handlers
of
these
multiingredient
products.
Certifying
agents
are
able
to
negotiate
and
maintain
reciprocity
agreements
at
some
cost.
These
reciprocity
agreements
specify
the
conditions
under
which
certifying
agents
recognize
each
other's
standards.
Although
new
organic
product
offerings
have
emerged
at
a
fast
pace
during
the
1990'
s,
this
pace
could
eventually
slow,
assuming
that
the
need
for
costly
reciprocity
agreements
will
continue
to
persist
in
the
absence
of
national
standards.
Barriers
to
Foreign
Organic
Markets
In
the
absence
of
a
national
standard,
U.
S.
producers
have
taken
on
costs
of
private
accreditation
or
shipment
by
shipment
certification
required
to
gain
access
to
some
foreign
467
markets
such
as
the
European
Union
(
EU).
However,
even
with
these
actions,
U.
S.
organic
products
may
have
had
some
difficulties
entering
other
foreign
markets
due
to
high
information
and
search
costs
on
the
part
of
foreign
buyers.
Some
foreign
buyers
of
U.
S.
organic
products
may
incur
costs
to
determine
the
compatibility
of
standards.
Such
costs
may
have
discouraged
purchases
of
U.
S.
organic
products.
Congress
passed
the
OFPA
Title
XXI
of
the
Food,
Agriculture,
Conservation
and
Trade
Act
of
1990,
U.
S.
C.
Title
7
largely
to
address
these
marketing
problems.
The
OFPA
mandates
that
the
Secretary
of
Agriculture
develop
a
national
organic
program,
and
USDA's
statutory
responsibility
is
the
primary
reason
why
USDA
has
carried
out
this
rulemaking
process.
The
OFPA
requires
the
Secretary
to
establish
an
organic
certification
program
for
farmers,
wild
crop
harvesters,
and
handlers
of
agricultural
products
that
have
been
produced
using
organic
methods
as
provided
for
in
the
OFPA.
This
legislation
requires
the
Secretary
to
establish
and
implement
a
program
to
accredit
a
State
program
official
or
any
private
person
who
meets
the
requirements
of
the
Act
as
a
certifying
agent
to
certify
that
farm,
wild
crop
harvesting,
or
handling
operations
are
in
compliance
with
the
standards
set
out
in
the
regulation.
As
stated
by
the
OFPA
in
section
6501,
the
regulations
are
for
the
following
purposes:
(
1)
to
establish
national
standards
governing
the
marketing
of
certain
agricultural
products
as
organically
produced
products,
(
2)
to
assure
consumers
that
organically
produced
products
meet
a
consistent
standard,
and
(
3)
to
facilitate
interstate
commerce
in
fresh
and
processed
food
that
is
organically
produced.
Baseline
After
struggling
to
build
market
recognition
and
supply
capacity
for
many
decades,
the
organic
farming
industry
became
one
the
fastest
growing
segments
of
U.
S.
agriculture
during
the
468
last
decade.
Certified
organic
cropland
more
than
doubled
in
the
United
States
between
1992
and
1997,
and
two
organic
livestock
sectors
eggs
and
dairy
grew
even
faster
(
Greene,
2000a).
USDA's
Economic
Research
Service
estimates
that
over
1.3
million
acres
of
U.
S.
farmland
were
certified
in
1997,
and
more
recent
data
from
some
of
the
certifiers
indicate
that
this
momentum
is
continuing
(
Greene,
2000b).
Although
national
estimates
of
the
amount
of
uncertified
organic
acreage
are
not
available,
data
from
California,
the
largest
U.
S.
producer
of
organic
specialty
crops,
indicates
that
most
of
the
State's
organic
acreage
and
about
half
of
the
growers
were
certified
during
the
1997/
98
crop
year
(
Klonsky
et
al.,
2000).
Growth
in
U.
S.
sales
of
organic
products
during
the
1990'
s
mirrors
the
growth
in
acreage
devoted
to
producing
these
goods.
According
to
industry
data,
total
organic
product
sales
more
than
doubled
between
1992
and
1996
to
$
3.5
billion
in
sales
(
table
1).
More
recent
industry
data
on
organic
sales
through
natural
product
stores,
the
largest
outlet
for
organic
products,
show
annual
sales
growth
continuing
in
the
general
range
of
20
25
percent
annually.
The
recent
growth
in
organic
production
and
sales
has
taken
place
in
the
absence
of
national
organic
standards
but
with
industry
expectation
that
these
standards
were
forthcoming.
While
the
U.
S.
organic
industry
is
characterized
by
an
array
of
certification,
production,
processing,
and
marketing
practices,
there
are
commonalities
throughout
the
industry.
Certification
The
number
of
U.
S.
certification
groups
has
fluctuated
between
40
and
50
during
the
last
decade.
Currently,
49
organizations
36
private
and
13
State
are
advertising
that
they
provide
certification
services
to
farmers,
handlers
(
a
category
that
USDA
defines
to
include
processors),
retailers,
or
other
segments
of
the
food
industry.
Some
certifiers
provide
services
to
multiple
469
segments
of
the
food
industry.
Private
certifying
agents
range
from
small
nonprofit
associations
that
certify
only
a
few
growers
to
large
for
profit
businesses
operating
in
numerous
States
and
certifying
hundreds
of
producers.
Typically,
certifying
agents
review
organic
production
plans,
inspect
the
farm
fields
and
facilities
to
be
certified,
periodically
reinspect,
and
may
conduct
soil
tests
and
tests
for
residues
of
prohibited
substances.
In
some
cases,
certifying
agents
negotiate
reciprocity
agreements
with
other
agents.
State
laws
vary
widely
on
organic
certification
and
registration.
Some
States,
such
as
California,
require
only
that
an
organic
producer
register
and
make
certification
voluntary.
Other
States,
including
Texas,
require
certification
by
the
State's
own
agents,
while
Minnesota
and
others
accept
certification
by
a
private
certifying
agent.
Approximately
half
of
the
States
have
laws
that
regulate
organic
production
and
processing.
In
many
States
producers
may
claim
their
product
is
organic
but
operate
without
certification
or
well
defined
standards.
Many
organic
producers
in
States
with
no
State
programs
voluntarily
secure
third
party
certification
to
welldefined
standards.
Certification
costs
vary
with
farm
size
and
across
certifying
agents.
Illustrative
certification
costs
are
presented
in
tables
2A
and
2B.
Very
few
certifying
agents
operate
with
an
external
accreditation
for
the
following
reasons.
There
is
no
law
which
requires
them
to
be
accredited:
the
price
may
be
unacceptably
high
in
relation
to
expected
benefits;
the
certifying
agent
may
be
unable
to
find
an
accrediting
party
willing
to
accredit
the
particular
organic
program
the
certifying
agent
is
marketing;
and
State
programs
may
believe
that
their
status
as
a
government
entity
obviates
the
need
for
external
accreditation.
In
1999,
USDA
began
accrediting
certifying
agents
as
meeting
ISO
Guide
65.
It
is
a
470
valuable
recognition
that
the
certifying
entity
satisfies
the
business
capacity
standards
of
ISO
Guide
65.
EU
authorities
have
accepted
verification
of
certifying
agents
to
ISO
Guide
65
as
an
interim
measure
to
facilitate
exports
pending
the
establishment
of
a
national
organic
program.
Organic
Crop
and
Livestock
Production
In
1997,
farmers
in
49
States
used
organic
production
systems
and
third
party
organic
certification
services
on
over
a
million
acres
of
farmland
and
were
raising
certified
organic
livestock
production
in
nearly
half
the
States,
according
to
USDA
data
(
Greene,
2000a).
Twothirds
of
the
farmland
was
used
for
growing
crops,
with
Idaho,
California,
North
Dakota,
Montana,
Minnesota,
Wisconsin,
Iowa,
and
Florida
as
the
top
producers.
Colorado
and
Alaska
had
the
most
organic
pasture
and
rangeland.
California
overwhelmingly
had
the
most
certified
organic
fruit
and
vegetable
acreage
in
1997,
but
farmers
were
growing
small
plots
of
certified
organic
vegetables
for
direct
marketing
to
consumers
in
over
half
the
States.
About
2
percent
of
the
U.
S.
apple,
grape,
lettuce,
and
carrot
crops
were
certified
organic
in
1997,
while
only
onetenth
of
1
percent
of
the
U.
S.
corn
and
soybean
crops
were
grown
under
certified
organic
farming
systems.
USDA
has
not
estimated
the
amount
of
acreage
devoted
to
organic
production
systems
that
has
not
been
certified,
although
data
from
California
suggest
that
a
large
number
of
farmers,
mostly
those
with
small
operations,
produce
and
market
organic
goods
without
third
party
certification.
Key
production
practices
followed
by
certified
organic
producers
include:
abstaining
from
use
of
certain
crop
chemicals
and
animal
drugs;
ecologically
based
pest
and
nutrient
management;
segregation
of
organic
fields
and
animals
from
nonorganic
fields
and
animals;
following
an
organic
system
plan
with
multiple
goals,
including
sustainability;
and
recordkeeping
to
document
practices
471
and
progress
toward
the
plan's
goals.
Specific
elements
of
organic
production
vary,
but
organic
systems
generally
share
a
core
set
of
practices.
For
example,
the
certification
standards
of
virtually
all
State
and
private
U.
S.
certifying
agents
prohibit
the
use
of
synthetic
chemical
pesticides
or
animal
growth
hormones.
And
most
certification
standards
include
a
3
year
ban
on
the
use
of
prohibited
substances
on
cropland
before
production
can
be
certified
as
organic.
On
the
other
hand,
certification
standards
for
organic
livestock
production
have
been
more
variable
for
pasture,
feed,
and
other
practices.
Until
1999,
the
USDA
Food
Safety
and
Inspection
Service
(
FSIS)
withheld
approval
for
the
use
of
organic
labels
on
meat
and
poultry
products
pending
the
outcome
of
this
rulemaking.
However,
the
Secretary
announced
a
change
in
policy
in
January
1999.
Meat
and
poultry
products
may
be
labeled
"
certified
organic
by
(
name
of
the
certifying
agent)"
if
handlers
obtain
prior
label
approval
from
FSIS
and
the
claim
meets
certain
basic
criteria.
Organic
labels
have
been
permitted
on
eggs
and
dairy
products
which
are
regulated
by
the
Food
and
Drug
Administration
(
FDA)
throughout
the
1990'
s,
but
most
certifiers
have
not
yet
offered
certification
services
for
these
products.
We
provide
a
summary
of
the
New
Hampshire
organic
program
to
highlight
the
similarities
in
the
core
set
of
practices.
It
is
important
to
note
that
this
discussion
is
intended
to
highlight
the
conceptual
similarities
between
State
and
private
programs
and
is
not
intended
to
suggest
that
these
programs
are
identical
to
each
other
or
to
the
NOP.
Production
standards
include:
a
written
rotation
plan;
tillage
systems
that
incorporate
organic
matter
wastes
into
the
topsoil;
compliance
with
limits
on
the
sources
of
manure
and
the
timing
of
its
application;
prohibitions
on
the
use
of
certain
substances
(
e.
g.,
sewage
sludge,
synthetic
sources
of
nitrates,
synthetic
growth
regulators,
and
anhydrous
ammonia);
a
list
of
accepted
and
prohibited
weed
and
472
pest
control
practices;
segregation
of
organic
and
nonorganic
production;
recordkeeping
regarding
fertilization,
cropping,
and
pest
management
histories;
separate
sales
records
for
organic
and
nonorganic
production;
and
records
of
all
laboratory
analyses.
Residue
testing
may
be
required
if
USDA
believes
that
the
products
or
soil
used
for
producing
certified
products
may
have
become
contaminated
with
prohibited
substances.
The
New
Hampshire
program
requires
growers
to
pay
a
$
100
annual
inspection
fee
and
to
provide
a
written
description
of
their
farm
operation,
including
the
size
of
the
farm;
a
field
map;
a
3
year
history
of
crop
production,
pest
control,
and
fertilizer
use;
a
crop
rotation
and
a
soil
management
plan;
and
a
description
of
postharvest
storage
and
handling
methods.
Applicants
for
certification
must
also
agree
to
comply
with
regulations
controlling
the
use
of
the
New
Hampshire
certified
organic
logo.
Organic
Food
Handling
In
addition
to
growers,
who
actually
produce
and
harvest
products
to
be
marketed
as
organic,
there
are
handlers
who
transform
and
resell
the
organic
products.
Not
all
certifiers
have
standards
for
handling
organic
products.
And
some
certifiers
have
standards
for
parts
of
the
food
marketing
system,
such
as
restaurants,
which
are
not
explicitly
covered
by
the
OFPA
nor
encompassed
by
this
final
regulation.
Definitions
of
processing
and
handling
differ
across
certifying
agents
and
State
laws.
Some
States,
such
as
Washington,
distinguish
between
a
processor
and
a
handler,
specifying
21
actions
which
constitute
processing
and
defining
a
handler
as
anyone
who
sells,
distributes,
or
packs
organic
products.
Other
States
do
not
distinguish
between
food
processors
and
handlers.
Under
the
final
rule,
the
term,
"
handler,"
includes
processors
but
not
final
retailers
of
agricultural
473
products
that
do
not
process
agricultural
products.
Organic
Product
Marketing
The
two
largest
marketing
outlets
for
organically
produced
goods
are
natural
foods
stores
and
direct
markets
which
include
farmers
markets,
roadside
stands,
and
`
community
supported
agriculture'
arrangements
according
to
industry
data.
USDA
does
not
have
official
national
level
statistics
on
organic
retail
sales,
but
an
industry
trade
publication,
the
Natural
Foods
Merchandiser
(
NFM),
reported
estimates
of
total
retail
sales
of
organic
foods
for
years
1990
96
and
continues
to
report
estimates
of
natural
product
stores
sales
(
table
1).
The
last
NFM
estimate
of
total
organic
sales
through
all
marketing
outlets
was
$
3.5
billion
in
1996
($
3.7
billion
in
1999
dollars),
less
than
one
percent
of
total
food
expenditures
by
families
and
individuals
that
year.
Natural
foods
stores
increased
in
size
and
presence
in
the
United
States
during
the
1990'
s
many
are
now
the
size
of
conventional
supermarkets
and
about
two
thirds
of
estimated
total
organic
sales
during
the
1990'
s
were
through
this
outlet
(
table
1).
Natural
foods
supermarkets,
which
are
similar
to
conventional
in
the
breadth
of
supermarket
offerings
and
amount
of
total
sales,
accounted
for
close
to
1
percent
of
total
supermarket
sales
by
1997
(
Kaufman
1998).
Organic
product
sales
through
the
natural
foods
stores
outlet,
alone,
in
1999
were
estimated
at
$
4
billion,
and
sales
through
this
outlet
increased
about
20
25
percent
annually
through
the
1990'
s.
Direct
to
consumer
market
sales
ranged
from
$
270
to
$
390
million
during
the
early
1990'
s,
accounting
for
between
17
and
22
percent
of
total
organic
sales
during
this
period,
according
to
NFM
estimates
(
table
1).
Conventional
food
stores
(
mass
markets)
accounted
for
6
7
percent
of
total
sales
during
this
period,
and
export
sales
accounted
for
3
8
percent
of
the
total.
474
A
draft
report
on
the
U.
S.
organic
export
market,
partly
funded
by
USDA,
indicates
that
current
U.
S.
export
sales
are
under
5
percent
of
total
organic
product
sales
(
Fuchshofen
and
Fuchshofen
2000).
The
United
States
is
both
an
importer
and
an
exporter
of
organic
foods.
The
United
States
does
not
restrict
imports
of
organic
foods.
In
fact,
U.
S.
Customs
accounts
do
not
distinguish
between
organic
and
conventional
products.
The
largest
markets
for
organic
foods
outside
the
United
States
are
in
Europe,
Japan,
and
Canada.
There
is
increasing
pressure,
particularly
in
Europe
and
Japan,
for
U.
S.
exports
to
demonstrate
that
they
meet
a
national
standard
rather
than
a
variety
of
private
and
State
standards.
France,
for
example,
has
indicated
to
USDA
that
it
prefers
to
negotiate
with
a
single
national
organic
program,
rather
than
the
dozens
of
different
State
and
private
certifying
programs
currently
operating
in
the
U.
S.
The
EU
is
the
largest
market
for
organic
food
outside
the
United
States.
The
organic
food
market
in
the
EU
was
estimated
to
be
worth
$
5.2
billion
in
1997
(
International
Trade
Centre
UNCTAD/
WTO
1999).
The
largest
organic
retail
sales
markets
in
the
EU
in
1997
were
Germany
($
1.8
billion),
France
($
720
million),
and
Italy
($
750
million).
Large
organic
markets
outside
the
EU
include
Canada
and
Australia,
with
approximately
$
60
million
and
$
68
million,
respectively,
in
organic
retail
sales
in
1997
(
Lohr
1998).
Import
share
of
the
organic
food
market
in
Europe
ranged
from
10
percent
in
France
to
70
percent
in
the
United
Kingdom,
was
80
percent
in
Canada,
and
varied
from
0
to
13
percent
in
various
Australian
States.
Japan
is
another
important
market
for
U.
S.
organic
products.
Currently,
Japan
has
voluntary
labeling
guidelines
for
6
categories
of
nonconventional
agricultural
products:
organic,
transitional
organic,
no
pesticide,
reduced
pesticide,
no
chemical
fertilizer,
and
reduced
chemical
475
fertilizer.
Total
sales,
including
foods
marketed
as
"
no
chemical"
and
"
reduced
chemical,"
are
forecast
to
jump
15
percent
in
1999
to
almost
$
3
billion.
Imports
of
organic
agricultural
products
were
valued
at
$
90
million
in
1998.
Given
Japan's
limited
agricultural
acreage,
imports
will
likely
provide
an
increasingly
significant
share
of
Japan's
organic
food
supply
(
USDA
FAS
1999a).
Recently,
these
markets
have
adopted
or
are
considering
adoption
of
procedures
that
may
impede
the
importing
of
organic
food.
The
EU
regulations
establishing
the
basis
for
equivalency
in
organic
production
among
EU
members
and
for
imports
from
outside
the
EU
were
adopted
in
1991
(
Council
Regulation
2092/
91).
The
EU
regulations
only
allow
imports
from
non
EU
countries
whose
national
standards
have
been
recognized
as
equivalent
to
the
EU
standards
(
Commission
Regulation
94/
92).
The
Ministry
of
Agriculture,
Forestry,
and
Fisheries
(
MAFF)
in
Japan
recently
announced
proposed
standards
and
third
party
certification
requirements.
Under
Japan's
proposed
standards,
certifying
agents
from
countries
without
national
organic
standards
administered
by
a
federal
government
will
face
additional
financial
and
administrative
costs.
Requirements
of
the
Final
Rule
The
final
rule
follows
the
structure
established
in
the
OFPA.
By
adopting
this
alternative,
the
Department
is
following
the
legislative
direction
in
the
OFPA.
All
products
marketed
as
organic
will
have
to
be
produced
and
handled
as
provided
in
the
OFPA
and
these
regulations.
Compared
to
current
organic
practices,
the
final
rule
sets
a
somewhat
more
stringent
system
of
requirements.
Among
many
alternatives,
two
alternatives
to
the
final
rule
are
discussed
in
this
section:
continuation
of
the
status
quo
and
use
of
industry
developed
standards.
Given
the
statutory
476
responsibility,
USDA
is
implementing
the
requirements
of
the
OFPA.
However,
under
the
status
quo
alternative,
there
would
be
no
national
standard
or
national
program
of
accreditation
and
certification.
No
Federal
funds
would
be
used,
there
would
be
no
transfer
from
Federal
taxpayers
at
large
to
organic
market
participants,
and
there
would
be
no
Federal
regulatory
barriers
to
entry
into
organic
production
and
handling.
However,
growers
and
handlers
would
still
not
have
level
access,
under
uniform
standards,
to
the
domestic
market,
and
there
may
be
significant
enforcement
gaps
at
the
State
level.
International
pressure
for
additional
verification
would
continue
to
build
and
would
be
likely
to
lead
to
an
increased
use
of
public
and
private
verification
and
accreditation
services,
which
are
provided
on
a
user
fee
basis
with
full
cost
recovery.
Establishing
reciprocity
between
certifying
agents
in
the
domestic
organic
market
would
continue
to
be
costly
and
may
stifle
growth
in
trade
of
organic
products,
although
the
magnitude
of
these
costs
and
their
effects
on
growth
are
unknown.
Without
further
analysis
that
includes
quantification
and
monetization
of
benefits
and
costs,
it
is
not
clear
whether
the
net
benefits
associated
with
this
alternative
are
greater
or
less
than
those
associated
with
the
final
rule.
Under
the
other
industry
developed
standards
alternative,
USDA
could
eliminate
the
costs
associated
with
establishing
reciprocity
in
the
domestic
market
and
establish
equivalency
for
access
to
international
markets,
but
it
would
be
difficult
for
industry
to
develop
consensus
standards.
For
example,
the
industry
developed
standards
recently
proposed
by
the
Organic
Trade
Association
were
developed
with
significant
industry
input
but
with
little
public
comment.
In
contrast,
several
hundred
thousand
comments
have
been
submitted
in
the
course
of
the
USDA
rulemaking
process.
In
addition,
the
OFPA
mandated
an
advisory
role
for
a
15
member
National
Organic
Standards
Board
(
NOSB),
which
has
wide
representation
from
the
organic
community
477
and
includes
members
who
are
farmers,
handlers,
retailers,
environmentalists,
consumers,
scientists,
and
certifiers.
The
NOSB
has
assisted
in
developing
the
standards
promulgated
in
this
final
rule
and
will
play
an
advisory
role
for
the
NOP
even
after
the
final
rule
is
in
place.
Without
further
analysis
that
includes
quantification
and
monetization
of
benefits
and
costs,
it
is
not
clear
whether
the
net
benefits
associated
with
this
alternative
are
greater
or
less
than
those
associated
with
the
final
rule.
USDA's
final
rule
will
be
implemented
by
the
NOP
staff
in
the
Agricultural
Marketing
Service
(
AMS).
Major
features
of
the
NOP
include:
Accreditation
and
Certification
The
rule
specifies
the
accreditation
and
certification
process.
Persons
providing
certification
services
for
organic
production
and
handling
must
be
accredited
by
USDA
through
the
NOP.
Applicants
for
accreditation
must
document
their
abilities
to
certify
according
to
the
national
standards
and
to
oversee
their
client's
compliance
with
the
requirements
of
the
OFPA
and
NOP
regulations.
Producers
and
handlers
of
organic
products
must
be
certified
by
an
accredited
certifying
agent.
Producers
and
handlers
are
required
to
document
their
organic
plans
and
procedures
to
ensure
compliance
with
the
OFPA.
All
certifying
agents
would
have
to
be
accredited,
and
certification
by
producers
and
handlers
would
be
mandatory.
The
exceptions
are:
(
1)
growers
and
handlers
with
gross
organic
sales
of
$
5,000
or
less
would
be
exempt
from
certification,
and
(
2)
a
handling
operation
may
be
exempt
or
excluded
from
certification
according
to
provisions
described
in
the
rule's
subpart
B,
Applicability.
USDA
will
charge
applicants
for
accreditation
and
accreditation
renewal
(
required
every
5
478
years)
a
$
500
fee
at
the
time
of
application.
USDA
will
also
charge
applicants
for
costs
over
$
500
for
site
evaluation
of
the
applicant's
business.
The
applicant
would
be
charged
for
travel
costs,
per
diem
expenses,
and
any
miscellaneous
costs
incurred
with
a
site
evaluation.
USDA
will
also
charge
accredited
certifiers
at
an
hourly
rate
to
review
their
annual
reports.
Producers
and
handlers
will
not
pay
certification
fees
to
USDA.
Certification
fees
will
be
established
by
the
accredited
certifying
agents.
USDA
will
not
set
fees.
The
rule
requires
certifying
agents
to
submit
a
copy
of
their
fee
schedules
to
USDA,
post
their
fees,
and
provide
applicants
estimates
of
the
costs
for
initial
certification
and
for
renewal
of
certification.
Production
and
Handling
The
rule
establishes
standards
for
organic
production
of
crops
and
livestock
and
handling
of
organic
products.
These
standards
were
developed
from
specific
requirements
in
the
OFPA,
recommendations
from
the
NOSB,
review
of
existing
organic
industry
practices
and
standards,
public
comments
received
on
the
1997
proposal
and
subsequent
issue
papers,
public
meetings,
and
comments
received
on
the
2000
proposal.
The
final
rule
establishes
a
number
of
requirements
for
producers
and
handlers
of
organic
food.
These
requirements
will
affect
farming
operations,
packaging
operations,
processing
operations
and
retailers.
Some
of
the
major
provisions
are:
(
1)
land
requirements,
(
2)
crop
nutrient
requirements,
(
3)
crop
rotation
requirements,
(
4)
pest
management
requirements,
(
5)
livestock
management
requirements,
(
6)
processing
and
handling
requirements,
and
(
7)
commingling
requirements.
National
List
The
National
List
lists
allowed
synthetic
substances
and
prohibited
nonsynthetic
479
substances
that
may
or
may
not
be
used
in
organic
production
and
handling
operations.
The
list
identifies
those
synthetic
substances,
which
would
otherwise
be
prohibited,
that
may
be
used
in
organic
production
based
on
the
recommendations
of
the
NOSB.
Only
those
synthetic
substances
on
the
National
List
may
be
used.
The
National
List
also
identifies
those
natural
substances
that
may
not
be
used
in
organic
production,
as
determined
by
the
Secretary
based
on
the
NOSB
recommendations.
Testing
When
certifying
agents
have
reason
to
believe
organic
products
contain
a
prohibited
substance,
they
may
conduct
residue
tests.
Labeling
The
rule
also
states
how
organic
products
may
be
labeled
and
permitted
uses
of
the
USDA
organic
seal.
In
addition
to
the
USDA
seal
and
the
certifying
agent's
seal,
information
on
organic
food
content
may
be
displayed.
Small
businesses
that
are
certified
may
use
the
USDA
seal.
Recordkeeping
The
rule
requires
certifying
agents,
producers,
and
handlers
to
keep
certain
records.
Certifying
agents
are
required
to
file
periodic
reports
with
USDA.
Producers
and
handlers
are
required
to
notify
and
submit
reports
to
their
certifying
agent.
While
recordkeeping
is
a
standard
practice
in
conventional
and
organic
farming,
the
final
rule
adds
recordkeeping
and
reporting
requirements
that
do
not
exist
for
growers
and
handlers
operating
without
certification.
Similarly,
certifying
agents
would
face
additional
recordkeeping
and
reporting
requirements,
particularly
those
certifying
agents
operating
without
external
accreditation.
The
rule
permits
certifying
agent
logos
and
requires
the
name
of
the
certifying
agent
on
processed
organic
foods.
480
Enforcement
Organic
operations
that
falsely
sell
or
label
a
product
as
organic
will
be
subject
to
civil
penalties
of
up
to
$
10,000
per
violation.
The
provisions
of
the
final
regulation
apply
to
all
persons
who
sell,
label,
or
represent
their
agricultural
product
as
organic,
including
operations
that
aren't
certified,
and
the
civil
penalties
of
up
to
$
10,000
apply
to
these
operations
as
well.
Certifying
agents,
State
organic
programs'
governing
State
officials,
and
USDA
will
receive
complaints
alleging
violations
of
the
Act
or
these
regulations.
In
States
where
there
is
no
State
organic
program,
USDA
will
investigate
allegations
of
violations
of
the
Act.
Number
of
Affected
Parties
and
Projections
In
assessing
the
impacts
of
the
rule,
we
have
attempted
to
determine
the
number
of
certifying
agents,
private
and
State,
that
are
currently
operating
and
considered
the
factors
likely
to
affect
the
number
of
certifying
agents
after
the
rule
is
implemented.
We
have
attempted
to
determine
the
number
of
currently
operating
producers
and
handlers
that
would
be
affected.
And,
we
have
considered
the
factors
that
might
affect
the
number
of
producers
and
handlers
after
the
program
has
been
implemented.
For
the
analysis,
USDA
assumes
the
following:
1.
Forty
nine
domestic
certifying
agents
and
ten
foreign
certifying
agents
will
be
affected
by
the
regulation.
2.
Approximately
13,650
certified
and
noncertified
organic
producers
will
be
affected
by
the
regulation.
With
the
assumed
growth
rate
of
14
percent
for
certified
organic
producers
and
approximately
8
percent
for
noncertified
organic
producers,
the
number
of
organic
producers
will
grow
to
17,150
in
2002.
481
3.
Approximately
1,600
handlers
of
organic
food
will
be
affected
by
the
regulation.
This
number
will
grow
to
2,250
by
2002.
Certifying
Entities
We
place
the
number
of
certifying
agents
currently
operating
at
49,
including
13
State
programs.
The
number
of
certifying
agents
has
remained
fairly
stable,
between
40
and
50,
for
some
years,
with
entries
and
exits
tending
to
offset
each
other.
For
purposes
of
estimating
the
paperwork
burden
described
elsewhere,
we
assume
no
growth
in
the
number
of
domestic
certifying
agents
but
project
10
foreign
certifying
agents
will
seek
and
receive
USDA
accreditation
in
the
first
3
years
of
the
program.
Organic
Producers
While
some
USDA
data
on
the
number
of
certified
organic
producers
in
the
United
States
exist,
no
national
data
have
been
collected
on
the
number
of
producers
that
produce
and
market
organic
goods
without
third
party
certification.
Organic
farming
was
not
distinguished
from
conventional
agriculture
in
the
last
Census
of
Agriculture
in
1997.
USDA
and
Organic
Farming
Research
Foundation
(
OFRF)
data
were
used
in
the
Regulatory
Impact
Analysis
(
RIA)
of
the
March
2000
proposed
rule
to
help
estimate
the
number
of
certified
U.
S.
growers
affected
by
the
regulation.
California
Department
of
Food
and
Agriculture
(
CDFA)
data
were
used
to
help
estimate
the
number
of
uncertified
U.
S.
growers
affected
by
the
regulation.
All
three
of
these
data
sources
have
updated
their
estimates
of
the
number
of
certified
and
uncertified
organic
producers
since
the
RIA
of
the
proposed
rule
was
published
earlier
this
year.
However,
the
updated
numbers
do
not
indicate
trends
that
would
fundamentally
alter
the
assumptions
used
in
the
RIA
of
the
proposed
rule
to
calculate
the
number
of
affected
growers,
and
the
estimates
made
482
for
the
March
2000
RIA
are
retained
in
this
assessment
of
the
final
rule.
USDA
datum
indicates
the
average
annual
growth
rate
in
the
number
of
U.
S.
certified
organic
growers
between
1991
and
1994
was
about
14
percent
(
Dunn
1995b).
In
April
2000,
USDA's
Economic
Research
Service
estimated
that
5,021
certified
organic
growers
operated
1.347
million
acres
of
U.
S.
farmland
in
1997,
indicating
that
the
increase
in
acreage
had
outpaced
the
increase
in
growers,
and
showing
only
an
8
percent
annual
growth
rate
in
growers
between
1994
and
1997
(
Greene,
2000b).
However,
USDA's
study
indicated
that
the
pace
of
growth
in
certified
acreage
had
quickened
considerably
since
1997,
with
the
amount
of
certified
acreage
increasing
38
to
150
percent
between
1997
and
1999
by
several
large
certifying
organizations
across
the
U.
S.
And
a
nonprofit
organic
research
foundation,
OFRF,
estimates
that
the
number
of
certified
organic
producers
in
the
certification
organizations
that
they
track
the
ones
that
will
release
data
to
them
grew
over
20
percent
annually
between
1997
and
1999,
from
4,638
to
6,600
(
OFRF
2000).
Also,
one
certifier,
Washington
State,
responded
to
our
request
for
data
on
the
growth
rate,
indicating
that
the
number
of
certified
organic
producers
has
increased
an
average
of
17
percent
per
year
between
1994
and
1999
in
that
State
and
noting
that
certification
became
mandatory
by
State
law
in
1993.
In
the
March
2000
RIA,
USDA
estimated
that
the
number
of
certified
U.
S.
organic
producers
potentially
affected
by
this
legislation
is
approximately
9,350
in
2000
and
will
be
approximately12,150
in
2002,
based
on
a
straight
line
projection
of
the
14
percent
annual
growth
rate
trend
shown
by
USDA
data
for
1991
1994.
The
period,
2000
2002,
was
chosen
for
analysis
because
it
encompasses
both
the
period
of
final
rulemaking
and
the
18
month
implementation
period.
Congress
passed
the
OFPA
in
1990,
and
the
14
percent
growth
rate
in
certified
growers
483
during
the
1991
1994
period
reflects
their
expectation
that
national
organic
regulations
were
forthcoming.
Since
the
recent
estimates
of
industry
growth
during
the
1990'
s
are
uneven
and
the
actual
growth
rate
in
the
number
of
growers
who
will
become
certified
after
this
legislation
is
implemented
is
uncertain,
the
March
2000
estimates
are
retained
in
this
assessment
of
the
final
rule.
The
March
2000
RIA
also
estimated
the
number
of
producers
who
are
practicing
organic
agriculture
but
who
are
currently
uncertified
that
would
be
affected
by
the
rule.
In
California,
where
organic
growers
are
required
to
register
with
the
State
but
not
to
be
certified,
a
large
proportion
of
growers
are
uncertified.
The
most
recent
State
data,
for
the
1997/
98
crop
year,
indicate
that
1,526
growers
registered
as
organic,
but
only
41
percent
of
them
obtained
thirdparty
certification
(
Klonsky
et
al.,
2000).
While
only
a
small
percentage
of
growers
in
the
lowest
organic
sales
category
(
0$
10,000),
where
the
largest
number
of
growers
were
clustered,
obtained
certification,
three
quarters
or
more
of
the
growers
earning
at
least
$
50,000
obtained
certification,
and
all
of
the
growers
in
the
highest
sales
class
were
certified.
USDA
did
not
use
the
California
ratios
of
certified
to
uncertified
growers
in
the
March
2000
RIA
to
estimate
the
number
of
uncertified
growers
because
the
farming
structure
of
California
may
not
be
representative
of
the
Nation.
For
example,
California
sells
at
least
three
times
more
specialty
crops
that
any
other
State
in
the
United
States
and
has
an
unusual
registration
program
that
many
growers
use
instead
of
certification.
USDA
made
two
assumptions
about
uncertified
production
for
the
March
2000
estimate.
The
first
assumption
was
that
the
rate
of
growth
in
uncertified
production
is
less
than
the
rate
for
certified
farms
because
certification
has
value
and
organic
producers
would
be
expected
to
take
484
advantage
of
the
marketing
advantages
of
certification.
This
assumption
is
consistent
with
California
data
that
showed
an
increase
in
the
percent
of
organic
farmers
obtaining
certification
between
1996/
97
and
1997/
98
in
virtually
every
sales
class
(
Klonsky
et
al.
2000).
Second,
the
emergence
of
State
certification
programs
with
lower
certification
fees
than
private
certification
entities
may
have
encouraged
more
organic
producers
to
be
certified.
Based
on
these
assumptions,
USDA
assumed
that
the
number
of
uncertified
organic
producers
is
about
4,300
in
2000
and
will
be
about
5,000
in
2002,
making
the
total
number
of
farms
potentially
affected
by
the
rule
about
13,650
in
2000
and
17,150
in
2002.
Organic
Handlers
Little
information
exists
on
the
number
of
organic
product
handlers,
such
as
organic
soup
manufacturers,
organic
food
packaging
operations,
organic
food
wholesalers,
and
feed
millers.
USDA
has
estimated
that
there
were
600
entities
in
this
category
in
1994
(
Dunn
1995b).
AMS
estimated
that
the
growth
rate
was
11
percent
from
1990
through
1994
(
Dunn
1995b).
More
recent
data
from
CDFA
registration
records
suggest
a
growth
rate
of
about
28
percent
(
California
Department
of
Health
Services
1999).
For
projection
purposes,
we
use
a
growth
rate
of
20
percent
and
estimate
there
are
about
1,600
in
2000
and
there
will
be
about
2,250
handlers
in
2002.
Reasons
for
growth
include
the
general
increase
in
organic
production
and
growth
in
the
market
for
processed
organic
foods,
including
multiingredient
products.
Again,
these
projections
are
based
on
limited
data
from
the
early
1990'
s,
and
growth
may
have
slowed
or
increased.
These
estimates
of
organic
product
handlers
are
slightly
higher
that
the
estimates
made
in
the
March
2000
RIA
because
they
include
about
100
feed
millers
that
were
not
included
in
the
earlier
calculation.
485
Retail
Food
Establishments
Retailers
of
organic
food
are
grocery
stores,
bakeries
and
other
establishments
that
process
or
prepare
raw
and
ready
to
eat
food.
Most
are
not
currently
subject
to
either
voluntary
practices
or
mandatory
standards
of
the
organic
industry.
Although
they
are
excluded
from
the
certification
requirements
under
the
final
rule,
they
are
subject
to
other
processing,
handling,
and
other
production
related
requirements
of
the
final
rule.
Some
of
the
grocery
stores
in
the
United
States,
particularly
the
natural
foods
stores,
sell
processed
or
prepared
organic
foods
and
will
be
affected
by
the
these
requirements.
USDA
does
not
have
an
estimate
of
the
number
of
entities
affected.
Foreign
Entities
In
addition
to
domestic
certifying
agents,
foreign
certifying
agents
may
also
apply
for
accreditation
under
the
NOP.
At
this
time,
we
have
no
information
regarding
the
number
of
foreign
certifying
agents
that
may
seek
USDA
accreditation.
Foreign
applicants
will
face
the
same
base
costs
for
accreditation
as
domestic
applicants
but
the
overall
levels
of
cost
are
expected
to
be
higher
due
to
the
generally
higher
costs
of
foreign
travel
and
per
diem
expenses
for
site
evaluation
and
miscellaneous
costs
such
as
for
translation
of
documents.
For
purposes
of
estimating
the
paperwork
burden
described
elsewhere,
we
assume
10
foreign
certifying
agents
will
seek
and
obtain
accreditation
during
the
first
3
years
of
the
program.
Benefits
of
the
Final
Rule
The
benefits
of
implementing
national
uniform
standards
of
production
and
certification
include:
(
1)
providing
a
common
set
of
definitions
on
organic
attributes
and
standardizing
the
manner
in
which
the
product
information
is
presented,
which
may
reduce
the
cost
associated
with
486
enforcement
actions
in
consumer
fraud
cases;
(
2)
reduced
administrative
costs;
and
(
3)
improved
access
to
organic
markets.
Not
all
benefits
that
may
arise
from
the
rule
are
quantifiable.
Where
economic
data
are
available,
they
may
relate
to
costs
and
are
generally
not
adequate
to
quantify
economic
benefits.
The
regulatory
changes
in
the
final
rule
are
not
expected
to
reduce
the
benefits
from
those
described
under
the
March
2000
proposed
rule.
Information
Potential
benefits
to
consumers
as
a
result
of
the
final
rule
include
providing
a
common
set
of
definitions
on
organic
attributes
and
standardizing
the
manner
in
which
the
product
information
is
presented.
This
standardization
may
reduce
the
cost
associated
with
enforcement
actions
in
consumer
fraud
cases.
Organic
products
cannot
be
distinguished
from
conventionally
produced
products
by
sight
inspection,
and
consumers
rely
on
verification
methods
such
as
certification
to
ensure
that
organic
claims
are
true.
Self
policing
by
certifiers
of
growers
and
handlers
that
are
certified
has
been
difficult
because
some
certifiers
have
been
under
pressure
to
use
weak
standards
and
lax
enforcement
procedures
in
order
to
keep
their
producer
and
processor
clients
from
taking
their
business
to
other
certifiers
(
Scowcroft
1998).
Anecdotal
evidence
suggests
that
consumer
fraud
involving
organic
food
does
occur,
and
several
States
successfully
pursued
civil
and
criminal
prosecution
of
these
cases
during
the
1990'
s.
The
Attorney
General
of
Minnesota
successfully
prosecuted
felony
charges
in
1997
against
the
president
of
Glacial
Ridge
Foods,
a
wholesale
supplier
of
beans
and
grains,
for
repackaging
conventionally
produced
product
and
selling
approximately
$
700,000
worth
labeled
as
certified
organic
(
Mergentime
1997).
The
San
Diego
City
Attorney's
office
successfully
prosecuted
felony
487
charges
against
Petrou
Foods,
Inc.,
an
organic
oil
and
vinegar
distributor,
for
misbranding
conventional
product,
based
on
an
investigation
by
the
California
Department
of
Health
Services
(
Scott
1997).
Also
the
California
Department
of
Food
and
Agriculture
conducted
spot
checks
of
51
uncertified
organic
growers
during
the
mid
1990'
s,
based
on
complaints,
and
found
32
violations
of
California's
organic
standards
(
Farmers
Market
Outlook).
However,
only
about
half
of
the
States
have
any
organic
legislation,
and
few
of
those
States
have
laws
with
enough
teeth
to
permit
prosecution
of
organic
fraud.
In
States
without
similar
laws,
the
costs
associated
with
remedies
via
the
tort
system
may
be
high.
The
NOP
established
in
this
final
rule
is
expected
to
fill
in
important
State
and
regional
gaps
in
enforcement
in
organic
fraud
cases.
The
USDA
organic
seal
will
also
provide
consumers
a
quick
tool
to
verify
that
goods
offered
for
sale
as
organic
are
in
fact
organic.
Reduced
Administrative
Costs
The
rule
addresses
the
problem
of
existing
certifying
agents
using
different
standards
and
not
granting
reciprocity
to
other
certifying
agents.
By
accrediting
certifying
agents,
the
rule
establishes
the
requirements
and
enforcement
mechanisms
that
would
reduce
inconsistent
certification
services
and
lack
of
reciprocity
between
certifying
agents.
In
the
current
system,
the
certifying
agent
of
a
final
product
is
not
required
to
recognize
the
certification
of
an
intermediate
product.
Both
primary
farmers
and
food
handlers
may
face
a
risk
of
being
unable
to
sell
a
certified
organic
product
when
more
than
one
certifying
agent
is
involved.
By
imposing
a
uniform
standard
of
certification
and
production,
the
costs
associated
with
establishing
reciprocity
between
certifying
agents
will
be
eliminated,
and
the
market
dampening
effects
that
these
costs
impose
will
be
eliminated.
Industry
wide
training
costs
may
also
decrease.
USDA's
uniform
488
standards
of
production
and
certification
should
enable
organic
inspectors
to
move
more
easily
from
one
certifying
agent
to
another
than
under
the
current
system.
Domestic
and
International
Markets
The
final
rule
is
expected
to
improve
access
to
domestic
and
foreign
markets
for
organically
produced
goods.
The
current
patchwork
of
differing
State
certification
requirements
and
variable
State
and
private
standards
has
given
producers
and
handlers
uneven
access
to
the
domestic
organic
market
and
to
the
price
premiums
associated
with
this
market.
Livestock
producers,
in
particular,
may
have
limited
their
organic
production
because
they
lacked
access
to
a
State
or
private
organic
livestock
certification
program
or
were
uncertain
about
the
standards
that
would
be
implemented
under
the
NOP.
The
final
rule
could
also
improve
access
to
EU
and
other
foreign
markets
for
U.
S.
organic
products.
For
example,
the
EU
may
determine
that
the
NOP
is
acceptable
vis
a
vis
EU
regulation
2092/
91.
Article
11
of
EU
Reg.
2092/
91
establishes
the
conditions
under
which
organic
products
may
be
imported
from
third
countries
and
addresses
the
framework
for
equivalency.
The
NOP
is
a
national
program
that
should
be
acceptable
to
the
EU
and
other
governments.
Foreign
acceptance
of
the
U.
S.
national
standard
would
reduce
costs
of
negotiating
and
documenting
shipment
by
shipment.
Reducing
these
transaction
costs
may
reduce
entry
costs
for
U.
S.
producers
to
foreign
organic
markets.
These
benefits
would
not
accrue
until
after
negotiations
for
an
equivalency
agreement
have
been
held
and
completed
successfully,
which
could
be
a
lengthy
process.
An
estimated
5
percent
of
total
U.
S.
sales
are
from
exports.
Currently,
despite
restricted
access
to
the
European
market,
the
United
States
is
the
most
important
non
EU
supplier
of
489
organic
products
to
EU
countries
(
Foreign
Agriculture
Service
(
FAS),
1995).
Import
authorizations
have
been
granted
for
a
number
of
raw
and
processed
commodities,
including
sunflowers,
buckwheat,
beans,
sugar,
and
apples.
Demand
is
strong
throughout
the
European
market,
and
the
organic
market
share
was
1
2
percent
of
total
food
sales
in
1997
(
Collins
1999).
Medium
term
growth
rate
forecasts
range
from
5
10
percent
for
Germany
to
30
40
percent
for
Denmark,
and
is
20
30
percent
in
most
of
the
EU
countries,
according
to
the
International
Trade
Centre
UNCTAD/
WTO.
However,
most
analysts
are
basing
their
projected
future
growth
rates
on
straight
line
extrapolations
of
current
sales
and
growth
rates
without
understanding
the
underlying
market
mechanisms
and
price
elasticities
(
Lohr
1998).
Costs
of
the
Final
Rule
The
costs
of
the
regulation
are
the
direct
costs
of
complying
with
the
specific
standards.
It
is
important
to
note
that
while
some
costs
associated
with
accreditation
and
certification
are
quantified,
costs
stemming
from
other
provisions
of
the
final
regulations
are
not.
In
addition,
this
is
a
short
run
analysis.
The
analysis
examines
the
costs
that
may
be
incurred
through
2002.
It
is
not
possible
at
this
time
to
conduct
a
longer
run
analysis
because
we
do
not
know
enough
about
the
fundamental
supply
and
demand
relationships
to
make
economically
sound
long
run
projections.
Accreditation
Costs
USDA
has
identified
36
private
certifying
agents
and
13
State
programs
providing
certification
in
the
United
States.
These
49
entities
are
considered
likely
applicants
during
the
first
18
months
during
which
USDA
will
not
charge
application
fees
or
hourly
fees
for
accreditation.
An
unknown
number
of
new
entrants
to
the
certifying
business
may
also
apply.
490
However,
over
the
last
10
years,
the
number
of
certifying
agents
does
not
appear
to
have
grown
significantly,
with
the
net
effect
of
entries
and
exits
maintaining
a
population
of
certifying
agents
at
about
40
50.
The
final
rule
allows
USDA
to
collect
fees
from
certifying
agents
for
USDA
accreditation.
The
first
proposal
would
have
permitted
USDA
to
collect
fees
from
producers
and
handlers
as
well,
but
USDA
decided
that
it
would
be
administratively
simpler
to
collect
fees
only
from
certifiers
and
would
enable
State
programs
that
want
to
keep
client
costs
low
to
be
able
to
do
so.
Applicants
for
accreditation
will
be
required
to
submit
a
nonrefundable
fee
of
$
500
at
the
time
of
application,
which
will
be
applied
to
the
applicant's
fees
for
service
account.
This
means
that
the
$
500
fee
paid
at
the
time
of
application
is
credited
against
any
subsequent
costs
of
accreditation
arising
from
the
initial
review
and
the
site
evaluation.
The
$
500
fee
is
the
direct
cost
to
applicants
who
are
denied
accreditation
based
on
the
initial
review
of
the
information
submitted
with
their
application.
Charges
for
the
site
evaluation
visit
will
cover
travel
costs
from
the
duty
station
of
USDA
employees,
per
diem
expenses
for
USDA
employees
performing
the
site
evaluation,
an
hourly
charge
(
per
each
employee)
for
services
during
normal
working
hours
(
higher
hourly
rates
will
be
charged
for
overtime
and
for
work
on
holidays),
and
other
costs
associated
with
providing
service
to
the
applicant
or
certifying
agent.
At
present,
the
base
per
diem
for
places
in
the
United
States
is
$
85
($
55
for
lodging
and
$
30
for
meals
and
incidental
expenses).
Per
diem
rates
are
higher
than
$
85
in
most
large
cities
and
urbanized
places,
but
over
half
of
the
current
U.
S.
certifiers
are
located
in
places
that
have
an
$
85
per
diem
rate,
and
that
is
the
rate
used
to
calculate
average
certifier
expenses
in
table
3.
A
review
of
domestic
travel
by
USDA
staff
during
fiscal
year
1999
indicates
transportation
costs
491
ranging
from
$
500
to
$
600
per
person.
Miscellaneous
costs
are
estimated
to
add
another
$
50
to
each
site
visit.
The
hourly
rate
that
USDA
anticipates
charging
for
accreditation
is
the
rate
that
USDA
currently
charges
for
services
under
the
Quality
Systems
Certification
Program
(
QSCP).
Our
preliminary
estimate
that
this
rate
will
be
no
more
than
$
95
per
hour
is
presented
to
give
the
public
some
indication
of
the
rate
that
will
be
charged
following
the
18
month
transition
period.
QSCP
is
an
audit
based
program
administered
by
AMS,
which
provides
meat
producers,
handlers
(
packers
and
processors),
and
other
businesses
in
the
livestock
and
meat
trade
with
the
opportunity
to
have
special
processes
or
documented
quality
management
systems
verified.
The
procedures
for
accreditation
evaluation
are
similar
to
those
used
to
certify
other
types
of
product
or
system
certification
programs
under
QSCP.
Accreditation
will
include
verification
of
adherence
to
ISO
Guide
65
and
the
regulations.
Although
much
of
the
site
evaluation
for
accreditation
will
involve
comparisons
against
ISO
Guide
65,
additional
hours
will
be
required
because
USDA
will
be
evaluating
additional
aspects
of
the
applicant's
operation
to
determine
if
the
applicant
is
qualified
to
perform
as
an
accredited
agent
for
the
NOP.
Based
on
experience
with
the
QSCP
and
more
limited
experience
performing
audits
verifying
that
certifying
agents
meet
ISO
Guide
65,
we
project
that
a
site
evaluation
visit
for
small
applicants
with
a
simple
business
structure
will
require
3
days
of
review,
and
for
those
large
applicants
with
more
complex
business
structure
will
require
5
days
of
review.
USDA
will
use
two
reviewers
for
each
site
evaluation
visit
during
the
18
month
implementation
period,
as
well
as
for
new
applicants
after
that
period.
One
reviewer
will
come
from
the
QSCP
audit
staff
and
will
be
familiar
with
the
ISO
Guide
65
verification;
the
other
492
reviewer
will
come
from
the
NOP
staff
and
will
be
familiar
with
requirements
of
the
organic
program.
The
two
will
conduct
the
site
evaluation
jointly.
Two
reviewers
will
also
be
needed
for
the
site
evaluation
visits
for
the
accreditation
renewals,
which
will
take
place
every
5
years.
In
the
proposed
rule,
USDA
had
projected
that
only
one
reviewer
would
be
needed
for
site
evaluations
and
renewals
that
took
place
after
the
18
month
implementation
period
but
has
changed
that
projection
based
on
additional
experience
with
the
ISO
Guide
65
program.
During
the
18
month
implementation
period,
applicants
will
be
charged
for
travel
and
per
diem
costs
for
two
persons
and
for
miscellaneous
expenses
but
will
not
be
charged
application
fees
or
hourly
fees.
The
estimated
expenditures
for
these
initial
accreditations
is
$
1,560$
2,100,
with
$
510$
850
for
per
diem
expenses,
$
1,000$
1,200
for
travel
expenses,
and
$
50
for
miscellaneous
expenses
(
table
3).
The
cost
of
initial
site
evaluation
visits
will
vary
with
the
cost
of
travel
from
the
USDA
reviewer's
duty
station
to
the
applicant's
place
of
business.
In
general,
more
distant
and
remote
locations
will
involve
higher
travel
costs.
USDA
estimates
the
costs
of
a
site
evaluation
visit
after
the
transition
period
may
average
$
6,120$
9,700,
depending
on
the
characteristics
of
the
applicant,
including
$
4,500$
7,600
for
the
hourly
site
evaluation
charges
that
are
not
billed
to
the
certifier
during
the
first
18
months
(
table
3).
USDA
has
received
appropriated
funds
to
pay
for
the
hourly
site
evaluation
charges
only
during
the
first
18
months
of
the
program.
Currently,
few
private
certifying
agents
are
operating
with
third
party
accreditation.
Fetter
(
1999)
reports
that
in
a
sample
of
18
certification
programs,
four
programs
were
accredited,
and
one
had
accreditation
pending.
All
of
these
were
large,
private
certifying
agents.
Those
certifying
agents
currently
accredited
by
third
parties
will
likely
pay
less
for
USDA
493
accreditation.
In
its
first
proposal,
USDA
stated
at
FR
62:
65860,
"
We
are
aware
that
certifiers
currently
may
pay
in
excess
of
$
15,000
for
accreditation
by
a
private
organization."
Commenters
thought
this
figure
was
too
high.
One
commenter,
which
operates
the
International
Federation
of
Organic
Agriculture
Movements
(
IFOAM)
Accreditation
Programme
under
license
to
IFOAM,
stated,
"
It
is
possible
that
the
largest
programme
operating
a
chapter
system
with
activities
in
many
countries
(
which
is
included
in
their
IFOAM
evaluation)
paid
this
amount
in
their
first
year.
On
the
other
hand
the
average
cost
to
a
medium
sized
certifier
works
out
at
around
$
3000
to
$
4000
per
year."
Another
commenter
stated,
"
At
the
present
time
IFOAM
accreditation
costs
less
than
$
10,000/
year
for
the
largest
certifier
and
$
3
5,000
for
smaller
certifiers."
The
18
month
NOP
implementation
period
affects
the
distribution
of
program
costs
between
the
organic
industry
and
the
taxpayer.
Some
of
the
costs
of
accreditation
would
be
absorbed
by
the
NOP
operation
budget
appropriated
by
Congress.
In
effect,
the
taxpayers
are
subsidizing
the
organic
industry.
Without
this
subsidy,
the
total
cost
of
accreditation
would
approach
$
1
million.
The
direct
accreditation
costs
to
an
estimated
59
certifying
agents
(
including
all
49
current
U.
S.
certifiers
and
an
estimated
10
foreign
certifiers)
during
the
first
18
months
following
the
final
rule,
are
approximately
$
92,000
to
$
124,000.
This
figure
is
derived
from
the
per
firm
costs
in
table
3.
In
addition,
USDA
will
use
appropriated
funds
to
cover
approximately
$
270,000
$
448,000
in
hourly
charges
for
site
evaluation.
USDA
will
also
use
appropriated
funds
to
cover
the
costs
of
producing
and
publishing
an
accreditation
handbook
in
several
languages,
translating
USDA
reports
to
foreign
clients,
and
developing
and
funding
a
peer
review
panel
to
evaluate
NOP's
adherence
to
its
accreditation
procedures.
And
if
more
than
the
estimated
59
certifiers
494
apply
for
accreditation
during
the
first
18
months
of
the
program,
USDA
will
use
appropriated
funds
to
cover
additional
hourly
charges
for
site
evaluation.
Private
certifying
agents
and
State
programs
that
do
not
mirror
the
regulation
may
incur
additional
costs
to
change
their
programs
to
adopt
the
national
standards.
The
discussion
on
the
effect
of
the
regulation
on
existing
State
programs
is
in
"
State
Program
Costs."
The
cost
associated
with
changing
existing
private
certifying
programs
is
not
quantified.
Also,
certifying
agents
who
have
been
operating
without
third
party
accreditation
will
face
new
costs.
For
certifying
agents
who
currently
obtain
third
party
accreditation,
the
direct
costs
of
USDA
accreditation,
which
are
only
incurred
every
5
years,
may
be
lower
on
an
annual
basis
compared
to
the
direct
costs
for
third
party
certification
of
$
3,000$
5,000
per
year
indicated
by
the
commenters.
The
direct
costs
for
certifying
agents
obtaining
accreditation
during
the
first
18
months,
when
USDA
will
not
impose
an
application
fee
or
hourly
charges,
will
be
limited
to
travel,
per
diem,
and
miscellaneous
expenses.
A
national
accreditation
program
may
shrink
the
market
for
a
third
party
accreditation.
Certifying
agents
will
have
little
incentive
to
maintain
or
seek
a
second
accreditation
by
a
private
organization
unless
that
accreditation
sufficiently
enhances
the
market
value
of
the
certifying
agent's
services.
Thus,
the
market
will
determine
whether
other
accrediting
entities
continue
to
have
a
U.
S.
market
for
their
services.
Training
programs
are
currently
offered
by
the
Independent
Organic
Inspectors
Association
(
IOIA),
an
organization
of
approximately
165
organic
certification
inspectors,
and
by
some
of
the
larger
certifying
agents
(
IOIA).
Costs
to
existing
certifying
agents
to
provide
additional
training
to
other
staff
are
difficult
to
measure
in
the
absence
of
information
on
current
495
staff
skill
levels
or
the
existence
of
formal
training
other
than
inspector
training.
Some
agencies
rely
on
volunteer
staff
who
may
have
had
no
formal
training,
but
the
extent
of
this
practice
is
unknown.
AMS
intends
to
offer
assistance
to
certifying
agents,
producers,
and
handlers
by
providing
accreditation
training
for
certification
agents
and
other
printed
material
that
would
enable
participants
to
better
understand
the
regulations.
In
addition,
AMS
intends
to
continue
open
and
frequent
communication
with
certifying
agents
and
inspectors
to
provide
as
much
information
as
possible
to
aid
them
in
fulfilling
the
requirements
of
the
regulations.
The
OFPA
requires
that
private
certifying
agents
furnish
reasonable
security
for
the
purpose
of
protecting
the
rights
of
participants
in
the
organic
certification
program.
It
is
expected
that
there
will
be
costs
to
certifying
agents
from
these
requirements.
Implementation
of
the
final
rule
will
also
impose
a
less
tangible
cost
on
some
certifiers.
Some
private
certifiers
have
advertised
their
program
and
logo
as
representing
higher
standards
than
other
programs.
The
brand
value
associated
with
the
logos
of
these
certifiers
will
be
lost
when
uniform
standards
are
implemented
as
part
of
the
national
program.
However,
certifiers
will
still
be
able
to
distinguish
themselves
to
clients
based
on
the
quality
of
their
services
and
other
characteristics.
A
key
change
was
made
in
the
final
rule,
based
on
comments
to
the
March
2000
proposal,
to
make
the
standard
used
by
certifiers
to
determine
maximum
allowable
pesticide
residues
(
the
level
above
which
a
product
could
not
be
called
organic)
consistent
with
the
current
industry
standard
and
with
NOSB
recommendations.
In
the
final
rule,
the
standard
will
be
set
at
5
percent
of
the
pesticide
residue
tolerances
calculated
by
the
Environmental
Protection
Agency
(
EPA).
This
change
could
conceptually
reduce
costs,
but
the
magnitude
of
this
reduction
is
uncertain.
496
Certification
Costs
Under
the
final
rule,
USDA
will
not
impose
any
direct
fees
on
producers
and
handlers.
Certifying
agents
will
establish
a
fee
schedule
for
their
certification
services
that
will
be
filed
with
the
Secretary.
Certifying
agents
will
provide
all
persons
inquiring
about
the
application
process
with
a
copy
of
their
fees.
The
certifying
agent
will
provide
each
applicant
with
an
estimate
of
the
total
cost
of
certification
and
an
estimate
of
the
annual
costs
of
updating
the
certification.
Under
the
proposed
rule,
certifiers
could
charge
a
maximum
of
$
250
at
the
time
of
application,
but
under
the
final
rule,
certifiers
are
not
limited
in
the
amount
of
certification
fees
that
they
may
charge
at
the
time
of
application.
Some
States
charge
minimal
fees
for
certification
by
subsidizing
operating
costs
from
general
revenues.
The
majority
of
certifying
agents
structure
their
fee
schedules
on
a
sliding
scale
based
on
a
measure
of
size,
usually
represented
by
the
client's
gross
sales
of
organic
products
but
sometimes
based
on
the
acres
operated
(
Fetter
1999
and
Graf
and
Lohr
1999).
Some
certifying
agents
charge
an
hourly
rate
for
inspection
and
audit
services.
Graf
and
Lohr
have
applied
fee
schedules
provided
by
ten
certifying
agents
to
four
hypothetical
farms,
small,
medium,
large,
and
a
super
farm.
Tables
2A
and
2B
summarizes
the
fees
that
Graf
and
Lohr
found
by
applying
schedules
of
each
certifying
agent
to
hypothetical
farms.
Total
first
year
costs
and
subsequent
year
(
renewal)
costs
for
certification
are
shown.
The
average
cost
for
each
size
class
should
be
interpreted
with
care
because
it
is
not
weighted
by
the
number
of
clients
certified.
In
their
study,
the
Texas
Department
of
Agriculture
program
is
the
low
cost
certifying
agent
for
all
size
operations.
The
high
cost
certifying
agent
differs
across
farm
sizes.
None
of
these
certification
programs
mentions
costs
for
residue
testing,
which
the
497
NOP
will
require
in
the
form
of
preharvest
testing
when
there
is
reason
to
believe
that
agricultural
products
have
come
into
contact
with
prohibited
substances.
Preharvest
testing
is
expected
to
be
infrequent.
Some
certifying
agents
currently
require
soil
nutrient
testing
and
water
quality
testing.
The
estimated
total
initial
costs
for
a
producer
or
handler
to
become
certified
are
presented
in
table
3.
We
have
not
extended
the
average
costs
reported
in
Tables
2A
and
2B
to
aggregate
certification
costs
for
all
organic
farms
because
the
number
of
organic
farms
is
not
known
with
precision,
nor
is
their
geographic
location,
and
there
are
no
data
to
distribute
the
population
of
organic
farms
across
size
classes.
The
data
from
California
suggest
that
a
large
number
of
small
farmers
produce
and
market
organic
goods
without
third
party
certification,
but
those
data
may
not
be
representative
of
the
national
trend.
Although
many
of
the
smallest
farms
would
qualify
for
the
small
farm
exemption
from
certification,
if
consumers
accept
the
labeling
practices
required
by
this
final
rule,
small
farmers
may
obtain
certification
to
stay
in
the
organic
market,
which
may
involve
some
cost.
In
response
to
comments,
the
March
2000
proposal
was
changed
to
provide
that
if
a
conflict
of
interest
is
identified
within
12
months
of
certification,
the
certifying
agent
must
reconsider
the
application
and
may
reinspect
the
operation
if
necessary.
Additionally,
if
a
conflict
of
interest
is
identified,
the
certifying
agent
must
refer
the
operation
to
a
different
accredited
certifying
agent.
These
provisions
would
likely
increase
costs
to
certifiers;
however,
the
magnitude
of
this
increase
is
unknown.
Production
and
Handling
Costs
Producers
and
handlers
currently
active
in
the
organic
industry
may
bear
costs
under
the
498
national
standards.
We
believe
that
while
most
provisions
of
the
program
mirror
current
industry
practices,
there
are
some
differences.
In
addition
to
the
cost
associated
with
becoming
familiar
with
the
national
program,
any
adjustments
stemming
from
these
differences
will
result
in
costs.
These
costs
were
qualitatively
discussed
in
the
March
2000
RIA
for
major
provisions
of
the
rule
and
are
described
below.
The
March
2000
proposal
adhered
closely
to
recommendations
from
the
NOSB
and
largely
reflected
current
industry
standards.
Marginal
changes
have
been
made
in
the
final
rule
in
response
to
comments
on
the
March
2000
proposal.
These
changes
have
been
made
in
concert
with
NOSB
recommendations
and,
in
general,
have
been
made
to
clarify
or
add
flexibility
to
producer
and
handler
provisions
or
to
make
them
better
reflect
current
industry
standards.
Producers
Producers
of
organic
food
will
face
numerous
provisions
that
will
regulate
their
production
methods.
As
indicated
in
the
Baseline
section,
many
of
the
requirements
are
currently
followed
by
certified
organic
farmers.
Farming
operations
that
are
not
certified
but
are
registered
with
a
State
government,
such
as
California,
receive
copies
of
the
State
laws
to
which
they
must
comply.
The
costs
associated
with
adjusting
to
provisions
in
the
final
rule
may
be
minimal
for
certified
and
State
registered
growers
but
may
be
more
substantial
for
noncertified
organic
producers
that
do
not
follow
a
specific
set
of
guidelines
or
regulations.
Some
organic
producers
are
neither
certified
nor
registered
and,
therefore,
may
not
practice
the
requirements
in
the
final
rule.
Major
provisions
of
the
final
rule
the
withdrawal
period
required
for
land
to
be
free
of
prohibited
substances,
National
List,
animal
drug
use,
and
residue
tests
are
discussed
to
illustrate
costs;
other
provisions
may
also
impose
additional
costs.
499
A
3
year
withdrawal
period,
during
which
prohibited
materials
cannot
be
applied
to
a
field
to
be
certified
as
organic,
is
currently
required
by
most
private
and
State
organic
standards,
and
the
final
rule
also
specifies
a
3
year
period.
The
effect
of
this
provision
on
the
currently
certified
organic
farming
operations
may
be
minimal,
but
the
effect
on
farming
operations
that
are
neither
certified
nor
registered
may
be
significant.
Farming
operations
that
have
completed
a
3
year
withdrawal
period
will
not
be
affected
by
this
requirement.
To
stay
in
the
organic
industry,
those
who
have
not
completed
the
3
year
period
must
comply
with
this
requirement.
They
may
incur
the
cost
of
organic
production
for
a
significant
length
of
time,
yet
not
be
allowed
to
sell
their
products
as
organic.
Hence,
some
small
organic
operations
may
exit
the
industry.
The
impact
of
the
National
List,
which
lists
allowed
synthetic
substances
and
prohibited
nonsynthetic
substances
that
may
or
may
not
be
used
in
organic
production
and
handling
operations,
will
be
determined
by
how
the
national
standards
differ
from
current
certification
standards
and
from
actual
practice.
Lists
of
approved
synthetic
materials,
including
soil
amendments
and
pesticides,
vary
from
one
certification
program
to
another,
but
a
detailed
analysis
of
specific
differences
in
the
various
existing
materials
lists
shows
them
to
be
overlapping
in
most
cases
with
each
other
and
with
the
National
List.
The
degree
of
overlap
should
mitigate
the
costs
for
certified
operations,
but
farming
operations,
particularly
those
that
aren't
certified,
may
need
to
make
some
adjustments
to
comply
with
the
list.
These
adjustments
will
impose
costs
on
these
operations.
The
magnitude
of
the
costs
resulting
from
these
adjustments
is
not
quantified.
Where
livestock
standards
have
been
adopted
by
existing
State
programs
and
by
private
certifying
agents,
most
prohibit
the
use
of
animal
drugs
except
for
the
treatment
of
a
specific
disease
condition,
and
use
of
animal
drugs
is
generally
prohibited
within
90
days
prior
to
the
sale
500
of
milk
or
eggs
as
organic.
Some
State
and
private
certifiers
allow
the
use
of
animal
drugs
in
animals
for
slaughter
under
certain
conditions,
while
others
prohibit
the
use
of
animal
drugs.
The
standards
in
the
final
rule
would
prohibit
the
sale
as
organic
of
edible
products
derived
from
an
animal
treated
with
antibiotics
or
other
unapproved
substances.
The
standards
may
not
differ
from
existing
State
or
private
standards
in
prohibiting
the
use
of
drugs
on
healthy
animals.
However,
the
effect
of
this
provision
may
differ
among
certified
and
registered
organic
farms.
The
effect
on
the
certified
farming
operations
is
unknown.
We
assume
that
this
provision
may
have
costs,
but
the
magnitude
of
these
costs
is
not
quantified.
Additional
costs
may
be
imposed
by
several
further
changes
to
the
March
2000
proposal.
These
changes
involve
the
use
of
treated
lumber,
confinement
requirements,
and
the
commercial
availability
of
ingredients
in
products
labeled
"
organic."
The
replacement
of
lumber
treated
with
prohibited
substances
that
comes
into
contact
with
soil,
crops,
or
livestock
under
organic
management
with
treated
lumber
is
now
specifically
prohibited
in
organic
systems.
Since
the
use
of
lumber
treated
with
prohibited
substances
for
the
purpose
of
preventing
degradation
is
not
a
common
practice
in
livestock
production,
this
prohibition
is
not
expected
to
increase
producer
costs
substantially.
The
exact
magnitude
of
any
increase
is
uncertain
and
mainly
dependent
upon
the
number
of
producers
seeking
organic
certification
that
currently
use
treated
lumber
in
their
operations
and
are
planning
to
replace
that
lumber.
The
confinement
provisions
in
the
March
2000
proposal
have
been
slightly
modified.
Access
to
the
outdoors
is
now
an
explicitly
required
element
for
all
organically
raised
livestock.
We
expect
this
change
to
have
a
minor
impact
on
overall
producer
costs,
since
we
assume
most
501
producers
raising
organic
livestock
already
provide
access
to
the
outdoors.
Additionally,
the
term,
"
pasture,"
has
been
defined
to
emphasize
that
livestock
producers
must
manage
their
land
to
provide
nutritional
benefit
to
grazing
animals
while
maintaining
or
improving
soil,
water,
and
vegetative
resources
of
the
operation.
To
the
extent
producers
desiring
to
raise
organic
livestock
do
not
currently
manage
pasture
in
this
manner,
we
expect
livestock
production
costs
to
increase.
The
organic
plan
now
requires
using
organically
produced
minor
agricultural
ingredients
unless
not
commercially
available.
This
applies
to
the
previously
allowed
5
percent
nonorganic
agricultural
and
other
ingredients
in
products
labeled
"
organic."
Handlers
of
organically
produced
minor
ingredients,
especially
herbs
and
spices,
are
likely
to
benefit
from
this
market
incentive,
while
producers
of
nonorganic
minor
ingredients
will
likely
be
adversely
affected.
Producers
will
also
realize
a
burden
associated
with
providing
the
documentation
of
commercial
availability
for
ingredients
in
the
5
percent
component.
Since
the
criteria
to
determine
commercial
availability
will
be
developed
after
additional
comments
and
information
are
considered,
the
magnitude
of
the
cost
and
benefit
implications
from
this
standard
are
currently
unquantifiable
but
will
likely
be
largely
dependent
upon
the
stringency
of
the
developed
criteria.
Producers
will
also
have
administrative
costs
for
reporting
and
recordkeeping,
although
producers
who
currently
are
active
in
the
organic
industry
already
perform
most
of
these
administrative
functions,
and
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
are
different
from
the
requirements
of
the
final
rule.
The
annual
reporting
and
recordkeeping
burden
on
producers
is
estimated
at
24
hours
for
certified
producers
and
1
hour
of
recordkeeping
for
small
producers
who
choose
to
operate
as
exempt
entities
and
is
valued
at
$
23
per
hour.
502
Other
provisions
of
the
final
rule,
such
as
those
on
residue
testing,
livestock
housing
and
feed,
and
health
care
practices,
may
vary
enough
from
those
followed
by
some
growers
that
they
may
impose
costs
due
to
the
variability
in
current
housing,
feed,
and
health
care
practices,
but
lacking
information,
we
have
not
quantified
these
costs.
There
were
also
several
key
changes
made
in
the
final
rule,
based
on
comments
to
the
March
2000
proposal,
that
will
add
flexibility
to
producer
standards.
A
specific
type
of
production
facility
was
required
for
composting
manure
in
the
proposal,
and
this
provision
has
been
modified
to
ensure
that
manure
is
adequately
composted
while
allowing
variation
in
the
type
of
facility
that
is
used.
Also,
the
transition
period
of
a
dairy
operation
to
make
a
whole
herd
conversion
to
organic
production
has
been
reduced
in
order
to
make
conversion
affordable
for
a
wider
range
of
dairy
farms,
including
smaller
operations.
Finally,
the
requirement
that
slaughter
stock
sold,
labeled,
or
represented
as
organic
be
under
continuous
organic
management
from
birth
was
changed
to
require
continuous
organic
management
from
the
last
third
of
gestation.
This
change
is
also
expected
to
provide
possible
cost
savings
and
added
flexibility
for
producers.
Handlers
Handlers
of
organic
food
are
defined
and
regulated
differently
across
different
certifying
agents
and
States.
Due
to
this
variability,
handlers
may
incur
some
cost
associated
with
complying
with
the
requirements
of
the
regulation.
Several
key
changes
were
made
in
the
final
rule,
based
on
comments
to
the
March
2000
proposal,
to
make
handler
standards
more
consistent
with
current
industry
standards.
The
proposal
prohibited
the
addition
of
sulfites
to
wine
as
required
by
OFPA.
The
statute
has
been
changed
since
March,
and
the
final
rule
will
permit
added
sulfites
in
wine
labeled
"
made
with
organic
grapes,"
consistent
with
industry
standards
and
503
NOSB
recommendations.
Also,
the
March
proposal
required
products
labeled
"
made
with
organic
ingredients"
to
have
ingredients
that
were
at
least
50
percent
organic,
and
this
threshold
has
been
raised
to
70
percent
in
the
final
rule.
Some
certifiers
set
their
thresholds
at
50
percent,
others
at
70
percent,
while
others
restrict
labeling
to
individual
ingredients
only.
The
international
industry
standard
outside
the
United
States
is
set
at
70
percent.
The
threshold
is
set
at
70
percent
in
the
final
rule
inresponese
to
comments
received
on
the
proposal
and
to
be
consistent
with
international
standards,
which
will
help
ease
export
of
U.
S.
organic
product
into
those
markets.
Alternatively,
to
the
extent
handlers
do
not
currently
meet
the
70
percent
threshold
to
label
products
"
made
with
organic
ingredients,"
handlers
may
incur
additional
costs
to
reach
the
threshold
or
exit
the
industry.
The
magnitude
of
those
effects
is
unknown.
In
addition
to
the
labeling
requirement,
a
handler's
current
use
of
nonsynthetic
and
synthetic
substances
may
change
in
response
to
the
final
rule.
The
March
2000
proposal
provided
for
the
use
of
any
prohibited
substance
to
prevent
or
control
pests.
This
provision
has
been
changed
to
first
limit
the
use
of
nonsynthetic
and
synthetic
substances
to
substances
which
are
on
the
National
List
before
allowing
the
use
of
any
synthetic
substance.
To
the
extent
to
which
handlers
are
now
required
to
consider
substances
on
the
National
List
before
using
a
prohibited
substance
and
these
substances
on
the
National
List
are
priced
differently
from
the
substance
otherwise
used,
handlers
may
incur
a
change
in
production
costs.
This
requirement
may
increase
costs
on
handlers,
but
the
magnitude
of
this
increase
is
unknown.
In
addition,
the
commercial
availability
requirement
in
the
final
rule,
described
in
the
producer
costs
section,
may
also
create
a
burden
on
handlers
to
consistently
apply
the
standard.
504
To
the
extent
to
which
sourcing
organically
produced
ingredients
in
excess
of
95
percent
of
the
finished
product
is
more
expensive
than
sourcing
nonorganically
produced
ingredients,
handlers
seeking
the
"
organic"
label
for
their
products
will
incur
additional
costs.
As
previously
described,
the
magnitude
of
the
cost
implications
from
this
standard
is
currently
unquantifiable
but
will
likely
be
largely
dependent
upon
the
stringency
of
the
standard
that
is
developed.
Handlers
will
also
have
administrative
costs
for
reporting
and
recordkeeping,
although
handlers
who
currently
are
active
in
the
organic
industry
already
perform
most
of
these
administrative
functions,
and
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
are
different
from
the
requirements
of
the
final
rule.
The
annual
reporting
and
recordkeeping
burden
on
handlers
is
estimated
at
63
hours
for
certified
handlers
and
1
hour
of
recordkeeping
for
small
handlers
who
choose
to
operate
as
exempt
entities
and
is
valued
at
$
23
per
hour.
Retail
Food
Establishments
Most
retailers
are
not
currently
subject
to
either
voluntary
practices
or
mandatory
standards
of
the
organic
industry.
Retailers
that
have
organic
processing
operations,
such
as
organic
food
delis
and
bakeries,
are
not
required
to
be
certified
in
the
final
rule.
However,
retailers
will
be
subject
to
requirements
such
as
prevention
of
contamination
of
organic
products
with
prohibited
substances,
and
commingling
organic
with
nonorganic
products.
Obtaining
certification
and
complying
with
these
provisions
will
incur
some
cost.
Labeling
Costs
Certified
handlers
will
have
to
comply
with
requirements
regarding
the
approved
use
of
labels.
In
addition,
any
producers,
handlers,
and
retailers
who
are
not
currently
certified
but
who
505
package
organic
products
are
also
subject
to
the
labeling
requirements.
The
estimated
annual
cost
for
handlers
to
determine
the
composition
of
20
products
to
be
reported
on
labels
is
$
1,647,000.
This
figure
is
based
on
an
average
of
1
hour
per
product
per
handler
and
an
hourly
cost
of
$
27.
Similarly,
certified
handlers
will
have
to
design
their
labels
to
comply
with
the
regulation.
This
is
expected
to
take
1
hour
per
label
at
$
27
per
hour
for
a
compliance
cost
of
$
1,647,000.
Total
label
costs
for
handlers
are
$
3.3
million.
Any
changes
to
existing
labels
and
new
labels
that
need
to
conform
to
the
regulation
will
incur
a
cost.
The
costs
associated
with
these
activities
are
not
quantified.
Hence,
the
lower
bound
on
the
labeling
cost
is
approximately
$
4
million.
State
Program
Costs
The
national
program
may
impose
additional
costs
on
States
by
requiring
changes
in
their
existing
programs.
The
rule
encompasses
most
of
the
principles
of
existing
State
programs.
However,
there
are
also
departures.
Where
State
standards
are
below
Federal
standards
or
where
elements
of
the
Federal
standards
are
missing
from
a
State
program,
these
States
would
be
required
to
make
changes
in
their
programs
that
they
might
otherwise
not
make.
Where
State
programs
have
standards
in
addition
to
the
Federal
standards
and
they
are
not
approved
by
the
Secretary,
States
also
would
be
required
to
make
changes
in
their
programs.
States
without
organic
standards
or
whose
current
standards
either
would
conform
to
those
of
the
national
program
or
would
be
approved
by
the
Secretary
would
not
incur
additional
costs
resulting
from
required
changes.
Currently,
USDA
cannot
predict
which
States
may
be
required
to
adjust
their
existing
programs.
States
that
conduct
certification
activities
will
be
charged
for
accreditation,
something
none
of
them
pay
for
now.
The
cost
associated
with
this
provision
is
discussed
in
the
506
Accreditation
section.
Enforcement
costs
Enforcement
costs
will
fall
upon
USDA's
NOP,
States
operating
State
organic
programs,
and
on
State
and
private
certifying
agents.
Certifying
agents
will
review
clients'
operations
and
will
notify
clients
of
deficiencies.
Certifying
agents
can
initiate
suspension
or
revocation
of
certification.
Certifying
agents
will
be
aware
of
these
overhead
costs,
and
we
assume
that
they
will
establish
fee
schedules
that
will
cover
these
costs.
Actual
costs
to
certifying
agents
for
enforcement
activities
will
depend
on
the
number
of
clients,
how
well
informed
clients
are
of
their
obligations,
and
client
conduct.
State
certifying
agents
will
face
the
same
obligations
and
types
of
costs
as
private
certifying
agents.
In
States
operating
State
organic
programs
(
SOP),
State
enforcement
costs
are
costs
associated
with
ensuring
that
certified
operations
fulfill
their
obligations.
These
States
will
bear
the
costs
of
investigating
complaints,
monitoring
use
of
the
State
organic
seal
and
organic
labeling,
and
taking
corrective
action
when
needed.
These
States
will
bear
costs
related
to
reviewing
an
applicant's
or
certified
operation's
appeal
and
for
administrative
proceedings.
Many
of
these
activities
are
already
a
routine
part
of
the
certification
program
in
States
that
have
programs,
and
USDA
will
fill
in
gaps
in
enforcement
in
States
that
choose
not
to
have
programs.
USDA's
enforcement
costs
are
costs
associated
with
ensuring
that
certifying
agents
fulfill
their
obligations.
In
States
without
an
organic
program,
USDA
will
bear
the
costs
of
investigating
complaints,
monitoring
use
of
the
USDA
organic
seal
and
organic
labeling,
and
taking
corrective
action
when
needed.
USDA
will
bear
costs
related
to
reviewing
an
applicant's
or
certified
or
accredited
operation's
appeal
and
for
administrative
proceedings.
USDA
expects
507
to
effectively
carry
out
its
enforcement
responsibilities
using
funds
that
are
already
allocated
for
operating
the
NOP.
To
the
extent
to
which
we
did
not
estimate
the
likely
noncompliance
rate,
the
cost
associated
with
enforcement
remains
unknown.
Reporting
and
Recordkeeping
Costs
The
Paperwork
Reduction
Act
of
1995
requires
an
estimate
of
the
annual
reporting
and
recordkeeping
burden
of
the
NOP.
The
estimated
annual
reporting
and
recordkeeping
burden
reported
is
approximately
$
13
million.
This
figure
should
be
understood
within
the
context
of
the
requirements
of
the
Paperwork
Reduction
Act.
The
Paperwork
Reduction
Act
requires
the
estimation
of
the
amount
of
time
necessary
for
participants
to
comply
with
the
regulation
in
addition
to
the
burden
they
currently
have.
Information
gathered
by
AMS
in
auditing
activities
in
conjunction
with
ISO
Guide
65
verifications
leads
us
to
believe
that
the
paperwork
burden
on
current
certifying
agents
and
certified
operators
will
be
10
to
15
percent
greater
than
their
current
business
practices
as
a
result
of
this
final
rule.
Certifying
Agents.
The
regulation
will
impose
administrative
costs
on
certifying
agents
for
reporting
and
recordkeeping.
The
actual
amount
of
the
additional
administrative
costs
that
would
be
imposed
by
the
rule
is
expected
to
be
different
for
those
entities
that
would
begin
their
activities
only
after
the
national
program
is
implemented.
Certifying
agents
that
currently
are
active
in
the
organic
industry
already
perform
most
of
these
administrative
functions;
therefore,
the
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
are
different
from
the
requirements
of
the
regulation.
An
estimate
of
the
cost
of
compliance
is
the
annual
reporting
and
recordkeeping
burden
documented
in
the
Paperwork
Reduction
Act
of
1995
analysis.
Table
4
shows
the
estimated
annual
costs
for
certifying
agents.
Certifying
agencies
each
508
have
an
estimated
burden
of
1,068
hours
valued
at
roughly
$
27,729.
The
following
list
describes
several
of
the
most
significant
administrative
requirements
or
optional
submissions
and
the
probable
resources
required
for
compliance.
Details
on
the
reporting
and
recordkeeping
burdens
estimated
for
each
item
are
in
the
paperwork
analysis.
1.
A
list
of
farmers,
wild
crop
harvesters,
and
handlers
currently
certified.
This
information
can
be
compiled
from
existing
records.
After
implementation,
certifying
agents
will
be
required
to
submit
on
a
quarterly
basis
a
list
of
operations
certified
during
that
quarter.
2.
A
copy
of
procedures
used
for
certification
decisions,
complying
with
recordkeeping
requirements,
maintaining
confidentiality
of
client's
business
related
information,
preventing
conflicts
of
interest,
sampling
and
residue
testing,
training
and
supervising
personnel,
and
public
disclosure
of
prescribed
information
concerning
operations
they
have
certified
and
laboratory
analyses.
These
policies
may
have
to
be
created
or
modified
to
conform
to
the
regulation.
3.
Documentation
on
the
qualifications
of
all
personnel
used
in
the
certification
operation,
annual
performance
appraisals
for
each
inspector
and
personnel
involved
in
the
certification,
and
an
annual
internal
program
evaluation.
Existing
certifying
agents
may
already
perform
these
operations.
New
certifying
agents
will
have
to
establish
procedures
to
achieve
these
things.
4.
Documentation
on
the
financial
capacity
and
compliance
with
other
administrative
requirements
(
e.
g.,
fee
structure,
reasonable
security
to
protect
the
rights
of
the
certifying
agent's
clients
as
provided
in
the
NOP,
and
business
relationships
showing
absence
of
conflicts
of
interest).
Some
of
this
information
can
be
compiled
from
existing
records,
e.
g.,
fee
schedules,
and
some
may
be
generated
from
other
sources.
5.
Copies
must
be
submitted
to
USDA
of
all
notices
that
are
issued
on
certification
denial,
509
noncompliance,
and
suspension
or
revocation
of
certification.
This
requirement
will
be
fulfilled
simultaneously
with
sending
notices
to
applicants
or
clients.
6.
An
annual
report
to
the
Administrator
including
an
update
of
previously
submitted
business
information,
information
supporting
any
requested
changes
in
the
areas
of
accreditation,
and
steps
taken
to
respond
to
previously
identified
concerns
of
the
Administrator
regarding
the
certifying
agent's
suitability
for
continued
accreditation.
The
annual
report
requirement
will
draw
on
records
created
in
the
normal
course
of
business.
7.
Retention
of
records
created
by
the
certifying
agent
regarding
applicants
and
certified
operations
for
not
less
than
10
years,
retention
of
records
obtained
from
applicants
and
certified
operations
for
not
less
than
5
years,
and
retention
of
other
records
created
or
received
for
USDA
accreditation
for
not
less
than
5
years.
This
activity
requires
records,
database
management
capabilities,
and
resources
(
storage
space,
file
cabinets,
electronic
storage,
etc.).
In
an
informal
inquiry,
AMS
found
that
most
existing
certifying
agents
currently
retain
records
for
at
least
10
years
and
use
both
electronic
and
paper
storage.
We
believe
that
this
requirement
will
not
pose
an
additional
burden
on
existing
certifying
agents.
8.
Public
access
to
certification
records,
such
as
a
list
of
certified
farmers
and
handlers,
their
dates
of
certification,
products
produced,
and
the
results
of
pesticide
residue
tests.
This
requirement
will
have
minimal
impact
given
the
requirements
for
retaining
records.
9.
Providing
program
information
to
certification
applicants.
To
comply
with
this
requirement,
certifying
agents
may
need
to
modify
existing
standards
and
practices.
The
criteria
for
qualified
personnel
in
the
rule
may
likely
result
in
an
increase
in
labor
costs
for
some
existing
certifying
agents
and,
initially,
an
increase
in
training
costs.
The
amount
of
additional
costs
to
510
these
certifying
agents
would
depend
on
the
level
of
expertise
among
current
certification
agency
staff,
the
extent
to
which
certifying
agents
currently
rely
on
volunteers,
and
the
current
costs
of
training
certification
staff.
Producers
and
Handlers.
The
regulation
will
impose
administrative
costs
on
producers
and
handlers
for
reporting
and
recordkeeping.
The
actual
amount
of
the
additional
administrative
costs
that
would
be
imposed
by
the
final
rule
is
expected
to
be
different
for
those
entities
that
would
begin
their
activities
only
after
the
national
program
is
implemented.
Producers
and
handlers
who
currently
are
active
in
the
organic
industry
already
perform
most
of
these
administrative
functions;
therefore,
the
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
are
different
from
the
requirements
of
the
final
regulation.
An
estimate
of
the
cost
of
compliance
is
the
annual
reporting
and
recordkeeping
burden
documented
in
the
Paperwork
Reduction
Act
of
1995
analysis.
The
following
list
describes
several
administrative
requirements
or
optional
submissions
and
the
probable
resources
required
for
compliance.
1.
Establish,
implement,
and
update
annually
an
organic
production
or
handling
plan.
Organic
plans
are
a
standard
feature
in
the
organic
industry
and
are
required
by
certifying
agents.
Thus,
producers
and
handlers
who
are
already
involved
in
organics
can
rely
on
their
current
plan
with
revisions
as
needed
to
meet
elements
of
the
national
program
which
are
new
to
them
or
differ
from
their
current
practice.
Although
producers
and
handlers
are
generally
aware
of
the
goals
of
organic
plans,
current
practice
may
fall
short
of
the
rigor
that
will
be
required
by
the
national
program.
New
producers
and
handlers
will
have
higher
costs
because
they
will
have
to
prepare
a
plan
from
scratch.
511
2.
Maintain
records
pertaining
to
their
organic
operation
for
at
least
5
years
and
allow
authorized
representatives
of
the
Secretary,
the
applicable
State
organic
program's
governing
State
official,
and
the
certifying
agent
access
to
records.
Existing
organic
producers
and
handlers
maintain
records.
New
producers
and
handlers
will
have
to
develop
records
systems.
Access
is
expected
to
be
infrequent,
will
require
little
time
of
the
certified
entity,
and
will
not
require
buildings
or
equipment
other
than
what
is
required
for
storing
records.
3.
Notify
the
certifying
agent
as
required
(
e.
g.,
when
drift
of
a
prohibited
substance
may
have
occurred)
and
complete
a
statement
of
compliance
with
the
provisions
of
the
NOP.
Notifications
are
expected
to
be
infrequent.
The
total
reporting
burden
includes
creation
and
submission
of
documents.
It
covers
the
greatest
amount
of
reporting
burden
that
might
occur
for
any
single
creation
or
submission
of
a
document
during
any
one
of
the
first
3
years
following
program
implementation;
i.
e.,
2000,
2001,
and
2002.
The
total
estimated
reporting
burden
reflects
the
average
burden
for
each
reporting
activity
that
might
occur
in
1
year
of
this
3
year
period.
The
total
recordkeeping
burden
is
the
amount
of
time
needed
to
store
and
maintain
records.
For
the
purpose
of
measuring
the
recordkeeping
burden,
the
year
2002
is
used
as
the
reporting
year
for
which
the
largest
number
of
records
might
be
stored
and
maintained.
The
annual
reporting
and
recordkeeping
burden
on
producers,
handlers,
and
certifying
agents
is
summarized
in
table
4.
The
annual
burden
on
certified
producers
is
estimated
at
24
hours
and
$
552.
Certified
handlers
have
an
estimated
burden
of
63
hours
valued
at
$
1,449.
The
burden
on
small
producers
and
handlers
who
choose
to
operate
as
exempt
entities
is
minimal,
1
hour
of
recordkeeping
valued
at
$
23.
If
this
cost
is
applied
to
the
total
estimated
number
of
512
affected
producers,
the
reporting
and
recordkeeping
cost
would
be
$
5,260,100
in
2000
and
$
6,835,554
in
2002.
By
applying
this
cost
figure
to
the
estimated
total
number
of
affected
handlers,
the
reporting
and
recordkeeping
cost
would
be
$
2,143,002
in
2000
and
$
3,013,552
in
2002.
Barriers
to
Entry
Importers
of
Organic
Products
Currently,
there
are
no
Federal
restrictions
on
importing
organic
products
to
the
United
States
in
addition
to
those
regulations
applying
to
conventional
products.
If
the
imposition
of
the
NOP
decreases
the
importation
of
organic
food
into
the
United
States,
then
this
regulatory
action
may
result
in
some
cost.
Small
Business
Ramifications
USDA's
final
rule
has
an
18
month
period
during
which
applicants
for
accreditation
would
not
be
billed
for
hourly
services.
The
rationale
for
this
transition
period
is
to
reduce
the
costs
to
certifying
agents
and,
thus,
increase
the
prospect
that
certifying
agents,
producers,
and
handlers
will
be
able
to
afford
to
participate
in
the
national
program.
The
choice
of
18
months
is
intended
to
provide
sufficient
time
for
parties
desiring
accreditation
to
submit
their
application
and
prepare
for
a
site
evaluation.
USDA
will
operate
the
program
partially
with
appropriated
funds,
in
effect
sharing
the
cost
of
the
program
between
taxpayers
and
the
organic
industry,
to
respond
to
public
concerns
regarding
the
effects
of
the
regulation
on
small
businesses.
Thousands
of
comments
were
received
opposing
the
first
proposal's
fee
provisions
with
most
focusing
on
the
substantial
impact
on
small
certifying
agents.
Congress
has
expressed
public
policy
concern
with
the
impacts
of
regulations
on
small
513
entities
generally
and
with
the
impacts
on
the
NOP
regulations
on
small
entities
particularly.
The
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996
and
the
Regulatory
Flexibility
Act
express
Congressional
concern
regarding
regulatory
burden
on
small
businesses.
The
Report
from
the
Committee
on
Appropriations
regarding
the
Agriculture,
Rural
Development,
Food
and
Drug
Administration,
and
Related
Agencies
Appropriations
Bill,
2000,
includes
the
following
language
(
U.
S.
Senate
1999):
"
The
Committee
continues
to
recognize
the
importance
of
organic
markets
for
small
farmers
and
fishermen.
The
Committee
expects
the
Secretary
to
construct
a
national
organic
program
that
takes
into
consideration
the
needs
of
small
farmers
and
fishermen.
...
Furthermore,
the
Committee
expects
that
of
the
funding
available
for
the
National
Organic
Program,
necessary
funds
should
be
used
to
offset
the
initial
costs
of
accreditation
services,
a
subsidy
necessary
due
to
the
lack
of
expertise
in
the
Department
of
Agriculture
in
the
areas
of
organic
accreditation
and
insufficient
data
on
the
industry."
Certifying
agents
applying
for
accreditation
during
the
first
18
months
following
the
final
regulation
will
face
lower
direct
costs
than
subsequent
applicants.
The
cost
for
later
applicants
for
accreditation
will
be
higher
because
they
will
have
to
pay
a
$
500
application
fee
and
hourly
charges
for
completing
their
site
evaluation.
The
requirement
for
accreditation
was
established
in
the
OFPA
in
1990
and
the
accreditation
program
was
part
of
the
1997
proposal.
Because
in
this
final
rule,
USDA
is
using
appropriated
funds
to
cover
some
of
the
costs
of
initial
accreditation
during
the
first
18
months
of
the
program,
certifying
agents
may
set
lower
fees
initially
benefiting
the
producers
and
handlers
who
are
certified
during
this
period.
It
is
important
to
note
that
many
small
organic
operations
may
not
be
certified
currently.
514
In
California,
for
example,
many
small
farms
are
registered
but
not
certified.
Even
if
certifying
agents
pass
on
the
cost
savings
of
the
18
month
period
provision
to
applicants
for
certification,
the
cost
of
certification
may
be
higher
than
the
cost
of
registration.
Hence,
becoming
a
certified
operation
for
small
organic
producers
and
handlers
may
be
more
costly
than
the
current
practices.
The
costs
imposed
on
small
operations
may
be
mitigated
by
a
$
5000
certification
exemption
to
aid
the
smallest
organic
operations.
However,
these
operations
are
still
subject
to
other
requirements
of
the
regulation.
To
the
extent
that
these
requirements
differ
from
their
current
practices,
complying
with
the
national
standards
may
be
costly
for
exempt
operations.
In
addition,
the
certification
exemption
allowed
under
the
regulation
includes
limits
on
what
an
exempt
operation
may
do.
Without
the
certification,
small
organic
operations
may
not
display
the
USDA
seal
and
may
not
use
a
certifying
agent's
seal.
If
the
consumers
of
organic
food
view
the
seals
as
important
information
tools
on
organic
food;
that
is,
if
consumers
of
organic
products
insist
on
only
certified
organic
products,
the
inability
of
small
operations
to
display
these
seals
may
prevent
them
from
realizing
the
price
premiums
associated
with
certified
organic
products.
Industry
Composition
The
imposition
of
the
national
standards
may
change
the
composition
of
the
organic
industry.
Even
with
the
small
business
exemptions,
some
small
organic
operations
may
choose
to
exit
the
industry,
and
small
organic
operations
may
also
be
discouraged
from
entering
the
industry,
resulting
in
a
higher
concentration
of
larger
firms.
On
the
other
hand,
it
may
be
easier
for
small
operations
to
comply
with
certain
NOP
standards,
such
as
the
livestock
standards
that
prohibit
confinement
production
systems
and
require
100
percent
organic
feed.
And
State
and
515
Federal
certification
and
conservation
cost
share
programs
and
other
government
programs
may
help
lower
the
impact
on
small
producers.
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142.
Table
1.
516
TABLE
1.
U.
S.
ORGANIC
PRODUCT
SALES,
1990
99
($
billions)
Year
Export
Direct
Export/
Mass
Natural
Natural
Total
Total
Direct
Market
Foods
Foods
Sales
Sales
Subtotal
Stores
(
1999
$)
Stores
(
1999
$)
1990
1
1.27
1991
0.04
0.27
0.31
0.09
0.85
1.04
1.25
1.53
1992
0.07
0.32
0.39
0.12
1.03
1.22
1.54
1.83
1993
0.11
0.36
0.47
0.14
1.29
1.49
1.90
2.19
1994
0.20
0.39
0.60
0.17
1.54
1.73
2.31
2.60
1995
1/
1/
0.71
0.21
1.87
2.04
2.79
3.05
1996
1/
1/
1/
1/
3.5
3.72
1997
2/
1998
3.28
3.35
1999
4.00
4.00
Source:
Natural
Foods
Merchandiser,
New
Hope
Communications
.
=
Not
reported.
1/
New
Hope
Communications
reported
a
combined
estimate
for
export
and
direct
sales
in
1995
and
reported
a
different
set
of
subcategories
in
1996
and
has
reported
only
on
sales
in
natural
foods
stores
since
1996.
2/
New
Hope
Communications
did
not
estimate
natural
product
store
sales
in
1997,
but
the
Hartman
Group
estimated
these
sales
at
$
4.9
billion.
517
TABLE
2A.
FIRST
YEAR
CERTIFICATION
COSTS,
FROM
GRAF
AND
LOHR
ANALYSIS
(
dollars)
Certifying
agent
Small
farm
Medium
farm
Large
farm
Super
farm
CCOF
850
1,750
4,850
51,250
FVO
698
1,737
5,214
51,550
FOG
810
1,860
4,860
51,210
NOFA
VT
335
535
585
585
NC/
SCS
700
900
1,000
2,000
OGBA
1,290
3,300
12,300
33,296
OTCO
In
608
1,603
2,517
150,300
OTCO
Out
768
1,698
2,852
12,052
OCIA
WI
315
1,590
6,090
75,090
OCIA
VA
258
320
495
1,745
TDA
90
155
200
575
WSDA
480
1,555
3,040
12,480
Average
cost
579
1,414
3,623
33,276
Notes:
CCOF
California
Certified
Organic
Farmers
FVO
Farm
Verified
Organic
FOG
Florida
Certified
Organic
Growers
&
Consumers
NOFA
VT
Northeast
Organic
Farming
Association
Vermont
NC/
SCS
NutriClean/
Scientific
Certification
Systems
OBBA
Organic
Growers
and
Buyers
Association
OTCO
In
Oregon
Tilth
Certified
Organic,
inside
Oregon
OTCO
Out
Oregon
Tilth
Certified
Organic,
outside
Oregon
OCIA
WI
Organic
Crop
Improvement
Association,
Wisconsin
chapter
OCIA
VA
Organic
Crop
Improvement
Association,
Virginia
chapter
TDA
Texas
Department
of
Agriculture
WSDA
Washington
State
Department
of
Agriculture
Small
farm
25
acres
with
annual
sales
of
$
30,000.
Medium
farm
150
acres
with
annual
sales
of
$
200,000.
Large
farm
500
acres
with
annual
sales
of
$
800,000.
Super
farm
3,000
acres
with
annual
sales
of
$
10,000,000.
518
TABLE
2B.
SUBSEQUENT
YEAR
CERTIFICATION
COSTS,
FROM
GRAF
AND
LOHR
ANALYSIS
(
dollars)
Certifying
agent
Small
farm
Medium
farm
Large
farm
Super
farm
CCOF
425
1,300
4,350
50,550
FVO
510
1,499
4,851
51,187
FOG
325
845
2,525
25,525
NOFA
VT
300
500
550
550
OTCO
In
454
1,611
2,362
11,363
OTCO
Out
424
1,353
2,207
11,208
OCIA
WI
290
1,565
6,065
75,065
OCIA
VA
233
295
470
1,720
TDA
90
155
200
515
WSDA
330
1,375
2,800
12,000
NC/
SCS
700
900
1,000
2,000
Average
cost
371
1,036
2,489
21,971
Notes:
CCOF
California
Certified
Organic
Farmers
FVO
Farm
Verified
Organic
FOG
Florida
Certified
Organic
Growers
&
Consumers
NOFA
VT
Northeast
Organic
Farming
Association
Vermont
NC/
SCS
NutriClean/
Scientific
Certification
Systems
OBBA
Organic
Growers
and
Buyers
Association
OTCO
In
Oregon
Tilth
Certified
Organic,
inside
Oregon
OTCO
Out
Oregon
Tilth
Certified
Organic,
outside
Oregon
OCIA
WI
Organic
Crop
Improvement
Association,
Wisconsin
chapter
OCIA
VA
Organic
Crop
Improvement
Association,
Virginia
chapter
TDA
Texas
Department
of
Agriculture
WSDA
Washington
State
Department
of
Agriculture
Small
farm
25
acres
with
annual
sales
of
$
30,000.
Medium
farm
150
acres
with
annual
sales
of
$
200,000.
Large
farm
500
acres
with
annual
sales
of
$
800,000.
Super
farm
3,000
acres
with
annual
sales
of
$
10,000,000.
519
TABLE
3.
COSTS
OF
ACCREDITATION
AND
CERTIFICATION
Estimated
costs
to
certifying
agents
during
first
18
months
Application
fee
$
0
1
Site
evaluation
costs
(
two
person
team)
Per
diem
(
3
to
5
days
at
$
85/
day)
Travel
(
domestic)
Hourly
charges
(
not
billed
during
the
first
18
months)
Miscellaneous
charges
(
copying,
phone,
and
similar
costs)
$
510
to
$
850
$
1,000
to
$
1,200
$
0
$
50
Total
$
1,560
to
$
2,100
Estimated
costs
to
certifying
agents
for
initial
accreditation
after
first
18
months
Site
evaluation
costs
(
two
person
team)
Per
diem
(
3
to
5
days)
$
510
to
$
850
Travel
(
domestic)
$
1,000
to
$
1,200
Hourly
charges
(
24
to
40
hours
at
$
95/
hour))
$
4,560
to
$
7,600
Miscellaneous
charges
(
copying,
phone,
and
similar
costs)
$
50
Total
$
6,120
to
$
9,700
Annual
review
fees
for
certifying
agents
(
2
to
8
hours
at
$
95/
hour)
2
$
190
to
$
760
Estimated
costs
to
producers
for
certification
3
Certification
fee
(
renewals)
$
730
520
Estimated
costs
to
handlers
for
certification
4
Certification
fee
(
initial
certification)
$
2,337
Certification
fee
(
renewals)
$
1,665
Nonrefundable
fee
that
will
be
applied
to
the
applicant's
fee
for
service
account.
1
Certifying
agents
are
required
to
submit
annual
reports
to
USDA.
Review
of
these
2
reports
is
expected
to
range
from
2
to
8
hours
at
an
approximate
rate
of
$
95
per
hour.
Estimated
certification
fees
are
calculated
from
Graf
and
Lohr
1999
which,
for
a
3
selection
of
certification
agents,
provides
certification
costs
for
four
hypothetical
farm
sizes:
(
1)
small
farm
(
family
farm):
25
acres,
$
30,000
annual
sales,
5
hours
to
certify;
(
2)
medium
farm
(
cottage
industry):
150
acres,
$
200,000
annual
sales,
6
hours
to
certify;
(
3)
large
farm
(
commercial
farm):
500
acres,
$
800,000
annual
sales,
8
hours
to
certify;
and
(
4)
super
farm:
3,000
acres,
$
10,000,000
annual
sales,
16
hours
to
certify.
Our
estimated
certification
fees
only
include
those
charged
for
small
and
medium
farms
because
most
organic
producers
fall
into
these
categories
as
defined
by
Graf
and
Lohr.
In
the
1997
OFRF
survey,
90
percent
of
respondents
had
gross
organic
farming
income
of
less
than
$
250,000,
with
82
percent
less
than
$
100,000.
The
average
current
certification
cost
for
most
organic
producers
is
about
$
1,025
for
the
first
year
of
certification
($
579
for
small
and
$
1,414
for
medium
farms)
and
about
$
705
for
subsequent
years
($
371
for
small
and
$
1,036
for
medium
farms).
Approximately
$
25
is
added
to
cover
the
costs
associated
with
the
National
Organic
Program
for
an
estimated
first
year
certification
fee
of
$
1,000
and
subsequent
year
certification
fee
of
$
730
for
producers.
Larger
producers
could
expect
higher
fees.
521
Because
Graf
and
Lohr
do
not
estimate
certification
fees
for
handlers,
we
estimate
these
4
fees
by
applying
a
ratio
of
handler
to
producer
certification
fees
from
the
regulatory
impact
assessment
from
1997.
The
ratio
is
2:
28
and
results
in
estimated
fees
of
$
2,337
and
$
2,665,
respectively.
TABLE
4.
ESTIMATED
ANNUAL
REPORTING
AND
RECORDKEEPING
BURDEN
Type
of
respondent
Annual
hours
per
Hourly
rate
Annual
cost
respondent
Certified
producer
24
$
23
$
552
Certified
handler
63
$
23
$
1,449
Exempt
producers
and
handlers
1
$
23
$
23
Certifying
agency
1,068
$
27
$
27,729
Note:
Estimates
derived
from
Paperwork
Reduction
Act
of
1995
analysis.
Appendix
B.
Unfunded
Mandates
Reform
Act
This
rule
has
been
reviewed
under
the
Unfunded
Mandates
Reform
Act
(
P.
L.
104
4).
The
Act
requires
that
agencies
prepare
a
qualitative
and
quantitative
assessment
of
the
anticipated
costs
and
benefits
before
issuing
any
rule
that
may
result
in
annual
expenditures
by
State,
local,
and
tribal
governments,
in
the
aggregate,
or
by
the
private
sector
of
$
100
million
(
adjusted
annually
for
inflation)
in
any
1
year.
According
to
the
Act,
the
term,
"
Federal
mandate,"
means
any
provision
in
legislation,
statute,
or
regulation
that
would
impose
an
enforceable
duty
upon
State,
local,
or
tribal
governments
or
the
private
sector,
except
a
duty
arising
from
participation
in
a
voluntary
Federal
program.
522
The
National
Organic
Foods
Production
Act
(
OFPA)
of
1990
mandates
that
the
Secretary
develop
a
national
organic
program
to
accredit
eligible
governing
State
officials
or
private
persons
as
certifying
agents
who
would
certify
producers
or
handlers
of
agricultural
products
that
have
been
produced
using
organic
methods
as
provided
for
in
the
OFPA.
The
OFPA
also
permits
a
governing
State
official
to
voluntarily
establish
a
State
organic
program
(
SOP)
if
the
program
is
approved
by
the
Secretary
and
meets
the
requirements
of
the
OFPA.
The
OFPA
does
not
require
that
States
establish
their
own
SOP's
or
that
State,
local,
or
tribal
governments
or
the
private
sector
become
accredited;
therefore,
the
OFPA
is
not
subject
to
the
Unfunded
Mandates
Reform
Act
because
it
is
a
voluntary
program.
Although
the
U.
S.
Department
of
Agriculture
has
determined
that
this
rule
is
not
subject
to
the
Unfunded
Mandates
Reform
Act,
USDA
has
sought
to
consider
the
rule's
impact
on
various
entities.
USDA
prepared
a
Regulatory
Impact
Assessment
(
RIA)
that
is
discussed
in
the
section
entitled
"
Executive
Order
12866"
(
also
attached
as
an
appendix
to
this
regulation).
The
RIA
consists
of
a
statement
of
the
need
for
the
action,
an
examination
of
alternative
approaches,
and
an
analysis
of
the
benefits
and
costs.
Much
of
the
analysis
is
necessarily
descriptive
of
the
anticipated
impacts
of
the
rule.
Because
basic
market
data
on
the
prices
and
quantities
of
organic
goods
and
services
and
the
costs
of
organic
production
are
limited,
it
is
not
possible
to
provide
quantitative
estimates
of
all
benefits
and
costs
of
the
rule.
The
cost
of
fees
and
recordkeeping
required
by
USDA
are
quantified,
but
the
anticipated
benefits
are
not.
Consequently,
the
analysis
does
not
contain
an
estimate
of
net
benefits.
The
analysis
employed
in
reaching
a
determination
that
this
rule
is
the
least
costly
and
least
burdensome
to
the
regulated
parties
is
discussed
in
the
sections
entitled
"
The
Regulatory
523
Flexibility
Act
and
the
Effects
on
Small
Businesses"
and
"
Paperwork
Reduction
Act
of
1995."
The
rule
has
been
designed
to
be
as
consistent
as
possible
with
existing
industry
practices,
while
satisfying
the
specific
requirements
of
the
OFPA.
We
have
had
numerous
occasions
during
which
to
communicate
with
various
entities
during
the
development
of
the
rule;
States,
for
example.
Currently,
there
are
32
States
with
some
standards
governing
the
production
or
handling
of
organic
food
and
13
States
with
organic
certifying
programs.
Representatives
of
State
governments
have
participated
in
public
meetings
with
the
National
Organic
Standards
Board,
while
the
NOP
staff
has
made
presentations,
received
comments,
and
consulted
with
States
and
local
and
regional
organic
conferences,
workshops,
and
trade
shows.
States
have
been
actively
involved
in
training
sessions
for
organic
inspectors;
public
hearings
concerning
standards
for
livestock
products
during
1994;
a
national
Organic
Certifiers
meeting
on
July
21,
1995;
a
USDA
hosted
meeting
on
February
26,
1996;
a
State
certifiers
meeting
in
February
1999;
and
an
International
Organization
for
Standardization
(
ISO)
65
assessment
training
session
for
certifiers
in
April
May
1999.
More
detail
about
contact
with
States
regarding
this
rule
is
in
the
Federalism
section.
It
is
unknown
at
this
time
how
many
States,
if
any,
might
voluntarily
establish
their
own
SOP's
pursuant
to
the
OFPA
and
the
regulations.
Appendix
C.
Final
Regulatory
Flexibility
Analysis
The
Regulatory
Flexibility
Act
(
5
U.
S.
C.
601
et
seq.)
requires
agencies
to
consider
the
economic
impact
of
each
rule
on
small
entities
and
evaluate
alternatives
that
would
accomplish
the
objectives
of
the
rule
without
unduly
burdening
small
entities
or
erecting
barriers
that
would
restrict
their
ability
to
compete
in
the
market.
The
purpose
is
to
fit
regulatory
actions
to
the
scale
524
of
businesses
subject
to
the
action.
1.
Need
for
and
objectives
of
the
National
Organic
Rule
Currently,
organic
certification
is
voluntary
and
self
imposed.
Members
of
organic
industries
across
the
United
States
have
experienced
numerous
problems
marketing
their
organically
produced
and
handled
agricultural
products.
Inconsistent
and
conflicting
organic
production
standards
may
have
been
an
obstacle
to
the
effective
marketing
of
organic
products.
There
are
currently
36
private
and
13
State
organic
certification
agencies
(
certifying
agents)
in
the
United
States,
each
with
its
own
standards
and
identifying
marks.
Some
existing
private
certifying
agents
are
concerned
that
States
might
impose
registration
or
licensing
fees
which
would
limit
or
prevent
private
certification
activities
in
those
States.
Labeling
problems
have
confronted
manufacturers
of
multiingredient
organic
food
products
containing
ingredients
certified
by
different
certifying
agents
because
reciprocity
agreements
have
to
be
negotiated
between
certifying
agents.
Consumer
confusion
may
exist
because
of
the
variety
of
seals,
labels,
and
logos
used
by
certifying
agents
and
State
programs.
Also,
there
is
no
industrywide
agreement
on
an
accepted
list
of
substances
that
should
be
permitted
or
prohibited
for
use
in
organic
production
and
handling.
Finally,
a
lack
of
national
organic
standards
may
inhibit
organic
producers
and
handlers
in
taking
full
advantage
of
international
organic
markets
and
may
reduce
consumer
choices
in
the
variety
of
organic
products
available
in
the
marketplace.
To
address
these
problems
in
the
late
1980'
s,
the
organic
industry
attempted
to
establish
a
national
voluntary
organic
certification
program.
At
that
time,
the
industry
could
not
develop
consensus
on
the
standards
that
should
be
adopted,
so
Congress
was
petitioned
by
the
Organic
525
Trade
Association
to
establish
national
standards
for
organic
food
and
fiber
products.
In
1990,
Congress
enacted
the
Organic
Foods
Production
Act
of
1990,
as
amended
(
7
U.
S.
C.
6501
et
seq.)
(
OFPA).
The
OFPA
requires
all
agricultural
products
labeled
as
"
organically
produced"
to
originate
from
farms
or
handling
operations
certified
by
a
State
or
private
agency
that
has
been
accredited
by
USDA.
The
purposes
of
the
OFPA,
set
forth
in
section
2102
(
7
U.
S.
C.
6501),
are
to:
(
1)
establish
national
standards
governing
the
marketing
of
certain
agricultural
products
as
organically
produced
products;
(
2)
assure
consumers
that
organically
produced
products
meet
a
consistent
standard;
and
(
3)
facilitate
commerce
in
fresh
and
processed
food
that
is
organically
produced.
The
National
Organic
Program
(
NOP)
is
the
result
of
the
OFPA.
Recently,
the
Organic
Trade
Association
published
American
Organic
Standards,
Guidelines
for
the
Organic
Industry
(
AOS).
However,
not
all
participants
in
the
organic
industry
elected
to
participate
in
developing
the
AOS.
Many
certifying
agents
preferred
to
wait
for
implementation
of
the
national
standards,
and
some
certifying
agents
disagree
with
portions
of
the
AOS.
For
these
reasons,
USDA
will
implement
a
regulation
for
the
NOP.
.
2.
Summary
of
the
significant
issues
raised
by
public
comments
in
response
to
the
Initial
Regulatory
Flexibility
Analysis
(
IRFA),
a
summary
of
agency
assessment
of
such
issues,
and
a
statement
of
any
changes
made
in
the
final
rule
as
a
result
of
such
comments.
Although
we
received
many
individual
comments
in
reference
to
the
proposed
rule's
IRFA,
they
were,
for
the
most
part,
variations
of
several
form
letters.
Most
of
the
concern
on
the
part
of
commenters
regarded
the
fees
that
small
certifying
agents
would
be
subject
to
under
the
rule.
Comments
Accepted:
526
(
1)
We
received
numerous
comments
to
the
effect
that
the
fees,
recordkeeping,
and
paperwork
requirements
for
producer
and
handler
certification
must
be
kept
as
low
as
possible
while
still
offering
a
quality
certification
program.
We
believe
that
we
have
made
every
effort
in
this
rule
to
minimize
the
cost
and
paperwork
burden
to
certifiers
and
certified
operations
as
much
as
possible.
We
have
permitted
certifiers
and
certified
operations
to
develop
their
own
recordkeeping
and
reporting
systems
so
long
as
they
conform
to
the
needs
of
the
program.
For
the
most
part,
the
paperwork
and
recordkeeping
requirements
for
certified
operations
conform
to
the
requirements
that
they
presently
face
under
existing
certification
programs.
In
order
to
minimize
the
cost
to
the
industry
of
transitioning
to
a
system
where
certifying
agents
are
accredited
(
assuming
that
there
will
be
a
learning
curve
as
agents
familiarize
themselves
with
the
requirements
of
accreditation),
we
have
waived
the
per
hour
cost
that
USDA
will
charge
to
conduct
an
accreditation
review
for
the
first
18
months
of
the
program.
(
2)
In
the
proposed
rule,
we
requested
comment
on
the
benefits
of
an
exemption
for
small
certifiers
similar
to
that
for
small
producers.
We
received
comments
in
opposition
to
such
an
exemption
because
commenters
wanted
to
maintain
documented
verification
of
standards
that
is
afforded
by
certification
and
accreditation.
They
felt
that
exemptions
weakened
the
organic
system
in
its
ability
to
assure
consumers
of
products
that
meet
a
consistent
standard.
We
concurred
with
this
comment
and
have
not
developed
an
exemption
for
certifiers
in
the
final
rule.
Comments
Rejected:
(
3)
We
received
comments
suggesting
that,
in
order
to
lower
the
direct
cost
of
accreditation
to
smaller
certifier
applicants,
we
should
eliminate
on
site
visits
during
accreditation
or
extend
the
time
beyond
the
initial
on
site
visit
for
a
subsequent
visit.
Although
eliminating
the
527
on
site
visits
would
certainly
lower
the
applicant's
costs,
we
have
not
made
the
change
to
reduce
or
eliminate
on
site
visits.
We
did
not
see
how
USDA
could
make
an
informed
decision
about
whether
or
not
to
continue
to
accredit
a
certifying
agent
without
complete
access
to
the
relevant
records
documenting
the
agent's
business
practices.
This
can
only
be
efficiently
done
through
a
site
visit.
(
4)
We
received
numerous
comments
that
the
fees
proposed
by
USDA
will
result
in
certification
fees
that
are
excessive
for
small
farming
operations.
The
commenters
suggested
that
USDA
impose
fees
on
a
sliding
scale
based
on
a
farmer's
income
so
as
not
to
drive
these
farmers
out
of
business
and
deprive
consumers
of
the
benefits
of
these
operations.
We
received
a
similar
comment
to
the
Fees
section
of
the
proposed
rule,
and
our
response
is
the
same.
Although
one
of
our
top
priorities
is
assisting
the
small
farmer,
AMS
is
primarily
a
user
fee
based
Federal
agency.
We
are
aware
that
our
accreditation
fees
will
figure
into
the
fees
that
certifiers
charge
their
clients.
However,
the
fee
we
will
charge
to
accredit
an
applicant
is
based
not
on
earning
profits,
but
on
recovery
of
costs.
In
addition,
our
waiver
of
the
hourly
service
charges
for
accreditation
during
the
first
18
months
of
the
program
should
help
to
keep
the
cost
of
accreditation
to
certifying
agents
down.
We
believe
the
requirements
that
fees
charged
by
a
certifying
agent
must
be
reasonable
and
that
certifiers
must
file
a
fee
schedule
for
approval
by
the
Administrator
will
help
to
keep
costs
under
control.
Since
certifiers
are
required
to
provide
their
approved
fee
schedules
to
applicants
for
certification,
the
applicants
will
be
able
to
base
their
selection
of
certifying
agent
on
price
if
the
applicants
so
choose.
In
addition,
nothing
in
the
regulations
precludes
certifying
agents
from
pricing
their
services
on
a
sliding
scale
so
long
as
their
fees
are
consistent
and
nondiscriminatory
and
are
approved
during
the
accreditation
process.
528
(
5)
Other
commenters
were
concerned
that
in
the
rule
USDA
neglects
to
establish
"
reasonable
fees"
annually
for
farm/
site/
wild
crop
production
and
handling
operation
certification.
Commenters
did
not
believe
that
a
valid
Regulatory
Flexibility
Act
analysis
could
be
made
without
the
annual
farm
and
handling
operation
fee
projection.
We
have
not
established
guidelines
for
what
constitutes
a
"
reasonable
fee"
in
the
final
rule.
Accredited
certifying
agents
will
be
required
to
submit
a
proposed
fee
schedule
as
a
part
of
their
application.
At
that
time,
we
will
work
with
applicants
for
accreditation
to
ensure
that
their
fees
are
appropriate.
In
addition,
certifying
agents
will
be
required
to
send
a
copy
of
their
fee
schedule
to
anyone
who
requests
one.
This
will
allow
operations
that
wish
to
be
certified
to
shop
around
and
will
provide
a
disincentive
for
accredited
agents
to
price
themselves
out
of
the
market.
3.
Description
of
and
an
estimate
of
the
number
of
small
entities
to
which
the
rule
will
apply.
Small
business
size
standards,
Standard
Industrial
Code
(
SIC)
(
13
CFR
part
121),
are
developed
by
an
interagency
group,
published
by
the
Office
of
Management
and
Budget,
and
used
by
the
Small
Business
Administration
(
SBA)
to
identify
small
businesses.
These
standards
represent
the
number
of
employees
or
annual
receipts
constituting
the
largest
size
that
a
for
profit
enterprise
(
together
with
its
affiliates)
may
be
and
remain
eligible
as
a
small
business
for
various
SBA
and
other
Federal
Government
programs.
There
are
three
categories
of
operations
that
contain
small
business
entities
that
would
be
affected
by
this
rule:
certifying
agents,
organic
producers,
and/
or
organic
handlers.
The
term,
"
certifying
agent,"
means
the
chief
executive
officer
of
a
State
or,
in
the
case
of
a
State
that
provides
for
the
statewide
election
of
an
official
to
be
responsible
solely
for
the
administration
of
529
the
agricultural
operations
of
a
State,
such
official
and
any
person
(
including
private
entities)
who
is
accredited
by
the
Secretary
as
a
certifying
agent
for
the
purpose
of
certifying
a
farm
or
handling
operation
as
a
certified
organic
farm
or
handling
operation.
According
to
the
most
complete
data
available
to
USDA's
Agricultural
Marketing
Service
(
AMS),
there
are
49
certifying
agents
(
36
private
and
13
State)
in
the
United
States.
More
than
half
of
the
private
and
State
certifying
agents
certify
both
producers
and
handlers,
while
the
others
certify
only
producers.
Over
three
fourths
of
private
and
State
certifying
agents
each
certify
fewer
than
150
producers
and
20
handlers.
The
number
of
certifying
agents
has
remained
fairly
stable,
between
40
and
50,
for
some
years,
with
entries
and
exits
tending
to
offset
each
other.
The
NOP
staff
anticipates
that,
in
addition
to
the
49
domestic
certifying
agents,
10
foreign
certifying
agents
may
seek
accreditation
during
the
initial
phase
of
the
program.
Small
businesses
in
the
agricultural
services
sector,
such
as
certifying
agents,
include
firms
with
average
annual
revenues
of
less
than
$
5
million
(
SIC
Division
A
Major
Group
7).
Based
on
SBA's
small
business
size
standards
for
the
agricultural
services
sector,
it
is
not
likely
that
many,
if
any,
of
the
49
domestic
certifying
agents
have
annual
revenue
greater
than
$
5
million.
All
private,
nonprofit
certifying
agents
would
be
considered
small
by
SBA's
standards.
Based
on
anecdotal
information,
only
a
few
private,
for
profit,
certifying
agents
might
be
categorized
as
large
businesses.
In
addition,
the
13
State
certifying
agents,
although
not
exceeding
the
revenue
threshold,
would
not
be
considered
to
be
small
entities
under
the
Act
as
only
government
jurisdictions
with
populations
under
50,000
are
considered
to
be
small
entities
under
section
601(
5).
Therefore,
at
least
30
certifying
agents
would
qualify
as
a
small
business.
The
term,
"
producer,"
means
a
person
who
engages
in
the
business
of
growing
or
530
producing
food
or
feed.
It
is
more
difficult
to
establish
the
number
of
organic
producers.
Organic
farming
was
not
distinguished
from
conventional
agriculture
in
the
1997
Census
of
Agriculture.
There
are
sources
which
give
insight
into
the
number
of
producers.
The
Organic
Farming
Research
Foundation
(
OFRF),
a
California
based
nonprofit
organization,
has
conducted
three
nationwide
surveys
of
certified
organic
producers
from
lists
provided
by
cooperating
certifying
agents.
The
most
recent
survey
applies
to
the
1997
production
year
(
1).
OFRF
sent
its
1997
survey
to
4,638
names
and
received
1,192
responses.
Because
OFRF
did
not
obtain
lists
from
all
certifying
organizations
or
their
chapters
(
55
out
of
a
total
of
64
identified
entities
provided
lists),
its
list
count
is
likely
an
understatement
of
the
number
of
certified
organic
producers.
Note
that
the
estimated
number
of
organic
producers
includes
only
certified
organic
farms.
Comments
filed
in
response
to
the
first
proposal
and
studies
indicate
that
the
total
number
of
organic
farms
is
higher.
Dunn
has
estimated
the
number
of
certified
organic
producers
in
the
United
States
(
2,
3)
Dunn's
1995
work,
a
USDA
study,
estimated
the
number
of
certified
producers
at
4,060
in
1994;
this
estimate
was
used
in
the
first
proposal.
Dunn's
1997
work
reported
4,060
certified
organic
farms
in
1994
and
4,856
in
1995.
Data
collected
by
AMS
indicate
that
the
number
of
organic
farmers
increased
about
12
percent
per
year
during
the
period
1990
to
1994.
OFRF
survey
efforts
indicate
that
growth
has
continued,
although
it
is
not
clear
whether
the
growth
rate
has
changed.
Similarly,
growth
in
retail
sales,
the
addition
of
meat
and
poultry
to
organic
production,
and
the
possibility
of
increased
exports
suggest
that
the
number
of
operations
has
continued
to
increase.
Lacking
an
alternative
estimate
of
the
growth
rate
for
the
number
of
certified
organic
producers,
we
use
the
average
531
growth
rate
of
about
14
percent
from
Dunn's
1997
study.
The
true
rate
of
growth
could
be
higher
or
lower.
Applying
the
14
percent
growth
rate
to
Dunn's
estimate
of
certified
producers
in
1995
gives
an
estimate
of
8,200
organic
producers
for
1999.
An
adjustment
is
needed
to
account
for
the
number
of
producers
who
are
practicing
organic
agriculture
but
who
are
not
certified
and
who
would
be
affected
by
this
regulation.
We
assume
that
the
number
of
organic
but
not
certified
producers
in
1999
is
about
4,000.
This
assumption
is
based
on
very
limited
information
about
the
number
of
registered
but
not
certified
organic
producers
in
California
in
1995.
Thus,
the
total
number
of
certified
organic
producers
used
in
assessing
the
impact
of
the
rule
is
12,176.
Producers
with
crop
production
(
SIC
Division
A
Major
Group
1)
and
annual
average
revenues
under
$
500,000
are
small
businesses.
Producers
with
livestock
or
animal
specialities
are
also
considered
small
if
annual
average
revenues
are
under
$
500,000
(
SIC
Division
A
Major
Group
2),
with
the
exception
of
custom
beef
cattle
feedlots
and
chicken
eggs,
which
are
considered
small
if
annual
average
revenues
are
under
$
1,500,000.
Based
on
SBA's
small
business
size
standards
for
producers,
it
is
likely
that
almost
all
organic
producers
would
be
considered
small.
The
OFRF
survey
asked
for
the
producer's
total
gross
organic
farming
income
during
1997.
Only
35
(
less
than
3
percent)
of
the
survey
respondents
reported
gross
income
greater
than
$
500,000,
the
SBA's
cutoff
between
small
and
large
businesses.
Over
70
percent
reported
gross
income
of
less
than
$
50,000.
The
OFRF
survey
does
caution
readers
about
potential
survey
"
errors."
It
is
particularly
important
to
emphasize
potential
"
non
response
error";
that
is,
it
is
unknown
if
those
who
responded
to
the
survey
accurately
represent
the
entire
population
of
certified
organic
growers.
Also,
some
producers
532
combine
organic
and
conventional
production
on
the
same
operation,
some
with
total
sales
that
may
exceed
$
500,000.
However,
it
is
likely
that
a
majority
of
organic
producers
would
be
considered
small.
We
have
estimated
that
there
would
be
12,176
producers
certified
in
the
first
year
and
of
those
97
percent,
or
11,811,
based
on
OFRF's
survey
results,
would
qualify
as
a
small
business.
The
term,
"
handler,"
means
any
person
engaged
in
the
business
of
handling
agricultural
products,
excluding
final
retailers
of
agricultural
products
that
do
not
process
agricultural
products.
Little
information
exists
on
the
numbers
of
handlers
and
processors.
USDA
has
estimated
that
there
were
600
entities
in
this
category
in
1994.
In
California,
there
were
208
registered
organic
processed
food
firms
in
1995
and
376
in
1999,
a
growth
rate
of
20
percent
(
4).
We
assume
that
this
growth
rate
is
applicable
to
the
U.
S.
and
project
2,077
certified
handlers
in
2001.
This
figure
includes
100
livestock
feed
handlers
who
would
become
certified
organic.
Again,
the
rate
of
growth
could
be
higher
or
lower.
In
handling
operations,
a
small
business
has
fewer
than
500
employees
(
SIC
Division
D
Major
Group
20).
It
is
also
likely
that
the
vast
majority
of
handlers
would
be
considered
small,
based
on
SBA's
small
business
size
standards
for
handlers.
Based
on
informal
conversations
with
organic
certifying
agents,
currently,
about
25
(
about
2
percent)
of
the
estimated
1,250
organic
handlers
in
1999
had
more
than
500
employees.
This
includes
firms
that
handle
or
process
both
organic
and
conventional
foods.
We
have
estimated
that
2,077
handlers
would
be
certified
organic
in
the
first
year.
Based
on
this
information,
98
percent
or
2,035
would
qualify
as
a
small
business.
4.
An
estimate
of
the
projected
reporting,
recordkeeping,
and
other
compliance
requirements
of
the
rule,
including
an
estimate
of
the
classes
of
small
entities
which
will
be
subject
533
to
the
requirement
and
the
type
of
professional
skills
necessary
for
preparation
of
the
report
or
record.
The
reporting,
recordkeeping,
and
compliance
requirements
of
the
rule
will
directly
affect
three
sectors
of
the
organic
industry
that
contain
small
business
entities:
accredited
certifying
agents,
organic
producers,
and
organic
handlers.
We
have
examined
the
requirements
of
the
rule
as
it
pertains
to
each
of
these
entities,
however
several
requirements
to
complete
this
Regulatory
Flexibility
Analysis
(
RFA)
overlap
with
the
Regulatory
Impact
Assessment
(
RIA)
and
the
Paperwork
Reduction
Act
(
PRA)
section.
In
order
to
avoid
duplication,
we
combine
some
analyses
as
allowed
in
section
605(
b)
of
the
Act.
This
RFA
provides
information
specific
to
small
entities,
while
the
RIA
or
PRA
should
be
referred
to
for
more
detail.
For
example,
the
RFA
requires
an
analysis
of
the
rule's
costs
to
small
entities.
The
RIA
provides
an
analysis
of
the
benefits
and
costs
of
this
regulation.
This
RFA
uses
the
RIA
information
to
estimate
the
impact
on
small
entities.
Likewise,
the
RFA
requires
a
description
of
the
projected
reporting,
recordkeeping,
and
other
compliance
requirements
of
the
final
rule.
The
PRA
section
estimates
the
reporting
and
recordkeeping
(
information
collection)
requirements
that
would
be
required
by
this
rule
from
individuals,
businesses,
other
private
institutions,
and
State
and
local
governments.
The
burden
of
these
requirements
is
measured
in
terms
of
the
amount
of
time
required
of
program
participants
and
its
cost.
This
RFA
uses
the
PRA
information
to
estimate
the
burden
on
small
entities.
Certifying
Agents
We
have
identified
36
private
certifying
agents
and
13
State
programs
providing
certification.
These
49
domestic
entities
are
considered
likely
applicants
during
the
first
12
months,
as
are
an
estimated
10
foreign
certifying
agents.
An
unknown
number
of
new
entrants
to
534
the
certifying
business
may
also
apply.
However,
over
the
last
10
years,
the
number
of
certifying
agents
does
not
appear
to
have
grown
significantly,
with
the
net
effect
of
entries
and
exits
maintaining
a
population
of
U.
S.
based
certifying
agents
at
about
40
to
50.
Of
the
49
domestic
certifying
agents,
based
on
information
discussed
previously,
we
estimate
that
30
of
the
36
private
certifying
agents
are
small
businesses.
The
recordkeeping
and
paperwork
requirements
are
outlined
in
the
Paperwork
Reduction
Act
section.
The
requirements
for
small
and
large
certifying
agents
are
identical.
The
recordkeeping
and
paperwork
requirements
for
accreditation
will
be
a
new
burden
to
most
agents
as
the
majority
of
them
have
not
been
accredited
in
the
past.
However,
the
actual
amount
of
the
additional
administrative
costs
that
would
be
imposed
by
the
final
rule
is
expected
to
be
different
for
those
entities
that
would
begin
their
activities
only
after
the
national
program
is
implemented.
Certifying
agents
that
currently
are
active
in
the
organic
industry
already
perform
most
of
these
required
administrative
functions;
therefore,
the
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
are
different
from
the
requirements
of
the
final
regulation.
Because
the
rule
does
not
require
any
particular
system
or
technology,
it
does
not
discriminate
against
small
businesses.
The
ability
of
an
agent
to
carry
out
the
paperwork
and
recordkeeping
sections
of
the
rule
will
be
more
dependant
on
the
administrative
skill
and
capacity
of
their
particular
organization
than
their
size.
We
did
not
receive
significant
comments
about
the
paperwork
requirements
of
the
proposed
rule
that
would
indicate
that
they
will
be
onerous
for
small
certifying
agents.
Certifying
agents
will
be
the
front
line
in
monitoring
and
ensuring
that
certified
operations
stay
in
compliance
with
the
Act
and
the
regulations.
However,
most
of
the
compliance
535
requirements,
with
the
exception
of
some
reporting
requirements,
are
consistent
with
what
certifiers
are
currently
expected
to
do.
Like
the
paperwork
and
reporting
requirements,
the
additional
costs
to
an
agent
will
depend
on
how
different
their
current
practices
are
from
the
final
regulation.
The
final,
and
probably
most
significant,
area
in
which
certifying
agents
are
affected
by
the
rule
is
in
the
fees
that
they
must
pay
for
accreditation.
Certifying
agents
will
be
assessed
for
the
actual
time
and
travel
expenses
necessary
for
the
NOP
to
perform
accreditation
services,
including
initial
accreditations,
5
year
renewals
of
accreditation,
review
of
annual
reports,
and
changes
to
accreditation.
Although
the
fees
have
not
been
set
yet,
we
are
using
as
a
starting
point
the
hourly
fees
that
are
charged
for
the
voluntary,
fee
for
service
program
provided
by
AMS
to
certification
bodies
requesting
conformity
assessment
to
the
ISO
Guide
65,
"
General
Requirements
for
Bodies
Operating
Product
Certification
Systems."
We
expect
that
at
the
time
the
NOP's
final
rule
is
implemented,
the
fees
will
be
approximately
$
95
per
hour
with
higher
overtime
and
holiday
rates.
Certifying
agents
will
also
be
charged
for
travel,
per
diem,
and
other
related
costs
associated
with
accreditation.
To
ease
the
financial
burden
of
accreditation
during
the
18
month
transition
period
after
the
NOP
has
been
implemented,
USDA
will
not
impose
hourly
charges
on
certifying
agents.
The
direct
costs
for
certifying
agents
to
obtain
accreditation
will
be
limited
to
per
diem
and
transportation
costs
to
the
site
evaluation.
Review
of
the
certifying
agent's
annual
report
is
anticipated
to
range
from
2
to
8
hours
at
the
ISO
Guide
65
hourly
rate.
Also,
if
certifying
agents
wish
to
become
accredited
in
additional
areas
for
which
they
were
not
accredited
previously,
a
site
evaluation
(
with
associated
fees)
will
be
necessary.
Detail
about
the
expected
costs
of
accreditation
can
be
found
in
the
RIA.
536
Several
factors
will
influence
the
amount
of
time
needed
to
complete
an
accreditation
audit.
An
operation
in
which
documents
are
well
organized
and
that
has
few
nonconformities
within
the
quality
system
will
require
less
time
for
an
audit
than
an
organization
in
which
documents
are
scattered
and
there
are
many
nonconformities
(
7).
Similarly,
in
a
followup
audit,
operations
that
lack
organization
in
their
documents
and
that
had
a
large
number
of
nonconformities
during
previous
audits
will
require
a
greater
amount
of
time.
The
scope
of
a
followup
audit
is
to
verify
the
correction
of
nonconformities
and
to
evaluate
the
effectiveness
of
the
corrections.
Certifying
agents
are
able
to
control
these
cost
factors
by
making
certain
that
documents
are
well
organized
and
by
educating
themselves
about
quality
systems.
The
complexity
of
a
certification
agency's
organization
also
will
affect
the
time
needed
to
complete
an
audit.
An
agency
with
a
central
office
in
which
all
certification
activities
take
place
will
require
less
time
for
document
review
and
site
evaluation
than
a
chapter
organization
or
a
business
structured
so
that
responsibility
for
making
certification
decisions
is
delegated
outside
of
the
central
office.
In
the
latter
cases,
the
auditors'
document
review
would
require
additional
time
and
site
evaluation
that
would
extend
from
the
central
office
to
one
or
more
of
the
chapters
or
to
the
site
to
which
the
certification
decision
making
is
delegated.
Other
factors
determine
the
amount
of
time
needed
to
complete
an
accreditation
audit.
For
an
agency
with
numerous
clients,
auditors
may
need
to
spend
more
time
reviewing
client
files
or
examining
business
operations
than
they
would
have
to
spend
for
a
smaller
agency.
Audit
of
an
agency
with
a
large
number
of
processor
clients
may
require
an
extended
amount
of
time
to
follow
audit
trails,
confirm
that
organic
ingredients
remain
segregated
from
nonorganic
ingredients,
and
establish
that
foreign
produced
ingredients
originate
from
approved
entities.
Finally,
the
537
complexity
of
the
agricultural
practices
certified
could
influence
the
amount
of
time
necessary
to
complete
an
accreditation
audit.
An
agency
whose
certification
covers
only
producers
who
grow
and
harvest
one
crop
per
field
per
year,
such
as
wheat
or
sugar
beets,
could
quickly
be
audited.
An
agency
whose
producers
grow
several
different
crops
per
field
per
year
or
an
agency
that
certifies
producers
of
crops
and
livestock
as
well
as
handlers
would
require
a
greater
amount
of
time.
All
of
these
factors
will
affect
both
small
and
large
certifying
agents.
A
small
certifying
agent
could
be
assumed
to
have
a
less
complex
organization
or
have
fewer
clients,
and,
thus,
potentially
less
time
would
be
necessary
for
review.
However,
other
factors,
such
as
the
degree
of
paperwork
organization
or
the
complexity
of
the
agricultural
practices
certified,
may
influence
the
time
needed
for
review
for
any
size
of
business.
Currently,
relatively
few
certifying
agents
have
third
party
accreditation
because
accreditation
of
certifying
agents
is
voluntary.
Fetter
reports
that
in
a
sample
of
18
certification
programs,
selected
to
include
six
large,
private
programs,
six
smaller
private
programs,
and
six
State
programs,
four
programs
were
accredited
and
one
had
accreditation
pending
(
8).
All
of
these
were
large
private
certifying
agents.
Three
of
the
certifying
agents
identified
by
Fetter
as
accredited
requested
ISO
Guide
65
assessments
by
USDA
and
have
been
approved
for
selling
organic
products
into
the
international
market.
Those
certifying
agents
currently
accredited
by
third
parties
will
likely
pay
less
for
USDA
accreditation
because
their
documents
are
organized
and
they
have
fewer
nonconformities.
It
is
expected
that
all
certifying
agents
will
set
their
fee
schedule
to
recover
costs
for
their
certification
services,
including
the
costs
of
accreditation.
The
larger
the
number
of
clients
per
certifying
agent,
the
more
fixed
costs
can
be
spread
out.
It
is
possible,
however,
that
small
538
certifying
agents
could
be
significantly
affected
by
this
final
rule
and
may
not
be
able
to
continue
in
business
from
a
financial
standpoint.
Costs
to
Producers
and
Handlers
The
OFPA
established
a
small
farmer
exemption
from
certification
and
submission
of
organic
plans
for
small
producers
with
a
maximum
of
$
5,000
in
gross
sales
of
organic
products.
For
purposes
of
the
exemption,
the
OFPA
defines
a
"
small
farmer"
as
those
who
sell
no
more
than
$
5,000
annually
in
value
of
agricultural
products.
In
this
rule,
we
have
clarified
that
the
exemption
applies
to
producers
and
handlers
who
sell
no
more
than
$
5,000
annually
in
value
of
organic
products
(
9).
In
addition,
handling
operations
are
exempt
if
they:
are
a
retail
food
establishment
that
handles
organically
produced
agricultural
products
but
does
not
process
them;
handles
agricultural
products
that
contain
less
than
70
percent
organic
ingredients
by
weight
of
finished
product;
or
does
not
use
the
word,
"
organic,"
on
any
package
panel
other
than
the
information
panel
if
the
agricultural
product
contains
at
least
70
percent
organic
ingredients
by
weight
of
finished
product.
A
handling
operation
or
specific
portion
of
a
handling
operation
is
excluded
from
certification
if
it
handles
packaged
certified
organic
products
that
were
enclosed
in
their
packages
or
containers
prior
to
being
acquired
and
remain
in
the
same
package
and
are
not
otherwise
processed
by
the
handler,
or
it
is
a
retail
food
establishment
that
processes
or
prepares
on
its
own
premises
raw
and
ready
to
eat
food
from
certified
organic
products.
According
to
the
OFRF
survey,
27
percent
of
currently
certified
farms
that
responded
to
the
survey
would
fall
under
the
producer
exemption.
This
percentage
does
not
take
into
account
those
organic
farms
that
are
not
currently
certified
by
a
private
or
State
certifying
agent.
A
study
539
of
California
organic
farms
found
that,
of
all
organic
farms
(
10)
in
1994
95,
about
66
percent
have
revenues
less
than
$
10,000
(
11).
If
California
is
representative
and
the
distribution
within
the
sub
$
10,000
category
is
uniform,
then
a
third
of
the
farms
would
be
classified
as
small
for
purposes
of
the
statutory
exemption
with
annual
sales
less
than
$
5,000.
Based
on
the
California
study
and
the
OFRF
survey
results,
we
estimate
that
between
25
and
33
percent
of
organic
producers
are
small
and
would
qualify
for
exemption
from
the
certification
requirements.
We
have
estimated
that
there
are
4,801
small
organic
producers
and
173
handlers
that
will
be
exempt
from
certification
(
this
figure
does
not
include
excluded
operations).
These
operations
would
be
required
to
comply
with
the
production
and
handling
standards
and
labeling
requirements
set
forth
under
the
NOP.
They
do
not
have
to
meet
the
paperwork
requirements
of
certification
and
they
must
only
keep
records
that
document
compliance
with
the
law
for
3
years
(
rather
than
5
for
certified
operations.
We
anticipate
that
this
exemption
will
be
used
primarily
by
small
market
gardeners
and
hobbyists
who
grow
and
process
produce
and
other
agricultural
products
for
sale
at
farmers
markets
and
roadside
stands
to
consumers
within
their
communities.
Exempt
producers
will
be
allowed
to
market
their
products
as
organically
produced
without
being
certified
by
a
certifying
agent.
Products
marketed
by
exempt
producers
cannot
be
represented
as
certified
organic
or
display
the
USDA
organic
seal.
Products
produced
or
handled
on
an
exempt
operation
may
be
identified
as
organic
ingredients
in
a
multiingredient
product
produced
by
the
exempt
operation,
but
they
may
not
be
identified
as
organic
in
a
product
processed
by
others.
These
limitations
may
discourage
some
small
producers
from
seeking
exemption,
who
instead
may
choose
to
become
certified.
In
this
case,
the
costs
of
certification
would
apply.
The
value
associated
with
having
organic
certification
may
outweigh
the
costs
of
540
certification.
As
with
accredited
certifying
agents,
the
regulation
will
impose
administrative
costs
on
certified
producers
and
handlers
for
reporting,
recordkeeping,
residue
testing,
and
other
compliance
requirements.
The
actual
amount
of
the
additional
administrative
costs
that
would
be
imposed
by
the
final
rule
is
expected
to
be
different
for
those
entities
that
become
certified
only
after
the
national
program
is
implemented.
Producers
and
handlers
who
currently
are
active
in
the
organic
industry
already
perform
most
of
these
administrative
functions;
therefore,
the
additional
costs
to
them
would
depend
upon
the
extent
to
which
their
current
practices
differ
from
the
requirements
of
the
final
regulation.
Projected
reporting,
recordkeeping,
and
other
compliance
requirements
of
certifying
agents
are
discussed
in
greater
detail
in
the
PRA
and
the
RIA.
The
only
distinction
made
in
the
final
rule
between
large
and
small
entities
for
reporting,
recordkeeping,
and
compliance
is
for
operators
who
produce
less
than
$
5000
per
year
in
organic
products
as
stated
above.
As
with
the
certifying
agents,
most
of
the
concern
this
rule
generated
for
small
certified
operations
revolves
around
fees.
Under
this
rule,
USDA
will
not
impose
any
direct
fees
on
producers
and
handlers.
Certifying
agents
will
establish
a
fee
schedule
for
their
certification
services
that
will
be
filed
with
the
Secretary
and
posted
in
a
place
accessible
to
the
public.
Certifying
agents
will
provide
all
persons
inquiring
about
the
application
process
with
a
copy
of
their
fees.
The
certifying
agent
may
only
charge
those
fees
that
it
has
filed
with
the
Secretary.
Furthermore,
the
certifying
agent
will
provide
each
applicant
with
an
estimate
of
the
total
cost
of
certification
and
an
estimate
of
the
annual
costs
of
updating
the
certification.
Currently,
supply
and
demand
for
certification
services
determine
the
fees
charged
in
most
541
areas.
Some
States
charge
minimal
fees
for
certification
and
instead
subsidize
operating
costs
from
general
revenues.
According
to
separate
studies
by
Fetter,
and
Graf
and
Lohr,
the
majority
of
certifying
agents
structure
their
fee
schedules
on
a
sliding
scale
based
on
a
measure
of
size,
usually
represented
by
the
client's
gross
sales
of
organic
products
but
sometimes
based
on
the
acres
operated.
Some
certifying
agents
charge
an
hourly
rate
for
inspection
and
audit
services.
Graf
and
Lohr's
study
indicates
that
even
small
farms
require
significant
time
for
the
certification
process,
and
this
time
does
not
increase
proportionately
as
farm
size
increases.
None
of
the
existing
certification
programs
mention
costs
for
residue
testing,
which
the
NOP
will
require
in
the
form
of
preharvest
testing
when
there
is
reason
to
believe
that
agricultural
products
have
come
into
contact
with
prohibited
substances.
Preharvest
testing
is
expected
to
be
infrequent.
Certifiers
will
recover
the
costs
of
preharvest
testing
through
explicit
charges
to
the
producer
whose
crop
is
tested
or
through
a
generally
higher
fee
structure
that
spreads
the
expected
costs
of
tests
over
all
clients.
This
rule
imposes
no
requirements
that
would
cause
certifying
agents
that
are
presently
using
a
sliding
scale
type
fee
schedule
to
abandon
their
current
fee
system.
Certifying
agents
could
recover
their
net
additional
costs
by
increasing
their
flat
fee
component,
their
incremental
charges,
or
both.
Because
accreditations
are
renewed
only
every
5
years,
certifying
agents
will
have
5
years
to
recover
their
net
new
costs.
Certifying
agents
who
become
accredited
during
the
first
year
of
the
program
would
have
fewer
direct
costs
to
recover
because
they
will
not
be
charged
the
application
fee
and
hourly
charges
for
accreditation
services.
Those
currently
receiving
voluntary
certification
will
likely
see
a
modest
increase
as
the
certifying
agent
passes
on
its
cost
incurred
under
the
NOP.
Those
not
currently
receiving
542
certification
and
producing
over
$
5,000
annually
in
organic
products
will
be
required
to
become
certified,
and
they
will
incur
the
actual
costs
of
certification.
Some
States,
such
as
Texas
and
Washington,
charge
producers
and
handlers
nominal
fees
for
certification,
and
it
is
possible
that
more
States
might
provide
certification
services
as
the
NOP
is
implemented.
Other
States,
such
as
Minnesota,
have
cost
share
programs
to
help
offset
costs
for
organic
producers.
Conclusion
This
rule
will
primarily
affect
small
businesses.
We
have,
therefore,
attempted
to
make
the
paperwork,
recordkeeping,
and
compliance
provisions
as
flexible
as
possible
without
sacrificing
the
integrity
of
the
program.
We
are
not
requiring
specific
technologies
or
practices
and
with
the
18
month
phase
in
of
the
program
we
are
attempting
to
give
both
certifying
agents
and
certified
operators
an
opportunity
to
adapt
their
current
practices
to
conform
with
the
rule.
Because
we
have
attempted
to
make
the
rule
conform
with
existing
industry
standards,
including
ISO
guide
65
for
certification
and
ISO
guide
61
for
accreditation,
the
changes
for
most
organizations
and
operations
should
be
relatively
straightforward.
The
fees
required
for
accreditation
will
be
the
most
significant
change
faced
by
most
operations
and
this
was
apparent
in
the
comments
received.
While
we
understand
the
concerns
of
the
affected
organizations,
in
order
to
administer
an
accreditation
program,
it
is
necessary
that
we
recover
our
costs.
We
are
hoping
that
the
elimination
of
the
hourly
charges
in
the
first
round
of
accreditation
will
help
to
alleviate
some
of
this
burden.
1.
Organic
Farming
Research
Foundation.
1999.
Final
Results
of
the
Third
Biennial
National
Organic
Farmers'
Survey.
Santa
Cruz,
CA.
543
2.
Dunn,
Julie
Anton.
1995.
Organic
Food
and
Fiber:
An
Analysis
of
1994
Certified
Production
in
the
United
States.
U.
S.
Department
of
Agriculture,
Agricultural
Marketing
Service.
3.
Dunn,
Julie
Anton.
1997.
AgriSystems
International
Reports
Certified
Organic
Production
in
the
United
States:
Half
a
Decade
of
Growth.
AgriSystems
International:
Wind
Gap,
PA.
4.
California
Department
of
Health
Services
(
DHS).
1995.
Report
on
the
Registration
of
California
Organic
Processed
Food
Firms.
Sacramento:
State
of
California.
September
1999
figures
obtained
via
personal
communication
with
California
DHS.
5.
Graf,
Anita
and
Luanne
Lohr.
1999.
Analysis
of
certification
program
costs.
Working
Paper,
Fund
for
Rural
America
project,
Market
Development
for
Organic
Agriculture
Products,
Grant
No.
97
36200
5.
6.
During
the
first
18
months,
site
evaluation
for
initial
accreditation
will
be
conducted
jointly
by
two
reviewers.
Two
reviewers
offers:
(
1)
anticipated
faster
turn
around;
(
2)
different
areas
of
expertise
one
reviewer
would
come
from
the
Quality
Systems
Certification
Program
audit
staff
and
would
be
familiar
with
ISO
Guide
65
verification,
while
the
other
reviewer
would
come
from
the
NOP
staff
and
would
be
familiar
with
the
requirements
of
the
program;
and
(
3)
consistency
with
the
organic
industry's
desire
to
have
reviewers
from
both
areas
of
expertise
during
ISO
Guide
65
assessments.
AMS
would
consider
sending
one
reviewer,
rather
than
two,
for
the
site
evaluation
of
small
certification
agents
if
an
individual
possessing
both
reviewing
skill
and
knowledged
of
the
NOP
is
available.
We
anticipate
only
one
reviewer
would
be
required
after
the
18
month
transition
period.
7.
Adequate
advance
notice
will
be
given
to
certifying
agents
to
allow
them
the
opportunity
544
to
organize
their
records
prior
to
the
audit
and
minimize
the
costs
of
accreditation.
8.
Fetter,
Robert
T.
1999.
Economic
Impacts
of
Alternative
Scenarios
of
Organic
Products
Regulation.
Senior
Honors
Thesis.
University
of
Massachusetts,
Amherst,
MA.
9.
We
asked
for
comments
on
the
first
proposal
as
to
whether
the
current
statutory
limitation
of
$
5,000
for
exemption
from
certification
should
be
raised
to
$
10,000
or
to
another
amount
and
why
such
an
increased
monetary
limitation
for
exemption
from
certification
would
be
appropriate.
Few
commenters
offered
recommendations
as
to
a
maximum
sales
volume
to
exempt
producers.
Amounts
ranged
from
$
2,000
to
$
50,000,
with
a
few
suggesting
$
10,000
and
$
20,000
exemptions.
These
proposed
exemption
levels
and
justifications
in
comments
received
are
not
sufficiently
consistent
enough
for
us
to
recommend
changing
the
statute
requirement
of
the
$
5,000
maximum
sales
volume
exemption.
10.
California
State
law
requires
organic
farmers
to
register
with
the
State.
Certification
is
voluntary
at
the
current
time.
11.
Klonsky,
Karen,
and
Laura
Tourte.
1998.
Statistical
Review
of
California's
Organic
Agriculture,
1992
95.
Report
prepared
for
the
California
Department
of
Food
and
Agriculture
Organic
Program.
Cooperative
Extension,
Department
of
Agricultural
Economics,
University
of
California,
Davis.
Appendix
D.
Executive
Order
12988,
Civil
Justice
Reform
Executive
Order
12988,
Civil
Justice
Reform,
instructs
each
executive
agency
to
adhere
to
certain
requirements
in
the
development
of
new
and
revised
regulations
in
order
to
avoid
unduly
burdening
the
court
system.
The
revised
proposal
was
reviewed
under
this
Executive
Order.
No
comments
were
received
on
that
review,
and
no
additional
related
information
has
been
obtained
545
since
then.
This
rule
is
not
intended
to
have
retroactive
effect.
States
and
local
jurisdictions
are
preempted
under
section
2115
of
the
Organic
Foods
Production
Act
(
OFPA)
(
7
U.
S.
C.
6514)
from
creating
programs
of
accreditation
for
private
persons
or
State
officials
who
want
to
become
certifying
agents
of
organic
farms
or
handling
operations.
A
governing
State
official
would
have
to
apply
to
USDA
to
be
accredited
as
a
certifying
agent,
as
described
in
section
2115(
b)
of
the
OFPA
(
7
U.
S.
C.
6514(
b)).
States
also
are
preempted
under
sections
2104
through
2108
of
the
OFPA
(
7
U.
S.
C.
6503
through
6507)
from
creating
certification
programs
to
certify
organic
farms
or
handling
operations
unless
the
State
programs
have
been
submitted
to,
and
approved
by,
the
Secretary
as
meeting
the
requirements
of
the
OFPA.
Pursuant
to
section
2108(
b)(
2)
of
the
OFPA
(
7
U.
S.
C.
6507(
b)(
2)),
a
State
organic
certification
program
may
contain
additional
requirements
for
the
production
and
handling
of
organically
produced
agricultural
products
that
are
produced
in
the
State
and
for
the
certification
of
organic
farm
and
handling
operations
located
within
the
State
under
certain
circumstances.
Such
additional
requirements
must:
(
a)
further
the
purposes
of
the
OFPA,
(
b)
not
be
inconsistent
with
the
OFPA,
(
c)
not
be
discriminatory
toward
agricultural
commodities
organically
produced
in
other
States,
and
(
d)
not
be
effective
until
approved
by
the
Secretary.
Pursuant
to
section
2120(
f)
of
the
OFPA
(
7
U.
S.
C.
6519(
f)),
this
regulation
would
not
alter
the
authority
of
the
Secretary
under
the
Federal
Meat
Inspection
Act
(
21
U.
S.
C.
601
et
seq.),
the
Poultry
Products
Inspections
Act
(
21
U.
S.
C.
451
et
seq.),
or
the
Egg
Products
Inspection
Act
(
21
U.
S.
C.
1031
et
seq.),
concerning
meat,
poultry,
and
egg
products,
nor
any
of
the
authorities
of
the
Secretary
of
Health
and
Human
Services
under
the
Federal
Food,
Drug
and
Cosmetic
Act
(
21
546
U.
S.
C.
301
et
seq.),
nor
the
authority
of
the
Administrator
of
the
Environmental
Protection
Agency
(
EPA)
under
the
Federal
Insecticide,
Fungicide
and
Rodenticide
Act
(
7
U.
S.
C.
136
et
seq.).
Section
2121
of
the
OFPA
(
7
U.
S.
C.
6520)
provides
for
the
Secretary
to
establish
an
expedited
administrative
appeals
procedure
under
which
persons
may
appeal
an
action
of
the
Secretary,
the
applicable
governing
State
official,
or
a
certifying
agent
under
this
title
that
adversely
affects
such
person
or
is
inconsistent
with
the
organic
certification
program
established
under
this
title.
The
Act
also
provides
that
the
U.
S.
District
Court
for
the
district
in
which
a
person
is
located
has
jurisdiction
to
review
the
Secretary's
decision.
Appendix
E.
Executive
Order
13132,
Federalism
This
final
rule
has
been
reviewed
under
Executive
Order
13132,
Federalism.
This
Order
requires
that
regulations
that
have
federalism
implications
provide
a
federalism
impact
statement
that:
(
1)
demonstrates
the
Agency
consulted
with
the
State
and
local
officials
before
developing
the
final
rule,
(
2)
summarizes
State
concerns,
(
3)
provides
the
Agency's
position
supporting
the
need
for
the
regulation,
and
(
4)
describes
how
the
concerns
of
State
officials
have
been
met.
The
Order
indicates
that,
where
National
standards
are
required
by
Federal
statutes,
Agencies
shall
consult
with
appropriate
State
and
local
officials
in
developing
those
standards.
The
Organic
Foods
Production
Act
(
OFPA)
of
1990
(
7
U.
S.
C.
6501
et
seq.)
establishes
national
standards
regarding
the
marketing
of
agricultural
products
as
organically
produced,
assures
consumers
that
organically
produced
products
meet
a
consistent
standard,
and
facilitates
interstate
commerce
in
fresh
and
processed
food
that
is
organically
produced.
There
has
been
a
great
deal
of
support
for
this
law
and
these
regulations
from
the
organic
community.
547
OFPA
and
these
regulations
do
preempt
State
statutes
and
regulations
related
to
organic
agriculture.
OFPA
establishes
national
standards
regarding
the
marketing
of
agricultural
products
as
organically
produced,
assures
consumers
that
organically
produced
products
meet
a
consistent
standard,
and
facilitates
interstate
commerce
in
fresh
and
processed
food
that
is
organically
produced.
Currently,
32
States
have
organic
statutes
on
their
books
and
have
implemented
them
to
various
degrees.
However,
the
Act
contemplates
a
significant
role
for
the
States
and,
in
fact,
envisions
a
partnership
between
the
States
and
the
Federal
Government
in
meeting
the
requirements
of
the
Statute.
The
Act
allows
the
States
to
determine
the
degree
to
which
they
are
involved
in
the
organic
program.
States
may
choose
to:
(
1)
carry
out
the
requirements
of
the
Act
by
establishing
a
State
organic
program
(
SOP)
and
becoming
accredited
to
certify
operations,
(
2)
establish
an
SOP
but
utilize
private
accredited
certifying
agents,
(
3)
become
accredited
to
certify
and
operate
under
the
National
Organic
Program
(
NOP)
as
implemented
by
the
Secretary,
or
(
4)
not
play
an
active
role
in
the
NOP.
7
U.
S.
C.
6507
provides
that
States
may
establish
an
SOP
consistent
with
the
national
program.
SOP's
may
contain
more
restrictive
requirements
than
the
NOP
established
by
the
Secretary
of
Agriculture.
To
be
more
restrictive,
SOP's
must:
further
the
purposes
of
the
Act,
be
consistent
with
the
Act,
not
discriminate
against
organic
products
of
another
State,
and
be
approved
by
the
Secretary.
Because
implementation
of
OFPA
will
have
a
significant
effect
on
many
States'
existing
State
statutes
and
programs,
the
U.
S.
Department
of
Agriculture
(
USDA)
has
reached
out
to
States
and
actively
sought
their
input
throughout
the
entire
process
of
developing
the
organic
rule.
On
publication
of
the
first
proposal
on
December
16,
1997,
an
announcement
and
information
packet
summarizing
the
proposal
was
sent
to
more
than
1,000
interested
parties,
including
State
548
governors
and
State
department
of
agriculture
secretaries,
commissioners,
or
directors.
Over
a
period
of
6
years,
numerous
meetings
were
held
to
provide
States
an
opportunity
to
provide
information
and
feedback
to
the
rule.
In
1994,
States
were
invited
to
participate
in
four
public
hearings
held
in
Washington,
DC;
Rosemont,
IL;
Denver,
CO;
and
Sacramento,
CA,
to
gather
information
to
guide
development
of
standards
for
livestock
products.
States
were
also
provided
the
opportunity
to
comment
specifically
on
State
issues
at
a
National
Organic
Certifiers
meeting
held
on
July
21,
1995.
They
were
invited
to
discuss
accreditation
issues
at
a
meeting
held
on
February
26,
1996.
Following
the
publication
of
the
first
proposal,
State
and
local
jurisdictions
had
the
opportunity
to
provide
input
at
four
listening
sessions
held
in
February
and
March
1998
in
Austin,
TX;
Ames,
IA;
Seattle,
WA;
and
New
Brunswick,
NJ.
A
meeting
to
discuss
the
role
of
States
in
the
NOP
was
held
in
February
1999.
A
State
organic
certifiers
meeting
to
discuss
State
issues
was
held
at
a
March
2000
meeting
with
the
National
Association
of
State
Organic
Programs.
USDA
also
drew
extensively
on
the
expertise
of
States
and
the
organic
industry
by
working
closely
with
the
National
Organic
Standards
Board.
The
Board
met
12
times
before
publication
of
the
proposed
rule
on
December
16,
1997,
and
met
five
times
during
1998
and
1999
and
two
times
in
2000.
States
were
invited
to
attend
each
of
these
meetings,
and
official
State
certifier
representatives
participated
in
Board
deliberations
in
meetings
held
in
July
1998,
July
1999,
and
March
2000.
Public
input
sessions
were
held
at
each
meeting
to
gather
information
from
all
interested
persons,
including
State
and
local
jurisdictions.
NOP
staff
also
received
comments
and
consulted
with
States
at
public
events.
They
made
presentations,
received
comments,
and
consulted
with
549
States
at
local
and
regional
organic
conferences
and
workshops
and
at
national
and
international
organic
and
natural
food
shows.
States
were
consulted
in
training
sessions
held
for
organic
inspectors,
as
well
as
numerous
question
and
answer
sessions
at
speaking
engagements
of
the
Agricultural
Marketing
Service
(
AMS)
Administrator,
the
NOP
Program
Manager,
and
NOP
staff.
In
addition,
during
August
and
September
2000,
the
Administrator
and
NOP
staff
engaged
in
extensive
efforts
to
discuss
the
proposed
rule.
While
many
organizations
declined
opportunities
for
these
briefings,
AMS
staff
did
meet
with
the
National
Conference
of
State
Legislatures
(
NCSL)
and,
at
their
request,
in
lieu
of
a
meeting,
provided
information
to
the
National
Governor's
Association
(
NGA).
NGA
and
NCSL
representatives
stated
they
were
aware
of
the
development
of
the
final
rule
but
offered
no
comments
during
these
consultations
beyond
those
submitted
by
the
individual
States
during
the
proposed
rule's
comment
period.
In
addition,
between
August
and
October
2000,
NOP
staff
had
telephone
or
e
mail
contact
with
the
State
organic
program
directors
or
other
State
department
of
agriculture
representatives
in
25
States
to
determine
the
scope
and
status
of
each
State's
organic
program
in
the
context
of
the
issuance
of
the
final
rule.
These
State
representatives
stated
that
they
were
eagerly
awaiting
the
publication
of
the
final
rule
and
had
already
begun
adjusting
their
programs
to
conform
with
the
March
2000
proposed
rule
in
anticipation
of
the
publication
of
the
final
rule.
Finally,
States
have
had
the
opportunity
to
comment
on
two
proposed
rules.
More
than
275,000
comments
were
received
on
the
first
proposal,
and
40,000
on
the
second
proposed
rule
including
extensive
comments
from
twelve
State
departments
of
agriculture,
one
State
legislator,
two
members
of
Congress,
and
the
National
Association
of
State
Organic
Programs.
550
Through
this
outreach
and
consultation
process,
States
have
both
provided
general
feedback
to
the
rule
and
expressed
several
specific
concerns
about
how
this
rule
will
affect
State
programs.
Overwhelmingly,
States
were
extremely
supportive
of
the
March
2000
proposed
rule.
With
a
few
exceptions,
most
notably
who
should
bear
the
cost
of
enforcement
of
an
SOP,
States
are
supportive
of
the
Federal
legislation.
We
did
not
receive
a
single
comment
from
a
State
that
indicated
that
there
should
not
be
a
national
organic
program.
The
most
prevalent
issues
they
raised
regarding
the
March
2000
proposed
rule
as
to
how
this
rule
will
affect
organic
programs
in
their
States,
along
with
USDA's
response,
are
described
below.
We
received
no
direct
comments
from
States
on
the
Federalism
section
in
the
proposed
rule.
Many
of
these
concerns
and
others
are
addressed
in
more
detail
in
the
relevant
sections
of
the
rule.
Applicability
Regarding
section
205.100(
b),
five
States
currently
offer
a
"
transition
to
organic"
label
for
producers
who
are
in
the
process
of
becoming
certified.
Many
of
these
States
would
like
to
continue
to
offer
this
label.
However,
OFPA
does
not
authorize
a
"
transition
to
organic"
label.
Although
the
States
(
or
private
certifiers)
are
free
to
come
up
with
a
different
label
for
these
farmers,
they
cannot
utilize
the
term,
organic,"
in
any
seal
or
labeling
associated
with
the
conversion
period.
There
is
no
change
in
this
provision
from
the
proposed
rule.
Accreditation
Regarding
section
205.501(
a),
many
States
wanted
the
NOP
to
add
an
additional
subsection
to
the
Accreditation
section
requiring
certifiers
to
prove
that
they
can
carry
out
a
551
State's
more
restrictive
standards
in
order
to
be
accredited
to
certify
in
that
State.
AMS
concurs
with
this
suggestion
and
has
added
a
new
paragraph
205.502(
a)(
20)
requiring
the
certifying
agent
to
demonstrate
its
ability
to
comply
with
a
State's
additional
requirements.
Regarding
section
205.501(
b),
there
was
strong
support
by
all
of
the
States
for
the
provision
that
States
with
SOP's
are
able
to
have
higher
standards
than
the
NOP
for
operations
within
their
State.
However,
there
was
not
consensus
among
the
States
on
the
prohibition
on
private
certifiers
requiring
more
stringent
standards.
Although
most
supported
the
prohibition
on
private
certifiers
imposing
additional
requirements
as
a
condition
of
certification
because
they
perceived
that
it
lowered
barriers
to
farmers
and
processors
in
their
States,
three
States
were
strongly
opposed
to
this
provision.
Because
having
a
consistent
national
standard
is
one
of
the
primary
purposes
of
the
legislation,
there
is
no
change
in
this
provision
from
the
proposed
rule.
State
Programs
There
was
general
confusion
about
what
is
the
difference
between
a
State
organic
certification
program
and
an
SOP.
In
addition,
some
States
wanted
the
scope
of
the
NOP's
oversight
for
State
organic
activities
to
be
limited
to
certification.
A
State
organic
certification
program
is
equivalent
to
a
private
or
foreign
certification
program.
States
wishing
to
certify
operations
in
their
State
must
apply
to
the
NOP
for
accreditation.
An
SOP,
on
the
other
hand,
requires
the
State
to
submit
a
plan
to
the
NOP
for
approval
to,
in
effect,
administer
the
NOP
within
their
State.
Included
in
this
is
the
opportunity
to
include
requirements
that
differ
from
the
NOP.
In
creating
an
SOP,
a
State
is
also
agreeing
to
take
on
enforcement
activities
that
would
otherwise
be
the
responsibility
of
the
NOP.
One
exception
to
a
552
State's
enforcement
authority
is
that
States
with
SOP's
do
not
have
jurisdiction
over
the
accreditation
of
certifying
agents
and
cannot
revoke
accreditation.
They
can
investigate
and
report
accreditation
violations
to
the
NOP.
States
with
only
an
accredited
certification
program
are
only
responsible
for
the
level
of
enforcement
that
all
accredited
certifying
agents,
State,
private,
or
foreign,
are
required
to
take
on.
Regarding
section
205.620(
c),
several
States
want
broader
language
than
"
unique
environmental
conditions"
to
be
the
basis
for
a
State
to
have
the
right
to
establish
more
restrictive
requirements
under
an
SOP.
AMS
does
not
concur.
There
is
no
change
to
this
language
in
the
final
rule.
It
is
the
opinion
of
AMS
that
the
current
language
is
broad
enough
to
cover
the
scope
of
more
restrictive
requirements
as
authorized
by
OFPA.
Regarding
section
205.620(
d),
many
States
want
it
to
be
optional
for
States
with
SOP's
to
take
on
enforcement
obligations;
several
want
funding
from
USDA
for
enforcement
activities.
AMS
does
not
concur
with
this
change.
AMS
does
not
envision
that
participation
under
the
NOP
will
impose
additional
fiscal
costs
on
States
with
existing
organic
programs,
other
than
the
costs
of
accreditation.
Regarding
section
205.621(
b),
several
States
commented
that
States
with
SOP's
should
not
be
required
to
publish
proposed
changes
to
their
programs
in
the
Federal
Register
for
public
comment.
AMS
concurs
with
this
comment.
This
language
was
an
oversight
from
the
first
proposed
rule.
Fees
A
few
States
commented
that
the
proposed
fees
for
accreditation
could
cost
more
than
some
States
could
afford
to
pay.
They
made
some
suggestions
for
reducing
accreditation
fees,
553
ranging
from
no
fees
(
a
completely
federally
funded
program)
to
charging
reduced
rates
for
travel
or
eliminating
hourly
charges.
AMS
has
no
plans
to
change
the
fee
structure.
As
in
the
proposed
rule,
hourly
charges
for
accreditation
will
be
waived
for
all
applicants
in
the
first
18
months
of
the
program
to
facilitate
the
conversion
to
a
national
accreditation
system.
Compliance
Regarding
section
205.665,
several
States
wanted
to
know
what
their
authority
was
to
revoke
the
accreditation
of
private
certifiers
in
their
State
who
do
not
meet
additional
State
standards
under
an
SOP.
An
SOP's
governing
State
official
is
authorized
to
review
and
investigate
complaints
of
noncompliance
with
the
Act
or
regulations
concerning
accreditation
of
certifying
agents
operating
in
their
State.
If
they
discover
a
noncompliance,
they
shall
send
a
written
report
to
the
NOP
program
manager.
Because
accreditation
is
a
Federal
license,
States
do
not
have
the
authority
to
revoke
a
certifying
agent's
accreditation.
There
is
no
change
in
this
section
from
the
proposed
rule
Appeals
Regarding
section
205.668(
b),
several
State
commenters
want
appeals
from
SOP's
to
go
to
State
district
court
rather
than
Federal
district
court.
AMS
disagrees.
The
Act
provides
that
a
final
decision
of
the
Secretary
may
be
appealed
to
the
U.
S.
District
Court
for
the
district
in
which
the
person
is
located.
AMS
considers
an
approved
SOP
to
be
the
NOP
for
that
State.
As
such,
AMS
considers
the
governing
State
official
of
such
State
program
to
be
the
equivalent
of
a
representative
of
the
Secretary
for
the
purpose
of
the
appeals
procedures
under
the
NOP.
Because
the
final
decision
of
the
governing
State
official
is
considered
the
final
decision
of
the
Secretary,
under
the
Act
it
is
then
appealable
to
the
U.
S.
District
Court,
not
the
State
district
court.
554
Regarding
section
205.680,
State
commenters
want
a
process
by
which
people
who
feel
they
were
adversely
affected
by
the
organic
program
in
a
State
with
an
SOP
may
appeal
to
the
SOP's
governing
State
official,
rather
than
the
Administrator.
AMS
has
amended
the
language
in
section
205.680
to
clarify
to
whom
an
appeal
is
made
under
various
situations.
If
persons
believe
that
they
were
adversely
affected
by
a
decision
made
by
the
NOP
Program
Manager,
they
appeal
to
the
Administrator.
If
they
were
adversely
affected
by
a
decision
made
by
a
certifying
agent
(
State,
private,
or
foreign),
they
appeal
to
the
Administrator
unless
they
are
in
a
State
with
an
SOP,
in
which
case,
they
appeal
to
the
SOP's
governing
State
official.
If
persons
believe
that
they
were
adversely
affected
by
a
decision
made
by
a
representative
of
an
SOP,
they
appeal
such
decision
to
the
SOP's
governing
State
official
or
such
official's
designee.
| epa | 2024-06-07T20:31:44.330720 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0305-0004/content.txt"
} |
EPA-HQ-OPP-2002-0306-0001 | Notice | 2002-11-20T05:00:00 | The Association of American Pesticide Control Officials (AAPCO) State FIFRA Issues
Research and Evaluation Group SFIREG; Notice of Public Meeting | 70072
Federal
Register
/
Vol.
67,
No.
224
/
Wednesday,
November
20,
2002
/
Notices
to
review
reports
from
some
of
its
Committees/
Subcommittee,
most
likely
including
the
following:
(
a)
Executive
Committee
Subcommittee
Scientific
and
Technological
Achievement
Awards
Subcommittee
(
STAA)
Recommendations
on
the
Agency's
FY2001
Scientific
and
Technological
Achievement
Awards
Program:
An
SAB
Report
(
see
67
FR
44200
(
July
1,
2002),
for
further
details).
(
b)
Environmental
Economics
Advisory
Committee
(
EEAC)
Affordability:
An
SAB
Report
(
see
67
FR
46506
(
July
15,
2002),
for
further
details).
Please
check
with
Ms.
Diana
Pozun
(
see
contact
information
below)
prior
to
the
meeting
to
determine
which
reports
will
be
on
the
agenda
as
last
minute
changes
can
take
place.
Availability
of
Review
Materials:
Drafts
of
the
SAB
reports
that
will
be
reviewed
at
the
meeting
will
be
available
to
the
public
at
the
SAB
website
under
the
heading
for
the
Executive
Committee
Public
Teleconference,
December
5,
2002,
(
http://
www.
epa.
gov/
sab/
whatsnew.
htm)
approximately
two
weeks
prior
to
the
meeting.
Charge
to
the
Executive
Committee:
The
focus
of
the
EC
review
of
these
reports
will
be
on
the
following
questions:
(
a)
Has
the
SAB
adequately
responded
to
the
questions
posed
in
the
Charge?
(
b)
Are
the
statements
and/
or
responses
in
the
draft
report
clear?
And
(
c)
Are
there
any
errors
of
fact
in
the
report?
(
Note:
In
the
case
of
the
STAA
report,
the
charge
to
the
committee
was
to
review
over
100
scientific
papers
and
make
recommendations
for
awards.
The
draft
report
that
will
be
available
for
comment
at
this
meeting
will
only
contain
the
description
of
the
overall
process
and
recommendations
on
that
process.
The
actual
award
recommendations
are
embargoed
until
approved
and
processed
by
the
Office
of
Research
and
Development.
The
final
report
that
will
be
posted
on
the
SAB
website,
once
awards
are
announced,
will
include
the
complete
list
of
recommended
awards.)
In
accord
with
the
Federal
Advisory
Committee
Act
(
FACA),
the
public
and
the
Agency
are
invited
to
submit
written
comments
on
these
three
questions
that
are
the
focus
of
the
review.
Written
comments
should
be
received
in
the
SAB
Staff
Office
by
November
27,
2002.
Forward
comments
to
Ms.
Diana
Pozun
(
see
contact
information
below).
The
SAB
will
have
a
brief
period
available
for
applicable
public
comment.
Therefore,
anyone
wishing
to
make
oral
comments
on
the
three
focus
questions
above,
but
that
are
not
duplicative
of
the
written
comments,
should
contact
the
Designated
Federal
Officer
for
the
Executive
Committee,
Mr.
A.
Robert
Flaak
(
see
contact
information
below).
For
Further
Information
Any
member
of
the
public
wishing
further
information
concerning
this
meeting
or
wishing
to
submit
brief
oral
comments
(
3
minutes
or
less)
must
contact
Mr.
A.
Robert
Flaak,
Designated
Federal
Officer,
EPA
Science
Advisory
Board
(
1400A),
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460;
telephone
(
202)
564
4546;
FAX
(
202)
501
0582;
or
via
e
mail
at
flaak.
robert@
epa.
gov.
Requests
for
oral
comments
must
be
in
writing
(
e
mail,
fax
or
mail)
and
received
by
Mr.
Flaak
no
later
than
noon
eastern
standard
time
on
November
27,
2002.
Written
comments
should
be
sent
to:
Ms.
Diana
Pozun,
EPA
Science
Advisory
Board,
Mail
Code
1400A,
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460
(
Telephone
(
202)
564
4544,
FAX
(
202)
501
0323;
or
via
e
mail
at:
pozun.
diana@
epa.
gov.
Submission
by
e
mail
to
Ms.
Pozun
will
maximize
the
time
available
for
review
by
the
Executive
Committee.
Providing
Oral
or
Written
Comments
at
SAB
Meetings
It
is
the
policy
of
the
EPA
Science
Advisory
Board
to
accept
written
public
comments
of
any
length,
and
to
accommodate
oral
public
comments
whenever
possible.
The
EPA
Science
Advisory
Board
expects
that
public
statements
presented
at
its
meetings
will
not
be
repetitive
of
previously
submitted
oral
or
written
statements.
Oral
Comments:
In
general,
each
individual
or
group
requesting
an
oral
presentation
at
a
face
to
face
meeting
will
be
limited
to
a
total
time
of
10
minutes
(
unless
otherwise
indicated
above).
For
teleconference
meetings,
opportunities
for
oral
comment
will
usually
be
limited
to
no
more
than
three
minutes
per
speaker
and
no
more
than
15
minutes
total.
Deadlines
for
getting
on
the
public
speaker
list
for
a
meeting
are
given
above.
Speakers
should
bring
at
least
35
copies
of
their
comments
and
presentation
slides
for
distribution
to
the
reviewers
and
public
at
the
face
toface
meetings.
Written
Comments:
Although
the
SAB
accepts
written
comments
until
the
date
of
the
meeting
(
unless
otherwise
stated),
written
comments
should
be
received
in
the
SAB
Staff
Office
at
least
one
week
prior
to
the
meeting
date
so
that
the
comments
may
be
made
available
to
the
committee
for
their
consideration.
Comments
should
be
supplied
to
the
appropriate
DFO
at
the
address/
contact
information
noted
above
in
the
following
formats:
one
hard
copy
with
original
signature,
and
one
electronic
copy
via
e
mail
(
acceptable
file
format:
WordPerfect,
Word,
or
Rich
Text
files
(
in
IBM
PC/
Windows
95/
98
format).
Those
providing
written
comments
and
who
attend
face
to
face
meeting
are
also
asked
to
bring
35
copies
of
their
comments
for
public
distribution.
General
Information
Additional
information
concerning
the
EPA
Science
Advisory
Board,
its
structure,
function,
and
composition,
may
be
found
on
the
SAB
Website
(
http://
www.
epa.
gov/
sab)
and
in
The
FY2001
Annual
Report
of
the
Staff
Director
which
is
available
from
the
SAB
Publications
Staff
at
(
202)
564
4533
or
via
fax
at
(
202)
501
0256.
Committee
rosters,
draft
Agendas
and
meeting
calendars
are
also
located
on
our
website.
Meeting
Access
Individuals
requiring
special
accommodation
at
this
meeting,
including
wheelchair
access
to
the
conference
room,
should
contact
Mr.
Flaak
at
least
five
business
days
prior
to
the
meeting
so
that
appropriate
arrangements
can
be
made.
Dated:
November
13,
2002.
Vanessa
Vu,
Director,
EPA
Science
Advisory
Board
Staff
Office.
[
FR
Doc.
02
29478
Filed
11
19
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPPT
2002
0306;
FRL
7280
2]
The
Association
of
American
Pesticide
Control
Officials
(
AAPCO)
State
FIFRA
Issues
Research
and
Evaluation
Group
SFIREG;
Notice
of
Public
Meeting
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
The
State
Federal
Insecticide,
Fungicide
and
Rodenticide
Act
(
FIFRA),
Issues
Research
and
Evaluation
Group
(
SFIREG)
will
hold
a
2
day
meeting,
beginning
on
December
9,
2002
and
ending
December
10,
2002.
This
notice
announces
the
location
and
times
for
the
meeting,
and
sets
forth
the
tentative
agenda
topics.
DATES:
The
meeting
will
be
held
on
Monday,
December
9,
2002,
from
8:
30
a.
m.
until
4
p.
m.
(
A
CLOSED
SESSION
4
p.
m.
until
5
p.
m.)
and
Tuesday,
December
10,
2002
from
8:
30
a.
m.
until
noon.
VerDate
0ct<
31>
2002
16:
46
Nov
19,
2002
Jkt
200001
PO
00000
Frm
00030
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
20NON1.
SGM
20NON1
70073
Federal
Register
/
Vol.
67,
No.
224
/
Wednesday,
November
20,
2002
/
Notices
ADDRESSES:
The
meeting
will
be
held
at
Doubletree
Hotel,
300
Army
Navy
Drive,
Arlington,
VA
FOR
FURTHER
INFORMATION
CONTACT:
Georgia
McDuffie,
Field
and
External
Affairs
Division
(
7506c),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
605
0195;
fax
number:
(
703)
308
1850;
email
address:
mcduffie.
georgia@
epa.
gov.
or
Philip
H.
Gray,
SFIREG
Executive
Secretary,
P.
O.
Box
1249,
Hardwick,
VT
05843
1249;
telephone
number:
(
802)
472
6956;
fax
(
802)
472
6957;
e
mail
address:
aapco@
plainfield.
bypass.
com.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general,
and
may
be
of
particular
interest
to
``
those
persons
who
are
or
may
be
required
to
conduct
testing
of
chemical
substances
under
the
Federal
Food,
Drug
and
Cosmetic
Act
(
FFDCA),
or
the
FIFRA''.
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
ID
number
OPP
2002
0306.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although,
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
dockets.
You
may
use
EPA
dockets
at
http://
www.
epa.
gov/
edocket/
to
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although,
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Tentative
Agenda:
1.
Committee
Business
Issues.
2.
Regional
Reports
&
Introduction
of
Issue
Papers/
Action
Items.
3.
Comments
to
the
Committee/
Open
Discussion
with
EPA
Senior
Managers
(
To
be
determined).
4.
Worker
Protection
Standard
(
WPS)
Program
Element
Review
Update.
5.
Non
English/
Multiple
Language
Labels.
6.
Tribal
Pesticide
Program
Council
(
TPPC)/
Section
18s
&
other
Tribal
Issues.
7.
Update
on
Current
OPP
&
OECA
Activities.
8.
SFIREG
Issue
Paper
Status
Report.
9.
Closed
Session.
10.
Pesticide
Regulatory
Education
Program
(
PREP)
Briefing/
Issues.
11.
Soybean
Rust
Pest/
Section
18s
Requests.
12.
Status
(
SLA)
Label
Improvement
Project
Proposals
i.
e.
Mosquito
Products/
West
Nile
virus
Issues
13.
States
Label
Issue
Tracking
System
(
SLITS)
Update
14.
Certification
Training
Assessment
Group
(
CTAG)
Update
&
Discussion
15.
Issue
Papers/
Past
&
Present
List
of
Subjects
Environmental
protection,
Pesticide
and
pests.
Dated:
November
6,
2002.
Jay
Ellenberger,
Associate
Director,
Field
and
External
Affairs
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
29171
Filed
11
19
02;
8:
45
a.
m.]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0126;
FRL
7184
7]
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0126,
must
be
received
on
or
before
December
20,
2002.
ADDRESSESS:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
To
ensure
proper
receipt
by
EPA,
it
is
imperative
that
you
identify
docket
ID
number
OPP
2002
0126
in
the
subject
line
on
the
first
page
of
your
response.
FOR
FURTHER
INFORMATION
CONTACT:
By
mail:
Joanne
I.
Miller,
Registration
Division,
Office
of
Pesticide
Programs,
(
7505C)
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
6224;
e
mail
address:
miller.
joanne@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Categories
NAICS
codes
Examples
of
potentially
affected
entities
Industry
111
Crop
productionmption
112
Animal
production
311
Food
manufacturing
32532
Pesticide
manufacturing
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16:
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| epa | 2024-06-07T20:31:44.697419 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0306-0001/content.txt"
} |
EPA-HQ-OPP-2002-0307-0001 | Notice | 2002-12-19T05:00:00 | Organophosphate Pesticide; Availability of Naled Interim Risk Management Decision Document | 77783
Federal
Register
/
Vol.
67,
No.
244
/
Thursday,
December
19,
2002
/
Notices
[
FR
Doc.
02
31901
Filed
12
18
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7423
6]
EPA
Science
Advisory
Board,
Notification
of
Public
Advisory
Committee
Meeting;
Contaminated
Sediment
Science
Plan
Review
Panel
Pursuant
to
the
Federal
Advisory
Committee
Act,
Public
Law
92
463,
notice
is
hereby
given
that
the
Contaminated
Sediment
Science
Plan
Review
Panel
(
CSSP
Review
Panel)
of
the
U.
S.
Environmental
Protection
Agency's
(
EPA)
Science
Advisory
Board
(
SAB)
will
meet
via
teleconference
on
January
6,
2003,
from
3
p.
m.
to
5
p.
m.
eastern
time.
This
teleconference
meeting
will
be
hosted
out
of
Conference
Room
6013,
USEPA,
Ariel
Rios
Building
North,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20004.
The
meeting
is
open
to
the
public,
but,
due
to
limited
space,
seating
will
be
on
a
first
come
basis.
The
public
may
also
attend
via
telephone,
however,
lines
may
be
limited.
Information
on
how
to
participate
is
given
below.
Background
The
background
for
this
review
and
the
charge
to
the
CSSP
Review
Panel
were
published
in
the
Federal
Register
(
67
FR
49336,
July
30,
2000).
The
notice
also
included
a
draft
charge
to
the
CSSP
Review
Panel,
a
call
for
nominations
for
members
of
the
CSSP
Review
Panel
in
certain
technical
expertise
areas
needed
to
address
the
charge
and
described
the
process
to
be
used
in
forming
the
CSSP
Review
Panel.
Subsequently,
notice
was
published
(
67
FR
61622,
October
1,
2002)
of
three
meetings
that
have
since
been
convened:
a
teleconference
on
October
17,
2002,
a
meeting
in
Washington,
DC
on
October
30
and
31,
2002,
and
another
teleconference
on
November
22,
2002.
Details
on
the
activities
of
the
CSSP
Review
Panel
can
be
found
on
our
Web
site
at:
http://
www.
epa.
gov/
sab/
panels/
cssprpanel.
html.
Purpose
of
this
Meeting
The
purpose
of
this
public
teleconference
meeting
is
for
the
CSSP
Review
Panel
to:
(
a)
Review
and
revise
the
panel's
draft
report
as
necessary;
and
(
b)
approve
the
report
as
revised
for
delivery
to
the
SAB
Executive
Committee.
For
Further
Information
To
inquire
about
public
participation
in
the
meeting
identified
above
please
contact
Mr.
Lawrence
Martin,
Designated
Federal
Officer,
CSSP
Review
Panel,
USEPA
Science
Advisory
Board
(
1400A),
Suite
6450DD,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460;
telephone/
voice
mail
at
(
202)
564
6497;
fax
at
(
202)
501
0323;
or
via
e
mail
at
martin.
lawrence@
epa.
gov.
Members
of
the
public
desiring
additional
information
about
the
meeting
locations
or
the
call
in
number
for
the
teleconference,
must
contact
Mr.
Martin
at
the
addresses
and
numbers
identified
above.
Submitting
Public
Comments
The
SAB
will
have
a
brief
period
(
no
more
than
10
minutes)
available
during
the
Teleconference
meeting
for
applicable
public
comment.
For
the
Teleconference,
the
oral
public
comment
period
will
be
divided
among
the
speakers
who
register.
Registration
is
on
a
first
come
basis.
Speakers
who
have
been
granted
time
on
the
agenda
may
not
yield
their
time
to
other
speakers.
Those
wishing
to
speak
but
who
are
unable
to
register
in
time
may
provide
their
comments
in
writing.
Requests
for
oral
comments
must
be
in
writing
(
e
mail,
fax
or
mail)
and
received
by
Mr.
Martin
at
the
address
above
no
later
than
noon
eastern
time
on
December
30,
2002.
Availability
of
Review
Material
There
is
one
primary
document
that
is
the
subject
of
the
review.
This
review
document
is
available
electronically
at
the
following
site
http://
www.
epa.
gov/
sab/
panels/
cssprpanel.
html.
For
questions
and
information
pertaining
to
the
review
document,
please
contact
Dr.
Lee
Hofmann,
Office
of
Solid
Waste
and
Emergency
Response
(
OSWER),
Mail
Code
5103T,
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460
at
telephone
number
202
566
1928,
or
by
e
mail
at:
hofmann.
lee@
epa.
gov.
The
Panel's
draft
report,
which
will
be
the
topic
for
the
January
6
teleconference,
will
be
available
on
December
20
at
the
following
site:
http://
www.
epa.
gov/
sab/
panels/
cssprpanel.
html.
Providing
Oral
or
Written
Comments
at
SAB
Meetings
It
is
the
policy
of
the
EPA
Science
Advisory
Board
to
accept
written
public
comments
of
any
length,
and
to
accommodate
oral
public
comments
whenever
possible.
The
EPA
Science
Advisory
Board
expects
that
public
statements
presented
at
its
meetings
will
not
be
repetitive
of
previously
submitted
oral
or
written
statements.
Oral
Comments:
In
general,
each
individual
or
group
requesting
an
oral
presentation
at
a
face
to
face
meeting
will
be
limited
to
a
total
time
of
10
minutes
(
unless
otherwise
indicated
above).
For
teleconference
meetings,
opportunities
for
oral
comment
will
usually
be
limited
to
no
more
than
three
minutes
per
speaker
and
no
more
than
15
minutes
total
(
unless
otherwise
indicated
above).
Deadlines
for
getting
on
the
public
speaker
list
for
a
meeting
are
given
above.
Speakers
should
bring
at
least
35
copies
of
their
comments
and
presentation
slides
for
distribution
to
the
reviewers
and
public
at
the
meeting.
Written
Comments:
Although
the
SAB
accepts
written
comments
until
the
date
of
the
meeting
(
unless
otherwise
stated),
written
comments
should
be
received
in
the
SAB
Staff
Office
at
least
one
week
prior
to
the
meeting
date
so
that
the
comments
may
be
made
available
to
the
review
panel
for
their
consideration.
Comments
should
be
supplied
to
the
appropriate
DFO
at
the
address/
contact
information
noted
above
in
the
following
formats:
One
hard
copy
with
original
signature,
and
one
electronic
copy
via
e
mail
(
acceptable
file
format:
Adobe
Acrobat,
WordPerfect,
Word,
or
Rich
Text
files
(
in
IBM
PC/
Windows
95/
98
format).
Those
providing
written
comments
and
who
attend
the
meeting
are
also
asked
to
bring
35
copies
of
their
comments
for
public
distribution.
Meeting
Access
Individuals
requiring
special
accommodation
at
this
meeting,
including
wheelchair
access
to
the
conference
room,
should
contact
Mr.
Martin
at
least
five
business
days
prior
to
the
meeting
so
that
appropriate
arrangements
can
be
made.
General
Information
Additional
information
concerning
the
EPA
Science
Advisory
Board,
its
structure,
function,
and
composition,
may
be
found
on
the
SAB
Web
site
(
http://
www.
epa.
gov/
sab)
and
in
the
Science
Advisory
Board
FY2001
Annual
Staff
Report
which
is
available
from
the
SAB
Publications
Staff
at
(
202)
564
4533
or
via
fax
at
(
202)
501
0256.
Dated:
November
9,
2002.
A.
Robert
Flaak,
Acting
Director,
EPA
Science
Advisory
Board
Staff
Office.
[
FR
Doc.
02
31905
Filed
12
1
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0307;
FRL
7281
1]
Organophosphate
Pesticide;
Availability
of
Naled
Interim
Risk
Management
Decision
Document
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
availability
of
the
interim
risk
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20:
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18,
2002
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00000
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19DEN1.
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77784
Federal
Register
/
Vol.
67,
No.
244
/
Thursday,
December
19,
2002
/
Notices
management
decision
(
IRED)
document
for
the
organophosphate
pesticide
naled.
This
decision
document
has
been
developed
as
part
of
the
public
participation
process
that
EPA
and
the
U.
S.
Department
of
Agriculture
(
USDA)
are
now
using
for
involving
the
public
in
the
reassessment
of
pesticide
tolerances
under
the
Food
Quality
Protection
Act
(
FQPA),
and
the
reregistration
of
individual
organophosphate
pesticides
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
DATES:
The
interim
risk
management
decision
document
is
available
in
the
OPP
Docket
under
docket
ID
number
OPP
2002
0307.
FOR
FURTHER
INFORMATION
CONTACT:
Tom
Myers,
Special
Review
and
Reregistration
Division
(
7508C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8589;
e
mail
address:
myers.
tom@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general,
nevertheless,
a
wide
range
of
stakeholders
will
be
interested
in
obtaining
the
interim
risk
management
decision
document
for
naled,
including
environmental,
human
health,
and
agricultural
advocates;
the
chemical
industry;
pesticide
users;
and
members
of
the
public
interested
in
the
use
of
pesticides
on
food.
Since
other
entities
also
may
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
ID
number
OPP
2002
0307.
The
official
public
docket
consists
of
the
document
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although,
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although,
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
For
questions
on
the
IRED
in
this
document,
contact
the
Chemical
Review
Manager
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
III.
What
Action
is
the
Agency
Taking?
EPA
has
assessed
the
risks
of
naled
and
reached
an
IRED
for
this
organophosphate
pesticide.
Provided
that
risk
mitigation
measures
are
adopted,
naled
fits
into
its
own
risk
cup
its
individual,
aggregate
risks
are
within
acceptable
levels.
Used
mainly
to
control
mosquitos
and
to
control
insects
on
a
variety
of
agricultural
crops,
naled
residues
in
food
and
drinking
water
do
not
pose
risk
concerns.
Naled
may
no
longer
be
used
in
and
around
the
home
by
residents
or
professional
applicators.
However,
residents
can
be
exposed
as
bystanders
from
wide
area
mosquito
control
applications.
With
mitigation
limiting
homeowners'
and
children's
exposure,
naled
fits
into
its
own
``
risk
cup.''
With
other
mitigation
measures,
naled's
worker
and
ecological
risks
are
also
below
levels
of
concern
for
reregistration.
The
interim
risk
management
decision
document
for
naled
was
made
through
the
organophosphate
pesticide
pilot
public
participation
process,
which
increases
transparency
and
maximizes
stakeholder
involvement
in
EPA's
development
of
risk
assessments
and
risk
management
decisions.
The
pilot
public
participation
process
was
developed
as
part
of
the
EPA
USDA
Tolerance
Reassessment
Advisory
Committee
(
TRAC),
which
was
established
in
April
1998,
as
a
subcommittee
under
the
auspices
of
EPA's
National
Advisory
Council
for
Environmental
Policy
and
Technology.
A
goal
of
the
pilot
public
participation
process
is
to
find
a
more
effective
way
for
the
public
to
participate
at
critical
junctures
in
the
Agency's
development
of
organophosphate
pesticide
risk
assessments
and
risk
management
decisions.
EPA
and
USDA
began
implementing
this
pilot
process
in
August
1998,
to
increase
transparency
and
opportunities
for
stakeholder
consultation.
EPA
worked
extensively
with
affected
parties
to
reach
the
decisions
presented
in
this
interim
risk
management
decision
document,
which
conclude,
the
pilot
public
participation
process
for
naled.
As
part
of
the
pilot
public
participation
process,
numerous
opportunities
for
public
comment
were
offered
as
this
interim
risk
management
decision
document
was
being
developed.
The
naled
interim
risk
management
decision
document,
therefore,
is
issued
without
a
formal
public
comment
period
concluding
review
of
the
individual
organophosphate
pesticide.
The
docket
remains
open,
however,
and
any
comments
submitted
in
the
future
will
be
placed
in
the
public
docket.
The
risk
assessments
for
naled
were
released
to
the
public
through
notices
published
in
the
Federal
Register
on
August
12,
1998
(
63
FR
43175)
(
FRL
6024
3),
and
October
6,
1999
(
64
FR
54298)
(
FRL
6387
6).
EPA's
next
step
under
FQPA
is
to
complete
a
cumulative
risk
assessment
and
risk
management
decision
for
the
organophosphate
pesticides,
which
share
a
common
mechanism
of
toxicity.
This
interim
risk
management
decision
document
on
naled
cannot
be
considered
final
until
this
cumulative
assessment
is
complete.
When
the
cumulative
risk
assessment
for
the
organophosphate
pesticides
has
been
completed,
EPA
will
issue
its
final
tolerance
reassessment
decision
for
naled
and
further
risk
mitigation
measures
may
be
needed.
List
of
Subjects
Environmental
protection,
Chemicals,
Pesticides
and
pests.
Dated:
December
7,
2002.
Betty
Shackleford,
Acting
Director,
Special
Review
and
Reregistration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31907
Filed
12
18
02;
8:
45
am]
BILLING
CODE
6560
50
S
VerDate
0ct<
31>
2002
21:
31
Dec
18,
2002
Jkt
200001
PO
00000
Frm
00045
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
19DEN1.
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19DEN1
| epa | 2024-06-07T20:31:44.733024 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0307-0001/content.txt"
} |
EPA-HQ-OPP-2002-0309-0004 | Supporting & Related Material | 2002-12-03T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
March
5,
2002
MEMORANDUM
SUBJECT:
SUBJECT:
OXADIAZON.
Response
to
the
30
day
Error
Only
Comments
on
the
HED
Chapter
of
the
Reregistration
Eligibility
Decision
Document
(
RED).
PC
Code:
109001,
Case
#
819425,
Submission
No.
S610158,
DP
Barcode
D280876
FROM:
Nancy
E.
McCarroll,
Toxicologist/
Risk
Assessor
Toxicology
Branch
Health
Effects
Division
(
7509C)
THRU:
Alberto
Protzel,
Ph.
D.,
Branch
Senior
Scientist
Toxicology
Branch
Health
Effects
Division
(
7509C)
TO:
Veronique
La
Capra,
Chemical
Review
Manager
Reregistration
Branch
II
Special
Review
and
Reregistration
Division
(
7508W)
Error
only
comments
received
from
the
registrant,
Aventis
on
the
preliminary
Human
Health
Risk
Assessment
for
the
reregistration
of
Oxadiazon
have
been
addressed
in
the
revised
HED
Chapter
of
the
RED.
The
revised
document
is
attached
and
the
revisions
are
as
follows:
Actions
in
Response
to
Aventis
30
Day
Error
Only
Comments
(
Letter
dated
October
31,
2001)
CBI
Executive
Summary
The
percent
usages
of
Oxadiazon
in
the
Executive
Summary
have
been
removed.
Although
not
mentioned
by
the
Registrant,
percent
usage
items
have
also
been
removed
from
Section
4,
4.1
(
Exposure
Assessment,
Summary
of
Registered
Uses,
p.
21).
Document
Errors
i)
At
the
request
of
the
Registrant,
the
name
"
Aventis
Crop
Science"
(
Exec.
Sum,
para
1)
has
been
changed
and
now
reads
Aventis
Environmental
Science.
Although
not
mentioned
by
the
Registrant,
the
name
has
also
been
changed
on
pp.
9,
21
and
43.
ii)
Aventis
states
that
the
reference
to
use
areas
of
oxadiazon
as
being
apartment
/
condo
lawns
was
an
error
on
the
part
of
Aventis
and
requests
that
it
be
removed.
This
information
has
not
been
deleted
because
apartment/
condo
lawn
usage
appears
on
labels
other
than
those
prepared
by
Aventis.
iii)
Aventis
states
that
the
commercial
landscape
use
making
up
the
12%
is
non
residiential
and
requests
that
this
statement
be
removed.
Within
the
category,
HED
considers
"
residential
outdoors"
as
possibly
including
apartment/
condo
lawns,
parks,
playing
fields
and
cemeteries.
The
sentence
has
been
revised
as
follows
to
reflect
this
consideration:
In
addition,
oxadiazon
may
be
applied
by
commercial
operators
to
landscapes
(
which
could
include
residential
landscapes
such
as
apartment/
condo
lawns,
parks,
playing
fields
and
cemeteries),
and
these
use
patterns
indicate
a
potential
non
occupational
exposure
for
adults
and
children.
cc:
Margaret
Stasikowski
Lois
Rossi
Elizabeth
Doyle
Tom
Myer
HUMAN
HEALTH
RISK
ASSESSMENT
FOR
OXADIAZON
PC
Code
No.
109001
U.
S.
Environmental
Protection
Agency
Office
of
Pesticide
Programs
Health
Effects
Division
(
7509C)
Nancy
McCarroll,
Risk
Assessor
2
OXADIAZON
RISK
ASSESSMENT
TABLE
OF
CONTENTS
1.0
Executive
Summary
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
2.0
Physical/
Chemical
Properties
Characterization
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
9
3.0
Hazard
Characterization
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
10
3.1
Hazard
Profile
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
10
3.2
FQPA
Considerations
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
13
3.3
Dose
Response
Assessment
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
18
4.0
Exposure
Assessment
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
21
4.1
Summary
of
Registered
Uses
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
21
4.2
Dietary
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
22
4.2.1
Food
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
22
4.2.2
Water
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
22
4.2.2.1
Surface
Water
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
22
4.2.2.2
Ground
Water
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
22
4.3
Occupational
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
23
4.3.1
Handler
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
23
4.3.1.1
Noncancer
Handler
Exposures/
Risks
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
24
4.3.1.2
Cancer
Handler
Exposures/
Risks
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
27
4.3.2
Occupational
Postapplication
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
31
4.3.2.1
Data
Sources
and
Assumptions
for
Scenarios
Considered
.
.
.
.
.
31
4.3.2.2
Postapplication
Exposure
Risk
Estimates
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
32
4.3.3
Non
Occupational
Postapplication
Exposures
with
Risk
.
.
.
.
.
.
.
.
.
.
.
.
.
32
4.3.3.1
Non
occupational
Postapplication
Dermal
Exposure
(
Adults
and
Toddlers)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
34
4.3.3.1.1
Data
Sources
and
Assumptions
for
Scenarios
Considered
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
34
4.3.3.1.2
Non
occupational
Postapplication
Dermal
Exposure
Risk
Estimates
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
34
4.3.3.2
Incidental
Oral
Exposure
for
Toddlers
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
35
4.3.4
Incident
Data
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
39
5.0
Aggregate
Risk
Assessments
and
Risk
Characterization
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
40
5.1
DWLOCs
for
Acute
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
40
5.2
DWLOCs
for
Chronic
Exposure
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
40
5.3
DWLOCs
for
Cancer
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
41
5.4
Aggregate
Risk
Assessment
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
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43
3
6.0
Cumulative
Risk
.
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43
7.0
Endocrine
Disruption
.
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44
8.0
Data
Needs/
Label
Requirements
.
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44
8.1
Toxicology
.
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44
8.2
Product
and
Residue
Chemistry
.
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45
8.3
Occupational
and
Residential
Exposure
.
.
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45
9.0
Attachments.
.
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..........................................................................
45
1
No
Observable
Adverse
Effect
Level
4
1.0
EXECUTIVE
SUMMARY
The
Agency
has
conducted
a
human
health
risk
assessment
for
the
active
ingredient
oxadiazon,
[
2
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
delta
2
1,3,4
oxadiazolin
5
one],
for
the
purpose
of
making
a
reregistration
eligibility
decision.
Oxadiazon
is
a
selective
pre
emergent
and
early
post
emergence
herbicide
registered
to
control
annual
grasses
and
broadleaf
weeds.
The
trade
name
for
oxadiazon
in
the
U.
S.
is
Ronstar
®
.
The
Registrant,
Aventis
Environmental
Science
is
supporting
use
of
oxadiazon
on
turf
(
e.
g.,
golf
courses,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries)
and
ornamentals
(
Gorrell,
2001).
Like
other
oxadiazoles,
it
displays
light
dependent
phytotoxicity
through
the
inhibition
of
protoporphyrinogen
oxidase,
an
enzyme
critical
in
the
biosynthesis
of
chlorophyl
and
heme.
Accumulation
of
protoporphyrin
IX
following
exposure
to
oxadiazon
has
been
demonstrated
in
plants,
yeast
and
mouse
liver
mitochondria.
Aventis
is
not
supporting
any
tolerances
for
oxadizon
in
the
United
States
(
Gorrell,
2001).
There
is
also
no
CODEX
(
Canadian
or
Mexican
tolerances)
for
oxadiazon
(
Piper,
2001a).
The
request
for
revocation
of
tolerances
for
residues
of
oxadiazon
on
food
and
feed
has
been
granted
and
tolerances
will
be
revoked
(
Piper,
2001b).
Since
only
the
non
food
uses
of
oxadiazon
on
turf
and
ornamentals
will
be
retained,
it
has
been
determined
that
a
Food
Quality
Protection
Act
(
FQPA)
assessment
was
not
required.
Based
on
the
current
and
anticipated
use
patterns,
dietary
risk
assessments
are
also
not
required.
Oxadiazon
is
applied
via
hand
held
sprayers,
manual
spreaders
and
tractor
drawn
equipment.
Aerial
application
was
voluntarily
canceled
by
the
Registrant.
This
pesticide
can
be
applied
at
a
frequency
of
1
to
3
applications
per
season
and
at
an
application
rate
of
2.0
to
4.0
pounds
ai/
acre.
Use
sites
include
golf
courses,
roadsides
and
nurseries.
In
addition,
oxadiazon
may
be
applied
by
commercial
operators
to
landscapes
(
which
could
include
residential
landscapes
such
as
apartment/
condo
lawns,
parks,
playing
fields
and
cemeteries),
and
these
use
patterns
indicate
a
potential
non
occupational
exposure
for
adults
and
children.
Two
formulations
are
available:
wettable
powder
and
granular.
Oral
toxicity
is
well
characterized
for
oxadiazon
but
dermal
and
inhalation
toxicity
are
not.
Accordingly,
the
short
and
intermediate
term
toxicological
endpoints
selected
for
the
dermal
and
inhalation
risk
assessments
were
based
on
an
oral
endpoint
from
a
rat
developmental
study.
In
this
study,
a
NOAEL1
of
12
mg/
kg/
day
was
selected
based
on
an
increased
incidence
of
fetal
loss.
A
dermal
absorption
rate
of
9%
was
applied
to
the
dermal
risk
assessments
and
a
100%
absorption
rate
was
applied
to
the
inhalation
risk
assessments.
In
both
subchronic
and
chronic
studies,
the
major
target
organ
of
oxadiazon
is
the
liver.
Effects
were
consistent
among
the
species
tested
(
rat,
dog,
mouse)
and
typically
included
enlarged
livers
along
with
increases
in
serum
clinical
chemistry
parameters
associated
with
hepatotoxicity.
The
hematopoietic
system
also
appeared
to
be
a
target
of
oxadiazon
in
all
three
species,
based
on
mild
2
Metabolism
Assessment
Review
Committee
3
Health
Effects
Division
4
Margin
of
Exposure
5
Personal
Protective
Equipment
5
anemia
(
reductions
in
RBC,
hematocrit
and/
or
hemoglobin).
This
is
consistent
with
its
ability
to
inhibit
protoporphyrinogen
oxidase.
In
a
rat
metabolism/
pharmacokinetic
study,
oxadiazon
was
extensively
metabolized,
primarily
via
hydroxylation
and
glucuronide
conjugation.
The
MARC2
concluded,
however,
that
the
only
residue
of
concern
is
the
parent
compound,
oxadiazon
because
major
degradates
would
only
be
minor
components
in
the
enviroment
and
are
not
likely
to
be
significantly
more
toxic
than
the
parent
(
Piper,
2001b).
The
Office
of
Pesticide
Programs
(
OPP)
Carcinogenicity
Peer
Review
Committee
(
CARC)
has
classified
oxadiazon
as
"
likely
to
be
carcinogenic
to
humans"
based
on
the
combined
incidence
of
male
mouse
liver
adenoma
and/
or
carcinoma
rates
in
the
ICR
JCL
mouse
strain.
A
quantitative
risk
(
Q1*)
of
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents
was
used
for
the
human
health
risk
assessments.
Findings
from
reproduction
and
developmental
toxicity
studies
indicate
that
there
is
no
quantitative
evidence
of
increased
susceptibility
of
rats
or
rabbits
following
in
utero
or
postnatal
exposure
to
oxadiazon.
Similarly,
there
is
no
evidence
of
neurobehavioral
alterations,
neuropathological
effects
or
neurodevelopmental
potential
in
any
of
the
available
toxicity
studies.
HED3
has
determined
that
there
are
potential
exposures
to
occupational
mixers,
loaders,
applicators,
or
other
occupational
handlers
during
standard
use
patterns
associated
with
oxadiazon.
Fourteen
major
exposure
scenarios
were
identified
for
occupational
exposure
of
handlers.
These
scenarios
include
mixing,
loading
and
applying
through
the
use
of
ground
spray,
granular
and
lawn
application
methods.
The
exposure
scenarios
are
of
short
term
(
1
7
days)
and
intermediate
term
(
1
week
to
several
weeks);
use
patterns
do
not
indicate
any
long
term
use.
The
target
MOE4
of
100
for
occupational
exposure
scenarios
was
selected
based
on
the
uncertainty
factors
of
10x
for
intraspecies
variation
and
a
10x
for
interspecies
extrapolation.
Since
the
effects
from
dermal
and
inhalation
exposure
are
based
on
the
same
oral
study
(
i.
e.,
rat
developmental
study),
the
doses
for
these
routes
and
durations
were
aggregated.
Calculation
of
non
cancer
occupational
risk
based
on
combined
dermal
and
inhalation
exposure
indicates
that
with
the
exception
of
one
scenario
[
i.
e.,
low
pressure
handwand
wettable
powder
formulations
(
with
the
feasible
level
of
mitigation)],
all
other
potential
exposure
scenarios
provide
at
least
one
application
rate
with
total
MOEs
100
at
baseline
or
with
PPE5
or
engineering
controls.
Dermal
exposure,
rather
than
inhalation
exposure,
appears
to
be
the
main
contributor
to
the
total
MOE
for
the
low
pressure
handwand
wettable
powder
formulation
scenario
as
well
as
the
majority
of
occupational
exposures.
6
Turf
Transferable
Residue
6
Cancer
risks
for
occupational
dermal
and
inhalation
exposures
range
from
1.65E
2
to
4.66E
7
at
baseline,
1.05E
3
to
1.38E
7
with
PPE
or
4.92E
5
to
1.10E
8
with
engineering
controls.
Overall,
these
data
suggest
that
none
of
the
evaluated
scenarios
have
cancer
risks
that
exceed
1.00E
4
(
the
Agency's
level
of
concern
for
occupational
cancer
risk
begins
at
1.00E
4
with
all
attempts
to
mitigate
risks
to
1.00E
6,
when
possible).
Postapplication
contact
of
workers
with
oxadiazon
is
generally
minimal
because
of
the
use
sites
(
turf,
conifer
nurseries,
sod
farms,
landscape
industrial
sites
or
herbaceous
ornamental
crops
early
in
the
season,
either
pre
plant
or
before
weeds)
and
the
mechanization
(
machine
harvesting
and
mowing)
utilized
in
cultivating
these
crops
reduces
the
postapplication
contact
of
workers
with
oxadiazon.
Nevertheless,
the
Agency
has
ascertained
that
there
are
potential
postapplication
exposures
to
individuals
re
entering
treated
areas
associated
with
the
following
scenarios:
mowing
roadsides,
Bermuda
grass
right
of
ways,
sod
farms
and
golf
courses
as
well
as
harvesting
sod
farms.
Since
oxadiazon
is
not
volatile
(
has
a
low
vapor
pressure
of
1.0x10
6
mm
Hg)
and
is
used
outdoors,
the
inhalation
component
of
postapplication
exposure
is
anticipated
to
be
negligible.
Hence,
the
dermal
route
is
the
route
of
consequence.
For
short
and
intermediate
term
occupational
non
cancer
risks,
transplanting
and/
or
harvesting
weeds
either
manually
or
mechanically,
had
MOEs
(
30)
that
failed
to
meet
the
target
MOE
of
100.
All
other
occupational
postapplication
activities
had
MOEs
of
1000.
Cancer
risks
for
occupational
postapplication
scenarios
were
estimated
not
to
exceed
HED's
level
of
concern
(
i.
e.,
1.00E
4).
The
oxadiazon
labels
indicate
that
use
of
this
pesticide
is
limited
to
licensed
operators
and
the
product
is
not
available
to
homeowners.
However,
there
are
potential
postapplication
dermal
exposures
to
adults
and
toddlers
entering
oxadiazon
treated
lawns
and
potential
postapplication
risks
to
toddlers
from
incidental
ingestion
of
turfgrass
and/
or
"
hand
to
mouth"
exposure
when
entering
lawns
treated
with
the
granular
and
wettable
powder
formulations.
For
these
assessments,
the
duration
of
postapplication
dermal
exposure
is
expected
to
be
either
short
term
or
intermediate
term,
based
on
oxadiazon
turf
residue
dissipation
data.
The
short
term
and
intermediate
term
MOEs
for
dermal
exposures
were
calculated
using
a
NOAEL
of
12
mg/
kg/
day;
this
value
was
derived
from
the
same
developmental
rat
study
used
for
the
occupational
handler
noncancer
exposures.
For
the
cancer
risk
estimates,
the
Q1*
of
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents
was
used.
Results
show
that
all
non
cancer
dermal
scenarios
developed
for
adults
and
toddlers
had
short
term
and
intermediate
term
dermal
MOEs
greater
than
100.
The
cancer
risks
for
all
adult
residential
dermal
postapplication
exposures
fell
between
1.59x
10
5
to
7.51
x
10
7.
Estimated
incidental
oral
exposure
("
hand
to
mouth")
for
toddlers
had
an
MOE
of
100
using
the
TTR6
default
values
from
the
residential
SOP.
When
the
TTR
data
from
the
submitted
oxadiazon
study
were
used,
however,
the
MOEs
were
90
to
240.
The
former
MOE
does
not
exceed
the
target
7
Estimated
Drinking
Water
Concentrations
8
Drinking
Water
Levels
of
Concern
9
Risk
Assessment
Committee
7
value
of
100;
nonetheless,
the
TTR
data
from
the
submitted
study
were
for
the
wettable
powder
formulation
and
the
major
use
of
oxadiazon
is
with
the
granular
formulation.
It
is
probable,
therefore,
that
the
risk
indicated
when
the
TTR
data
from
the
submitted
study
were
applied,
is
an
overestimate
and
not
likely
to
be
a
cause
for
concern.
MOEs
were
not
calculated
for
the
incidental
ingestion
of
oxadiazon
granules
because
an
acute
RfD
was
not
selected
for
this
non
food
use
pesticide.
Additionally,
there
is
no
indication
from
the
studies
in
the
guideline
database
that
a
single
oral
exposure
to
oxadiazon
presents
a
hazard.
This
statement
is
also
supported
by
the
high
rat
acute
oral
LD50
for
oxadiazon
(>
5,000
mg/
kg).
It
is
thought,
therefore,
that
the
incidental
ingestion
of
granules
is
not
likely
to
be
a
cause
for
concern.
Monitoring
data
for
oxadiazon
residues
in
surface
and
ground
water
were
not
available.
Consequently,
potential
exposures
and
risks
from
oxadiazon
residues
in
unfinished
drinking
water
were
assessed
using
Tier
1
FIRST
(
surface
waters)
and
SCI
GROW
(
ground
water)
modeling
estimates.
For
risk
assessment
purposes,
surface
water
EDWCs7
of
oxadiazon
were
an
acute
(
peak)
value
of
246
ppb
(
g/
L)
and
an
average
annual
value
of
100
ppb
(
g/
L).
These
values
generally
depict
worst
case
scenarios,
and
represent
the
upper
bound
estimates
of
the
concentration
that
might
be
found
in
surface
water
and
ground
water
due
to
the
use
of
oxadiazon
on
turf.
These
model
estimates
were
compared
to
DWLOCs8,
the
theoretical
concentration
of
pesticide
in
drinking
water
that
would
be
an
acceptable
upper
limit
in
light
of
the
aggregate
exposure
to
the
pesticide
from
other
sources.
Results
for
acute
DWLOC
calculations
show
that
acute
exposure
of
each
population
(
U.
S.
population,
females
13
50
years,
children
1
6
years
and
infants)
to
residues
of
oxadiazon
in
surface
and
ground
water
are
of
no
concern.
For
chronic
DWLOCs,
the
U.
S.
population
as
a
whole
had
a
DWLOC
value
that
exceeded
the
surface
and
ground
water
targets.
The
chronic
DWLOC
values
derived
for
infants
and
children
exceeded
the
EDWCs
for
ground
water
but
not
for
surface
water.
Hence,
the
Agency
has
concerns
for
children
chronically
exposed
to
oxadiazon
in
drinking
water
derived
from
surface
waters.
In
addition,
EDWCs
for
both
surface
and
ground
water
were
higher
than
the
cancer
DWLOC;
therefore,
the
cancer
risk
exceeds
HED's
level
of
concern
for
lifetime
exposure
to
oxadiazon
in
surface
and
ground
water.
It
should
be
noted,
however,
that
EDWC
values
derived
from
the
FIRST
and
SCI
GROW
models
represent
the
compounding
of
several
worst
case
scenarios.
Similarly,
the
SCI
GROW
model
used
for
the
ground
water
analysis,
is
based
on
high
concentrations
observed
in
shallow
ground
water
after
agricultural
treatment
of
permeable
soils.
Since
this
combination
of
conditions
is
encountered
in
only
1%
of
the
agricultural
use
area
in
the
U.
S.,
it
is
not
likely
that
oxadiazon
would
pose
a
potential
cancer
concern
for
exposure
to
oxadiazon
in
ground
water
(
Barrett,
1998).
The
RARC9
recommended
that
an
aggregate
risk
assessment
not
be
conducted
on
oxadiazon
because
the
DWLOC
values
are
based
on
conservative
default
values
since
no
monitoring
data
were
available
on
oxadiazon
and
the
refined
model
for
turf
analysis
is
not
completed
at
this
time.
10
National
Pesticide
Telecommunication
Network
8
In
addition,
data
used
to
develop
residential
exposure
estimates
(
dermal
exposure
values)
were
also
conservative
because
the
highest
mean
postapplication
TTR
residue
value
from
the
submitted
study
along
with
the
data
from
the
wettable
powder
formulation
were
used
.
Thus,
any
aggregation
of
a
conservative
water
number
with
a
conservative
residential
exposure
estimate
would
result
in
an
even
more
conservative
expression
of
aggregate
risk.
The
RARC
also
noted
that
guidance
from
management
on
this
issue
is
forthcoming.
Oxadiazon
has
not
been
reported
to
cause
life
threatening
illness
or
death
in
humans.
Most
of
the
cases
appear
to
be
related
to
irritation
to
the
skin,
eyes
and
mucous
membranes.
Some
cases
may
be
related
to
an
allergic
reaction.
On
the
list
of
the
top
200
chemicals
for
which
NPTN10
received
calls
from
1984
1991
inclusively,
oxadiazon
was
ranked
192nd
with
12
incidents
in
humans
reported
and
5
incidents
in
animals
(
mostly
pets).
In
summary,
the
potential
risks
from
occupational
exposure
to
oxadiazon
are
generally
below
HED's
level
of
concern.
However,
even
with
the
feasible
level
of
mitigation,
there
is
one
occupational
exposure
scenario
(
i.
e.,
low
pressure
handwand
wettable
powder
formulations)
and
there
are
postapplication
occupational
exposures
associated
with
transplanting
and/
or
harvesting
weeds
manually
or
mechanically
that
are
of
concern.
HED
also
had
concerns
for
chronic
and
lifetime
exposure
to
oxadiazon
in
drinking
water
derived
from
surface
and/
or
ground
water.
9
2.0
PHYSICAL/
CHEMICAL
PROPERTIES
CHARACTERIZATION
Oxadiazon
[
2
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
delta
2
1,3,4
oxadiazolin
5
one]
is
a
preemergence,
early
postemergence
herbicide
registered
to
control
annual
grasses
and
broadleaf
weeds.
Oxadiazon
Empirical
formula:
C15H18Cl
2N2O
3
Molecular
weight:
345.2
CAS
Registry
No.:
19666
30
9
PC
Code:
109001
Oxadiazon
is
an
odorless
white
crystalline
powder
with
a
melting
point
of
90
C,
a
density
of
1.3
gm/
mL
and
it
has
a
low
solubility
in
water
(
0.0007
g/
L
at
20
C).
It
is
stable
at
normal
and
elevated
temperatures
(
at
55
C),
stable
in
the
presence
of
metals
(
aluminum,
iron
and
tin)
and
metal
ions
(
ferric
chloride),
and
has
a
low
vapor
pressure
(
1.0x10
6
mm
Hg).
A
single
manufacturing
use
product
(
MP)
registered
under
the
PC
Code
109001
was
identified
as
Aventis
Environmental
Science
USA
LP
94%
technical
(
T);
only
this
Aventis
94%
T
is
subject
to
the
RED
(
Dockter,
2001;
Piper,
2001).
The
Registrant
lists
oxadiazon
as
not
leaching
and
persistent
in
soil
(
Dockter,
2001).
Both
the
Product
Chemistry
and
the
Residue
Chemistry
databases
for
oxadiazon
are
complete.
10
3.0
HAZARD
CHARACTERIZATION
3.1
Hazard
Profile
Oxadiazon
is
a
selective
pre
emergent
herbicide
of
the
oxadiazole
class.
Like
other
oxadiazoles,
it
displays
light
dependent
phytotoxicity
through
the
inhibition
of
protoporphyrinogen
oxidase.
Accumulation
of
protoporphyrin
IX
following
exposure
to
oxadiazon
has
been
demonstrated
in
plants,
yeast
and
mouse
liver
mitochondria.
Details
of
the
hazard
assessment
of
oxadiazon
can
be
found
in
the
HED's
Toxicology
Disciplinary
Chapter
(
Hansen
and
McCarroll,
2001);
major
features
of
the
toxicology
profile
are
presented
below.
In
acute
studies,
oxadiazon
is
only
slightly
toxic
(
Toxicity
Categories
III
or
IV)
with
an
oral
LD
50
>
5000
mg/
kg,
a
dermal
LD
50
>
2000
mg/
kg
and
an
inhalation
LC
50
>
1.94
mg/
L.
Oxadiazon
is
mildly
irritating
to
ocular
tissue
and
negligibly
irritating
to
the
skin
(
both
Toxicity
Category
III)
and
is
not
a
dermal
sensitizer
(
Table
1).
Table
1.
Acute
Toxicity
Data
on
Oxadiazon
Guideline
No./
Study
Type
MRID
No.
Results
Toxicity
Category
870.1100
Acute
oral
toxicity
(
rat)
41866501
(
97.5%
a.
i.)
LD50
>
5000
mg/
kg
,
combined
IV
870.1200
Acute
dermal
toxicity
(
rabbit)
41866502
(
97.5%
a.
i.)
LD50
>
2000
mg/
kg,
,
combined
III
870.1300
Acute
inhalation
toxicity
(
rat)
41866503
(
93.7%
a.
i.)
LC50
>
1.94
mg/
L
,
combined
III
870.2400
Acute
eye
irritation
(
rabbit)
41866504
(
97.5%
a.
i.)
Mild
irritant
to
ocular
tissues
III
870.2500
Acute
dermal
irritation
(
rabbit)
41866505
(
97.5%
a.
i.)
Negligibly
irritating
to
skin
III
870.2600
Skin
sensitization
(
guinea
pig)
41230401
(
93.7%
a.
i.)
Not
a
dermal
sensitizer
(
Buehler
test)
870.6200a
Acute
neurotoxicity
screening
battery
(
rat)
ND
ND
No
data
not
required
for
oxadiazon.
The
major
target
organ
of
oxadiazon
is
the
liver.
Effects
were
consistent
among
the
species
tested
(
rat,
dog,
mouse)
in
both
subchronic
and
chronic
studies
and
typically
included
enlarged
livers
along
with
increases
in
serum
clinical
chemistry
parameters
associated
with
hepatotoxicity
such
as
alkaline
phosphatase
and
serum
aspartate
or
alanine
aminotransferase.
Findings
in
rats
and
mice
11
Cancer
Assessment
Review
Committee
11
included
fatty
changes,
pigmented
Kupffer
cells
and
bile
canaliculi
and
bile
duct
proliferation,
periacinar
swelling
and
pallor,
increased
acidophilic
cells,
hyperplasia
and
hepatocellular
necrosis.
No
treatment
related
microscopic
lesions
were
observed
in
the
subchronic
dog
study
and
findings
in
the
chronic
study
were
only
observed
at
the
highest
dose
tested
(
200
mg/
kg/
day),
where
only
two
animals/
sex
were
assigned
and
one
female
was
sacrificed
in
moribund
condition.
These
findings
included
increased
liver
weight
and
hepatocellular
histopathology
(
centriacinar
vacuolation,
periacinar
apoptosis
and
inflammation).
The
hematopoietic
system
also
appeared
to
be
a
target
of
oxadiazon
in
all
three
species,
based
on
mild
anemia
[
reductions
in
red
blood
cells
(
RBC),
hematocrit
and/
or
hemoglobin].
This
is
consistent
with
its
its
ability
to
inhibit
protopotphyrinogen
oxidase,
an
enzyme
involved
in
the
synthesis
of
both
heme
and
chlorophyll.
In
addition
to
effects
on
the
liver,
increased
pigmentation
in
the
kidney
was
observed
in
rats,
along
with
increased
blood
urea
nitrogen
(
BUN)
and
kidney
weights.
Although
a
dose
dependent
increase
in
thyroid
weight
was
observed
in
the
dog
subchronic
oral
toxicity
study
and
at
the
highest
dose
tested
of
the
chronic
dog
studies,
treatment
related
changes
in
thyroid
weights
or
gross/
microscopic
observations
were
not
observed
in
other
studies
(
thyroid
hormones
were
not
evaluated).
In
general,
males
appeared
to
be
slightly
more
sensitive
to
oxadiazon
than
females.
Oxadiazon
is
not
readily
absorbed
by
the
skin.
In
a
rat
dermal
absorption
study,
up
to
9%
of
the
applied
dose
of
technical
oxadiazon
was
absorbed
after
10
hours
of
exposure,
this
includes
2.65%
absorbed
and
6.07%
which
could
be
potentially
absorbed.
The
21
day
rabbit
dermal
toxicity
study
supports
low
dermal
absorption:
no
toxicity
was
observed
at
the
limit
dose
of
1000
mg/
kg/
day.
Following
long
term
dietary
administration,
oxadiazon
caused
an
increased
incidence
of
hepatocellular
adenoma
and
carcinoma
in
rats
and
mice.
Consistent
findings
were
reported
in
a
total
of
four
acceptable
studies
in
two
species
(
2
mouse
and
2
rat
studies).
A
third
mouse
study
was
unacceptable,
although
increased
hepatocellular
tumors
were
also
observed
in
mice
of
both
sexes.
In
CD
1
mice,
statistically
significant
increases
of
hepatocellular
adenoma
and
combined
adenoma/
adenocarcinoma
were
observed
at
all
dose
levels
tested
(
100
ppm)
in
both
males
and
females.
The
incidence
of
hepatocellular
carcinoma
was
increased
at
all
doses
in
males
but
only
at
the
two
highest
doses
in
females.
The
highest
dose
tested
exceeded
the
maximum
tolerated
dose
(
MTD)
for
males,
based
on
excessive
mortality.
In
ICR
JCL
mice,
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
were
increased
in
males
at
the
two
highest
doses
but
only
at
the
highest
dose
in
females.
In
SPF
Wistar
rats,
the
incidence
of
hepatocellular
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
was
increased
in
males
only.
A
second
study
in
F344
rats
showed
a
treatment
related
increase
in
the
incidence
of
hepatocellular
carcinoma
and
combined
adenoma/
carcinoma
only
in
males.
A
classification
of
"
likely
to
be
carcinogenic
to
humans"
was
assigned
by
the
CARC11
using
the
EPA
Draft
Guidelines
for
Carcinogen
Risk
Assessment
of
July
1999
(
Diwan,
2001).
A
quantitative
risk
(
Q1*)
of
7.11
x
10
2
(
mg/
kg/
day)
1
was
calculated
as
the
most
potent
unit
risk,
based
on
the
incidence
of
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
in
the
ICR
JCL
mouse
(
Brunsman,
2001).
12
Mechanism
of
Toxicity
Assessment
Review
Committee
13
Hazard
Identification
Assessment
Review
Committee
12
In
a
special
submitted
mechanistic
study
in
rats
and
a
published
study
in
rats,
mice
and
dogs,
oxadiazon
induced
peroxisomal
proliferation
(
based
on
liver
enlargement,
peroxisomal
enzyme
induction
and
electron
microscopy)
after
a
14
day
dietary
administration.
Some
peroxisomal
proliferator
compounds
are
known
to
be
liver
carcinogens,
but
the
HED
MTARC12
determined
that
there
are
insufficient
data
available
to
support
this
as
a
mechanism
of
carcinogenicity
for
oxadiazon
due
to
insufficient
data
showing
hepatocellular
proliferation,
lack
of
concordance
between
the
enzyme
induction
dose
response
and
tumor
formation
and
an
unexplained
decrease
in
catalase,
which
is
normally
significantly
increased
by
peroxisomal
proliferator
compounds
(
McCarroll,
2001a).
Oxadiazon
did
not
show
mutagenic
potential
in
any
in
vitro
assays
with
bacteria
(
S.
typhimurium
and
E.
coli)
or
mammalian
cells
(
TK
+/
mouse
lymphoma
cells),
did
not
show
clastogenic
potential
in
the
in
vitro
Chinese
hamster
ovary
cell
chromosomal
aberration
assays
and
did
not
induce
unscheduled
DNA
synthesis
in
cultured
primary
rat
hepatocytes.
However,
a
dose
related
increase
in
transformation
frequencies
was
observed
in
an
in
vitro
Syrian
hamster
kidney
BHK21
C13/
HRC1
cell
transformation
assay.
Significant
fetal
toxicity
(
fetal
loss
due
to
resorptions
and
post
implantation
loss,
decreased
fetal
weight,
skeletal
variations)
was
observed
in
developmental
toxicity
studies
in
both
rats
and
rabbits.
These
fetal
effects
occurred
at
the
same
dose
levels
at
which
slight
maternal
toxicity
(
decreased
weight
gain/
weight
loss)
were
observed.
Offspring
survival
effects
were
also
observed
in
the
rat
two
generation
reproduction
study.
No
toxicity
was
reported
at
the
lowest
dose
tested;
however,
in
the
range
finding
phase
of
the
reproduction
study
at
higher
dose
levels,
fetal
and
neonatal
survival
were
also
sharply
reduced.
The
decreased
neonatal
survival
was
due
at
least
in
part
to
effects
on
lactation,
based
on
findings
of
inactive
mammary
glands
in
the
dams
at
necropsy.
It
is
likely
that
neonatal
loss
may
have
resulted
from
starvation
and
would,
therefore,
be
an
effect
of
direct
maternal
toxicity.
Inactivity
of
the
mammary
tissue
as
a
possible
effect
of
endocrine
disruption
was
considered
by
the
HIARC13
but
was
not
found
to
be
likely
since
there
was
no
evidence
from
any
other
study
in
the
database
suggesting
endocrine
disruption
(
McCarroll,
2001
b).
No
fetal
malformations
were
observed
in
the
rat
or
rabbit
developmental
toxicity
studies;
however,
some
skeletal
variations
(
delayed
ossification,
asymmetric
pelvis)
were
reported.
The
above
findings
indicate
that
there
is
no
quantitative
evidence
of
increased
susceptibility
of
rats
or
rabbits
following
in
utero
or
postnatal
exposure
to
oxadiazon.
Neurotoxicity
studies
are
not
required
for
oxadiazon
because
no
clinical
signs
of
toxicity
suggestive
of
neurobehavioral
alterations
nor
evidence
of
neuropathological
effects
were
observed
in
any
of
the
available
toxicity
studies.
There
was
no
evidence
for
neurodevelopmental
potential
of
oxadiazon
in
the
rat
and
rabbit
developmental
toxicity
studies,
nor
in
the
rat
two
generation
reproductive
toxicity
study.
13
In
a
rat
metabolism/
pharmacokinetic
study,
oxadiazon
was
extensively
metabolized,
primarily
via
hydroxylation
and
glucuronide
conjugation.
Eighteen
(
18)
metabolites
were
identified
in
the
urine
and
feces,
of
which
4
urinary
and
5
fecal
metabolites
were
present
at
levels
greater
than
1%
of
the
dose.
After
7
days,
83%
of
the
administered
dose
was
excreted
in
the
urine
and
feces
(
total
recovery
94%)
for
all
dose
groups.
Females
excreted
more
radioactivity
in
the
urine
than
males.
The
excretion
of
radioactivity
into
the
urine
and
the
feces
was
sex
dependent
and
the
tissue
residues
were
very
low
in
all
tissues
except
liver
and
fat.
Low
doses
(
5
mg/
kg,
single
or
multiple)
of
oxadiazon
were
completely
absorbed,
metabolized
and
excreted
in
the
urine
and
feces
and
virtually
no
free
oxadiazon
was
found
in
the
urine.
At
this
dose,
the
rates
and
routes
of
excretion
of
radioactivity
were
similar.
At
high
dose
(
500
mg/
kg),
the
rate
of
excretion
was
affected
but
the
route
was
not.
Intact
oxadiazon
was
present
in
feces
only
and
was
dose
related:
at
the
high
dose,
more
than
53%
of
the
administered
radioactivity
was
intact
oxadiazon
in
the
feces;
at
5
mg/
kg,
not
more
than
4.8%
of
the
dose
was
intact
oxadiazon
in
the
feces.
Based
on
the
available
data,
the
MARC
concluded
that
the
only
residue
of
concern
is
the
parent
compound,
oxadiazon
because
major
degradates
would
only
be
minor
components
in
the
enviroment
and
are
not
likely
to
be
significantly
more
toxic
than
the
parent
(
Piper
2001b).
Subchronic,
chronic
and
other
types
of
toxicity
studies
are
summarized
in
Table
2.
The
only
data
gap
that
has
been
identified
at
this
time
is
a
28
day
inhalation
study
(
OPPTS
No.
870.3465).
This
study
is
not
a
guideline
requirement
for
oxadiazon,
but
has
been
requested
by
the
Agency
because
some
currently
registered
products
of
oxadiazon
include
spray
formulations
(
McCarroll,
2001
b)
which
could
result
in
exposure
via
the
inhalation
route.
3.2
FQPA
Considerations
From
the
available
data,
it
was
concluded
that
there
is
no
quantitative
evidence
of
increased
susceptibility
of
rats
or
rabbits
following
in
utero
or
postnatal
exposure
to
oxadiazon.
However,
it
has
been
determined
that
an
FQPA
assessment
is
not
required
because
oxadiazon
has
no
food
or
feed
uses;
the
request
for
revocation
of
tolerances
for
residues
of
oxadiazon
on
food
and
feed
has
been
granted
and
tolerances
will
be
revoked
(
Piper,
2001b).
14
Table.
2
Subchronic,
Chronic
and
Other
Toxicity
Tables
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
SUBCHRONIC
TOXICITY
STUDIES
870.3100
90
Day
oral
toxicity
(
CD
rat)
00111804
(
1970)
Acceptable/
guideline
0,
25,
100
or
1000
mg/
kg/
d
(
diet)
NOAEL
=
25
mg/
kg/
day
LOAEL
=
100
mg/
kg/
day
based
on
decreased
body
weight,
increased
liver
weight,
hematological
changes
and
clinical
chemistry
and
pathological
changes
associated
with
liver
damage.
870.3150
90
Day
oral
toxicity
in
(
Beagle
dog)
00111805
(
1970)
Acceptable/
guideline
0,
25,
100
or
1000
mg/
kg/
d
(
capsule)
NOAEL
<
25
mg/
kg/
day
LOAEL
25
mg/
kg/
day
based
on
increased
thyroid
weights
in
males.
870.3200
21
Day
dermal
toxicity
(
NZW
rabbit)
41863602
(
1991
)
Acceptable/
guideline
0,
100,
500
or
1000
mg/
kg/
day
NOAEL
1000
mg/
kg/
day.
LOAEL
>
1000
mg/
kg/
day.
DEVELOPMENTAL
AND
REPRODUCTIVE
TOXICITY
STUDIES
870.3700a
Prenatal
developmental
(
SD
rat)
40470202
(
1987)
Acceptable/
guideline
0,
3,
12
or
40
mg/
kg/
day
(
gavage)
Maternal
NOAEL
=
12
mg/
kg/
day.
LOAEL
=
40
mg/
kg/
day
based
on
decreased
body
weight/
weight
gain.
Developmental
NOAEL
=
12
mg/
kg/
day
LOAEL
=
40
mg/
kg/
day
based
on
increased
fetal
resorptions/
implantation
loss,
decreased
pup
weight
and
increased
incidence
of
incomplete
ossification.
870.3700b
Prenatal
developmental
(
NZW
rabbit)
40470201
(
1987)
Acceptable/
guideline
0,
20,
60
or
180
mg/
kg/
day
(
gavage)
Maternal
NOAEL
=
20
mg/
kg/
day
LOAEL
=
60
mg/
kg/
day
based
on
transient
weight
loss
during
the
first
week
of
treatment.
Developmental
NOAEL
=
60
mg/
kg/
day
LOAEL
=
180
mg/
kg/
day
based
on
increased
postimplantation
loss
and
late
resorptions,
decreased
fetal
weight
and
increased
bilateral
hind
limb
flexure.
870.3800
Reproduction
and
fertility
effects
(
CD
rat)
41239801
(
1988)
Acceptable/
guideline
0,
20,
60
or
200
ppm
(
M/
F
0,
1.5/
1.84,
4.65/
5.63
or
15.50/
18.20
mg/
kg/
day,
premating)
Parental/
Systemic
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
decreased
gestational
weight
gain
in
RF
study
at
38
mg/
kg/
day).
Reproductive
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
inactive
mammary
tissue,
fetal/
neonatal
mortality
in
the
RF
study
at
38
mg/
kg/
day).
Offspring
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
fetal/
neonatal
mortality
in
the
RF
study
at
38
mg/
kg/
day).
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
15
CHRONIC
TOXICITY
AND
CARCINOGENICITY
STUDIES
870.4100a
Chronic
toxicity
(
rat)
See
870.4300,
Combined
chronic
toxicity/
carcinogenicity
870.4100b
Chronic
toxicity
(
Beagle
dog)
41326401(
1989)
Acceptable/
guideline
0,
5,
20
or
60
mg/
kg/
day
(
capsule)
NOAEL
=
5
mg/
kg/
day
LOAEL
=
20
mg/
kg/
day
based
on
increased
absolute
and
relative
female
liver
weight
accompanied
by
similar
changes
in
liver
weight
for
both
sexes
at
60
mg/
kg/
day.
870.4200
Carcinogenicity
(
CD
1
mouse)
00044322
(
1980)
Unacceptable/
guideline
0,
300,
1000
or
2000
ppm
(
M/
F
0,
48/
62,
153/
201
or
319/
417
mg/
kg/
day),
in
diet
NOAEL
<
48
mg/
kg/
day
LOAEL
48
mg/
kg/
day
based
on
increased
liver
weight,
serum
enzymes
related
to
liver
damage
and
microscopic
pathology
in
the
liver
of
both
sexes.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
carcinoma,
both
sexes
at
48/
62
mg/
kg/
day.
870.4200
Carcinogenicity
(
CD
1
mouse)
00115733
(
1982)
Acceptable/
guideline
0,
100,
300,
1000
or
2000
ppm
(
M/
F
0,
12/
14,
37/
44,
122/
143
or
254/
296
mg/
kg/
day),
in
diet
NOAEL
12
mg/
kg/
day
LOAEL
<
12
mg/
kg/
day
based
on
clinical
signs,
increased
liver
weights
in
males
and
increased
microscopic
pathology
in
the
liver
of
both
sexes.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
(
adenoma,
combined
adenoma/
carcinoma)
in
both
sexes
at
all
doses
tested
(
carcinoma
alone
increased
in
all
male
groups
and
at
143
mg/
kg/
day
in
females).
870.4200
Carcinogenicity
(
ICR
JCL
mouse)
40993301
(
1987)
Acceptable/
guideline
0,
3,
10,
100
or
1000
ppm
(
M/
F
0,
0.315/
0.278,
1.09/
0.92,
10.6/
9.3
or
113/
99
mg/
kg/
day),
in
diet
NOAEL
=
1.09
mg/
kg/
day
LOAEL
=
10.6
mg/
kg/
day
based
on
anemia
and
microscopic
lesions
in
the
liver
and
kidneys
(
all
in
males).
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
(
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
in
males
at
10.6
mg/
kg/
day
and
in
females
at
99
mg/
kg/
day).
870.4300
Combined
chronic
toxicity/
carcinogenicity
(
F344
rat)
00149003,
00157780
(
1982,
1986)
Acceptable/
guideline
0,
10,
100,
1000
or
3000
ppm
(
M/
F
0,
0.5/
0.6,
5.9/
4.8,
50.9/
60.9
or
163.1/
192.7
mg/
kg/
day,
in
diet
NOAEL
=
0.5
mg/
kg/
day
LOAEL
=
4.8
mg/
kg/
day
based
on
increased
liver
weights
in
both
sexes
and
increased
total
serum
protein
in
females.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
in
males
(
adenomas
and
combined
adenomas/
carcinomas
in
males
at
50.9
mg/
kg/
day).
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
16
870.4300
Combined
chronic
toxicity/
carcinogenicity
(
Wistar
rat)
40993401
(
1987)
Acceptable/
guideline
0,
3,
10,
100
or
1000
ppm
(
M/
F
0,
0.106/
0.131,
0.36/
0.44,
3.5/
4.2
or
39/
44
mg/
kg/
day)
NOAEL
=
0.36
mg/
kg/
day
LOAEL
=
3.5
mg/
kg/
day
based
on
increased
incidence
of
hepatocellular
centrilobular
swelling
in
males.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
in
males
(
adenomas
and
combined
adenomas/
carcinomas
at
4.2
mg/
kg/
day
and
carcinomas
at
39
mg/
kg/
day).
MUTAGENICITY
AND
CELL
TRANSFORMATION
STUDIES
870.5100
Gene
Mutation
Bacterial
reverse
gene
mutation
assay
and
870.5500
Bacterial
DNA
Repair
Assay
00069893
(
1976)
Acceptable/
guideline
S.
typhimurium
and
E.
coli
100
2500
and
10
1000
g/
plate
w/
o
S9
and
10
1000
g/
plate
w/
S9.
B.
subtilis
20
2000
g/
plate
w/
o
S9.
Negative
in
S.
typhimurium
strains
TA1535,
TA1437,
TA1538,
TA98
and
TA100;
E.
coli
strain
WP2
hcr
and
B.
subtilis
strains
H17
and
M45
(
cytotoxicity
not
observed
).
870.5100
Gene
Mutation
Bacterial
reverse
gene
mutation
assay
41871701
(
1991)
Acceptable/
guideline
50
5000
g/
plate
w/
o
or
w/
S9.
Negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
(
cytotoxicity
observed
at
3330
g/
plate
w/
o
S9
but
not
w/
S9).
Insoluble
at
500
g/
plate.
870.5300
Gene
Mutation
In
vitro
mammalian
cell
forward
gene
mutation
assay
00115726
(
1982)
Acceptable/
guideline
15.6
1000
g/
mL
(
Trial
1),
50
1000
g/
mL
(
Trial
2),
both
w/
o
S9;
3.91
62.5
(
Trial
1),
20
100
(
Trial
2)
and
100
200
g/
mL
(
Trial
3),
all
w/
S9.
Negative
in
L5178Y
TK+
mouse
lymphoma
cells
(
cytotoxicity
observed
at
1000
g/
mL
w/
o
S9
and
200
g/
mL
w/
S9).
Insoluble
at
62.5
g/
mL.
870.5300
Gene
Mutation
In
vitro
mammalian
cell
forward
gene
mutation
assay
00115729
(
1982)
Acceptable/
guideline
31.3
1000
g/
mL
w/
o
S9
and
15.6
250
g/
mL
w/
S9
Negative
in
L5178Y
TK+
mouse
lymphoma
cells
(
cytotoxicity
observed
at
1000
g/
mL
w/
o
S9
and
250
g/
mL
w/
S9).
Insoluble
at
250
g/
mL.
870.5375
Cytogenetics
In
vitro
mammalian
cell
chromosomal
aberration
assay
00115728
(
1982)
Acceptable/
guideline
2
2000
g/
mL
w/
o
S9;
0.667
2000
g/
mL
(
Trial
1)
and
200
600
g/
mL
(
Trial
2),
both
w/
S9.
Negative
in
Chinese
hamster
ovary
(
CHO)
cells
(
cytotoxicity
observed
at
200
g/
mL
w/
o
S9
and
500
g/
mL
w/
S9).
Insoluble
at
667
g/
mL
w/
o
S9
and
200
g/
mL
w/
S9.
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
17
870.5375
Cytogenetics
In
vitro
mammalian
cell
chromosomal
aberration
assay
00115730
(
1982)
Acceptable/
guideline
0.416
125
g/
mL
(
Trial
1)
and
12.5
75
g/
mL
(
Trial
2),
both
w/
o
S9;
1.25
125
g/
mL
w/
S9
(
trial
2).
Negative
in
Chinese
hamster
ovary
(
CHO)
cells
(
cytotoxicity
at
75
g/
mL
w/
o
S9
and
41.6
g/
mL
w/
S9).
Insoluble
at
416
g/
mL.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
0073288
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
100%
oxadiazon
Negative
up
to
limit
dose
of
2000
mg/
kg,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
No
signs
of
toxicity
were
observed.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
0073289
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
Negative
up
to
limit
dose
of
2000
mg/
kg
,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
No
signs
of
toxicity
were
observed.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
00732890
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
24865
RP
(
99%),
an
oxadiazon
impurity
Negative
up
to
limit
dose
of
2000
mg/
kg,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
Clinical
signs
of
toxicity
observed
at
1000
mg/
kg
including
2
deaths
at
2000
mg/
kg.
870.5550
Other
Effects
Unscheduled
DNA
synthesis
assay
00115723
(
1982)
Acceptable/
guideline
1.0
to
1000
g/
mL
Negative
in
primary
rat
hepatocytes
after
18
hrs
(
cytotoxicity
observed
at
100
500
g/
mL).
870.5550
Other
Effects
Unscheduled
DNA
synthesis
assay
00115727
(
1982)
Acceptable/
guideline
0.5
to
50
g/
mL
Negative
in
primary
rat
hepatocytes
after
18
hrs
(
cytotoxicity
observed
at
50
g/
mL).
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
18
Nonguideline
Other
Effects
In
vitro
cell
transformation
00115703
(
1982)
Acceptable/
nonguideline
12.5
200
g/
mL
w/
and
w/
o
S9
for
technical
oxadiazon;
25
400
g/
mL
for
recrystallized
oxadiazon
(
100%)
w/
S9
or
w/
o
S9.
Positive,
dose
related
induction
of
cell
transformation
above
background
levels
observed
w/
S9
and
w/
o
S9
activation
in
Syrian
hamster
kidney
cells
(
BHK21
C13/
HRC1
cells)
for
both
technical
and
recrystallized
oxadiazon.
METABOLISM,
DERMAL
PENETRATION
AND
SPECIAL
MECHANISTIC
STUDIES
870.7485
Metabolism
and
pharmacokinetics
(
Crl:
CD(
SD)
BR
rat)
42324701,
42663601
(
1992,
1993)
Acceptable/
guideline
5
mg/
kg
14C
oxadiazon
(
single
dose),
5
mg/
kg
(
14
day
dose
of
oxadiazon
+
1
dose
of
14C
oxadiazon,
day
15)
or
500
mg/
kg
14Coxadiazon
(
gavage)
At
5
mg/
kg,
oxadiazon
is
completely
absorbed,
metabolized
and
excreted
in
urine
and
feces
(
no
parent
compound
in
urine;
<
5%
in
feces).
At
500
mg/
kg,
53%
of
administered
dose
was
excreted
in
feces
as
parent
compound.
For
both
groups,
83%
of
administered
dose
was
excreted
in
urine
and
feces
(
total
recovery
94%)
by
7
days'
post
dosing.
Females
tended
to
excrete
more
radioactivity
in
urine
than
males.
Oxadiazon
was
metabolized
primarily
by
hydroxylation
and
glucuronide
conjugation,
but
benzene
and
pyrozolidine
rings
were
not
metabolized.
A
total
of
18
metabolites
were
identified
in
urine
and
feces
(
4
urinary,
5
fecal
metabolites
present
at
>
1%
of
administered
dose).
870.7600
Dermal
penetration
(
SD
rat)
44588101(
1996)
Acceptable/
guideline
5.45,
39.2
or
523
g/
cm2
(
exposure
times
of
0.5,
1,
2,
4,
10
or
24
hrs)
Total
absorption
9%
of
administered
dose
(
96%
a.
i.)
following
10
hr
exposure
(
2.65%
absorbed
and
6.05%
potentially
absorbed
by
skin).
Absorption
but
not
dermal
uptake
saturated
at
39.2
and
523
g/
cm2.
Special
studies
(
nonguideline)
Peroxisomal
proliferation
(
SD
rat)
42310001
(
1991)
Acceptable/
nonguideline
0,
20,
200
or
500
mg/
kg/
day
in
diet
for
14
days
NOAEL
<
20
mg/
kg/
day.
LOAEL
=
20
mg/
kg/
day,
based
on
increased
peroxisomal
enzyme
(
palmitoyl
CoA
and
acetylcarnitine
transferase)
activities.
At
200
mg/
kg/
day,
liver
enlargement
and
at
500
mg/
kg/
day,
ultrastructural
changes
(
peroxisomal
proliferation
and
microsomal
alterations)
were
also
observed.
However,
catalase
was
decreased
by
treatment.
NOAEL
No
Observable
Adverse
Effect
Level
LOAEL
Lowest
Observable
Adverse
Effect
Level
3.3
Dose
Response
Assessment
On
December
7,
2000,
the
Health
Effects
Division
(
HED)
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
reviewed
the
recommendations
of
the
toxicology
reviewer
for
oxadiazon
with
regard
to
the
toxicological
endpoint
selection
for
use
as
appropriate
in
occupational/
residential
19
exposure
risk
assessments.
Based
on
these
deliberations,
the
HIARC
concluded
that
neither
an
acute
nor
a
chronic
reference
dose
was
required
because
there
are
no
food
or
feed
or
anticipated
food
or
feed
uses
for
oxadiazon.
The
HIARC
report,
nevertheless,
indicated
that
there
are
toxicological
endpoints
of
concern
for
oxadiazon.
A
short
term
oral
endpoint
was
selected
for
incidental
oral
exposure
in
children,
using
a
No
Observed
Adverse
Effect
Level
(
NOAEL)
of
12
mg/
kg/
day
based
on
a
statistically
significant
decrease
in
maternal
body
weight
gains
at
40
mg/
kg/
day
(
LOAEL)
in
a
developmental
study
in
rats
(
McCarroll,
2001
b).
For
short
term
and
intermediate
dermal
exposure,
an
oral
endpoint
was
selected
using
a
NOAEL
of
12
mg/
kg/
day
based
on
a
statistically
significant
decrease
in
maternal
body
weight
gains
at
40
mg/
kg/
day
(
LOAEL)
in
a
developmental
study
in
rats.
For
the
long
term
dermal
exposure,
an
oral
endpoint
was
also
selected
using
a
NOAEL
of
0.036
mg/
kg/
day,
based
on
an
increased
incidence
of
hepatocellular
centrilobular
swelling
in
males
at
3.5
mg/
kg/
day
(
LOAEL)
in
a
combined
chronic/
oncogenicity
feeding
study
in
rats.
The
HIARC
recommended
that
a
dermal
absorption
factor
of
9%
(
rounded
up
from
8.7%)
be
used
in
the
calculations,
based
on
a
dermal
penetration
study.
Due
to
a
lack
of
inhalation
studies,
the
HIARC
selected
an
endpoint
from
oral
studies
for
inhalation
risk
assessments.
For
short
and
intermediate
term
inhalation
exposure,
the
same
oral
study
was
chosen
as
for
dermal
exposure
of
this
duration,
with
a
NOAEL
of
12
mg/
kg/
day.
The
same
chronic/
oncogenicity
feeding
study
in
rats
chosen
for
dermal
exposure
of
this
duration
was
selected
for
the
long
term
inhalation
exposure,
with
a
NOAEL
of
0.036
mg/
kg/
day.
An
absorption
factor
of
100%
was
applied
for
inhalation
exposures.
The
target
MOE
of
100
for
occupational
and
residential
exposure
scenarios
was
selected
based
upon
10x
for
intraspecies
variation
and
10x
for
interspecies
extrapolation.
Because
the
effects
from
dermal
and
inhalation
exposure
are
the
same,
the
doses
for
these
routes
and
duration
were
combined.
Dermal
and
incidental
oral
exposures
for
toddlers
were
also
combined
to
reflect
a
total
exposure
burden.
Since
1987,
the
Agency's
decision
on
the
carcinogenic
potential
of
oxadiazon
has
been
in
concurrence
with
the
Scientific
Advisory
Panel's
(
SAP)
classification
of
oxadiazon
as
a
Group
C
carcinogen
and
the
Q1*
has
been
set
at
1.4
x
10
1(
mg/
kg/
day)
1
in
human
equivalents.
Since
that
time,
new
chronic/
carcinogenicity
data
have
been
submitted
and
reviewed
by
the
CARC.
Based
on
this
revisit,
CARC
has
reclassified
oxadiazon
as
a
"
Likely
To
Be
Carcinogenic
To
Humans"
(
Diwan,
2001).
For
the
purpose
of
the
lifetime
cancer
risk
assessment
by
the
Agency,
the
most
potent
unit
risk,
Q
1
*,
is
that
for
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
at
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents.
All
unit
risks
have
been
converted
from
animals
to
humans
by
use
of
the
3/
4'
s
scaling
factor
(
Brunsman,
2001).
The
endpoints
that
were
selected
for
this
risk
assessment
are
summarized
in
Table
3.
20
Table
3:
Endpoints
Selected
by
HIARC
for
Assessing
Occupational
and
Residential
Risks
for
Oxadiazon
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Incidental
Oral,
Short
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Incidental
Oral,
Intermediate
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Short
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Intermediate
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Long
Term
NOAEL=
0.36
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Inhalation,
Short
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
route
to
route
extrapolation
and
a
100%
absorption
rate
are
applied
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Intermediate
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
route
to
route
extrapolation
and
a
100%
absorption
rate
are
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
Route
to
route
extrapolation
and
a
100%
absorption
rate
aplied.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Cancer
Q
1*
of
7.11
x
10
2
(
mg/
kg/
day)
1
Significant
increase
(
pair
wise
and
trend,
p<
0.01)
in
liver
adenomas
and
adenomas
and/
or
carcinomas
combined
in
males
at
9.3
mg/
kg/
day).
Combined
Chronic
Feeding/
Carcinogenicity
Mouse
MRID
Nos.
40993301
21
4.0
EXPOSURE
ASSESSMENT
4.1
Summary
of
Registered
Uses
Oxadiazon
is
applied
as
a
pre
plant
or
pre
emergent
herbicide
on
non
food/
outdoor
crops.
The
Registrant,
Aventis
Environmental
Science
is
supporting
use
of
oxadiazon
on
turf
(
e.
g.,
golf
courses,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries)
and
ornamentals
(
Gorrell,
2001).
Aventis
is
not
supporting
any
tolerances
for
oxadiazon
in
the
United
States
(
Gorrell,
2001).
There
is
also
no
CODEX
(
Canadian
or
Mexican
tolerances)
for
oxadiazon
(
Piper,
2001a).
The
request
for
revocation
of
tolerances
for
residues
of
oxadiazon
on
food
and
feed
has
been
granted
and
tolerances
will
be
revoked
(
Piper,
2001b).
Occupational
applications
(
i.
e.,
to
turf
and
ornamentals)
are
made
to
established
areas
such
as
lawns
or
golf
course
greens
prior
to
the
emergence
of
the
target
plant
species.
The
oxadiazon
labels
indicate
that
use
of
this
pesticide
is
limited
to
licenced
operators
and
the
product
is
not
available
to
homeowners.
Residential/
non
occupational
applications
by
commercial
operators
are
made
to
residential
lawns,
parks,
cemeteries,
schools,
athletic
fields
and
golf
courses.
The
frequency
of
application
ranges
from
1
to
3
applications
per
season.
Oxadiazon
can
be
applied
at
a
minimum
application
rate
of
2.0
pounds
of
active
ingredient
(
ai)
per
acre
up
to
a
maximum
application
rate
of
4.0
pounds
ai/
acre
to
turf
and
ornamentals.
Oxadiazon
use
sites
are
classified
as
nonfood
sites
(
i.
e.,
primarily
golf
course
greens),
residential
outdoor
use,
roadside
and
nurseries.
The
granular
formulations
account
for
the
majority
of
oxadiazon
that
is
used
on
turf.
Occupational
use
sites
include:
Oxadiazon
is
registered
for
occupational
use
only
on
conifer
nurseries,
landscape
industrial
sites,
ornamental,
roadside
landscape
planting,
woody
ornamental
shrubs,
vines
and
trees,
herbaceous
ornamental,
and
turf
grass
for
lawns,
fairways,
and
sod
production.
Residential/
Non
occupational
use
sites
include:
Oxadiazon
is
registered
for
commercial
use
on
lawns
and
turf
grown
in
parks,
playgrounds,
athletic
fields,
cemeteries,
schools
and
other
residential
(
i.
e.,
residential
buildings)
areas.
It
is
also
used
on
sod
farms
and
golf
courses.
Methods
and
types
of
equipment
used:
Chemigation,
groundboom,
rights
of
way
sprayer,
handgun
sprayer,
tractor
drawn
spreader,
backpack
sprayer,
low
pressure
handwand,
high
pressure
handwand,
lawn
handgun,
belly
grinder
and
push
type
spreader
are
examples
of
the
application
equipment
associated
with
the
use
patterns
for
oxadiazon.
(
Aerial
application
was
voluntarily
canceled
by
the
registrant).
14
Estimated
Environmental
Concentrations
22
4.2
Dietary
Exposure
4.2.1
Food
Exposure
There
are
no
food
or
feed
or
anticipated
food
or
feed
uses
for
oxadiazon.
The
Registrant
is
not
supporting
any
tolerances
for
oxadiazon
in
the
United
States
(
Gorrell,
2001).
There
is
also
no
CODEX
(
Canadian
or
Mexican
tolerances)
for
oxadiazon
(
Piper,
2001a).
The
request
for
revocation
of
tolerances
for
residues
of
oxadiazon
on
food
and
feed
has
been
granted
and
tolerances
will
be
revoked
(
Piper,
2001a).
Consequently,
dietary
exposure
is
not
a
concern
for
this
product.
4.2.2
Water
Exposure
The
Enviromental
Fate
and
Effects
Division
(
EFED)
has
provided
a
surface
and
groundwater
analysis
for
oxadiazon
(
Melendez,
2001).
The
MARC
concluded
that
the
only
residue
of
concern
is
the
parent
compound,
oxadiazon
because
major
degradates
would
only
be
minor
components
in
the
enviroment
and
are
not
likely
to
be
significantly
more
toxic
than
the
parent
(
Piper,
2001b).
Thus,
they
are
not
likely
to
be
a
concern
in
surface
or
ground
water.
Based
on
environmental
fate
characteristics,
potential
exposures
and
risks
from
oxadiazon
residues
in
unfinished
drinking
water
were
assessed
using
Tier
1
FIRST
(
surface
waters)
and
SCIGROW
(
ground
water)
modeling
estimates.
For
risk
assessment
purposes,
surface
water
EDWCs14
of
oxadiazon
were
an
acute
(
peak)
value
of
246
ppb
(
g/
L)
and
an
average
annual
value
of
100
ppb
(
g/
L).
These
values
generally
depict
worse
case
scenarios,
and
represent
the
upper
bound
estimates
of
the
concentration
that
might
be
found
in
surface
and
ground
water
due
to
the
use
of
oxadiazon
on
turf.
In
the
absence
of
oxadiazon
monitoring
data,
unique
turf
characteristics
(
i.
e.,
turf
offers
a
vegetation
interception
layer
that
prevents
rapid
deposition
of
pesticides
onto
the
surface
of
soil
and
promotes
runoff)
have
been
considered
in
the
rationale
for
developing
EDWCs.
4.2.2.1
Surface
Water
For
drinking
water
originating
in
surface
water
bodies,
an
acute
concentration
of
246
g/
L
was
used
to
evaluate
the
risk
to
human
health.
This
amount
represents
the
high
end
value
that
might
be
found
in
a
small
drinking
water
reservoir.
A
chronic
value
of
100.0
g/
L
was
used
to
evaluate
the
chronic
and
cancer
risk
to
human
health.
4.2.2.2
Ground
Water
For
drinking
water
originating
in
ground
water,
the
SCI
GROW
model
provided
a
value
of
0.59
g/
L
to
evaluate
the
risk
to
human
health.
This
value
represents
the
ground
water
concentration
of
oxadiazon
at
the
maximum
allowable
rate
(
2
applications/
year
of
4lb.
ai/
acre).
It
also
assumes
that
the
ground
water
is
exceptionally
vulnerable
to
contamination.
This
estimate
is
applied
to
all
exposure
15
Outdoor
Residential
Exposure
Task
Force
16
Lawn
Care
Operator
23
scenarios
regardless
of
the
duration
of
exposure
since
SCI
GROW
calculates
only
the
90
day
average
value.
4.3
Occupational
Exposure
HED
has
determined
that
there
are
potential
exposures
to
mixers,
loaders,
applicators,
or
other
handlers
during
standard
use
patterns
associated
with
oxadiazon.
Although
postapplication
contact
of
workers
with
oxadiazon
is
minimal,
the
Agency
has
ascertained
that
there
are
potential
postapplication
exposures
to
individuals
re
entering
treated
areas
associated
with
mowing
and
harvesting.
4.3.1
Handler
The
Agency
has
found
that
occupational
exposure
to
oxadiazon
via
the
dermal
and
inhalation
routes
of
exposure
may
occur
during
mixing,
loading
and
applying
through
the
use
of
ground
spray,
granular
and
other
lawn
application
methods.
Based
on
the
use
patterns,
14
major
occupational
exposure
scenarios
were
identified
for
oxadiazon:
(
1a)
mixing/
loading
wettable
powders
for
chemigation
application;
(
1b)
mixing/
loading
wettable
powders
for
groundboom
application;
(
1c)
mixing/
loading
wettable
powders
for
rights
of
way
sprayer;
(
2)
loading
granular
formulations;
(
3)
applying
with
a
groundboom;
(
4)
applying
with
a
rights
of
way
sprayer;
(
5)
applying
wettable
powders
for
handgun
applicators
(
ORETF)
15;
(
6)
applying
granular
with
a
tractor
drawn
spreader;
(
7)
backpack
sprayer
(
LCO)
16;
(
8)
low
pressure
handwand
wettable
powder
formulations
(
LCO);
(
9)
high
pressure
handwandwettable
powder
formulations
(
LCO);
(
10)
lawn
handgun
wettable
powder
formulations
(
ORETF);
(
11)
granulars
with
a
push
type
spreader
(
ORETF)
and
(
12)
granulars
with
a
bellygrinder
(
LCO).
Typical
application
rates
for
oxadiazon
range
from
3
to
4
lb.
ai/
acre,
with
the
higher
rate
being
applied
to
golf
courses,
roadside
turf,
lawns,
parks,
recreational
areas
and
woody
ornamentals.
Since
the
use
patterns
for
oxadiazon
do
not
suggest
any
long
term
use,
exposure
scenarios
of
a
longer
duration
were
not
considered.
The
exposure
scenarios
are
of
short
term
(
1
7
days)
and
intermediate
term
(
1
week
to
several
months).
The
estimated
exposures
considered
baseline
protection
(
long
pants,
long
shirts
and
no
gloves
dermal;
no
respirator
inhalation),
additional
PPE
(
long
pants,
long
shirts
and
chemical
resistant
gloves
and/
or
double
layer
of
clothing
dermal;
all
of
the
dermal
protection
plus
80%
protection
from
dust/
mist
respirator
inhalation),
and
engineering
controls
(
use
of
water
soluble
packages).
Handler
exposure
assessments
were
completed
by
EPA
using
baseline
exposure
scenarios
previously
noted
and,
if
required,
increasing
levels
of
risk
mitigation
(
PPE
and
engineering
controls)
to
achieve
an
MOE
of
100
for
non
cancer
risks.
For
cancer,
there
is
a
concern
for
risk
estimates
>
1.0x
10
4.
17
Pesticide
Handlers
Exposure
Database
24
Chemical
specific
data
for
assessing
human
exposures
during
pesticide
handling
activities
were
not
submitted
to
the
Agency
in
support
of
the
reregistration
of
oxadiazon.
In
such
instances,
it
is
the
policy
of
the
HED
to
use
data
from
the
PHED17
Version
1.1
to
assess
handler
exposures
for
regulatory
actions
when
chemical
specific
monitoring
data
are
not
available.
HED's
level
of
confidence
in
these
data
are
shown
in
the
occupational
and
residential
exposure
assessment
and
recommendations
for
oxadiazon
(
Tadayon,
2001).
4.3.1.1
Noncancer
Handler
Exposure/
Risks
The
short
term
and
intermediate
term
MOEs
for
dermal
and
inhalation
exposures
were
calculated
using
an
oral
NOAEL
of
12
mg/
kg/
day
for
both
exposure
durations
(
see
Section
3.3
Dose
Response
Assessment).
The
Agency
also
used
route
to
route
extrapolations
from
this
oral
study
for
both
exposure
assessments.
A
dermal
absorption
rate
of
9%
was
applied
to
the
dermal
exposure
assessments
and
an
inhalation
absorption
rate
of
100%
was
applied
to
the
inhalation
exposure
assessments.
The
results
of
the
short
and
intermediate
term
handler
assessments
are
presented
in
Table
5
and
indicate
that
all
potential
non
cancer
exposure
scenarios
provide
at
least
one
application
rate
with
a
total
MOE(
s)
greater
than
or
equal
to
100
at
either
the
baseline
(
i.
e.,
long
pants,
long
sleeved
shirts,
no
gloves)
using
open
systems,
PPE
(
i.
e.,
long
pants,
long
sleeved
shirts,
and
chemical
resistant
gloves
while
using
open
systems)
or
using
engineering
controls
(
i.
e.,
closed
systems).
The
only
exception,
with
the
feasible
level
of
mitigation,
is
scenario
8
(
low
pressure
handwand
wettable
powder
formulations).
As
further
shown,
dermal
exposure
rather
than
inhalation
exposure
drives
the
total
MOE
for
scenario
8
as
well
as
the
majority
of
cases.
Total
MOEs
for
all
scenarios
range
from
2
to
3000
and
37
MOEs
were
calculated
for
the
various
application
rates.
The
data
show
that
baseline
or
mitigation
measures
raised
the
MOEs
to
values
greater
than
or
equal
to
100
for
all
scenarios
except
scenario
8.
25
Table
5:
Exposure
Variables
(
Noncancer),
MOEs
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
App
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Dermal
MOEs
Inhalation
MOEs
Total
MOEs
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
Mixer/
Loader
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3
350
2
59
780
16
80
2900
2
35
610
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
4
40
14
380
NA
100
520
NA
12
220
NA
herbaceous
ornamentals
3
40
18
510
NA
140
700
NA
16
300
NA
sod
farms
3
80
9
260
NA
70
350
NA
8
150
NA
golf
courses
4
40
14
380
NA
100
520
NA
12
220
NA
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
4
40
14
380
NA
100
520
NA
12
220
NA
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
4
80
3000
NA
NA
1300
NA
NA
920
NA
NA
golf
course
turf,
parks,
recreational
areas
4
40
6000
NA
NA
2600
NA
NA
1800
NA
NA
woody
ornamentals
4
40
6000
NA
NA
2600
NA
NA
1800
NA
NA
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
3
80
2400
NA
NA
4100
NA
NA
1500
NA
NA
herbaceous
ornamentals
3
40
4800
NA
NA
8100
NA
NA
3000
NA
NA
golf
courses
40
3600
NA
NA
6100
NA
NA
2300
NA
NA
conifer
nurseries,
woody
ornamentals
4
40
3600
NA
NA
6100
NA
NA
2300
NA
NA
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
4
40
38
130
NA
1200
1200
NA
37
120
NA
Table
5:
Exposure
Variables
(
Noncancer),
MOEs
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
App
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Dermal
MOEs
Inhalation
MOEs
Total
MOEs
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
26
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
4
5
See
PPE
550
NA
36000
3600
0
NA
See
PPE
540
NA
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
4
80
2500
NA
NA
1900
NA
NA
1100
NA
NA
golf
courses
4
40
5100
NA
NA
3800
NA
NA
2200
NA
NA
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
awn
s
,
gol
f
c
o
u
r
s
e
s
,
ornamentals
nurseries
4
5
See
PPE
160
NA
1200
1200
NA
See
PPE
140
NA
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
4
5
14
65
NF
33
160
NF
10
46
NF
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
4
5
See
PPE
160
NA
300
300
NA
See
PPE
100
NA
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
4
5
560
NA
NA
580
NA
NA
280
NA
NA
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
rec
r
ea
t
iona
l
areas,
ornamentals
4
5
1100
NA
NA
4800000
NA
NA
1100
NA
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
4
1
200
NA
NA
2900
NA
NA
190
NA
NA
Baseline
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts
and
no
gloves.
Baseline
inhalation
unit
exposure
represents
no
respirator
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
and
gloves
for
scenarios
5,
7,
and
9.
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
gloves
and
double
layer
(
50%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
PPE
inhalation
unit
exposure
represents
dust/
mist
respirator
(
80
%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages
for
scenario
1a.
Engineering
inhalation
unit
exposure
represents
no
respirator.
NA
=
Not
applicable
NF
=
Not
Feasible
18
The
Agency
has
defined
a
range
of
acceptable
cancer
risks
based
on
a
policy
memorandum
dated
August
14,
1996,
by
then
Office
of
Pesticide
Programs
Director
Dan
Barolo.
This
memo
refers
to
a
predetermined
quantified
"
level
of
concern"
for
occupational
carcinogenic
risk.
Occupational
carcinogenic
risks
that
are
1
x
10
6
or
lower
require
no
risk
management
action.
For
those
chemicals
subject
to
reregistration,
the
Agency
is
carefully
examining
uses
with
estimated
risks
in
the
10
6
to
10
4
range
to
seek
ways
of
cost
effectively
reducing
risks.
If
carcinogenic
risks
are
in
this
range
for
occupational
handlers,
increased
levels
of
personal
protection
are
warranted
as
is
commonly
applied
with
noncancer
risk
estimates
(
e.
g.,
additional
PPE
or
engineering
controls).
Carcinogenic
risks
that
remain
above
1.0
x
10
4
at
the
highest
level
of
mitigation
appropriate
for
that
scenario
remain
a
concern.
19
Lifetime
Average
Daily
Dose
27
4.3.1.2
Cancer
Handler
Exposure/
Risks
The
cancer
risk
assessments
for
handlers
used
baseline
exposure
scenarios
and,
as
needed,
increasing
levels
of
risk
mitigation
(
PPE
and
engineering)
to
achieve
cancer
risks
that
would
be
considered
of
no
concern.
According
to
Agency
policy18,
acceptable
cancer
risks
for
occupational
exposure
to
pesticides
varies
from
1
x
10
4
to
1
x
10
6,
depending
on
the
course
of
action
taken
by
the
Agency
as
outlined
in
the
policy
memo
on
this
subject.
The
Q
1*
used
in
this
risk
assessment
is
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents
(
see
Section
3.3
Dose
Response
Assessment).
Potential
cancer
risks
(
LADD19)
to
handlers
were
assessed
using
the
following
assumptions:
The
average
body
weight
of
70
kg
is
used,
representing
a
typical
adult.
Career
duration
is
assumed
to
be
35
years.
This
represents
a
typical
working
lifetime.
Lifetime
is
assumed
to
be
70
years.
Dermal
absorption
is
assumed
to
be
9%,
and
inhalation
absorption
is
assumed
to
be
100%
of
the
oral
dose.
The
dermal
and
inhalation
doses
were
added
together
to
represent
total
daily
dose.
In
addition,
two
exposure
frequencies
were
used
in
the
calculations,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
The
results
of
the
short
and
intermediate
term
handler
cancer
assessments
presented
in
Table
6
indicate
that
values
range
from
1.65E
2
to
4.66E
7
at
the
baseline
(
long
pants,
long
shirts
and
no
gloves),
2.56E
3
to
4.11E
7
at
PPE1
(
long
pants,
long
shirts,
gloves
and
no
respirator),
2.40E
3
to
3.51
E
7
at
PPE2
(
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator),
1.05E
3
to
1.98E
7
at
PPE3
28
Table
6:
Exposure
Variables
for
Handlers
with
Baseline
Exposure
Scenarios
and
Increasing
Levels
of
Risk
Mitigation
(
Cancer)
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop/
Target
Appl
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Cancer
Base
line
PPE
1
PPE
2
PPE
3
PPE
4
Eng.
Control
Mixer/
Loader
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3
350
1.65e
03/
1.65e
02
2.56e
04/
2.56e
03
2.40e
04/
2.40e
03
1.05e
04/
1.05e
03
8.90e
05/
8.90e
04
4.92e
06/
4.92e
05
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
herbaceous
ornamentals
3
40
1.88e
04/
1.88e
03
2.92e
05/
2.92e
04
2.74e
05/
2.74e
04
1.20e
05/
1.20e
04
1.02e
05/
1.02e
04
5.62e
07/
5.62e
06
sod
farms
3
80
3.77e
04/
3.77e
03
5.84e
05/
5.84e
04
5.48e
05/
5.48e
04
2.39e
05/
2.39e
04
2.03e
05/
2.03e
04
1.12e
06/
1.12e
05
golf
courses
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
4
80
3.28e
06/
3.28e
05
3.10e
06/
3.10e
05
2.68e
06/
2.68e
05
1.28e
06/
1.28e
05
8.63e
07/
8.63e
06
2.20e
08/
2.20e
07
golf
course
turf,
parks,
recreational
areas
4
40
1.64e
06/
1.64e
05
1.55e
06/
1.55e
05
1.34e
06/
1.34e
05
6.42e
07/
6.42e
06
4.31e
07/
4.31e
06
1.10e
08/
1.10e
07
woody
ornamentals
4
40
1.64e
06/
1.64e
05
1.55e
06/
1.55e
05
1.34e
06/
1.34e
05
6.42e
07/
6.42e
06
4.31e
07/
4.31e
06
3.29e
08/
3.29e
07
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
3
80
2.00e
06/
2.00e
05
2.00e
06/
2.00e
05
1.73e
06/
1.73e
05
1.41e
06/
1.41e
05
1.14e
06/
1.14e
05
4.94e
07/
4.94e
06
Table
6:
Exposure
Variables
for
Handlers
with
Baseline
Exposure
Scenarios
and
Increasing
Levels
of
Risk
Mitigation
(
Cancer)
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop/
Target
Appl
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Cancer
Base
line
PPE
1
PPE
2
PPE
3
PPE
4
Eng.
Control
29
herbaceous
ornamentals
3
40
1.00e
06/
1.00e
05
1.00e
06/
1.00e
05
8.67e
07/
8.67e
06
7.06e
07/
7.06e
06
5.71e
07/
5.71e
06
2.47e
07/
2.47e
06
golf
courses
40
1.34e
06/
1.34e
05
1.34e
06/
1.34e
05
1.16e
06/
1.16e
05
9.42e
07/
9.42e
06
7.61e
07/
7.61e
06
3.29e
07/
3.29e
06
conifer
nurseries,
woody
ornamentals
4
40
1.34e
06/
1.34e
05
1.34e
06/
1.34e
05
1.16e
06/
1.16e
05
9.42e
07/
9.42e
06
7.61e
07/
7.61e
06
3.29e
07/
3.29e
06
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
4
40
8.07e
05/
8.07e
04
2.60e
05/
2.60e
04
2.00e
05/
2.00e
04
2.40e
05/
2.40e
04
1.80e
05/
1.80e
04
NA
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
4
5
See
PPE
5.57e
06/
5.57e
05
2.94e
06/
2.94e
05
5.50e
06/
5.50e
05
2.87e
06/
2.87e
05
NA
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
4
80
9.31e
07/
9.31e
06
8.23e
07/
8.23e
05
7.03e
07/
7.03e
06
3.95e
07/
3.95e
06
2.75e
07/
2.75e
06
1.82e
07/
1.82e
06
golf
courses
4
40
4.66e
07/
4.66e
06
4.11e
07/
4.11e
06
3.51e
07/
3.51e
06
1.98e
07/
1.98e
06
1.38e
07/
1.38e
06
9.11e
08/
9.11e
07
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
awn
s
,
g
o
l
f
c
o
u
r
s
e
s
,
ornamentals
nurseries
4
5
See
PPE
2.13e
05/
2.13e
04
1.45e
05/
1.45e
04
1.93e
05/
1.93e
04
1.25e
05/
1.25e
04
NA
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
4
5
3.10e
04/
3.10e
03
1.56e
04/
1.56e
03
1.38e
04/
1.38e
03
8.30e
05/
8.30e
04
6.50e
05/
6.50e
04
NA
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
4
5
See
PPE
1.88e05/
1.88e
04
1.20e
05/
1.20e
04
1.98e
05/
1.98e
04
1.31e
05/
1.31e
04
NA
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
4
5
1.06e
05/
1.06e
04
1.06e
05/
1.06e
04
8.03e
06/
8.03e
05
6.44e
06/
6.44e
05
3.89e
06/
3.89e
05
NA
Table
6:
Exposure
Variables
for
Handlers
with
Baseline
Exposure
Scenarios
and
Increasing
Levels
of
Risk
Mitigation
(
Cancer)
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop/
Target
Appl
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Cancer
Base
line
PPE
1
PPE
2
PPE
3
PPE
4
Eng.
Control
30
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
r
ec
r
eat
ional
ar
eas
,
ornamentals
4
5
2.33e
06/
2.33e
05
1.80e
06/
1.80e
05
No
data
1.80e
06/
1.80e
05
No
data
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
4
1
1.61e
05/
1.61e
04
1.50e
05/
1.50e
04
9.60e
06/
9.60e
05
1.42e
05/
1.42e
04
8.77e
06/
8.77e
05
NA
Baseline
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts
and
no
gloves.
PPE
1
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
no
respirator.
PPE
2
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator.
PPE
3
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
respirator.
PPE
4
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
respirator.
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages.
Engineering
inhalation
unit
exposure
represents
no
respirator.
31
(
long
pants,
long
shirts,
gloves
and
respirator),
8.90E
4
to
1.38E
07
at
PPE4
(
long
pants,
long
shirts,
double
layer,
gloves
and
respirator)
and
4.92E
5
to
1.10E
8
at
engineering
control.
Overall,
these
data
show
that
none
of
the
evaluated
scenarios
have
cancer
risks
that
exceed
1.00E
4
at
the
highest
feasible
level
of
mitigation.
4.3.2
Occupational
Postapplication
HED
uses
the
term
"
post
application"
to
describe
those
individuals
who
can
be
exposed
to
pesticides
after
entering
areas
previously
treated
with
pesticides
and
performing
certain
jobs,
tasks
or
activities
(
also
often
referred
to
as
reentry
exposure).
Most
of
the
oxadiazon
used
in
agriculture
is
applied
either
pre
plant
or
when
the
crops
are
quite
small
(
early
post
emergence).
This
information
together
with
the
degree
of
mechanization
minimizes
the
postapplication
contact
of
workers
with
oxadiazon.
Nevertheless,
the
Agency
has
determined
that
there
are
potential
postapplication
exposures
to
individuals
re
entering
oxadiazon
treated
areas
for
the
purpose
of:
iv)
Roadsides:
mowing
v)
Bermuda
grass
rights
of
way:
mowing
vi)
Sod
farms:
mowing
and
harvesting
vii)
Golf
course
turfgrass:
mowing
4.3.2.1
Data
Sources
and
Assumptions
for
Scenarios
Considered
Based
on
data
submitted
for
reregistration,
it
can
be
assumed
that
the
most
common
postapplication
exposures
will
occur
for
workers
on
turf.
Based
on
label
restrictions
and
patterns
of
use,
oxadiazon
is
applied
early
in
the
season,
either
pre
plant
or
before
weeds
emerge
(
pre
emergence).
Mowing
would
be
a
common
postapplication
activity
after
either
spraying
method.
Treated
turf
or
grasses
will
routinely
require
reentry
activities,
such
as
mowing
and
watering,
and
eventually
harvesting
in
the
case
of
sod
farms.
Although
two
transferable
turf
residue
(
TTR)
studies
and
one
Jazzercize
study
(
MRID
No.
43517801)
were
submitted
in
support
of
the
reregistration
of
oxadiazon,
only
the
Jazzercize
study
was
found
to
be
acceptable
for
this
assessment
because
the
TTR
values
obtained
from
the
two
TTR
studies
were
less
than
1%.
TTR
values
less
than
1%
are
not
considered
acceptable
by
HED
since
the
submitted
studies
were
performed
with
a
modified
California
Cloth
Roller
sampling
device,
which
has
been
replaced
with
new
equipment
accredited
by
ORETF.
TTR
values
derived
from
a
modified
California
Cloth
Roller
sampling
device
can
be
used
if
accompanied
by
concurrent
transfer
coefficient
measurements.
This
was
not
the
case
for
oxadiazon.
The
TTR
value
from
the
Jazzercise
study
utilized
a
wettable
powder
formulation
which
by
far
has
a
higher
potential
for
exposure
than
the
oxadiazon
granular
formulations.
Since
a
majority
of
the
total
use
involves
granular
formulations,
using
wettable
powder
TTR
values
is
a
conservative
approach
and
can
be
considered
the
upper
level
estimates
of
exposure.
A
linear
regression
to
calculate
a
dissipation
rate
(
T
½
)
for
oxadiazon
TTR
from
irrigated
and
non
irrigated
test
sites
was
performed,
using
all
non
zero,
uncorrected,
averaged
data
point
from
DAT
0
20
Agricultural
Reentry
Task
Force
32
through
DAT
7.
Calculated
dissipation
half
lives
for
the
irrigated
plot
was
1.7days
(
R2=
0.64)
and
for
the
non
irrigated
plot
was
1.4
days
(
R2=
0.64)
Because
oxadiazon
has
a
low
vapor
pressure
(
1.0
x
10
6mm
Hg)
and
is
only
used
outdoors,
the
inhalation
component
of
postapplication
exposure
is
anticipated
to
be
negligible.
Therefore,
all
calculations
of
postapplication
risk
estimates
have
been
done
for
dermal
exposure
only,
and
there
was
no
need
to
aggregate
postapplication
exposure
routes
for
workers.
4.3.2.2
Postapplication
Exposure
Risk
Estimates
For
turf
or
sod
mowing
and
harvesting,
transfer
coefficients
of
500
and
16,500
cm2/
hr
were
used,
based
on
the
ARTF
20
data.
The
TTR
values
are
assumed
to
be
5%
of
the
application
rate
on
Day
0
for
turfgrass
application
(
the
5%
rate
for
turfgrass
in
the
high
end
of
the
values
observed
in
the
studies
of
Hurto
and
Prinster,
1993;
Goh
et
al.,
1986
and
Cowell
et
al.,
1993).
As
shown
in
Table
7,
short
and
intermediate
term
exposures
for
noncancer
risks
had
estimated
MOEs
of
300
10,000,
which
exceed
the
target
value
of
100.
Similarly,
occupational
postapplication
cancer
risks
were
estimated
to
fall
within
the
acceptable
range
of
1
x
10
4
to
1
x
10
6.
4.3.3
Non
Occupational
Postapplication
Exposures
and
Risk
The
Agency
has
determined
that
there
are
potential
postapplication
exposures
to
residents
entering
oxadiazon
treated
lawns,
either
as
a
result
of
commercial
or
private
application.
The
scenarios
likely
to
result
in
postapplication
exposures
are:
°
dermal
postapplication
risks
to
adults
and
toddlers
(
defined
as
5<
12
years
old
and
considered
by
HED
to
be
the
most
sensitive
subpopulation
of
children)
when
entering
oxadiazon
treated
turf
and
lawns;
°
oral
postapplication
risks
to
toddlers
from
"
hand
to
mouth"
(
i.
e.,
ingestion
of
grass,
soil,
granular
pellets,
or
hand
to
mouth
contact)
exposure
when
reentering
lawns
treated
with
granular
and
wettable
powder
formulations.
Representative
turf
reentry
activities
include,
but
are
not
limited
to:
(
1)
Adults
involved
in
a
low
exposure
activity,
such
as
golfing
or
walking
on
treated
turf.
(
2)
Toddlers
involved
in
a
low
exposure
activity,
such
as
walking
on
treated
turf.
(
3)
Adults
mowing
or
other
moderate
contact
activity,
for
1
2
hours.
(
4)
Adults
involved
in
a
high
exposure
activity,
such
as
heavy
yard
work
(
doses
similar
to
occupational
scenarios
for
cutting
and
harvesting
sod).
(
5)
Toddlers
involved
in
high
exposure
activities
on
turf.
33
Table
7:
Occupational
Short
and
Intermediate
Term
Postapplication
Risks
for
Oxadiazon
at
Day
0
Crop/
Use
Pattern
Application
Rate
(
lb
ai/
acre)
Postapplication
Activity
Transfer
Coefficienta
Short
Term
and
Intermediate
Term
Risks
Cancer
Risk
TTRb
(
g/
cm2)
MOEc
LADDd
mg/
kg/
day
Riske
Golf
Course
Turf
4
Mow,
seed,
scout,
mechanical
weed,
aerate,
fertilize,
prune
500
0.2
(
5%
of
application
rate)
10,000
4.23e
6
3.01e
7
Transplant,
hand
weed
16,500
300
1.39e
4
9.92e
6
Sod
Farms
4
Mow,
scout,
mechanical
weed,
irrigate
500
10,000
4.23e
6
3.01e
7
Transplant,
hand
weed,
harvest
(
hand
or
mechanical)
16,500
300
1.39e
4
9.92e
6
Bermuda
Grass
Rights
of
Way
4
Mow,
seed,
scout,
mechanical
weed,
aerate,
fertilize
500
10,000
4.23e
6
3.01e
7
a
Transfer
coefficient
from
Science
Advisory
Council
for
Exposure:
Policy
Memo
#
003
.1
"
Agricultural
Transfer
Coefficients,"
Revised
August
7,
2000.
b
TTR
source:
5%
of
application
rate,
"
Residential
SOP
Revised
February
2001
"
was
used
for
determination
of
MOE's.
c
MOE
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
a
dermal
study)
/
dermal
dose
where
absorbed
dose
=
TTR
(
g/
cm2)
x
TC
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time(
8hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg;
adult).
d
Absorbed
dermal
dose
where
absorbed
dose
=
TTR
(
g/
cm2)
x
TC
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
8
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
e
Cancer
Risk
=
LADD
(
mg/
kg/
day)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
Note:
TTR
Turf
Transferable
Residue
34
4.3.3.1
Non
occupational
Postapplication
Dermal
Exposure
(
Adults
and
Toddlers)
4.3.3.1.1
Data
Sources
and
Assumptions
for
Scenarios
Considered
A
turf
re
entry
exposure
study
(
Jazzercise
study),
using
a
spray
application,
was
mentioned
in
the
Occupational
Postapplication
section
(
see
Section
4.3.2,
Occupational
Postapplication).
As
the
study
was
found
to
be
acceptable
for
the
risk
assessment,
the
highest
mean
residues
were
also
used
to
estimate
short
term
(
DAT
0
1)
for
irrigated
and
non
irrigated
plots
evaluated
for
these
scenarios.
The
duration
of
postapplication
dermal
exposure
is
expected
to
be
either
short
term
or
intermediate
term,
based
on
oxadiazon
turf
residue
dissipation
data.
The
short
term
and
intermediateterm
MOEs
for
dermal
exposures
were
calculated
using
an
oral
NOAEL
of
12
mg/
kg/
day
with
a
dermal
absorption
rate
of
9%;
this
value
was
derived
from
the
same
study
used
for
the
occupational
handler
noncancer
exposures
(
see
4.3.1.1,
Noncancer
Handler
Exposure/
Risks).
For
the
cancer
risk
estimates,
the
Q
1*
of
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents
(
see
4.3.1.2,
Cancer
Handler
Exposure/
Risks)
was
used.
As
calculated
from
the
previously
discussed
Jazzercise
study,
oxadiazon
has
a
half
life
on
turf
of
up
to
1.4
days
(
irrigated)
and
1.7
days
(
non
irrigated)
after
spraying,
requiring
several
days
to
dissipate
to
non
detectable
levels
of
transferable
residues.
Because
the
label
prohibits
application
more
than
3
times
per
year,
and
even
with
the
slow
dissipation
rates,
it
is
not
expected
that
individual
residential
exposure
duration
would
exceed
30
days
in
duration.
Exposure
on
a
residential
lawn
would
diminish
continuously
with
time,
while
exposure
through
recreation
turf
contact
would
more
likely
be
random,
intermittent
events
of
varying
doses,
all
less
than
the
dose
predicted
in
this
assessment.
Residential
postapplication
exposure
assessments
assumed
residents
wear
the
following
attire:
short
sleeved
shirt,
short
pants,
shoes
and
socks,
and
no
gloves
or
respirator.
As
stated
earlier,
negligible
oxadiazon
inhalation
exposure
is
anticipated
for
non
handlers,
due
to
the
low
chemical
vapor
pressure
and
the
dilution
of
the
vapor
outdoors.
Other
assumptions
and
all
equations
used
for
the
assessment
of
each
exposure
scenario
can
be
found
in
the
occupational
and
residential
exposure
assessment
and
recommendations
for
oxadiazon
document
(
Tadayon,
2001).
Dermal
postapplication
exposure
estimates
were
conducted
using
the
highest
mean
postapplication
residue
to
estimate
short
term
DAT
0
1
for
irrigated
and
non
irrigated
plots
from
the
previously
discussed
Jazzercise
study
(
wettable
powder
formulations).
The
dermal
transfer
coefficients
from
the
Jazzercize
study
(
MRID
No.
43517801)
and
the
revised
residential
SOPs
were
also
used.
As
the
study
was
found
to
be
acceptable
for
the
risk
assessment.
4.3.3.1.2
Non
occupational
Postapplication
Dermal
Exposure
Risk
Estimates
Utilizing
the
Jazzercize
wettable
powder
application
study
residue
data
and
revised
residential
SOPs,
all
of
the
non
cancer
risks
scenario
developed
for
adults
and
toddlers
had
short
term
and
intermediate
term
dermal
MOEs
greater
than
100.
The
cancer
risks
for
all
adult
residential
\
35
dermal
postapplication
exposure
were
between
6.22x
10
6
to
7.51
x
10
8
.
The
resulting
risk
estimates
are
summarized
in
Tables
8
and
9.
4.3.3.2
Incidental
Oral
Exposure
for
Toddlers
Only
limited
information
was
received
regarding
the
size
and
distribution
of
granular
formulations.
This
information
would
help
to
refine
or
characterize
the
estimate
of
potential
risk
from
episodic
incidental
ingestion
of
granules
beyond
the
current
screening
level.
If
the
particles
are
very
fine,
individual
grains
would
be
difficult
to
pick
up,
or
even
to
see
when
applied
on
a
lawn.
If
used
according
to
label
directions,
it
is
unlikely
that
oxadiazon
granules
would
be
accessible
to
a
child.
However,
larger
granules
or
pellets
of
a
few
millimeters
diameter
might
be
attractive
and
easily
picked
up
by
a
toddler.
An
intermediate
term
(
7
30
days)
MOE
was
not
calculated
since
exposure
by
this
route
for
weeks
is
considered
less
likely
to
occur
than
short
term
(
1
7days)
exposure.
Similarly,
there
was
no
indication
from
the
studies
in
the
database
that
toxic
effects
observed
over
the
short
term
would
be
any
different
over
a
longer
term
exposure.
Estimated
incidental
oral
short
term
exposures
("
hand
tomouth
for
toddlers
had
an
MOE
of
100
using
the
TTR
default
values
from
the
residential
SOP;
when
the
TTR
data
from
submitted
oxadiazon
study
were
used,
the
MOEs
were
90
and
240
(
Table
10).
The
former
MOE
of
90
does
not
exceed
the
target
value,
however,
the
submitted
study
TTR
data
were
from
the
wettable
powder
formulation
and
the
major
formulation
used
is
granular
oxadiazon.
It
is
probable,
therefore,
that
the
risk
indicated
for
irrigated
dormant
grass
is
an
overestimate
and
not
likely
to
be
a
cause
for
concern
(
also
see
Section
4.3.3.1,
Data
Sources
and
Assumptions
for
Scenarios
Considered).
MOEs
were
not
calculated
for
the
incidental
ingestion
of
oxadiazon
granules
because
an
acute
RfD
was
not
selected
for
this
non
food
use
pesticide.
Additionally,
there
is
no
indication
from
the
studies
in
the
guideline
database
that
a
single
oral
administration
of
oxadiazon
presents
a
hazard.
This
statement
is
also
supported
by
the
high
rat
acute
LD
50
for
oxadiazon
(>
5000
mg/
kg).
It
is
thought,
therefore,
that
the
incidental
ingestion
of
granules
is
not
likely
to
be
a
cause
for
concern.
It
is
considered
reasonably
likely
that
dermal
and
oral
incidental
exposures
may
occur
in
the
same
day
for
children
playing
on
an
oxadiazon
treated
lawn.
However,
these
exposures
were
not
aggregated
due
to
the
short
term
hand
to
mouth
exposures
having
MOEs
less
than
or
equal
to
the
target
MOE
of
100.
Because
an
exposure
just
mets
or
exceeds
the
level
of
concern
by
a
single
route,
that
route
must
be
mitigated
prior
to
aggregating
exposures
by
other
routes
otherwise,
the
reported
risk
is
only
increased.
36
Table
8.
Residential
Dermal
Postapplication
Non
Cancer
Risks
for
Oxadiazon
Dermal
Scenarios
Application
Rate
(
lb
ai/
acre)
Exposure
Time
(
hours/
day)
Short
Term
and
Intermediate
Term
Risks
Transfer
Coefficient
(
cm2/
hr)
a
Transfer
Coefficient
(
cm2/
hr)
Irrigatedb
Transfer
Coefficient
(
cm2/
hr)
Non
Irrigatedc
TTRd
(
ug/
cm2)
DAT
0
1
Dermal
Dose
(
mg/
kg/
day)
e
Dermal
Dose
(
mg/
kg/
day)
Irrigatedf
Dermal
Dose
(
mg/
kg/
day)
Non
Irrigatedg
MOEsh
MOEs
i
Irrigated
MOEsj
Non
Irrigated
Adult
dermal
turf
contact
4
2
14500
4300
7,400
1.53
NA
1.97e
2
3.40e
2
NA
610
350
2.0
8.70e
2
NA
NA
140
NA
NA
Toddler
dermal
turf
contact
2
5200
1600
2,700
0.87
NA
1.67e
2
2.82e
2
NA
720
430
2.0
3.12e
2
NA
NA
390
NA
NA
Adult
walking,
playing
golf
4
500
NA
NA
2.0
6.0e
3
NA
NA
2000
NA
NA
Adult
push
mowing
lawn
2
500
NA
NA
2.0
3.0e
3
NA
NA
4000
NA
NA
a
Transfer
coefficient
from
the
Residential
SOP's
(
2/
01)
used
for
fresh
grass
b
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
c
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
d
TTR
source:
wettable
powder
from
turf
studies
MRID
#
435178
01,
DAT
0
1
residue
or
residential
SOP
(
5%
application
rate)
e
Dermal
dose
(
mg/
kg/
day)
=
TTR
(
5%
application
rate)
(
g/
cm2)
x
TC
(
from
residential
SOP,
s)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
or
4hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg
adult
or
15
kg
toddler).
f
Dermal
dose
(
mg/
kg/
day)
irrigated
=
TTR
(
from
MRID
#
435178
01)
(
g/
cm2)
x
TC
(
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)/
body
weight
(
60
kg
adult
or
15
kg
toddler).
g
Dermal
dose
(
mg/
kg/
day)
non
irrigated
=
TTR
(
from
MRID
#
435178
01)
(
g/
cm2)
x
TC
(
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg
adult
or
15
kg
toddler).
h
MOE
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
i
MOE
(
irrigated)
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
j
MOE
(
non
irrigated)
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
Note:
TTR
Turf
Transferable
Residue
rounded
to
2.0
ug/
cm2
37
Table
9.
Residential
Dermal
Postapplication
Cancer
Risks
for
Oxadiazon
Dermal
Scenarios
Application
Rate
(
lb
ai/
acre)
Exposure
Time
(
hours/
day)
Transfer
Coefficient
(
cm2/
hr)
a
Transfer
Coefficient
(
cm2/
hr)
Irrigatedb
Transfer
Coefficient
(
cm2/
hr)
Non
Irrigatedc
TTRd
(
ug/
cm2)
DAT
0
1
LADDe
mg/
kg/
day
LADDf
mg/
kg/
day
irrigated
LADDg
mg/
kg/
dayf
Non
Irrigated
Cancer
Riskh
Cancer
Risk
Irrigatedj
Cancer
Risk
Nonirrigatedj
Adult
dermal
turf
contact
4
2
14500
4300
7400
1.53
NA
6.95e
5
1.2e
4
NA
3.62e
6
6.22e
6
2.0
3.06e
04
NA
NA
1.59e
5
NA
NA
Toddler
dermal
turf
contact
2
5200
1600
2700
0.87
NF
NF
NF
NF
NF
NF
2.0
NF
NF
NF
NF
NF
NF
Adult
walking,
playing
golf
4
500
NA
NA
2.0
2.11e
5
NA
NA
1.50e
6
NA
NA
Adult
push
mowing
lawn
2
500
NA
NA
2.0
1.06e
5
NA
NA
7.51e
7
NA
NA
a
Transfer
coefficient
from
the
Residential
SOP's
(
2/
01)
used
for
fresh
grass
b
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
c
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
d
TTR
source:
wettable
powder
and
granular
turf
studies
MRID
#
435178
01,
DAT
0
1
residue
e
LADD
(
mg/
kg/
day)
=
TTR
(
g/
cm2)(
5%
of
application
rate)
x
TC(
residential
SOP)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
or
4
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
f
LADD
(
mg/
kg/
day)(
irrigated)
=
TTR
(
g/
cm2)
(
from
MRID
#
435178
01)
x
TC
(
cm2/
hr)(
from
MRID
#
435178
01)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
g
LADD
(
mg/
kg/
day)(
non
irrigated)
=
TTR
(
g/
cm2)(
from
MRID
#
435178
01)
x
TC(
from
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
h
Cancer
Risk
=
LADD
(
mg/
kg/
day)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
i
Cancer
Risk
(
irrigated)
=
LADD
(
mg/
kg/
day)
(
irrigated)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
j
Cancer
Risk
(
non
irrigated)
=
LADD
(
mg/
kg/
day)(
non
irrigated)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
NA=
Not
applicable
NF=
Not
Feasible
Note:
TTR
Turf
Transferable
Residue
rounded
to
2.0
ug/
cm2
38
Table
10
Residential
Oral
Nondietary
Postapplication
Risks
to
Toddlers
from
"
Hand
to
Mouth"
and
Ingestion
Exposure
When
Reentering
Lawns
Treated
with
Granular
or
wettable
powder
Oxadiazon
Formulations
Type
of
Exposure
Application
Ratea
(
lb
ai/
acre)
Ingestion
Rate
or
Other
Assumptionsb
Short
Term
TTRc
(
g/
cm2)
DAT
0
1
Oral
Dosed
(
mg/
kg/
day)
MOEe
Hand
to
Mouth
Activity
4
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
fresh
grass
5%
of
ai
dislodgeable
with
potentially
wet
hands
2.0
1.19e
01
100
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
2.1%
of
ai
dislodgeable
with
potentially
wet
hands
(
dormant
grass,
non
irrigated)
1.0
5.02e
02
240
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
5.5%
of
ai
dislodgeable
with
potentially
wet
hands
(
dormant
grass,
irrigated)
2.5
1.31e
01
90
Incidental
Turfgrass
Ingestion
25
cm2/
day
of
turf
20%
application
rate
(
residential
SOP)
fresh
grass
9.0
1.49e
02
805
25
cm2/
day
of
turf
Irrigated
(
MRID
#
435178
01)
used
for
dormant
grass
0.87
2.60e
03
4700
25
cm2/
day
of
turf
Non
Irrigated(
MRID
#
435178
01)
used
for
dormant
grass
1.53
1.45e
03
8300
Incidental
Ingestion
of
Soil
100
mg/
day
ingestion;
0.67
cm3/
gm
soil
NA
2.12e
04
57000
a
Application
rates
represent
maximum
label
rates
from
current
EPA
registered
labels.
b
Assumptions
from
Residential
SOP's
(
February,
2001).
fresh
grass
c
TTR
source:
wettable
powder
and
granular
oxadiazon
turf
studies
MRID
Nos.
43517801.
Short
term
risks
assessed
using
DAT
0
1
residue
values.
d
Oral
doses
calculated
using
formulas
presented
in
the
Residential
SOPs
(
February,
2001).
Short
term
and
intermediate
term
doses
were
calculated
using
the
following
formulas.
Intermediate
term
doses
were
each
multiplied
by
the
estimated
fraction
of
oxadiazon
residue
remaining
on
DAT
7
after
application.
Hand
to
mouth
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[
application
rate
(
lb
ai/
acre)
x
fraction
of
residue
dislodgeable
from
potentially
wet
hands
(
see
assumptions)
x
11.2
(
conversion
factor
to
convert
lb
ai/
acre
to
g/
cm2)]
x
median
surface
area
for
1
3
fingers
(
20
cm2/
event)
x
hand
to
mouth
rate
(
ST:
20
events/
hour
)
x
exp.
time
(
2
hr/
day)
x
0.001
mg/
µ
g]
/
bw
(
15
kg
toddler).
Grass
ingestion
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[
TTR
(
g/
cm2)
x
ingestion
rate
of
grass
(
25
cm2/
day)
x0.001
mg/
µ
g]
/
bw
(
15
kg
toddler).
Soil
ingestion
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[(
application
rate
(
lb
ai/
acre)
x
fraction
of
residue
retained
on
uppermost
1
cm
of
soil
(
100%
or
1.0/
cm)
x
4.54E+
08
g/
lb
conversion
factor
x
2.47E
08
acre/
cm2
conversion
factor
x
0.67
cm3/
g
soil
conversion
factor)
x
100
mg/
day
ingestion
rate
x
1.0E
06
g/
g
conversion
factor]
/
bw
(
15
kg;
toddler).
Short
term
dose
based
residue
on
the
soil
on
day
of
application.
NA=
Not
applicable
Note:
TTR
Turf
Transferable
Residue
39
4.3.4
Incident
Data
Oxadiazon
has
not
been
reported
to
cause
life
threatening
illness
or
death
in
humans.
Most
of
the
cases
appear
to
be
related
to
irritation
to
the
skin,
eyes
and
mucous
membranes.
Some
cases
may
be
related
to
an
allergic
reaction
On
the
list
of
the
top
200
chemicals
for
which
NPTN
received
calls
from
1984
1991
inclusively,
oxadiazon
was
ranked
192nd
with
12
incidents
in
humans
reported
and
5
incidents
in
animals
(
mostly
pets).
21
Drinking
Water
Levels
of
Comparison
22
acute
Population
Adjusted
Dose
40
5.0
AGGREGATE
RISK
ASSESSMENTS
AND
RISK
CHARACTERIZATION
5.1
DWLOCs21
for
Acute
Exposure
An
aggregate
risk
assessment
is
defined
as
the
evaluation
of
the
likelihood
of
the
occurrence
of
an
adverse
health
effect
resulting
from
exposure
to
a
single
substance
via
all
relevant
routes.
As
part
of
the
aggregate
risk
assessment,
short
and
intermediate
term
risk
assessments
require
the
incorporation
of
drinking
water
exposure
and
the
calculation
of
DWLOC
values
to
estimate
the
total
exposure
from
all
sources.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
that
are
used
to
determine
how
much
of
the
acceptable
exposure
is
available
for
exposure
through
drinking
water.
OPP
uses
DWLOCs
internally
in
the
risk
assessment
process
as
a
surrogate
measure
of
potential
exposure
associated
with
pesticide
exposure
through
drinking
water.
DWLOC
values
are
not
regulatory
standards
for
drinking
water;
however,
they
do
have
regulatory
impact
through
aggregate
exposure
and
risk
assessments.
DWLOCs
were
calculated
for
oxadiazon
based
on
an
oral
NOAEL
of
12
mg/
kg/
day
from
a
developmental
study,
which
was
selected
by
HIARC
for
the
short
term
(
1
7
day)
incidental
oral
exposure
(
McCarroll,
2001b).
An
acute
RfD
was
not
selected
for
oxadiazon
because
there
are
no
food
uses
(
McCarroll,
2001b).
However,
in
accordance
with
the
Updated
Interim
Guidance
for
Incorporating
Drinking
Water
Exposure
into
Aggregate
Risk
Assessments
(
Stasikowski,
1999),
this
NOAEL
was
used
to
calculate
the
acute
DWLOCs.
An
uncertainty
factor
of
100
was
applied
based
on
a
10x
for
intraspecies
variation
and
a
10x
for
interspecies
extrapolation.
Therefore,
the
theoretical
acute
RfD
or
the
theoretical
aPAD22
would
be
0.12
mg/
kg/
day.
The
default
body
weights
and
daily
water
consumption
values
were
applied
for
each
target
population
(
i.
e.,
U.
S.
population,
children
1
6,
and
infants).
Default
body
weights
and
consumption
values
for
calculation
of
the
DWLOCs
were:
2L/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female)
and
1L/
10
kg
(
children
and
infants),
respectively.
Based
on
a
comparison
of
DWLOCs
to
the
corresponding
FIRST
and
SCIGROW
values,
which
show
higher
values
for
the
DWLOCs,
acute
exposure
to
residues
of
oxadiazon
in
surface
and
ground
water
is
not
a
concern
(
Table
11a).
5.2
DWLOCs
for
Chronic
Exposure
A
chronic
RfD
was
also
not
selected
by
the
HIARC
because
of
the
lack
of
food
or
feed
uses
(
McCarroll,
2001b).
Using
the
line
of
reasoning
developed
for
the
acute
DWLOC
calculations
and
put
forth
in
the
interim
guidance
document,
a
combined
chronic/
oncogenicity
feeding
study
was
selected
by
HIARC
for
the
dermal
and
inhalation
risk
assessments
(
see
Section
3.3).
Accordingly,
this
23
chronic
Population
Adjusted
Dose
41
Table
11a.
Summary
of
Acute
DWLOC
Calculations
for
Oxadiazon
Population
Subgroup1
Acute
Scenario
Theoretical
aPAD
mg/
kg/
day
Acute
Food
Exp
mg/
kg/
day
Max
Acute
Water
Exp
mg/
kg/
day2
FIRST
Surface
Water
EDWC
(
g/
L)
SCIGROW
Ground
Water
EDWC
(
g/
L)
Acute
DWLOC
(
g/
L)
3
U.
S.
Population
0.12
0.00
0.12
246
0.59
4200
Females
13
50
years
old
0.12
0.00
0.12
246
0.59
3600
Infants
<
1
year
old
0.12
0.00
0.12
246
0.59
1200
Children
1
6
years
old
0.12
0.00
0.12
246
0.59
1200
1
Default
body
weights
and
consumption
values
for
calculation
of
the
DWLOCs
were:
2L/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female)
and
1L/
10
kg
(
child),
respectively.
2
Maximum
acute
water
exposure
(
mg/
kg/
day)
=
[(
acute
PAD
(
mg/
kg/
day)
acute
food
exposure
(
mg/
kg/
day)]
3
Acute
DWLOC(
g/
L)
=
[
maximum
chronic
water
exposure
(
mg/
kg/
day)
x
body
weight
(
kg)]
[
water
consumption
(
L)
x
10
3
mg/
g]
NOAEL
of
0.36
mg/
kg/
day,
based
on
adverse
liver
effects,
was
used
to
calculate
the
chronic
DWLOCs
(
DWLOC
chronic).
An
uncertainty
factor
of
100
was
applied
(
10x
for
intraspecies
and
a
10x
for
interspecies
variation).
Therefore,
the
theoretical
chronic
RfD
or
the
theoretical
cPAD23
would
be
0.0036
mg/
kg/
day.
Residential
exposures
were
not
factored
into
the
DWLOCchronic
since
no
long
term
residential
exposures
(
handlers
or
postapplication)
are
expected.
As
shown
in
Table
11b,
only
the
adult
male
and
female
populations
as
a
whole
had
DWLOC
values
that
exceeded
the
surface
and
ground
water
targets;
consequently,
the
Agency
concludes
with
reasonable
certainty
that
there
is
no
drinking
water
risk
of
concern
for
these
populations
exposure
to
oxadiazon.
DWLOCs
values
derived
for
infants
and
children
also
exceeded
the
EDWCs
for
ground
water
and
are,
also
of
no
concern
to
the
Agency.
On
the
other
hand,
the
EDWCs
for
surface
water
(
100
g/
mL)
were
higher
than
the
DWLOCs
calculated
for
infants
and
children.
Since
the
EDWCs
were
higher
than
the
chronic
values
derived
for
surface
and
ground
water,
the
Agency
concludes
that
there
is
a
drinking
water
risk
of
concern
for
infants
and
children
chronically
exposed
to
oxadiazon
via
drinking
water.
5.3
DWLOCs
for
Cancer
For
the
cancer
(
Q
1*)
exposure
calculations,
the
Agency
used
multi
year
mean
water
concentration
values.
The
DWLOC
cancer
is
the
concentration
in
drinking
water
as
a
part
of
the
aggregate
chronic
exposure
that
results
in
a
negligible
cancer
risk
(
10
6).
42
No
residential
exposures
were
factored
into
the
equation
since
no
long
term
residential
exposures
(
handlers
or
postapplication)
are
expected.
As
shown
in
Table
11c,
EFED's
EDWC
for
Table
11b.
Summary
of
Chronic
DWLOC
Calculations
for
Oxadiazon
Population
Subgroup1
Chronic
Scenario
Theoretical
cPAD
mg/
kg/
day
Chronic
Food
Exp
mg/
kg/
day
Max
Chronic
Water
Exp
mg/
kg/
day2
FIRST
Surface
Water
EDWC
(
g/
mL)
SCIGROW
Ground
Water
EDWC
(
g/
mL)
Chronic
DWLOC
(
g/
L)
U.
S.
Population
0.0036
0.00
0.0036
100
0.59
126
Females
13
50
years
old
0.0036
0.00
0.0036
100
0.59
108
Infants
<
1year
old
0.0036
0.00
0.0036
100
0.59
36
Children
1
6
years
old
0.0036
0.00
0.0036
100
0.59
36
1
Default
body
weights
and
consumption
values
for
calculation
of
the
DWLOCs
were:
2L/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female)
and
1L/
10
kg
(
child),
respectively.
2
Maximum
Chronic
Water
Exposure
(
mg/
kg/
day)
=
[
Chronic
PAD
(
mg/
kg/
day)
Chronic
Dietary
Exposure
(
mg/
kg/
day)]
3
Chronic
DWLOC(
g/
L)
=
[
maximum
chronic
water
exposure
(
mg/
kg/
day)
x
body
weight
(
kg)]
[
water
consumption
(
L)
x
10
3
mg/
g]
Table
11c.
Summary
of
Cancer
DWLOC
Calculations
for
Oxadiazon
Population
Q*
Negligible
Risk
Level1
Target
Max
Exposure2
mg/
kg/
day
Chronic
Food
Exposure
mg/
kg/
day
Max
Water
Exposure3
mg/
kg/
day
FIRST
Surface
Water
EDWC
(
g/
mL)
SCIGROW
Ground
Water
EDWC
(
g/
mL)
Cancer
DWLOC4
(
g/
L)
U.
S.
Pop
7.11e
02
0.000001
0.000014
0.000000
0.00001400
100
0.59
0.490000
1
DWLOC
CANCER
was
calculated
for
U.
S.
population
only.
Default
body
weights
and
consumption
values
for
calculation
of
the
DWLOCs
were:
2L/
70
kg
2
Target
Maximum
Exposure
(
mg/
kg/
day)
=
[
negligible
risk/
Q*]
3
Maximum
Water
Exposure
(
mg/
kg/
day)
=
[
Target
Maximum
Exposure
(
Chronic
Food
Exposure
+
Residential
Exposure
(
Lifetime
Average
Daily
Dose))]
4
Cancer
DWLOC(
g/
L)
=
[
maximum
water
exposure
(
mg/
kg/
day)
x
body
weight
(
kg)]
[
water
consumption
(
L)
x
10
3
mg/
g]
2
oxadiazon
residues
in
surface
and
ground
water
are
lower
than
the
Agency's
calculated
DWLOCs
for
the
adult
U.
S.
population.
Therefore,
the
cancer
risk
exceeds
HED's
level
of
concern
for
lifetime
exposure
to
oxadiazon
in
drinking
water
derived
from
surface
and
ground
water.
It
should
be
noted,
however,
that
EDWC
values
derived
from
the
SCI
GROW
model
for
the
ground
water
analysis,
are
based
on
high
concentrations
observed
in
shallow
ground
water
after
agricultural
treatment
of
permeable
soils.
Since
this
combination
of
conditions
is
encountered
in
only
1%
of
the
agricultural
use
area
in
the
U.
S.,
it
is
not
likely
that
oxadiazon
would
pose
a
potential
cancer
concern
for
exposure
to
oxadiazon
in
ground
water
(
Barrett,
1998).
43
5.4
Aggregrate
Risk
Assessments
HED
did
not
perform
an
aggregate
risk
assessment
as
part
of
this
reregistration
review
for
oxadiazon
because
the
calculated
DWLOC
values
are
based
on
conservative
default
values
since
no
monitoring
data
were
available
on
oxadiazon
and
the
refined
model
for
turf
analysis
is
not
completed
at
this
time.
In
addition,
data
used
to
develop
residential
exposure
estimates
(
dermal
exposure
values)
were
also
conservative
because
the
highest
mean
postapplication
TTR
residue
value
from
the
Jazzercize
study
(
MRID
No.
43517801)
along
with
the
data
from
the
wettable
powder
formulation
instead
of
the
the
major
formulation
(
granular)
were
used.
Thus,
any
aggregation
of
a
conservative
water
number
with
a
conservative
residential
exposure
estimate
would
result
in
an
even
more
conservative
expression
of
aggregate
risk.
The
RARC
also
noted
that
guidance
from
management
on
this
issue
is
forthcoming.
6.0
CUMULATIVE
RISK
FQPA
of
1996
stipulates
that
when
determining
the
safety
of
a
pesticide
chemical,
EPA
shall
base
its
assessment
of
the
risk
posed
by
the
chemical
on,
among
other
things,
available
information
concerning
the
cumulative
effects
to
human
health
that
may
result
from
dietary,
residential,
or
other
non
occupational
exposure
to
other
substances
that
have
a
common
mechanism
of
toxicity.
The
reason
for
consideration
of
other
substances
is
due
to
the
possibility
that
low
level
exposures
to
multiple
chemical
substances
that
cause
a
common
toxic
effect
by
a
common
mechanism
could
lead
to
the
same
adverse
health
effect
as
would
a
higher
level
of
exposure
to
any
of
the
other
substances
individually.
A
person
exposed
to
a
pesticide
at
a
level
that
is
considered
safe
may
in
fact
experience
harm
if
that
person
is
also
exposed
to
other
substances
that
cause
a
common
toxic
effect
by
a
mechanism
common
with
that
of
the
subject
pesticide,
even
if
the
individual
exposure
levels
to
the
other
substances
are
also
considered
safe.
HED
did
not
perform
a
cumulative
risk
assessment
as
part
of
this
reregistration
review
for
oxadiazon
because
HED
has
not
yet
initiated
a
comprehensive
review
to
determine
if
there
are
any
other
chemical
substances
that
have
a
mechanism
of
toxicity
common
with
that
of
oxadiazon.
For
purposes
of
this
reregistration
decision,
EPA
has
assumed
that
oxadiazon
does
not
have
a
common
mechanism
of
toxicity
with
other
substances.
On
this
basis,
the
Registrant,
Aventis
Environmental
Science,
must
submit,
upon
EPA's
request
and
according
to
a
schedule
determined
by
the
Agency,
such
information
as
the
Agency
directs
to
be
submitted
in
order
to
evaluate
issues
related
to
whether
oxadiazon
shares
a
common
mechanism
of
toxicity
with
any
other
substance
and,
if
so,
whether
any
tolerances
for
oxadiazon
need
to
be
modified
or
revoked.
If
HED
identifies
other
substances
that
share
a
common
mechanism
of
toxicity
with
oxadiazon,
HED
will
perform
aggregate
exposure
assessments
on
each
chemical,
and
will
begin
to
conduct
a
cumulative
risk
assessment
once
the
final
guidance
HED
will
use
for
conducting
cumulative
risk
assessments
is
available.
HED
has
recently
developed
a
framework
that
it
proposes
to
use
for
conducting
cumulative
risk
assessments
on
substances
that
have
a
common
mechanism
of
toxicity.
This
guidance
was
issued
for
44
public
comment
on
June
30,
2000
(
65
FR
40644
40650)
and
is
available
from
the
OPP
Website
at:
http://
www.
epa.
gov/
fedrgstr/
EPA
PEST/
2000/
June/
Day
30/
6049.
pdf
.
In
the
draft
guidance,
it
is
stated
that
a
cumulative
risk
assessment
of
substances
that
cause
a
common
toxic
effect
by
a
common
mechanism
will
not
be
conducted
until
an
aggregate
exposure
assessment
of
each
substance
has
been
completed.
The
proposed
guidance
on
cumulative
risk
assessment
of
pesticide
chemicals
that
have
a
common
mechanism
of
toxicity
is
expected
to
be
finalized
by
the
summer
of
2001.
Before
undertaking
a
cumulative
risk
assessment,
HED
will
follow
procedures
for
identifying
chemicals
that
have
a
common
mechanism
of
toxicity
as
set
forth
in
the
"
Guidance
for
Identifying
Pesticide
Chemicals
and
Other
Substances
that
Have
a
Common
Mechanism
of
Toxicity"
(
64
FR
5795
5796,
February
5,
1999).
7.0
ENDOCRINE
DISRUPTION
EPA
is
required
under
the
FFDCA,
as
amended
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
"
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate."
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
was
scientific
bases
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems,
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC's
recommendation
that
the
Program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
the
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
When
the
appropriate
screening
and/
or
testing
protocols
being
considered
under
the
Agency's
EDSP
have
been
developed,
oxadiazon
may
be
subjected
to
additional
screening
and/
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
8.0
DATA
NEEDS/
LABEL
REQUIREMENTS
8.1
Toxicology
28
day
Inhalation
Study
(
870.3465)
45
8.2
Product
and
Residue
Chemistry
Current
Confidential
Statement
of
Formula
containing
nominal
concentration,
upper
limits
for
all
components
and
lower
limits
for
the
a.
i.
8.3
Occupational
and
Residential
Exposure
Concurrent
Transfer
Coefficient
measurements
along
with
TTR
studies.
9.0
BIBILOGRAPHY
Litt,
B.
D.
(
1984).
Carcinogenicity
Risk
Assessment
for
Oxadiazon,
dated
November
21,
1984
(
HED
Document
No.
004097).
Farber,
T
(
1987).
Classification
of
Oncogenic
Potential
of
Oxadiazon,
dated
August
27,
1987
(
HED
Document
No.
007798).
Quest,
J.
(
1987).
Second
Peer
Review
of
Oxadiazon,
dated
August
14,
1987
(
HED
Document
No.
007798).
Barrett,
M.
(
1998).
Updated
Documentation
on
the
SCI
GROW
Method
to
Determine
Screening
Concentration
Estimates
for
Drinking
Water
Derived
from
Ground
Water
Sources,
dated
May
29,
1998.
Brunsman,
L.
(
2001).
REVISED
Oxadiazon
Qualitative
Risk
Assessment
(
Q
1
*)
Based
on
SPF
Wistar
Rat
and
ICR_
JCL
Mouse
Dietary
Studies
with
3/
4'
s
interspecies
Scaling
Factor,
dated
February
1,
2001
(
HED
Document
No.
014465).
Diwan,
S.
(
2001).
Cancer
Assessment
Document
Evaluation
of
the
Carcinogenic
Potential
of
Oxadiazon
(
Third
Review),
dated
May
1,
2001
(
HED
Document
No.
014555).
Hansen,
L
and
McCarroll,
N.
(
2001).
Oxadiazon:
Toxicology
Disciplinary
Chapter
for
the
Reregistration
Eligibility
Decision
Document,
dated
July
7,
2001
(
HED
Document
No.
014614).
Dockter,
K.
(
2001).
Oxadiazon.
List
B
Registration
Case
2485.
PC
Code
109001.
Product
Chemistry
Chapter
for
the
Reregistration
Eligibility
Decision
[
RED]
Document,
dated
March
2,
2001.
D273104.
Gorrell.
M.
(
2001).
Revocation
Letter
for
Oxadiazon
Tolerances
March
12,
1991.
Letter
from
Mike
Gorrell,
Manager,
Registrations,
Aventis
Environmental
Science
USA
to
Veronique
La
Capra,
SRRD,
USEPA,
dated
January
24,
2001.
McCarroll,
N.
(
2001a).
Oxadiazon:
Assessment
of
Mode
of
Action
on
Liver
Carcinogenicity,
dated
February
28,
2001.
D266361.
46
McCarroll,
N.
(
2001b).
Oxadiazon:
Report
of
the
Hazard
Identification
Assessment
Review
Committee
(
HIARC),
dated
February
8,
2001
(
HED
Document
No.
014469)
D266361.
Melendez,
J.
L.
(
2001).
Tier
I
Estimated
Environmental
Concentrations
of
Oxadiazon,
dated
May
8,
2001.
Piper,
S.
(
2001a).
Oxadiazon:
List
B
Registration
Case
2485.
PC
Code
109001.
Product
Chemistry
and
Residue
Chemistry
Chapter
for
the
Registration
Eligibility
Decision
[
RED]
Document,
dated
March
27,
2001.
DP
Barcode
D273740.
Piper,
S.
(
2001b).
Oxadiazon:
(
List
B,
Case
No.
2485)
The
Outcome
of
the
HED
Metabolism
Assessment
Review
Committee
Meeting
Held
on
01/
31/
01,
dated
February
13,
2001.
D272425.
Piper,
S.
and
McCarroll,
N.
(
2001).
Oxadiazon:
(
List
B,
Case
No.
2485)
Issues
to
be
Presented
to
the
HED
Metabolism
Assessment
Review
Committee
(
MARC),
dated
January
10,
2001.
D271728.
Stasikowski,
M.
(
1999).
Updated
"
Interim
Guidance
for
Incorporating
Drinking
Water
Exposure
into
Aggregate
Risk
Assessments",
dated
August
1,
1999.
Tadayon,
S.
(
2001).
Occupational
and
Residential
Exposure
Assessment
and
Recommendationsfor
the
Reregistration
Eligibility
Decision
Document
for
Oxadiazon,
dated
May
7,
2001.
DP
Barcode
D273742.
47
SignOff
Date:
7/
20/
01
DP
Barcode:
D266361
HED
DOC
Number:
014629
Toxicology
Branch:
TOX1
| epa | 2024-06-07T20:31:44.853711 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0004/content.txt"
} |
EPA-HQ-OPP-2002-0309-0005 | Supporting & Related Material | 2002-12-03T05:00:00 | null | 1
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
March
05,
2002
PC
Code:
109001
DP
Barcode
D280320
MEMORANDUM
Subject:
EFED
Risk
Assessment
for
the
Reregistration
Eligibility
Decision
of
Oxadiazon
To:
Margaret
Rice,
Branch
Chief
Veronique
LaCapra,
Chemical
Review
Manager
Reregistration
Branch
II
Special
Review
and
Reregistration
Division
(
7508C)
From:
Miachel
Rexrode,
Ph.
D.,
Aquatic
Biologist
José
Luis
Meléndez,
Chemist
Rodolfo
Pisigan,
Jr.,
Ph.
D.,
Chemist
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
Through:
Mah
Shamim,
Ph.
D.,
Chief
Jean
Holmes,
Risk
Assessment
Process
Leader
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
This
memo
provides
a
summary
of
the
EFED
Environmental
Risk
Assessment
for
the
Oxadiazon
Reregistration
Eligibility
Document
(
RED).
Oxadiazon
is
registered
for
use
on
terrestrial
non
food
crop
sites,
including
golf
courses,
landscape
(
turf
and
ornamentals),
nurseries,
and
roadside
areas.
Based
on
laboratory
and
field
data,
oxadiazon
is
a
persistent,
lipophilic
compound
that
has
a
low
mobility
in
most
soils,
and
may
be
susceptible
to
aqueous
photolysis.
Oxadiazon
is
also
a
light
dependent
peroxidizing
herbicide
(
LDPH)
that
has
the
potential
for
the
induction
of
phototoxicity.
Our
risk
assessment
shows
that
oxadiazon
use
has
the
potential
for
chronic
exposure
to
aquatic
organisms
that
could
result
in
reproductive
effects
to
estuarine/
marine
fish
and
aquatic
invertebrates.
Other
aquatic
issues
of
concern
include
oxidiazon's
ability
to
bind
and
accumulate
in
the
sediment
thus
resulting
in
possible
toxic
exposure
to
aquatic
organisms
that
live
in
or
near
the
benthos.
Since
oxadiazon
exposure
to
light
has
the
potential
for
free
radical
generation,
phototoxicity
may
be
another
issue
of
toxic
concern
for
aquatic
organisms.
2
Acute
exposure
of
oxadiazon
(
emulsifiable
concentrate
and
granular)
to
birds
and
mammals
should
not
present
short
term
toxic
risk.
However,
the
potential
for
chronic
risk
to
mammals
and
birds
may
result
in
reproductive
effects.
EFED
also
has
a
concern
that
acute
exposure
of
oxadiazon
to
aquatic
and
terrestrial
systems
may
result
in
the
potential
for
risk
to
endangered
species
that
include
mammals,
birds,
fish
and
aquatic
invertebrates.
Since
this
compound
is
a
herbicide,
there
can
be
an
assumption
of
potential
risk
to
nontarget
plants
(
terrestrial,
semi
aquatic
and
aquatic).
The
studies
that
have
been
submitted
show
that
this
compound
is
potentially
a
toxic
risk
to
aquatic
vascular
and
nonvascular
plants.
However,
this
possible
risk
to
nontarget
terrestrial
plants
cannot
be
fully
assessed
at
this
time
due
to
the
lack
of
acceptable
data.
Outstanding
Data
Requirements
Environmental
Fate:
The
environmental
fate
data
base
is
largely
complete.
EFED
will
not
require
additional
studies
at
this
time.
Ecological
Effects:
72
4
(
a)
Early
Life
Stage
Estuarine
Fish
72
4
(
b)
Life
Cycle
Estuarine
Invertebrate
123
1
Seedling
Emergence
and
Vegetative
Vigor
using
a
liquid
TEP
to
represent
both
granular
and
liquid
formulations
(
note
in
the
case
that
liquid
formulations
are
not
supported
for
reregistration,
only
seedling
emergence
testing
would
be
required;
vegetative
vigor
testing
is
not
required
for
granular
formulations)
123
2
Aquatic
plant
testing
(
TierII)
is
required
because
oxadiazon
has
outdoor
nonresidential
terrestrial
uses
that
may
move
off
site
by
runoff
and/
or
aerial
spray
drift.
The
following
species
should
be
tested
at
Tier
II:
Kirchneria
subcapitata
(
Selenastrum
capricornutum),
Skeletonema
costatum,
and
Anabaena
flos
aquae.
70
1
Acute
and
Chronic
Sediment
Toxicity
Testing
Oxadiazon
shows
a
high
K
OC,
combined
with
a
high
persistence
exhibited
in
the
aerobic
soil
metabolism,
and
the
anaerobic
aquatic
metabolism
(>
10
days).
These
fate
properties
indicate
that
there
may
be
risk
to
benthicdwelling
aquatic
invertebrates,
however
the
potential
for
risk
cannot
be
assessed
until
data
have
been
submitted.
The
Chronic
Sediment
Toxicity
Testing
data
requirement
is
triggered,
with
Chironomus
tentans
and
the
Acute
Chronic
Sediment
Toxicity
Testing
data
requirement
is
triggered,
with
both
Hyalella
azteca,
and
Chironomus
tentans.
70
1
Phototoxicity
studies
on
fathead
minnow.
A
subchronic
exposure
duration
would
be
adequate
for
proof
of
concept.
Behavioral
observations
should
be
conducted
in
addition
to
3
mortality,
growth,
and
morphology.
All
studies
should
be
conducted
under
defined
light
conditions.
Endangered
Species
The
Agency
has
developed
the
Endangered
Species
Protection
Program
to
identify
pesticides
whose
use
may
cause
adverse
impacts
on
endangered
and
threatened
species,
and
to
implement
mitigation
measures
that
address
these
impacts.
The
Endangered
Species
Act
requires
federal
agencies
to
ensure
that
their
actions
are
not
likely
to
jeopardize
listed
species
or
adversely
modify
designated
critical
habitat.
To
analyze
the
potential
of
registered
pesticide
uses
to
affect
any
particular
species,
EPA
puts
basic
toxicity
and
exposure
data
developed
for
REDs
into
context
for
individual
listed
species
and
their
locations
by
evaluating
important
ecological
parameters,
pesticide
use
information,
the
geographic
relationship
between
specific
pesticide
uses
and
species
locations,
and
biological
requirements
and
behavioral
aspects
of
the
particular
species.
This
analysis
will
take
into
consideration
any
regulatory
changes
recommended
in
this
RED
that
are
being
implemented
at
this
time.
A
determination
that
there
is
a
likelihood
of
potential
impact
to
a
listed
species
may
result
in
limitations
on
use
of
the
pesticide,
other
measures
to
mitigate
any
potential
impact,
or
consultations
with
the
Fish
and
Wildlife
Service
and/
or
the
National
Marine
Fisheries
Service
as
necessary.
The
Endangered
Species
Protection
Program
as
described
in
a
Federal
Register
notice
(
54
FR
27984
28008,
July
3,
1989)
is
currently
being
implemented
on
an
interim
basis.
As
part
of
the
interim
program,
the
Agency
has
developed
County
Specific
Pamphlets
that
articulate
many
of
the
specific
measures
outlined
in
the
Biological
Opinions
issued
to
date.
The
Pamphlets
are
available
for
voluntary
use
by
pesticide
applicators
on
EPA's
website
at
www.
epa.
gov/
espp.
A
final
Endangered
Species
Protection
Program,
which
may
be
altered
from
the
interim
program,
is
scheduled
to
be
proposed
for
public
comment
in
the
Federal
Register
before
the
end
of
2001.
Endocrine
Disruption
EPA
is
required
under
the
FFDCA,
as
amended
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
"
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate."
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
was
scientific
basis
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems,
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC's
recommendation
that
the
Program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
the
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
4
When
the
appropriate
screening
and
or
testing
protocols
being
considered
under
the
Agency's
Endocrine
Disruptor
Screening
Program
have
been
developed,
oxadiazon,
may
be
subjected
to
additional
screening
and
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
Issues
that
have
raised
this
concern
include
fish
reproduction
effects
(
larval
and
embryo
survival,
egg
hatchability)
and
invertebrate
reproduction
effects
(
reduced
neonate
production)
also
suggest
endocrine
disruption.
Uncertainties
Environmental
Fate
and
Exposure:
There
is
some
uncertainty
in
using
the
FIRST
and
GENEEC2
models
respectively
for
drinking
water
and
aquatic
assessment.
These
two
models
are
typically
used
for
Tier
I
screening
purposes
for
pesticides
applied
to
soils.
In
turf
environments,
the
fate
characteristics
and
transport
behavior
of
oxadiazon
may
be
different
than
those
in
soils.
Whether
the
difference
is
significant
is
not
known
at
the
present.
Hence,
it
is
difficult
to
estimate
the
magnitude
of
uncertainty.
The
turf
scenario
for
PRZM/
EMAMS
Tier
II
modeling
is
not
available
at
this
time
so
turf
EECs
can
not
be
further
refined..
Ecological
Effects:
Since
oxadiazon
is
a
herbicide,
there
is
a
potential
for
risk
to
nontarget
plants.
Lack
of
adequate
data
represents
an
uncertainty
with
regards
to
the
risk,
which
may
be
further
clarified
through
the
submission
of
data.
In
the
absence
of
data
on
chronic
effects
of
oxadiazon
to
estuarine
aquatic
organisms,
chronic
testing
results
from
freshwater
fish
and
invertebrates
species
were
extrapolated,
representing
an
uncertainty
which
may
be
satisfied
through
the
submission
of
appropriate
data.
The
high
persistence
and
lipophilicity
of
this
chemical
and
its
likelihood
to
accumulate
in
the
sediment
suggest
that
there
may
be
risk
to
benthic
and
epibenthic
aquatic
life
(
fish
and
aquatic
invertebrates).
However
the
potential
for
risk
cannot
be
further
refined
until
additional
data
(
sediment
toxicity
tests)
have
been
submitted.
Enhanced
toxicity
of
oxadiazon
to
aquatic
organisms
after
light
exposure
is
an
uncertainty.
The
inhibition
of
protoporphyrinogen
oxidase,
the
rapid
accumulation
of
protoporphyrin
IX
with
the
resulting
generation
of
singlet
oxygen
(
free
radicals)
and
eventual
cell
membrane
destruction
suggest
that
exposure
to
this
compound
may
increase
toxicity
to
aquatic
organisms
Label
Recommendations:
EFED
recommends
that
the
labels
for
all
oxadiazon
products
carry
the
following
statements:
5
Environmental
Hazards
i.
Manufacturing
Use
Product:
This
pesticide
is
toxic
to
fish
and
aquatic
invertebrates.
Do
not
discharge
effluent
containing
this
product
into
lakes,
streams,
ponds,
estuaries,
oceans,
or
other
waters
unless
in
accordance
with
the
requirements
of
a
National
Pollutant
Discharge
Elimination
System
(
NPDES)
permit
and
the
permitting
authority
has
been
notified
in
writing
prior
to
discharge.
For
guidance,
contact
your
State
Water
Board
or
Regional
Office
of
the
EPA.
ii.
End
Use
Product:
This
pesticide
is
toxic
to
fish
and
aquatic
invertebrates.
Do
not
apply
directly
to
water,
or
to
areas
where
surface
water
is
present,
or
to
intertidal
areas
below
the
mean
high
water
mark.
Do
not
contaminate
water
when
disposing
of
equipment
washwaters
or
rinsate.
Do
not
apply
when
weather
conditions
favor
drift
from
treated
areas.
Runoff
and
drift
from
treated
areas
may
be
hazardous
to
aquatic
organisms
in
neighboring
areas.
Do
not
allow
this
product
to
drift.
6
SUPPLEMENT
Possible
Risk
Mitigation
Measures:
To
reduce
risk
to
plants
and
aquatic
organisms,
possible
risk
mitigation
measures
may
include,
but
are
not
limited
to:
The
addition
of
a
well
maintained
buffer
zone
can
also
mitigate
the
risk.
It
is
known
that
buffer
zones
can
decrease
the
amount
of
spray
drift
reaching
bodies
of
water.
The
current
label
suggests
that
to
improve
the
efficacy,
prior
to
application,
the
turf
should
be
mowed
and
after
application
it
should
be
irrigated
if
rain
is
not
expected
shortly.
Making
this
suggestion
compulsory
would
assure
that
most
of
the
chemical
reaches
the
soil
surface,
where
it
is
less
prone
to
runoff.
7
N
N
O
Cl
Cl
O
CH
O
C
CH
3
CH
3
CH
3
C
H
3
C
H
3
Environmental
Fate
and
Ecological
Risk
Assessment
for
the
Reregistration
Eligibility
Decision
Oxadiazon;
Ronstar
®
2
tert
Butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
delta2
1,3,4
oxadiazoline
5
one
and
3[
2,4
Dichloro
5(
1
methylethoxy)
phenyl]
5(
1,1
dimethyl
ethyl)
1,3,4
oxadiazol
2(
3H)
one
Shaughnessy
Number:
109001
CAS
Number:
19666
30
9
Prepared
by:
Miachel
Rexrode,
Ph.
D.
José
L.
Meléndez
Environmental
Risk
Branch
V
Reviewed
by:
Environmental
Fate
and
Effects
Division
Rodolfo
Pisigan
Jr.,
Ph.
D.
Mah
T.
Shamim,
Ph.
D.
8
TABLE
OF
CONTENTS
CHAPTER
1:
ENVIRONMENTAL
RISK
CONCLUSIONS
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
9
CHAPTER
2:
INTRODUCTION
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
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.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
12
CHAPTER
3:
INTEGRATED
ENVIRONMENTAL
RISK
CHARACTERIZATION
.
.
.
.
.
.
.
.
.
.
.
.
.
15
CHAPTER
4:
ENVIRONMENTAL
FATE
AND
TRANSPORT
ASSESSMENT
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
19
CHAPTER
5:
DRINKING
WATER
ASSESSMENT
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
20
CHAPTER
6:
AQUATIC
EXPOSURE
AND
RISK
ASSESSMENT
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
21
CHAPTER
7:
TERRESTRIAL
EXPOSURE
AND
RISK
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26
CONCLUSIONS.........................................................................................................................................
32
APPENDIX
A:
REFERENCES
CITED
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33
APPENDIX
B:
FATE
SUMMARIES
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37
APPENDIX
C:
ECOLOGICAL
TOXICITY
DATA
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43
APPENDIX
D:
FATE
TERRESTRIAL
MODEL
RUNS
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53
APPENDIX
E:
DRINKING
WATER
CONCENTRATIONS
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60
APPENDIX
F:
EXPOSURE
AND
RISK
CHARACTERIZATION
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64
APPENDIX
G:
ENVIRONMENTAL
FATE
AND
ECOLOGICAL
EFFECTS
DATA
REQUIREMENTS
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69
APPENDIX
H:
QUALITATIVE
USE
ASSESSMENT
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73
APPENDIX
I:
GENEEC
2.0
INPUT
PARAMETERS,
RESULTS,
AND
OUTPUTS
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75
APPENDIX
J:
REQUEST
for
PHOTOTOXICITY
STUDY
PROTOCOL
for
LIGHT
DEPENDENT
PEROXIDIZING
HERBICIDES...........................................................................................
80
ATTACHMENT
I........................................................................................................................................
83
9
CHAPTER
1:
ENVIRONMENTAL
RISK
CONCLUSIONS
a.
Registered
Uses
Oxadiazon
is
a
selective
pre
emergent
and
early
post
emergent
herbicide
used
to
control
grassy
and
broadleaf
weeds
in
turf
and
ornamentals.
Application
rates
range
from
2
to
4
lbs
ai/
A,
with
usually
only
one
application
made
per
season.
Most
of
the
products
are
in
granular
form.
The
herbicide's
primary
use
is
on
golf
courses,
turf
farms
and
ornamental
plantings.
The
registrant,
Aventis,
is
supporting
a
maximum
yearly
use
of
eight
pounds
of
active
ingredient
per
acre.
Aerial
applications
are
not
being
supported
(
SRRD
communication).
.
Table
1.
Oxadiazon
Registered
Use
on
Turf
(
Golf
Courses),
Nursery
and
Roadsides.
Usage
Maximum
Application
Rate
(
lbs
ai/
A)
Number
of
Applications
Minimum
Application
Interval
(
days)
Maximum
Application
Rate
per
Season
(
lbs
ai/
A)
Turf
(
Ground
Spray)
4.0
2
182
8.0
4.0
1
NA
4.0
3.0
1
NA
3.0
2.0
1
NA
2.0
Turf
(
Ground
Spray)
Split
Application
1.0
8
42
8.0
1.3
6
56
8.0
Turf
(
Granular)
4.0
2
182
8.0
4.0
1
NA
4.0
3.0
1
NA
3.0
2.0
1
NA
2.0
b.
Major
Risk
Concerns
Our
assessment
shows
that
oxadiazon
exposure
in
the
aquatic
environment
can
present
significant
chronic
risk
to
freshwater
fish
and
aquatic
invertebrates.
The
chronic
Level
of
Concern
(
LOC)
was
exceeded
by
up
to
132
fold
for
fish
and
37
fold
for
aquatic
invertebrates.
Although
this
Tier
I
risk
assessment
suggests
that
acute
exposure
of
oxadiazon
to
aquatic
systems
should
result
in
relatively
lower
short
term
risk
to
non
endangered
fish
and
aquatic
invertebrates
there
is
uncertainty
regarding
possible
phototoxicity.
Since
oxadiazon
is
an
LDPH
compound,
enhanced
toxicity
through
exposure
to
high
levels
of
solar
radiation
is
a
possible
concern
that
could
impact
aquatic
organisms
that
inhabit
small,
shallow
water
bodies.
Oxadiazon
is
also
a
lipophilic
compound
that
has
the
capacity
to
strongly
bind
to
particulates
and
organic
carbon.
This
binding
can
result
in
accumulation
in
the
sediment
raising
concerns
for
toxic
risk
to
benthic
and
epibenthic
aquatic
organisms
(
aquatic
insects,
amphipods,
crustaceans,
mollusks,
bivalves,
10
etc).
Since
sediment
act
as
a
reservoir
for
lipophilic
persistent
compounds,
sediment
bound
oxadiazon
presents
a
high
risk
potential
for
aquatic
life
because
of
direct
contact
with
various
organisms
through
respiration,
ingestion,
dermal
contact,
or
indirectly
through
alterations
of
the
food
chain.
The
herbicidal
properties
of
this
compound
also
strongly
suggest
that
there
is
a
potential
for
toxic
risk
to
aquatic
plants
(
monocots
and
dicots)
which
may
result
in
an
indirect
impact
on
aquatic
systems
through
habitat
alteration.
Endangered
species
concerns
have
also
been
triggered
for
fish,
aquatic
invertebrates
and
plants.
Terrestrial
exposure
of
this
compound
to
mammals
and
birds
can
result
in
potential
chronic
risk
while
the
acute
risk
to
terrestrial
organisms
(
birds,
mammals,
and
honey
bees)
from
the
registered
use
of
oxadiazon
appears
low.
However,
information
on
the
herbicidal
mode
of
action
of
oxadiazon
strongly
suggests
that
there
is
a
potential
for
acute
risk
to
nontarget
aquatic
and
terrestrial
plants.
The
limited
plant
data
for
oxadiazon
shows
that
this
compound
can
present
a
toxic
risk
to
nontarget
plants
(
EC
25
values
reported
in
the
seedling
emergence/
vegetative
vigor
tests
were
as
low
as
about
a
tenth
of
a
pound
per
acre).
Although
there
does
not
appear
to
be
an
acute
risk
to
endangered
birds
and
mammals
there
may
be
chronic
concerns
as
reflected
in
the
two
fold
LOC
exceedences
for
non
endangered
terrestrial
animals.
Therefore,
our
assessment
suggests
that
endangered
terrestrial
species
(
birds,
mammals,
and
terrestrial
plants)
may
be
at
risk.
c.
Oxadiazon
Incident
History
There
are
no
confirmed
incidents
associated
with
the
use
of
oxadiazon
in
the
Environmental
Fate
and
Effects
Division
EIIS
Database.
However,
this
data
base
is
compiled
through
voluntary
submissions
that
may
only
capture
a
small
fraction
of
actual
incidents.
d.
Likelihood
of
Water
Contamination
The
potential
impact
to
water
quality
from
the
use
of
oxadiazon
on
turf
is
essentially
due
to
the
parent
(
as
opposed
to
possible
degradates).
Oxadiazon
appears
to
be
very
persistent
under
most
environmental
conditions
making
the
chemical
available
for
surface
runoff.
Moreover,
the
remaining
important
factor
which
affects
the
impact
of
oxadiazon
on
water
quality
is
its
mobility.
A
soil
column
leaching
study,
and
supplemental
batch
equilibrium
studies
indicated
that
oxadiazon
has
low
mobility
in
the
various
soils
tested.
Ordinarily
this
would
mean
that
the
chemical
would
remain
soil
bound
and
would
be
transported
to
a
water
body
on
eroded
soil.
Turf
scenarios,
however,
offer
different
challenges
than
other
conventional
crops.
The
turf
itself
offers
a
vegetative
interception
layer
(
including
thatch)
that
prevents
rapid
deposition
of
the
oxadiazon
on
the
surface
of
the
soil.
Both
liquid
and
granular
formulations
labels
of
oxadiazon
specify
that
the
chemical's
effectiveness
is
improved
if
it
is
wetted
in
after
application.
Furthermore,
both
labels
recommend
mowing
the
grass
prior
to
application.
Oxadiazon
is
expected
to
bind
to
soil
particles,
but
turf
scenarios
offer
vegetation
interception.
The
models
used
for
the
determination
of
the
water
exposures
were
FIRST,
GENEEC
2.0
for
surface
waters,
and
SCIGROW
for
ground
waters.
The
models
are
screening
models
designed
to
provide
upper
bound
estimates
of
the
concentrations
that
might
be
found
due
to
the
use
of
oxadiazon.
For
drinking
water
worst
case
scenario
(
4
lb
a.
i./
A
applied
at
6
months
interval)
was
used.
Further
refinements
of
our
11
computer
models
were
not
possible
at
this
time.
The
EFED
is
currently
developing
a
turf
scenario,
which
is
expected
to
be
ready
in
the
near
future.
Surface
water
monitoring
data
for
oxadiazon
is
very
limited
and
cannot
be
used
to
represent
possible
concentrations
of
oxadiazon
in
surface
waters.
The
chemical
is
not
included
in
the
NAWQA
monitoring
studies.
The
STORET
database
contained
only
two
samples
taken
from
the
same
location
within
an
interval
of
only
four
days.
The
estimated
recommended
acute,
and
long
term
drinking
water
concentrations
are
detailed
in
Chapter
6.
Oxadiazon
has
a
high
affinity
to
soils
and
sediments
K
OC
2357,
combined
with
the
high
persistence
exhibited
in
the
aerobic
soil
metabolism
(>>
1year),
as
well
as
the
anaerobic
aquatic
metabolism
(
1
year
studies).
It
appeared
that
oxadiazon
would
be
a
persistent
chemical
in
sediment
environments.
Although
oxadiazon
exhibits
high
affinity
to
soils
and
a
relatively
high
bioconcentration
factor
(
K
ow
=
63100;
BCF's
of
368X,
2239X,
and
1111X
for
muscle,
viscera,
and
whole
fish,
respectively),
the
rate
of
depuration
was
relatively
rapid
(
half
life
of
about
one
day).
e.
Recommended
Drinking
Water
Concentrations
for
HED
As
per
HED's
request,
the
drinking
water
assessment
for
oxadiazon
is
as
follows:
the
peak
untreated
surface
water
concentration
is
246
ppb,
and
the
annual
average
untreated
water
concentration
is
100
ppb
.
These
values
represent
upper
bound
estimates
of
the
concentrations
of
oxadiazon
that
might
be
found
in
surface
water
due
to
the
use
of
oxadiazon
on
turf
at
the
maximum
application
rate
of
8.0
lb
a.
i./
A/
season.
The
recommended
oxadiazon
ground
water
concentration
is
0.6
ppb.
Recently
EFED
validated
a
new
turf
scenario
that
can
be
used
to
model
golf
courses.
Additionally,
new
PCA's
have
been
developed
for
golf
courses
(
tees,
greens
and
fairways).
EFED
will
model
Tier
II
drinking
water
concentrations
accordingly.
These
calculations
will
be
performed
during
the
revisions
of
the
60
days
comments
period.
f.
Monitoring
and
Modeling
As
shown
in
Table
3,
the
groundwater
concentration
estimated
from
SCIGROW
is
0.6
ppb
which
is
about
two
orders
of
magnitude
lower
than
those
of
surface
water.
This
concentration
may
be
used
for
both
acute
and
chronic
values.
The
low
concentration
is
consistent
with
both
laboratory
and
field
studies
that
indicate
the
low
mobility
of
oxadiazon,
and
subsequently,
its
reduced
potential
to
reach
groundwater.
12
CHAPTER
2:
INTRODUCTION
a.
Mode
of
Action
Oxadiazon
is
a
selective
pre
emergent
and
early
post
emergent
herbicide
used
to
control
grassy
weeds
(
e.
g.,
crabgrass
and
goosegrass)
and
broadleaf
weeds.
The
primary
mode
of
action
of
oxadiazon
is
inhibition
of
protoporphyrinogen
oxidase
(
Protex),
a
critical
enzyme
in
the
biosynthesis
of
chlorophyll
and
heme
(
Matringe
et
al.,
1989).
Consistent
with
protoporphyrinogen
oxidase
inhibiting
herbicides,
tissue
exposed
in
darkness
accumulate
protoporphyrin
IX,
which
can
lead
to
a
photodynamic
loss
of
cell
membrane
integrity
(
free
radical
development)
upon
exposure
to
light.
b.
Use
Characterization
The
formulation
types
include
granular
(
39
products;
predominant
formulation),
wettable
powder
(
2
products),
soluble
concentrate
(
1
product)
and
emulsifiable
concentrate
(
1
product).
Aventis
is
the
sole
technical
registrant.
Oxadiazon
is
registered
for
use
on
terrestrial
non
food
crop
sites,
including
golf
courses;
landscape
(
turf
and
ornamentals);
nursery;
and
roadside.
An
annual
estimate
of
oxadiazon's
total
usage
is
249,000
pounds
of
active
ingredient
on
52,000
acres.
Most
of
the
use
is
on
golf
courses,
which
accounts
for
about
65%
of
all
use.
Application
rates
range
from
two
to
four
pounds
active
ingredient
per
acre.
According
to
SRRD,
Aventis
is
supporting
a
maximum
application
of
4.0
lb
ai/
A
per
six
month
period,
equivalent
to
8.0
lbs
ai/
year
and
aerial
applications
are
not
being
supported.
Since
efficacy
(
pre
emergent
control)
is
based
on
oxadiazon
reaching
and
remaining
in
the
soil,
product
labels
may
specify
to
mow,
if
necessary,
before
application,
and
to
irrigate,
if
rain
is
not
expected
shortly.
Oxadiazon
may
also
be
used
for
early
post
emergent
control,
but
this
is
to
a
much
lesser
extent.
(
usage
information
was
obtained
from
BEAD's
Qualitative
Use
Assessment,
Appendix
K).
Oxadiazon
is
classified
as
an
oxadiazole
herbicide.
The
chemical
name
is:
5
tert
Butyl
3(
2,4
dichloro
5
isopropoxyphenyl)
1,3,4
oxadiazol
2(
3H)
one.
Other
chemical
names
are:
(
IUPAC).
2
tert
Butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
delta2
1,3,4
oxadiazoline
5
one
and
3[
2,4
Dichloro
5(
1
methylethoxy)
phenyl]
5(
1,1
dimethyl
ethyl)
1,3,4
oxadiazol
2(
3H)
one.
Trade
names
include
Ronstar,
RP
17623,
and
G
315.
c.
Approach
to
Risk
Assessment
In
order
to
conduct
an
ecological
risk
assessments
on
this
compound,
EFED
used
dosage
rate
information
obtained
from
SRRD
and
BEAD.
The
evaluation
of
the
potential
risk
to
aquatic
and
terrestrial
organisms
from
the
use
of
oxadiazon,
was
assessed
through
the
calculation
of
risk
quotients
(
RQs)
that
were
derived
from
the
ratio
of
estimated
environmental
concentrations
(
EECs)
to
ecotoxicity
values
(
see
Appendix
F).
EECs
were
based
on
the
maximum
and
typical
application
rate
of
oxadiazon
to
turf.
These
RQs
are
then
compared
to
the
Levels
of
Concern
(
LOC)
(
Appendix
F)
criteria
used
by
EFED
for
determining
potential
risk
to
nontarget
organisms
and
the
subsequent
need
for
possible
regulatory
action.
1EFED
examined
two
DER's
that
provide
data
(
2
7
day
half
life)
on
the
decay
of
transferable
residues
of
oxadiazon
from
turf
surfaces
to
a
cotton
cloth,
EFED
chose
not
to
use
these
studies
because
one
study
was
conducted
on
a
granular
formulation
and
the
other
study
presented
a
quantitative
concern.
13
Terrestrial
exposure
was
evaluated
using
EECs
generated
from
ELL
FATE
spreadsheet
based
model
that
calculates
the
decay
of
a
chemical
applied
to
foliar
surfaces
for
single
and
multiple
applications.
The
model
assumes
initial
concentrations
on
plant
surfaces
based
on
Kenaga
predicted
maximum
residues
as
modified
by
Fletcher
et
al.
(
1994)
and
assumes
1st
order
dissipation.
Kenaga
estimates
and
an
explanation
of
the
model
with
sample
output
are
presented
in
Appendix
F.
In
the
absence
of
foliar
dissipation
half
life
data
for
oxadiazon
a
35
day
half
life
was
used.
The
selection
of
this
half
life
was
based
on
the
upper
limit
of
pesticide,
foliar
dissipation
half
lives
provided
in
the
half
life
listing
of
Willis
and
McDowell,
1987.
EFED
uses
this
value
as
a
default
equivalent
when
the
foliar
dissipation
for
a
particular
pesticide
is
unknown
or
in
question1.
The
terrestrial
and
aquatic
risk
assessment
was
also
based
on
the
three
maximum
application
rates
of
4.0,
3.0,
and
2.0
lbs
ai/
A
at
2
applications
each
and
a
4.0
lbs
ai/
A
for
granular,
at
2
applications.
Additional
exposure
scenarios
for
split
application
(
1.0
and
1.3
lbs
ai/
A,
at
6
and
8
week
intervals,
respectively)
were
conducted
for
terrestrial
exposure.
Aquatic
exposure
was
evaluated
using
EECs
generated
from
the
Tier
I
GENEEC2
model.
14
Aquatic
and
terrestrial
risk
assessments
were
conducted
by
using
worst
case
ecotoxicity
endpoints
(
i.
e.,
LD50
and
LC50
values,
NOAEC
values).
The
toxicity
endpoints
chosen
for
use
in
the
ecological
risk
assessment
are
summarized
below.
Table
2.
Selection
of
Toxicological
Endpoints
Used
to
Determine
Risk
Quotients
(
RQs)
Type
Of
Toxicity
Organism
Species
Toxicological
Endpoint
Oral
Acute
Bird
Mallard
1040
mg/
kg
Dietary
Bobwhite/
Mallard
>
5000
ppm
Chronic
Bobwhite
500
ppm
1
Oral
Acute
Mammal
Rat
>
5000
mg/
kg
Chronic
Rat
200
ppm
2
Acute
Freshwater
Fish
Rainbow
trout/
Bluegill
0.88
ppm
Chronic
Rainbow
trout
0.88
ppb
3
Acute
Freshwater
Invertebrates
Daphnid
2.18
ppm
Chronic
Daphnid
0.03
ppm
Acute
Estuarine
Fish
Sheepshead
Minnow
1.5
ppm
Chronic
Sheepshead
Minnow
0.0015
ppm
4
Acute
Estuarine
Invertebrates
Mysid
0.27
ppm
Chronic
Mysid
0.0037ppm4
Acute
Aquatic
Plants
(
vascular)
(
Nonvascular)
duckweed
marine
diatom
EC50
=
41
ppb;
NOAEC
=
<
8
ppb
EC50
=
5.2
ppb
1
No
effects
on
any
reproductive
parameter
or
viability
of
of
F1
offspring
at
the
highest
dose
tested,
1000
ppm;
however
due
to
excessive
mortality
(
33%)
of
adult
female
birds
in
that
dose
level,
a
NOAEC
for
chronic
effects
was
set
at
500
ppm.
2
LOAEL
of
>
38
mg/
kg/
day
for
inactive
mammary
tissue
and
fetal/
pup
death
observed
in
the
one
year
range
finding
test
of
a
rat
reproduction
study.
NOAEC
>
200
ppm.
3
Rainbow
trout
was
more
sensitive
than
the
fathead
minnow
(
fathead
minnow
NOAEC=
33
ppb).
4
Extrapolation
from
acute/
chronic
ratio.
15
CHAPTER
3:
INTEGRATED
ENVIRONMENTAL
RISK
CHARACTERIZATION
Oxadiazon
is
a
persistent,
lipophilic
compound
that
has
low
mobility
in
most
soils
(
not
expected
to
move
to
ground
water),
and
may
be
susceptible
to
aqueous
photolysis.
Oxadiazon
is
also
a
light
dependent
peroxidizing
herbicide
(
LDPH)
that
has
the
potential
for
the
induction
of
phototoxicity
(
exposure
to
light
results
in
the
development
of
free
radicals
that
can
destroy
cell
membranes).
Our
risk
assessment
shows
that
chronic
exposure
of
this
compound
to
aquatic
organisms
(
estuarine/
marine
fish
and
aquatic
invertebrates)
can
result
in
significant
reproductive
effects
(
EFED's
runoff
and
drift
exposure
scenarios).
Aquatic
risk
is
further
compounded
by
oxadiazon's
ability
to
bind
and
accumulate
in
the
sediment.
As
a
contrast,
terrestrial
concerns
for
this
compound
are
mixed.
The
potential
for
chronic
risk
to
mammals
appears
very
high
and
could
result
in
significant
reproductive
effects.
However,
chronic
risk
to
birds
appeared
to
be
a
relatively
lower
concern
although
values
still
exceed
EFED's
level
of
concern
(
LOC).
Our
analysis
also
noted
that
acute
exposure
of
oxadiazon
(
emulsifiable
concentrate
and
granular)
to
birds
and
mammals
should
not
present
significant
short
term
toxic
risk.
EFED
also
has
a
concern
that
exposure
of
oxadiazon
to
aquatic
and
terrestrial
systems
may
result
in
a
potential
risk
to
endangered
species
that
can
include
mammals,
birds,
fish
and
aquatic
invertebrates.
Since
this
compound
is
a
herbicide,
there
is
the
potential
for
impact
to
nontarget
plants
(
terrestrial,
semi
aquatic
and
aquatic).
However,
this
possible
risk
to
nontarget
plants
cannot
be
fully
assessed
at
this
time
due
to
the
lack
of
acceptable
data.
The
focus
of
this
risk
assessment
is
based
on
toxicity
and
exposure
values
(
risk
quotients
or
RQs
as
the
ratio
of
exposure/
toxicity),
the
disposition
(
fate)
of
oxadiazon
in
the
environment,
and
its
mode
of
action
as
a
phototoxic
compound.
In
order
to
evaluate
the
potential
for
risk
to
non
target
organisms,
our
assessment
is
divided
into
aquatic
and
terrestrial
exposure
scenarios.
The
aquatic
component
was
evaluated
through
GENEEC2
pond
scenario
while
terrestrial
impact
was
assessed
through
the
ELL
FATE
model.
Since
oxadiazon
is
primarly
used
as
a
herbicide
on
turf,
especially
golf
courses,
EFED
has
evaluated
the
proximity
of
these
areas
to
estuarine/
marine
environments,
and
the
ecological
significance
of
application
timing.
Oxadiazon
is
a
stable
and
persistent
compound.
However,
direct
aqueous
photolysis
half
life
of
about
3
days
suggests
that
in
clear
and
shallow
surface
water
bodies
where
sunlight
penetration
can
be
significant,
photolytic
degradation
of
oxadiazon
is
possible.
However,
this
photolytic
effect
may
also
substantially
diminish
in
turbid
and
deeper
water
bodies.
Soil
photolysis
and
hydrolysis
under
acidic
and
basic
conditions
do
not
appear
to
be
an
important
dissipation
mechanism.
Microbial
metabolism
in
soil
and
aquatic
environments
under
either
aerobic
and
anaerobic
condition
is
not
expected
to
cause
any
significant
transformation
of
oxadiazon.
Studies
on
equilibrium
sorption
and
aged/
unaged
oxadiazon
indicate
that
the
pesticide
has
low
environmental
mobility
(
K
d's
ranged
from
8.17
to
22.83;
K
oc's
ranged
from
1409
to
3268).
Thus,
oxadiazon
can
be
transported
on
erodible
soil
particles
via
runoff
events
to
nearby
surface
water
bodies.
Leaching
from
surficial
soils
to
groundwater
is
expected
to
be
low
or
negligible,
unless
the
soil
is
very
porous
or
has
some
cracks
that
favor
preferential
flow.
Oxadiazon
exhibited
slow
dissipation
in
two
field
terrestrial
studies
conducted
in
California
and
North
Carolina.
Our
review
has
found
that
golf
courses
can
represent
about
2,300,000
acres
in
the
USA.
About
half
of
this
acreage
is
located
in
counties
that
are
considered
coastal
and
close
to
estuarine/
marine
environments
16
and
tributaries.
Because
of
the
proximity
to
these
aquatic
habitats
to
golf
courses,
EFED
has
a
concern
for
any
persistent
compound
that
has
the
potential
for
runoff
and
toxicity
to
aquatic
systems
that
include
estuaries.
Many
of
these
aquatic
areas
have
significant
fisheries
that
can
account
for
over
65%
of
the
commercial
catches
for
the
USA.
(
e.
g.
Chesapeake
Bay,
Long
Island
Sound,
The
Gulf
of
Mexico,
San
Diego
Bay,
San
Francisco
Bay,
Puget
Sound,
etc.).
Impact
to
this
resource
could
effect
not
only
the
ecological
value
but
the
livelihood
of
fishing
communities
and
markets
at
a
local
and
national
level.
Since
oxadiazon
is
stable
to
hydrolysis
and
persistent
in
the
environment,
the
results
from
our
Tier
I
(
GENEEC2)
pond
scenario
model
suggest
that
chronic
exposure
of
oxadiazon
can
result
in
significant
long
term
risk
to
freshwater
and
estuarine/
marine
fish
and
aquatic
invertebrates.
Our
screening
level
assessment
shows
that
the
RQ
values
that
were
generated
exceeded
the
LOC
by
significant
amounts
of
4
132
fold
(
application
rates
of
2.0
4.0
lbs
ai/
A
EC
and
granular
formulation).
The
issue
of
chronic
toxicity
is
compounded
by
the
lipophilic
nature
of
oxadiazon.
Since
this
stable
compound
can
be
absorbed
to
particulate
and
organic
carbon,
oxadiazon
residues
can
accumulate
in
sediments
and
increase
the
potential
for
chronic
risk
to
benthic
and
epibenthic
organisms
(
aquatic
organisms
that
live
in
or
on
the
sediment).
Acting
as
a
repository
for
lipophilic
compounds,
sediments
can
impact
aquatic
organisms
through
respiration,
ingestion,
dermal
contact,
and/
or
indirect
impact
through
alterations
of
the
food
chain.
This
can
present
a
significant
risk
to
aquatic
organisms
because
about
80%
of
all
aquatic
life
in
estuaries
is
in
contact
with
the
benthos.
Therefore,
in
order
to
better
understand
this
potential
risk,
EFED
is
requiring
appropriate
sediment
toxicity
testing
(
acute
and
chronic)
on
this
compound.
Another
issue
of
concern
is
the
uncertainty
regarding
the
degree
of
phototoxicity
of
this
compound
to
aquatic
organisms.
Since
oxadiazon
is
a
lightdependent
peroxidizing
herbicide
(
LDPH),
enhanced
toxicity
through
exposure
to
high
levels
of
solar
radiation
may
increase
toxic
risk
to
aquatic
organisms
that
inhabit
small,
shallow
water
bodies
(
toxicity
is
increased
through
the
production
of
free
radicals
which
actively
destroy
cell
membranes).
This
can
be
very
critical
to
several
species
of
aquatic
organisms
(
fish,
crabs,
etc)
whose
early
life
stages
are
dependent
upon
these
relatively
shallow
areas
for
their
development.
The
herbicidal
properties
of
oxadiazon
also
suggest
the
potential
for
acute
toxicity
to
aquatic
plants
and
the
possibility
of
aquatic
habitats
alterations.
This
can
potentiate
an
indirect
effect
to
aquatic
populations
through
a
decrease
in
plant
cover.
In
addition
to
toxic
risk
to
non
target
aquatic
organisms,
oxadiazon
may
also
impact
endangered
species
(
fish
and
invertebrates).
The
potential
for
birds
and
mammals
to
be
exposed
to
pesticides
through
a
turf
use
has
been
documented
(
e.
g.
chlorpyrifos,
lindane).
The
application
of
oxadiazon
in
the
spring
as
noted
from
the
label,
can
coincide
with
several
avian
and
mammalian
reproductive
cycles,
as
well
as
spring
migrations
(
avian).
In
order
to
evaluate
the
potential
for
risk
to
terrestrial
organisms,
EFED
has
conducted
a
Tier
I
assessment
by
using
the
ELL
FATE
model.
In
order
to
evaluate
possible
toxic
risk
to
terrestrial
organisms,
three
application
rates
(
4.0,
3.0,
and
2.0
lbs
ai/
A,
at
2
applications/
6
months)
and
two
split
applications
(
1.0
lbs
ai/
A
applied
4
times/
6
month
and
1.3
lbs
ai/
A
applied
3
times/
6
month)
were
run.
Our
objective
was
to
find
not
only
the
highest
rate
that
may
cause
toxic
risk,
but
the
rate
that
might
result
in
lower
risk.
Our
assessment
noted
that
acute
risk
to
birds
and
mammals
was
minimal
and
should
not
present
any
short
term
toxic
concern
to
these
organisms.
However,
all
application
scenarios
showed
that
chronic
exposure
could
result
in
significant
risk
to
mammalian
herbivores
and
insectivores
(
15g,
35g,
and
1000g)
with
RQ
exceedences
of
1.5
9.9
fold.
In
contrast
to
mammalian
chronic
risk,
our
assessment
also
noted
that
17
chronic
exposure
to
birds
could
result
in
relatively
lower
RQ
values
that
showed
exceedence
of
about
1
to
2
fold
the
LOC.
This
could
be
interpreted
as
potentially
low
toxic
risk
(
chronic)
to
birds
that
feed
on
plants
and
grass
(
e.
g.
ducks,
geese).
A
reduction
in
chronic
risk
to
birds
was
noted
with
the
split
application
scenarios
(
RQ
=
<
1),
but
chronic
risk
to
mammals
was
still
very
high
even
with
this
scenario.
Exposure
from
the
granular
formulation
was
evaluated
because
birds
may
be
exposed
to
granular
pesticides
through
ingestion
when
foraging
for
food
or
grit.
RQ
values
were
calculated
for
three
weight
classes
of
birds
(
1000g
waterfowl,
180g
upland
game
bird,
and
20g
songbird).
All
scenarios
for
the
granular
resulted
in
no
acute
risk
to
birds
(
EFED
does
not
conduct
a
chronic
assessment
from
granular
exposure).
The
potential
for
chronic
risk
(
high
for
mammals
but
relatively
low
for
birds)
that
has
been
noted
for
terrestrial
organisms
suggests
that
oxadiazon
may
present
a
risk
to
both
avian
and
mammalian
endangered
species
(
RQ
>
0.1),
even
though
the
acute
LOC
values
were
not
exceeded.
Although,
risk
to
terrestrial
plants
could
not
be
conducted
at
this
time
(
lack
of
data),
oxadiaxon's
herbicidal
mode
of
action
suggests
that
there
is
a
potential
for
risk
to
nontarget
terrestrial
plants,
as
well
as
endangered
plants.
Since
oxadiazon
is
practically
non
toxic
to
the
honey
bee,
minimal
risk
to
these
organisms
is
anticipated.
The
Agency
is
currently
engaged
in
a
Proactive
Conservation
Review
with
FWS
and
the
National
Marine
Fisheries
Service
under
section
7(
a)(
1)
of
the
Endangered
Species
Act.
The
objective
of
this
review
is
to
clarify
and
develop
consistent
processes
for
endangered
species
risk
assessments
and
consultations.
Subsequent
to
the
completion
of
this
process,
the
Agency
will
reassess
the
potential
effects
of
oxadiazon
use
to
federally
listed
threatened
and
endangered
species.
At
that
time
the
Agency
will
also
consider
any
regulatory
changes
recommended
in
the
RED
that
are
being
implemented.
Until
such
time
as
this
analysis
is
completed,
the
overall
environmental
effects
mitigation
strategy
articulated
in
this
document
and
any
County
Specific
Pamphlets
which
address
oxadiazon,
will
serve
as
interim
protection
measures
to
reduce
the
likelihood
that
endangered
and
threatened
species
may
be
exposed
to
oxadiazon
at
levels
of
concern.
The
endangered
species
LOCs
for
liquid
and
granular
formulations
of
oxadiazon
are
exceeded
for
chronic
risks
to
birds
and
mammals
and
acute/
chronic
risk
to
freshwater
and
estuarine
fish
and
invertebrates
and
aquatic
vascular
plants.
Although
the
terrestrial
plant
data
are
outstanding,
it
is
assumed
that
endangered
terrestrial
plants
are
at
risk
since
oxadiazon
is
an
herbicide.
Although
the
endangered
species
LOC
for
estuarine
invertebrates
has
been
exceeded,
there
are
no
listed
species
in
this
group.
EPA
is
required
under
the
FFDCA,
as
amended
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
"
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate."
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
was
scientific
basis
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems,
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC's
recommendation
that
the
Program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
the
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
18
When
the
appropriate
screening
and
or
testing
protocols
being
considered
under
the
Agency's
Endocrine
Disruptor
Screening
Program
have
been
developed,
oxadiazon,
may
be
subjected
to
additional
screening
and
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
Issues
that
have
raised
this
concern
include
fish
reproduction
effects
(
larval
and
embryo
survival,
egg
hatchability)
and
invertebrate
reproduction
effects
(
reduced
neonate
production).
19
CHAPTER
4:
ENVIRONMENTAL
FATE
AND
TRANSPORT
ASSESSMENT
Basic
Physicochemical
Parameters
The
important
properties
of
oxadiazon
are
summarized
below.
Oxadiazon
is
a
high
molecularweight
compound
with
fairly
low
solubility
in
water
and
high
solubility
in
organic
solvents.
It
has
a
low
vapor
pressure
and
Henry's
Law
Constant
(<<
1
x
10
3
atm
m
3/
mol)
suggesting
that
volatilization
from
soil
and
surface
water
environments
is
not
important.
Its
high
Kow
value
tends
to
indicate
that
bioconcentration
in
aquatic
organisms
such
as
fish
is
possible.
Nevertheless,
the
high
bioconcentration
factors
observed
in
studies
using
bluegill
sunfish
can
be
offset
by
fast
depuration
rate.
Molecular
formula:
C
15
H
18
Cl
2
N
2
O
3.
Molecular
weight:
345.2.
Physical
state:
Colorless
crystals.
Vapor
pressure
(
20
C):
1.00x10
6
mm
Hg
Henry's
Constant:
4.51x10
7
Atm$
m3/
mol
Solubility
(
20
C):
1
ppm
water
(
25
C)
600
g/
L
acetone,
acetophenone,
anisole
1
kg/
L
benzene,
chloroform,
toluene
100
g/
L
ethanol,
methanol
K
ow:
63,100
log
10
K
ow:
4.8
Fate
and
Transport
Processes
Summary
Based
on
fate
studies
reviewed,
oxadiazon
would
be
stable
and
persistent
under
typical
natural
environment.
However,
direct
aqueous
photolysis
half
life
of
about
3
days
(
summer
sunlight
conditions
in
Florida)
suggests
that
in
clear
and
shallow
surface
water
bodies
where
sunlight
penetration
can
be
significant,
photolytic
degradation
of
oxadiazon
is
possible.
The
photolytic
effect
though
may
substantially
diminish
in
turbid
and
deeper
water
bodies.
Soil
photolysis
and
hydrolysis
under
acidic
and
basic
conditions
do
not
appear
to
be
an
important
dissipation
mechanism.
Microbial
metabolism
in
soil
and
aquatic
environments
under
either
aerobic
and
anaerobic
condition
is
not
expected
to
cause
any
significant
transformation
of
oxadiazon.
A
number
of
degradates
have
been
reported
from
the
different
chemical
and
biological
fate
studies.
The
nomenclature
of
these
degradates
are
summarized
in
Appendix
3
(
move
nomenclauture
on
page
to
20
to
this
Appendix
3).
Studies
on
equilibrium
sorption
and
aged/
unaged
oxadiazon
indicate
that
the
pesticide
has
low
environmental
mobility
(
K
d's
ranged
from
8.17
to
22.83;
K
oc's
ranged
from
1409
to
3268).
Thus,
oxadiazon
can
be
transported
as
sorbed
species
to
erodible
soil
particles
via
surface
runoff
to
nearby
surface
water
bodies.
Leaching
from
surficial
soils
to
groundwater
is
expected
to
be
low
or
negligible,
unless
the
soil
is
very
porous
or
has
some
cracks
that
favor
preferential
flow.
Oxadiazon
exhibited
slow
dissipation
in
two
field
terrestrial
studies
conducted
in
California
and
North
Carolina.
Details
of
all
the
fate
and
transport
studies
are
discussed
in
Appendix
B.
20
CHAPTER
5:
DRINKING
WATER
ASSESSMENT
a.
Estimated
Environmental
Concentrations
and
Drinking
Water
Concentration
Estimates
TierI
screening
models,
FIRST
and
SCIGROW,
were
used
to
determine
estimated
environmental
concentrations
(
EECs)
of
oxadiazon
in
surface
water
and
groundwater
associated
with
the
ground
spray
application
of
4.0
lbs
a.
i./
A
(
applied
two
times
a
year)
in
turf.
FIRST
estimates
surface
water
concentrations
resulting
from
runoff
of
applied
pesticides
from
a
treated
area
to
an
adjacent
index
water
reservoir
in
which
the
percent
or
fraction
of
cropped
area
(
0.87)
is
taken
into
account.
SCIGROW
predicts
groundwater
concentrations
after
leaching
of
pesticides
from
the
surficial
soils
and/
or
subsurface
horizons
to
the
aquifer.
The
screening
concentrations
derived
from
the
two
models
are
used
in
the
evaluation
of
human
exposure
to
contaminated
drinking
water.
Details
about
the
two
models,
including
the
input
parameters
and
computer
output
printouts
for
turf
scenario,
are
presented
in
Appendix
E
(
Drinking
Water
Memo).
Surface
Water
The
results
of
FIRST
modeling
for
the
acute
and
chronic
surface
water
EECs
are
summarized
in
the
table
below.
The
acute
(
246
ppb)
and
chronic
(
100
ppb)
values
represent
the
peak
and
annual
average
concentrations
predicted
by
the
model.
These
values
generally
represent
upper
bound
estimates.
The
values
are
relatively
higher
than
the
two
similar
oxadiazon
detections
(
0.05
ug/
L)
in
Larue,
KY
reported
in
the
1997
surface
water
monitoring
data
of
the
STORET
system.
Therefore,
based
on
the
data
available,
EFED
conservatively
recommends
to
use
the
model
predicted
values
for
surface
derived
drinking
water
concentrations.
Table
3.
Estimated
Tier
I
concentrations
of
oxadiazon
in
drinking
water
Chemical
Surface
Water
(
ug/
L)
Groundwater
(
ug/
L)
Acute
Chronic
Acute
and
Chronic
Oxadiazon
246
100
0.6
Groundwater
As
shown
in
Table
3,
the
groundwater
concentration
estimated
from
SCIGROW
is
0.6
ppb
which
is
about
two
orders
of
magnitude
lower
than
those
of
surface
water.
This
concentration
may
be
used
for
both
acute
and
chronic
values.
The
low
concentration
is
consistent
with
both
laboratory
and
field
studies
that
indicate
the
low
mobility
of
oxadiazon,
and
subsequently,
its
reduced
potential
to
reach
groundwater.
21
CHAPTER
6:
AQUATIC
EXPOSURE
AND
RISK
ASSESSMENT
a.
Aquatic
(
Acute/
Chronic
Hazard
Summary)
Oxadiazon
is
considered
to
be
moderately
toxic
on
an
acute
basis
to
freshwater
fish
(
LC
50
=
0.88
1.2
ppm)
and
estuarine/
marine
fish
(
LC
50
=
1.5
ppm).
However,
chronic
NOAEC/
LOAEC
were
determined
for
freshwater
fish
at
0.88/
1.7
ppb
with
egg
hatchability
as
the
endpoint
effected.
Oxadiazon
has
the
potential
for
high
acute
toxicity
to
estuarine/
marine
invertebrates
(
EC
50
=
0.27
0.7
ppb)
but
appears
to
be
moderately
toxic
to
freshwater
invertebrates
(
LC
50
=
2.18
2.4
ppm).
Chronic
toxicity
to
freshwater
invertebrates
shows
reproductive
effects
(
mean
time
to
first
brood,
#
young/
adult/
reproductive
day,
survival,
growth)
with
a
NOAEC/
LOAEC
=
30.0/
35.0
ppb.
The
limited
data
on
plant
toxicity
shows
that
oxadiazon
is
toxic
to
non
vascular
aquatic
plants
(
marine
diatom
EC
50
=
5.2
ppb)
and
vascular
aquatic
plants
(
duckweed
EC
50
=
41
ppb).
b.
Risk
to
Aquatic
Organisms
(
Acute/
Chronic)
Tables
4
and
5
provide
acute
and
chronic
RQ
values
for
oxadiazon
exposure
to
freshwater
and
estuarine/
marine
species
relative
to
turf
use
patterns
(
application
rates
for
EC
at
2.0
4.0
lbs
ai/
A
and
4.0
lbs
ai/
A
for
granular).
Our
Tier
I
(
GENEEC)
risk
assessment
suggests
that
chronic
exposure
of
this
compound
can
result
in
significant
chronic
risk
to
freshwater
and
estuarine/
marine
fish
(
RQ
=
39.3
131.8)
and
aquatic
invertebrates
(
RQ
=
3.9
36.7).
Although
our
assessment
further
suggests
that
oxadiazon
acute
exposure
may
result
in
low
acute
risk
to
fish
(
RQ
=
0.1
0.2)
and
invertebrates
(
RQ
=
0.3
0.5),
there
is
uncertainty
regarding
the
potential
for
enhanced
risk
that
may
occur
through
phototoxicity.
Since
oxadiazon
is
a
light
dependent
peroxidizing
herbicide
(
LDPH),
enhanced
toxicity
through
exposure
to
high
levels
of
solar
radiation
is
a
possible
concern
regarding
aquatic
organisms
that
inhabit
small,
shallow
water
bodies.
Endangered
species
concerns
are
also
suggested
with
RQ
=
0.1.
Aquatic
plant
acute
high
risk
levels
of
concern
are
exceeded
(
Table
6
and
7)
for
both
vascular
and
nonvascular
plants.
The
exceedences
range
1
4
fold
for
vascular
plants
and
8.5
33
fold
for
non
vascular
plants.
The
acute
plant
high
risk
level
of
concern
is
exceeded
for
vascular
plants
with
an
exceedence
range
of
5.5
22
fold.
Currently,
EFED
does
not
perform
assessments
for
chronic
risk
to
aquatic
plants.
22
Table
4.
Acute
and
chronic
RQ's
for
evaluating
toxic
risk
of
oxadiazon
exposure
to
fish
(
freshwater
and
estuarine/
marine).
RQ's
are
based
on
the
bluegill
(
Lepomis
macrochirus)
LC50
=
0.88
ppm,
rainbow
trout
(
Oncorhynchus
mykiss)
NOAEC
=
0.00088
ppm
and
sheepshead
minnow
(
Cyprinodon
variegatus)
LC50
=
1.5
ppm.,
NOAEC
=
0.0015
ppm1.
EEC
values
are
generated
from
GENEEC
and
reflect
three
of
the
highest
proposed
EC
application
rates,
and
the
maximum
granular
use
rate
(
4.0,
3.0,
and
2.0
lbs
ai/
A,
2
applications
each;
4.0
lbs
ai/
A,
2
applications,
respectively)
for
turf
use.
Crop
App.
Rate
(
lbs
ai/
A;
#
App.)
Organism
LC50
(
ppm)
NOAEC
(
ppm)
EEC
Peak
(
ppm)
EEC
60
Day
Ave.
(
ppm)
Acute
RQ
(
EEC/
LC50)
Chronic
RQ
(
EEC/
NOAEC)
Turf
(
EC)
4.0
(
2)
Freshwater
0.88
0.00088
0.143
0.116
0.22
131.83
Estuarine/
Marine
1.5
0.00151
0.143
0.116
0.12
77.33
Turf
(
EC)
3
(
2)
Freshwater
0.88
0.00088
0.130
0.122
0.12
139.03
Estuarine/
Marine
1.5
0.00151
0.130
0.122
0.12
81.33
Turf
(
EC)
2
(
2)
Freshwater
0.88
0.00088
0.088
0.083
0.12
94.33
Estuarine/
Marine
1.5
0.00151
0.088
0.083
0.0
55.33
Turf
(
Granular)
4.0
(
2)
Freshwater
0.88
0.00088
0.122
0.099
0.12
112.53
Estuarine/
Marine
1.5
0.00151
0.122
0.099
0.12
66.03
1
Extrapolated
chronic
value
using
acute/
chronic
freshwater
toxicity
ratio
2
Acute
restrictive
use
(>
0.1),
acute
species
3
Chronic
concern
(>
1.0)
23
Table
5.
Acute
and
chronic
risk
RQ's
for
evaluating
toxic
risk
of
oxadiazon
exposure
to
aquatic
invertebrates
(
freshwater
and
estuarine
/
marine).
RQ's
are
based
on
Daphnia
(
Daphnia
magna)
EC50
=
2.18
ppm,
NOAEC
=
0.03
ppm
and
the
Mysid
shrimp
(
Americamysis
bahia)
EC50
=
0.27
ppm,
NOAEC
=
0.0037
ppm1.
EEC
values
are
generated
from
GENEEC
and
reflect
three
of
the
highest
proposed
EC
application
rates,
and
the
maximum
granular
use
rate
(
4.0,
3.0,
and
2.0
lbs
ai/
A,
2
applications
each;
4.0
lbs
ai/
A,
2
applications,
respectively)
for
turf
use.
Crop
App.
Rate
(
lbs
ai/
A)
#
App.
(
days)
Organism
EC50
(
ppm)
NOAEC
(
ppm)
EEC
Peak
(
ppm)
EEC
21
Day
Ave.
(
ppm)
Acute
RQ
(
EEC/
LC50)
Chronic
RQ
(
EEC/
NOAEC)
Turf
(
EC)
4.0
(
2)
Freshwater
2.18
0.03
0.143
0.136
0.12
4.51
Estuarine/
Marine
0.27
0.0037
0.143
0.136
0.52
36.71
Turf
(
EC)
3.0
(
2)
Freshwater
2.18
0.03
0.130
0.127
0.52
4.21
Estuarine/
Marine
0.27
0.0037
0.130
0.127
0.52
34.33
Turf
(
EC)
2.0
(
2)
Freshwater
2.18
0.03
0.088
0.086
0.0
2.93
Estuarine/
Marine
0.27
0.0037
0.088
0.086
0.32
23.23
Turf
(
Granular)
4.0
(
2)
Freshwater
2.18
0.03
0.122
0.116
0.0
3.91
Estuarine/
Marine
0.27
0.0037
0.122
0.116
0.42
31.31
1
Extrapolated
chronic
value
using
acute/
chronic
freshwater
toxicity
ratio
2
Acute
restrictive
use
(>
0.1)
3
Chronic
concern
(>
1.0)
24
Exposure
and
Risk
to
Aquatic
Plants
Exposure
to
nontarget
aquatic
plants
may
occur
through
runoff
or
spray
drift
from
adjacent
treated
sites.
An
aquatic
plant
risk
assessment
for
acute
high
risk
is
usually
made
for
aquatic
vascular
plants
from
the
surrogate
duckweed
Lemna
gibba.
Non
vascular
acute
high
aquatic
plant
risk
assessments
are
performed
using
either
algae
or
a
diatom,
whichever
is
the
most
sensitive
species.
Runoff
and
drift
exposure
are
computed
from
GENEEC2
and
the
risk
quotient
is
determined
by
dividing
the
pesticide's
initial
or
peak
concentration
in
water
by
the
plant
EC
50
value.
Acute
risk
quotients
for
vascular
and
non
vascular
plants
are
tabulated
in
Table
6.
Table
6.
Acute
Risk
Quotients
for
Aquatic
Plants
based
upon
a
duckweed
(
Lemna
gibba)
EC50
of
41
ppb
and
a
nonvascular
plant
(
marine
diatom)
EC50
of
5.2
ppb.
Turf/
Rate
of
Application
in
lbs
ai/
A
(
Number
of
Applications).
Species
EC50
(
ppm)
EEC
(
ppm)
Non
target
plant
RQ
(
EEC/
EC50)
4
(
1)
duckweed
0.041
0.173
4.2
4
(
1)
"
0.041
0.089
2.2
3
(
1)
"
0.041
0.067
1.6
2
(
1)
"
0.041
0.044
1.1
4
(
2)
diatom
0.0052
0.173
33.3
4
(
1)
"
0.0052
0.089
17.1
3
(
1)
"
0.0052
0.067
12.9
2
(
1)
"
0.0052
0.044
8.5
The
acute
high
risk
levels
of
concern
for
aquatic
plants
are
exceeded
for
both
vascular
and
nonvascular
plants.
The
exceedences
range
1
4
fold
for
vascular
plants
and
8.5
33
fold
for
non
vascular
plants.
Currently,
EFED
does
not
perform
assessments
for
chronic
risk
to
aquatic
plants.
25
Table
7.
Species
Risk
Quotients
on
turf
for
aquatic
plants
based
upon
a
duckweed
(
Lemna
gibba)
NOAEC
of
<
8
ppb.
Rate
of
Application
in
lbs
ai/
A
(
Number
of
Applications).
Species
EC50
(
ppm)
EEC
(
ppm)
Non
target
plant
RQ
(
EEC/
EC50)
4
(
2)
duckweed
0.008
0.173
21.6
4
(
1)
0.008
0.089
11.1
3
(
1)
0.008
0.067
8.4
2
(
1)
0.008
0.044
5.5
An
analysis
of
the
results
indicate
that
the
plant
acute
high
risk
level
of
concern
is
exceeded
for
vascular
plants
with
exceedences
ranging
5.5
22
fold.
26
CHAPTER
7:
TERRESTRIAL
EXPOSURE
AND
RISK
a.
Terrestrial
Hazard
Summary
The
available
toxicity
data
are
listed
in
Appendix
D.
Oxadiazon
appears
to
be
practically
non
toxic
to
avian
species
on
an
subacute
basis
(
Northern
Bobwhite
quail
and
mallard
duck
LC
50
>
5,000
ppm)
and
slightly
to
practically
non
toxic
to
birds
on
an
acute
basis
(
Bobwhite
quail
LD
50
>
2,150
mg/
kg;
mallard
LD
50
=
1,040
mg/
kg).
Chronic
testing
showed
no
reproductive
effects
at
500
ppm..
At
greater
than
1,000
ppm
mortality
was
noted
for
adult
females
(
Bobwhite
quail).
Mammalian
toxicity
data
suggest
that
this
compound
is
practically
non
toxic
to
small
mammals
on
an
acute
basis
(
rat
LD
50
>
5,000
mg/
kg).
Reproductive
effects
were
noted
at
>
200
ppm
that
resulted
in
inactive
mammary
tissue
and
fetal/
neonatal
death.
Acute
toxicity
studies
to
honey
bees
show
that
oxadiazon
was
practically
non
toxic
(
LD
50
>
25
ug/
bee).
b.
Risk
to
Avian
Species
(
Acute/
Chronic)
Table
8
provides
avian
acute
and
chronic
RQs
from
exposure
to
multiple
applications
of
oxadiazon
EC
to
turf
for
the
maximum
three
application
rates
(
4.0,
3.0
and
2.0
lbs
ai/
A)
and
two
split
applications
(
1.0
lb
ai/
A,
4
times/
6
months;
1.3
lbs
ai/
A,
3
times/
6
months).
The
maximum
three
applications
have
the
potential
for
chronic
exposure
to
birds
that
feed
on
plants
and
grass
(
e.
g.
ducks,
geese)
and
may
result
in
toxic
risk
to
these
birds
(
RQ
=
1.0
2.0).
The
split
application
appears
to
lower
this
chronic
exposure
and
risk
(
RQ
=
<
1).
Exposure
from
the
granular
formulation
was
evaluated
(
Appendix
F)
because
birds
may
be
exposed
to
granular
pesticides
through
ingestion
when
foraging
for
food
or
grit.
RQ
values
were
calculated
for
three
weight
classes
of
birds
(
1000g
waterfowl,
180g
upland
game
bird,
and
20g
songbird).
All
scenarios
for
the
granular
resulted
in
no
acute
risk
to
birds
(
RQ
<
1.5
2.0).
However,
the
potential
chronic
concern
noted
for
non
endangered
birds
suggest
that
oxadiazon
may
present
a
risk
to
endangered
species
(
RQ
>
0.1)
The
estimated
environmental
concentration
(
EEC)
values
used
for
foliar
terrestrial
exposure
are
derived
from
the
Kenega
nomograph,
as
modified
by
Fletcher
et
al.
(
1994),
based
on
a
large
set
of
actual
field
residue
data.
The
upper
limit
values
from
the
nomograph
represent
the
95th
percentile
of
residue
values
from
actual
field
measurements
(
Hoerger
and
Kenega,
1972).
The
Fletcher
et
al.,
(
1994)
modifications
to
the
Kenega
nomograph
are
based
on
measured
field
residues
from
249
publications,
including
information
on
118
species
of
plants,
121
pesticides,
and
17
chemical
classes.
These
modifications
represent
the
95th
percentile
of
the
expanded
data
set.
Risk
quotients
are
based
on
the
most
sensitive
LC
50
and
NOAEC
for
birds.
EFED
also
used
the
ELL
FATE
model
for
multiple
applications,
incorporating
the
appropriate
dissipation
half
life
to
generate
EECs.
Single
application
EECs
reflect
day
zero
maximum
Fletcher
residue
values
(
lbs
ai/
A
x
240;
110;
135;
15
ppm).
Current
EFED
policy
assumes
that
pesticide
dissipation
from
foliar
surfaces
is
primarily
due
to
degradation
or
dissipation
by
one
or
more
processes
including,
photolysis,
hydrolysis,
microbial
27
degradation
and
volatilization.
If
adequate
foliar
dissipation
data
are
not
available
then
a
half
life
not
to
exceed
35
days
will
be
used
in
the
EEC
calculations.
Table
8.
Avian
acute
and
chronic
risk
quotients
(
RQ's)
as
generated
through
ELL
FATE
for
broadcast
ground
spray
applications
for
oxadiazon.
RQ's
are
based
on
mallard
duck
LC50
>
5,000
ppm
and
NOAEC
=
500
ppm.
The
EEC
reflects
the
turf
use
with
the
three
highest
use
rate
(
4.0,
3.0
and
2.0
lbs
ai/
A,
2
applications)
and
two
split
applications
(
1.0
lb
ai/
A,
4
times/
6
months;
1.3
lbs
ai/
A,
3
times/
6
months).
Site
Application
Rate
lbs
ai/
A
(#
appl)
Food
Item
Maximum
EECs
(
ppm)
Acute
RQ
(
EEC/
LC50)
Chronic
RQ
(
Max.
EEC/
NOAEC)
Turf
(
EC)
4.0
(
2)
Short
grass
Tall
grass
Broadleaf
plants/
insects
Seeds
984.1
451.1
553.6
61.5
<
0.2
<
0.1
<
0.1
<
0.0
2.0
1.0
0.1
0.1
Turf
(
EC)
3.0
(
2)
Short
grass
Tall
grass
Broadleaf
plants/
insects
Seeds
739.6
339.0
416.0
46.2
<
0.1
0.0
<
0.1
0.0
1.5
1.0
1.0
0.1
Turf
(
EC)
2.0
(
2)
Short
grass
Tall
grass
Broadleaf
plants/
insects
Seeds
493.1
226.0
277.3
30.8
<
0.1
0.0
0.0
0.0
1.0
0.4
0.5
0.1
Turf
(
EC)
1.0
(
split
4
applications/
6
months)
Short
grass
Tall
grass
Broadleaf
plants/
insects
Seeds
424.4
194.5
238.7
26.5
<
0.1
0.0
0.0
0.0
1.0
0.4
0.5
0.1
Turf
(
EC)
1.3
(
split
3
applications/
6
months)
Short
grass
Tall
grass
Broadleaf
plants/
insects
Seeds
257.0
117.8
144.6
16.1
<
0.1
0.0
0.0
0.0
1.0
0.4
0.5
0.1
28
c.
Risk
to
Mammalians
(
Acute,
Chronic)
Our
assessment
(
Table
9
and
10)
suggests
that
the
proposed
use
rates
(
4.0,
3.0
and
2.0
lbs
ai/
A),
as
well
as
the
split
use
rates
(
1.0
and
1.3
lbs
ai/
A)
should
not
result
in
acute
risk
to
mammals
(
RQ
<
0.2).
However,
these
application
scenarios
can
result
in
significant
chronic
exposure
and
risk
to
mammalian
herbivores
and
insectivores
(
15g,
35g,
and
1000g)
with
RQ
values
ranging
from
1.5
9.9.
This
chronic
risk
to
non
endangered
mammalian
species
also
suggests
the
potential
for
impact
to
endangered
species.
Estimating
the
potential
for
adverse
effects
to
wild
mammals
is
based
upon
EFED's
draft
1995
SOP
of
mammalian
risk
assessments
and
methods
used
by
Hoerger
and
Kenaga
(
1972)
as
modified
by
Fletcher
et
al.,
(
1994).
The
concentration
of
oxadiazon
in
the
diet
is
expected
to
be
acutely
toxic
to
50%
of
the
test
organisms
is
determined
by
dividing
the
LD
50
value
(
usually
the
rat
LD
50
)
by
the
per
cent
body
weight
consumed.
A
risk
quotient
is
then
determined
by
dividing
the
EEC
by
the
acute
toxicity
value.
RQ
=
EEC
(
ppm)
LD
50
(
mg/
kg)/
%
Body
weight
consumed
RQ
values
are
calculated
for
four
different
kinds
of
food
(
short
grass,
tall
grass,
forage/
insects,
and
seeds)
that
are
expected
to
be
consumed
by
mammalian
herbivores,
insectivores,
and
granivores.
The
per
cent
body
weight
consumed
for
herbivores
and
insectivores
corresponding
to
the
three
weight
categories
(
15,
35,
and
1000
g)
is
assumed
to
be
95%,
66%,
and
15%,
respectively.
Granivores
are
expected
to
have
a
different
per
cent
body
weight
consumption
for
the
same
weight
categories
(
21%,
15%,
and
3%,
respectively).
Chronic
toxicity
values
were
based
on
the
NOAEC
from
a
rat
reproductive
study.
In
order
to
evaluate
chronic
concerns,
a
maximum
EEC
was
generated
through
the
ELL
FATE
model
that
takes
into
consideration
pesticide
half
life,
application
rate,
number
of
applications,
and
intervals
between
applications
(
first
order
kinetics
model).
In
order
to
evaluate
possible
toxic
risk
to
terrestrial
organisms,
three
application
rates
(
4.0,
3.0,
and
2.0
lbs
ai/
A,
at
2
applications/
6
months)
and
two
split
applications
(
1.0
lbs
ai/
A
applied
4
times/
6
month
and
1.3
lbs
ai/
A
applied
3
times/
6
month)
were
run.
Our
objective
was
to
find
not
only
the
highest
rate
that
may
cause
toxic
risk,
but
the
lowest
rate
that
might
result
in
lower
risk.
29
Table
9.
Mammalian
acute
risk
quotients
as
generated
through
ELL
FATE
for
ground
application
of
oxadiazon
(
EC).
RQ's
are
based
on
rat
(
Rattus
norvegicus)
LD50
>
5,000
mg/
kg,.
The
EEC
reflects
the
three
highest
use
rate
(
4.0,
3.0
and
2.0
lbs
ai/
A,
2
applications)
and
two
split
applications
(
1.0
lb
ai/
A,
4
times/
6
months;
1.3
lbs
ai/
A,
3
times/
6
months).
Crop
Application
Rate
lbs
ai/
A
(
#
of
applications)
Body
Wt.
(
g)
%
Body
Wt.
Consumed
Acute
RQ
Short
Grass
Acute
RQ
Forage
and
Small
Insects
Acute
RQ
Large
Insects
Acute
RQ
Seeds
Turf
(
EC)
4.0
(
2)
15
35
1000
95/
21
66/
15
15/
3
<
0.2
<
0.1
0.0
<
0.1
<
0.1
0.0
<
0.1
<
0.1
0.0
0.0
0.0
0.0
Turf
(
EC)
3.0
(
2)
15
35
1000
95/
21
66/
15
15/
3
<
0.1
<
0.1
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
Turf
(
EC)
2.0
(
2)
15
35
1000
95/
21
66/
15
15/
3
<
0.1
<
0.1
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
Turf
(
EC)
1.0
(
split
4
applications/
6
months)
15
35
1000
95/
21
66/
15
15/
3
<
0.1
<
0.1
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
Turf
(
EC)
1.3
(
split
3
applications/
6
months)
15
35
1000
95/
21
66/
15
15/
3
<
0.1
<
0.1
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
1
Acute
species
concerns
(>
0.1)
2
Acute
restricted
use
(>
0.2)
30
Table
10.
Mammalian
chronic
risk
quotients
as
generated
through
ELL
FATE
for
ground
application
of
oxadiazon
are
based
on
rat
(
Rattus
norvegicus)
NOAEC
=
100
ppm.
The
EEC
reflects
the
three
highest
use
rate
(
4.0,
3.0
and
2.0
lbs
ai/
A,
2
applications)
and
two
split
applications
(
1.0
lb
ai/
A,
4
times/
6
months;
1.3
lbs
ai/
A,
3
times/
6
months).
Crop
Application
Rate
lbs
ai/
A
(
#
of
applications)
Food
Items
Max.
EEC
(
ppm)
Chronic
RQ
(
Max.
EEC/
NOAEC)
Turf
(
EC)
4.0
(
2)
Short
Grass
Tall
Grass
Broadleaf
plant/
Insects
Seeds
986.1
452.0
554.7
61.6
9.91
4.51
5.51
1.01
Turf
(
EC)
3.0
(
2)
Short
Grass
Tall
Grass
Broadleaf
plant/
Insects
Seeds
739.6
339.0
416.0
46.2
7.41
3.41
4.21
0.5
Turf
(
EC)
2.0
(
2)
Short
Grass
Tall
Grass
Broadleaf
plant/
Insects
Seeds
493.1
226.0
227.3
30.8
4.91
2.31
2.81
0.3
Turf
(
EC)
1.0
(
split
4
applications/
6
months)
Short
Grass
Tall
Grass
Broadleaf
plant/
Insects
Seeds
424.4
194.5
238.7
26.5
3.21
1.51
1.81
0.2
Turf
(
EC)
1.3
(
split
3
applications/
6
months)
Short
Grass
Tall
Grass
Broadleaf
plant/
Insects
Seeds
257.0
117.8
144.6
16.1
4.71
2.21
2.71
0.3
1
Chronic
risk
(
LOC
>
1)
d.
Risk
to
Non
target
Insects
EFED
does
not
do
risk
assessments
on
insects.
However,
it
appears
that
oxadiazon
exposure
to
honeybees
should
present
low
risk.
e.
Risk
to
Terrestrial
Plants
The
risk
assessment
of
oxadiazon
to
terrestrial
plants
and
aquatic
plants
(
vascular
and
nonvascular)
cannot
be
completed
because
of
an
inadequate
data
base.
It
should
be
noted
that
the
assessment
for
nonvascular
plants
provided
here
is
incomplete
in
that
the
assessment
is
based
on
a
supplemental
study
and
additional
nonvascular
plant
species
testing
is
being
recommended.
31
f.
Endocrine
Disruption
EPA
is
required
under
the
FFDCA,
as
amended
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
"
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate."
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
was
scientific
basis
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems,
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC's
recommendation
that
the
Program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
the
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
When
the
appropriate
screening
and
or
testing
protocols
being
considered
under
the
Agency's
Endocrine
Disruptor
Screening
Program
have
been
developed,
oxadiazon,
may
be
subjected
to
additional
screening
and
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
Issues
that
have
raised
this
concern
include
the
findings
from
fish
reproduction
effects
(
larval
and
embryo
survival,
egg
hatchability)
and
invertebrate
reproduction
effects
(
reduced
neonate
production)
also
suggest
endocrine
disruption.
32
CONCLUSIONS
The
Tier
I
GENEEC
calculated
RQ
values
for
the
use
of
oxadiazon
on
turf
suggests
that
chronic
exposure
of
this
compound
has
the
potential
for
toxic
risk
to
freshwater
and
estuarine/
marine
fish
(
RQ
=
39.3
131.8)
and
aquatic
invertebrates
(
RQ
=
3.9
36.7).
The
chronic
Level
of
Concern
(
LOC)
was
exceeded
by
up
to
132
fold
for
fish
and
37
fold
for
aquatic
invertebrates.
Although
our
initial
risk
assessment
suggests
that
acute
exposure
of
oxadiazon
to
aquatic
systems
should
result
in
relatively
lower
short
term
risk
to
non
endangered
fish
and
aquatic
invertebrates
(
RQ
=
0.1
0.5)
there
is
uncertainty
regarding
possible
risk
enhancement
through
phototoxicity.
Since
oxadiazon
is
a
light
dependent
peroxidizing
herbicide
(
LDPH),
enhanced
toxicity
through
exposure
to
high
levels
of
solar
radiation
is
a
possible
concern
regarding
aquatic
organisms
that
inhabit
small,
shallow
water
bodies.
Oxadiazon
is
also
a
lipophilic,
persistent
compound
that
can
be
absorbed
to
particulate
and
sediment.
This
combination
of
chemical/
physical
attributes
and
the
relatively
high
toxicity
profile
to
fish
and
invertebrates
suggest
concern
for
accumulation
in
the
sediments.
Since
sediments
can
act
as
a
repository
for
lipophilic
compounds,
there
can
be
direct
impact
to
aquatic
organisms
through
respiration,
ingestion,
dermal
contact,
and/
or
indirect
impact
through
alterations
of
the
food
chain.
The
herbicidal
properties
of
this
compound
also
suggest
toxicity
to
aquatic
plants
and
the
resulting
alteration
of
habitats.
Our
terrestrial
risk
assessment
for
the
oxadiazon
EC
use
on
turf
was
conducted
by
using
the
ELLFATE
model.
An
evaluation
of
EECs
generated
for
each
of
the
three
application
rates
(
4.0,
3.0,
and
2.0
lbs
ai/
A)
and
split
applications
(
1.0
and
1.3
lbs
ai/
A)
showed
that
oxadiazon
chronic
exposure
to
mammals
(
RQ
=
1.5
9.9)
has
the
potential
for
toxic
risk.
Chronic
risk
to
mammalians
can
be
upto
10
fold
greater
than
the
LOC
with
the
potential
to
impact
herbivores,
granivores
and
insectivores.
Relative
to
mammalian
effects,
chronic
risk
to
avian
species
(
RQ
=
1.0
2.0)
appears
lower
but
still
exceeds
EFEDs
LOC
(
RQ
=
1).
This
exposure
may
result
in
impact
to
herbivorous
birds
which
feed
on
grass,
broadleaf
plants,
etc.
Although
acute
exposure
of
this
compound
should
not
present
a
toxic
risk
to
non
endangered
avian
or
mammalian
species
(
RQ
<
0.1),
the
potential
for
chronic
risk
suggests
a
possible
endangered
avian
species
concern.
Exposure
from
the
granular
formulation
was
evaluated
(
Appendix
F)
because
birds
may
be
exposed
to
granular
pesticides
through
ingestion
when
foraging
for
food
or
grit.
RQ
values
were
calculated
for
three
weight
classes
of
birds
(
1000g
waterfowl,
180g
upland
game
bird,
and
20g
songbird).
The
maximum
use
rate
scenarios
for
the
granular
resulted
in
acute
risk
to
small
songbirds
(
RQ
=
1.5
2.0).
Since
oxadiazon
is
practically
non
toxic
to
the
honey
bee,
minimal
risk
to
these
organisms
is
anticipated.
However,
since
oxadiazon
is
a
herbicide,
risk
to
non
nontarget
aquatic
and
terrestrial
plants
can
be
anticipated.
RQ's
generated
for
Tier
I
testing
of
aquatic
plants
(
vascular
RQ
=
1.1
4.2
and
nonvascular
RQ
=
8.5
33.3)
show
the
potential
for
toxic
risk
to
aquatic
plants.
Although
there
does
not
appear
to
be
an
acute
risk
to
endangered
birds
and
mammals
there
may
be
chronic
concerns
as
reflected
in
the
two
fold
LOC
exceedences
for
non
endangered
terrestrial
animals.
Therefore,
our
assessment
suggests
that
endangered
terrestrial
species
(
birds,
mammals,
and
terrestrial
plants)
may
be
at
risk.
Aquatic
studies
that
showed
fish
reproduction
effects
(
larval
and
embryo
survival,
egg
hatchability)
and
invertebrate
reproduction
effects
(
reduced
neonate
production)
suggest
that
oxadiazon
may
be
subject
to
additional
screening
or
testing
to
better
characterize
effects
related
to
possible
endocrine
disruption.
33
APPENDIX
A:
REFERENCES
CITED
Supplemental
and
Core
Ecotoxicity
Studies
Cited
MRID
111806
Posner,
S.;
McGee,
G.;
Freeman,
L.
(
1971)
Acute
Toxicity
(
LD50)
in
Mallard
Ducks:
[
RP
17623
Technical
Assay
99.1]:
Experimental
Reference
No.
A
408.
(
Unpublished
study
received
Aug
23,
1972
under
359
658;
prepared
by
Biometric
Testing,
Inc.,
submitted
by
Rhone
Poulenc,
Inc.,
Monmouth
Junction,
NJ;
CDL:
003179
B)
MRID
111807
Posner,
S.;
McGee,
G.;
Freeman,
L.
(
1971)
Acute
Toxicity
(
LD50)
in
Bobwhite
Quail:
[
RP
17623
Technical
Assay
99.1]:
Experimental
Reference
No.
A
408.
(
Unpublished
study
received
Aug
23,
1972
under
359
658;
prepared
by
Biometric
Testing,
Inc.,
submitted
by
Rhone
Poulenc,
Inc.,
Monmouth
Junction,
NJ;
CDL:
003179
C)
MRID
112622
Posner,
S.;
McGee,
G.;
Freeman,
L.
(
1971)
Acute
Toxicity
(
LD50)
in
Bobwhite
Quail:
Experimental
Reference
No.
A
408.
(
Unpublished
study
received
Oct
14,
1972
under
2F1269;
prepared
by
Biometric
Testing,
Inc.,
submitted
by
Rhodia,
Inc.,
New
Brunswick,
NJ;
CDL:
091824
D)
MRID
41610101
Pedersen,
C.
(
1990)
Oxadiazon
Technical:
21
Day
Acute
Oral
LD50
Study
in
Bobwhite
Quail:
Lab
Project
Number:
BLAL/
NO/
89
QD
139.
Unpublished
study
prepared
by
Bio
Life
Associates,
Ltd.
35
p.
MRID
41610102
Pedersen,
C.
(
1990)
Oxadiazon
Technical:
8
Day
Acute
Dietary
LC50
Study
in
Bobwhite
Quail:
Lab
Project
Number:
BLAL/
NO/
89
QC
141.
Unpublished
study
prepared
by
Bio
Life
Associates,
Ltd.
82
p.
MRID
41610103
Pedersen,
C.
(
1990)
Oxadiazon
Technical:
8
Day
Acute
Dietary
LC50
Study
in
Mallard
Ducklings:
Lab
Project
Number:
BLAL/
NO/
89
DC
137.
Unpublished
study
prepared
by
Bio
Life
Associates,
Ltd.
80
p.
MRID
41610105
Giddings,
J.
(
1990)
Oxadiazon
Technical
Toxicity
to
the
Marine
Diatom
Skeletonema
costatum:
Lab
Project
Number:
90
7
3384:
10566
1089
6137
450.
Unpublished
study
prepared
by
Springborn
Laboratories,
Inc.
55
p.
MRID
41610106
Giddings,
J.
(
1990)
Oxadiazinon
Technical
Toxicity
to
the
Freshwater
Diatom
Navicula
pelliculosa:
Lab
Project
Number:
90
8
3423;
10566
1089
6137
440.
Unpublished
study
prepared
by
Springborn
Laboratories,
Inc.
52
p.
MRID
41610108
Giddings,
J.
(
1990)
Oxadiazon
Technical
Toxicity
to
the
Freshwater
Green
Alga
Selenastrum
capricornutum:
Amended
Report:
Lab
Project
Number:
90
8
3422;
10566.1089.6137.437.
Unpublished
study
prepared
by
Springborn
Laboratories,
Inc.
52
p.
34
MRID
41610107
Giddings,
J.
(
1990)
Oxadiazon
Technical
Toxicity
to
the
Duckweed
Lemma
gibba
G3:
Final
Report:
Lab
Project
Number:
90
7
3389;
10566.1089.6137.410.
Unpublished
study
prepared
by
Springborn
Laboratories,
Inc.
48
p.
MRID
41784301
Blakemore,
G.;
Burgess,
D.
(
1991)
Chronic
Toxicity
of
Oxadiazon
Technical
to
Daphnia
magna
under
Flow
thru
Conditions:
Final
Reort:
Lab
Project
Number:
38369.
Unpublished
study
prepared
by
Analytical
Bio
Chemistry
Labs.,
Inc.
349
p.
MRID
41898001
Hoberg,
J.
(
1991)
Oxadiazon
Technical
Determination
of
Effects
on
Seed
Germination,
Seedling
Emergence
and
Vegetative
Vigor
of
Ten
Plant
Species:
Final
Report:
Lab
Project
Number:
90
11
3547:
10566
0790
6165
610.
Unpublished
study
prepared
by
Springborn
Laboratories,
Inc.
164
p.
MRID
41993201
Fletcher,
D.;
Pedersen,
C.
(
1991)
Oxadiazon
Technical:
Toxicity
and
Reproduction
Study
in
Mallard
Ducks:
Lab
Project
Number:
89
DR
35.
Unpublished
study
prepared
by
Bio
Life
Associates,
Ltd.
138
p.
MRID
41993202
Fletcher,
D.;
Pedersen,
C.
(
1991)
Oxadiazon
Technical:
Toxicity
and
Reproduction
Study
in
Bobwhite
Quail:
Lab
Project
Number:
89
QR
39.
Unpublished
study
prepared
by
Bio
Life
Associates,
Ltd.
145
p.
MRID
42330401
Sword,
M.;
Northup,
R.
(
1992)
Acute
Flow
Through
Toxicity
of
Oxadiazon
to
Rainbow
Trout
(
Oncorhynchus
mykiss):
Lab
Project
Number:
39729.
Unpublished
study
prepared
by
ABC
Laboratories,
Inc.
211
p.
MRID
42331801
Blasberg,
J.;
Bowman,
J.
(
1992)
Acute
Toxicity
of
Oxadiazon
to
Daphnia
magna
under
Flow
through
Conditions:
Amended
Final
Report:
Lab
Project
Number:
39730.
Unpublished
study
prepared
by
ABC
Labs,
Inc.
254
p.
MRID
42350601
Sword,
M.;
Northup,
R.
(
1992)
Acute
Flow
through
Toxicity
of
Oxadiazon
to
Bluegill
(
Lepomis
macrochirus):
Final
Report:
Lab
Project
Number:
39728.
Unpublished
study
prepared
by
ABC
Labs.,
Inc.
194
p.
MRID
42468301
Beevers,
M.
(
1992)
Acute
Contact
Toxicity
of
Oxadiazon
Technical
to
Honey
Bees
(
Apis
mellifera
L.):
Lab
Project
Number:
CAR
160
92.
Unpublished
study
prepared
by
California
Agricultural
Research,
Inc.
14
p.
42570301
Dionne,
E.
(
1992)
Oxadiazon
Technical
Acute
Toxicity
to
Eastern
Oyster
(
Crassostrea
virginica)
under
Flow
through
Conditions:
Final
Report:
Lab
Project
Number:
92
7
4329:
10566.0392.6238.504.
Unpublished
study
prepared
by
Springborn
Labs,
Inc.
63
p.
MRID
42615801
Machado,
M.
(
1992)
Oxadiazon
Technical
Acute
Toxicity
to
Sheepshead
Minnow
(
Cyprinodon
variegatus)
under
Flow
through
Conditions:
Final
Report:
Lab
Project
Number:
92
8
4383
10566.0392.6237.505.
Unpublished
study
prepared
by
Springborn
Labs,
Inc.
66
p.
MRID
42615802
Machado,
M.
(
1992)
Oxadiazon
Technical
Acute
Toxicity
to
Mysid
Shrimp
(
Mysidopsis
35
bahia)
under
Flow
through
Conditions:
Final
Report:
Lab
Project
Number:
92
7
4348:
10566.0392.6236.515.
Unpublished
study
prepared
by
Springborn
Labs,
Inc.
65
p.
MRID
42659001
Mihaich,
E.
(
1993)
Response
to
EPA
Review
of
Oxadiazon
Anabaena
flos
aquae
Study
(
MRID
41610104)
and
Selenastrum
caprocornutum
(
sic)
Study
(
MRID
41610108):
Lab
Project
No.
NS/
EMM
93
03.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
and
Springborn
Labs.,
Inc.
10
p.
MRID
42921601
Rhodes,
J.
(
1993)
Early
Life
Stage
Toxicity
of
Oxadiazon
Technical
to
the
Fathead
Minnow
(
Pimephales
promelas)
Under
Flow
Through
Conditions:
Lab
Project
Number:
40024.
Unpublished
study
prepared
by
ABC
Labs.
Inc.,
Environmental
Toxicology.
432
p.
Literature
Citation,
Ecotoxicity
Study
Guardigli,
A,
et.
al.,
"
Residue
Uptake
and
Depletion
Measurements
of
Dietary
Oxadiazon
in
Mammalian
and
Avian
Species."
Archives
of
Environmental
Contamination
and
Toxicology
Vol.
4,
145
154
(
1976)
Supplemental
and
Core
Environmental
Fate
Studies
Cited
(
MRID#
42226701;
DP
Barcode
D192825)
Armstrong,
K.,
B.
D.
Cameron,
S.
A.
Chapleo,
B.
E.
Hall,
and
A.
Haswell.
1991.
Oxadiazon:
Bioaccumulation
test
in
bluegill
sunfish.
IRI
Project
No.
381195;
Report
No.
8385.
Unpublished
study
performed
by
Inversk
Research
International,
Tranent,
Scotland,
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
Manley,
J.
D.,
I.
A.
J.
Hardy,
and
E.
A.
Savage.
1992.
Herbicides:
Oxadiazon
spectroscopic
investigation
of
metabolites
from
a
[
14C]
oxadiazon
bioaccumulation
test
in
bluegill
sunfish.
IRI
Project
No.
381195.
Unpublished
study
performed
by
Rhône
Poulenc
Agriculture
Limited,
Ongar,
United
Kingdom,
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
No
Study
ID)
(
MRID#
41898201;
DP
Barcode
D165559)
Das,
Y.
T.
1991.
Photodegradation
of
[
Phenyl(
U)
14C]
Oxadiazon
on
Soil
under
Artificial
Sunlight.
Unpublished
study
performed
by
Innovative
Scientific
Services,
Inc.
Piscataway,
N.
J.,
and
sponsored
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
MRID#
41897201;
DP
Barcode
D192825)
Corgier,
M.
M.
C.,
and
A.
P.
Plewa.
1991.
14Coxadiazon
photodegradation
in
aqueous
solution.
Study
No.
90
29.
Filing
Reference
AG/
CRLD/
AN/
9115609.
Unpublished
study
performed
by
Rhône
Poulenc
Secteur
Agro,
Lyon,
France,
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
MRID#
41863603;
DP
Barcode
D165559)
Corgier,
M.
M.
C.,
and
Robin,
J.
M.
1991.
14COxadiazon
Hydrolysis
at
25
C.
Unpublished
study
performed
by
Rhône
Poulenc,
Lyon,
France,
and
submitted
by
Rhône
Poulenc,
Research
Triangle
Park,
NC
(
MRID#
41898202,
DP
Barcode
D165559)
Dykes,
J.
1991.
Soil
Adsorption/
Desorption
with
14C
36
Oxadiazon.
An
unpublished
study
performed
by
Analytical
Bio
Chemistry
Laboratories,
Inc.,
Columbia,
MO,
nad
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
MRID#
41767401;
DP
Barcode
D192825)
Norris,
F.
A.
1991.
A
terrestrial
field
soil
dissipation
study
with
oxadiazon.
Study
No.
EC/
P
89
0014.
File
No.
40642.
Unpublished
study
performed
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
MRID#
41889501;
DP
Barcode
D165559)
Priestley,
D.
B.,
Lowden,
P.,
and
Savage,
E.
A.
1991.
Oxadiazon
14C:
Leaching
Study
with
Four
Soils.
Unpublished
study
performed
by
Rhône
Poulenc
Agriculture
Limited,
Essex,
England,
and
submitted
by
Rhône
Poulenc
Ag
Company,
Research
Triangle
Park,
NC
(
MRID#
42772801;
DP
Barcode
D192825)
Waring,
A.
R.
1993a.
[
14C]
Oxadiazon:
Aerobic
soil
metabolism.
HUK
Study
No.
68/
111;
Report
No.
7218.
Unpublished
study
performed
by
Hazleton
UK,
Harrogate,
North
Yorkshire,
England,
and
submitted
by
Rhône
Poulenc
Agriculture
Company,
Research
Triangle
Park,
NC
(
MRID#
42773802;
DP
Barcode
D192825)
Waring,
A.
R.
1993b.
[
14C]
Oxadiazon:
Anaerobic
aquatic
metabolism.
HUK
Study
No.
68/
112;
Report
No.
7214.
Unpublished
study
performed
by
Hazleton
UK,
Harrogate,
North
Yorkshire,
England,
and
submitted
by
Rhône
Poulenc
Agriculture
Company,
Research
Triangle
Park,
NC
Supplemental
HED
Study,
for
Environmental
Fate
Use
MRID#
44995501
Howell,
C.,
and
Wedekind,
W.
1999.
"
Oxadiazon:
Determination
of
Transferable
Turf
Residues
on
Turf
Treated
with
CHIPCO
®
G."
An
unpublishded
study
sponsored
by
Rhône
Poulenc
Corporation,
NC,
and
performed
by
ABC
Laboratories,
Inc.,
MO,
Test
Guideline
875.2100,
ABC
Study
Number
44951.
MRID#
44995502
Howell,
C.
1999.
"
Oxadiazon:
Determination
of
Transferable
Turf
Residues
on
Turf
Treated
with
CHIPCO
®
RONSTAR
®
50WSP."
An
unpublishded
study
sponsored
by
Rhône
Poulenc
Ag
Company,
NC,
and
performed
by
ABC
Laboratories,
Inc.,
MO,
Test
Guideline
875.2100,
ABC
Study
Number
44952.
37
APPENDIX
B:
FATE
SUMMARIES
161
1
Hydrolysis
(
MRID#
41863603;
Core)
[
14C]
Oxadiazon
(
phenyl
ring
labeled),
at
0.48
mg/
L,
was
stable
in
pH
4,
5,
and
7
sterile
aqueous
buffered
solutions
incubated
in
the
dark
at
25
C
for
31
days.
At
pH
9,
oxadiazon
was
hydrolyzed
with
a
calculated
half
life
of
38
days.
Oxadiazon
averaged
93.64%
of
the
applied
at
5
days,
and
49.98%
at
31
days.
The
main
degradate
found
was
!
1
trimethyl
acetyl
2(
2,4
dichloro
5
isopropoxyphenyl)
hydrazine
(
RP26123),
which
increased
to
45%
of
the
applied
at
31
days.
All
other
metabolites
were
present
at
<
10%
of
the
applied.
161
2
Photodegradation
in
Water
(
MRID#
41897201;
Core)
[
14C]
oxadiazon
(
phenyl
ring
labeled),
at
0.5
mg/
L,
photodegraded
with
a
half
life
of
21.2
hours
(
or
the
equivalent
of
2.75
days
of
summer
sunlight
in
Florida)
in
pH
5
buffered
solutions
that
were
continuously
irradiated
with
a
xenon
arc
lamp
at
25
+
1
C
for
up
to
42
hours.
Oxadiazon
declined
from
an
average
of
98.68%
of
the
recovered
immediately
posttreatment,
to
42.46%
at
26
hours.
In
the
dark
controls,
no
degradation
was
observed
for
42
hours.
The
degradates
identified
were
RP36939
and
RP37084,
present
at
up
to
4.8%
and
11.5%
of
the
applied
radioactivity,
respectively.
Up
to
20
degradates
were
isolated,
present
at
<
8%
of
the
applied
radioactivity.
The
registrant
did
not
provide
the
chemical
names
for
RP36939
and
RP37084.
The
later
one
was
a
maximum
of
11.5%
of
the
applied
at
42
hours
(
last
test
interval),
when
the
level
of
oxadiazon
had
decreased
to
<
28%
of
the
applied.
It
is
not
likely
that
RP37084
would
be
formed
in
significantly
higher
quantities.
161
3
Photolysis
on
Soil
(
MRID#
41898201;
Core)
[
14C]
oxadiazon
(
phenyl
ring
labeled),
at
9.4
11.3
ppm,
degraded
slowly
with
a
calculated
half
life
of
165
days
on
a
sandy
loam
soil
irradiated
with
xenon
arc
lamp
intermitently
at
25
C.
There
was
no
significant
breakdown
of
the
parent
under
non
irradiated
conditions.
In
the
irradiated
samples,
oxadiazon
averaged
90.2%
of
the
applied
at
day
0
posttreatment,
and
averaged
86.6%
at
day
30.
In
the
dark
samples,
oxadiazon
averaged
90.2%
of
the
applied
at
day
0,
and
90.8%
at
day
30.
The
following
minor
degradates
were
observed
in
small
quantities.
!
2
tertiobutyl
4(
2,4
dichloro
5
hydroxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP25496),
and
!
3(
2,4
dichloro
5
methoxyphenyl)
5
tertiobutyl
1,3,4
4
oxadiazolin
2
one
(
RP17272).
38
161
4
Photodegradation
in
Air
(
Waived)
163
2
Laboratory
Volatility
(
Waived)
163
3
Field
Volatility
(
Waived)
All
three
data
requirements
were
waived,
based
on
the
relatively
low
vapor
pressure
(
1.0x10
6
mm
Hg)
and
Henry's
Law
Constant
(
calc.
4.51x10
7
Atm
·
m3/
mol)
of
oxadiazon.
EFED
believes
that
this
value
is
relatively
low
and
that
volatility
of
oxadiazon
may
not
be
an
important
route
of
dissipation
for
oxadiazon.
This
conclusion
is
further
confirmed
by
the
results
of
the
Aerobic
Soil
Metabolism
study
(
MRID#
42772801),
which
shows
only
a
small
fraction
of
the
applied
was
volatilized
after
1
year
(
see
below).
162
1
Aerobic
Soil
Metabolism
(
MRID#
42772801;
Core)
[
14C]
Oxadiazon
(
uniformly
ring
labeled)
degraded
slowly
in
sandy
loam
soil
that
was
incubated
aerobically
in
the
dark
at
about
25
C
and
approximately
75%
of
soil
water
capacity
at
0.33
bar
for
1
year.
The
registrant
calculated
initial
half
life
was
well
beyond
the
experimental
time
frame
(
t
½
=
841
days).
Oxadiazon
comprised
98.87
92.33%
of
the
applied
immediately
posttreatment
and
decreased
slowly
to
72.11
76.47%
of
the
applied
after
365
days.
Unextracted
[
14C]
residues,
and
volatilized
[
14C]
residues
comprised
4.82%
and
2.95%
of
the
applied
at
365
days,
respectively.
Five
degradates
were
identified:
!
3(
2,4
dichloro
5
methoxyphenyl)
5
tertiobutyl
1,3,4
4
oxadiazolin
2
one
(
RP17272)
!
2(
carboxy
2
propyl)
4(
2,4
dichloro
5
hydroxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP26471)
!
2
tertiobutyl
4(
2,4
dichloro
5
hydroxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP25496)
!
2(
2
carboxy
2
propyl)
4(
2,4
dichloro
5
isopropoxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP26449)
and
!
1
trimethylacetyl
2(
2,4
dichloro
5
isopropoxyphenyl)
hydrazine
(
RP26123).
These
degradates
were
present
at
concentrations
1.51%
of
the
applied
throughout
the
study.
Three
other
areas
of
radioactivity
were
isolated,
but
not
identified,
at
1%
of
the
applied.
162
3
Anaerobic
Aquatic
Metabolism
(
MRID#
42773802:
Supplemental)
[
14C]
Oxadiazon
(
uniformly
ring
labeled)
degraded
slowly
with
an
observed
half
life
of
approximately
1
year
in
anaerobic
(
flooded
plus
nitrogen
atmosphere)
sandy
loam
soil
that
was
incubated
in
the
dark
at
about
25
C
for
1
year;
oxadiazon
comprised
91.7
91.8%
of
the
applied
immediately
posttreatment
and
decreased
to
47.3
47.9%
of
the
applied
at
366
days.
At
366
days,
unextracted
[
14C]
residues
were
2.47%
of
the
applied
and
[
14C]
volatiles
totaled
0.02%
of
the
applied.
Five
degradates
were
identified:
!
2(
carboxy
2
propyl)
4(
2,4
dichloro
5
hydroxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP26471)
!
2
tertiobutyl
4(
2,4
dichloro
5
hydroxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP25496)
!
2(
2
carboxy
2
propyl)
4(
2,4
dichloro
5
isopropoxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP26449)
39
!
2,4
dichloroisopropoxybenzene
(
RP36227)
and
!
1
trimethylacetyl
2(
2,4
dichloro
5
isopropoxyphenyl)
hydrazine
(
RP26123).
All
the
degradates
were
present
at
concentrations
3.76%
of
the
applied
througout
the
experiments.
In
addition,
one
"
cluster"
of
[
14C]
residues
was
isolated
from
the
floodwater
at
a
maximum
of
18.2%
of
the
applied,
and
one
was
isolated
from
the
soil
at
a
maximum
of
20.8%
of
the
applied
at
181
day.
These
[
14C]
residues
were
not
further
characterized.
163
1
Mobility
in
Soil
(
MRID#
41889601;
Core)
[
14C]
Oxadiazon
(
phenyl
ring
labeled),
at
4
ppm
showed
a
low
mobility
in
soil
leaching
columns
containing
sand,
loam,
and
two
sandy
loam
soils.
The
material
was
either
freshly
applied
(
parent
pesticide),
or
applied
after
30
days
of
aerobic
incubation.
A
similar
profile
was
observed
in
the
aged
and
unaged
soil
columns.
The
majority
of
the
radioactivity
(
80.5%)
remained
in
the
upper
0
6
inches
of
the
36
inches
long
columns,
indicating
a
low
mobility
for
parent
oxadiazon
in
these
soil.
The
amount
of
radiaoctivity
recovered
from
the
leachate
was
small
(
0.2%).
Solvent
extracts
were
shown
to
contain
only
parent
compound.
The
total
recoveries
of
radioactivity
were
92.6
102.4%.
163
1
Mobility
Leaching
and
Adsorption/
Desorption
(
MRID#
41898202;
Supplemental)
Based
on
batch
equilibrium
studies,
at
nominal
concentrations
of
0.1
0.3
ppm
and
25
C,
[
14C]
Oxadiazon
demonstrated
slight
mobility
in
sand
and
sandy
loam,
and
low
mobility
in
a
clay
and
silt
loam.
The
Kd
and
Koc
constants
obtained
from
the
Freundlich
isotherms
were
as
follows:
Table
1.
Mobility
of
Oxadiazon
adsorption.
desorption
Soil
type
%
OC
Kd
Koc
Kd
Koc
silt
loam
1.2
16.91
1409
21.35
1779
clay
1.2
22.83
1903
51.72
4310
sandy
loam
0.4
11.39
2848
41.00
10250
sand
0.25
8.17
3268
10.34
4136
The
soil
treatment
included
grinding
in
a
grist
mill.
It
is
not
known
what
is
the
particle
size
distribution.
The
particle
size
of
the
soil
is
a
determinant
of
its
adsortivity.
A
cursory
revision
of
the
DER
for
this
study
indicates
that
1/
n
values
were
not
reported
for
any
soil
type.
40
164
1
Terrestrial
Field
Dissipation
(
MRID#
41767401;
Core)
Oxadiazon
slowly
dissipated
from
two
field
plots
located
in
San
Juan
Bautista,
California
(
sandy
loam
soil)
and
Clayton,
North
Carolina
(
loamy
sand)
and
planted
with
Junipers
and
Azaleas,
respectively.
The
plots
were
treated
with
oxadiazon
at
4.48
kg
ai/
ha
(
4.06
lb
ai/
A).
The
registrant
calculated
initial
half
life
of
oxadiazon
in
the
California
site
was
65
days,
and
40
days
in
the
North
Carolina
site.
The
dissipation
rate
was
near
zero
during
the
winter
season
in
both
locations.
Oxadiazon
appears
to
persist
over
time.
In
the
0
to
15
cm
soil
depth
of
the
California
site,
oxadiazon
was
1.80
3.60
ppm
immediately
posttreatment
and
decreased
to
0.08
0.18
ppm
at
12
16
months.
In
the
North
Carolina
site
oxadiazon
was
1.08
2.05
ppm
immediately
posttreatment
and
decreased
to
0.02
0.43
ppm
at
12
16
months.
In
the
15
to
30
cm
soil
depth
of
both
plots,
oxadiazon
was
0.12
ppm
through
2
months
and
0.01
ppm
thereafter.
Generally,
oxadiazon
residues
were
detected
only
in
the
upper
30
cm
of
the
soil,
with
occasional
small
detections
in
the
15
to
30
cm
soil
depth.
The
degradates
!
3(
2,4
Dichloro
5
methoxyphenyl)
5
tertiobutyl
1,3,4
4
oxadiazolin
2
one
(
RP
17272)
and
!
2(
2
Carboxy
2
propyl)
4(
2,4
dichloro
5
isopropoxyphenyl)
5
oxo
1,3,4
oxadiazolin
(
RP
26449)
were
each
present
at
<
0.02
ppm
in
the
0
to
15
cm
soil
depth,
and
were
not
detected
in
the
deeper
soil
layers.
Total
irrigation
plus
rainfall
during
the
study
period
was
14.03
cm
in
the
California
site,
and
20.03
cm
in
the
North
Carolina
site.
165
4
Bioaccumulation
in
Fish
(
MRID#
42226701;
Core)
Oxadiazon
residues
accumulated
in
bluegill
sunfish
continuously
exposed
to
8.8
ug/
L
of
oxadiazon,
with
average
bioconcentration
factors
of
368x
for
the
edible
tissues
(
muscle),
2239x
for
the
nonedible
tissues
(
viscera),
and
1111x
for
the
whole
fish.
Maximum
mean
[
14C]
residue
concentrations
were
4.26
ug/
g
for
the
edible
tissues,
26.83
ug/
g
for
the
nonedible
tissues,
and
11.94
ug/
g
for
whole
fish.
Steady
state
concentrations
were
observed
within
3
days
of
exposure.
Depuration
was
rapid,
with
an
observed
half
life
of
about
1
day;
by
day
3
of
the
depuration
period,
83%
of
the
accumulated
[
14C]
residues
had
been
eliminated
from
whole
fish,
and
by
day
14,
>
97%
were
eliminated.
Parent
[
14C]
oxadiazon
was
detected
only
once
in
the
fish
inedible
tissues
on
day
14;
three
degradates
were
identified
in
the
fish
samples:
!
5(
1
hydroxymethyl
1
methylethyl)
3(
2,4
dichloro
5
isopropoxyphenyl)
1,3,4
oxadiazol
2(
3H)
one
(
M8),
which
was
15.8
24.6%
of
the
[
14C]
residues
extracted
from
the
edible
fish;
!
An
ether
glucuronide
conjugate
of
M8
(
chemical
name
not
provided),
which
was
25.8
31.6%
of
the
[
14C]
residues
extracted
from
the
edible
fish;
and
!
5(
1
hydroxymethyl
1
methylethyl)
3(
2,4
dichloro
5
hydroxyphenyl)
1,3,4
oxadiazol
2(
3H)
one
(
M10),
which
was
8.5
13.4%
of
the
[
14C]
residues
extracted
from
the
edible
fish.
41
875.2100
Transferable
Oxadiazon
Residues
on
Turf
Treated
with
the
Product
in
the
Granular
Formulation
(
MRID#
44995501;
supplemental)
EFED
had
available
a
review
by
Versar,
Inc.,
a
contractor
for
HED
studies.
This
study
and
the
review
were
prepared
as
a
requirement
of
the
Health
Effects
Division.
Only
some
highlights
of
the
study
are
mentioned
here
for
information
only,
since
EFED
investigated
the
usefulness
of
the
study
for
modeling
purposes.
This
test
was
performed
with
the
granular
formulation
of
oxadiazon.
Samples
were
taken
with
cotton
cloth
sheets,
which
were
exposed
to
a
large
turf
area.
These
samples
were
taken
at
various
test
intervals,
starting
from
prior
to
application,
from
three
geographical
locations.
It
appears
that
the
registrant
did
not
intend
to
compare
the
actual
amount
of
oxadiazon
residues
present
on
and
in
turf,
compared
to
the
amount
present
in
the
cotton
cloth.
The
registrant
may
have
developed
that
information,
but
it
was
not
available
to
EFED
at
this
time.
The
reported
LOQ
was
25
µ
g/
sample,
while
the
LOD
was
not
provided.
Several
results
were
less
than
the
LOQ.
The
authors
intended
also
to
report
the
degradates
RP25496+
RP17272
(
together),
and
RP26449.
These
degradates,
however,
were
not
detected
in
any
sampling
interval
through
the
study.
Half
life
of
the
transferable
residues
may
be
around
2
7
days
for
the
granular
formulation.
By
no
means
that
would
definitely
mean
that
7
days
would
be
representative
of
the
half
life
of
oxadiazon
in
the
turf
because
there
is
no
evidence
that
the
methodology
used
was
in
some
way
quantitatively
measuring
the
total
levels
of
oxadiazon
in
the
foliage.
For
the
purpose
of
running
EFED
models,
this
study
can
only
be
regarded
at
best
as
supplemental.
875.2100
Transferable
Oxadiazon
Residues
on
Turf
Treated
with
the
Product
in
the
Liquid
Formulation
(
MRID#
44995502;
supplemental)
EFED
had
available
a
review
by
Versar,
Inc.,
a
contractor
for
HED
studies.
This
study
and
the
review
were
prepared
as
a
requirement
of
the
Health
Effects
Division.
Only
some
highlights
of
the
study
are
mentioned
here
for
information
only,
since
EFED
investigated
the
usefulness
of
the
study
for
modeling
purposes.
The
product
was
formulated
in
Wettable
Soluble
Packets
(
of
powder
containing
oxadiazon
at
about
2%
of
a.
i.).
The
product
was
applied
at
3
lb
a.
i./
A.
Samples
were
taken
in
triplicate
with
cotton
cloth
sheets,
which
were
exposed
to
a
large
turf
area.
These
samples
were
taken
at
various
test
intervals,
starting
from
prior
to
application,
from
two
geographical
locations.
Sampling
occurred
between
March
26
and
April
8,
1999.
It
appears
that
the
registrant
did
not
intend
to
compare
the
actual
amount
of
oxadiazon
residues
present
on
turf
and
in
turf,
compared
to
the
amount
present
in
the
cotton
cloth.
The
registrant
may
have
developed
that
information,
but
it
was
not
available
to
EFED
at
this
time.
42
The
reported
LOQ
was
25
µ
g/
sample,
while
the
LOD
was
not
provided.
Several
results
were
less
than
the
LOQ.
In
addition,
the
authors
intended
also
to
report
the
degradates
RP25496+
RP17272
(
together),
and
RP26449.
It
appears,
however,
that
these
degradates
were
not
detected
in
any
sampling
interval
through
the
study.
In
the
California
site,
the
data
was
very
variable,
and
it
was
judged
unreliable
by
the
authors
of
the
study.
The
review
does
not
offer
the
author's
detailed
rationale
with
respect
to
this
invalidation.
On
the
other
hand,
a
study
conducted
in
Georgia,
yielded
most
samples
at
>
LOQ,
although
the
range
of
the
actual
results
was
several
orders
of
magnitude
larger
than
range
of
the
fortified
samples.
Based
on
the
results
of
the
27
samples
available,
the
half
life
was
about
2.3
days,
with
a
correlation
coefficient
(
R2)
of
0.7.
By
no
means
that
would
definitely
mean
that
2
days
would
be
representative
of
the
half
life
of
oxadiazon
in
the
turf
because
there
is
no
evidence
that
the
methodology
used
was
in
some
way
quantitatively
measuring
the
total
levels
of
oxadiazon
in
the
foliage.
Furthermore,
out
of
two
studies
conducted
with
the
liquid
formulation,
only
one
produced
results
with
acceptable
concentrations
above
the
LOQ.
EFED
believes
that
for
the
purpose
of
running
EFED
models,
this
study
can
only
be
regarded
at
best
as
informative,
and,
for
the
safety
of
the
public,
the
default
value
of
35
days
should
be
used.
43
APPENDIX
C:
ECOLOGICAL
TOXICITY
DATA
Toxicity
testing
reported
in
this
section
is
not
representative
of
the
wide
diversity
of
terrestrial
and
aquatic
organisms
in
the
United
States.
Two
surrogate
bird
species,
the
bobwhite
quail
and
the
mallard
duck,
are
used
for
the
680
plus
species
of
birds
found
in
this
country.
For
mammals,
acute
studies
are
usually
limited
to
the
Norway
rat
or
the
house
mouse.
Reptiles
are
not
tested,
as
these
are
assumed
to
be
subject
to
similar
toxicological
effects
as
birds.
Of
approximately
100,000
species
of
insects,
spiders,
and
other
terrestrial
arthropods,
toxicity
tests
are
usually
required
only
for
the
honey
bee.
Only
two
surrogate
fish
species
(
rainbow
trout
and
bluegill
sunfish)
are
used
to
represent
the
over
2,000
species
of
freshwater
fish
found
in
this
country.
Amphibians
are
not
tested,
as
these
are
assumed
to
be
subject
to
similar
toxicological
effects
as
fish.
One
crustacean,
the
water
flea,
is
used
to
represent
all
freshwater
invertebrates.
Estuarine/
marine
animal
acute
toxicity
testing
is
usually
limited
to
a
crustacean,
a
mollusk,
and
a
fish.
Testing
on
aquatic
plants
is
limited
to
one
species
of
vascular
plant
(
duckweed)
and
four
species
of
algae
and
diatoms.
Toxicity
to
Terrestrial
Organisms
Birds,
Acute,
Subacute
and
Chronic
An
acute
oral
toxicity
study
using
the
technical
grade
of
the
active
ingredient
(
TGAI)
is
required
to
establish
the
toxicity
of
oxadiazon
to
birds.
The
avian
oral
LD
50
is
an
acute,
single
dose
laboratory
study
designed
to
estimate
the
quantity
of
toxicant
required
to
cause
50%
mortality
in
a
test
population
of
birds.
The
preferred
test
species
is
either
the
Mallard
Duck,
a
waterfowl,
or
Bobwhite
quail,
an
upland
gamebird.
The
TGAI
is
administered
by
oral
intubation
to
adult
birds,
and
the
results
are
expressed
as
LD
50
milligrams
(
mg)
active
ingredient
(
a.
i.)
per
kilogram
(
kg).
Toxicity
category
descriptions
are
as
follows:
If
the
LD50
is
less
than
10
mg
a.
i./
kg,
then
the
test
substance
is
very
highly
toxic.
If
the
LD50
is
10
to
50
mg
a.
i./
kg,
then
the
test
substance
is
highly
toxic.
If
the
LD50
is
51
to
500
mg
a.
i./
kg,
then
the
test
substance
is
moderately
toxic.
If
the
LD50
is
501
to
2,000
mg
a.
i./
kg,
then
the
test
substance
is
slightly
toxic.
If
the
LD50
is
greater
than
2,000
mg
a.
i./
kg,
then
the
test
substance
is
practically
nontoxic.
44
Study
results
are
in
the
table
below.
Table
C.
1.
Avian
Acute
Oral
Toxicity
Species
%
ai
LD50
(
mg/
kg)
Toxicity
Category
MRID/
Lab/
Year
Classification
Northern
Bobwhite
(
Colinus
virginianus)
99.1
6000
practically
nontoxic
111807
(
also
under
112622)
Biometric
Testing,
Inc.
1971
Supplemental1
Mallard
(
Anas
platyrhynchos)
99.1
1040
slightly
toxic
111806
Biometric
Testing,
Inc.
1971
Supplemental1
Northern
bobwhite
(
Colinus
virginianus)
97.49
>
2150
(
no
bird
mortality)
practically
nontoxic
41610101
Bio
Life
Associates,
Ltd
1990
Core
1
studies
are
scientifically
sound;
although
deemed
satisfactory
for
registration
of
oxadiazon
in
the
early
1970'
s,
EFED
required
a
new
study
in
1991under
Phase
IV
Reregistration.
Based
on
results
of
the
above
studies,
oxadiazon
may
be
categorized
slightly
to
practically
nontoxic
to
birds
on
an
acute
oral
basis.
The
guideline
71
1(
a
)
is
fulfilled
(
MRID
41610101).
Two
dietary
studies
using
the
TGAI
are
required
to
establish
the
toxicity
of
oxadiazon
to
birds.
These
avian
dietary
LC
50
tests,
using
the
Mallard
Duck
and
Bobwhite
Quail,
are
acute,
eight
day
dietary
laboratory
studies
designed
to
estimate
the
quantities
of
toxicant
required
to
cause
50%
mortality
in
the
two
respective
test
populations
of
birds.
The
TGAI
is
administered
by
mixture
to
juvenile
birds'
diets
for
five
days
followed
by
three
days
of
"
clean"
diet,
and
the
results
are
expressed
as
LC
50
parts
per
million
(
ppm)
active
ingredient
(
a.
i.)
in
the
diet.
Toxicity
category
descriptions
are
as
follows:
If
the
LC50
is
less
than
50
ppm
a.
i.,
then
the
test
substance
is
very
highly
toxic.
If
the
LC50
is
50
to
500
ppm
a.
i.,
then
the
test
substance
is
highly
toxic.
If
the
LC50
is
501
to
1,000
ppm
a.
i.,
then
the
test
substance
is
moderately
toxic.
If
the
LC50
is
1001
to
5,000
ppm
a.
i.,
then
the
test
substance
is
slightly
toxic.
If
the
LC50
is
greater
than
5,000
ppm
a.
i.,
then
the
test
substance
is
practically
nontoxic.
Study
results
are
tabulated
below.
Table
C.
2.
Avian
Subacute
Dietary
Toxicity
Species
%
ai
LC50
(
ppm)
Toxicity
Category
MRID/
Lab/
Year
Study
Classification
Bobwhite
Quail
(
Colinus
virginianus)
97.49
>
5,000
(
no
bird
mortality)
practically
nontoxic
41610102
Bio
Life
Associates,
Ltd
1990
Core
Mallard
Duck
(
Anas
platyrhynchos)
97.49
>
5000
(
no
bird
mortality)
practically
nontoxic
41610103
Bio
Life
Associates,
Ltd
1990
Core
45
Based
on
results
of
the
above
studies,
oxadiazon
may
be
characterized
practically
nontoxic
to
birds
on
a
subacute
basis.
The
guideline
71
2(
a)
for
bobwhite
(
MRID
41610102)
and
71
2(
b)
for
mallard
duck
(
MRID
41610103)
are
fulfilled.
Avian
reproduction
tests
are
designed
to
estimate
the
quantity
of
toxicant
required
to
adversely
affect
the
reproductive
capabilities
of
a
test
population
of
birds.
The
TGAI
is
administered
by
mixture
to
breeding
birds'
diets
throughout
their
breeding
cycle.
Test
birds
are
approaching
their
first
breeding
season
and,
generally,
are
18
to
23
weeks
old.
The
onset
of
the
exposure
period
is
at
least
10
weeks
prior
to
egg
laying.
Exposure
period
during
egg
laying
is
generally
10
weeks
with
a
withdrawal
period
of
three
additional
weeks
if
reduced
egg
laying
is
noted.
Results
are
expressed
as
No
Observed
Adverse
Effect
Concentration
(
NOAEC)
and
various
observable
effect
levels,
such
as
the
Lowest
Observable
Adverse
Effect
Concentration
(
LOAEC),
quantified
in
units
of
parts
per
million
of
active
ingredient
(
ppm)
in
the
diet.
Study
results
are
tabulated
below
.
Table
C.
3.
Avian
Chronic
Toxicity
Species/
Study
Duration
%
ai
NOAEC/
LOAEC
(
ppm)
LOAEC
Endpoints
MRID/
Lab/
Year
Classification
Mallard
Duck
(
Anas
platyrhynchos)
20
weeks
97.49
>
1000
(
highest
dose
tested)/
LOAEC
not
determined
not
determined
41993201
Bio
Life
Associates,
Ltd
1991
Supplemental1
Northern
Bobwhite
(
Colinus
virginianus)
21
weeks
97.49
500/
1000
mortality
among
adult
females
41993202
Bio
Life
Associates,
Ltd
1991
Core
1
study
was
classified
supplemental
because
a
NOAEC
was
not
established.
Based
on
the
results
of
the
Bobwhite
reproduction
study,
the
ingestion
of
oxadiazon
at
levels
up
to
1,000
ppm,
the
highest
dose
concentration
tested,
had
no
effect
on
any
reproductive
parameter
or
viability
of
F
1
the
offspring
(
reproductive
NOAEC
>
1000
ppm).
However,
mortality
among
females
at
that
level
was
quite
high
(
33%).
The
study
authors
stated
that
due
to
the
inconsistency
and
lack
of
dose
related
pathology
observations
in
birds
found
dead
or
sacrificed
at
study
termination,
the
pathology
observations
were
attrbuted
to
factors
other
than
the
test
substance.
EFED,
in
the
absence
of
information
on
the
cause
of
the
deaths,
considered
the
mortality
attributable
to
treatment.
The
chronic
NOAEC
was
set
at
500
ppm.
The
guideline
71
4(
a)
is
fulfilled
(
MRID
41993202).
The
avian
reproduction
study
using
mallard
resulted
in
a
NOAEC
greater
than
1000
ppm,
the
highest
dose
tested.
This
study
was
classified
supplemental
because
a
NOAEC
was
not
established.
Although
the
study
is
classified
supplemental,
it
does
not
have
to
be
repeated
because
(
1)
the
Bobwhite
was
more
sensitive
in
testing,
and
(
2)
the
highest
dose
tested
is
greater
than
the
highest
estimated
environmental
concentration
for
the
highest
application
rate
(
turf;
4
lb
ai/
A;
maximum
Fletcher
value
240
x
4
=
960
ppm).
The
guidelines
71
4(
a)
for
the
Bobwhite
(
MRID
41993202)
and
71
4(
b)
for
the
mallard
(
MRID
41993201)
are
considered
fulfilled.
46
Mammals,
Acute
and
Chronic
Wild
mammal
testing
is
required
on
a
case
by
case
basis,
depending
on
the
results
of
lower
tier
laboratory
mammalian
studies,
intended
use
pattern
and
pertinent
environmental
fate
characteristics.
In
most
cases,
rat
or
mouse
toxicity
values
obtained
from
the
Agency's
Health
Effects
Division
(
HED)
substitute
for
wild
mammal
testing.
The
acute
toxicity
values
below
were
taken
from
HED's
Tox
One
Liners.
Chronic
toxicity
information
was
obtained
from
the
Health
Effects
Division
Hazard
Identification
Assessment
Review
Committee
(
HIARC
report
HED
DOC.
NO.
014469;
February
8,
2001).
Table
C.
4.
Mammalian
Acute
Toxicity
Species
%
ai
Test
Type
LD50
(
mg/
kg)
Toxicity
Category)
MRID
laboratory
rat
(
Rattus
norvegicus)
97.5
oral
single
dose
>
5,000
(
combined
sexes)
practically
nontoxic
41866501
Table
C.
5.
Mammalian
Chronic
Toxicity
Species
%
ai
Test
Type
NOAEC/
LOAEC
(
ppm)
Affected
Endpoints
MRID
laboratory
rat
(
Rattus
norvegicus)
96.6
Three
generation
reproduction
study
(
feeding)
100/
200
Fewer
and
lighter
pups
at
birth
With
a
rat
LD50
>
5,000
mg
/
kg,
oxadiazon
may
be
characterized
practically
nontoxic
to
mammals
on
an
acute
oral
basis.
The
rat
reproduction
study
showed
a
NOAEC/
LOAEC
of
100/
200
ppm.
Chronic
effects
included
fewer
and
lighter
pups
at
birth.
Insect
Acute
Contact
A
honey
bee
acute
contact
study
using
the
TGAI
is
required
to
support
outdoor
uses.
The
acute
contact
LD
50,
using
the
honey
bee,
Apis
mellifera,
is
an
acute
contact,
single
dose
laboratory
study
designed
to
estimate
the
quantity
of
toxicant
required
to
cause
50%
mortality
in
a
test
population
of
bees.
The
TGAI
is
administered
by
one
of
two
methods:
whole
body
exposure
to
technical
pesticide
in
a
nontoxic
dust
diluent;
or,
topical
exposure
to
technical
pesticide
via
micro
applicator.
The
median
lethal
dose
(
LD
50)
is
expressed
in
micrograms
of
active
ingredient
per
bee
(
ug
a.
i./
bee).
Toxicity
category
descriptions
are
as
follows:
If
the
LD50
is
less
than
2
µ
g
a.
i./
bee,
then
the
test
substance
is
highly
toxic.
If
the
LD50
is
2
to
less
than
11
µ
g
a.
i./
bee,
then
the
test
substance
is
moderately
toxic.
If
the
LD50
is
11
µ
g
a.
i./
bee
or
greater,
then
the
test
substance
is
practically
nontoxic
47
Study
results
are
tabulated
below.
Table
C.
6.
Nontarget
Insect
Acute
Contact
Toxicity
Species
%
ai
LD50
(
g/
bee)
Toxicity
Category
MRID/
Lab/
Year
Study
Classification
Honey
bee
(
Apis
mellifera)
95.9
>
25
practically
nontoxic
42468301
California
Agricultural
Research
Inc.
1992
Core
The
LD
50
for
oxadiazon
is
greater
than
25
ug
per
bee,
characterizing
oxadiazon
practically
nontoxic
to
bees.
The
guideline
(
141
1)
is
fulfilled
(
MRID
42468301).
Insect
Residual
Contact
Honey
bee
toxicity
of
residues
on
foliage
study
is
required
on
an
end
use
product
for
any
pesticide
intended
for
outdoor
application
when
the
proposed
use
pattern
indicates
that
honey
bees
may
be
exposed
to
the
pesticide
and
when
the
formulation
contains
one
or
more
active
ingredients
having
an
acute
contact
honey
bee
LD
50
which
falls
in
the
moderately
toxic
or
highly
toxic
range.
Since
oxadiazon
is
practically
nontoxic
to
honey
bees
a
honey
bee
toxicity
of
residues
on
foliage
(
Guideline
141
2)
is
not
required.
Terrestrial
Plant
Testing
The
data
were
deemed
inadequate
for
determining
the
EC
25/
NOAEC
values
of
the
most
sensitive
species
(
Reference:
D166982;
1995
memo
to
SRRD
requesting
repeat
of
all
ten
species
due
to
very
poor
study
with
numerous
deficiencies
and
guideline
deviations).
To
date,
the
studies
have
not
been
submitted
to
EFED.
Aquatic
Organism
Toxicity
Toxicity
to
Freshwater
Organisms
Freshwater
Fish,
Acute
Two
freshwater
fish
toxicity
studies
using
the
TGAI
are
required
to
establish
the
toxicity
of
oxadiazon
to
fish.
The
preferred
test
species
are
rainbow
trout
(
a
coldwater
fish)
and
bluegill
sunfish
(
a
warmwater
fish).
Toxicity
category
descriptions
are
as
follows:
If
the
LC50
is
less
than
0.1
ppm
a.
i.,
then
the
test
substance
is
very
highly
toxic.
If
the
LC50
is
0.1
to
1.0
ppm
a.
i.,
then
the
test
substance
is
highly
toxic.
If
the
LC50
is
greater
than
1
and
up
through
10
ppm
a.
i.,
then
the
test
substance
is
moderately
toxic.
If
the
LC50
is
greater
than
10
and
up
through
100
ppm
a.
i.,
then
the
test
substance
is
slightly
toxic.
If
the
LC50
is
greater
than
100
ppm
a.
i.,
then
the
test
substance
is
practically
nontoxic.
48
Study
results
are
tabulated
below.
Table
C.
7.
Freshwater
Fish
96
hr
Acute
Toxicity
Species/
Flow
through
or
Static
%
ai
LC50
(
ppm)
Toxicity
Category
MRID
/
Lab/
Year
Study
Classification
Bluegill
sunfish
(
Lepomis
macrochirus)
/
static
97.4
0.88
(
nominal)
highly
toxic
McCann
/
1977
Supplemental1
Bluegill
sunfish
(
Lepomis
macrochirus
/
flow
through
95.9
1.2
(
measured)
moderately
toxic
42350601
ABC
Labs.,
Inc.
1992
Core
Rainbow
Trout
(
Oncorhynchus
mykiss)/
static
97.4
1.05
(
nominal)
moderately
toxic
McCann
/
1977
Supplemental1
Rainbow
Trout
(
Oncorhynchus
mykiss)
/
flow
through
95.9
1.2
(
measured)
moderately
toxic
42330401
ABC
Labs,
Inc.
1992
Core
1
EFED
considers
McCann
studies
as
scientifically
sound
and
useful
for
risk
assessment
purposes,
even
though
studies
do
not
follow
current
protocols
and
raw
data
are
not
available
for
verification
of
results.
Based
on
the
above
studies,
oxadiazon
may
be
characterized
moderately
to
highly
toxic
to
freshwater
warmwater
fish
on
an
acute
basis.
The
guideline
72
1(
a)
for
bluegill
is
fulfilled
(
MRID
42350601
and
McCann
study).
Oxadiazon
may
be
characterized
as
moderately
toxic
to
freshwater
coldwater
fish
on
an
acute
basis.
The
guideline
72
1(
c)
for
rainbow
trout
is
fulfilled
(
MRID
42350401
and
McCann
study).
Freshwater
Fish,
Chronic
A
freshwater
fish
early
life
stage
test
using
the
TGAI
is
required
for
oxadiazon
because
the
end
use
product
may
be
transported
to
water
from
the
intended
use
site,
and
an
acute
aquatic
toxicity
value
is
less
than
1
ppm.
Acceptable
freshwater
test
species
are
rainbow
trout,
brook
trout,
coho
salmon,
chinook,
bluegill,
brown
trout,
lake
trout,
northern
pike,
fathead
minnow,
white
sucker
and
channel
catfish.
The
fish
early
life
stage
is
a
laboratory
test
designed
to
estimate
the
quantity
of
toxicant
required
to
adversely
effect
the
reproductive
capabilities
of
a
test
population
of
fish.
The
TGAI
is
administered
into
water
containing
the
test
species,
providing
exposure
throughout
a
critical
life
stage,
and
the
results
are
expressed
as
a
No
Observed
Adverse
Effect
Concentration
(
NOAEC)
and
LOAEC
(
Lowest
Observed
Adverse
Effect
Concentration).
Testing
results
are
summarized
below.
49
Table
C.
8.
Freshwater
Fish
Chronic
Toxicity
Species/
Static
or
Flow
through
Study
Duration
%
ai
NOAEC/
LOAEC
(
ppb)/
(
measured/
nominal)
Endpoints
Affected
MRID/
Lab/
Year
Study
Classification
Rainbow
trout
(
Oncorhynchus
mykiss)
>
98%
Radiopurity
0.88/
1.7
(
measured)
egg
hatch
ability
41811601
Analytical
Biochemistry
Labs,
Inc.
1991
Supplemental1
Fathead
minnow
(
Pimephales
promelas)
/
flowthrough
48
days
>
98.5
Radiopurity
33
/
84
(
measured)
growth
(
length
of
fry)
42921601
Analytical
Biochemistry
Labs,
Inc.
1993
Core
1
individual
growth
data
were
not
included
in
report
and
were
requested
so
statistics
could
not
be
verified.
The
rainbow
trout
was
found
to
be
more
sensitive
than
the
fathead
minnow
in
fish
early
life
stage
testing.
The
study
results
of
the
rainbow
trout
study
could
not
be
verified,
because
individual
growth
data
were
not
included
in
the
report.
Although
this
information
was
requested
(
Reference:
D165510;
1/
13/
97
asking
for
raw
data,
and
also
informing
the
registrant
that
the
study
was
acceptable
for
use
in
a
risk
assessment),
the
information
has
not
been
submitted.
The
guideline
72
4(
a)
for
early
life
stage
fish
testing
is
fulfilled.
Freshwater
Invertebrates,
Acute
A
freshwater
aquatic
invertebrate
toxicity
test
using
the
TGAI
is
required
to
establish
the
toxicity
of
oxadiazon
to
aquatic
invertebrates.
The
preferred
test
organism
is
Daphnia
magna,
but
early
instar
amphipods,
stoneflies,
mayflies,
or
midges
may
also
be
used
Study
results
are
tabulated
below.
Table
C.
9.
Freshwater
Invertebrate
Acute
Toxicity
(
48
hour)
Species/
Static
or
Flowthrough
%
ai
EC50
(
ppm)/
(
nominal/
measured)
Toxicity
Category
MRID/
Lab/
Year
Study
Classification
Daphnid
(
Daphnia
magna)/
static
97.4
2.18
(
nominal)
moderately
toxic
McCann
/
1977
Supplemental1
Daphnid
(
Daphnia
magna)
/
flow
through
95.9
>
2.4
(
measured)
moderately
toxic
42331801
Analytical
biochemistry
Labs.,
Inc.
1992
Core
1
EFED
considers
McCann
studies
as
scientifically
sound
and
useful
for
risk
assessment
purposes.
Based
on
results
of
the
above
studies,
oxadiazon
may
be
categorized
moderately
toxic
to
freshwater
aquatic
invertebrates
on
an
acute
basis.
The
guideline
72
2(
a)
is
fulfilled
(
MRID
42331801
and
McCann
study).
50
Freshwater
Invertebrate,
Chronic
A
freshwater
aquatic
invertebrate
life
cycle
test
using
the
TGAI
is
required
because
the
end
use
product
is
expected
to
be
transported
to
water
from
the
intended
use
site,
and
an
aquatic
acute
LC
50
is
less
than
1.0
ppm.
The
preferred
test
species
is
Daphnia
magna.
Table
C.
10.
Freshwater
Invertebrate
Chronic
Species/
Static
or
Flowthrough
Duration
%
ai
NOAEC/
LOAEC
ppb
(
nominal/
measured)
Endpoints
Affected
MRID/
Lab/
Year
Study
Classification
Daphnid
(
Daphnia
magna)/
flow
through/
21
day
97.49
30
/
55
(
measured)
survival;
adult
mean
length;
mean
time
in
days
to
first
brood
and
young/
adult/
reproduction
day
41784301
Analytical
Biochemistry
Labs.,
1991
Core
Based
on
the
results
of
a
21
day
daphnid
chronic
test
survival
with
effects
on
adult
growth,
time
in
days
to
first
brood
and
number
of
young/
adult/
reproduction
day
at
a
LOAEL
of
55
ppb
,
the
NOAEC
is
30
ppb.
The
guideline
72
4(
b)
for
invertebrate
life
cycle
testing
is
fulfilled
(
MRID
41784301).
Toxicity
to
Estuarine
and
Marine
Organisms
Estuarine
and
Marine
Fish,
Acute
Acute
toxicity
testing
with
estuarine
and
marine
fish
using
the
TGAI
is
required
for
oxadiazon
because
the
end
use
product
may
reach
the
marine/
estuarine
environment.
The
preferred
test
organism
is
the
sheepshead
minnow.
Study
results
are
tabulated
below.
Table
C.
11.
Estuarine/
Marine
Fish
Acute
Toxicity
Species/
static
or
flowthrough
%
a.
i.
LC50)
ppm/
(
measured/
nominal)
Toxicity
Category
MRID/
Lab/
Year
Classification
Sheepshead
minnow/
(
Cyprinodon
variegatus)/
flowthrough
95.9
1.5
(
measured)
moderately
toxic
42615801
Springborn
Labs,
Inc.
1992
Core
Based
on
results
of
the
above
study,
oxadiazon
may
be
categorized
moderately
toxic
to
estuarine
fish
on
an
acute
basis.
The
guideline
72
3(
a)
is
fulfilled
(
MRID
42615801).
Estuarine
and
Marine
Fish,
Chronic
No
data
are
available.
51
Estuarine
and
Marine
Invertebrates,
Acute
Acute
toxicity
testing
with
estuarine/
marine
invertebrates
using
the
TGAI
is
required
for
oxadiazon
because
the
end
use
product
may
reach
the
marine/
estuarine
environment.
The
preferred
test
species
are
mysid
shrimp
and
eastern
oyster.
Study
results
are
tabulated
below.
Table
C.
12
.
Estuarine/
Marine
Invertebrate
Acute
Toxicity
Species/
Static
or
Flow
through
%
a.
i.
96
hour
EC50
(
ppm)/
(
measured/
nominal)
Toxicity
Category
MRID/
Lab/
Year
Study
Classification
Eastern
oyster
(
Crassostrea
virginica)/
flowthrough
(
shell
deposition)
95.9
0.7
(
measured)
highly
toxic
42570301
Springborn
1992
Supplemental1
Mysid
(
Americamysis
bahia)/
flowthrough
95.9
0.27
(
measured)
highly
toxic
42615802
Springborn
1992
Core
1
classified
supplemental
because
average
growth
in
controls
was
less
than
2
mm.
Based
on
the
results
of
the
above
studies,
oxadiazon
is
considered
to
be
highly
toxic
to
estuarine
invertebrates
on
an
acute
basis.
Although
the
oyster
study
is
classified
supplemental,
the
study
does
not
need
to
be
repeated,
since
the
mysid
was
the
more
sensitive
of
the
two
species,
and
will
be
used
for
risk
assessment
purposes
(
Reference:
D182582;
3/
16/
95).
The
guideline
72
3(
b)
for
the
oyster
is
considered
fulfilled
(
MRID.
42570301).
The
guideline
72
3(
c)
for
the
mysid
is
fulfilled
(
MRID
42615802).
Estuarine
and
Marine
Invertebrate,
Chronic
No
data
are
available.
The
guideline
72
4(
b)
for
the
estuarine/
marine
invertebrate
life
cycle
is
not
fulfilled.
Aquatic
Plants
Tier
I
or
Tier
II
aquatic
plant
growth
testing
using
the
TEP
is
required
for
fungicides.
The
recommendation
is
for
five
species:
freshwater
green
alga
(
Selenastrum
capricornutum),
duckweed
(
Lemna
gibba),
marine
diatom
(
Skeletonema
costatum),
blue
green
algae
(
Anabaena
flos
aquae),
and
a
freshwater
diatom.
Results
of
testing
with
the
TGAI
are
below.
52
Table
C.
13.
Nontarget
Aquatic
Plant
Toxicity
(
Tier
II)
Species/
duration
%
A.
I.
EC50/
NOAEC
(
ppb)
MRID
No.
Author/
year
Classification1
duckweed
(
Lemna
gibba)/
14
day
97.49
41
/
<
8
(
measured)
41610107
Springborn
Laboratories
Inc.
1990
Supplemental1
freshwater
green
algae
(
Selenastrum
capricornutum)
/
120
hrs.
97.49
8
/
5.6
(
measured)
41610108
Springborn
Laboratories
Inc.
1990
Core
marine
diatom
(
Skeletonema
costatum)/
120
hrs.
97.49
5.2
/
1.4
(
measured)
41610105
Springborn
Laboratories
Inc.
1990
Core
freshwaterr
diatom
(
Navicula
pelliculosa)/
120
hrs.
97.49
126
/
27
(
measured)
41610106
Springborn
Laboratories
Inc.
1990
Core
1
the
study
was
classified
supplemental
primarily
because
the
exposure
concentrations
used
in
the
test
were
too
high
to
establish
a
NOAEC.
2
study
deemed
invalid
because
EC50
not
established;
registrant
was
asked
to
repeat
study
(
Reference:
D188355;
4/
7/
95).
With
an
EC50
of
5.2
ppb,
the
marine
diatom
appears
to
be
the
most
sensitive
non
vascular
aquatic
plant
species
tested.
Guideline
123
2
(
Tier
II)
is
fulfilled
for
four
of
the
five
species
required
(
MRIDs
41610195
through
41610108).
Although
the
duckweed
study
was
classified
supplemental,
it
does
not
have
to
be
repeated
since
adequate
information
was
provided
for
risk
assessment
purposes
(
Reference:
D182582;
3/
16/
95).
A
data
gap
exists
for
freshwater
blue
green
algae
(
Anabaena
flos
aquae).
53
APPENDIX
D:
TERRESTRIAL
MODEL
RUNS
ELL
Fate
Version
1.2
July
19,
2001
Developed
by
Laurence
Libelo.
February,
1999
This
spreadsheet
based
model
calculates
the
decay
of
a
chemical
applied
to
foliar
surfaces
for
single
or
multiple
applications.
It
uses
the
same
principle
as
the
batch
code
models
FATE
and
TERREEC
for
calculating
terrestrial
estimates
exposure
(
TEEC)
concentrations
on
plant
surfaces
following
application.
A
first
order
decay
assumption
is
used
to
determine
the
concentration
at
each
day
after
initial
application
based
on
the
concentration
resulting
from
the
initial
and
additional
applications.
The
decay
is
calculated
by
from
the
first
order
rate
equation:
CT
=
Cie
kT
or
in
integrated
form:
ln
(
CT/
Ci)
=
kT
Where
CT
=
concentration
at
time
T
=
day
zero.
Ci
=
concentration,
in
parts
per
million
(
PPM)
present
initially
(
on
day
zero)
on
the
surfaces.
Ci
is
calculated
based
on
Kenaga
and
Fletcher
by
multiplying
the
Ci
is
calculated
based
on
the
Kanaga
nomogram
(
Hoerger
and
Kenaga,
(
1972)
as
modified
Fletcher
(
1994).
For
maximum
concentration
the
application
rate,
in
pounds
active
ingredient
per
acre,
is
multiplied
by
240
for
Short
Grass,
110
for
Tall
Grass,
and
135
for
Broad
leafed
plants/
insects
and
15
for
Seeds.
Additional
applications
are
converted
from
pounds
active
ingredient
per
acre
to
PPM
on
the
plant
surface
and
the
additional
mass
added
to
the
mass
of
the
chemical
still
present
on
the
surfaces
on
the
day
of
application.
k
=
degradation
rate
constant
determined
from
studies
of
hydrolysis,
photolysis,
microbial
degradation
etc.
Since
degradation
rate
is
generally
reported
in
terms
of
half
life
the
rate
constant
is
calculated
from
the
input
half
life
(
k
=
ln
2/
T1/
2)
instead
of
being
input
directly.
Choosing
which
processes
controls
the
degradation
rate
and
which
half
life
to
use
in
terrestrial
exposure
calculations
is
open
for
debate
and
should
be
done
by
a
qualified
scientist.
T
=
time,
in
days,
since
the
start
of
the
simulation.
The
initial
application
is
on
day
0.
The
simulation
is
hardwired
to
run
for
365
days.
The
program
calculates
concentration
on
each
type
of
surface
on
a
daily
interval
for
one
year.
54
The
maximum
concentration
during
the
year
and
the
average
concentration
during
the
first
56
days
are
calculated.
The
inputs
used
to
calculate
the
amount
of
the
chemical
present
are
in
highlighted
in
yellow
on
the
spread
sheet.
Outputs
are
in
blue.
The
inputs
required
are:
Application
Rate:
The
maximum
label
application
rate
(
in
pounds
ai/
acre)
Half
life:
The
degradation
half
life
for
the
dominate
process(
in
days)
Frequency
of
Application:
The
interval
between
repeated
applications,
from
the
label
(
in
days)
Maximum
#
Application
per
year:
From
the
label
The
calculated
concentrations
are
used
to
calculate
Avian
and
Mammalian
RQ
values.
The
maximum
calculated
concentration
is
divided
by
user
input
values
of
Chronic
No
Observable
Adverse
Effects
Level
and
acute
LC50
to
give
RQs
for
each
plant
type.
The
rat
LC
50
is
calculated
by
dividing
the
mammalian
LD
50
by
0.05
(
to
correct
for
actual
food
consumption)
For
15g,
35g
and
1000
g
mammals
the
RQ
values
are
calculated
by
dividing
the
maximum
concentration
for
each
surface
by
the
LD
50
or
NOAEL
corrected
for
consumption
(
0.95,
0.66
and
.15
body
wt.
for
herbivores
and
insectivores
and
0.21,
0.15
and
0.3
body
wt.
for
granivore)
The
number
of
days
that
the
input
value
of
Chronic
No
Observable
Adverse
Effects
Level
and
acute
LC50
are
exceeded
in
the
first
56
days
is
calculated
by
comparing
the
input
value
to
the
calculated
concentration.
A
graph
of
concentration
on
each
plant
surface
vs
time
is
plotted
and
a
"
level
of
concern"
line
can
be
added
at
a
user
specified
level.
The
maximum
single
application
which
can
be
applied
and
not
exceed
the
toxicity
input
values
if
calculated
by
dividing
the
input
value
by
the
Kenaga
maximum
concentration
for
Short
Grass
(
240).
55
Oxadiazon
Chemical
Name:
turf
Use
EC
Formulation
Inputs
lbs
a.
i./
acre
4
Application
Rate
days
35
Half
life
days
182
Frequency
of
Application
2
Maximum
#
Apps./
Year
Outputs
56
day
Average
Maximum
Concentration
Concentration
(
PPM)
(
PPM)
585.83
986.12
Short
Grass
#
days
268.51
451.97
Tall
Grass
Exceeded
329.53
554.69
Broadleaf
plants/
Insects
on
short
grass
36.61
61.63
Seeds
(
in
first
56)
0
5000
Acute
LC
50
(
ppm)
Avian
Max
Single
Application
33
500
Chronic
NOAEC
(
ppm)
which
does
NOT
exceed
20.833
Avian
Acute
Chronic
RQ
Acute
RQ
(
lb
a.
i.)
2.083
Avian
Chronic
(
Max.
res.
mult.
apps.)
1.97
0.20
Short
Grass
138.89
Mammalian
Acute
#
days
0.90
0.09
Tall
Grass
0.42
Mammalian
Chronic
Exceeded
1.11
0.11
Broadleaf
plants/
Insects
on
short
grass
0.12
0.01
Seeds
(
in
first
56)
100000
Rat
Calculated
LC
50
(
ppm)
0
5000
Acute
LD
50
(
mg/
kg)
Mammalian
56
100
Chronic
NOAEL
(
mg/
kg)
1000
g
mammal
35
g
mammal
15
g
mammal
Rat
Chronic
Rat
Acute
Dietary
Dietary
Acute
RQ
Acute
RQ
Acute
RQ
RQ
RQ
(
mult.
apps)
(
mult.
apps)
(
mult.
apps)
9.86
0.01
0.03
0.13
0.19
Short
Grass
4.52
0.00
0.01
0.06
0.09
Broadleaf
plants/
insects
5.55
0.01
0.02
0.07
0.11
Large
Insects
0.62
0.00
0.00
0.00
0.00
Seeds
(
granivore)
56
Oxadiazon
Chemical
Name:
turf
Use
EC
Formulation
Inputs
lbs
a.
i./
acre
3
Application
Rate
days
35
Half
life
days
182
Application
Interval
2
Maximum
#
Apps./
Year
Outputs
56
Day
Average
Maximum
Concentration
Concentration
(
PPM)
(
PPM)
439.37
739.59
Short
Grass
#
days
201.38
338.98
Tall
Grass
Exceeded
247.15
416.02
Broadleaf
plants/
Insects
on
short
grass
27.46
46.22
Seeds
(
in
first
56)
0
5000
Acute
LC50
(
ppm)
Avian
Max
Single
Application
19
500
Chronic
NOAEC
(
ppm)
which
does
NOT
exceed
20.833
Avain
Acute
Chronic
RQ
Acute
RQ
(
lb
a.
i.)
2.083
Avian
Chronic
(
Max.
res.
mult.
apps.)
1.48
0.15
Short
Grass
138.89
Mammalian
Acute
#
days
0.68
0.07
Tall
Grass
2.78
Mammalian
Chronic
Exceeded
0.83
0.08
Broadleaf
plants/
Insects
on
short
grass
0.09
0.01
Seeds
(
in
first
56)
100000
Rat
Calculated
LC
50
(
ppm)
0
5000
Acute
LD50
(
mg/
kg)
Mammalian
56
100
Chronic
NOAEL
(
mg/
kg)
1000
g
mammal
35
g
mammal
15
g
mammal
Rat
Chronic
Rat
Acute
Chronic
RQ
Chronic
RQ
Chronic
RQ
Dietary
Dietary
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
RQ
RQ
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
7.40
0.01
1.11
0.02
4.88
0.10
7.03
0.14
Short
Grass
3.39
0.00
0.51
0.01
2.24
0.04
3.22
0.06
Tall
Grass
4.16
0.00
0.62
0.01
2.75
0.05
3.95
0.08
Broadleaf
plants/
Insects
0.46
0.00
0.07
0.00
0.31
0.01
0.44
0.01
Seeds
57
Oxadiazon
Chemical
Name:
turf
Use
EC
Formulation
Inputs
lbs
a.
i./
acre
2
Application
Rate
days
35
Half
life
days
182
Application
Interval
2
Maximum
#
Apps./
Year
Outputs
56
Day
Average
Maximum
Concentration
Concentration
(
PPM)
(
PPM)
292.92
493.06
Short
Grass
#
days
134.25
225.99
Tall
Grass
Exceeded
164.77
277.35
Broadleaf
plants/
Insects
on
short
grass
18.31
30.82
Seeds
(
in
first
56)
0
5000
Acute
LC50
(
ppm)
Avian
Max
Single
Application
0
500
Chronic
NOAEC
(
ppm)
which
does
NOT
exceed
20.833
Avain
Acute
Chronic
RQ
Acute
RQ
(
lb
a.
i.)
2.083
Avian
Chronic
(
Max.
res.
mult.
apps.)
0.99
0.10
Short
Grass
138.89
Mammalian
Acute
#
days
0.45
0.05
Tall
Grass
2.78
Mammalian
Chronic
Exceeded
0.55
0.06
Broadleaf
plants/
Insects
on
short
grass
0.06
0.01
Seeds
(
in
first
56)
100000
Rat
Calculated
LC
50
(
ppm)
0
5000
Acute
LD50
(
mg/
kg)
Mammalian
56
100
Chronic
NOAEL
(
mg/
kg)
1000
g
mammal
35
g
mammal
15
g
mammal
Rat
Chronic
Rat
Acute
Chronic
RQ
Chronic
RQ
Chronic
RQ
Dietary
Dietary
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
RQ
RQ
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
4.93
0.00
0.74
0.01
3.25
0.07
4.68
0.09
Short
Grass
2.26
0.00
0.34
0.01
1.49
0.03
2.15
0.04
Tall
Grass
2.77
0.00
0.42
0.01
1.83
0.04
2.63
0.05
Broadleaf
plants/
Insects
0.31
0.00
0.05
0.00
0.20
0.00
0.29
0.01
Seeds
units
=
weeks
not
days
58
Oxadiazon
Chemical
Name:
turf
Use
EC
Formulation
Inputs
lbs
a.
i./
acre
1.33
Application
Rate
days
5
Half
life
days
8
Application
Interval
6
Maximum
#
Apps./
Year
Outputs
56
Day
Average
Maximum
Concentration
Concentration
(
PPM)
(
PPM)
257.05
475.72
Short
Grass
#
days
117.82
218.04
Tall
Grass
Exceeded
144.59
267.59
Broadleaf
plants/
Insects
on
short
grass
16.07
29.73
Seeds
(
in
first
56)
0
5000
Acute
LC
50
(
ppm)
Avian
Max
Single
Application
0
500
Chronic
NOAEC
(
ppm)
which
does
NOT
exceed
20.833
Avain
Acute
Chronic
RQ
Acute
RQ
(
lb
a.
i.)
2.083
Avian
Chronic
(
Max.
res.
mult.
apps.)
0.95
0.10
Short
Grass
138.89
Mammalian
Acute
#
days
0.44
0.04
Tall
Grass
2.78
Mammalian
Chronic
Exceeded
0.54
0.05
Broadleaf
plants/
Insects
on
short
grass
0.06
0.01
Seeds
(
in
first
56)
100000
Rat
Calculated
LC
50
(
ppm)
0
5000
Acute
LD
50
(
mg/
kg)
Mammalian
52
100
Chronic
NOAEL
(
mg/
kg)
1000
g
mammal
35
g
mammal
15
g
mammal
Rat
Chronic
Rat
Acute
Chronic
RQ
Chronic
RQ
Chronic
RQ
Dietary
Dietary
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
RQ
RQ
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
4.76
0.00
0.71
0.01
3.14
0.06
4.52
0.09
Short
Grass
2.18
0.00
0.33
0.01
1.44
0.03
2.07
0.04
Tall
Grass
2.68
0.00
0.40
0.01
1.77
0.04
2.54
0.05
Broadleaf
plants/
Insects
0.30
0.00
0.04
0.00
0.20
0.00
0.28
0.01
Seeds
units
=
weeks
not
days
59
Oxadiazon
Chemical
Name:
turf
Use
EC
Formulation
Inputs
lbs
a.
i./
acre
1
Application
Rate
days
5
Half
life
days
8
Application
Interval
8
Maximum
#
Apps./
Year
Outputs
56
Day
Average
Maximum
Concentration
Concentration
(
PPM)
(
PPM)
66.16
358.09
Short
Grass
#
days
30.32
164.13
Tall
Grass
Exceeded
37.21
201.43
Broadleaf
plants/
Insects
on
short
grass
4.13
19.95
Seeds
(
in
first
56)
0
5000
Acute
LC50
(
ppm)
Avian
Max
Single
Application
0
500
Chronic
NOAEC
(
ppm)
which
does
NOT
exceed
20.833
Avain
Acute
Chronic
RQ
Acute
RQ
(
lb
a.
i.)
2.083
Avian
Chronic
(
Max.
res.
mult.
apps.)
0.64
0.06
Short
Grass
138.89
Mammalian
Acute
#
days
0.29
0.03
Tall
Grass
2.78
Mammalian
Chronic
Exceeded
0.36
0.04
Broadleaf
plants/
Insects
on
short
grass
0.04
0.00
Seeds
(
in
first
56)
100000
Rat
Calculated
LC
50
(
ppm)
0
5000
Acute
LD50
(
mg/
kg)
Mammalian
16
100
Chronic
NOAEL
(
mg/
kg)
1000
g
mammal
35
g
mammal
15
g
mammal
Rat
Chronic
Rat
Acute
Chronic
RQ
Chronic
RQ
Chronic
RQ
Dietary
Dietary
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
(
Max.
res.
)
Acute
RQ
RQ
RQ
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
mult.
apps.)
(
mult.
apps)
3.19
0.00
0.48
0.01
2.11
0.04
3.03
0.06
Short
Grass
1.46
0.00
0.22
0.00
0.97
0.02
1.39
0.03
Tall
Grass
1.80
0.00
0.27
0.01
1.18
0.02
1.71
0.03
Broadleaf
plants/
Insects
0.20
0.00
0.03
0.00
0.13
0.00
0.19
0.00
Seeds
60
APPENDIX
E:
DRINKING
WATER
CONCENTRATIONS
The
Tier
I
Estimated
Environmental
Concentrations
were
calculated
using
the
computer
models
FIRST
(
surface
waters)
and
SCIGROW
(
ground
waters).
A
copy
from
the
electronic
document
generated
by
EFED
appears
next.
Drinking
Water
Memo:
U.
S.
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
DC
20460
.
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
May
8,
2001
DPBarcode:
D273599
PC
Code
109001
MEMORANDUM
SUBJECT:
Tier
I
Estimated
Environmental
Concentrations
of
Oxadiazon
FROM:
José
Luis
Meléndez,
Chemist
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
THROUGH:
Mah
T.
Shamim,
Ph.
D.,
Chief
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
TO:
Margaret
Rice,
Acting
Branch
Chief
Veronique
LaCapra,
CRM
and
Tom
Myers,
Team
Leader
Special
Review
and
Reregistration
Division
(
7508C)
This
memo
presents
the
Tier
I
Estimated
Environmental
Concentrations
(
EECs)
for
oxadiazon,
calculated
using
FIRST
(
surface
water)
and
SCIGROW
(
ground
water)
for
use
in
the
human
health
risk
assessment.
For
surface
water,
the
acute
(
peak)
value
is
246
ppb
and
the
annual
average
value
is
100
ppb.
The
groundwater
screening
concentration
is
0.6
ppb.
These
values
generally
represent
upper
bound
estimates
of
the
concentrations
that
might
be
found
in
surface
water
and
groundwater
due
to
the
use
of
oxadiazon
on
turf,
which
is
the
major
use
of
the
chemical.
Background
Information
on
FIRST:
FIRST
is
a
new
screening
model
designed
to
estimate
the
pesticide
concentrations
found
in
water
for
use
in
61
drinking
water
assessments.
It
provides
high
end
values
on
the
concentrations
that
might
be
found
in
a
small
drinking
water
reservoir
due
to
the
use
of
pesticide.
Like
GENEEC,
the
model
previously
used
for
Tier
I
screening
level,
FIRST
is
a
single
event
model
(
one
run
off
event),
but
can
account
for
spray
drift
from
multiple
applications.
FIRST
takes
into
consideration
the
so
called
Index
Drinking
Water
Reservoir
by
representing
a
larger
field
and
pond
than
the
standard
GENEEC
scenario.
The
FIRST
scenario
includes
a
427
acres
field
immediately
adjacent
to
a
13
acres
reservoir,
9
feet
deep,
with
continuous
flow
(
two
turnovers
per
year).
The
pond
receives
a
spray
drift
event
from
each
application
plus
one
runoff
event.
The
runoff
event
moves
a
maximum
of
8%
of
the
applied
pesticide
into
the
pond.
This
amount
can
be
reduced
due
to
degradation
on
field
and
the
effect
of
binding
to
soil.
Spray
drift
is
equal
to
6.4%
of
the
applied
concentration
from
the
ground
spray
application
and
16%
for
aerial
applications.
FIRST
also
makes
adjustments
for
the
percent
crop
area.
While
FIRST
assumes
that
the
entire
watershed
would
not
be
treated,
the
use
of
a
PCA
is
still
a
screen
because
it
represents
the
highest
percentage
of
crop
cover
of
any
large
watershed
in
the
US,
and
it
assumes
that
the
entire
crop
is
being
treated.
Various
other
conservative
assumptions
of
FIRST
include
the
use
of
a
small
drinking
water
reservoir
surrounded
by
a
runoffprone
watershed,
the
use
of
the
maximum
use
rate,
no
buffer
zone,
and
a
single
large
rainfall
Background
Information
on
SCIGROW:
SCIGROW
provides
a
groundwater
screening
exposure
value
to
be
used
in
determining
the
potential
risk
to
human
health
from
drinking
water
contaminated
with
the
pesticide.
Since
the
SCIGROW
concentrations
are
likely
to
be
approached
in
only
a
very
small
percentage
of
drinking
water
sources,
i.
e.,
highly
vulnerable
aquifers,
it
is
not
appropriate
to
use
SCIGROW
for
national
or
regional
exposure
estimates.
SCIGROW
estimates
likely
groundwater
concentrations
if
the
pesticide
is
used
at
the
maximum
allowable
rate
in
areas
where
groundwater
is
exceptionally
vulnerable
to
contamination.
In
most
cases,
a
large
majority
of
the
use
area
will
have
groundwater
that
is
less
vulnerable
to
contamination
than
the
areas
used
to
derive
the
SCIGROW
estimate.
Modeling
Inputs
and
Results:
Tables
1
and
2
summarize
the
input
values
used
in
the
model
runs
for
FIRST
1.0
and
SCIGROW,
respectively.
The
lowest
non
sand
K
D
was
used
in
FIRST
1.0.
The
median
K
OC
value
was
used
in
SCIGROW.
The
available
aerobic
soil
metabolism
half
life
for
oxadiazon
was
extremely
high.
For
FIRST,
stability
was
assumed,
while
the
extrapolated
value
of
841
days
was
used
in
SCIGROW.
The
modeling
results
associated
with
maximum
allowable
rate
per
year
(
4
lb
ai/
A
applied
twice
at
6
months
interval)
are
presented
in
Table
3.
Attached
to
this
memo
are
copies
of
the
original
printouts
generated
from
FIRST
and
SCIGROW
runs.
cc:
Nancy
McCarroll
(
HED)
62
Table
1.
Environmental
Fate
and
Other
Input
Parameters
for
the
Estimation
of
Oxadiazon
using
FIRST
Parameter
Value
Source
Water
Solubility
(
25
C)
1
ppm
One
Liner
Hydrolysis
Half
Life
(
pH
7)
stable
MRID
41863603
Aerobic
Soil
Metabolism
Half
Life
(
from
6
values)
essentially
stable
MRID
42772801
Aerobic
Aquatic
Metabolism
Half
life
not
available
N/
A
Aqueous
Photolysis
Half
Life
2.75
days
MRID
41897201
Soil/
Water
Partition
Coefficient
(
Lowest
non
sand
K
d)
16.9
MRID
41898202
Pesticide
is
Wetted
In
Yes
Labels
PCA
(
turf)
0.87
Default
Depth
of
Incorporation
(
Broadcast)
0.0
inch
Labels
Table
2.
Environmental
Fate
Input
Parameters
for
the
Estimation
of
Oxadiazon
using
SCIGROW.
Parameter
Value
Source
Organic
Carbon
Partition
Coefficient
(
median
K
OC)
2376
MRID
41898202
Aerobic
Soil
Metabolism
Half
Life
(
median)
841
days
MRID
42772801
Table
3.
Modeling
Results
for
Use
of
Oxadiazon
on
(
Turf)
Golf
Courses
Parameter
Value
Source
Application
Method
Ground
Spray
Labels
Application
Rate
4.0
lb
a.
i./
A
Registrant
Applications
Permitted
per
Year
2
Registrant***
Application
Interval
(
days)
182
Registrant
FIRST
1.0
Peak
Untreated
Water
Concentration
246
ppb
N/
A
FIRST
1.0
Annual
Average
Untreated
Water
Concentration
100
ppb
N/
A
SCIGROW
Ground
Water
Concentration
0.6
ppb
N/
A
***
The
Registrant
supports
multiple
applications,
at
lower
application
rates.
63
RESULTS
OBTAINED
USING
FIRST
RUN
No.
1
FOR
OXADIAZON
ON
Turf
(
Golf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
%
CROPPED
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
AREA
(
IN)
4.000(
8.000)
2
182
16.9
1.0
GROUND(
6.4)
87.0
.0
FIELD
AND
RESERVOIR
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
RESERVOIR)
(
RES.
EFF)
(
RESER.)
(
RESER.)
.00
0
N/
A
2.75
341.00
.00
341.00
UNTREATED
WATER
CONC
(
MICROGRAMS/
LITER
(
PPB))
Ver
1.0
MAY
1,
2001
PEAK
DAY
(
ACUTE)
ANNUAL
AVERAGE
(
CHRONIC)
CONCENTRATION
CONCENTRATION
246.388
100.013
RESULTS
OBTAINED
USING
SCIGROW
RUN
No.
1
FOR
OXADIAZON
INPUT
VALUES
APPL
(#/
AC)
APPL.
URATE
SOIL
SOIL
AEROBIC
RATE
NO.
(#/
AC/
YR)
KOC
METABOLISM
(
DAYS)
4.000
2
8.000
2376.0
841.0
GROUND
WATER
SCREENING
CONCENTRATIONS
IN
PPB
.592986
A=
836.000
B=
2381.000
C=
2.922
D=
3.377
RILP=
1.821
F=
1.130
G=
.074
URATE=
8.000
GWSC=
.592986
64
APPENDIX
F:
EXPOSURE
AND
RISK
CHARACTERIZATION
Risk
characterization
integrates
the
results
of
the
exposure
and
ecotoxicity
data
to
evaluate
the
likelihood
of
adverse
ecological
effects.
The
means
of
this
integration
is
called
the
quotient
method.
Risk
quotients
(
RQs)
are
calculated
by
dividing
exposure
estimates
by
acute
and
chronic
ecotoxicity
values:
RQ
=
exposure/
toxicity.
To
evaluate
the
potential
risk
to
aquatic
and
terrestrial
organisms
from
the
use
of
Oxadiazon,
risk
quotients
(
RQs)
are
calculated
from
the
ratio
of
estimated
environmental
concentrations
(
EECs)
to
ecotoxicity
values.
For
risk
assessments,
EFED
used
dosage
rate
information
obtained
from
SRRD
and
BEAD.
Since
most
of
the
use
is
on
golf
courses,
turf
was
chosen
to
represent
all
sites.
Terrestrial
and
aquatic
risk
assessments
were
based
on:
4
lb
ai/
A
liquid
and
granular
product
at
1
and
2
applications
per
year
with
a
six
month
reapplication
interval
2.4
lb
ai/
A
liquid
product
at
2
application
per
year
with
a
six
month
reapplication
interval
(
NOTE:
aquatic
risk
assessments
did
not
include
granular
formulations)
RQs
are
then
compared
to
levels
of
concern
(
LOC)
criteria
used
by
OPP
for
determining
potential
risk
to
nontarget
organisms
and
the
subsequent
need
for
possible
regulatory
action.
The
criteria
indicate
that
a
pesticide
used
as
directed
has
the
potential
to
cause
adverse
effects
on
nontarget
organisms.
LOCs
currently
address
the
following
risk
presumption
categories:
(
1)
acute
high
potential
for
acute
risk
is
high;
regulatory
action
may
be
warranted
in
addition
to
restricted
use
classification,
(
2)
acute
restricted
use
the
potential
for
acute
risk
is
high,
but
it
may
be
mitigated
through
restricted
use
classification,
(
3)
acute
species
the
potential
for
acute
risk
to
species
is
high,
and
regulatory
action
may
be
warranted,
and
(
4)
chronic
risk
the
potential
for
chronic
risk
is
high,
and
regulatory
action
may
be
warranted.
Currently,
EFED
does
not
perform
assessments
for
chronic
risk
to
plants,
acute
or
chronic
risks
to
nontarget
insects,
or
chronic
risk
from
granular/
bait
formulations
to
birds
or
mammals.
The
ecotoxicity
test
values
(
measurement
endpoints)
used
in
the
acute
and
chronic
risk
quotients
are
derived
from
required
studies.
Examples
of
ecotoxicity
values
derived
from
short
term
laboratory
studies
that
assess
acute
effects
are:
(
1)
LC
50
(
fish
and
birds),
(
2)
LD
50
(
birds
and
mammals),
(
3)
EC
50
(
aquatic
plants
and
aquatic
invertebrates)
and
(
4)
EC
25
(
terrestrial
plants).
Examples
of
toxicity
test
effect
levels
derived
from
long
term
laboratory
studies
that
assess
chronic
effects
are:
(
1)
LOAEC
(
birds,
fish,
and
aquatic
invertebrates)
and
(
2)
NOAEC
(
birds,
fish
and
aquatic
invertebrates).
Generally,
the
most
sensitive
species
tested
are
used.
The
NOAEC
is
used
as
the
ecotoxicity
test
value
in
assessing
chronic
effects
to
birds,
mammals,
fish,
and
aquatic
invertebrates.
Risk
presumptions
and
the
corresponding
RQs
and
LOCs,
are
tabulated
in
Table
1.
65
Table
1.
Risk
presumptions
for
terrestrial
organisms
Risk
Presumption
RQ
LOC
Birds
Acute
High
Risk
EEC1/
LC50
or
LD50/
sqft2
or
LD50/
day3
0.5
Acute
Restricted
Use
EEC/
LC50
or
LD50/
sqft
or
LD50/
day
(
or
LD50
<
50
mg/
kg)
0.2
Acute
Species
EEC/
LC50
or
LD50/
sqft
or
LD50/
day
0.1
Chronic
Risk
EEC/
NOAEC
1
Wild
Mammals
Acute
High
Risk
EEC/
LC50
or
LD50/
sqft
or
LD50/
day
0.5
Acute
Restricted
Use
EEC/
LC50
or
LD50/
sqft
or
LD50/
day
(
or
LD50
<
50
mg/
kg)
0.2
Acute
Species
EEC/
LC50
or
LD50/
sqft
or
LD50/
day
0.1
Chronic
Risk
EEC/
NOAEC
1
1
abbreviation
for
Estimated
Environmental
Concentration
(
ppm)
on
avian/
mammalian
food
items
2
mg/
ft2
3
mg
of
toxicant
consumed/
day
LD50
*
wt.
of
bird
LD50
*
wt.
of
bird
Risk
presumptions
for
aquatic
organisms
Risk
Presumption
RQ
LOC
Acute
High
Risk
EEC1/
LC50
or
EC50
0.5
Acute
Restricted
Use
EEC/
LC50
or
EC50
0.1
Acute
Species
EEC/
LC50
or
EC50
0.05
Chronic
Risk
EEC/
NOAEC
1
1
EEC
=
(
ppm
or
ppb)
in
water
66
Risk
presumptions
for
plants
Risk
Presumption
RQ
LOC
Plant
Inhabiting
Terrestrial
and
Semi
Aquatic
Areas
Acute
High
Risk
EEC1/
EC25
1
Acute
Species
EEC/
EC05
or
NOAEC
1
Aquatic
Plants
Acute
High
Risk
EEC2/
EC50
1
Acute
Species
EEC/
EC05
or
NOAEC
1
1
EEC
=
lbs
a.
i./
A
2
EEC
=
(
ppb
or
ppm)
in
water
67
Table
2.
Selection
of
Toxicological
Endpoints
Used
to
Determine
Risk
Quotients
(
RQs)
Type
Of
Toxicity
Organism
Species
Toxicological
Endpoint
Oral
Acute
Bird
Mallard
1040
mg/
kg
Dietary
Bobwhite/
Mallard
>
5000
ppm
Chronic
Bobwhite
500
ppm
1
Oral
Acute
Mammal
Rat
>
5000
mg/
kg
Chronic
Rat
100
ppm
2
Acute
Freshwater
Fish
Rainbow
trout/
Bluegill
0.88
ppm
Chronic
Rainbow
trout
0.88
ppb
3
Acute
Freshwater
Invertebrates
Daphnid
2.18
ppm
Chronic
Daphnid
0.03
ppm
Acute
Estuarine
Fish
Sheepshead
Minnow
1.5
ppm
Chronic
Sheepshead
Minnow
0.0015
ppm4
Acute
Estuarine
Invertebrates
Mysid
0.27
ppm
Chronic
Mysid
0.0037
ppm4
Acute
Aquatic
Plants
(
vascular)
Aquatic
Plants
(
Nonvascular)
duckweed
marine
diatom
EC50
=
41
ppb;
NOAEC
=
<
8
ppb
EC50
=
5.2
ppb
1
No
effects
on
any
reproductive
parameter
or
viability
of
of
F1
offspring
at
the
highest
dose
tested,
1000
ppm;
however
due
to
excessive
mortality
(
33%)
of
adult
female
birds
in
that
dose
level,
a
NOAEC
for
chronic
effects
was
set
at
500
ppm.
2
Based
on
LOAEL
of
>
38
mg/
kg/
day
for
inactive
mammary
tissue
and
fetal/
pup
death
observed
in
the
one
year
range
finding
test
of
a
rat
reproduction
study.
NOAEC
>
100
ppm.
3
Rainbow
trout
was
more
sensitive
than
the
fathead
minnow
(
fathead
minnow
NOAEC=
33
ppb).
4
Extrapolation
from
acute/
chronic
ratio.
68
Table
6.
Environmental
Fate
Input
Parameters
for
GENEEC
2.0.
Chemical
Oxadiazon
PC
Code
109001
Water
Solubility
(
25
C)
1
ppm
Hydrolysis
Half
Life
(
pH
7)
stable
Aerobic
Soil
Metabolism
Half
Life
stable
Aerobic
Aquatic
Metabolism
Half
life
not
available
Photolysis
Half
Life
2.75
days
Soil/
Water
Equilibrium
Partition
Coefficient
(
Kd)
16.91
Depth
of
Incorporation
(
Broadcast)
0.0
in.
Wetted
In
Yes
Table
7.
Modeling
Results
for
Use
on
Turf
Ground
spray1
granular
Application
Rate
2.0
3.0
4.0
4.0
4.0
Application
Frequency
1
1
1
2
2
Application
Interval
(
days)
N/
A
N/
A
182
182
182
GENEEC
2.0
Peak
EEC
44
67
89
173
150
21
Day
EEC
43
65
87
170
147
60
Day
EEC
42
63
84
163
142
3.
Low
boom
ground
sprayer
with
fine
spray
quality
(
EFED
defaults),
no
buffer
(
no
spray
zone).
69
APPENDIX
G:
ENVIRONMENTAL
FATE
AND
ECOLOGICAL
EFFECTS
DATA
REQUIREMENTS
Table
of
Data
Requirements
of
Ecological
Effects
for
Oxadiazon
Guideline
#
Data
Requirement
Is
Data
Requirement
Satisfied?
MRID
#'
s
Study
Classification
71
1
850.2100
Avian
Oral
LD50
yes
41610101
core
71
2
850.2200
Avian
Dietary
LC50
yes
41610102
41610103
core
core
71
4
850.2300
Avian
Reproduction
yes
41993201
41993202
supplemental
core
72
1
850.1075
Freshwater
Fish
LC50
yes
42350601
42330401
core
core
72
2
850.1010
Freshwater
Invertebrate
Acute
LC50
yes
41784301
core
72
3(
a)
850.1075
Estuarine/
Marine
Fish
LC50
yes
42615801
core
72
3(
b)
850.1025
Estuarine/
Marine
Mollusk
EC50
yes
42570301
core
72
3(
c)
850.1035
850.1045
Estuarine/
Marine
Shrimp
EC50
yes
42615802
core
72
4(
a)
850.1400
Estuarine
Fish
Early
Life
Stage
no
72
4(
b)
850.1300
850.1350
Estuarine/
Marine
Invertebrate
Life
Cycle
no
72
5
850.1500
Freshwater
Fish
Full
Life
Cycle
na
122
1(
a)
850.4100
Seed
Germ./
Seedling
Emergence
no
122
1(
b)
850.4150
Vegetative
Vigor
no
70
122
2
850.4400
Aquatic
Plant
Growth
partially
123
1(
a)
850.4225
Seed
Germ./
Seedling
Emergence
no
123
1(
b)
850.4250
Vegetative
Vigor
no
123
2
850.4400
Aquatic
Plant
Growth
partially
5
41610105
41610106
41610106
41610108
core
141
1
850.3020
Honey
Bee
Acute
Contact
LD50
yes
4268301
core
141
2
850.3030
Honey
Bee
Residue
on
Foliage
not
required
70
1
Acute
and
Chronic
Sediment
Toxicity
Testing
no6
70
1
Aquatic
Phototoxicity
Studies
no
1
Although
the
mallard
study
was
supplemental
since
a
NOAEC
was
not
established,
the
study
does
not
have
to
be
repeated;
the
bobwhite
was
more
sensitive
and
was
used
for
risk
assessment
purposes.
2
Early
life
stage
fish
testing
with
an
estuarine
species
is
required.
The
raw
data
for
the
rainbow
trout
study
MRID
41811601
must
be
submitted.
This
information
was
requested
in
1997
under
D165510.
4
The
rates
used
should
be
low
enough
to
elicit
an
NOAEC
or
allow
for
accurate
estimation
of
the
EC05
for
all
measured
parameters.
The
measured
endpoints
should
include:
shoot
length,
root
length
and/
or
height,
and
a
phytotoxic
rating
of
the
visible
effects.
Testing
must
be
conducted
with
a
liquid
typical
end
use
product,
rather
than
technical
product,
due
to
the
insolubility
of
the
material
and
since
historically,
plant
species
have
been
found
to
be
more
sensitive
to
the
end
use
product,
than
technical.
Concentrations
must
be
measured,
and
results
must
be
based
on
measured
concentrations.
The
nominal
concentrations
used
in
statistical
analyses
most
likely
did
not
represent
actual
exposure.
This
information
was
requested
in
1995
under
D166982.
5
A
freshwater
blue
green
algae
(
Anabaena
flos
aquae)
is
required;
the
study
submitted
(
MRID
41610104)
was
invalid.
6
The
high
KOC
of
oxadiazon,
combined
with
the
high
persistance
exhibited
in
the
aerobic
soil
metabolism,
as
well
as
the
anaerobic
aquatic
metabolism
(>>
10
days)
trigger
the
requirement
of
a
Chronic
Sediment
Toxicity
Testing
with
both
Hyalella
azteca
and
Chironomus
tentans.
2
Waived
due
to
the
relatively
low
vapor
pressure
for
oxadiazon
(
1.00x10
6
mm
Hg).
3Satisfied
by
submission
of
an
Anaerobic
Aquatic
Metabolism
study.
71
Table
of
Data
Requirements
of
Environmental
Effects
for
Oxadiazon
Guideline
#
Data
Requirement
Is
Data
Requirement
Satisfied?
MRID
#'
s
Study
Classificatio
n
161
1
835.2120
Hydrolysis
Yes
41863603
acceptable
161
2
835.2240
Photodegradation
in
Water
Yes
41897201
acceptable
161
3
835.2410
Photodegradation
on
Soil
Yes
41898201
acceptable
161
4
835.2370
Photodegradation
in
Air
waived2
N/
A
N/
A
162
1
835.4100
Aerobic
Soil
Metabolism
Yes
42772801
acceptable
162
2
835.4200
Anaerobic
Soil
Metabolism
Yes3
NA
N/
A
162
3
835.4400
Anaerobic
Aquatic
Metabolism
Yes
42773802
supplemental
162
4
835.4300
Aerobic
Aquatic
Metabolism
not
required
N/
A
N/
A
163
1
835.1240
835.1230
Leaching
Adsorption/
Desorption
Yes
44555608
,
41898202
acceptable,
supplemental
163
2
835.1410
Laboratory
Volatility
waived1
N/
A
N/
A
163
3
835.8100
Field
Volatility
waived1
N/
A
N/
A
164
1
835.6100
Terrestrial
Field
Dissipation
Yes
41767401
acceptable
164
2
835.6200
Aquatic
Field
Dissipation
not
required
N/
A
N/
A
164
3
835.6300
Forestry
Dissipation
not
required
N/
A
N/
A
72
164
4
835.6400
Combination
Products
and
Tank
Mixes
Dissipation
not
required
N/
A
N/
A
165
4
850.1730
Accumulation
in
Fish
Yes
42226701
acceptable
165
5
850.1950
Accumulation
aquatic
non
target
not
required
N/
A
N/
A
166
1
835.7100
Ground
Water
small
prospective
not
required
N/
A
N/
A
201
1
840.1100
Droplet
Size
Spectrum
reserved
N/
A
N/
A
202
1
840.1200
Drift
Field
Evaluation
reserved
N/
A
N/
A
73
APPENDIX
H:
QUALITATIVE
USE
ASSESSMENT
Case
No.:
2485
PC
Code:
109001
Date:
01
10
01
Analyst:
Stephen
Smearman
Oxadiazon
is
a
selective
preemergence
and
early
post
emergence
herbicide
used
primarily
to
control
annual
grasses
and
broadleaf
weeds.
The
tradename
for
Oxadiazon
in
the
US
is
Ronstar
(
formerly
Chipco
Ronstar)
and
formulations
are
available
as
emulsifiable
concentrates,
granules,
flowable
and
wetable
powders.
Based
upon
the
available
EPA
data
and
other
pesticide
usage
survey
information
for
Oxadiazon
on
all
sites
for
the
years
1989
through
1999,
an
annual
estimate
of
Oxadiazon's
total
usage
on
all
sites
averaged
249,000
pounds
of
active
ingredient
(
a.
i.)
on
an
average
of
52,000
acres
treated
over
the
last
10
years.
Most
of
the
acreage
is
treated
with
up
to
2.4
pounds
of
a.
i.
per
acre
owing
most
of
the
usage
applies
to
golf
courses
which
based
on
reported
usage
has
higher
application
rates
than
other
uses.
Oxadiazon's
largest
markets
in
terms
of
total
pounds
of
active
ingredient
is
allocated
to
golf
courses
(
65%).
The
remaining
usage
is
primarily
for
horticultural/
nursery
uses
and
on
processed
tomatoes
(
22%).
Other
reported
uses
include
potatoes
and
barley
which
accounts
for
an
respective
1.5%
and
less
than
1%
of
the
total
pounds
a.
i.
annually.
However,
there
are
no
tolerances
nor
labeled
uses
for
these
site
and
therefore
should
not
be
considered
during
risk
assessment.
However,
there
is
international
reported
use
of
Oxadiazon
on
rice
in
China
and
on
cotton
in
Mexico
and
Sudan.
Additional
estimates
of
total
acres
grown
and
total
acres
treated
for
the
non
crop
sites
of
road
right
of
ways
(
ROW),
landscape
maintenance,
horticultural/
nursery
and
park
uses
are
not
currently
available
although
there
is
estimates
of
pounds
of
a.
i.
applied.
The
following
table
illustrates
the
usage
of
Oxadiazon.
74
USAGE
OF
OXADIAZON
Site
Acres
Grown
(
000)
Acres
Treated
(
000)
%
of
Crop
Treated
LB
AI
Applied
(
000)
Average
Application
Rate
Wtd
Avg
Est
Max
Wtd
Avg
Est
Max
Wtd
Avg
Est
Max
lb
ai/
acre/
yr
#
appl
/
yr
lb
ai/
A/
appl
*
Potatoes
1,373
2
4
0%
0%
4
8
2.0
1.0
2.0
*
Barley
7,326
0
1
0%
0%
0
1
1.0
1.0
1.0
Lots/
Farmsteads/
etc
56,000
1
3
0%
0%
1
4
1.3
1.0
1.3
Golf
Courses
1,618
49
98
3%
6%
160
235
2.4
1.0
2.4
Landscape
Mainten
12
24
3.0
Rights
of
Way
5
10
Parks
11
22
Horticultural
Nurseries
56
112
4.0
Total
51.915
106
249.03
416
COLUMN
HEADINGS
Wtd
Avg
=
Weighted
average
the
most
recent
years
and
more
reliable
data
are
weighted
more
heavily.
Est
Max
=
Estimated
maximum,
which
is
estimated
from
available
data.
Average
application
rates
are
calculated
from
the
weighted
averages.
NOTES
ON
TABLE
DATA
Usage
data
primarily
covers
1988
1998.
Calculations
of
the
above
numbers
may
not
appear
to
agree
because
they
are
displayed
as
rounded
to
the
nearest
1000
for
acres
treated
or
lb.
a.
i.
(
Therefore
0
=
<
500)
to
the
nearest
whole
percentage
point
for
%
of
crop
treated.
(
Therefore
0%
=
<
0.5%)
*
=
Available
EPA
sources
indicate
that
usage
is
observed
for
potatoes
and
barley
in
the
reported
data
for
this
site.
However,
there
are
no
tolerances
or
labeled
uses
for
these
site.
Reason
for
reported
usage
is
undetermined
and
therefore
usage
for
these
sites
should
not
be
used
for
risk
assessment.
=
missing
information
or
lack
of
confidence
in
the
data
to
determine
an
accurate
estimate
of
usage.
However,
these
sites
were
included
in
the
table
because
of
indicated
usage.
SOURCES:
EPA
data,
1988
98;
USDA,
NASS,
1999
75
APPENDIX
I.
GENEEC
2.0
INPUT
PARAMETERS,
RESULTS,
AND
OUTPUTS
Environmental
Fate
Input
Parameters
for
GENEEC
2.0.
Chemical
Oxadiazon
PC
Code
109001
Water
Solubility
(
25
C)
1
ppm
Hydrolysis
Half
Life
(
pH
7)
stable
Aerobic
Soil
Metabolism
Half
Life
stable
Aerobic
Aquatic
Metabolism
Half
life
not
available
Photolysis
Half
Life
2.75
days
Soil/
Water
Equilibrium
Partition
Coefficient
(
K
d)
16.91
Depth
of
Incorporation
(
Broadcast)
0.0
in.
Wetted
In
Yes
Table
2.
Modeling
Results
for
Use
on
Turf
Ground
spray1
granular
Application
Rate
2.0
3.0
4.0
4.0
4.0
Application
Frequency
1
1
1
2
2
Application
Interval
(
days)
N/
A
N/
A
182
182
182
GENEEC
2.0
Peak
EEC
44
67
89
173
150
21
Day
EEC
43
65
87
170
147
60
Day
EEC
42
63
84
163
142
4.
Low
boom
ground
sprayer
with
fine
spray
quality
(
EFED
defaults),
no
buffer
(
no
spray
zone).
76
RUN
No.
1
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
4.000(
8.000)
2
182
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
173.14
172.44
169.50
163.00
158.23
RUN
No.
2
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
2.000(
4.000)
2
42
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
88.20
87.84
86.34
83.03
80.60
77
RUN
No.
3
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
3.000(
6.000)
2
182
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
129.85
129.33
127.12
122.25
118.67
RUN
No.
4
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
4.000(
8.000)
2
182
16.9
1.0
GRANUL(
.0)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
150.41
149.80
147.25
141.60
137.46
78
RUN
No.
1
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
2.000(
2.000)
1
1
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
44.39
44.21
43.46
41.79
40.57
RUN
No.
1
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
3.000(
3.000)
1
1
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
66.59
66.32
65.19
62.69
60.85
79
RUN
No.
1
FOR
Oxadiazon
ON
Turf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
NO
SPRAY
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
(
FT)
(
IN)
4.000(
4.000)
1
1
16.9
1.0
GRHIFI(
6.6)
.0
.0
FIELD
AND
STANDARD
POND
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
POND)
(
POND
EFF)
(
POND)
(
POND)
.00
0
N/
A
2.75
341.00
.00
341.00
GENERIC
EECs
(
IN
MICROGRAMS/
LITER
(
PPB))
PEAK
MAX
4
DAY
MAX
21
DAY
MAX
60
DAY
MAX
90
DAY
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
AVG
GEEC
88.79
88.43
86.92
83.59
81.14
4Matringe,
M.,
J.
M.
Camadro,
P.
Labbe,
and
R.
Scalla.
1989.
Protoporphyrinogen
oxidase
as
a
molecular
target
for
diphenyl
ether
herbicides.
Biochem.
J.
260:
231
235.
5Birchfield,
N.
B.,
and
J.
E.
Casida.
1997.
Protoporphyrinogen
oxidase
of
mouse
and
maize:
Target
site
selectivity
and
thiol
effects
on
peroxidizing
herbicide
action.
Pesticide
Biochemistry
and
Physiology
57,
36
43.
6Halling,
B.
P.,
D.
A.
Yuhas,
V.
F.
Fingar,
and
J.
W.
Winkleman.
1994.
"
Protoporphyrinogen
oxidase
inhibitors
for
tumor
therapy"
in
Porphyric
Pesticides:
Chemistry,
Toxicology,
and
Pharmaceutical
Applications,
(
S.
O.
Duke
and
C.
A.
Rebeiz,
Eds.)
pp.
280
290,
American
Chemical
Society
Symposium
Series
559,
Am.
Chem.
Soc.,
Washington,
D.
C.,
1994.
7Birchfield,
N.
B.
Protoporphyrinogen
Oxidase
as
a
Herbicide
Target:
Characterization
of
the
[
3H]
Desmethylflumipropyn
Binding
Site.
Dissertation.
University
of
California,
Berkeley.
1996.
80
APPENDIX
J.
PHOTOXICITY
STUDY
PROTOCOL
for
LIGHT
DEPENDENT
PEROXIDIZING
HERBICIDES
The
light
dependent
peroxidizing
herbicides
(
LDPHs)
are
a
growing
class
of
weed
control
chemicals
(
see
partial
listing
attached).
They
act
in
plants
by
inhibiting
the
enzyme
protoporphyrinogen
oxidase
(
protox),
which
is
the
last
common
enzyme
in
the
heme
and
chlorophyll
biosynthetic
pathways.
4
Protox
exists
in
both
plants
and
animals
and
the
enzyme
from
both
sources
has
been
shown
to
be
highly
sensitive
to
many
LDPHs.
5
LDPH
protox
inhibition
in
plants
results
in
a
rapid
accumulation
of
protoporphyrin
IX,
a
phototoxic
heme
and
chlorophyll
precursor.
In
the
presence
of
light,
protoporphyrin
IX
is
a
powerful
generator
of
singlet
oxygen
which
in
plants
causes
lipid
membrane
peroxidation
leading
to
a
rapid
loss
of
turgidity
and
foliar
burns.
LDPH
exposure
in
mammals
has
been
shown
to
result
in
excretion
of
porphyrins
in
urine
(
porphynuria)
and
feces,
increased
liver
weight,
elevated
blood
porphyrin
levels,
developmental
abnormalities,
and
cancer.
Humans
with
a
hereditary
protox
disorder
(
variegate
porphyria)
which
results
in
lowered
protox
activity
exhibit
many
symptoms
similar
to
LDPH
exposure
in
addition
to
photosensitivity.
However,
photosensitivity
is
not
a
commonly
reported
symptom
of
LDPH
exposure
in
animals.
An
LDPH
induced
occurrence
of
phototoxicity
in
rats6
and
increased
cytotoxicity
to
human
skin
cells
grown
in
culture
in
the
presence
of
light
and
an
LDPH7
have
been
reported
but
many
other
LDPH
toxicity
studies
make
no
mention
of
phototoxicity
in
animals.
The
scarcity
of
phototoxicity
data
in
animals
could
result
from
physiological
or
biochemical
distinctions
from
plants.
For
instance,
animals
exposed
to
LDPHs
may
not
normally
accumulate
protoporphyrin
IX
in
their
epidermis.
However,
phototoxicity
may
not
be
reported
in
many
LDPH
toxicity
tests
because
of
relatively
low
light
conditions
in
laboratories
and/
or
protection
afforded
by
the
animals'
fur
or
feathers.
Animals
without
fur
or
feathers
existing
in
sunny
environments
would
be
expected
to
be
at
highest
risk
for
potential
phototoxic
effects.
The
Aquatic
Biology
Tech
Team
(
ABTT)
recommends
that
phototoxicity
studies
be
conducted
on
8American
Society
for
Testing
and
Materials.
1994.
Standard
guide
for
conducting
the
frog
embryo
teratogenesis
assay
Xenopus.
E
1439
91.
In
Annual
Book
of
ASTM
Standards,
Vol
11.5,
pp.
825
835.
Philadelphia,
PA.
81
herbicides
with
this
mode
of
action
to
determine
if
animals
exposed
to
LDPHs
and
intense
light
(
similar
to
sunlight)
show
increased
toxicity
relative
to
controls
exposed
to
LDPHs
and
low
intensity
light.
The
results
of
these
studies
will
help
to
determine
if
animals
that
are
exposed
to
sunlight
in
LDPH
use
areas
are
at
higher
risk
than
guideline
toxicity
studies
suggest.
The
ABTT
is
requesting
that
a
LDPH
phototoxicity
protocol
be
submitted
for
review
and
agreement
by
EFED
and
the
registrant
prior
to
study
initiation.
Protocols
for
standard
toxicity
tests
have
also
been
published.
8
In
nature,
fish
and
other
aquatic
organisms
are
expected
to
be
exposed
to
LDPHs
through
run
off
and
spray
drift.
Aquatic
organisms
inhabiting
small,
shallow
water
bodies,
exposed
to
high
levels
of
solar
radiation
would
be
expected
to
be
at
greatest
risk
for
potential
phototoxic
effects.
Therefore,
the
ABTT
is
requesting
a
small
fish
species
be
used
in
a
phototoxicity
assay
to
assess
the
potential
of
light
to
increase
LDPH
toxicity.
The
ABTT
requests
that
the
study
adequately
address
the
following
issues
and
suggests
the
paper,
"
Photoenhanced
Toxicity
of
a
Carbamate
Insecticide
to
Early
Life
Stage
Anuran
Amphibians",
5
and
other
studies
in
the
peer
reviewed
scientific
literature
serve
as
sources
of
additional
guidance:
Species
The
fathead
minnow
may
be
an
appropriate
test
species
because
of
existing
toxicity
protocols
which
may
be
adapted
for
this
study.
Exposure
duration
A
subchronic
exposure
duration
would
be
adequate
for
proof
of
principle.
A
single
exposure
may
not
allow
adequate
time
for
porphyrin
accumulation,
however,
a
life
cycle
is
not
necessary
to
identify
a
phototoxic
effect.
Dosing
A
range
finding
study
should
be
conducted
under
defined
low
light
conditions
to
identify
an
LC
50
value
and
lower
dose
levels
expected
to
be
similar
to
controls.
Doses
used
in
the
phototoxicity
study
should
not
be
expected
to
result
in
significant
mortality
in
low
light
controls.
Dissolved
concentrations
of
the
test
chemical
should
be
confirmed
by
an
appropriate
analytical
method.
Endpoints
Behavioral
observations
should
be
made
in
addition
to
measurements
of
mortality,
growth,
weight,
morphology,
and
appearance.
Ideally,
measurements
of
protoporphyrin
and
heme
concentrations
in
the
blood
and
protox
activity
in
the
liver
of
each
test
organisms
should
be
made.
Light
sources
Artificial
light
may
be
preferred
to
natural
light
that
will
vary
in
different
regions
and
seasons
as
well
as
82
with
weather.
If
artificial
light
is
used,
the
light
should
resemble
full,
natural
sunlight
as
closely
as
possible,
particularly
around
400
nm.
The
most
important
wavelength
for
porphyrin
induced
phototoxicity
in
~
400
nm.
No
matter
what
the
light
source,
the
duration
and
intensity
of
UV
and
visible
light
should
be
reported
at
all
wavelengths
(
200
800
nm).
At
this
point
EFED
does
not
have
a
specific
recommendation
for
an
artificial
light
source.
Dark,
light,
and
positive
controls
As
this
study
is
intended
to
identify
potential
effects
of
light
on
LDPH
toxicity,
an
appropriate
study
protocol
should
include
a
dark,
or
low
light,
control
group.
Another
group
not
exposed
to
chemicals
but
exposed
to
full
light
should
be
included
(
a
full
light
control).
In
addition
to
the
dark
and
light
controls,
a
positive
control
group
using
protoporphyrin
IX
may
be
useful.
Exposure
chambers
and
light
filters
Light
intensity
should
be
measured
inside
test
chambers
if
glass
or
any
other
material
is
placed
between
the
light
source
and
the
test
animals.
Any
filters
should
be
cured
under
the
study
light
for
72
hours
prior
to
study
initiation
to
ensure
consistent
transmittance.
83
ATTACHMENT
1.
The
following
list
of
herbicides
are
believed
to
act
by
inhibiting
protoporphyringen
oxidase
in
the
heme
and
chlorophyll
biosynthetic
pathway.
acifluorfen
azafenidin
carfentrazone
ethyl
flumiclorac
pentyl
flumioxazin
fluthiacet
methyl
fomesafen
lactofen
oxadiargyl
oxadiazon
oxyfluorfen
sulfentrazone
thidiazimin
| epa | 2024-06-07T20:31:44.881678 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0005/content.txt"
} |
EPA-HQ-OPP-2002-0309-0006 | Supporting & Related Material | 2002-12-03T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
Date:
July
15,
2001
MEMORANDUM
SUBJECT:
REVISED
OCCUPATIONAL
AND
RESIDENTIAL
EXPOSURE
ASSESSMENT
AND
RECOMMENDATIONS
FOR
THE
REREGISTRATION
ELIGIBILITY
DECISION
DOCUMENT
FOR
OXADIAZON
FROM:
Seyed
Tadayon,
Chemist
Chemistry
Exposure
Branch
I
Health
Effect
Division
(
7509C)
THRU:
Francis
Suhre,
Senior
Scientist
Chemistry
Exposure
Branch
I
Health
Effects
Division
(
7509C)
TO:
Nancy
McCarroll,
Geneticist
Toxicology
Branch
I
Health
Effects
Division
(
7509C)
Please
find
the
review
of
oxadiazon.
DP
Barcode:
D276360
PC
Codes:
109001
EPA
Reg
Nos:
264
450,
264
502,
432
886,
432
887,
432
893,
432
898,
538
143,
538
146,
538
147,
538
164,
538
241,
538
257,
961
340,
961
371,
961
379,
961
380,
961
382,
8660
17,
8660
35,
8660
36,
9198
75,
9198
154,
9198
155,
10404
63,
10404
93,
34704
771,
35512
43,
35512
44,
48234
1,
48234
2,
48234
10,
48234
14,
48234
15,
52287
1,
52287
2,
52287
3,
55615
4,
55615
5,
67508
1,
CA97001800,
FL82004500,
HI97000100.
EPA
MRID
No:
449955
01,
449955
02,
435178
01
LUIS
Report:
05/
04/
99
PHED:
Yes,
Version
1.1
2
CONTENTS
EXECUTIVE
SUMMARY
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3
1.0
BACKGROUND
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6
1.1
Summary
of
Toxicity
Concerns
Relating
to
Agricultural
Exposures
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6
1.2
Summary
of
Use
Pattern
and
Formulations
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8
1.3
Method
and
Types
of
Equipment
Used
for
Mixing/
Loading/
Applying
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10
1.4
Incident
Reports
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10
2.0
OCCUPATIONAL
EXPOSURES
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12
2.1
Handler
Exposures
&
Assumptions
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12
2.1.1
Summary
of
Occupational
Handler
Exposures
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14
2.1.2
Summary
of
Uncertainties
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17
2.1.3
Calculations
of
Exposure
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17
2.1.4
Calculations
of
Cancer
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18
2.2
Risk
From
Handler
Exposures
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19
2.2.1
Risk
From
Handler
Exposures
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20
2.2.2
Summary
of
MOEs
and
cancer
.
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22
3.0
POSTAPPLICATION
EXPOSURES
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27
3.1
Postapplication
Exposures
&
Assumptions
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27
3.1.1
Data
Source
and
Assumptions
For
Scenario
Considered
.
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27
3.1.2
Assumptions
Used
in
Postapplication
Exposure
.
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28
3.1.3
Exposure
and
Risk
Calculation
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28
3.1.4
Postapplication
Exposure
Risk
estimates
.
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29
3.2
Non
occupational
Postapplication
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29
3.2.1
Postapplication
Exposure
Scenarios
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30
3.2.2
Data
Sources
for
Scenarios
Considered
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30
3.2.3
Assumptions
Used
in
Postapplication
Exposure
Calculations
.
.
31
3.2.4
Postapplication
Exposure
Risk
Estimates
.
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36
3.2.5
Data
Gaps
and
Uncertainties
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36
APPENDIX
A
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37
APPENDIX
B
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47
APPENDIX
C
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56
REFERENCES
.
.
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61
EXECUTIVE
SUMMARY
3
Purpose
This
is
a
revision
of
the
original
Occupational
and
Residential
Exposure
Assessment
and
Recommendations
Document
for
Oxadiazon,
(
S.
Tadayon
June
12,
2001).
This
chapter
has
been
revised
to
address
comments
made
by
the
Risk
Assessment
Review
Committee
(
RARC).
This
document
addresses
the
exposures
and
risks
associated
with
the
use
of
the
oxadiazon,
that
occur
through
non
dietary
exposure.
These
exposures
can
occur
as
a
result
of
applying
oxadiazon
or
by
entering
areas
that
have
been
previously
treated
with
oxadiazon.
Exposures
can
occur
as
a
part
of
one's
job
or
through
uses
of
oxadiazon
on
residential
lawns
and
other
areas
that
are
frequented
by
the
general
public.
Occupational
and
residential
exposures
are
addressed
separately
in
this
document.
Oxadiazon,
2
tert
butyl
4
(
2,4
dichloro
5
isopropoxyphenyl
1,3,4
oxadiazolin
5
one),
is
a
selective
pre
emergence
and
early
post
emergence
herbicide
used
primarily
to
control
annual
grasses
and
broadleaf
weeds.
The
occupational
use
sites
include
golf
course
turf,
ornamental
turf,
conifer
nursery,
landscape
industrial
sites,
ornamental
noncroplands,
roadside
landscape
plantings,
sod
farms,
woody
ornamental
shrubs,
vines
and
trees
and
herbaceous
ornamental
crops.
The
outdoor
residential
use
site
include
cemeteries,
athletic
fields,
residential
condominiums
and
school
ground.
A
wide
variety
of
application
techniques
have
been
identified
that
could
potentially
be
used
to
apply
oxadiazon
such
as
groundboom
sprayers,
handheld
sprayers
(
low
and
high
pressure
devices
and
low
pressure/
high
volume
sprayguns
commonly
used
on
turf),
backpack
sprayers,
tractor
drawn
granular
spreaders,
push
type
granular
lawn
spreaders,
and
bellygrinders.
Oxadiazon
is
formulated
as
a
manufacturing
product
(
94.0%
active
ingredient),
several
granular
formulations
(
up
to
50.0%
active
ingredient)
and
three
wettable
powders
(
50.0%
active
ingredient).
Hazard
Identification
The
Report
of
the
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
for
oxadiazon,
dated
December
21,
2000,
indicates
that
there
are
toxicological
endpoints
of
concern
for
oxadiazon.
A
short
term
(
1
7
days)
to
intermediate
term
(
one
week
to
several
months)
oral
endpoint
was
selected
for
incidental
oral
exposure
in
children,
using
a
NOAEL
of
12
mg/
kg/
day
based
on
a
statistically
significant
decrease
in
maternal
body
weight
gains
at
40
mg/
kg/
day
(
LOAEL)
in
a
developmental
study
in
rats.
For
short
term
and
intermediate
dermal
exposure,
an
oral
endpoint
was
selected
using
a
NOAEL
of
12
mg/
kg/
day
based
on
a
statistically
significant
decrease
in
maternal
body
weight
gains
at
40
mg/
kg/
day
(
LOAEL)
in
a
developmental
study
in
rats.
The
committee
recommended
a
dermal
absorption
factor
of
9%
(
rounded
up
from
8.7%)
based
on
a
dermal
penetration
study
to
be
used
in
the
calculation.
Due
to
a
lack
of
inhalation
studies,
the
HIARC
selected
an
endpoint
from
oral
studies
for
4
inhalation
risk
assessments.
For
short
and
intermediate
term
inhalation
exposure,
the
same
oral
study
was
chosen
as
for
dermal
exposure
of
this
duration,
with
a
NOAEL
of
12
mg/
kg/
day.
An
absorption
factor
of
100%
is
applied
for
inhalation
exposures.
The
target
margin
of
exposure
(
MOE)
of
100
or
more
for
occupational
exposure
scenarios
was
selected
based
upon
10x
for
intraspecies
and
10x
for
interspecies
variation.
Because
the
effects
from
dermal
and
inhalation
exposure
are
the
same,
the
doses
for
these
routes
and
duration
may
be
aggregated.
Since
1987,
the
Agency's
decision
on
the
carcinogenic
potential
of
oxadiazon
concurred
with
the
Scientific
Advisory
Panel's
(
SAP)
classification
of
oxadiazon
as
a
Group
C
carcinogen
and
the
Q
1*
had
been
set
at
1.4
x
10
1(
mg/
kg/
day)
1
in
human
equivalents.
Since
that
time,
new
chronic/
carcinogenicity
data
have
been
submitted
and
reviewed
by
the
Cancer
Assessment
Review
Committee
(
CARC).
Based
on
this
revisit,
CARC
has
reclassified
oxadizon
as
a
"
Likely
To
Be
Carcinogenic
To
Humans".
For
the
purpose
of
the
lifetime
cancer
risk
assessment
by
the
Agency,
the
most
potent
unit
risk,
Q
1
*,
is
that
for
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
at
7.11
x
10
2
(
mg/
kg/
day)
1
in
human
equivalents.
All
unit
risks
have
been
converted
from
animals
to
humans
by
use
of
the
3/
4'
s
scaling
factor.
Oxadiazon
has
not
been
reported
to
cause
life
threatening
illness
or
death.
Most
of
the
cases
appear
to
be
related
to
irritation
to
the
skin,
eyes
and
mucous
membranes.
Some
cases
may
be
related
to
an
allergic
reaction
On
the
list
of
the
top
200
chemicals
for
which
NPTN
(
National
Pesticide
Telecommunications
Network)
received
calls
from
1984
1991
inclusively,
oxadiazon
was
ranked
192nd
with
12
incidents
in
humans
reported
and
5
incidents
in
animals
(
mostly
pets).
Occupational
Handler
Exposure
and
Risk
Estimates
HED
has
determined
that
there
are
potential
exposures
to
mixers,
loaders,
applicators,
and
other
handlers
during
usual
use
patterns
associated
with
oxadiazon.
Fourteen
major
exposure
scenarios
were
identified
for
oxadiazon,
including
mixing,
loading,
and
applying
using
ground
spray,
granular,
and
lawn
application
methods.
Handler
Scenarios
with
Risk
Concerns
The
results
of
the
short
and
intermediate
term
handler
assessments
indicate
that
all
potential
exposure
scenarios
provide
at
least
one
application
rate
with
a
total
MOE(
s)
greater
than
or
equal
to
100
at
either
the
baseline
(
i.
e.,
long
pants,
long
sleeved
shirts,
no
gloves)
using
open
systems,
PPE
(
i.
e.,
long
pants,
long
sleeved
shirts,
and
chemical
resistant
gloves
while
using
open
systems)
or
using
engineering
controls
(
i.
e.,
closed
systems).
In
the
majority
of
cases,
it
is
dermal
exposure
rather
than
the
inhalation
exposure
driving
the
total
MOEs.
In
total,
37
MOEs
were
calculated
for
the
various
application
rates.
The
total
MOEs
for
all
the
scenarios
range
from
2
to
3000.
The
results
of
the
Cancer
Risk
indicate
that
the
values
range
from
1.65E
2
to
4.66E
7
at
the
baseline
(
i.
e.
long
pants,
long
shirts
and
no
gloves),
2.56E
3
to
4.11E
7
at
PPE1
(
i.
e.
long
5
pants,
long
shirts,
gloves
and
no
respirator),
2.40E
3
to3.51E
7
at
PPE2
(
i.
e.
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator),
1.05E
3
to
1.98E
7
at
PPE3
(
i.
e.
long
pants,
long
shirts,
gloves
and
respirator),
8.90E
4
to
1.38E
07
at
PPE4
(
i.
e.
long
pants,
long
shirts,
double
layer,
gloves
and
respirator)
and
4.92E
5
to
1.10E
8
at
engineering
control.
Postapplication
Worker
Exposure
and
Risk
Estimates
Most
of
the
oxadiazon
used
on
golf
course
turf
(
71%),
ornamental
turf,
conifer
nursery,
landscape
industrial
sites,
ornamental
non
croplands,
roadside
landscape
planting,
sod
farms,
woody
ornamental
shrubs,
vines
and
trees
and
herbaceous
ornamental
crops
is
applied
early
in
the
season,
either
pre
plant
or
before
weeds
emerge
(
pre
emergence).
This
fact,
and
the
degree
of
mechanization
in
cultivating
these
crops,
minimizes
the
postapplication
contact
of
workers
with
the
chemical
on
these
crops.
Three
chemical
specific
studies,
were
submitted
to
the
Agency
for
consideration.
Theses
studies
were
reviewed
and
only
the
re
entry
study
found
to
be
acceptable
for
use
in
the
oxadiazon
risk
assessment.
Using
the
revised
residential
SOP
postapplication
short
and
intermediate
term
dermal
risk
estimates
for
occupational
workers
are
between
30
and
1,000.
The
cancer
risk
for
all
occupational
handlers
is
between
9.92
x
10
5
to
3.01
x
10
6.
Residential
Postapplication
Exposure
and
Risk
Estimates
Dermal
postapplication
exposure
estimates
were
conducted
using
the
highest
mean
postapplication
residue
from
the
Jazzercise
study
(
wettable
powder
formulations).
The
dermal
transfer
coefficients
from
the
Jazzercize
study
and
the
revised
residential
SOPs
were
used.
Using
the
Jazzercize
wettable
powder
application
study
residue
data
and
revised
residential
SOPs
,
all
of
the
scenario
had
short
term
and
intermediate
dermal
MOEs
greater
than
100.
The
cancer
risks
for
all
residential
dermal
postapplication
is
between
6.22x
10
6
to
7.51
x
10
7
.
The
Residential
SOPs
and
submitted
Jazzercize
study
data
were
used
to
estimate
incidental
oral
exposure
for
toddlers
on
treated
turf.
The
short
term
MOE
was100
for
the
toddler
hand
to
mouth
using
residential
SOPs
and
between
90
to
240
for
the
submitted
study.
The
intermediate
term
MOE
was
not
calculated
since
exposure
by
this
route
for
weeks
to
months
is
considered
less
likely
to
occur
than
short
term
exposure.
Incidental
turfgrass
mouthing
and
soil
ingestion
had
MOEs
greater
than
100
for
short
term
exposures.
Uncertainties
in
Risk
Assessment
and
Data
Gaps
Residential
handler
exposure
and
risk
estimates
were
conducted
using
a
set
of
surrogate
chemical
data:
the
ORETF
study
data
and
the
Residential
SOPs.
Dermal
postapplication
exposures
to
oxadiazon
were
based
on
the
highest
residues
from
the
chemical
specific
re
entry
study
data
and
are
of
fairly
high
confidence.
Oral
ingestion
scenarios
are
based
on
standard
assumptions
and
formulae
(
Residential
SOPs)
which
are
designed
to
be
screening
level.
Granular
6
ingestion
is
considered
episodic
in
nature.
1.0
BACKGROUND
Purpose
In
this
document,
which
is
for
use
in
EPA's
development
of
the
oxadizon.
Reregistration
Eligibility
Decision
Document
(
RED),
EPA
presents
the
results
of
its
review
of
the
potential
human
health
effects
of
occupational
and
residential
exposure
to
oxadiazon.
Criteria
for
Conducting
Exposure
Assessments
An
occupational
and/
or
residential
exposure
assessment
is
required
for
an
active
ingredient
if
(
1)
certain
toxicological
criteria
are
triggered
and
(
2)
there
is
potential
exposure
to
handlers
(
mixers,
loaders,
applicators,
etc.)
during
use
or
to
persons
entering
treated
sites
after
application
is
complete.
For
oxadiazon,
both
criteria
are
met.
1.1
Summary
of
Toxicity
Concerns
Relating
to
Agricultural
Exposures
Acute
Toxicology
Categories
Table
1
presents
the
acute
toxicity
categories
as
outlined
in
the
Hazard
Identification
Document
(
Dec
21,
2000).
1
Table
1:
Acute
Toxicity
Categories
For
Oxadiazon
Guideline
No.
Study
Type
MRID
#(
S).
Results
Toxicity
Category
81
1
Acute
Oral
Rat
41866501
LD50
=
>
5000
mg/
kg
(
,
combined)
IV
81
2
Acute
Dermal
Rabbit
41866502
LD50
=
>
2000
mg/
kg
(
,
combined)
III
81
3
Acute
Inhalation
Rat
41866503
LC50
=
>
1.94
mg/
L
(
,
combined)
III
81
4
Primary
Eye
Irritation
Rabbit
41866504
Mild
irritant
to
ocular
tissue
III
81
5
Primary
Skin
Irritation
Rabbit
41866505
Negligibly
irritating
to
skin
III
81
6
Dermal
Sensitization
Guinea
Pig
41230401
Not
a
dermal
sensitizer
(
Buehler
test)
81
8
Acute
Neurotoxicity
ND
Other
Endpoints
of
Concern
The
report
of
the
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
for
oxadiazon,
dated
Dec
21,
20001,
identified
toxicological
endpoints
of
concern
for
oxadiazon.
7
All
calculations
completed
in
this
document
are
based
on
the
most
current
toxicity
information
available
for
oxadiazon.
The
endpoints
that
were
used
to
complete
this
assessment
are
summarized
below
in
Table
2:
Table
2:
Endpoints
selected
by
HIARC
for
Assessing
Occupational
and
Residential
Risks
for
Oxadiazon
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Incidental
Oral,
Short
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Incidental
Oral,
Intermediate
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Short
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Intermediate
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Long
Term
NOAEL=
0.36
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
rate
of
9%
is
applied.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Inhalation,
Short
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
route
to
route
extrapolation
and
a
100%
absorption
rate
are
applied
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Intermediate
Term
NOAEL=
12
Maternal
effects/
Developmental
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
/
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
route
to
route
extrapolation
and
a
100%
absorption
rate
are
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
Route
to
route
extrapolation
and
a
100%
absorption
rate
aplied.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Cancer
Q
1*
of
7.11
x
10
2
(
mg/
kg/
day)
1
Significant
increase
(
pair
wise
and
trend,
p<
0.01)
in
liver
adenomas
and
adenomas
and/
or
carcinomas
combined
in
males
at
9.3
mg/
kg/
day).
Combined
Chronic
Feeding/
Carcinogenicity
Mouse
MRID
Nos.
40993301
1.2
Summary
of
Use
Patterns
and
Formulations
At
this
time,
products
containing
oxadiazon
are
intended
for
both
occupational
and
residential
uses.
8
Type
of
pesticide/
target
pests
Oxadiazon,
2
tert
butyl
4
(
2,4
dichloro
5
isopropoxyphenyl
1,3,4
oxadiazolin
5
one),
is
a
selective
pre
emergence
and
early
post
emergence
herbicide
used
primarily
to
control
annual
grasses
and
broadleaf
weeds.
Table
3
presents
a
list
of
oxadiazons
'
s
active
products.
The
annual
grasses
and
broadleaves
controlled
by
oxadiazon
include
the
following:
1.
Annual
grasses:
annual
blugrass,
barnyardgrass,
crabgrass,
fall
panicum,
giant
foxtail
(
yellow
and
green),
goosegrass,
junglerice,
signalgrass,
sprangletop,
Texas
panicum
and
hophornbeam
copperleaf
$
Broadleaves:
Florida
beggarweed,
carpet
weed,
cudweed,
dayflower,
ducksalad,
filaree,
groundsel,
jimsonweed,
lambersquarters,
mustards,
pigweed,
prickly
sida,
prostrate
knotweed,
purslane,
purslane,
redmaids,
smartweed,
sowthistle,
velvetleaf,
morningglory
and
black
night
shade
Formulation
types
and
percent
active
ingredient
Oxadiazon
is
formulated
as
a
manufacturing
product
(
94.0%
active
ingredient),
several
granular
formulations
(
up
to
50.0%
active
ingredient)
and
three
wettable
powders
(
50.0%
active
ingredient).
Wettable
powders
are
marketed
in
bags
and
water
soluble
bags.
Registered
use
sites,
application
rates
and
frequency
of
application
Oxadiazon
is
applied
as
a
pre
plant
or
pre
emergent
herbicide
on
non
food/
outdoor
crops.
occupational
applications
(
i.
e.,
to
turf
and
ornamentals)
are
made
to
established
areas
such
as
lawns
or
golf
course
greens
prior
to
the
emergence
of
the
target
plant
species.
Residential/
nonoccupational
applications
are
made
to
residential
lawns,
parks,
cemeteries,
schools,
athletic
fields
and
golf
courses.
The
frequency
of
application
ranges
from
1
to
3
applications
per
season.
Oxadiazon
can
be
applied
at
a
minimum
application
rate
of
2.0
pounds
of
active
ingredient
per
acre
up
to
a
maximum
application
rate
of
4.0
pounds
active
ingredient
per
acre
to
turf
and
ornamentals.
Oxadiazon
use
sites
are
non
food
crops
(
primarily
golf
course
greens,
77%
of
all
use),
residential
outdoor
use
(
approximately
12%
of
all
use),
roadside
(
approximately
3%
of
all
use)
and
nurseries
(
approximately
8%
of
all
use).
The
granular
formulations
account
for
91%
of
the
total
oxadiazon
use
(
turf
use).
Table
3
represents
information
on
registered
use
sites,
products
name,
application
rates,
percent
active
ingredient
and
frequency
of
application
per
growing
season
for
oxadiazon2.
Application
rate
covers
various
type
of
equipment
used
to
apply
oxadiazon.
Table
3:
Use
Patterns,
Application
Rate,
and
Frequency
of
Application
for
Oxadiazon
Reg
No
A.
I
%
Product
Name
Crop
Type
Max
Appl
rate
No
of
Appl
per/
y
10404
63
0.95
Lesco
Turfic
for
Crabgrass
with
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
3
10404
63
0.95
Lesco
Turfic
for
Crabgrass
with
RonstarG
turf:
ornamental
4
lb
ai/
acre
3
10404
93
0.63
Ronstar
Weed
and
Feed
63
G
nursery:
woody
ornamental
shrubs,
vines
and
trees
4
lb
ai/
acre
3
9
10404
93
0.63
Ronstar
Weed
and
Feed
63
G
nursery:
woody
ornamental
shrubs,
vines
and
trees
4
lb
ai/
acre
3
10404
93
0.63
Ronstar
Weed
and
Feed
63
G
turf:
golf
course
4
lb
ai/
acre
3
10404
93
0.63
Ronstar
Weed
and
Feed
63
G
turf:
ornamental
(
parks,
athletic
fields,
recreational)
4
lb
ai/
acre
3
10404
93
0.63
Ronstar
Weed
and
Feed
63
G
turf:
sod
farms
4
lb
ai/
acre
3
264
445
2
Chipco
Ronstar
G
nursery:
conifer
4
lb
ai/
acre
1
264
445
2
Chipco
Ronstar
G
nursery:
woody
ornamentals,
shrubs,
vines
and
trees
4
lb
ai/
acre
1
264
445
2
Chipco
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
1
264
445
2
Chipco
Ronstar
G
turf:
lawns
4
lb
ai/
acre
1
264
445
2
Chipco
Ronstar
G
turf:
ornamental
(
parks)
4
lb
ai/
acre
1
264
450
94
oxadiazon
technical
Formulating
use
only
264
502
50
Ronstar
50%
Intermediate
Formulating
use
only
264
538
50
Chipco
Ronstar
50
WSP
landscape:
woody
ornamental
shrubs,
vines
and
trees
2
lb
ai/
acre
1
264
538
50
Chipco
Ronstar
50
WSP
nursery:
conifer
4
lb
ai/
acre
1
264
538
50
Chipco
Ronstar
50
WSP
nursery:
woody
ornamental
shrubs,
vines
and
trees
4
lb
ai/
acre
1
264
538
50
Chipco
Ronstar
50
WSP
turf:
golf
course
(
no
tees
and
greens)
3
lb
ai/
acre
3
264
538
50
Chipco
Ronstar
50
WSP
turf:
ornamental
(
parks)
3
lb
ai/
acre
3
264
538
50
Chipco
Ronstar
50
WSP
turf:
sod
farms
in
HI
3
lb
ai/
acre
3
34704
771
2
Napropamide
Oxadiazon
4
2
Granules
landscape:
woody
ornamental
shurbs
vines
and
trees
3
lb
ai/
acre
34704
771
2
Napropamide
Oxadiazon
4
2
Granules
nursery:
conifer
3
lb
ai/
acre
34704
771
2
Napropamide
Oxadiazon
4
2
Granules
nursery:
woody
ornamental
shurbs
vines
and
trees
3
lb
ai/
acre
35512
43
1
Turf
Pride
Fertilizer
with
Ronstar
5
20G
turf:
golf
course
4
lb
ai/
acre
1
35512
43
1
Turf
Pride
Fertilizer
with
Ronstar
5
20G
turf:
ornamental
(
parks,
athletic
fields,
recreational)
4
lb
ai/
acre
1
35512
43
1
Turf
Pride
Fertilizer
with
Ronstar
5
20G
turf:
sod
farms
4
lb
ai/
acre
1
35512
44
1
RegalstarG
turf:
established
2
lb
ai/
acre
1
35512
44
1
RegalstarG
turf:
golf
course
2
lb
ai/
acre
1
48234
1
1
RegalstarG
turf:
established
2
lb
ai/
acre
1
48234
1
1
RegalstarG
turf:
golf
course
(
not
greens)
2
lb
ai/
acre
1
48234
10
1
Regal
O
Herbicide
G
landscape:
woody
ornamental
shrubs,
vines
and
trees
3
lb
ai/
acre
48234
10
1
Regal
O
Herbicide
G
nursery:
woody
ornamentals
shrubs,
trees,
vines
3
lb
ai/
acre
48234
10
1
Regal
Ronstar
Plus
I
G
nursery:
woody
ornamentals
shrubs,
trees,
vines
4
lb
ai/
acre
3
48234
10
1
Regal
Ronstar
Plus
I
G
turf:
golf
course
4
lb
ai/
acre
1
48234
10
1
Regal
Ronstar
Plus
I
G
turf:
ornamental
4
lb
ai/
acre
1
48234
15
1
RegalStar
II
G
landscape:
woody
ornamentals
shrubs,
trees,
vines
2
lb
ai/
acre
1
48234
15
1
RegalStar
II
G
nursery:
woody
ornamentals
shrubs,
trees,
vines
2
lb
ai/
acre
1
48234
15
1
RegalStar
II
G
turf:
golf
course
2
lb
ai/
acre
1
48234
15
1
RegalStar
II
G
turf:
sod
farms
2
lb
ai/
acre
1
48234
2
2
Regal
Ronstar
Plus
G
landscape:
woody
ornamental
shrubs,
vines
and
trees
4
lb
ai/
acre
1
48234
2
2
Regal
Ronstar
Plus
G
nursery:
conifer
4
lb
ai/
acre
1
48234
2
2
Regal
Ronstar
Plus
G
nursery:
woody
ornamental
shrubs,
vines
and
trees
4
lb
ai/
acre
3
48234
2
2
Regal
Ronstar
Plus
G
turf:
golf
course
4
lb
ai/
acre
1
48234
2
2
Regal
Ronstar
Plus
G
turf:
ornamental
(
parks)
4
lb
ai/
acre
1
52287
1
0.95
Harrells
Crabgrass
Control
with
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
3
52287
1
0.95
Harrells
Crabgrass
Control
with
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
3
52287
2
1.5
Harrells
Ronstar
1.5
G
turf:
golf
course
4
lb
ai/
acre
3
52287
2
1.5
Harrells
Ronstar
1.5
G
turf:
ornamental
4
lb
ai/
acre
3
52287
3
0.67
Harrells
Ronstar
0.67
with
Fertilizer
G
turf:
golf
course
4
lb
ai/
acre
3
52287
3
0.67
Harrells
Ronstar
0.67
with
FertilizerG
turf:
ornamental
4
lb
ai/
acre
3
538
164
1.31
Scotts
ProTurf
Goosegrass/
Crabgrass
Control
8656
turf:
golf
course
(
fairways
and
greens)
0.75
538
164
1.31
Scotts
ProTurf
Goosegrass/
Crabgrass
Control
8656
turf:
golf
course
(
fairways
and
tees)
1.5
538
164
1.31
Scotts
ProTurf
Goosegrass/
Crabgrass
Control
8656G
turf:
golf
course
(
greens)
1.5
538
164
1.31
Scotts
ProTurf
Goosegrass/
Crabgrass
Control
8656
turf:
ornamental
0.75
538
241
~
1
Scotts
Turf
Starter
Plus
G
turf:
golf
course
fairways
4
lb
ai/
acre
1
538
241
~
1
Scotts
Turf
Starter
Plus
G
turf:
ornamental
4
lb
ai/
acre
1
538
257
0.2
Scotts
ProTurf
Fertilizer
Plus
Preemergent
Weed
Control
II
turf:
golf
course
4
lb
ai/
acre
2
538
257
0.2
Scotts
ProTurf
Fertilizer
Plus
Preemergent
Weed
Control
II
turf:
ornamental
4
lb
ai/
acre
2
55615
4
0.75
Wilbro
Fertilizer
with
0.75%
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
1
55615
4
0.75
Wilbro
Fertilizer
with
0.75%
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
1
557
1966
0.69
ParEx
Plus
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
1
557
1966
0.69
ParEx
Plus
Ronstar
G
turf:
ornamental
(
parks)
4
lb
ai/
acre
1
557
1974
1.5
ParEx
Fertilizer
Plus
1.5%
RonstarG
turf:
golf
course
(
fairways)
4
lb
ai/
acre
1
557
1974
1.5
ParEx
Fertilizer
Plus
1.5%
Ronstar
G
turf:
lawns
(
but
not
home
lawns)
4
lb
ai/
acre
1
557
1974
1.5
ParEx
Fertilizer
Plus
1.5%
Ronstar
G
turf:
ornamental
(
parks)
4
lb
ai/
acre
1
557
2026
1
ParEx
Fertilizer
Plus
1%
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
1
557
2026
1
ParEx
Fertilizer
Plus
1%
Ronstar
G
turf:
lawns
4
lb
ai/
acre
1
10
557
2026
1
ParEx
Fertilizer
Plus
1%
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
1
67508
1
1
Ronstar
1%
with
Fertilizer
G
turf:
golf
course
4
lb
ai/
acre
1
67508
1
1
Ronstar
1%
with
Fertilizer
G
turf:
ornamental
4
lb
ai/
acre
1
8660
17
1
Sta
Green
G
turf:
golf
course
2.5
1
8660
17
1
Sta
Green
G
turf:
lawns
2.5
1
8660
36
1
Vertagreen
Fertilizer
with
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
3
8660
36
1
Vertagreen
Fertilizer
with
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
3
9198
154
1
Andersons
Fertilizer
with
1%
Ronstar
and
0.125%
Dimension
G
turf:
golf
course
(
fairways
and
roughs)
4
lb
ai/
acre
3
9198
154
1
Andersons
Fertilizer
with
0.125%
Dimension
and
1.0%
Ronstar
G
turf:
golf
course
(
fairways)
2
lb
ai/
acre
3
9198
154
1
Andersons
Fertilizer
with
0.125%
Dimension
and
1.0%
Ronstar
G
turf:
golf
course
(
roughs)
1.5
3
9198
154
1
Andersons
Fertilizer
with
1%
Ronstar
and
0.125%
Dimension
G
turf:
lawns
4
lb
ai/
acre
3
9198
154
1
Andersons
Fertilizer
with
1%
Ronstar
and
0.125%
Dimension
G
turf:
ornamental
4
lb
ai/
acre
3
9198
75
1.38
Andersons
Fertilizer
with
1.38%
Ronstar
G
turf:
golf
course
(
fairways,
tees)
4
lb
ai/
acre
9198
75
1.38
Andersons
Fertilizer
with
1.38%
Ronstar
G
turf:
golf
course(
fairways
and
tees)
4
lb
ai/
acre
9198
75
1.38
Andersons
Fertilizer
with
1.38%
Ronstar
G
turf:
lawns
4
lb
ai/
acre
9198
75
1.38
Andersons
Fertilizer
with
1.38%
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
9198
75
1.38
Andersons
Fertilizer
with
1.38%
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
961
340
1.73
Lebanon
Country
Club
with
Ronstar
G
landscape:
woody
ornamentals,
shrubs,
vines
4
lb
ai/
acre
3
961
340
1.73
Lebanon
Country
Club
with
Ronstar
G
nursery:
conifer
4
lb
ai/
acre
3
961
340
1.73
Lebanon
Country
Club
with
Ronstar
G
nursery:
woody
ornamentals
shrubs,
trees,
vines
4
lb
ai/
acre
3
961
340
1.73
Lebanon
Country
Club
with
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
1
961
340
1.73
Lebanon
Country
Club
with
Ronstar
G
turf:
ornamental
(
parks
and
gardens)
4
lb
ai/
acre
1
961
371
0.5
Lebanon
Country
Club
with
Ronstar
G
turf:
golf
course
4
lb
ai/
acre
961
371
0.5
Lebanon
Country
Club
with
Ronstar
G
turf:
ornamental
4
lb
ai/
acre
CA
970018
50
Chipco
Ronstar
50
WSP
landscape:
specific
ornamental
crops
3
lb
ai/
acre
NS
CA
970018
50
Chipco
Ronstar
50
WSP
nursery:
specific
ornamental
crops
3
lb
ai/
acre
NS
FL
820045
2
Chipco
Ronstar
G
leatherleaf
ferns
2
lb
ai/
acre
NS
HI
970001
2
Chipco
Ronstar
G
turf:
Lalo
3
lb
ai/
acre
1
1.3
Methods
and
Types
of
Equipment
Used
for
Mixing/
Loading/
Applying
The
following
use
patterns
are
associated
with
the
application
equipment:
chemigation,
groundboom,
rights
of
way
sprayer,
handgun
sprayer,
tractor
drawn
spreader,
backpack
sprayer,
low
pressure
handwand,
high
pressure
handwand
lawn
handgun,
belly
grinder
and
push
type
spreader.
(
aerial
application
was
voluntarily
canceled
by
the
registrant)
1.4
Incident
reports
The
following
data
bases
have
been
consulted
for
the
poisoning
incident
data
on
the
active
ingredient
oxadiazon3.
I.
Incident
Data
System
Please
note
that
the
following
cases
from
the
IDS
do
not
have
documentation
confirming
exposure
or
health
effects
unless
otherwise
noted.
Incident#
6920
2
A
pesticide
incident
occurred
in
1998,
when
a
man
applied
oxadiazon
on
a
wet
lawn.
He
reported
nausea,
headache,
and
difficulty
breathing.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
7424
1
11
A
pesticide
incident
occurred
in
1998,
when
oxadiazon
was
sprayed
onto
landscaping
at
a
large
apartment
complex.
Several
individuals
reported
congestion,
sore
throat,
running
eyes,
and
hoarseness.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
8383
1
A
pesticide
incident
occurred
in
1998,
when
a
man
used
oxadiazon
for
two
weeks
on
the
landscape
of
several
properties.
He
reported
hives
over
his
entire
body
area,
itching,
and
a
swollen
face.
He
experienced
a
rash
that
lasted
for
twenty
four
hours.
However,
these
effects
only
occurred
on
the
last
two
days
of
use
and
may,
instead,
be
a
reaction
to
ibuprofen.
He
was
seen
by
a
physician.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
8383
2
A
pesticide
incident
occurred
in
1997,
when
an
unknown
person
applied
the
product
to
grass
around
a
home.
A
year
and
a
half
later,
a
man
who
has
chronic
fatigue
syndrome,
reported
malaise.
He
now
lives
with
his
brother
and
reports
developing
acute
symptoms
whenever
he
returns
to
his
home.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
8476
1
A
pesticide
incident
occurred
in
1999,
when
a
golf
course
was
treated.
Several
months
later,
a
female
employee
reported
respiratory
irritation
and
muscle
weakness.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
9413
1
A
pesticide
incident
occurred
in
1999,
when
a
man
mixed
the
product
in
his
home
and
reported
a
seizure
the
next
morning.
Two
days
later
he
poured
the
chemical
into
a
spreader
and
ten
minutes
later
reported
a
seizure.
This
individual
has
a
history
of
ongoing
seizure
and
is
taking
medication
for
his
condition.
Physicians
treating
this
case
did
not
believe
that
the
seizure
were
related
to
the
pesticide
exposure.
No
further
information
on
the
disposition
of
the
case
was
reported.
Incident#
10179
10
A
pesticide
incident
occurred
in
1996,
when
a
teacher
and
his
daughter
reported
headaches,
dizziness,
burning
eyes
and
skin,
coughing,
sore
throat
and
hoarseness
after
oxadiazon
was
applied
to
a
school
campus.
No
further
information
on
the
disposition
of
the
case
was
reported.
This
same
case
is
reported
in
the
California
data
summary.
No
consistent
pattern
of
ill
effects
was
seen
in
this
relatively
small
number
of
incidents.
There
was
some
evidence
of
irritative
and
allergic
effects
to
the
skin
and
respiratory
system.
II.
Poison
Control
Center
Data
1993
through
1998
Results
for
the
years
1993
through
1998
were
acquired
for
37
exposures
to
oxadiazon
reported
to
Poison
Control
Centers.
Cases
involving
exposures
to
multiple
products
are
12
excluded.
Only
4
cases
were
reported
among
children
under
six
years
of
age
and
six
cases
among
older
children
and
adults
exposed
at
their
workplace.
This
was
too
few
cases
to
warrant
detailed
analysis.
None
of
these
cases
reported
a
serious
outcome
and
only
one
of
the
occupational
cases
had
a
moderate
outcome.
There
were
27
non
occupationally
exposed
cases
among
older
children
and
adults.
III.
California
Data
1982
through
1996
Detailed
descriptions
of
31
cases
submitted
to
the
California
Pesticide
Illness
Surveillance
Program
(
1982
1996)
were
reviewed.
In
26
of
these
cases,
oxadiazon
was
used
alone
or
was
judged
to
be
responsible
for
the
health
effects.
Only
cases
with
a
definite,
probable
or
possible
relationship
were
reviewed.
Oxadiazon
ranked
84th
as
a
cause
of
systemic
poisoning
in
California
based
on
data
for
1982
through
1994.
Category
includes
cases
where
skin,
eye,
or
respiratory
effects
were
also
reported.
IV.
National
Pesticide
Telecommunications
Network
On
the
list
of
the
top
200
chemicals
for
which
NPTN
received
calls
from
1984
1991
inclusively,
oxadiazon
was
ranked
192nd
with
12
incidents
in
humans
reported
and
5
incidents
in
animals
(
mostly
pets).
2.0
OCCUPATIONAL
EXPOSURES
2.1
Handler
Exposures
&
Assumptions
iii.
Handler
Exposure
Scenarios
Exposure
scenarios
can
be
thought
of
as
ways
of
categorizing
the
kinds
of
exposures
that
occur
related
to
the
use
of
a
chemical.
The
use
of
scenarios
as
a
basis
for
the
exposure
assessment
is
described
in
the
U.
S.
EPA
Guidelines
For
Exposure
Assessment
(
U.
S.
EPA;
Federal
Register
Volume
57,
Number
104;
May
29,
1992).
HED
uses
the
term
"
Handlers"
to
describe
those
individuals
who
are
involved
in
the
pesticide
application
process.
HED
believes
that
there
are
distinct
job
functions
or
tasks
related
to
applications
and
that
exposures
can
vary
depending
on
the
specifics
of
each
task.
Job
requirements
(
e.
g.,
amount
of
chemical
to
be
used
in
an
application),
the
kinds
of
equipment
used,
the
crop
or
target
being
treated,
and
the
circumstances
of
the
user
(
e.
g.,
the
level
of
protection
used
by
an
applicator)
can
cause
exposure
levels
to
differ
in
a
manner
specific
to
each
scenario.
HED
has
developed
a
series
of
general
descriptions
for
tasks
that
are
associated
with
pesticide
applications.
Tasks
associated
with
pesticide
use
(
i.
e.,
for
"
handlers")
can
generally
be
categorized
using
one
of
the
following
terms:
13
Occupational
Mixer/
loaders:
these
individuals
perform
tasks
in
preparation
for
an
application.
For
example,
they
would
prepare
dilute
spray
solutions
and/
or
load/
transfer
solid
materials
(
e.
g.,
granulars)
or
dilute
spray
solutions
into
application
equipment
such
as
a
groundboom
tractor
or
planter
prior
to
application.
Occupational
Applicators:
these
individuals
operate
application
equipment
during
the
application
of
oxadiazon
to
registered
sites.
These
individuals
can
make
applications
using
equipment
such
as
groundboom
sprayers
or
tractor
drawn
spreaders
for
granular
materials.
Occupational
Mixer/
loader/
applicators:
these
individuals
are
involved
in
the
entire
pesticide
application
process
(
i.
e.,
they
do
all
job
functions
related
to
a
pesticide
application
event).
These
individuals
would
prepare
a
dilute
spray
solution
and
then
also
apply
the
solution.
HED
always
considers
some
exposures
to
be
mixer/
loader/
applicator
exposures
because
of
the
equipment
used
and
the
logistics
associated
with
such
applications.
For
example,
if
one
uses
a
small
handheld
device
such
as
a
1
gallon
low
pressure
handwand
sprayer
it
is
anticipated
that
one
individual
will
mix
a
spray
solution
and
then
apply
the
solution
because
of
labor
and
logistical
considerations.
HED
has
determined
that
there
are
potential
exposures
to
mixers,
loaders,
applicators,
or
other
handlers
during
usual
use
patterns
associated
with
oxadiazon.
Based
on
the
use
patterns
and
potential
exposures
described
above,
14
major
exposure
scenarios
are
identified
in
this
document
to
represent
the
extent
of
oxadiazon
uses.
These
scenarios
include:
mixing/
loading
wettable
powders
for
chemigation
application
(
1a),
mixing/
loading
wettable
powders
for
groundboom
application
(
1b),
mixing/
loading
wettable
powders
for
rights
of
way
sprayer
(
1c),
loading
granular
formulations
(
2),
applying
with
a
groundboom
(
3),
applying
with
a
rights
of
way
sprayer
(
4),
applying
wettable
powders
for
handgun
applicators
(
ORETF)
(
5),
applying
granular
with
a
tractor
drawn
spreader
(
6),
backpack
sprayer
(
LCO)
(
7),
low
pressure
handwand
wettable
powder
formulations
(
LCO)
(
8),
high
pressure
handwand
(
wettable
powder
formulations)
(
9),
lawn
handgun
(
wettable
powder
formulations)
(
ORETF)
(
10),
granulars
with
a
push
type
spreader
(
ORETF)
(
11),
granulars
with
a
bellygrinder
(
LCO)
(
12).
In
most
cases,
HED
assesses
the
exposure
and
risk
to
mixer/
loaders
and
applicators
separately
for
tractor
drawn
applications
(
i.
e.
granular
spreaders)
in
the
RED
chapter.
This
practice
has
evolved,
not
because
it
is
believed
that
there
are
always
separate
job
functions,
but
rather
because
of
the
limited
amount
of
information
regarding
these
practices
along
with
limited
exposure
data.
For
occupational
RED
chapters
process,
HED
has
adopted
a
methodology
to
present
the
risks
separately
for
some
scenarios
and
combine
others.
Most
of
the
hand
held
equipment
such
as
backpack
sprayers,
and
push
type
granular
spreaders
are
assessed
as
a
combined
function.
With
these
types
of
small
operations
the
mixing,
loading,
and
applying
are
almost
always
carried
out
by
the
same
individual
and
there
are
data
available
to
estimate
exposure
from
these
activities.
14
For
equipment
such
as
groundboom
tractors,
the
applications
is
assessed
separately
from
the
individual
who
mixes
and
loads
the
formulated
product.
By
separating
the
two
job
functions,
HED
can
determine
the
most
appropriate
PPE
or
engineering
control
without
requiring
the
handler
to
wear
PPE
throughout
the
entire
workday
or
engineering
controls
that
are
not
needed.
2.1.1
Summary
of
Occupational
Handler
Exposures
Table
4
presents
the
exposure
scenarios,
application
rates,
and
area
(
i.
e.,
acres
)
potentially
treated
that
have
been
used
in
the
exposure
calculations.
Oxadiazon
labels
include
a
multitude
of
uses
and
a
range
of
application
rates.
Chemical
specific
data
for
assessing
human
exposures
during
pesticide
handling
activities
were
not
submitted
to
the
Agency
in
support
of
the
reregistration
of
oxadiazon.
Consequently
it
is
the
policy
of
the
HED
to
use
data
from
the
Pesticide
Handlers
Exposure
Database
(
PHED)
4
Version
1.1
to
assess
handler
exposures
for
regulatory
actions
when
chemical
specific
monitoring
data
are
not
available.
PHED
was
designed
by
a
task
force
of
representatives
from
the
U.
S.
EPA,
Health
Canada,
the
California
Department
of
Pesticide
regulation,
and
member
companies
of
the
American
Crop
Protection
Association.
PHED
is
a
software
system
consisting
of
two
parts
a
database
of
measured
exposure
values
for
workers
involved
in
the
handling
of
pesticides
under
actual
field
conditions
and
a
set
of
computer
algorithms
used
to
subset
and
statistically
summarize
the
selected
data.
Currently,
the
database
contains
values
for
over
1,700
monitored
individuals
(
i.
e.,
replicates)
Users
select
criteria
to
subset
the
PHED
database
to
reflect
the
exposure
scenario
being
evaluated.
The
subsetting
algorithms
in
PHED
are
based
on
the
central
assumption
that
the
magnitude
of
handler
exposures
to
pesticides
are
primarily
a
function
of
activity
(
e.
g.,
mixing/
loading,
applying),
formulation
type
(
e.
g.,
wettable
powders,
granulars),
application
method
(
e.
g.,
groundboom),
and
clothing
scenarios
(
e.
g.,
gloves,
double
layer
clothing).
Once
the
data
for
a
given
exposure
scenario
have
been
selected,
the
data
are
normalized
(
i.
e.,
divided
by)
by
the
amount
of
pesticide
handled
resulting
in
standard
unit
exposures
(
milligrams
of
exposure
per
pound
of
active
ingredient
handled).
Following
normalization,
the
data
are
statistically
summarized.
The
distribution
of
exposure
values
for
each
body
part
(
e.
g.,
chest
upper
arm)
is
categorized
as
normal,
lognormal,
or
"
other"
(
i.
e.,
neither
normal
nor
lognormal).
A
central
tendency
value
is
then
selected
from
the
distribution
of
the
exposure
values
for
each
body
part.
These
values
are
the
arithmetic
mean
for
normal
distributions,
the
geometric
mean
for
lognormal
distributions,
and
the
median
for
all
"
other"
distributions.
Once
selected,
the
central
tendency
values
for
each
body
part
are
composited
into
a
"
best
fit"
exposure
value
representing
the
entire
body.
The
unit
exposure
values
calculated
by
PHED
generally
range
from
the
geometric
mean
to
15
the
median
of
the
selected
data
set.
To
add
consistency
and
quality
control
to
the
values
produced
from
this
system,
the
PHED
Task
Force
has
evaluated
all
data
within
the
system
and
has
developed
a
set
of
grading
criteria
to
characterize
the
quality
of
the
original
study
data.
The
assessment
of
data
quality
is
based
on
the
number
of
observations
and
the
available
quality
control
data.
These
evaluation
criteria
and
the
caveats
specific
to
each
exposure
scenario
are
summarized
in
TableA4.
While
data
from
PHED
provide
the
best
available
information
on
handler
exposures,
it
should
be
noted
that
some
aspects
of
the
included
studies
(
e.
g.,
duration,
acres
treated,
pounds
of
active
ingredient
handled)
may
not
accurately
represent
labeled
uses
in
all
cases.
HED
has
developed
a
series
of
tables
of
standard
unit
exposure
values
for
many
occupational
scenarios
that
can
be
utilized
to
ensure
consistency
in
exposure
assessments.
The
method
of
risk
assessment
for
adult
non
occupational/
residential
handlers
was
essentially
the
same
as
that
for
occupational
workers
with
similar
application
methods.
The
Residential
SOPs
(
1997)
and
the
Outdoor
Residential
Exposure
Task
Force
(
ORETF
)
study
data
were
both
used
to
estimate
exposure
and
compared.
After
preliminary
review
by
the
Agency,
the
ORETF
data
was
found
to
be
equal
or
superior
in
quality
to
the
data
set
from
the
Standard
Operating
Procedures
(
SOPs)
for
Residential
Exposure
Assessments
(
revised
December
1999)
currently
used
by
the
Agency.
Some
of
these
data
may
be
combined,
but
they
are
used
separately
for
this
assessment.
Table
4:
Exposure
Variables
for
Uses
ofOxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
Application
Rates
(
lb
ai/
acre)
a
Daily
Acres
Treatedb
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3
350
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
4
40
herbaceous
ornamentals
3
40
sod
farms
3
80
golf
courses
4
40
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
4
40
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest.
4
80
golf
course
turf,
parks,
recreational
areas
4
40
woody
ornamentals
4
40
Applicator
Table
4:
Exposure
Variables
for
Uses
ofOxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
Application
Rates
(
lb
ai/
acre)
a
Daily
Acres
Treatedb
16
Applying
with
a
Groundboom
(
3)
sod
farms
3
80
herbaceous
ornamentals
3
40
golf
courses
4
40
conifer
nurseries,
woody
ornamentals
4
40
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
4
40
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
4
5
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
4
80
golf
courses
4
40
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
a
w
n
s
,
g
o
l
f
c
o
u
r
s
e
s
,
ornamentals
nurseries
4
5
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
4
5
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
4
5
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
4
5
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
r
e
c
r
e
a
t
i
o
n
a
l
a
r
e
a
s
,
ornamentals
4
5
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
4
1
a
Application
rates
are
the
maximum
or
range
found
on
oxadiazon
labels
b
Daily
acres
treated
are
based
on
HED's
estimates
of
acreage
that
would
be
reasonably
expected
to
be
treated
in
a
single
day
for
each
exposure
scenario
of
concern.
LCO
=
lawn
care
operators
2.1.2
Summary
of
Uncertainties
The
handler
exposure
assessments
encompass
all
of
the
major
uses
of
oxadiazon
throughout
the
country.
It
is
difficult
to
assess
all
of
the
"
typical"
uses
(
i.
e.,
actual
or
predominate
application
rates
and
farm
sizes),
and
therefore,
an
assessment
has
been
developed
that
is
believed
to
be
realistic
and
yet
provides
a
reasonable
certainty
that
the
exposures
are
not
underestimated.
17
Daily
Dermal
Exposure
mg
ai
Day
Dermal
Unit
Exposure
mg
ai
lb
ai
Max.
Appl.
Rate
lb
ai
Acre
Max.
Area
Treated
Acres
Day
Daily
Inhalation
Exposure
mg
ai
day
Unit
Exposure
g
ai
lb
ai
x
Conversion
Factor
1mg
1,000
g
x
Use
Rate
lb
ai
A
x
Daily
Acres
Treated
A
day
The
assumptions
and
uncertainties
are
identified
below
to
be
used
in
risk
management
decisions:
Application
Rates:
The
application
rates
are
the
maximum
allowable
that
were
identified
on
the
available
product
labels.
Amount
Handled:
The
daily
acres
treated
are
HED
standard
values
(
see
Table
4).
The
values
for
groundboom
applications
in
agriculture
and
on
turf/
ornamentals
vary.
Groundboom
applications
in
an
agricultural
setting
are
based
on
an
80
acre
day
because
the
Agency
believes
it
would
take
8
hours
to
complete
that
type
of
application
with
common
equipment
and
that
acreage
estimate
for
various
crops
is
reasonable.
On
the
other
hand,
the
value
for
groundboom
applications
on
golfcourse
turf
is
based
on
treating
40
acres
because
that
is
the
value
calculated
to
represent
a
18
hole
course
(
they
account
for
about
10%
of
all
golf
courses
based
on
registrants
comments
and
investigation
by
Agency
personnel).
The
40
acre
value
is
not
the
maximum
that
can
be
treated
on
a
single
day
given
that
the
application
equipment
is
likely
capable
of
treating
higher
acreage.
The
daily
limitation
of
40
acres
per
day
is
based
on
the
fact
that
an
applicator
would
only
treat
a
course
a
single
time
on
any
given
day.
2.1.3
Calculations
of
Exposure
Potential
daily
dermal
exposure
is
calculated
using
the
following
formula:
Potential
daily
inhalation
exposure
is
calculated
using
the
following
formula:
These
calculations
of
potential
daily
exposure
to
oxadiazon
by
handlers
are
used
to
calculate
the
absorbed
doses
and
total
risk
to
those
handlers
(
see
Occupational
Risk
section).
2.1.4
Calculation
of
Cancer
Cancer
risk
assessments
for
handler
used
baseline
exposure
scenarios
and,
as
needed,
increasing
levels
of
risk
mitigation
(
PPE
and
engineering
controls)
to
achieve
cancer
risks
that
are
not
of
concern.
Tables
B1
to
B4
in
Appendix
B
present
total
cancer
risk
calculations
at
baseline,
with
various
PPE
(
ie.,
single
layer+
gloves
and
no
respirator,
double
layer
+
gloves
and
no
18
Daily
Dermal
Exposure
mg
ai
day
Unit
Exposure
mg
ai
lb
ai
x
Use
Rate
lb
ai
A
x
Daily
Acres
Treated
A
day
Daily
Inhalation
Exposure
mg
ai
day
Unit
Exposure
g
ai
lb
ai
x
Conversion
Factor
1mg
1,000
g
x
Use
Rate
lb
ai
A
x
Daily
Acres
Treated
A
day
Daily
Inhalation
Dose
mg
ai
kg/
day
Daily
Inhalation
Exposure
mg
ai
day
x
1
Body
Weight
(
kg)
Daily
Dermal
Dose
mg
ai
Kg/
Day
Daily
Dermal
Exposure
mg
ai
Day
x
1
Body
Weight
(
Kg)
x
0.09
Dermal
Absorption
Factor
Total
Daily
Dose
Daily
Dermal
Dose
mg
kg/
day
Daily
Inhalation
Dose
mg
kg/
day
LADD
mg
kg/
day
Daily
Total
Dose
mg
kg/
day
x
days
worked
365
days
per
year
x
35
years
worked
70
year
lifetime
respirator,
single
layer+
gloves
and
respirator
and
double
layer
+
gloves
and
respirator)
and
with
engineering
controls,
respectively,
for
each
exposure
scenario.
The
calculations
of
daily
dermal
and
inhalation
exposure
to
oxadiazon
by
handlers
were
used
to
calculate
the
daily
dose,
and
hence
the
risks,
to
those
handlers.
Potential
daily
dermal
exposure
was
calculated
using
the
following
formula:
Potential
daily
inhalation
exposure
was
calculated
using
the
following
formula:
The
daily
dermal
and
inhalation
doses
were
calculated
using
a
70
kg
body
weight
using
the
following
formulas:
The
lifetime
average
daily
dose
(
LADD)
was
calculated
using
the
following
formula:
T
otal
cancer
risk
was
calculated
using
the
following
formula:
19
Total
Cancer
Risk
LADD
x
Q1
where
Q
1
*
=
7.11x10
2
(
mg/
kg/
day)
1
The
following
assumptions
and
factors
were
used
in
order
to
complete
this
cancer
risk
assessment:
The
average
body
weight
of
70
kg
is
used,
representing
a
typical
adult.
Career
duration
is
assumed
to
be
35
years.
This
represents
a
typical
working
lifetime.
Lifetime
is
assumed
to
be
70
years.
Dermal
absorption
is
assumed
to
be
9
%,
and
inhalation
absorption
is
assumed
to
be
100
percent
of
the
oral
dose.
The
dermal
and
inhalation
doses
were
added
together
to
represent
total
daily
dose.
The
Q1*
used
in
the
cancer
assessment
was
7.11x10
2(
mg/
kg/
day)
1
.
Two
exposure
frequencies
were
used
in
the
calculations,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
The
Agency
has
defined
a
range
of
acceptable
cancer
risks
based
on
a
policy
memorandum
issued
in
1996
by
then
office
director,
Dan
Barolo.
This
memo
refers
to
a
predetermined
quantified
"
level
of
concern"
for
occupational
carcinogenic
risk.
In
summary,
this
policy
memo
indicates
occupational
carcinogenic
risks
that
are
1
x
10
6
or
lower
require
no
risk
management
action.
For
those
chemicals
subject
to
reregistration,
the
Agency
is
to
carefully
examine
uses
with
estimated
risks
in
the
10
6
to
10
4
range
to
seek
ways
of
cost
effectively
reducing
risks.
If
carcinogenic
risks
are
in
this
range
for
occupational
handlers,
increased
levels
of
personal
protection
would
be
warranted
as
is
commonly
applied
with
noncancer
risk
estimates
(
e.
g.,
additional
PPE
or
engineering
controls).
Carcinogenic
risks
that
remain
above
1.0
x
10
4
at
the
highest
level
of
mitigation
appropriate
for
that
scenario
remain
a
concern.
2.2
Risk
From
Handler
Exposures
Using
the
daily
dermal
exposure
scenarios
identified
in
the
exposure
section,
EPA
calculated
the
potential
risk
to
persons
from
handler
exposures
and
post
application
exposures
to
oxadiazon.
20
Daily
Inhalation
Dose
mg
ai
kg/
day
Daily
Inhalation
Exposure
mg
ai
day
x
1
Body
Weight
(
kg)
1
(
100%)
Daily
Dermal
Dose
mg
ai
kg/
Day
Daily
Dermal
Exposure
mg
ai
Day
x
1
Body
Weight
(
kg)
0.09
(
9%)
MOE
NOAEL
mg
kg/
day
Dermal
Daily
Dose
mg
kg/
day
MOE
NOAEL
mg
kg/
day
Inhlation
Daily
Dose
mg
kg/
day
Potential
dermal
and
inhalation
daily
exposures
for
occupational
handlers
were
calculated
using
the
following
formulas
(
9%
dermal
absorption
was
assumed):
The
daily
dermal
and
inhalation
doses
were
calculated
using
a
60
kg
body
weight
using
the
following
formulas:
The
MOEs
were
calculated
using
the
following
formulas:
A
total
MOE
is
also
calculated
because
there
is
a
common
endpoint.
The
uncertainty
factor
of
100
is
applied
to
all
routes
and
exposure
durations.
Route
specific
data
are
available
for
the
dermal
and
oral
routes,
and
therefore,
the
following
reciprocal
MOE
calculation
is
used:
1/((
1/
Dermal
MOE)
+
(
1/
Inhalation
MOE)
2.2.1
Risk
From
Handler
Exposures
Handler
exposure
assessments
are
completed
by
EPA
using
a
baseline
exposure
scenario
and,
if
required,
increasing
levels
of
risk
mitigation
(
PPE
and
engineering
controls)
to
achieve
a
margin
of
exposure
of
100
for
dermal
and
inhalation
exposure
or
cancer
risk
of
1.0x
10
4
to
1.0x
10
6.
Appendix
A
presents
the
short
term
and
intermediate
term
MOE
calculations
for
baseline
exposure
plus
the
risk
mitigation
measures
of
personal
protective
equipment
(
PPE)
and
engineering
controls
using
data
from
PHED
and
ORTEF
for
the
uses
of
oxadiazon.
Aventis
is
a
member
of
the
ORETF
so
there
are
no
data
compensation
issues
associated
with
the
use
of
this
data.
Appendix
B
Tables
B1
to
B4
presents
the
cancer
risk
calculations
for
baseline
exposure
plus
the
risk
mitigation
measures
of
personal
protective
equipment
(
PPE)
and
engineering
21
controls.
EPA
calculated
the
baseline
MOE
(
short
term
and
intermediate
term)
and
cancer
for
each
of
the
exposure
scenarios
using
the
following
baseline
PPE
assumptions:
$
all
occupational
handlers
are
wearing
footwear
(
socks
plus
shoes
or
boots).
$
occupational
mixers
and
loaders
using
open
mixing
techniques
are
wearing
longsleeved
shirts,
long
pants,
and
no
gloves.
$
occupational
applicators
use
open
cab
tractor
driven
application
equipment.
$
occupational
handlers
(
mixers,
loaders,
and
applicators)
who
use
hand
held
application
equipment
are
wearing
long
sleeve
shirts,
long
pants,
and
no
gloves.
If
the
baseline
short
term
or
intermediate
term
MOE
calculated
using
this
baseline
PPE
was
100
or
greater
(
since
the
NOAEL
is
based
on
data
from
animal
studies)
for
an
exposure
scenario,
then
no
further
calculations
were
made.
If
the
baseline
short
term
or
intermediate
term
MOE
was
less
than
100
for
any
exposure
scenario,
an
additional
short
term
or
intermediate
term
MOE
was
calculated
based
on
increasing
the
level
of
PPE
over
the
baseline
PPE.
HED
calculated
the
additional
PPE
short
term
or
intermediate
term
MOE
for
each
occupational
exposure
scenario
with
a
baseline
total
MOE
of
less
than
100,
using
the
following
additional
PPE
assumptions:
$
all
occupational
handlers
are
wearing
footwear
(
socks
plus
shoes
or
boots)
$
occupational
mixers
and
loaders
using
open
mixing
techniques
are
wearing
longsleeved
shirts
and
long
pants
and
gloves;
this
represents
minimum
PPE
$
occupational
mixers
and
loaders
using
open
mixing
techniques
are
wearing
longsleeved
shirts
and
long
pants,
coveralls
and
gloves;
this
represents
maximum
PPE
$
occupational
applicators
who
use
open
cab
tractor
driven
application
equipment
$
Also,
if
necessary,
dust/
mist
respirator
represented
by
5
fold
protection
factor
or
an
organic
vapor
respirator
represented
by
a
10
fold
protection
factor
are
added
to
mitigate
the
risks.
If
the
additional
PPE
short
term
or
intermediate
term
MOE
calculated
using
this
additional
PPE
was
100
or
greater
(
the
NOAEL
is
based
on
data
from
animal
studies)
for
an
exposure
scenario,
then
no
further
calculations
were
made.
If
the
additional
PPE
short
term
or
intermediate
term
MOE
remained
less
than
100
for
any
occupational
exposure
scenario,
an
addition
short
term
or
intermediate
term
MOE
was
calculated
based
on
mandatory
use
of
engineering
controls
where
feasible.
Engineering
controls
are
not
available
for
occupational
handlers
(
mixers,
loaders,
and
applicators)
who
use
hand
held
application
equipment.
HED
calculated
the
engineering
control
short
term
or
intermediate
term
MOE
for
each
occupational
exposure
scenario
with
an
additional
PPE
short
term
or
intermediate
term
MOE
of
less
than
100,
using
the
following
engineering
control
assumptions:
$
all
occupational
handlers
are
wearing
footwear
(
socks
plus
shoes
or
boots).
$
occupational
mixers
and
loaders
handling
liquid
formulations
using
a
closed
system
22
are
wearing
chemical
resistant
gloves
plus
long
sleeved
shirts
and
long
pants.
$
occupational
mixers
and
loaders
handling
wettable
powders
using
a
closed
system
(
water
soluble
packages)
are
wearing
long
sleeved
shirts
and
long
pants,
and
chemical
resistant
gloves.
$
occupational
applicators
who
use
tractor
driven
application
equipment
are
located
in
enclosed
cabs
are
wearing
long
sleeved
shirts
and
long
pants,
and
no
gloves.
2.2.2
Summary
of
Handler
MOEs
and
Cancer
Table
5
summarizes
the
numeric
MOE
values
for
both
the
short
and
intermediate
term
exposure
durations.
The
MOEs
are
presented
for
baseline,
PPE
and
engineering
controls.
Cancer
values
also
summarized
in
Table
6
at
different
levels
of
mitigation.
Baseline
for
non
cancer
assessment
represents
long
pants,
long
sleeved
shirts
and
no
gloves
or
respirator,
PPE
dermal
unit
exposure
represents
long
pants,
long
shirts
and
gloves
for
scenarios
5,
7,
9
and
long
pants,
long
shirts
gloves
and
double
layer
(
50%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
PPE
inhalation
unit
exposure
represents
dust/
mist
respirator
(
80
%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages
for
scenario
1a.
The
results
of
the
short
and
intermediate
term
handler
assessments
indicate
that
all
potential
exposure
scenarios
provide
at
least
one
application
rate
with
a
total
MOE(
s)
greater
than
or
equal
to
100
at
either
the
baseline
(
i.
e.,
long
pants,
long
sleeved
shirts,
no
gloves)
using
open
systems,
PPE
(
i.
e.,
long
pants,
long
sleeved
shirts,
and
chemical
resistant
gloves
while
using
open
systems)
or
using
engineering
controls
(
i.
e.,
closed
systems).
In
the
majority
of
cases,
it
is
dermal
exposure
rather
than
the
inhalation
exposure
driving
the
total
MOEs.
In
total,
37
MOEs
were
calculated
for
the
various
application
rates.
The
total
MOEs
for
all
the
scenarios
range
from
2
to
3000.
The
results
of
the
Cancer
Risk
indicate
that
the
values
range
from
1.65E
2
to
4.66E
7
at
the
baseline
(
long
pants,
long
shirts
and
no
gloves),
2.56E
3
to
4.11E
7
at
PPE1
(
long
pants,
long
shirts,
gloves
and
no
respirator),
2.40E
3
at
PPE2
(
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator),
1.05E
3
to
1.98E
7
at
PPE3
(
long
pants,
long
shirts,
gloves
and
respirator),
8.90E
4
to
1.38E
07
at
PPE4
(
long
pants,
long
shirts,
double
layer,
gloves
and
respirator)
and
9.92E
5
to
1.10E
8
at
engineering
control.
Table
5:
Exposure
Variables,
MOEs
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
App
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Dermal
MOEs
Inhalation
MOEs
Base
line
PPE
Eng.
Control
Base
line
PPE
En
Con
Mixer/
Loader
Table
5:
Exposure
Variables,
MOEs
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
App
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Dermal
MOEs
Inhalation
MOEs
Total
MOEs
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
23
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3
350
2
59
gl,
dl
780
wsp
16
80
resp
2900
2
35
610
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
4
40
14
380
gl,
dl
NA
100
520
resp
NA
12
220
NA
herbaceous
ornamentals
3
40
18
510
gl,
dl
NA
140
700
resp
NA
16
300
NA
sod
farms
3
80
9
260
gl,
dl
NA
70
350
resp
NA
8
150
NA
golf
courses
4
40
14
380
gl,
dl
NA
100
520
resp
NA
12
220
NA
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
r
o
a
d
s
i
d
e
t
u
r
f
,
ornamentals
4
40
14
380
gl,
dl
NA
100
520
resp
NA
12
220
NA
Loading
Granular
formulations
(
2)
so
d
f
a
rms
,
coni
fer
s
forest
4
80
3000
NA
NA
1300
NA
NA
920
NA
NA
golf
course
turf,
parks,
recreational
areas
4
40
6000
NA
NA
2600
NA
NA
1800
NA
NA
woody
ornamentals
4
40
6000
NA
NA
2600
NA
NA
1800
NA
NA
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
3
80
2400
NA
NA
4100
NA
NA
1500
NA
NA
herbaceous
ornamentals
3
40
4800
NA
NA
8100
NA
NA
3000
NA
NA
golf
courses
40
3600
NA
NA
6100
NA
NA
2300
NA
NA
conifer
nurseries,
woody
ornamentals
4
40
3600
NA
NA
6100
NA
NA
2300
NA
NA
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
4
40
38
130
NA
1200
1200
NA
37
120
NA
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
l
a
w
n
s
,
p
a
r
k
s
,
recreational
areas
4
5
See
PPE
550
gl
NA
36000
36000
NA
See
PPE
540
NA
Table
5:
Exposure
Variables,
MOEs
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop
Type
App
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Dermal
MOEs
Inhalation
MOEs
Total
MOEs
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
Base
line
PPE
Eng.
Control
24
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
4
80
2500
NA
NA
1900
NA
NA
1100
NA
NA
golf
courses
4
40
5100
NA
NA
3800
NA
NA
2200
NA
NA
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
awns,
gol
f
courses,
ornamentals
nurseries
4
5
See
PPE
160
gl
NA
1200
1200
NA
See
PPE
140
NA
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
4
5
14
65
gl,
dl
NF
33
160
resp
NF
10
46
NF
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
4
5
See
PPE
160
gl
NA
300
300
NA
See
PPE
100
NA
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
4
5
560
NA
NA
580
NA
NA
280
NA
NA
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
recreational
areas,
ornamentals
4
5
1100
NA
NA
4800000
NA
NA
1100
NA
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
4
1
200
NA
NA
2900
NA
NA
190
NA
NA
Baseline
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts
and
no
gloves.
.
Baseline
inhalation
unit
exposure
represents
no
respirator
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
and
gloves
for
scenarios5,
7,
and
9.
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
gloves
and
double
layer
(
50%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
PPE
inhalation
unit
exposure
represents
dust/
mist
respirator
(
80
%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages
for
scenario
1a.
Engineering
inhalation
unit
exposure
represents
no
respirator
NA
=
Not
applicable
NF=
not
feasible
gl
=
gloves
dl
=
double
layer
wsp
=
water
soluble
packages
resp
=
dust
mist
respirator
25
Table
6:
Exposure
Variables,
Cancer
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop/
Target
Appl
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Cancer
Base
line
PPE
1
PPE
2
PPE
3
PPE
4
Eng.
Control
Mixer/
Loader
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3
350
1.65e
03/
1.65e
02
2.56e
04/
2.56e
03
2.40e
04/
2.40e
03
1.05e
04/
1.05e
03
8.90e
05/
8.90e
04
4.92e
06/
4.92e
05
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
herbaceous
ornamentals
3
40
1.88e
04/
1.88e
03
2.92e
05/
2.92e
04
2.74e
05/
2.74e
04
1.20e
05/
1.20e
04
1.02e
05/
1.02e
04
5.62e
07/
5.62e
06
sod
farms
3
80
3.77e
04/
3.77e
03
5.84e
05/
5.84e
04
5.48e
05/
5.48e
04
2.39e
05/
2.39e
04
2.03e
05/
2.03e
04
1.12e
06/
1.12e
05
golf
courses
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
4
40
2.51e
04/
2.51e
03
3.89e
05/
3.89e
04
3.65e
05/
3.65e
04
1.60e
05/
1.60e
04
1.36e
05/
1.36e
04
7.49e
07/
7.49e
06
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
4
80
3.28e
06/
3.28e
05
3.10e
06/
3.10e
05
2.68e
06/
2.68e
05
1.28e
06/
1.28e
05
8.63e
07/
8.63e
06
2.20e
08/
2.20e
07
golf
course
turf,
parks,
recreational
areas
4
40
1.64e
06/
1.64e
05
1.55e
06/
1.55e
05
1.34e
06/
1.34e
05
6.42e
07/
6.42e
06
4.31e
07/
4.31e
06
1.10e
08/
1.10e
07
woody
ornamentals
4
40
1.64e
06/
1.64e
05
1.55e
06/
1.55e
05
1.34e
06/
1.34e
05
6.42e
07/
6.42e
06
4.31e
07/
4.31e
06
3.29e
08/
3.29e
07
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
3
80
2.00e
06/
2.00e
05
2.00e
06/
2.00e
05
1.73e
06/
1.73e
05
1.41e
06/
1.41e
05
1.14e
06/
1.14e
05
4.94e
07/
4.94e
06
herbaceous
ornamentals
3
40
1.00e
06/
1.00e
05
1.00e
06/
1.00e
05
8.67e
07/
8.67e
06
7.06e
07/
7.06e
06
5.71e
07/
5.71e
06
2.47e
07/
2.47e
06
golf
courses
4
40
1.34e
06/
1.34e
05
1.34e
06/
1.34e
05
1.16e
06/
1.16e
05
9.42e
07/
9.42e
06
7.61e
07/
7.61e
06
3.29e
07/
3.29e
06
Table
6:
Exposure
Variables,
Cancer
for
Uses
of
Oxadiazon
Exposure
Scenario
(
Scenario
#)
Crop/
Target
Appl
Rates
(
lb
ai/
acre)
Daily
Acres
Treated
Cancer
Base
line
PPE
1
PPE
2
PPE
3
PPE
4
Eng.
Control
26
conifer
nurseries,
woody
ornamentals
4
40
1.34e
06/
1.34e
05
1.34e
06/
1.34e
05
1.16e
06/
1.16e
05
9.42e
07/
9.42e
06
7.61e
07/
7.61e
06
3.29e
07/
3.29e
06
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
4
40
8.07e
05/
8.07e
04
2.60e
05/
2.60e
04
2.00e
05/
2.00e
04
2.40e
05/
2.40e
04
1.80e
05/
1.80e
04
NA
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
4
5
See
PPE
5.57e
06/
5.57e
05
2.94e
06/
2.94e
05
5.50e
06/
5.50e
05
2.87e
06/
2.87e
05
NA
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
4
80
9.31e
07/
9.31e
06
8.23e
07/
8.23e
05
7.03e
07/
7.03e
06
3.95e
07/
3.95e
06
2.75e
07/
2.75e
06
1.82e
07/
1.82e
06
golf
courses
4
40
4.66e
07/
4.66e
06
4.11e
07/
4.11e
06
3.51e
07/
3.51e
06
1.98e
07/
1.98e
06
1.38e
07/
1.38e
06
9.11e
08/
9.11e
07
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
a
w
n
s
,
g
o
l
f
c
o
u
r
s
e
s
,
ornamentals
nurseries
4
5
See
PPE
2.13e
05/
2.13e
04
1.45e
05/
1.45e
04
1.93e
05/
1.93e
04
1.25e
05/
1.25e
04
NA
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
4
5
3.10e
04/
3.10e
03
1.56e
04/
1.56e
03
1.38e
04/
1.38e
03
8.30e
05/
8.30e
04
6.50e
05/
6.50e
04
NA
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
4
5
See
PPE
1.88e05/
1.88e
04
1.20e
05/
1.20e
04
1.98e
05/
1.98e
04
1.31e
05/
1.31e
04
NA
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
4
5
1.06e
05/
1.06e
04
1.06e
05/
1.06e
04
8.03e
06/
8.03e
05
6.44e
06/
6.44e
05
3.89e
06/
3.89e
05
NA
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
recreational
areas,
ornamentals
4
5
2.33e
06/
2.33e
05
1.80e
06/
1.80e
05
No
data
1.80e
06/
1.80e
05
No
data
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
4
1
1.61e
05/
1.61e
04
1.50e
05/
1.50e
04
9.60e
06/
9.60e
05
1.42e
05/
1.42e
04
8.77e
06/
8.77e
05
NA
Baseline
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts
and
no
gloves.
PPE
1
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
no
respirator.
PPE
2
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator.
PPE
3
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
respirator.
PPE
4
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
respirator.
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages.
Engineering
inhalation
unit
exposure
represents
no
respirator.
27
Two
exposure
frequencies
were
used
for
cancer,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
NA=
Not
applicable
3.0
POSTAPPLICATION
EXPOSURES
3.1
Postapplication
Exposure
&
Assumption
HED
uses
the
term
"
post
application"
to
describe
those
individuals
who
can
be
exposed
to
pesticides
after
entering
areas
previously
treated
with
pesticides
and
performing
certain
tasks
or
activities
(
also
often
referred
to
as
reentry
exposure).
Most
of
the
oxadiazon
used
in
agriculture
is
applied
either
pre
plant
or
when
the
crops
are
quite
small
(
early
post
emergence).
This
fact,
and
the
degree
of
mechanization,
minimizes
the
postapplication
contact
of
workers
with
oxadiazon.
However,
The
Agency
has
determined
that
there
are
potential
postapplication
exposures
to
individuals
re
entering
oxadiazon
treated
areas
for
the
purpose
of:
°
Roadsides:
mowing
°
Bermuda
grass
rights
of
way:
mowing
°
Sod
farms:
mowing
and
harvesting
°
Golf
course
turfgrass:
mowing
3.1.1
Data
Source
and
Assumptions
for
Scenario
Considered
Although
two
transferable
turf
residues
(
TTR)
studies
(
MRID#
449955
01and
449955
02)
and
one
Jazzercize
study
(
MRID#
435178
01)
were
submitted
in
support
of
the
reregistration
of
oxadiazon,
only
the
Jazzercize
study
found
to
be
acceptable
for
this
assessment.
The
TTR
studies
were
reviewed
and
found
to
have
TTR
transfer
efficiencies
of
less
than1%
(
transfer
efficiency
=
%
of
the
application
rate).
TTR
data
generated
by
ORETF
members
rely
on
a
modified
version
of
the
California
roller
(
ORETF
roller)
that
appears
to
have
a
much
lower
transfer
efficiency
(
percent
of
application
rate)
than
the
original
version.
Many
TTR
data
submitted
by
ORETF
members
show
percent
transferabilities
of
less
than
1%
of
the
application
rate
for
sprayable
formulations
and
less
than
0.5%
of
the
application
rate
for
granular
formulations.
ORD
has
conducted
a
round
robin
test
of
TTR
methods
that
included
the
ORETF
roller
(
Fortune
1997).
While
ORD
concluded
that
the
ORETF
roller
performed
the
best
of
all
methods,
transfer
efficiency
for
three
liquid
herbicide
formulations
indicated
a
transfer
efficiency
of
~
0.5%.
The
ORETF
data
was
not
used
with
the
revised
Transfer
Coefficients
referenced
in
current
residential
SOP
since
these
revised
TCs
are
based
on
TTR
transfer
efficiencies
of
~
1
5%
(
transfer
efficiency
=
%
of
the
application
rate).
Therefore
the
TTR
values
from
these
studies
are
not
included
in
this
assessment.
The
Jazzercize
study
(
MRID
#
435178
01)
was
reviewed
and
found
to
be
acceptable
for
this
assessment.
MRID
435178
01.
Evaluation
of
Turf
Re
entry
Exposure
to
a
Broadcast
Application
of
Ronstar
®
50
WP,
L.
Rosenheck
(
1995).
Pan
Agricultural
Labs,
Inc.
Number:
93293
Unpublished
study
prepared
by
Rhone
Poulenc
AG
Company.
300
pages.
28
This
study
on
turf
transferable
residues
(
TTR)
was
submitted
by
Rhone
Poulenc
Ag
Company,
in
response
to
an
occupational/
residential
exposure
Data
Call
In,
and
in
support
of
oxadiazon
re
registration
requirements.
Ronstar
®
50
WP
a
wettable
powder
product
containing
~
50
%
oxadiazon,
was
applied
to
turf
in
North
Carolina.
The
study
was
conducted
in
order
to
quantify
the
dermal
exposure
associated
with
re
entry
onto
oxadiazon
treated
turf.
Ronstar
®
50
WP
which
is
labeled
for
use
on
dormant,
Bermuda
grass,
St.
Augustine
grass
and
Zoisia
turf
in
areas
such
as
fairways,
parks,
and
lawns
was
used
at
a
maximum
label
rate
of
3
.0
lb
ai/
A.
Two
different
exposure
scenarios
were
monitored:
a)
Application
at
the
maximum
label
rate
followed
by
re
entry
as
soon
as
the
turf
was
dry.
b)
Application
within
30
minuted
by
sprinkler
irrigation
of
1/
10
inch
of
water
with
re
entry
occurring
as
soon
as
the
turf
is
dry.
Overall,
the
study
met
most
criteria
of
the
OPPTS
Post
application
Exposure
Monitoring
Test
Guidelines,
875.2100,
Transferable
Residue
Dissipation:
Lawn
and
Turf.
Most
of
the
field
samples
returned
results
that
were
<
LOQ
for
oxadiazon,.
No
LOD
value
was
defined
in
the
study,
however.
The
overall
mean
recovery
for
field
fortification
samples
of
oxadiazon
ranged
between
64.7
to
99.6%.
On
Day
0,
the
highest
average
turf
transferable
residues
(
TTR)
for
non
irrigated
plot
was
1.22
µ
g
per
cm
2
and
0.694
µ
g
per
cm
2
on
irrigated
plot.
The
TTR
values
adjusted
for
an
application
rate
of
4.0
lb
ai/
A.
The
TTR
value
from
the
above
study
utilized
a
wettable
powder
formulation
which
by
far
has
a
higher
potential
for
exposure
than
the
oxadiazon
granular
formulations.
Since
91%
of
the
total
use
involves
granular
formulations,
using
wettable
powder
TTR
values
is
a
conservative
approach
and
can
be
considered
the
upper
level
estimates
of
exposure.
A
linear
regression
to
calculate
a
dissipation
rate
(
T
½
)
for
oxadiazon
TTR
from
irrigated
and
non
irrigated
test
sites
was
performed,
using
all
non
zero,
uncorrected,
averaged
data
point
from
DAT
0
through
DAT
7.
Calculated
dissipation
half
lives
for
the
irrigated
plot
was
1.7days
(
R2=
0.64)
and
for
the
non
irrigated
plot
was
1.4
days
(
R2=
0.64)
3.1.2
Assumptions
Used
in
Postapplication
Exposure
Calculations
Based
on
data
submitted
for
reregistration,
the
most
common
postapplication
exposures
will
occur
for
workers
on
turf.
Based
on
label
restrictions
and
pattern
of
use,
oxadiazon
is
applied
early
in
the
season,
either
pre
plant
or
before
weeds
emerge
(
pre
emergence).
Mowing
would
be
a
common
postapplication
activity
after
either
spraying
method.
Treated
turf
or
grasses
will
routinely
require
reentry
activities,
such
as
mowing
and
watering,
and
eventually
harvesting
in
the
case
of
sod
farms.
Because
oxadiazon
has
a
low
vapor
pressure
(
1.0
x
10
6mm
Hg)
and
is
only
used
outdoors,
the
inhalation
component
of
postapplication
exposure
is
anticipated
to
be
negligible.
Therefore,
all
calculations
of
postapplication
risk
estimates
have
been
done
for
dermal
exposure
only.
Postapplication
exposure
via
the
inhalation
route
is
considered
to
be
negligible.
29
Dose
(
mg/
kg/
d)
(
DFR
(
g/
cm
2)
x
Tc
(
cm
2/
hr)
x
CF
1
mg
1,000
g
x
Abs
x
ED
(
hrs/
day))
BW
MOE
NOAEL
(
mg/
kg/
day)
Dose
(
mg/
kg/
day)
3.1.3
Exposure
and
Risk
Calculations
Short
and
intermediate
term
daily
absorbed
doses
and
MOEs
were
calculated
as
follows:
Where:
DFR
=
daily
DFR,
as
calculated
above
for
the
assumed
average
reentry
day
Tc
=
transfer
coefficient;
CF
=
conversion
factor
(
i.
e.,
1
mg/
1,000
g)
Abs
=
dermal
absorption
(
9%)
ED
=
exposure
duration;
8
hours
worked
per
day
BW
=
body
weight
(
60
kg)
Dermal
MOEs
were
calculated
as
follows:
Where:
NOAEL
=
12
mg/
kg/
day
for
short
term
and
intermediate
term
Dose
=
calculated
absorbed
dermal
dose
For
the
purposes
of
occupational
risk
assessments,
the
following
residue
values
were
chosen:
°
For
short
term
and
intermediate
term
postapplication
turf
activities,
the
Residential
SOP
standard
5%
of
the
amount
ai
applied
is
used,
along
with
standard
transfer
coefficients
(
updated
8/
2000).
3.1.4
Postapplication
Exposure
Risk
Estimates
For
turf
or
sod
mowing
and
harvesting,
transfer
coefficients
of
500
and
16,500
cm2/
hr
were
used,
based
on
the
ARTF
data
(
see
HED
Exposure
SAC
Policy
guidance
3.1,
8/
00).
As
shown
in
Table
C1,
short
and
intermediate
term
exposure
had
an
estimated
MOEs
of
30
1,000.
Similarly
occupational
post
application
cancer
risks
were
estimated
to
fall
within
the
acceptable
range
of
1
x
10
4
to
1
x
10
6.
Residential
SOP
standard
value
of
5%
of
application
rate
used.(
see
Appendix
C,
Table
C1)
3.2
Non
Occupational
Postapplication
Exposures
and
Risk
Estimates
30
The
Agency
has
determined
that
there
are
potential
postapplication
exposures
to
residents
entering
oxadiazon
treated
lawns,
either
as
a
result
of
commercial
or
private
application.
3.2.1
Postapplication
Exposure
Scenarios
The
scenarios
likely
to
result
in
postapplication
exposures
are
presented
below.
The
duration
of
postapplication
dermal
exposure
is
expected
to
be
either
short
term
or
intermediate
term,
based
on
oxadiazon
turf
residue
dissipation
data.
As
calculated
from
the
previously
discussed
Jazzercise
study
(
MRID
#
435178
01),
oxadiazon
has
a
half
life
on
turf
of
up
to
1.4
days
(
irrigated)
and
1.7
days
(
non
irrigated)
after
spraying,
requiring
several
days
to
dissipate
to
non
detectable
levels
of
transferable
residues.
Because
the
label
prohibits
application
more
than
3
times
per
year,
and
even
with
the
slow
dissipation
rates,
it
is
not
expected
that
individual
residential
exposure
duration
would
exceed
30
days
in
duration.
Exposure
on
a
residential
lawn
would
diminish
continuously
with
time,
while
exposure
through
recreation
turf
contact
would
be
more
like
random
intermittent
events
of
varying
doses,
all
less
than
the
dose
predicted
in
this
assessment.
The
resulting
risk
estimates
are
summarized
in
Tables
C2
(
non
cancer)
and
C3
(
cancer).
Residential
postapplication
exposure
assessments
assumed
residents
wear
the
following
attire:
short
sleeved
shirt,
short
pants,
shoes
and
socks,
and
no
gloves
or
respirator.
As
stated
in
the
occupational
postapplication
risk
section
of
this
document,
negligible
oxadiazon
inhalation
exposure
is
anticipated
for
non
handlers,
due
to
low
chemical
vapor
pressure
and
dilution
of
vapor
outdoors.
The
scenarios
likely
to
result
in
postapplication
exposures
are
as
follows:
°
dermal
postapplication
risks
to
adults
and
toddlers
when
entering
oxadiazon
treated
turf
and
lawns;
°
oral
postapplication
risks
to
toddlers
from
"
hand
to
mouth"
(
i.
e.,
ingestion
of
grass,
soil,
granular
pellets,
or
hand
to
mouth
contact)
exposure
when
reentering
lawns
treated
with
granular
and
wettable
powder
formulations.
Representative
turf
reentry
activities
include,
but
are
not
limited
to:
(
1)
Adults
involved
in
a
low
exposure
activity,
such
as
golfing
or
walking
on
treated
turf.
(
2)
Toddlers
involved
in
a
low
exposure
activity,
such
as
walking
on
treated
turf.
(
3)
Adults
mowing
or
other
moderate
contact
activity,
for
1
2
hours.
(
4)
Adults
involved
in
a
high
exposure
activity,
such
as
heavy
yard
work
(
doses
similar
to
occupational
scenarios
for
cutting
and
harvesting
sod).
(
5)
Toddlers
involved
in
high
exposure
activities
on
turf.
3.2.2
Data
Sources
for
Scenarios
Considered
A
turf
re
entry
exposure
study
(
Jazzercise
study),
using
a
spray
application,
was
described
in
the
Occupational
Postapplication
exposure
section
of
this
document.
As
the
study
was
found
to
be
acceptable
for
the
risk
assessment,
the
highest
mean
residues
were
also
used
to
estimate
short
term
(
DAT
0
1)
for
irrigated
and
non
irrigated
plots.
31
Only
limited
information
was
received
regarding
the
size
and
distribution
of
granular
formulations.
This
information
would
help
to
refine
or
characterize
the
estimate
of
potential
risk
from
episodic
incidental
ingestion
of
granules
beyond
the
current
screening
level.
If
the
particles
are
very
fine,
individual
grains
would
be
difficult
to
pick
up,
or
even
to
see
when
applied
on
a
lawn.
If
used
according
to
label
directions,
it
is
unlikely
that
oxadiazon
granules
would
be
accessible
to
a
child.
However,
larger
granules
or
pellets
of
a
few
millimeters
diameter
might
be
attractive
and
easily
picked
up
by
a
toddler.
3.2.3
Assumptions
Used
in
Postapplication
Exposure
Calculations
Dermal
Exposure
to
Golf
Course
Turfgrass
According
to
a
1992
report
from
The
Center
For
Golf
Course
Management,
12.2
percent
of
the
population
are
golfers
(
i.
e.,
28.5
million
people).
Golfing
is
considered
a
lifetime
sport
so
individuals
of
all
ages,
excluding
very
small
children,
routinely
play.
Children
who
are
12
years
of
age
or
older
are
likely
to
represent
the
vast
majority
of
the
youth
that
play
golf
on
any
sort
of
routine
basis.
However,
the
popularity
of
golf
as
a
recreational
pastime
has
increased
steadily
over
the
last
few
years
which
has
resulted
in
more
and
more
young
children
(
i.
e.,
less
than
12
years
old
for
this
discussion)
becoming
involved
in
the
sport.
Risk
assessments
for
these
age
children
are
more
difficult
to
complete
because
of
the
increased
uncertainties
associated
with
any
extrapolations
using
adult
dermal
exposure
data
and
because
of
the
increased
likelihood
that
other
behaviors
that
might
contribute
to
exposure
such
as
mouthing
contaminated
hands
or
golf
balls.
Dermal
exposures
are
calculated
using
the
standard
transfer
coefficient
approach
that
is
used
for
postapplication
exposure
assessments.
ADD(
t)
(
mg/
kg/
day)
=
((
TTR(
t)
(
g/
cm2)
x
TC
(
cm2/
hr)
x
ET(
hr/
day)
x
(
1
mg/
1000
g)
)/(
BW
(
kg))
Where:
ADD=
average
daily
dose
(
mg/
kg/
day)
at
time
(
t)
attributable
to
golfing
on
previously
treated
turf
(
mg/
kg/
day);
TTR(
t)=
turf
transferable
residue
at
time
(
t)
(
g/
cm2);
TC
=
transfer
coefficient
(
cm2/
hour);
ET
=
exposure
duration
(
hours);
and
BW
=
body
weight
(
kg).
°
Duration
is
4
hours
for
a
chemical
that
can
be
used
on
all
parts
of
a
course
(
greens,
tees,
and
fairways).
This
estimate
of
the
average
time
it
takes
to
play
a
round
of
golf
which
is
based
on
the
report
completed
by
the
Center
For
Golf
Course
Management
[
1992
Golf
Course
Operations:
Cost
of
Doing
Business/
Profitability.
Library
of
Congress
GV975.
G56
1992].
°
The
dose
levels
calculated
for
adult
golfers
can
be
considered
upper
level
estimates
of
exposure
because
of
several
reasons
including
the
clothing
scenario
considered
(
i.
e.,
shorts
and
short
sleeved
shirts
are
not
worn
by
all
golfers),
combining
average
values
across
several
32
input
parameters
mathematically
results
in
an
upper
percentile
calculated
product.
°
Children
of
various
ages
down
to
the
very
young
(
e.
g.,
4
or
5
years
old)
are
currently
playing
golf,
the
agency
recognize
this
but
has
not
yet
developed
a
quantitative
approach
for
calculating
their
risk,
based
to
analysis
of
surface
area
to
body
weight
ratio
it
appears
that
the
dose
for
these
children
may
be
as
much
as
1.7
times
than
for
adults.
Dermal
Exposure
values
on
each
day
after
application
were
calculated
based
on
the
following
equation
(
see
Residential
2.2
(
1997):
Postapplication
dermal
potential
dose
from
pesticide
residues
on
turf):
DE(
t)
(
mg/
day)
=
(
TTR(
t)
(
g/
cm2)
x
TC
(
cm2/
hr)
x
Hr/
Day)/
1000
(
g/
mg)
Where:
DE
=
Dermal
exposure
at
time
(
t)
attributable
for
activity
in
a
previously
treated
area
(
mg/
day);
TTR
=
Turf
Transferable
Residue
at
time
(
t)
where
the
longest
duration
(
t)
is
dictated
by
the
kinetics
observed
in
the
TTR
study;
TC
=
Transfer
Coefficient;
and
Hr
=
Exposure
duration
in
hours.
The
activities
that
were
selected
as
the
basis
for
the
risk
assessment
are
represented
by
the
following
transfer
coefficients
(
for
short
term
and
intermediate
term
endpoints):
°
Transfer
Coefficient
=
500
cm2/
hour
for
adults
involved
in
a
low
exposure
activity
on
turf
such
as
golfing
or
light
work
activities;
based
on
Policy
Memo
#
003
.1
"
Agricultural
Transfer
Coefficients,"
Revised
August
7,
2000..
°
Transfer
Coefficient
=
14,500
cm2/
hour
for
adults
involved
in
a
high
exposure
activity
on
turf
such
as
heavy
yard
work;
Based
on
the
revised
residential
SOP
February
2001
°
Transfer
Coefficient
=
5200
cm2/
hour
for
toddler
involved
in
a
high
exposure
activity
on
turf
such
as
heavy
yard
work;
Based
on
the
revised
residential
SOP
February
2001
°
Transfer
Coefficient
=
7,400
cm2/
hour
(
non
irrigated)
for
adults
involved
in
a
high
exposure
activity
on
turf
such
as
heavy
yard
work;
Based
on
the
submitted
re
entry
study
(
MRID
#
435178
01)
°
Transfer
Coefficient
=
4,300
cm2/
hour
(
irrigated)
for
adults
involved
in
a
high
exposure
activity
on
turf
such
as
heavy
yard
work;
Based
on
the
submitted
re
entry
study
(
MRID
#
435178
01)
and
°
Transfer
Coefficient
=
2,700
cm2/
hour
(
non
irrigated)
for
toddlers
involved
in
a
high
exposure
activity.
Based
on
the
submitted
re
entry
study
(
MRID
#
435178
01)
°
Transfer
Coefficient
=
1,600
cm2/
hour
(
irrigated)
for
toddlers
involved
in
a
high
exposure
activity.
Based
on
the
submitted
re
entry
study
(
MRID
#
435178
01)
°
Transfer
Coefficient
=
16,500
cm2/
hour
for
sod
harvesting
(
hand
or
mechanical);
based
on
Policy
Memo
#
003
.1
"
Agricultural
Transfer
Coefficients,"
Revised
August
7,
2000.
33
PDR
(
DFR
SA
Freq
Hr
(
1mg/
1000
g))
The
Agency's
Residential
SOPs
contains
guidance
for
considering
children's
exposure
to
treated
turf.
The
dermal
calculations,
as
noted
above,
were
completed
based
on
the
guidance
provided
in
the
document.
All
nondietary
exposures
were
also
calculated
using
guidance
from
this
document.
Specifically,
the
kinds
of
nondietary
exposures
that
were
considered
in
this
assessment
include
the
following:
°
Dose
from
hand
to
mouth
activity
calculated
using
Residential
SOP
2.3.2:
Postapplication
potential
dose
among
toddlers
from
incidental
nondietary
ingestion
of
pesticide
residues
on
residential
lawns
from
hand
to
mouth
transfer.
°
Dose
from
mouthing
treated
turf
calculated
using
Residential
SOP
2.3.3:
Postapplication
potential
dose
among
toddlers
from
the
ingestion
of
pesticide
treated
turfgrass;
and
°
Dose
from
incidental
ingestion
of
soil
calculated
using
Residential
SOP
2.3.4:
Postapplication
potential
dose
among
toddlers
from
the
ingestion
of
soil
in
pesticide
treated
areas.
Although
incidental
exposures
incurred
by
hand
to
mouth
exposure
are
included
as
part
of
the
nondietary
risk
assessment,
these
type
of
exposures
are
considered
episodic
in
nature.
The
hand
licking,
mouthing
of
turf,
and
eating
of
soil
are
considered
more
likely
to
co
occur,
with
the
hand
licking
constituting
the
largest
incidental
oral
exposure
component.
The
following
demonstrates
the
method
used
to
calculate
exposures
that
are
attributable
to
a
child
touching
treated
turf
and
then
putting
their
hands
in
their
mouth
(
SOP
2.3.2):
where:
PDR
=
potential
dose
rate
(
mg/
day)
DFR(
t)=
Dislodgeable
Residue
(
5%)
on
day
of
treatment
(
g/
cm2);
SA
=
surface
area
of
two
fingers
(
cm2);
Freq
=
frequency
of
hand
to
mouth
events
(
events/
hour);
and
Hr
=
exposure
duration
(
hours).
As
indicated
above,
the
dislodgeable
foliar
residue
represents
the
amount
of
pesticide
that
can
be
removed
from
turf
by
the
(
potentially
wet)
hands
of
a
child,
while
the
turf
transferable
residue
represents
the
amount
of
chemical
on
the
surfaces
of
treated
leaves
that
can
rub
off
on
dry
skin
or
clothing.
These
observations
are
based
on
empirical
data,
and
therefore
the
Residential
SOP
standard
5%
of
the
amount
ai
applied
is
used,
rather
than
the
data
from
the
TTR
study.
The
surface
area
for
1
3
fingers
used
(
20
cm2)
is
the
median
surface
area
for
a
toddler
(
age
3
years)
as
updated
by
the
SAP
in
12/
99.
The
frequency
of
hand
to
mouth
events
is
20
events
per
hour
as
updated
in
12/
99.
The
2
hour
duration
value
is
a
recommended
value
from
the
U.
S.
EPA
Exposure
Factors
Handbook.
This
model
for
hand
to
mouth
dose
is
based
on
the
premise
that
a
child
puts
2
3
fingers
in
their
mouths,
50%
of
the
residues
on
the
hands
are
transferred
from
the
hands
to
the
mouth,
and
that
all
of
the
dislodgeable
residues
available
on
the
treated
turf
transfer
to
the
child's
34
PDR
(
DFR
IgR
(
1mg/
1000
g))
hand
each
time
they
exhibit
this
behavior.
The
following
illustrates
the
approach
used
to
calculate
exposures
that
are
attributable
to
a
child
mouthing
treated
turf
(
SOP
2.3.3):
where:
PDR
=
potential
dose
rate
(
mg/
day);
DFR(
t)=
Dislodgeable
Foliar
Residue
(
DFR)
at
time
(
t)
where
the
longest
duration
(
t)
is
dictated
by
the
kinetics
observed
in
the
TTR
study
(
g/
cm2);
and
IgR=
ingestion
rate
for
mouthing
of
grass
per
day
(
cm2/
day).
The
ingestion
rate
used
(
25
cm2/
day)
assumes
that
a
child
will
grab
a
handful
of
turf,
mouth
it
and
remove
all
oxadiazon
residues,
and
then
remove
it
from
their
mouth
as
described
in
the
Residential
SOPs.
The
standard
time
period
is
2
hours,
as
explained
above.
The
surface
area
of
(
25
cm2/
day)
is
thought
to
approximate
a
handful
of
turf
that
is
mouthed.
The
maximum
average
TTR
values
were
used
for
this
scenario.
Incidental
Soil
Ingestion:
PDR
=
(
SR
t
*
IgR
*
CF1)
where:
PDR
=
potential
dose
rate
(
mg/
day)
SR
t
=
soil
residue
on
day
"
t"
(
g/
g),
assuming
average
day
of
reentry
"
t"
is
day
0
IgR
=
ingestion
rate
of
soil
(
mg/
day),
assumed
to
be
100
mg/
day
CF1
=
weight
unit
conversion
factor
to
convert
the
g
of
residues
on
the
soil
to
grams
to
provide
units
of
mg/
day
(
1E
6
g/
g)
and
SR
t
=
AR
*
F
*
(
1
D)
t
*
CF2
*
CF3
*
CF4
where:
AR
=
application
rate
(
lb
ai/
acre)
F
=
fraction
of
ai
available
in
uppermost
cm
of
soil
(
fraction/
cm),
assumed
to
be
100
percent
based
on
soil
incorporation
into
top
1
cm
of
soil
after
application
D
=
fraction
of
residue
that
dissipates
daily
(
unitless)
t
=
postapplication
day
on
which
exposure
is
being
assessed
CF2
=
weight
unit
conversion
factor
to
convert
the
lbs
ai
in
the
application
rate
to
g
for
the
soil
residue
value
(
4.54
x
108
g/
lb)
CF3
=
area
unit
conversion
factor
to
convert
the
surface
area
units
(
ft2)
in
the
application
rate
to
cm2
for
the
SR
value
(
2.47
x
10
8
acre/
cm2
if
the
application
rate
is
per
acre)
35
CF4
=
volume
to
weight
unit
conversion
factor
to
convert
the
volume
units
(
cm3)
to
weight
units
for
the
SR
value
(
0.67
cm3/
g
soil)
t
=
postapplication
day
on
which
exposure
is
being
assessed,
assumed
to
be
day
zero
The
following
specific
assumptions
and
factors
were
used
in
order
to
complete
this
exposure
assessment:
These
assessments
were
based
on
the
guidance
provided
in
the
Residential
SOPs.
Several
of
the
assumptions
and
factors
used
in
the
exposure
assessment
are
described
in
that
document.
The
TTR
values
are
assumed
to
be
5
percent
of
the
application
rate
at
day
0
for
turfgrass
application
(
the
5
percent
rate
for
turfgrass
is
the
high
end
of
the
values
observed
in
Hurto
and
Prinster,
1993,
Goh
et
al.,
1986,
and
Cowell
et
al.,
1993,
Calculations
are
completed
at
the
maximum
application
rates
recommended
by
the
available
oxadiazon
labels
to
bracket
risk
levels
associated
with
the
various
use
patterns
and
activity
scenarios.
Due
to
a
lack
of
scenario
specific
exposure
data,
HED
has
calculated
exposure
values
for
adults
using
surrogate
dermal
transfer
coefficients
that
represent
activities
such
as
mowing,
golfing,
and
yard
work.
Most
of
the
transfer
coefficients
used
are
based
on
data
submitted
by
the
ARTF
and
ORETF
and
are
reflected
in
the
revised
HED
exposure
guidance
Policy
3.1
(
8/
2000).
°
For
the
short
and
intermediate
term
risk
assessment,
the
equations
and
assumptions
used
for
each
of
the
scenarios
were
taken
from
the
Residential
SOPs
guidance
document.
°
Adults
were
assumed
to
weigh
60
kg
for
the
short
and
intermediate
term
postapplication
dermal
dose
estimate.
Toddlers
(
3
years
old)
were
assumed
to
weigh
15
kg.
°
Postapplication
exposure
is
generally
assessed
on
the
same
day
the
pesticide
is
applied
because
it
is
assumed
that
the
resident
could
be
exposed
to
turf
immediately
after
application.
°
A
dermal
absorption
factor
of
9
%
was
used
in
the
calculation
of
short
and
intermediate
term
postapplication
dermal
dose.
MOEs
were
calculated
using
the
same
formula
(
NOAEL
divided
by
absorbed
dermal
dose)
described
in
the
residential
handler
portion
of
this
chapter,
and
are
considered
to
be
below
the
level
of
concern
when
results
are
greater
than
100.
3.2.4
Postapplication
Exposure
Risk
Estimates
36
Using
the
revised
residential
SOP
postapplication
short
and
intermediate
term
dermal
risk
estimates
for
occupational
workers
are
between
30
and
1,000.
The
cancer
risk
for
all
occupational
handlers
is
between
9.92
x
10
5
to
3.01
x
10
6.
Dermal
postapplication
exposure
estimates
were
conducted
using
the
highest
mean
postapplication
residue
from
the
Jazzercise
study(
wettable
powder
formulations).
The
dermal
transfer
coefficients
from
the
Jazzercize
study
and
the
revised
residential
SOPs
were
used.
Using
the
Jazzercize
wettable
powder
application
study
residue
data
and
revised
residential
SOPs
,
all
of
the
scenario
had
short
term
and
intermediate
term
dermal
MOEs
greater
than
100
on
the
application
day
(
i.
e.,
day
0).
The
cancer
risks
for
all
residential
dermal
postapplication
is
between
6.22x
10
6
to
7.51
x
10
7
.
The
Residential
SOPs
and
submitted
Jazzercize
study
data
were
used
to
estimate
incidental
oral
exposure
for
toddlers
on
treated
turf.
The
short
term
MOE
was100
for
the
toddler
hand
tomouth
using
residential
SOPs
and
between
90
to
240
for
the
submitted
Jazzercize
study,
however
since
wettable
powder
formulation
has
a
higher
exposure
than
granular
formulation,
therefore
the
MOE,
s
can
be
considered
upper
level
estimates
of
exposure.
The
intermediate
term
MOE
was
not
calculated
since
exposure
by
this
route
for
weeks
to
months
is
considered
less
likely
to
occur
than
short
term
exposure.
Incidental
turfgrass
mouthing
and
soil
ingestion
had
MOEs
greater
than
100
for
short
term
exposures
(
see
Appendix
C
Table
C4).
Under
the
Worker
Protection
Standard
(
WPS),
interim
restricted
entry
intervals
(
REI)
for
all
uses
within
the
scope
of
the
WPS
are
based
on
the
acute
toxicity
of
the
active
ingredient.
The
toxicity
categories
of
the
active
ingredient
for
acute
dermal
toxicity,
eye
irritation
potential,
and
skin
irritation
potential
are
used
to
determine
the
interim
WPS
REI.
If
one
or
more
of
the
three
acute
toxicity
effects
are
in
toxicity
category
I,
the
interim
WPS
REI
is
established
at
48
hours.
If
none
of
the
acute
toxicity
effects
are
in
category
I,
but
one
or
more
of
the
three
is
classified
as
category
II,
the
interim
WPS
REI
is
established
at
24
hours.
If
none
of
the
three
acute
toxicity
effects
are
in
category
I
or
II,
the
interim
WPS
REI
is
established
at
12
hours.(
all
of
the
three
oxadiazon
acute
toxicity
effects
are
in
category
III)
3.2.5
Data
Gaps
and
Uncertainties
The
following
data
gap
or
uncertainties
were
associated
with
this
assessment:
°
Granular
ingestion
is
considered
episodic,
rather
than
continuous,
in
nature.
37
APPENDIX
A
SHORT
TERM
AND
INTERMEDIATE
TERM
HANDLER
EXPOSURE
RISK
TABLES
A1
THROUGH
A4
38
Table
A1:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
Baseline
Exposure
Scenario
(
Scenario
#)
Crop
type
Baseline
Dermal
Baseline
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
3.7
5.8
2.0
43
0.75
16
2
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.89
14
0.11
100
12
herbaceous
ornamentals
0.67
18
0.086
140
16
sod
farms
1.3
9
0.17
70
8
golf
courses
0.89
14
0.11
100
12
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.89
14
0.11
100
12
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
0.0084
0.004
3000
1.7
0.0091
1300
920
golf
course
turf,
parks,
recreational
areas
0.002
6000
0.0045
2600
1800
woody
ornamentals
0.002
6000
0.0045
2600
1800
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
0.014
0.005
2400
0.74
0.003
4100
1500
herbaceous
ornamentals
0.0025
4800
0.0015
8100
3000
golf
courses
0.0034
3600
0.002
6100
2300
conifer
nurseries,
woody
ornamentals
0.0034
3600
0.002
6100
2300
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
1.3
0.31
38
3.9
0.01
1200
37
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
See
PPE
See
PPE
See
PPE
1
0
36000
See
PPE
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
0.0099
0.0048
2500
1.2
0.0064
1900
1100
golf
courses
0.0099
0.0024
5100
1.2
0.0032
3800
2200
Table
A1:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
Baseline
Exposure
Scenario
(
Scenario
#)
Crop
type
Baseline
Dermal
Baseline
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
39
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
See
PPE
See
PPE
See
PPE
30
0.01
1200
See
PPE
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
29
0.87
14
1100
0.37
33
10
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
See
PPE
See
PPE
See
PPE
120
0.04000
300
See
PPE
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
0.99
0.022
560
62
0.021
580
280
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
l
awn
s
,
g
o
l
f
c
o
u
r
s
e
s
,
p
a
r
k
s
,
recreational
areas,
ornamentals
0.35
0.011
1100
0.0075
2.50e
06
4800000
1100
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
10
0.06
200
62
0.0041
2900
190
a
Baseline
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts
and
no
gloves.
b
Daily
Dermal
Dose
(
mg/
kg/
day)
=
Daily
Dermal
Exposure
(
mg/
day)/
Body
weight
(
60
kg)*
Dermal
Absorption
Factor
(
9%)
.
c
Short
term
or
Intermediate
term
Dermal
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Dermal
Dose
(
mg/
kg/
day).
d
Baseline
inhalation
unit
exposure
represents
no
respirator
e
Daily
Inhalation
Dose
(
mg/
kg/
day)
=
Daily
Inhalation
Exposure
(
mg/
day)/
Body
weight
(
60
kg).
f
Short
term
or
Intermediate
term
Inhalation
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Inhalation
Dose
(
mg/
kg/
day).
g
Total
Dermal
MOE
=
1/
((
1/
Dermal
MOE)
+
(
1/
Inhalation
MOE)).
40
Table
A2:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
(
Scenario
#)
Crop
type
PPE
Dermal
PPE
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
0.13
(
gl,
dl)
0.2
59
8.6
dust/
mist
respirator
0.15
80
35
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.031
380
0.023
520
220
herbaceous
ornamentals
0.023
510
0.017
700
300
sod
farms
0.047
260
0.034
350
150
golf
courses
0.031
380
0.023
520
220
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.031
380
0.023
520
220
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
NA
NA
NA
NA
NA
NA
NA
golf
course
turf,
parks,
recreational
areas
NA
NA
NA
NA
NA
woody
ornamentals
NA
NA
NA
NA
NA
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
NA
NA
NA
NA
NA
NA
herbaceous
ornamentals
NA
NA
NA
NA
NA
golf
courses
NA
NA
NA
NA
NA
conifer
nurseries,
woody
ornamentals
NA
NA
NA
NA
NA
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
0.39
(
gl)
0.094
130
3.9
(
no
resp)
0.01
1200
120
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
0.73
(
gl)
0.022
550
1.0
(
no
resp)
0.00030
36000
540
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
NA
NA
NA
NA
NA
NA
NA
golf
courses
NA
NA
NA
NA
NA
NA
NA
Table
A2:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
(
Scenario
#)
Crop
type
PPE
Dermal
PPE
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
41
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
2.5
(
gl)
0.075
160
30
(
no
resp)
0.01
1200
140
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
6.2
(
gl
dl)
0.19
65
220
dust/
mist
resp
0.073
160
46
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
2.5
(
gl)
0.075
160
120
(
no
resp)
0.040
300
100
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
NA
NA
NA
NA
NA
NA
NA
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
recreational
areas,
ornamentals
NA
NA
NA
NA
NA
NA
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
NA
NA
NA
NA
NA
NA
NA
a
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
and
gloves
for
scenarios
5,
7,
and
9.
PPE
dermal
unit
exposure
includes
long
pants,
long
shirts
gloves
and
double
layer
(
50%
protection)
for
scenarios
1a,
1b,
1c,
and
8.
b
Daily
Dermal
Dose
(
mg/
kg/
day)
=
Daily
Dermal
Exposure
(
mg/
day)/
Body
weight
(
60
kg)*
Dermal
Absorption
Factor
(
9%)
.
c
Short
term
or
Intermediate
term
Dermal
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Dermal
Dose
(
mg/
kg/
day).
d
PPE
inhalation
unit
exposure
represents
dust/
mist
respirator
for
scenarios
1a,
1b,
1c,
and
8.
e
Daily
Inhalation
Dose
(
mg/
kg/
day)
=
Daily
Inhalation
Exposure
(
mg/
day)/
Body
weight
(
60
kg).
f
Short
term
or
Intermediate
term
Inhalation
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Inhalation
Dose
(
mg/
kg/
day).
g
Total
Dermal
MOE
=
1/
((
1/
Dermal
MOE)
+
(
1/
Inhalation
MOE)).
NA=
Not
applicable
42
Table
A3:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
Engineering
Control
Exposure
Scenario
(
Scenario
#)
Crop
type
PPE
Dermal
PPE
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
Mixer/
Loader
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
0.0098
(
water
soluble
Packages)
0.015
780
0.24
0.00420
2900
610
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
NA
NA
NA
NA
NA
herbaceous
ornamentals
NA
NA
NA
NA
NA
sod
farms
NA
NA
NA
NA
NA
golf
courses
NA
NA
NA
NA
NA
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
NA
NA
NA
NA
NA
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
NA
NA
NA
NA
NA
NA
NA
golf
course
turf,
parks,
recreational
areas
NA
NA
NA
NA
NA
woody
ornamentals
NA
NA
NA
NA
NA
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
NA
NA
NA
NA
NA
NA
herbaceous
ornamentals
NA
NA
NA
NA
NA
golf
courses
NA
NA
NA
NA
NA
conifer
nurseries,
woody
ornamentals
NA
NA
NA
NA
NA
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
NA
NA
NA
NA
NA
NA
NA
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
NA
NA
NA
NA
NA
NA
NA
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
NA
NA
NA
NA
NA
NA
NA
Table
A3:
Occupational
Handler
Short
term
and
Intermediate
term
Risk
from
Oxadiazon
at
Engineering
Control
Exposure
Scenario
(
Scenario
#)
Crop
type
PPE
Dermal
PPE
Inhalation
Total
MOEg
Unit
Exposure
(
mg/
lb
ai)
a
Daily
Dose
(
mg/
kg/
day)
b
Dermal
MOEc
Unit
Exposure
(
ug/
lb
ai)
d
Daily
Dose
(
mg/
kg/
day)
e
Inhalation
MOEf
43
golf
courses
NA
NA
NA
NA
NA
NA
NA
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
NA
NA
NA
NA
NA
NA
NA
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
NF
NF
NF
NF
NF
NF
NF
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
NA
NA
NA
NA
NA
NA
NA
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
NA
NA
NA
NA
NA
NA
NA
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
l
awns,
gol
f
c
o
u
r
s
e
s
,
p
a
rk
s,
recreational
areas,
ornamentals
NA
NA
NA
NA
NA
NA
NA
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
NA
NA
NA
NA
NA
NA
NA
a
Engineering
Control
dermal
unit
exposure
scenarios
includes
long
pants,
long
shirts,
gloves
and
water
soluble
packages
for
scenario
1a.
b
Daily
Dermal
Dose
(
mg/
kg/
day)
=
Daily
Dermal
Exposure
(
mg/
day)/
Body
weight
(
60
kg)*
Dermal
Absorption
Factor
(
9%)
.
c
Short
term
or
Intermediate
term
Dermal
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Dermal
Dose
(
mg/
kg/
day).
d
inhalation
unit
exposure
represents
no
respirator
e
Daily
Inhalation
Dose
(
mg/
kg/
day)
=
Daily
Inhalation
Exposure
(
mg/
day)/
Body
weight
(
60
kg).
f
Short
term
or
Intermediate
term
Inhalation
MOE
=
NOAEL
(
12
mg/
kg/
day)/
Daily
Inhalation
Dose
(
mg/
kg/
day).
g
Total
Dermal
MOE
=
1/
((
1/
Dermal
MOE)
+
(
1/
Inhalation
MOE)).
NA
=
Not
applicable
NF
=
Not
feasible
44
Table
A4
:
Exposure
Scenario
Descriptions
for
the
Use
of
Oxadiazon
Exposure
Scenario
#
Data
Source
Standard
Assumptionsa
(
8
hr
work
day)
Commentsb
Mixer/
Loader
Descriptors
Mixing/
Loading
Wettable
Powder
Formulations
(
1a/
1b/
1c)
PHED
V1.1
350
acres
for
chemigation,
80
acres
for
groundboom
in
sod
farms,
40
acres
for
groundboom
on
golf
course
turf,
5
acres/
day
for
the
turf
loading
scenarios
Baseline:
Hands,
dermal
and
inhalation
=
ABC
grades.
Hands
=
7
replicates,
dermal
=
22
45
replicates
and
inhalation
=
44
replicates.
Low
confidence
in
dermal,
hands
data
due
to
the
low
number
of
hand
replicates.
Medium
confidence
in
inhalation
data.
PPE:
Gloved
data
for
hands
=
ABC
grades.
Hands
=
24
replicates.
Medium
confidence
in
hands
data.
Dermal
values
calculated
by
applying
a
50%
protection
factor
to
baseline
values
to
account
for
an
additional
layer
of
clothing.
A
5
fold
PF
(
e.
g.
80%
PF
was
applied
to
the
baseline
inhalation
data).
Engineering
Controls:
Water
soluble
bags.
Dermal
=
AB
grades.
Hands
and
inhalation
=
All
grade.
Inhalation
=
15
replicates,
dermal
=
6
15
replicates
and
hands
=
5
replicates.
Low
confidence
in
the
dermal,
hands
and
inhalation
data.
Loading
Granular
Formulations
(
2)
PHED
V1.1
80
acres
for
tractor
drawn
spreaders
for
most
crops;
40
acres
for
golf
course
turf
Baseline:
Low
confidence
in
dermal
and
hand
data
(
due
to
low
hand
replicates).
High
confidence
in
inhalation
data.
No
protection
factors
were
needed
to
define
the
unit
exposure
values.
Applicator
Descriptors
Groundboom
Application
(
3)
PHED
V1.1
80
acres
for
tractor
drawn
spreaders
for
sod
farms;
40
acres
for
golf
course
turf
Baseline:
Dermal
(
23
to
42
replicates);
hand
(
29
replicates);
and
inhalation
(
22
replicates)
exposure
values
are
based
on
AB
grade
data.
High
confidence
in
the
unit
exposure
values.
No
protection
factors
were
required
to
define
the
unit
exposure
value.
Applying
Liquids
with
Rights
of
Way
Sprayer
(
4)
PHED
V1.1
40
acres
Baseline:
Dermal
(
4
to
20
replicates)
exposure
value
is
based
on
ABC
grade
data.
Hand
(
16
replicates)
exposure
value
based
on
AB
grade
data
and
inhalation
(
16
replicates)
exposure
value
is
based
on
A
grade
data.
Low
confidence
in
the
dermal
unit
exposure
value
and
high
confidence
in
the
inhalation
data.
No
protection
factors
were
needed
to
define
the
unit
exposure
value.
PPE:
The
same
dermal
and
inhalation
data
are
used
as
for
the
baseline
coupled,
if
needed,
with
a
50%
protection
factor
to
account
for
an
additional
layer
of
clothing
and
an
80%
protection
factor
to
account
for
the
use
of
a
dust/
mist
respirator.
Gloved
hand
(
4
replicates)
exposure
value
is
based
on
AB
grade
data.
Low
confidence
in
the
dermal/
hand
unit
exposure
value.
Engineering
Controls:
Not
available
for
this
scenario.
Applying
Liquids
with
a
Handgun
(
5)
(
ORTEF)
ORTEF
5
acres
Baseline:
Inhalation
(
90
replicates)
exposure
value
is
based
on
B
grade
data.
PPE:
Hand
(
90
replicates)
and
dermal
(
90
replicates)
exposure
values
are
based
on
B
grade
data.
Engineering
Controls:
Not
available
for
this
scenario
Applying
Granulars
with
a
Tractor
Drawn
Spreader
(
6)
PHED
V1.1
40
acres
for
golf
course
turf
Baseline:
Low
confidence
in
hand,
dermal,
and
inhalation
data.
No
protection
factors
were
required
to
define
the
unit
exposure
values.
Mixer/
Loader/
Applicator
Descriptors
Table
A4
:
Exposure
Scenario
Descriptions
for
the
Use
of
Oxadiazon
Exposure
Scenario
#
Data
Source
Standard
Assumptionsa
(
8
hr
work
day)
Commentsb
45
Mixing/
Loading/
Applying
with
a
Backpack
Sprayer
(
7)
PHED
V1.1
5
acres
for
occupational
uses
Baseline:
Only
low
confidence
inhalation
data
available
(
no
non
gloved
hand
monitoring
data
are
available,
therefore
the
assessment
was
not
completed).
PPE:
Low
confidence
single
layer
clothing
dermal
monitoring
data
available,
coupled
with
a
50%
protection
factor
to
account
for
an
additional
layer
of
clothing.
Inhalation
data
coupled
with
a
90%
protection
factor
to
account
for
the
use
of
a
respirator.
Hand
exposure
data
with
gloves
were
monitored
(
considered
low
confidence).
Engineering
Controls:
Not
feasible
Mixing/
Loading/
Applying
Liquids
with
a
Low
Pressure
Handwand
(
8)
PHED
V1.1
5
acres
for
occupational
uses
Baseline:
Dermal
and
inhalation
data
=
ABC
grades,
and
hands
data
=
All
grade.
Dermal
=
9
80
replicates;
hands
=
70
replicates;
and
inhalation
=
80
replicates.
Low
confidence
in
hands,
dermal
data.
Medium
confidence
in
inhalation
data.
PPE
and
Engineering
Controls:
Not
required
for
assessment.
Mixing/
Loading/
Applying
with
a
High
Pressure
Handwand
(
9)
PHED
V1.1
5
acres
Baseline:
Only
low
confidence
inhalation
data
available
(
no
non
gloved
hand
monitoring
data
are
available,
therefore
the
assessment
was
not
completed).
PPE:
Low
confidence
single
layer
clothing
dermal
monitoring
data
available,
coupled
with
a
50%
protection
factor
to
account
for
an
additional
layer
of
clothing.
Inhalation
data
coupled
with
a
90%
protection
factor
to
account
for
the
use
of
a
respirator.
Hand
exposure
data
with
gloves
were
monitored
(
considered
low
confidence).
Engineering
Controls:
Not
feasible
Mixing/
Loading/
Applying
with
a
Handgun
(
turf
grass
application)
(
10)
ORTEF
5
acres
for
occupational
uses.
Data
for
open
mixing
of
liquids
and
handgun
turfgrass
application
were
combined
to
generate
mixer/
loader/
applicator
value
as
this
is
the
most
likely
exposure
scenario.
Baseline
for
application:
Low
confidence
in
hand,
dermal,
and
inhalation
data.
Baseline
dataset
was
based
on
the
use
of
chemical
resistant
gloves.
Therefore,
a
reverse
80%
PF
was
used
on
the
gloved
hand
data
to
assess
baseline
exposure
for
individuals
wearing
no
gloves
(
i.
e.,
it
is
a
typical
use
scenario
demanding
a
baseline
assessment
and
the
exposures
are
generally
lower
compared
with
other
handheld
methods).
PPE
for
applicator:
As
appropriate,
the
same
dermal,
hand,
and
inhalation
data
are
used
as
for
the
baseline
coupled
with
a
50%
protection
factor
to
account
for
an
additional
layer
of
clothing
and
a
80%
protection
factor
to
account
for
the
use
of
a
respirator.
Hand
exposure
data
with
gloves
were
monitored
(
considered
low
confidence).
Engineering
Controls:
Not
feasible.
Mixing/
Loading/
Applying
with
a
Push
Type
Granular
Spreader
(
11)
ORTEF
5
acres
for
occupational
uses.
Baseline:
Low
confidence
in
the
dermal
and
hand
data.
High
confidence
in
the
inhalation
data.
No
protection
factors
were
required
to
define
the
unit
exposure
values
(
a
50
percent
protection
factor
was
used
to
back
calculate
the
homeowner
exposure
scenario).
Mixing/
Loading/
Applying
with
a
Bellygrinder
(
12)
PHED
V1.1
5
acres
for
occupational
uses.
Baseline:
Medium
confidence
in
hand
and
dermal
data.
High
confidence
in
inhalation
data.
No
protection
factors
were
required
to
define
the
unit
exposure
values
(
also
applies
to
homeowner
scenarios).
a
All
Standard
Assumptions
are
based
on
a
typical
work
day
(
the
components
that
involve
pesticide
use)
as
estimated
by
HED.
b
All
handler
exposure
assessments
in
this
document
are
based
on
the
"
Best
Available"
data
as
defined
by
the
PHED
SOP
for
meeting
Subdivision
U
Guidelines
(
i.
e.,
completing
exposure
assessments).
Best
available
grades
are
assigned
to
data
as
follows:
matrices
with
A
and
B
grade
data
(
i.
e.,
Acceptable
Grade
Data)
and
a
minimum
of
15
replicates;
if
not
available,
then
grades
46
A,
B
and
C
data
and
a
minimum
of
15
replicates;
if
not
available,
then
all
data
regardless
of
the
quality
(
i.
e.,
All
Grade
Data)
and
number
of
replicates.
Generic
data
confidence
categories
are
assigned
as
follows:
High
=
grades
A
and
B
and
15
or
more
replicates
per
body
part
Medium
=
grades
A,
B,
and
C
and
15
or
more
replicates
per
body
part
Low
=
grades
A,
B,
C,
D
and
E
or
any
combination
of
grades
with
less
than
15
replicates.
Protection
factors
applied
to
exposure
data
for
the
use
of
respiratory
protection,
protection
afforded
with
the
use
of
an
additional
layer
of
clothing,
and
protection
from
the
use
of
chemical
resistant
gloves
are
as
follows:
90
%
(
respirator);
50
%
(
layer
of
clothing);
and
90%
(
gloves).
47
APPENDIX
B
OCCUPATIONAL
HANDLER
CANCER
(
Q*)
RISKS
TABLES
B1
B4
48
Table
B1:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
baseline
Exposure
Scenario
#
Crop
Type
Total
Baseline
Daily
Dose
(
mg/
kg/
day)
a
Baseline
Daily
LADDb
3/
30
days
Baseline
Riskc
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
5.600
2.30e
02/
2.30e
01
1.65e
03/
1.65
02
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.860
3.50e
03/
3.5e
02
2.51e
04/
2.51e
03
herbaceous
ornamentals
0.640
2.60e
03/
2.60e
02
1.88e
04/
1.88e
03
sod
farms
1.300
5.30e
03/
5.30e
02
3.77e
04/
3.77e
03
golf
courses
0.860
3.50e
03/
3.50e
02
2.51e
04/
2.51e
03
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.860
3.50e
03/
3.50e
02
3.14e
05/
3.14e
04
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
0.011
4.60e
04/
4.60e
03
3.28e
06/
3.28e
05
golf
course
turf,
parks,
recreational
areas
0.0056
2.30e
05/
2.30e
04
1.64e
06/
1.64e
05
woody
ornamentals
0.0056
2.30e
05/
2.30e
04
1.64e
06/
1.64e
05
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
0.007
2.80e
05/
2.80e
04
2.00e
06/
2.00e
05
herbaceous
ornamentals
0.003
1.40e
05/
1.40e
04
1.00e
06/
1.00e
05
golf
courses
0.005
1.90e
05/
1.90e
04
1.34e
06/
1.34e
05
conifer
nurseries,
woody
ornamentals
0.005
1.90e
05/
1.90e
04
1.34e
06/
1.34e
05
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
0.280
1.10e
03/
1.10e
02
8.07e
05/
8.07e
04
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
See
PPE
See
PPE
See
PPE/
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
0.010
1.30e
05/
1.30e
04
9.31e
07/
9.31e
06
golf
courses
0.005
6.50e
06/
6.50e
05
4.66e
07/
4.66e
06
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
See
PPE
See
PPE
See
PPE
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
1.060
4.40e
03/
4.40e
02
3.10e
04/
3.10e
03
Table
B1:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
baseline
Exposure
Scenario
#
Crop
Type
Total
Baseline
Daily
Dose
(
mg/
kg/
day)
a
Baseline
Daily
LADDb
3/
30
days
Baseline
Riskc
49
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
See
PPE
See
PPE
See
PPE
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
0.036
1.50e
04/
1.50e
03
1.06e
05/
1.06e
04
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
recreational
areas,
ornamentals
0.008
3.30e
05/
3.30e
04
2.33e
06/
2.33e
05
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golf
courses,
parks,
rec
areas.
0.055
2.30e
04/
2.30e
03
1.61e
05/
1.61e
04
a
Baseline
Total
Daily
Dose
=
[
Baseline
Daily
Dermal
Exposure
(
mg/
day)
*
Dermal
absorption
factor
(
9%)
+
Baseline
Daily
Inhalation
Exposure
(
mg/
day)]/
Body
Weight
(
70
kg).
b
Baseline
LADD
(
mg/
kg/
day)
=
Baseline
Total
Daily
Dose
(
mg/
kg/
day)
*
(
Number
of
days
exposed
per
year)
/
365
days
per
year)
*
35
years
worked/
70
year
lifetime.
c
Baseline
Total
Cancer
Risk
=
Baseline
LADD
(
mg/
kg/
day)
*
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
Baseline
cancer
risk
includes
long
pants,
long
shirts
no
gloves
and
no
respirator.
Two
exposure
frequencies
were
used
for
cancer,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
50
Table
B2:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
#
Crop
Type
Total
PPE
1
Daily
Dose
(
mg/
kg/
day)
a
PPE
1
LADDb
3/
30
days
PPE
1
Riskc
Total
PPE
2
Daily
Dose
(
mg/
kg/
day)
a
PPE
2
LADDb
3/
30
days
PPE2
Riskc
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
0.870
3.58e
03/
3.58e
02
2.56e
04/
2.56e
03
0.82
3.37e
01/
3.37e
02
2.40e
04/
2.40e
03
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.130
5.48e
04/
5.48e
03
3.89e
05/
3.89e
04
0.130
5.14e
4/
5.14e
03
3.65e
05/
3.65e
04
herbaceous
ornamentals
0.100
4.11e
04/
4.11e
03
2.92e
05/
2.92e
04
0.094
3.85e
04/
3.85e
03
2.74e
05/
2.74e
04
sod
farms
0.200
8.22e
04/
8.22e
03
5.84e
05/
5.84e
04
0.190
7.71e
04/
7.71e
03
5.48e
05/
5.48e
04
golf
courses
0.130
5.48e
04/
5.48e
03
3.89e
05/
3.89e
04
0.130
5.14e
04/
5.14e
04
3.65e
05/
3.65e
04
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.130
5.48e
04/
5.48e
03
3.89e
05/
3.89e
04
0.016
5.14e
04/
5.14e
03
4.57e
06/
4.57e
04
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
0.011
4.36e
05/
4.36e
04
3.10e
06/
3.10e
05
0.009
3.77e
05/
3.77e
04
2.68e
06/
2.68e
05
golf
course
turf,
parks,
recreational
areas
0.005
2.18e
05/
2.18e
04
1.55e
06/
1.55e
05
0.0046
1.88e
05/
1.88e
04
1.34e
06/
1.34e
05
woody
ornamentals
0.005
2.18e
05/
2.18e
04
1.55e
06/
1.55e
05
0.0046
1.88e
05/
1.88e
04
1.34e
06/
1.34e
05
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
0.007
2.82e
05/
2.82e
04
2.00E
06/
2.00e
05
0.0059
2.44e
05/
2.44e
04
1.73e
06/
1.73e
05
herbaceous
ornamentals
0.003
1.41e
05/
1.41e
04
1.00e
06/
1.00e
05
0.003
1.22e
05/
1.22e
04
8.67e
07/
8.67e
06
golf
courses
0.005
1.88e
05/
1.88e
04
1.34e
06/
1.34e
05
0.004
1.63e
05/
1.63e
04
1.16e
06/
1.16e
05
conifer
nurseries,
woody
ornamentals
0.005
1.88e
05/
1.88e
04
1.34e
06/
1.34e
05
0.004
1.63e
05/
1.63e
04
1.16e
06/
1.16e
05
Table
B2:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
#
Crop
Type
Total
PPE
1
Daily
Dose
(
mg/
kg/
day)
a
PPE
1
LADDb
3/
30
days
PPE
1
Riskc
Total
PPE
2
Daily
Dose
(
mg/
kg/
day)
a
PPE
2
LADDb
3/
30
days
PPE2
Riskc
51
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
0.890
3.66e
04/
3.66e
03
2.60e
05/
2.60e
04
0.069
2.82e
04/
2.82e
03
2.00e
05/
2.00e
04
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
0.019
7.83e
05/
7.83e
04
5.57e
06/
5.57e
05
0.010
4.13e
05/
4.13e
04
2.94e
06/
2.94e
05
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
0.008
1.16e
05/
1.16e
04
8.23e
07/
8.23e
05
0.0072
9.88e
06/
9.88e
05
7.03e
07/
7.03e
06
golf
courses
0.004
5.79e
06/
5.79e
05
4.11e
07/
4.11e
06
0.0036
4.94e
06/
4.94e
05
3.51e
07/
3.51e
06
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
0.073
2.99e
04/
2.99e
03
2.13e
05/
2.13e
04
0.05
2.04e
04/
2.04e
03
1.45e
05/
1.45e
04
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
0.540
2.20e
03/
2.20e
03
1.56e
04/
1.56e
03
0.47
1.95e
03/
1.95e
02
1.38e
04/
1.38e
03
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
0.064
2.64e
04/
2.64e
03
1.88e
05/
1.88e
04
0.041
1.69e
04/
1.69e
03
1.20e
05/
1.20e
04
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
0.036
1.49e
04/
1.49e
03
1.06e
05/
1.06e
04
0.027
1.13e
04/
1.13e
03
8.03e
06/
8.03e
05
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
l
a
wn
s
,
g
o
l
f
c
o
u
r
s
e
s
,
p
a
r
k
s
,
recreational
areas,
ornamentals
0.006
2.54e
05/
2.54e
04
1.80e
06/
1.80e
05
No
Data
No
Data
No
data
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golfcourses,
parks,
rec
areas.
0.051
2.11e
04/
2.11e
03
1.50e
05/
1.50e
04
0.033
1.35e
04/
1.35e
03
9.60e
06/
9.60e
05
a
PPE1,
2
Total
Daily
Dose
=
[
PPE
Daily
Dermal
Exposure
(
mg/
day)
*
Dermal
absorption
Factor
(
9%)
+
baseline
Daily
Inhalation
Exposure
(
mg/
day)]/
Body
Weight
(
70
kg).
b
PPE1,
2
LADD
(
mg/
kg/
day)
=
PPE
Total
Daily
Dose
(
mg/
kg/
day)
*
(
Number
of
days
exposed
per
year)
/
365
days
per
year)
*
35
years
worked/
70
year
lifetime.
C
PPE1,
2
Total
Cancer
Risk
=
PPE
LADD
(
mg/
kg/
day)
*
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
PPE
1
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
no
respirator.
PPE
2
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
no
respirator.
Two
exposure
frequencies
were
used
for
cancer,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
52
Table
B3:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
#
Crop
Type
Total
PPE
3
Daily
Dose
(
mg/
kg/
day)
a
PPE
3
LADDb
3/
30
days
PPE
3
Riskc
Total
PPE
4
Daily
Dose
(
mg/
kg/
day)
a
PPE
4
LADDb
3/
30
days
PPE
4
Riskc
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
0.360
1.47e
03/
1.47e
02
1.05E
04/
1.05e
03
0.3
1.25e
03/
1.25e
02
8.90e
05/
8.90e
04
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.055
2.25e
04/
2.25e
03
1.60e
05/
1.60e
04
0.046
1.91e
04/
1.91e
03
1.36e
05/
1.36e
04
herbaceous
ornamentals
0.041
1.68e
04/
1.68e
03
1.20e
05/
1.20e
04
0.035
1.43e
04/
1.43e
03
1.02e
05/
1.02e
04
sod
farms
0.082
3.37e
04/
3.37e
03
2.39e
05/
2.39e
04
0.070
2.86e
04/
2.86e
03
2.03e
05/
2.03e
04
golf
courses
0.055
2.25e
04/
2.25e
03
1.60e
05/
1.60e
04
0.046
1.91e
04/
1.91e
03
1.36e
05/
1.36e
04
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.055
2.25e
04/
2.25e
03
1.60e
05/
1.60e
04
0.046
1.91e
04/
1.91e
03
1.36e
05/
1.36e
04
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
0.004
1.81e
05/
1.81e
04
1.28e
06/
1.28e
05
0.003
1.21e
05/
1.21e
04
8.63e
07/
8.63e
06
golf
course
turf,
parks,
recreational
areas
0.002
9.03e
06/
9.03e
05
6.42e
07/
6.42e
06
0.0015
6.07e
06/
6.07e
05
4.31e
07/
4.31e
06
woody
ornamentals
0.002
9.03e
06/
9.03e
07
6.42e
07/
6.42e
06
0.0015
6.07e
06/
6.07e
05
4.31e
07/
4.31e
06
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
0.005
1.99e
05/
1.99e
04
1.41e
06/
1.41e
05
0.0039
1.61e
05/
1.61e
04
1.14e
06/
1.14e
05
herbaceous
ornamentals
0.002
9.93e
06/
9.93e
05
7.06e
07/
7.06e
06
0.002
8.03e
06/
8.03e
05
5.71e
07/
5.71e
06
golf
courses
0.003
1.32e
05/
1.32e
04
9.42e
07/
9.42e
06
0.003
1.07e
05/
1.07e
04
7.61e07/
7.61e
06
conifer
nurseries,
woody
ornamentals
0.003
1.32e
05/
1.32e
04
9.42e07/
9.42e
06
0.003
1.07e
05/
1.07e
04
7.61e07/
7.61e
06
Table
B3:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
PPE
Exposure
Scenario
#
Crop
Type
Total
PPE
3
Daily
Dose
(
mg/
kg/
day)
a
PPE
3
LADDb
3/
30
days
PPE
3
Riskc
Total
PPE
4
Daily
Dose
(
mg/
kg/
day)
a
PPE
4
LADDb
3/
30
days
PPE
4
Riskc
53
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
0.082
3.37e
04/
3.37e
03
2.40e
05/
2.40e
04
0.061
2.52e
04/
2.52e
03
1.80e
05/
1.80e
04
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
0.019
7.74e
05/
7.74e
04
5.50e06/
5.50e
05
0.0098
4.04e
05/
4.04e
04
2.87e06/
2.87e
05
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
0.004
5.56e
06/
5.56e
05
3.95e07/
3.95e
06
0.0028
3.87e
06/
3.87e
05
2.75e07/
2.75e
06
golf
courses
0.002
2.78e
06/
2.78e
05
1.98e07/
1.98e
06
0.0014
1.94e
06/
1.94e
05
1.38e07/
1.38e
06
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
l
a
wn
s
,
g
o
l
f
c
o
u
r
s
e
s
,
ornamentals
nurseries
0.066
2.71e
04/
2.71e
03
1.93e
05/
1.93e
04
0.043
1.76e
04/
1.76e
03
1.25e05/
1.25e
04
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
0.280
1.17e
03/
1.17e
02
8.30e05/
8.30e
04
0.22
9.14e
04/
9.14e
03
6.50e05/
6.50e
04
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
0.068
2.79e
04/
2.79e
03
1.98e05/
1.98e
04
0.045
1.84e
04/
1.84e
03
1.31e05/
1.31e
04
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
0.022
9.06e
05/
9.06e
04
6.44e
06/
6.44e
05
0.013
5.47e
05/
5.47e
04
3.89e06/
3.89e
05
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
r
e
c
r
e
a
t
iona
l
ar
e
a
s
,
ornamentals
0.006
2.54e
05/
2.54e
04
1.80e06/
1.80e
05
No
Data
No
Data
No
data
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golfcourses,
pa
rk
s,
rec
areas.
0.049
1.99e
04/
1.99e
03
1.42e05/
1.42e
04
0.03
1.23e
04/
1.23e
03
8.77e06/
8.77e
05
a
PPE
3,4
Total
Daily
Dose
=
[
PPE
Daily
Dermal
Exposure
(
mg/
day)
*
Dermal
absorption
Factor
(
9%)+
baseline
Daily
Inhalation
Exposure
(
mg/
day)]/
Body
Weight
(
70
kg).
b
PPE
3,
4
LADD
(
mg/
kg/
day)
=
PPE
Total
Daily
Dose
(
mg/
kg/
day)
*
(
Number
of
days
exposed
per
year)
/
365
days
per
year)
*
35
years
worked/
70
year
lifetime.
C
PPE
3,
4
Total
Cancer
Risk
=
PPE
LADD
(
mg/
kg/
day)
*
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
PPE3
cancer
risk
includes
long
pants,
long
shirts,
gloves
and
respirator.
PPE
4
cancer
risk
includes
long
pants,
long
shirts,
double
layer,
gloves
and
respirator
Two
exposure
frequencies
were
used
for
cancer,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
54
Table
B4:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
Eengineering
Control
Exposure
Scenario
#
Crop
Type
Total
Eng.
Control
Daily
Dose
(
mg/
kg/
day)
a
Eng.
Control
LADDb
3/
30
days
Eng
Control
Riskc
Mixer/
Loader
Exposure
Mixing/
Loading
Wettable
Powders
for
Chemigation
Application
(
1a)
sod
farms
0.0170
6.92e
05/
6.92e
04
4.92E
06/
4.92e
05
Mixing/
Loading
Wettable
Powders
for
Groundboom
Application
(
1b)
conifer
nurseries,
woody
ornamentals
0.0026
1.05e
05/
1.05e
04
7.49E
07/
7.49e
06
herbaceous
ornamentals
0.0019
7.90e
06/
7.90e
05
5.62E
07/
5.62e
06
sod
farms
0.0038
1.58e
05/
1.58e
04
1.12E
06/
1.12e
05
golf
courses
0.0026
1.05e
05/
1.05e
04
7.49E
07/
7.49e
06
Mixing/
Loading
Wettable
Powders
for
Rights
of
Way
Sprayer
(
1c)
roadside
turf,
ornamentals
0.0026
1.05e
05/
1.05e
04
7.49E
07/
7.49e
06
Loading
Granular
formulations
(
2)
sod
farms,
conifers
forest
0.0002
3.09e
073.09e
06
2.20E
08/
2.20e
07
golf
course
turf,
parks,
recreational
areas
0.0001
1.54e
07/
1.54e
06
1.10E
08/
1.10e
07
woody
ornamentals
0.0001
4.63e
07/
4.63e
06
3.29E
08/
3.29e
07
Applicator
Applying
with
a
Groundboom
(
3)
sod
farms
0.0017
6.95e
06/
6.95e
05
4.94E
07/
4.94e
06
herbaceous
ornamentals
0.0009
3.47e
06/
3.47e
05
2.47E
07/
2.47e
06
golf
courses
0.0011
4.63e
06/
4.63e
05
3.29E
07/
3.29e
06
conifer
nurseries,
woody
ornamentals
0.0011
4.63e
06/
4.63e
05
3.29E
07/
3.29e
06
Applying
with
a
Rights
of
Way
Sprayer
(
4)
roadsides
NF
NF
NF
Applying
Wettable
Powders
for
Handgun
Applicators
(
ORETF)
(
5)
lawns,
parks,
recreational
areas
NF
NF
NF
Applying
Granular
with
a
Tractor
Drawn
Spreader
(
6)
sod
farms
0.0019
2.56e
06/
2.56e
05
1.82E
07/
1.82e
06
golf
courses
0.0009
1.28e
06/
1.28e
05
9.11E
08/
9.11e
07
Mixer/
Loader/
Applicator
Backpack
Sprayer
(
LCO)
(
7)
lawns,
golf
courses,
ornamentals
nurseries
NF
NF
NF
Low
Pressure
Handwand
Wettable
Powder
Formulations
(
LCO)
(
8)
lawns,
golf
courses,
nursery
stock
NF
NF
NF
Table
B4:
Occupational
Handler,
Cancer
(
Q*)
Risk
from
Oxadiazon
at
Eengineering
Control
Exposure
Scenario
#
Crop
Type
Total
Eng.
Control
Daily
Dose
(
mg/
kg/
day)
a
Eng.
Control
LADDb
3/
30
days
Eng
Control
Riskc
55
High
Pressure
Handwand
(
Wettable
Powder
Formulations)
(
9)
woody
ornamentals,
conifer
nurseries.
NF
NF
NF
Lawn
Handgun
(
Wettable
Powder
Formulations)
(
ORETF)
(
10)
ornamentals,
lawns,
parks
rec
areas
NF
NF
NF
Granulars
with
a
Push
Type
Spreader
(
ORETF)
(
11)
lawns,
golf
courses,
parks,
recreational
areas,
ornamentals
NF
NF
NF
Granulars
with
a
Bellygrinder
(
LCO)
(
12)
golfcourses,
parks,
rec
areas.
NF
NF
NF
a
Eng.
Control
Total
Daily
Dose
=[
Eng.
Control
Daily
Dermal
Exposure
(
mg/
day)*
Dermal
Absorption
Factor
(
9%)+
baseline
Daily
Inhalation
Exposure
(
mg/
day)]/
Body
Weight
(
70
kg).
b
Eng.
Control
LADD
(
mg/
kg/
day)
=
Eng.
control
Total
Daily
Dose
(
mg/
kg/
day)
*
(
Number
of
days
exposed
per
year)
/
365
days
per
year)
*
35
years
worked/
70
year
lifetime.
c
Eng.
Control
Total
Cancer
Risk
=
Eng.
Control
LADD
(
mg/
kg/
day)
*
(
Q
1*),
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
NF=
Not
feasible
Two
exposure
frequencies
were
used
for
cancer,
the
first
represented
the
maximum
number
of
applications
per
site
per
season
to
represent
private
use
(
3),
and
the
second
frequency
applied
a
factor
of
ten
to
the
first
frequency
to
represent
commercial
handlers
making
multiple
applications
per
site
per
season
(
30).
56
APPENDIX
C
OCCUPATIONAL
AND
RESIDENTIAL
POST
APPLICATION
TABLES
C1
C4
57
Table
C1:
Occupational
Short
and
Intermediate
Term
Postapplication
Risks
for
Oxadiazon
Crop/
Use
Pattern
Application
Rate
(
lb
ai/
acre)
Postapplication
Activity
Transfer
Coefficienta
Short
Term
and
Intermediate
Term
Risks
Cancer
Risk
TTRb
(
ug/
cm2)
MOEc
LADDd
mg/
kg/
day
Riske
Golf
Course
Turf
4
Mow,
seed,
mechanical
weed,
aerate,
fertilize,
prune
500
2.0
(
5%
of
application
rate)
1,000
4.23e
5
3.01e
6
Transplant,
hand
weed
16,500
30
1.39e
3
9.92e
5
Sod
Farms
Mow,
scout,
mechanical
weed,
irrigate
500
1,000
4.23e
5
3.01e
6
Transplant,
hand
weed,
harvest
(
hand
or
mechanical)
16,500
30
1.39e
3
9.92e
5
Bermuda
Grass
Rights
of
Way
Mow,
seed,
scout,
mechanical
weed,
aerate,
fertilize
500
1,000
4.23e
5
3.01e
6
a
Transfer
coefficient
from
Science
Advisory
Council
for
Exposure:
Policy
Memo
#
003
.1
"
Agricultural
Transfer
Coefficients,"
Revised
August
7,
2000.
b
TTR
source:
5%
of
application
rate,
"
Residential
SOP
Revised
February
2001
"
was
used
for
determination
of
MOE's.
c
MOE
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
where
absorbed
dose
=
TTR
(
g/
cm2)
x
TC
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
8hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg;
adult).
d
absorbed
dermal
dose
where
absorbed
dose
=
TTR
(
g/
cm2)
x
TC
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
8
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
e
Cancer
Risk
=
LADD
(
mg/
kg/
day)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
Note:
TTR
Turf
Transferable
Residue
rounded
to
2.0
ug/
cm2
XXXXX
58
Table
C2.
Residential
Dermal
Postapplication
Non
Cancer
Risks
for
Oxadiazon
Dermal
Scenarios
Application
Rate
(
lb
ai/
acre)
Exposure
Time
(
hours/
day)
Short
Term
and
Intermediate
Term
Risks
Transfer
Coefficient
(
cm2/
hr)
a
Transfer
Coefficient
(
cm2/
hr)
Irrigatedb
Transfer
Coefficient
(
cm2/
hr)
Non
Irrigatedc
TTRd
(
ug/
cm2)
DAT
0
1
Dermal
Dose
(
mg/
kg/
day)
e
Dermal
Dose
(
mg/
kg/
day)
Irrigatedf
Dermal
Dose
(
mg/
kg/
day)
Non
Irrigatedg
MOEsh
MOEs
i
Irrigated
MOEsj
Non
Irrigated
Adult
dermal
turf
contact
4
2
14500
4300
7,400
1.53
NA
1.97e
2
3.40e
2
NA
610
350
2.0
8.70e
2
NA
NA
140
NA
NA
Toddler
dermal
turf
contact
2
5200
1600
2,700
0.87
NA
1.67e
2
2.82e
2
NA
720
430
2.0
3.12e
2
NA
NA
390
NA
NA
Adult
walking,
playing
golf
4
500
NA
NA
2.0
6.0e
3
NA
NA
2,000
NA
NA
Adult
push
mowing
lawn
2
500
NA
NA
2.0
3.0e
3
NA
NA
4,000
NA
NA
a
Transfer
coefficient
from
the
Residential
SOP's
(
2/
01)
used
for
fresh
grass
b
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
c
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
d
TTR
source:
wettable
powder
from
turf
studies
MRID
#
435178
01,
DAT
0
1
residue
or
residential
SOP
(
5%
application
rate)
e
Dermal
dose
(
mg/
kg/
day)
=
TTR
(
5%
application
rate)
(
g/
cm2)
x
TC
(
from
residential
SOP,
s)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
or
4hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg
adult
or
15
kg
toddler).
f
Dermal
dose
(
mg/
kg/
day)
irrigated
=
TTR
(
from
MRID
#
435178
01)
(
g/
cm2)
x
TC
(
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg
adult
or
15
kg
toddler).
g
Dermal
dose
(
mg/
kg/
day)
non
irrigated
=
TTR
(
from
MRID
#
435178
01)
(
g/
cm2)
x
TC
(
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
60
kg
adult
or
15
kg
toddler).
h
MOE
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
i
MOE
(
irrigated)
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
j
MOE
(
non
irrigated)
=
Short
term
NOAEL
(
12
mg/
kg/
day;
based
on
an
oral
study)
/
dermal
dose
(
mg/
kg/
day)
Note:
TTR
Turf
Transferable
Residue
rounded
to
2.0
ug/
cm2
59
Table
C3.
Residential
Dermal
Postapplication
Cancer
Risks
for
Oxadiazon
Dermal
Scenarios
Application
Rate
(
lb
ai/
acre)
Exposure
Time
(
hours/
day)
Transfer
Coefficient
(
cm2/
hr)
a
Transfer
Coefficient
(
cm2/
hr)
Irrigatedb
Transfer
Coefficient
(
cm2/
hr)
Non
Irrigatedc
TTRd
(
ug/
cm2)
DAT
0
1
LADDe
mg/
kg/
day
LADDf
mg/
kg/
day
irrigated
LADDg
mg/
kg/
dayf
Non
Irrigated
Cancerh
Cancer
Irrigatedj
Cancerj
Nonirrigated
Adult
dermal
turf
contact
4
2
14500
4300
7400
1.53
NA
6.95e
5
1.2e
4
NA
3.62e
6
6.22e
6
2.0
3.06e
04
NA
NA
1.59e
5
NA
NA
Toddler
dermal
turf
contact
2
5200
1600
2700
0.87
NF
NF
NF
NF
NF
NF
2.0
NF
NF
NF
NF
NF
NF
Adult
walking,
playing
golf
4
500
NA
NA
2.0
2.11e
5
NA
NA
1.50e
6
NA
NA
Adult
push
mowing
lawn
2
500
NA
NA
2.0
1.06e
5
NA
NA
7.51e
7
NA
NA
a
Transfer
coefficient
from
the
Residential
SOP's
(
2/
01)
used
for
fresh
grass
b
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
c
Transfer
coefficient
from
turf
study
MRID
#
435178
01used
for
dormant
grass
d
TTR
source:
wettable
powder
and
granular
turf
studies
MRID
#
435178
01,
DAT
0
1
residue
e
LADD
(
mg/
kg/
day)
=
TTR
(
g/
cm2)(
5%
of
application
rate)
x
TC(
residential
SOP)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
or
4
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
f
LADD
(
mg/
kg/
day)(
irrigated)
=
TTR
(
g/
cm2)
(
from
MRID
#
435178
01)
x
TC
(
cm2/
hr)(
from
MRID
#
435178
01)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
g
LADD
(
mg/
kg/
day)(
non
irrigated)
=
TTR
(
g/
cm2)(
from
MRID
#
435178
01)
x
TC(
from
MRID
#
435178
01)
(
cm2/
hr)
x
conversion
factor
(
1
mg/
1,000
g)
x
exposure
time
(
2
hrs/
day)
x
dermal
absorption
(
9
%)
/
body
weight
(
70
kg)
x
(
Number
of
days
(
3)
exposure
per
year
applicator)
/
365
days
per
year)
x
35
years
worked/
70
year
lifetime
h
Cancer
Risk
=
LADD
(
mg/
kg/
day)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
i
Cancer
Risk
(
irrigated)
=
LADD
(
mg/
kg/
day)
(
irrigated)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
j
Cancer
Risk
(
non
irrigated)
=
LADD
(
mg/
kg/
day)(
non
irrigated)
x
(
Q
1*),
where
Q
1*
=
7.11e
2
(
mg/
kg/
day)
1.
NA=
Not
applicable
NF=
Not
Feasible
Note:
TTR
Turf
Transferable
Residue
rounded
to
2.0
ug/
cm2
60
Table
C4
Residential
Oral
Nondietary
Postapplication
Risks
to
Toddlers
from
"
Hand
to
Mouth"
and
Ingestion
Exposure
When
Reentering
Lawns
Treated
with
Granular
or
wettable
powder
Oxadiazon
Formulations
Type
of
Exposure
Application
Ratea
(
lb
ai/
acre)
Ingestion
Rate
or
Other
Assumptionsb
Short
Term
TTRc
(
g/
cm2)
DAT
0
1
Oral
Dosed
(
mg/
kg/
day)
MOEe
Hand
to
Mouth
Activity
4
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
fresh
grass
5%
of
ai
dislodgeable
with
potentially
wet
hands
2.0
1.19e
01
100
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
2.1%
of
ai
dislodgeable
with
potentially
wet
hands
(
dormant
grass,
non
irrigated)
1.0
5.02e
02
240
20
cm2/
event
surface
area
of
1
3
fingers;
20
events/
hr;
5.5%
of
ai
dislodgeable
with
potentially
wet
hands
(
dormant
grass,
irrigated)
2.5
1.31e
01
90
Incidental
Turfgrass
Ingestion
25
cm2/
day
of
turf
20%
application
rate
(
residential
SOP)
fresh
grass
9.0
1.49e
02
805
25
cm2/
day
of
turf
Irrigated
(
MRID
#
435178
01)
used
for
dormant
grass
0.87
2.60e
03
4700
25
cm2/
day
of
turf
Non
Irrigated(
MRID
#
435178
01)
used
for
dormant
grass
1.53
1.45e
03
8300
Incidental
Ingestion
of
Soil
100
mg/
day
ingestion;
0.67
cm3/
gm
soil
NA
2.12e
04
57000
a
Application
rates
represent
maximum
label
rates
from
current
EPA
registered
labels.
b
Assumptions
from
Residential
SOP's
(
February,
2001).
fresh
grass
c
TTR
source:
wettable
powder
and
granular
oxadiazon
turf
studies
MRID
Nos.
43517801.
Short
term
risks
assessed
using
DAT
0
1
residue
values.
d
Oral
doses
calculated
using
formulas
presented
in
the
Residential
SOPs
(
February,
2001).
Short
term
and
intermediate
term
doses
were
calculated
using
the
following
formulas.
Intermediate
term
doses
were
each
multiplied
by
the
estimated
fraction
of
oxadiazon
residue
remaining
on
DAT
7
after
application.
Hand
to
mouth
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[
application
rate
(
lb
ai/
acre)
x
fraction
of
residue
dislodgeable
from
potentially
wet
hands
(
see
assumptions)
x
11.2
(
conversion
factor
to
convert
lb
ai/
acre
to
g/
cm2)]
x
median
surface
area
for
1
3
fingers
(
20
cm2/
event)
x
hand
to
mouth
rate
(
ST:
20
events/
hour
)
x
exp.
time
(
2
hr/
day)
x
0.001
mg/
µ
g]
/
bw
(
15
kg
toddler).
Grass
ingestion
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[
TTR
(
g/
cm2)
x
ingestion
rate
of
grass
(
25
cm2/
day)
x0.001
mg/
µ
g]
/
bw
(
15
kg
toddler).
Soil
ingestion
oral
dose
to
toddlers
on
the
day
of
treatment
(
mg/
kg/
day)
=
[(
application
rate
(
lb
ai/
acre)
x
fraction
of
residue
retained
on
uppermost
1
cm
of
soil
(
100%
or
1.0/
cm)
x
4.54E+
08
g/
lb
conversion
factor
x
2.47E
08
acre/
cm2
conversion
factor
x
0.67
cm3/
g
soil
conversion
factor)
x
100
mg/
day
ingestion
rate
x
1.0E
06
g/
g
conversion
factor]
/
bw
(
15
kg;
toddler).
Short
term
dose
based
residue
on
the
soil
on
day
of
application.
NA=
Not
applicable
Note:
TTR
Turf
Transferable
Residue
61
References
1)
Revised
Report
of
Hazard
Identification
Assessment
Review
Committee,
Dec
21,
2001.
2)
Oxadizon
Labels.
2)
Memorandum
from
J
Blondell
to
S.
Tadayon,
13
March,
2001
4)
Pesticide
Handler
Exposure
Database
Version
1.1
Surrogate
Exposure
Table
(
newly
organized)
and
printed
August
1998.
cc:
PP#
276360
RDI:
Francis
Suhre
4/
6/
2001
Timothy
Leighton
3/
21/
2001
Jeff
Evans
3/
21/
2001
S.
Tadayon:
810J:
CM#
2:
(
703)
305
5238
62
| epa | 2024-06-07T20:31:45.114288 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0006/content.txt"
} |
EPA-HQ-OPP-2002-0309-0007 | Supporting & Related Material | 2002-12-03T05:00:00 | null | OXADIAZON
109001
Toxicology
Disciplinary
Chapter
for
the
Reregistration
Eligibility
Decision
Document
Date
completed:
April
4,
2001
Health
Effects
Division
Office
of
Pesticide
Programs
U.
S.
Environmental
Protection
Agency
Arlington,
VA
22202
Prepared
by:
Linnea
J.
Hansen,
Ph.
D.
__________________________
Date
_________________
Nancy
McCarroll,
B.
S.
___________________________
Date
__________________
Reviewed
by:
Alberto
Protzel,
Ph.
D.,
Toxicology
Branch
Senior
Scientist
___________________________
Date
__________________
form:
FINAL
June
21,
2000
EPA
Reviewer:
Linnea
J.
Hansen,
Ph.
D.
,
Date
Toxicology
Branch
(
7509C)
Secondary
EPA
Reviewer:
Alberto
Protzel,
Ph.
D.,
Branch
Sr.
Scientist
,
Date
Toxicology
Branch
(
7509C)
TABLE
OF
CONTENTS
1.0
HAZARD
CHARACTERIZATION
.
.
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3
2.0
REQUIREMENTS
.
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5
3.0
DATA
GAP(
S)
.
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7
4.0
HAZARD
ASSESSMENT
.
.
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7
4.1
Acute
Toxicity
.
.
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7
4.2
Subchronic
Toxicity
.
.
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8
4.3
Prenatal
Developmental
Toxicity
.
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11
4.4
Reproductive
Toxicity
.
.
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13
4.5
Chronic
Toxicity
.
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14
4.6
Carcinogenicity
.
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.
19
4.7
Mutagenicity
.
.
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23
4.8
Neurotoxicity
.
.
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.
26
4.9
Metabolism.
.
.
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.
26
4.10
Special/
Other
Studies
.
.
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.
28
5.0
TOXICITY
ENDPOINT
SELECTION
.
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.
29
5.1
See
Section
9.2
for
Endpoint
Selection
Table.
.
.
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29
5.2
Dermal
Absorption
.
.
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.
29
5.3
Classification
of
Carcinogenic
Potential
.
.
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29
6.0
FQPA
CONSIDERATIONS
.
.
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.
30
6.1
Special
Sensitivity
to
Infants
and
Children
.
.
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.
30
6.2
Recommendation
for
a
Developmental
Neurotoxicity
Study
.
.
.
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30
7.0
OTHER
ISSUES
.
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30
8.0
REFERENCES
.
.
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31
9.0
APPENDICES
.
.
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.
35
9.1
Toxicity
Profile
Summary
Tables
.
.
.
.
.
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.
36
9.1.1
Acute
Toxicity
Table
.
.
.
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.
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.
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.
36
9.1.2
Subchronic,
Chronic
and
Other
Toxicity
Tables
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
36
9.2
Summary
of
Toxicological
Dose
and
Endpoints
.
.
.
.
.
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.
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.
42
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
3
1.0
HAZARD
CHARACTERIZATION
Oxadiazon
is
a
selective
pre
emergent
herbicide
of
the
oxadiazole
class.
Like
other
oxadiazoles,
it
displays
light
dependent
phytotoxicity
through
the
inhibition
of
protoporphyrinogen
oxidase.
Accumulation
of
protoporphyrin
IX
following
exposure
to
oxadiazon
has
been
demonstrated
in
plants,
yeast
and
mouse
liver
mitochondria.
At
present,
there
are
no
registered
food
or
feed
uses.
Aventis
CropScience
USA
is
supporting
use
of
oxadiazon
on
golf
courses,
ornamentals,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries.
The
database
for
oxadiazon
is
largely
complete
and
provides
sufficient
information
to
characterize
toxicity.
The
only
data
gap
that
has
been
identified
at
this
time
is
the
submission
of
a
28
day
inhalation
study
(
OPPTS
No.
870.3465).
This
study
was
not
a
guideline
requirement
for
oxadiazon,
but
has
been
requested
by
the
Agency
because
some
currently
registered
products
of
oxadiazon
are
spray
formulations.
In
acute
studies,
oxadiazon
is
only
slightly
toxic
(
Toxicity
Categories
III
or
IV)
with
an
oral
LD
50
>
5000
mg/
kg,
a
dermal
LD
50
>
2000
mg/
kg
and
an
inhalation
LC
50
>
1.94
mg/
L.
Oxadiazon
is
mildly
irritating
to
ocular
tissue
and
negligibly
irritating
to
the
skin
(
both
Toxicity
Category
III)
and
is
not
a
dermal
sensitizer.
The
major
target
organ
of
oxadiazon
is
the
liver.
Effects
were
consistent
among
the
species
tested
(
rat,
dog,
mouse)
in
both
subchronic
and
chronic
studies
and
typically
included
enlarged
livers
(
presumably
due
to
the
peroxisomal
proliferating
activity
of
oxadiazon),
along
with
increases
in
serum
clinical
chemistry
parameters
associated
with
hepatotoxicity
such
as
alkaline
phosphatase
and
serum
aspartate
or
alanine
aminotransferase.
Findings
in
rats
and
mice
included
fatty
changes,
pigmented
Kupffer
cells
and
bile
canaliculi
and
bile
duct
proliferation,
periacinar
swelling
and
pallor,
increased
acidophilic
cells,
hyperplasia
and
hepatocellular
necrosis.
No
treatment
related
microscopic
lesions
were
observed
in
the
subchronic
dog
study
and
findings
in
the
chronic
study
were
only
observed
at
the
HDT
(
200
mg/
kg/
day),
where
only
2
animals/
sex
were
assigned
and
1
female
was
sacrificed
in
moribund
condition.
These
findings
included
increased
liver
weight
and
hepatocellular
histopathology
(
centriacinar
vacuolation,
periacinar
apoptosis
and
inflammation).
The
hematopoietic
system
also
appeared
to
be
a
target
of
oxadiazon
in
all
three
species,
based
on
mild
anemia
(
reductions
in
RBC,
hematocrit
and/
or
hemoglobin).
This
is
consistent
with
its
ability
to
inhibit
protoporphyrinogen
oxidase,
an
enzyme
involved
in
the
synthesis
of
both
heme
and
chlorophyll.
In
addition
to
effects
on
the
liver,
increased
pigmentation
in
the
kidney
was
observed
in
rats,
along
with
increased
BUN
and
kidney
weights.
Although
a
dose
dependent
increase
in
thyroid
weight
was
observed
in
the
dog
subchronic
oral
toxicity
study
and
at
the
HDT
of
the
chronic
dog
studies,
treatment
related
changes
in
thyroid
weights
or
gross/
microscopic
observations
were
not
observed
in
other
studies
(
thyroid
hormones
were
not
evaluated).
In
general,
males
appeared
to
be
slightly
more
sensitive
to
oxadiazon
than
females.
Oxadiazon
is
not
readily
absorbed
by
the
skin.
In
a
rat
dermal
absorption
study,
up
to
9%
of
the
applied
dose
was
absorbed
after
10
hours
of
exposure.
The
21
day
rabbit
dermal
toxicity
study
supports
low
dermal
absorption:
no
toxicity
was
observed
at
the
limit
dose
of
1000
mg/
kg/
day.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
4
Following
long
term
dietary
administration,
oxadiazon
caused
an
increased
incidence
of
hepatocellular
adenoma
and
carcinoma
in
rats
and
mice.
Consistent
findings
were
reported
in
a
total
of
4
acceptable
studies
in
2
species
(
2
mouse
and
2
rat
studies).
A
third
mouse
study
was
unacceptable,
although
increased
hepatocellular
tumors
were
also
observed
in
mice
of
both
sexes.
In
CD
1
mice,
statistically
significant
increases
of
hepatocellular
adenoma
and
combined
adenoma/
adenocarcinoma
were
observed
at
all
dose
levels
tested
(
100
ppm)
in
both
males
and
females.
The
incidence
of
hepatocellular
carcinoma
was
increased
at
all
doses
in
males
but
only
at
the
two
highest
doses
in
females.
The
highest
dose
tested
exceeded
the
MTD
for
males,
based
on
excessive
mortality.
In
ICR
JCL
mice,
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
were
increased
in
males
at
the
highest
2
dose
levels
but
only
at
the
highest
dose
level
in
females.
In
SPF
Wistar
rats,
the
incidence
of
hepatocellular
adenomas
,
carcinomas
and
combined
adenomas/
carcinomas
was
increased
in
males
only.
A
second
study
in
F344
rats
showed
a
treatment
related
increase
in
the
incidence
of
hepatocellular
carcinoma
and
combined
adenoma/
carcinoma
only
in
males.
A
classification
of
"
likely
to
be
carcinogenic
to
humans"
was
assigned
by
the
HED
Cancer
Assessment
Review
Committee
using
the
EPA
Draft
Guidelines
for
Carcinogen
Risk
Assessment
of
July,
1999.
A
quantitative
risk
(
Q
1*)
of
7.11
x
10
2
(
mg/
kg/
day)
1
was
calculated
as
the
most
potent
unit
risk,
based
on
the
incidence
of
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
in
the
ICR
JCL
mouse.
In
a
special
mechanistic
study
in
rats,
oxadiazon
induced
peroxisomal
proliferation
(
based
on
liver
enlargement,
peroxisomal
enzyme
induction
and
electron
microscopy)
after
a
14
day
dietary
administration.
Some
peroxisomal
proliferator
compounds
are
known
to
be
liver
carcinogens,
but
the
HED
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
determined
that
there
are
insufficient
data
available
to
support
this
as
a
mechanism
of
carcinogenicity
for
oxadiazon
due
to
insufficient
data
showing
hepatocellular
proliferation,
lack
of
concordance
between
the
enzyme
induction
dose
response
and
tumor
formation
and
an
unexplained
decrease
in
catalase,
which
is
normally
significantly
increased
by
peroxisomal
proliferator
compounds.
Oxadiazon
did
not
show
mutagenic
potential
in
any
in
vitro
assays
with
bacteria
(
S.
typhimurium
and
E.
coli)
or
mammalian
cells
(
TK
+/
mouse
lymphoma
cells),
did
not
show
clastogenic
potential
in
the
in
vitro
Chinese
hamster
ovary
cell
chromosomal
aberration
assays
and
did
not
induce
unscheduled
DNA
synthesis
in
cultured
primary
rat
hepatocytes.
However,
a
dose
related
increase
in
transformation
frequencies
was
observed
in
an
in
vitro
Syrian
hamster
kidney
BHK21
C13/
HRC1
cell
transformation
assay.
Significant
fetal
toxicity
(
fetal
loss
due
to
resorptions
and
post
implantation
loss,
decreased
fetal
weight,
skeletal
variations)
was
observed
in
developmental
toxicity
studies
in
both
rats
and
rabbits.
These
fetal
effects
occurred
at
the
same
dose
levels
at
which
slight
maternal
toxicity
(
decreased
weight
gain/
weight
loss)
were
observed.
Offspring
survival
effects
were
also
observed
in
the
rat
two
generation
reproduction
study.
No
toxicity
was
reported
at
the
lowest
dose
tested;
however,
in
the
range
finding
study
at
higher
dose
levels,
fetal
and
neonatal
survival
were
also
sharply
reduced.
The
decreased
neonatal
survival
was
due
at
least
in
part
to
effects
on
lactation,
based
on
findings
of
inactive
mammary
glands
in
the
dams
at
necropsy.
It
is
likely
that
neonatal
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
5
loss
may
have
resulted
from
starvation
and
would,
therefore,
be
an
effect
of
direct
maternal
toxicity.
Inactivity
of
the
mammary
tissue
as
a
possible
effect
of
endocrine
disruption
was
considered
but
was
not
found
to
be
likely
since
there
was
no
evidence
from
any
other
study
in
the
database
suggesting
endocrine
disruption.
No
fetal
malformations
were
observed
in
the
rat
or
rabbit
developmental
toxicity
studies;
however,
some
skeletal
variations
(
delayed
ossification,
asymmetric
pelvis)
were
reported.
The
above
findings
indicate
that
there
is
neither
qualitative
nor
quantitative
evidence
of
increased
susceptibility
of
rats
or
rabbits
following
in
utero
or
postnatal
exposure
to
oxadiazon.
Neurotoxicity
studies
are
not
required
for
oxadiazon
because
no
clinical
signs
of
toxicity
suggestive
of
neurobehavioral
alterations
nor
evidence
of
neuropathological
effects
were
observed
in
any
of
the
available
toxicity
studies.
There
was
no
evidence
for
neurodevelopmental
potential
of
oxadiazon
in
the
rat
and
rabbit
developmental
toxicity
studies,
nor
in
the
rat
two
generation
reproductive
toxicity
study.
In
a
rat
metabolism/
pharmacokinetic
study,
oxadiazon
was
extensively
metabolized,
primarily
via
hydroxylation
and
glucuronide
conjugation.
However,
the
benzene
and
pyrozolidine
rings
were
not
modified.
Eighteen
(
18)
metabolites
were
identified
in
the
urine
and
feces,
of
which
4
urinary
and
5
fecal
metabolites
were
present
at
levels
greater
than
1%
of
the
dose.
After
7
days,
83%
of
the
administered
dose
was
excreted
in
the
urine
and
feces
(
total
recovery
94%)
for
all
dose
groups.
Females
excreted
more
radioactivity
in
the
urine
than
males.
The
excretion
of
radioactivity
into
the
urine
and
the
feces
was
sex
dependent
and
the
tissue
residues
were
very
low
in
all
tissues
except
liver
and
fat.
Low
doses
(
5
mg/
kg,
single
or
multiple)
of
oxadiazon
were
completely
absorbed,
metabolized
and
excreted
in
the
urine
and
feces
and
virtually
no
free
oxadiazon
was
found
in
the
urine.
At
this
dose,
the
rates
and
routes
of
excretion
of
radioactivity
were
similar.
At
high
dose
(
500
mg/
kg),
the
rate
of
excretion
was
affected
but
the
route
was
not.
Intact
oxadiazon
was
present
in
feces
only
and
was
dose
related:
at
the
high
dose,
more
than
53%
of
the
administered
radioactivity
was
intact
oxadiazon
in
the
feces;
at
5
mg/
kg,
not
more
than
4.8%
of
the
dose
was
intact
oxadiazon
in
the
feces.
2.0
REQUIREMENTS
The
requirements
(
CFR
158.340)
for
non
food/
feed
(
turf)
uses
for
oxadiazon
are
shown
below
in
Table
1.
Use
of
the
new
guideline
numbers
does
not
imply
that
the
new
(
1998)
guideline
protocols
were
used.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
6
Table
1.
Data
requirements
for
Reregistration
of
Oxadiazon
Test
Technical
Required
Satisfied
870.1100
Acute
Oral
Toxicity
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.1200
Acute
Dermal
Toxicity
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.1300
Acute
Inhalation
Toxicity
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.2400
Primary
Eye
Irritation
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.2500
Primary
Dermal
Irritation
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.2600
Dermal
Sensitization
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
yes
yes
yes
yes
yes
yes
yes
yes
yes
yes
yes
yes
870.3100
Oral
Subchronic
(
rodent)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.3150
Oral
Subchronic
(
nonrodent)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.3200
21
Day
Dermal
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.3250
90
Day
Dermal
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.3465
90
Day
Inhalation
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
yes
yes
yes
no
yes1
yes
yes
yes
no
870.3700a
Developmental
Toxicity
(
rodent)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.3700b
Developmental
Toxicity
(
nonrodent)
.
.
.
.
.
.
.
.
.
.
.
.
870.3800
Reproduction
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
yes
yes
yes
yes
yes
yes
870.4100a
Chronic
Toxicity
(
rodent)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.4100b
Chronic
Toxicity
(
nonrodent)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.4200a
Oncogenicity
(
rat)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.4200b
Oncogenicity
(
mouse)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.4300
Chronic/
Oncogenicity
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
yes
yes
yes
yes
yes
yes
yes
yes
yes
yes
870.5100
Mutagenicity
C
Gene
Mutation
bacterial
.
.
.
.
.
.
.
.
.
870.5300
Mutagenicity
C
Gene
Mutation
mammalian
.
.
.
.
.
.
870.5375
Mutagenicity
C
Structural
Chromosomal
Aberrations
870.5550
Mutagenicity
C
Other
Genotoxic
Effects
.
.
.
.
.
.
.
.
.
.
yes
yes
yes
yes
yes
yes
yes
yes
870.6100a
Acute
Delayed
Neurotox.
(
hen)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.6100b
90
Day
Neurotoxicity
(
hen)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.6200a
Acute
Neurotox.
Screening
Battery
(
rat)
.
.
.
.
.
.
.
.
.
870.6200b
90
Day
Neuro.
Screening
Battery
(
rat)
.
.
.
.
.
.
.
.
.
.
.
870.6300
Develop.
Neuro
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
no
no
no
no
no
870.7485
General
Metabolism
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
870.7600
Dermal
Penetration
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
yes
no2
yes
yes
Special
Studies
for
Ocular
Effects
Acute
Oral
(
rat)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
Subchronic
Oral
(
rat)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
Six
month
Oral
(
dog)
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
no
no
no
1
A
90
day
inhalation
study
is
not
a
guideline
requirement
for
oxadiazon.
However,
a
28
day
inhalation
study
has
been
requested
by
the
Agency
because
some
of
the
currently
registered
products
are
spray
formulations.
2
This
study
was
not
required
by
the
Agency,
but
was
submitted
as
additional
information
for
oxadiazon.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
7
3.0
DATA
GAPS
There
are
no
guideline
required
data
gaps.
However,
HIARC
has
recommended
the
submission
of
a
28
day
inhalation
toxicity
study
in
the
rodent
because
some
of
the
currently
registered
products
are
spray
formulations.
4.0
HAZARD
ASSESSMENT
4.1
Acute
Toxicity
Adequacy
of
data
base
for
acute
toxicity:
The
data
base
for
acute
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
The
acute
toxicity
of
oxadiazon
is
low
by
all
potential
routes
of
exposure
(
Toxicity
Category
IV,
oral
and
III,
dermal
and
inhalation).
Primary
eye
irritation
is
mild
and
skin
irritation
is
negligible
(
both
Category
III).
Oxadiazon
did
not
show
potential
for
dermal
sensitization
in
a
Buehler
test.
The
acute
toxicity
data
on
oxadiazon
technical
is
summarized
in
Table
2.
Table
2.
Acute
Toxicity
Data
on
Oxadiazon
Guideline
No./
Study
Type
MRID
No.
Results
Toxicity
Category
870.1100
Acute
oral
toxicity
(
rat)
41866501
(
97.5%
a.
i.)
LD50
>
5000
mg/
kg
,
combined
IV
870.1200
Acute
dermal
toxicity
(
rabbit)
41866502
(
97.5%
a.
i.)
LD50
>
2000
mg/
kg,
,
combined
III
870.1300
Acute
inhalation
toxicity
(
rat)
41866503
(
93.7%
a.
i.)
LC50
>
1.94
mg/
L
,
combined
III
870.2400
Acute
eye
irritation
(
rabbit)
41866504
(
97.5%
a.
i.)
Mild
irritant
to
ocular
tissues
III
870.2500
Acute
dermal
irritation
(
rabbit)
41866505
(
97.5%
a.
i.)
Negligibly
irritating
to
skin
III
870.2600
Skin
sensitization
(
guinea
pig)
41230401
(
93.7%
a.
i.)
Not
a
dermal
sensitizer
(
Buehler
test)
870.6200a
Acute
neurotoxicity
screening
battery
(
rat)
ND
ND
No
data
not
required
for
oxadiazon.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
8
4.2
Subchronic
Toxicity
Adequacy
of
data
base
for
subchronic
toxicity:
The
data
base
for
subchronic
toxicity
is
considered
complete
with
respect
to
the
guideline
requirements
for
a
non
food/
feed
use.
However,
the
HIARC
has
recommended
the
submission
of
a
28
day
inhalation
toxicity
study
because
some
of
the
currently
registered
products
are
spray
formulations.
In
the
rat,
liver
effects
from
subchronic
exposure
included
increased
weight,
increased
ALT,
AST,
alkaline
phosphatase
and
BUN,
and
microscopic
findings
such
as
increased
brown
pigmentation
of
Kupffer
cells
and
bile
canaliculi,
variable
hepatocyte
size
and
staining
and
necrosis.
In
addition,
decreased
red
blood
cell
parameters,
increased
splenic
hematopoietic
activity
and
vacuolization
of
cells
of
the
adrenal
gland
and
the
kidney
were
observed.
In
the
dog,
increased
liver
and
thyroid
weights
and
serum
levels
of
alkaline
phosphatase
and
ALT
were
reported,
but
no
liver
pathology
or
hematological
effects
were
observed
at
the
doses
tested.
No
toxicity
following
21
consecutive
daily
dermal
exposures
was
observed
in
rats
exposed
up
to
the
limit
dose
of
1000
mg/
kg/
day.
In
addition
to
the
Executive
Summaries
provided
below,
subchronic
toxicity
studies
are
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.3100
90
Day
Oral
Toxicity
Rat
In
a
90
day
subchronic
oral
toxicity
study
(
MRID
00111804),
oxadiazon
as
RP
17623
(
tech.,
98.2%
a.
i.)
was
administered
to
CD
rats
(
10/
sex/
dose)
at
dietary
levels
of
0,
25,
100
or
1000
mg/
kg/
day)
for
13
weeks.
Clinical
signs,
body
weights
and
food
consumption
were
determined
weekly.
At
4
and
13
weeks,
hematology,
clinical
chemistry
and
urinalysis
determinations
were
performed.
Cholinesterase
activity
was
also
measured
in
erythrocytes
at
13
weeks.
Necropsy,
organ
weights
and
histology
examinations
were
performed
at
13
weeks.
Mortality
was
confined
to
one
high
dose
male
at
week
10
and
one
high
dose
female
at
week
12.
Other
clinical
signs
noted
at
1000
mg/
kg/
day
were:
hunched
appearance,
urine
stains,
rapid
respiration,
yellow
skin
pigmentation
and
loss
of
coordination
(
both
sexes).
Body
weight
(
13
and
49%)
was
significantly
decreased
in
males
at
100
and
1000
mg/
kg/
day;
respectively,
and
in
females
(
21%)
at
1000
mg/
kg/
day.
Food
consumption
was
significantly
reduced
for
both
sexes
at
the
high
dose.
Affected
hematological
parameters
included:
slight
decreases
in
hematocrit,
hemoglobin
and
erythrocyte
count
for
high
dose
males
and
females
(
13
weeks).
ALP,
total
bilirubin,
SGPT
(
4
and
13
weeks)
BUN
and
SGOT
(
13
weeks)
were
increased
in
high
dose
males
and
females.
Mid
dose
males
also
had
increased
ALP,
SGOT
and
SGPT
values.
There
was
no
effect
on
cholinesterase
activity.
Significantly
increased
absolute
and
relative
liver
weights
were
seen
in
males
and
females
receiving
100
and
1000
mg/
kg/
day.
Microscopic
changes
were
also
apparent
for
intermediate
and
high
dose
males
and
females.
At
1000
mg/
kg/
day
(
males
and
females)
and
100
mg/
kg/
day
(
males),
the
liver
contained
brown
pigment
in
the
Kupffer
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
9
cells
and
bile
canaliculi,
marked
variability
in
cell
size
and
staining
properties
of
the
hepatocytes
and
necrotic
hepatocytes.
The
adrenals
contained
cytoplasmic
vacuolation
of
the
zona
fasciculata,
vacuolation
and
hypertrophy
of
cells
in
the
zona
reticularis
and
increased
vacuolation
of
the
zona
glomerulosa
(
males
and
females
at
1000
mg/
kg/
day).
Also
at
1000
mg/
kg/
day,
the
spleen
showed
increased
hematopoietic
activity
and
brown
pigmentation;
granular
pigmentation
and
vacuolation
were
reported
for
the
kidneys.
No
significant
effects
were
seen
at
25
mg/
kg/
day.
The
LOAEL
is
100
mg/
kg/
day,
based
on
decreased
body
weight,
increased
liver
weight,
hematological
changes
and
clinical
chemistry
and
pathological
changes
associated
with
damage
to
the
livers
of
males
and
females;
the
NOAEL
is
25
mg/
kg/
day.
This
90
day
subchronic
oral
toxicity
study
in
the
rat
is
Acceptable/
guideline
and
satisfies
the
guideline
requirement
for
a
subchronic
toxicity
study
(
870.3100)
in
rodents.
870.3100
90
Day
Oral
Toxicity
Mouse
A
90
day
oral
toxicity
study
in
the
mouse
was
not
submitted.
870.3150
90
Day
Oral
Toxicity
Dog
In
a
subchronic
oral
toxicity
study
(
MRID
00111805),
oxadiazon
(
tech.,
98.2%
a.
i.)
was
administered
to
4
Beagle
dogs/
sex/
dose
in
the
diet
for
the
initial
3
weeks
of
the
study
at
concentrations
of
0,
1000,
4000
or
10,000
ppm.
Due
to
unpalatability
of
the
diets,
the
test
material
was
administered
via
gelatin
capsule
from
weeks
4
to
13
at
0,
25,
100
or
1000
(
limit
dose)
mg/
kg/
day.
The
high
dose
group
received
250
mg/
kg/
day
by
gelatin
capsule
during
week
4
instead
of
1000
mg/
kg/
day.
It
was
stated
that
a
single
high
dose
male
died
during
week
4
due
to
incidental
causes
and
was
replaced
with
another
dog;
it
was
not
specified
if
the
replacement
animal
was
treated
or
untreated
prior
to
week
4.
No
statistical
analyses
were
provided.
At
25
mg/
kg/
day,
increased
abs/
rel
thyroid
weights
were
observed
in
males
(+
18/+
34%).
At
100
mg/
kg/
day,
increased
alkaline
phosphatase
during
weeks
4
and
13
(+
16
to
+
41%)
in
the
males
only;
increased
aspartate
aminotransferase
during
week
13
(+
14
to
+
26%)
in
males
and
females;
increased
abs/
rel
thyroid
weights
in
males
(+
26%/+
35%);
increased
relative
thyroid
weights
in
females
(+
34%);
increased
abs/
rel
liver
weights
(
males
+
15%/+
28%)
and
relative
liver
weights
in
females
(+
28%)
were
observed.
At
1000
mg/
kg/
day,
increased
alkaline
phosphatase
during
weeks
4
and
13
(+
23
to
+
181%)
in
the
males;
increased
aspartate
aminotransferase
during
weeks
4
and/
or
13
(+
10
to
+
80%)
in
males
and
females,
increased
abs/
rel
liver
weights
(+
24%/+
53%,
males
and
+
60%/+
34%,
females)
and
increased
abs/
rel
thyroid
weights
(+
30%/+
59%,
males
and
+
23%/+
39%,
females)
were
observed.
Large
reductions
in
food
consumption
were
noted
in
the
high
dose
males
during
the
first
3
weeks
of
treatment
(
36
to
50%).
In
the
treated
females,
decreased
food
consumption
was
observed
during
the
first
3
weeks
of
treatment
at
the
low
(
4
to
20%),
mid
(
23
to
44%),
and
high
dose
levels
(
31
to
45%).
These
decreases
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
10
were
attributed
to
unpalatability
of
the
test
substance
in
the
diet;
after
changing
to
capsule
administration,
food
consumption
did
not
show
a
clear
dose
dependent
decrease.
No
treatment
related
changes
in
body
weights,
clinical
signs
of
toxicity,
overall
body
weight
gains,
hematology,
urinalysis,
erythrocyte
cholinesterase
levels,
gross
or
microscopic
pathological
findings
were
observed.
The
systemic
toxicity
LOAEL
for
this
study
is
25
mg/
kg/
day,
based
on
increased
thyroid
weights
in
males.
The
systemic
toxicity
NOAEL
for
this
study
is
<
25
mg/
kg/
day.
This
study
is
classified
as
Acceptable/
guideline
(
870.3150)
and
satisfies
the
requirement
for
a
subchronic
oral
toxicity
study
in
dogs.
Although
a
NOAEL
was
not
identified
in
this
study,
a
NOAEL
of
5
mg/
kg/
day
was
identified
in
a
subsequently
conducted
chronic
oral
study
in
the
dog
(
MRID
41326401;
HED
Doc.
Nos.
008248
and
this
Doc.
No.).
870.3200
21
Day
Dermal
Toxicity
B
Rat
In
a
21
day
dermal
toxicity
study
(
MRID
41863602),
oxadiazon
technical
(
97.49%
a.
i.,
moistened
with
distilled
water)
was
applied
dermally
6
hrs/
day,
7
days/
week
for
3
weeks
to
8
male
and
8
female
New
Zealand
White
rabbits
per
dose
at
0,
100,
500
or
1000
mg/
kg/
day.
Treatment
with
oxadiazon
technical
had
no
effect
on
mortality,
body
weight,
body
weight
gain,
food
consumption,
hematology,
clinical
chemistry,
urinalysis,
organ
weights
or
gross
necropsy.
Dermal
irritation
(
erythema,
edema
and
eschar)
was
observed
in
treated
and
control
rabbits.
These
symptoms
first
appeared
during
the
second
week
and
persisted
throughout
the
study.
Histologically,
the
skin
lesions
include
acanthosis,
hyperkeratosis,
acute
and
chronic
dermatitis,
acute
folliculitis,
exudate
on
the
dermal
surface,
edema
and
hemorrhage,
which
are
characteristic
of
chronic
inflammation
and
occlusion.
Although
a
higher
incidence
of
erythema
and
edema
was
noticed
in
the
500
and
1000
mg/
kg
groups,
the
significance
of
these
findings
is
questionable.
The
investigator
overlooked
pharmacokinetic
principles
in
conducting
the
study.
The
approximate
area
of
the
test
article
treated
skin
was
25.9,
92.1
and
119.5
cm2
for
the
100,
500
and
1000
mg/
kg/
day
groups,
respectively,
which
indicates
that
the
administered
dose
(
mg/
cm2)
was
the
same
in
all
cases.
It
is
appropriate
to
apply
graded
concentrations
of
the
test
material
to
the
entire
test
area
(
i.
e.,
10
%
of
the
body
surface
area,
rather
than
a
fraction
of
the
test
area).
Even
though
appropriate
doses
were
not
tested,
the
highest
level
tested
reached
the
Limit
Dose.
The
results
suggest,
therefore,
that
at
the
Limit
Dose,
oxadiazon
Technical
is
not
an
irritant
to
rabbit
skin.
The
systemic
toxicity
and
local
(
dermal
irritation)
LOAELs
are
>
1000
mg/
kg/
day
and
the
NOAELs
are
1000
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline
and
satisfies
the
guideline
requirement
for
a
21
day
dermal
study
(
870.3200)
in
the
rabbit.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
11
4.3
Prenatal
Developmental
Toxicity
Adequacy
of
data
base
for
Prenatal
Developmental
Toxicity:
The
data
base
for
prenatal
developmental
toxicity
of
oxadiazon
is
considered
complete.
No
additional
studies
are
required
at
this
time.
Similar
findings
were
reported
in
rats
and
rabbits,
although
the
sensitivity
of
fetuses
to
oxadiazon
was
greater
in
rats
than
in
rabbits.
In
rats,
fetal
toxicity
(
increased
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification
in
skull
and
vertebral
bones)
were
reported
at
40
mg/
kg/
day,
whereas
only
slightly
decreased
during
late
gestation,
due
at
least
in
part
to
the
fetal
loss
at
that
dose
level.
In
the
rabbit,
developmental
toxicity
(
increased
post
implantation
loss
and
late
resorptions,
decreased
mean
fetal
weight
and
increased
incidence
of
bilateral
hind
limb
flexure)
was
observed
at
the
highest
dose
tested
(
180
mg/
kg/
day),
whereas
maternal
toxicity
(
transient
weight
loss
and
decreased
food
consumption
during
and
after
treatment)
was
observed
at
mid
dose
(
60
mg/
kg/
day)
and
higher.
In
addition
to
the
Executive
Summaries
provided
below,
developmental
toxicity
studies
are
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.3700a
Prenatal
Developmental
Toxicity
Study
Rat
In
a
developmental
toxicity
study
(
MRID
40470202),
oxadiazon
technical
(
96.3%
a.
i.)
was
administered
daily
by
gavage
in
10
ml
1%
aqueous
methylcellulose
vehicle/
kg
body
weight
from
Gestation
Days
6
through
15
to
groups
of
20
pregnant
Sprague
Dawley
rats
per
dose
at
0,
3,
12
or
40
mg/
kg/
day.
Pregnant
females
were
examined
daily
for
signs
of
toxicity
and
body
weights
were
measured
on
Gestation
Days
0,
3,
6,
daily
through
Day
16
and
on
Days
18
and
20.
Dams
were
sacrificed
on
Day
20
and
uterine
contents
were
examined.
Very
little
maternal
toxicity
was
observed
at
any
dose.
Small
but
statistically
significant
decreases
in
body
weight
(
2%
less
than
controls)
and
body
weight
gain
(
10%)
in
the
highdose
females
at
Days
16
20
were
possibly
due
to
resorptions
of
fetuses
(
decreased
maternal
body
weights
also
observed
at
40
mg/
kg/
day
in
the
range
finding
study).
The
maternal
toxicity
LOAEL
is
40
mg/
kg/
day,
based
on
decreased
body
weight/
weight
gain.
The
maternal
toxicity
NOAEL
is
12
mg/
kg/
day.
Treatment
related
fetal
toxicity
at
40
mg/
kg/
day
included:
slightly,
not
statistically
significantly
increased
fetal
resorptions
(
0.7/
dam
vs.
0.4/
dam,
controls)
and
postimplantation
loss
(
12.5%
vs.
8.2%,
controls)
and
significantly
decreased
body
weight
(
4.5%
less
than
controls).
Developmental
effects
at
40
mg/
kg/
day
were
confined
to
increased
incidence
of
incomplete
ossification,
primarily
in
skull
and
vertebral
bones.
No
effects
were
seen
at
lower
doses.
No
treatment
related
malformations
were
observed
at
the
doses
tested.
Fetal
effects
seen
in
this
study
are
considered
treatment
related
based
on
the
steep
dose
response
curve
(
for
fetal
loss
and
decreased
fetal
weight)
between
20
60
mg/
kg/
day
in
the
preliminary
range
finding
study.
Therefore,
the
effects
seen
at
40
mg/
kg/
day
are
considered
a
threshold
response
for
oxadiazon
under
the
conditions
of
the
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
12
main
study.
The
developmental
toxicity
LOAEL
(
threshold)
is
40
mg/
kg/
day,
based
on
increased
fetal
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification.
The
developmental
toxicity
NOAEL
(
threshold)
is
12
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline
and
satisfies
the
guideline
requirement
for
a
developmental
toxicity
study
(
870.3700a)
in
the
rat.
870.3700b
Prenatal
Developmental
Toxicity
Study
Rabbit
In
a
developmental
toxicity
study
(
MRID
40470201),
oxadiazon
technical
(
95.6%
a.
i.)
was
administered
daily
by
gavage
in
5
ml
1%
aqueous
methylcellulose
vehicle/
kg
body
weight
from
gestation
days
6
through
19
to
groups
of
15
to
19
pregnant
New
Zealand
White
rabbits
per
dose
at
0,
20,
60
or
180
mg/
kg/
day.
Pregnant
females
were
examined
daily
for
signs
of
toxicity
and
body
weights
were
measured
on
Gestation
Days
0
and
6,
on
alternate
days
through
day
20
and
on
days
24
and
28.
Dams
were
sacrificed
on
Day
29
and
uterine
contents
were
examined.
Treatment
related
maternal
toxicity
was
observed
at
60
mg/
kg/
day
as
transient
weight
loss
(
0.01
kg
vs.
0.10
kg
gain,
controls;
p<
0.05)
and
slightly
decreased
food
consumption
during
the
first
half
of
treatment
(
15%
less
than
controls,
treatment
days
6
12;
not
statistically
significant).
These
effects
were
more
pronounced
at
180
mg/
kg/
day
and
showed
statistically
significant
reductions
in
weight
gain
and
marked
reductions
in
food
consumption
during
and
after
treatment.
The
maternal
toxicity
LOAEL
is
60
mg/
kg/
day,
based
on
transient
weight
loss
and
decreased
food
consumption
during
treatment.
The
maternal
toxicity
NOAEL
is
20
mg/
kg/
day.
Treatment
related
fetal
toxicity
at
180
mg/
kg/
day
included:
increased
postimplantation
loss
and
late
resorptions
(
18.85%
vs.
8.6%,
controls;
p<
0.05),
decreased
mean
fetal
weight
(
10%)
and
increased
incidence
of
bilateral
hind
limb
flexure
(
4.2%
of
fetuses,
3
litters
affected
vs.
0%,
controls).
Marginal
developmental
effects
at
180
mg/
kg/
day
were:
increased
incidence
of
rib
abnormalities,
delayed/
incomplete
ossification
in
several
bones
and
asymmetrical
pelvis.
No
effects
were
seen
at
lower
doses
and
there
were
no
treatmentrelated
malformations
observed
at
any
dose
tested.
The
developmental
toxicity
LOAEL
is
180
mg/
kg/
day,
based
on
increased
postimplantation
loss,
decreased
mean
fetal
weight,
increased
bilateral
hind
limb
flexure
and
possibly
delayed/
incomplete
ossification
of
several
bones.
The
developmental
toxicity
NOAEL
is
60
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
non
rodent
developmental
toxicity
study
(
870.3700b)
in
the
rabbit.
4.4
Reproductive
Toxicity
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
13
Adequacy
of
data
base
for
Reproductive
Toxicity:
The
data
base
for
reproductive
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
In
the
rat
two
generation
reproductive
toxicity
study,
no
maternal,
offspring
or
reproductive
effects
were
reported
at
any
dose
tested
up
to
200
ppm
(
15.5
mg/
kg/
day).
However,
in
the
range
finding
study
at
400
ppm
(
38
mg/
kg/
day),
significant
toxicity
to
the
offspring
(
fetal/
neonatal
mortality)
and
the
dams
(
inactive
mammary
tissue,
decreased
gestational
weight,
due
at
least
in
part
to
fetal
mortality)
was
observed.
The
neonatal
mortality
was
probably
related
to
the
mammary
tissue
effects
in
the
dams.
In
addition
to
the
Executive
Summaries
provided
below,
the
reproductive
toxicity
study
is
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.3800
Reproduction
and
Fertility
Effects
Rat
In
a
2
generation
reproduction
study
(
MRID
41239801;
range
finding
study
MRID
41240301)
oxadiazon
(
96.6%
a.
i.)
was
administered
in
the
diet
continuously
to
CD
rats
(
30
rats/
sex/
dose)
at
0,
20,
60
or
200
ppm
(
equivalent
to
an
average
daily
intake
[
M/
F]
of
0,
1.50/
1.84,
4.65/
5.63
or
15.50/
18.20
mg/
kg/
day,
average
of
P
and
F
1
generation
premating
food
consumption).
Dose
levels
were
selected
based
on
the
results
of
the
1
generation
range
finding
study,
which
tested
at
0,
50,
100,
200,
400
or
800
ppm
(
6
animals/
sex/
dose,
4
weeks
premating
exposure).
The
P
animals
were
exposed
to
the
test
substance
beginning
at
approximately
6
weeks
of
age
for
14
weeks
prior
to
mating
and
continuing
until
sacrifice
after
weaning
(
post
partum
day
25).
F
1
pups
selected
(
30/
sex/
dose)
to
produce
the
F
2
generation
were
exposed
to
the
same
dosage
as
their
parents
beginning
at
postnatal
day
(
PND)
25
for
14
weeks
premating
and
continuously
throughout
the
rest
of
the
study
until
weaning
of
the
F
2
offspring
(
postpartum
day
25).
Liver,
kidneys,
ovaries,
uterus,
prostate,
epididymis,
testes
and
seminal
vesicles
were
weighed
and
examined
for
gross/
microscopic
pathology.
Mammary
gland,
pituitary
and
vagina
were
examined
for
pathological
changes.
The
1
generation
range
finding
study
tested
in
6
dams/
dose
group
at
dietary
concentrations
of
0,
50,
100,
200,
400
or
800
ppm
(
0,
5/
5,
9/
9,
19/
19,
36/
38
or
67/
75
mg/
kg/
day,
respectively),
administered
beginning15
days
prior
to
initiation
of
mating
until
lactation
day
4.
No
treatment
related
findings
were
reported
at
200
ppm;
effects
at
400
and
800
ppm
are
discussed
below.
There
was
no
evidence
of
treatment
related
changes
in
clinical
signs,
mortality,
body
weights
or
weight
gains,
food
consumption,
food
efficiency,
organ
weights
or
microscopic
or
macroscopic
pathology
observed
in
P
or
F
1
adults
in
the
main
study.
Slight
liver
alterations
in
F
1
adults
at
200
ppm
(+
6%
relative
liver
weight,
females,
periacinar
hepatocellular
hypertrophy,
males)
were
considered
an
adaptive
response.
However,
at
400
ppm
in
the
range
finding
study,
markedly
decreased
gestational
weight
gain
(
34%
below
controls,
primarily
after
GD
13)
was
observed
(
due
largely
to
increased
fetal
loss).
At
800
ppm,
decreased
maternal
weight
gain
of
38%
below
controls,
also
primarily
after
GD
13,
blood
in
the
urine
in
the
cage
paper
of
males
and
blood
in
the
nares/
face/
urogenital
region
of
1
dam
were
observed.
The
LOAEL
(
main
study)
for
parental
toxicity
is
>
200
ppm
(
15.5
mg/
kg/
day;
HDT
in
main
study);
however,
a
LOAEL
of
400
ppm
(
38
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
14
mg/
kg/
day),
based
on
decreased
gestational
weight
gain,
was
observed
in
the
rangefinding
study.
The
parental
toxicity
NOAEL
(
main
study)
is
200
ppm.
No
differences
in
reproductive
parameters
in
P
or
F
1
parental
animals,
nor
in
F
1
or
F
2
offspring
viability,
clinical
signs,
body
weight
or
body
weight
gain,
developmental
landmarks,
auditory
or
ophthalmological
function
or
macroscopic
pathology
were
observed
in
the
main
study.
However,
in
the
range
finding
study,
pronounced
reproductive/
offspring
toxicity
at
400
ppm
in
the
4
dams
that
littered
(
5
pregnant)
included
inactive/
pale
mammary
tissue,
reduced
litter
size
and
increased
gestation
length
(+
1
day).
Pre/
perinatal
mortality
resulted
in
total
litter
losses
for
all
dams
by
day
1
postpartum
(
17
offspring
were
examined:
20%
late
resorptions,
7.7%
dead
fetus,
73%
without
milk
in
stomach).
At
800
ppm,
2
dams
littered
but
all
were
late
resorptions;
4
dams
that
failed
to
litter
had
blood
in
their
cage
on
GD
23
(
implantation
sites/
dam
were
comparable
to
controls).
The
reproductive/
offspring
toxicity
LOAEL
(
main
study)
is
>
200
ppm
(
15.5
mg/
kg/
day;
HDT
in
main
study);
however,
a
LOAEL
of
400
ppm
(
38
mg/
kg/
day),
based
on
inactive
mammary
tissue
and
fetal/
pup
death,
was
observed
in
the
range
finding
study.
The
reproductive/
offspring
toxicity
NOAEL
(
main
study)
is
200
ppm.
This
reproductive
toxicity
study
in
the
rat
is
classified
Acceptable/
guideline
(
870.3800)
and
satisfies
the
guideline
requirement
for
a
multigenerational
reproductive
toxicity
study
in
rats.
Although
no
significant
effects
were
observed
at
200
ppm
in
the
main
or
rangefinding
studies,
pronounced
reproductive/
offspring
toxicity,
including
complete
litter
loss,
was
observed
at
400
ppm.
At
the
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
meeting,
held
December
7,
2000
(
see
HED
Document
No.
014469),
it
was
concluded
that
the
neonatal
loss
seen
at
400
ppm
was
attributable
to
maternal
effects
(
i.
e.,
inactive
mammary
tissue
resulting
in
possible
starvation
of
the
pups
which
was
manifested
as
73%
of
the
examined
offspring
without
milk
in
their
stomachs).
The
HIARC
further
concluded
that
the
inactivity
of
mammary
tissue
may
have
been
related
to
endocrine
disruption.
However,
this
finding
was
not
considered
to
be
likely
because
there
was
no
supporting
evidence
of
possible
endocrine
disruption
observed
in
any
other
study
in
the
Oxadiazon
database.
4.5
Chronic
Toxicity
Adequacy
of
data
base
for
chronic
toxicity:
The
data
base
for
chronic
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
In
the
Wistar
rat,
males
were
more
sensitive
to
oxadiazon
than
females
and
the
NOAEL
of
10
ppm
(
0.36
mg/
kg/
day)
was
based
on
centrilobular
swelling
in
male
rat
liver
at
100
ppm
(
3.5
mg/
kg/
day).
Oxadiazon
caused
hepatic
toxicity,
demonstrated
by
alterations
in
liver
related
blood
enzymes
(
males),
liver
enlargement
and
microscopic
pathology
(
hepatocellular
swelling
and
increased
acidophilic
foci
of
cellular
alteration,
brown
pigmentation
and
bile
duct
proliferation).
Liver
tumors
were
also
increased
by
treatment
(
see
Section
for
details).
Mild
anemia
was
observed
in
males.
In
addition,
oxadiazon
caused
renal
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
15
toxicity
(
increased
BUN,
brown
pigmentation
in
the
proximal
tubular
cells
and
cortical
interstitial
tissues
in
both
sexes
and
incidence
of
chronic
nephropathy
in
males).
F344
rats
had
similar
treatment
related
effects,
including
anemia
in
males,
increased
liver
related
blood
enzymes
primarily
in
males,
increased
urine
color
and
bilirubin/
urobilinogen,
increased
liver
and
kidney
weights,
microscopic
liver
effects
such
as
hypertrophy,
fatty
change
and
necrosis
and
pigmented
nephrosis.
In
the
dog,
the
liver
was
also
the
primary
target
organ,
as
demonstrated
by
liver
enlargement.
Evidence
of
liver
pathology
and
serum
enzyme
alterations,
increased
blood/
bilirubin
in
the
urine,
increased
kidney
and
thyroid
weights
(
and
possibly
anemia
in
1
female)
were
observed
only
at
a
relatively
high
dose
(
200
mg/
kg/
day)
in
which
only
2/
sex
dogs
were
evaluated
and
1
female
was
sacrificed
in
moribund
condition.
In
addition
to
the
Executive
Summaries
provided
below,
chronic
toxicity
studies
are
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.4300
Chronic
Toxicity/
Carcinogenicity
B
Rat
(
1)
In
a
chronic/
carcinogenicity
toxicity
study
(
MRID
Nos.
00149003
[
main
study]/
MRID
00157780
[
additional
data]),
oxadiazon
(
tech.,
99.9%
a.
i.)
was
administered
to
Fischer
344
rats
(
76/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
10,
100,
1000
or
3000
ppm
(
mean
consumption
per
group:
equivalent
to
0,
0.5,
4.8,
50.9
or
163.1
mg/
kg/
day
for
males
or
0,
0.6,
5.9,
60.9
or
192.7
mg/
kg/
day
for
females)
for
24
months.
Parameters
examined
included:
(
1)
twice
daily
observations,
(
2)
weekly
body
weights
and
food
consumption,
(
3)
ophthalmic
examinations
(
all
animals
at
pretest
and
10
rats/
group
at
6,
12
and
24
months),
(
4)
standard
hematology,
clinical
chemistry
and
urinalysis
(
10
rats/
group
at
6,
12
and
24
months),
and
(
5)
gross
necropsy,
organ
weights
and
histology
(
10
rats/
group
at
6
and
12
months
and
all
survivors
at
24
months).
There
were
no
effects
on
mortality.
At
1000
and
3000
ppm,
clinical
signs
included
emaciation,
anemia
and
brown
colored
urine;
ophthalmic
examinations
revealed
narrowing
of
the
fundus
vasculature
(
males
at
1000
ppm
and
both
sexes
at
3000
ppm).
Significant
decreases
(
p<
0.05
0.001)
in
body
weight
gain
were
apparent
in
rats
of
both
sexes
receiving
1000
or
3000
ppm
and
significant
decreases
in
food
consumption
were
recorded
for
both
sexes
starting
at
week
3
(
males)
and
week
6
(
females).
Consistent
hematological
findings
indicative
of
anemia
at
3000
ppm
(
both
sexes)
were:
significantly
decreases
erythrocyte
counts,
hematocrit,
hemoglobin,
mean
corpuscular
volume,
mean
corpuscular
hemoglobin
and
mean
corpuscular
hemoglobin
concentration.
Anemia
was
also
present
in
males
at
1000
ppm
and
appeared
to
be
less
severe
in
females.
Adverse
effects
on
urinalysis
parameters
were
confined
to
the
two
highest
dose
groups
(
both
sexes)
and
included:
urine
color,
strongly
positive
bilirubin
and
urobilinogen.
Significantly
affected
clinical
chemistry
parameters
included:
reduced
glucose
levels
(
males
1000
ppm
at
6
and
12
months;
females
3000
ppm
at
6
months);
increased
total
protein
(
consistent
effect
only
in
the
females
at
100
ppm
and
generally
at
all
sampling
intervals);
increased
total
cholesterol
(
males
at
1000
ppm
and
both
sexes
at
3000
ppm)
and
increased
bilirubin
(
males
1000
ppm
at
6
and
12
months;
females
3000
ppm
at
6
months).
In
addition,
significant
increases
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
16
in
GOT,
GPT,
AP
and
BUN
generally
correlated
well
with
liver
morphological
changes
at
1000
ppm
(
males).
Similarly,
increased
absolute
and
relative
liver
and
kidney
weights
at
1000
ppm
(
both
sexes)
correlated
well
with
liver
and
kidney
histopathology
effects.
At
termination,
oxadiazion
also
induced
increased
absolute
and
relative
liver
weights
at
100
ppm
(
females).
Non
neoplastic
pathology
included:
hepatocyte
changes
consisting
of
progressive
alterations
from
hypertrophy
through
fatty
changes
to
necrosis
were
noted
in
males
receiving
1000
and
3000
ppm
and
females
receiving
3000
ppm.
Other
non
neoplastic
changes
noted
in
both
sexes
were:
pigmented
nephrosis
and
fat
replacement
in
the
pancreas
at
1000
ppm
and
basophilic
changes
in
the
adrenal
glands
at
3000
ppm.
The
LOAEL
is
100
ppm
(
4.8
mg/
kg/
day)
based
on
increased
absolute
liver
weights
in
males
and
females
and
increased
total
serum
protein
in
females.
The
NOAEL
is
10
ppm
(
0.5
mg/
kg/
day).
Neoplastic
findings
were:
increased
incidences
of
benign
and
malignant
liver
tumors
in
males
at
1000
and
3000
ppm
after
prolonged
exposure
to
hepatotoxic
doses.
In
addition,
there
was
no
decrease
in
latency
for
liver
neoplasia.
Dosing
was
considered
adequate
in
males
and
the
data
support
a
presumption
that
the
maximum
tolerated
dose
(
MTD)
lies
between
100
and
1000
ppm.
This
chronic/
carcinogenicity
study
in
the
rat
is
Acceptable/
Guideline
and
satisfies
the
guideline
requirement
for
a
combined
chronic/
carcinogenicity
study
(
870.4300)
in
the
rat.
(
2)
In
a
chronic/
oncogenicity
toxicity
study
(
MRID
40993401),
oxadiazon
(
tech.,
95.9%
a.
i.)
was
administered
to
SPF
Wistar
rats
(
80/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.106,
0.36,
3.5
or
39
mg/
kg/
day
for
males
or
0,
0.131,
0.44,
4.2
or
44
mg/
kg/
day
for
females)
for
104
weeks.
Clinical
signs
were
monitored
daily.
Body
weights
were
determined
weekly
for
the
first
26
weeks
and
biweekly,
thereafter;
food
consumption
was
determined
weekly
for
20
rats/
group.
Groups
of
8
rats/
sex/
group
were
sacrificed
at
weeks
26,
52
and
78
and
10
animals/
sex/
group
at
104
weeks
were
subjected
to
hematology,
biochemistry
and
urinalysis
examinations.
All
80
rats/
sex/
dose
were
reportedly
examined
for
histopathology.
Dose
selection
was
based
on
a
preliminary
4
week
range
finding
study
with
10,
100,
1000
or
3000
ppm.
At
1000
and
3000
ppm,
signs
of
toxicity
included:
anemia
(
males
both
groups;
females
3000
ppm,
only),
effects
on
biochemical
parameters
associated
with
hepato
renal
disorders
(
increased
GOT,
GPT,
ALP,
BUN,
total
cholesterol
and/
or
urobilinogen),
and
liver
and
kidney
weight
changes
accompanied
by
a
dark
color.
There
were
no
adverse
effects
on
mortality,
clinical
signs
or
food
consumption.
Treatment
related
effects
included:
decreased
body
weight
gain
for
high
dose
males
generally
throughout
the
study;
statistically
significant
body
weight
losses
(
8.9%)
were
reported
for
the
10
and
1000
ppm
females
only
at
study
termination.
Hematological
parameters
significantly
affected
were:
decreased
hematocrit
and
hemoglobin
(
high
dose
males
at
week
26)
and
decreased
mean
corpuscular
volume
and
mean
corpuscular
hemoglobin
(
high
dose
males
at
weeks
26,
78
and
104).
There
were
no
consistent
hematological
effects
in
the
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
17
females.
The
generalized
changes
in
the
blood
elements
of
male
rats
are
indicative
of
anemia
which
was
most
evident
at
week
26.
Significantly
affected
clinical
chemistry
parameters
included:
increased
LDH,
ALT,
GOT,
GPT,
total
and
direct
bilirubin
and
total
cholesterol
for
high
dose
males
at
week
26;
no
toxicologically
significant
effects
were
seen
in
the
females
of
any
dose
group.
At
1000
ppm,
males
also
showed
increased
urobilinogen
at
week
26.
Increased
liver
weights
were
seen
in
high
dose
males
and
females
throughout
the
study
and
statistically
significant
increases
in
kidneys
(
both
sexes)
and
testis
(
males)
were
also
consistently
seen
at
1000
ppm.
Non
neoplastic
pathology
in
the
liver
at
1000
ppm
included:
increased
centrilobular
hepatocellular
swelling
(
males
and
females);
increased
acidophilic
foci
of
cellular
alteration
(
males);
brown
pigmentation
in
the
liver
(
males
and
females);
and
bile
duct
proliferation
(
males)
At
100
ppm,
increased
centrilobular
hepatocellular
swelling
was
also
seen
in
the
males.
Brown
pigmentation
in
the
proximal
tubular
cells
and
in
cortical
interstitial
tissue
(
males
and
females);
and
chronic
nephropathy
(
females)
were
also
recorded
for
the
kidneys
of
high
dose
rats.
The
LOAEL
is
100
ppm
(
3.5
mg/
kg/
day)
based
on
centrilobular
swelling
in
the
male
rat
livers;
the
NOAEL
is
10
ppm
(
0.36
mg/
kg/
day).
Neoplastic
findings
were:
increased
incidence
of
liver
adenomas
in
males
at
100
(
p<
0.05)
and
1000
ppm
(
p<
0.010);
liver
carcinomas
were
also
increased
at
1000
ppm
in
both
sexes
but
not
significantly.
Dosing
was
considered
adequate
in
males
based
on
signs
of
transient
anemia,
increased
serum
enzyme
activity,
bilirubin
and
liver
weight,
decreased
body
weight
gain,
and
pathological
changes
in
the
liver
(
centrilobular
hepatocellular
swelling
and
foci
of
cellular
alteration).
Females
were
considered
to
be
tested
at
a
dose
below
the
maximum
tolerated
dose
(
MTD).
However,
since
the
NOAEL
and
LOAEL
were
defined
for
males
(
0.36/
3.5
mg/
kg/
day),
the
hypothetical
values
for
females
are
expected
to
be
higher.
Hence,
the
NOAEL
and
LOAEL
for
males
are
considered
to
be
protective
for
females.
The
pathology
report
for
this
chronic/
carcinogenicity
study
in
the
rat
was
considered
incomplete;
thus,
the
overall
study
was
listed
as
Supplementary.
At
this
time,
no
additional
information
is
being
requested
because
the
results
are
consistent
with
an
acceptable
rat
chronic/
carcinogenicity
study
(
MRID
No.
0014003/
00157780)
that
satisfies
the
guideline
requirement.
Similarly,
the
presence
of
liver
neoplasms
confirms
the
evidence
of
a
carcinogenic
effect
seen
in
MRID
No.
0014003/
00157780.
After
review
of
the
data
from
this
study
by
the
Cancer
Assessment
Review
Committee
(
CARC),
however,
it
was
concluded
that
this
deficiency
did
not
compromise
the
integrity
of
the
study
or
the
interpretation
of
the
results
[
see
Cancer
Assessment
Document
Evaluation
of
the
Carcinogenic
Potential
of
Oxadiazon
(
Third
Review),
dated
April
2001].
Using
this
rationale,
the
study
is
now
upgraded
and
listed
as
Acceptable/
guideline
and
satisfies
the
guideline
requirement
for
a
combined
chronic
toxicity/
carcinogenicity
study
in
the
rat
(
870.4300).
870.4100b
Chronic
Toxicity
Dog
In
a
one
year
chronic
oral
toxicity
study
(
MRID
No.
41326401),
oxadiazon
(
tech.,
94.9%
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
18
a.
i.)
was
administered
orally
via
capsules
once
a
day
to
five
groups
of
Beagle
dogs
(
4
males
and
4females/
group
dosed
with
0,
5,
20
or
60
mg/
kg/
day;
2
males
and
2
females
dosed
with
200
mg/
kg/
day).
Dose
selection
was
based
on
the
findings
of
a
preliminary
study
showing
that
dogs
could
not
tolerate
360
mg/
kg/
day
and
that
minimal
changes
were
seen
at
60
mg/
kg/
day.
Parameters
examined
in
all
animals
included:
(
1)
daily
observations;
(
2)
weekly
body
weights
and
food
consumption;
(
3)
ophthalmic
examinations
at
pretest
and
week
51;
(
4)
standard
hematology
(
pretest
and
at
weeks
12,
24
and
50),
clinical
chemistry
(
pretest
and
at
weeks
24
and
50)
and
urinalysis;
(
5)
bone
marrow
analysis
at
week
52;
and
(
6)
gross
necropsy,
organ
weights
and
histology.
Due
to
the
small
number
of
animals
tested
(
2/
sex,
1
female
sacrificed
at
week
11)
and
that
they
were
rejected
due
to
lower
body
weight
from
inclusion
in
the
range
finding
study,
the
findings
in
the
200
mg/
kg/
day
dogs
were
considered
to
be
supplementary
information.
There
were
no
effects
on
mortality,
clinical
signs,
food
consumption,
hematology,
urinalysis
or
ophthalmic
examinations.
At
60
mg/
kg/
day,
clinical
biochemical
changes
in
the
males
(
3
of
4)
included
significant
(
p<
0.05)
elevations
(
+
35%)
in
aspartate
aminotransferase
(
AST)
at
all
intervals.
For
females,
ALT
and
AST
values
were
significantly
decreased
at
week
24
(
32%
to
40%),
an
effect
not
considered
of
toxicological
significance.
No
other
alterations
in
biochemical
parameters
were
considered
to
be
an
effect
of
oxadiazon.
In
males,
significant
increases
in
relative
liver
weights
were
seen
at
60
(+
39%)
and
200
(+
61%)
mg/
kg/
day;
absolute
liver
weights
were
also
increased
at
60
(+
28%)
and
200
(+
41%)
mg/
kg/
day
but
statistical
significance
was
not
attained.
The
response
was
doserelated
with
weight
increases
of
+
7,
+
23
or
+
28%
(
absolute)
and
+
7,
+
21
and
+
28%
(
relative)
at
5,
20
or
60
mg/
kg/
day,
respectively.
In
females,
significant
increases
in
absolute
liver
weight
were
noted
at
levels
20
mg/
kg/
day
(+
35%
and
+
44%
at
20
and
60
mg/
kg/
day,
respectively);
a
nonsignificant
+
21%
increase
was
seen
at
5
mg/
kg/
day.
Relative
female
liver
weights
also
showed
a
dose
related
response
with
a
+
7,
+
10
or
+
38%
increases
at
5,
20
or
60
mg/
kg/
day,
respectively.
However,
organ
weight
changes
and
increased
blood
levels
of
AST
were
not
definitively
associated
with
a
pathological
condition
in
the
liver.
At
200
mg/
kg/
day,
one
female
was
sacrificed
in
moribund
condition.
Observed
effects
included
pallor,
thinness,
decreased
weight
gain,
possible
anemia
(
based
on
hematological
changes,
brown
urine
in
the
sacrificed
female
and
blood/
bilirubin
in
the
urine
of
the
surviving
female),
clinical
chemistry
alterations
(
increased
ALT,
phosphorous;
decreased
glucose,
total
cholesterol,
protein
and
potassium),
increased
liver,
spleen,
kidney
and
thyroid
weights
(
also
lower
testes
weights)
and
hepatocellular
histopathology
(
centriacinar
hepatocytic
vacuolation,
periacinar
apoptosis
and
periacinar
inflammation
in
females).
The
systemic
toxicity
LOAEL
is
20
mg/
kg/
day,
based
on
hepatic
toxicity
(
increased
absolute
and
relative
female
liver
weight
accompanied
by
similar
changes
in
the
absolute
and
relative
liver
weights
for
both
sexes
at
60
mg/
kg/
day).
The
systemic
toxicity
NOAEL
is
5
mg/
kg/
day.
This
study
is
classified
Acceptable/
Guideline
and
satisfies
the
guideline
requirement
for
a
non
rodent
chronic
oral
toxicity
study
(
870.4100b)
in
the
dog.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
19
4.6
Carcinogenicity
Adequacy
of
data
base
for
Carcinogenicity:
The
data
base
for
carcinogenicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
An
increased
incidence
of
hepatocellular
neoplasms
were
observed
in
both
rats
(
F344
and
Wistar)
and
mice
(
CD
1
and
ICR
JCL).
In
mice,
liver
tumor
incidence
was
increased
in
both
sexes,
whereas
in
rats
the
males
were
affected.
In
addition
to
the
Executive
Summaries
provided
below,
carcinogenicity
studies
are
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.4300a
Chronic
Toxicity/
Carcinogenicity
Study
rat
See
Section
4.5
(
Chronic
Toxicity),
above
for
the
executive
summaries.
870.4200b
Carcinogenicity
(
feeding)
Mouse
(
1)
In
a
mouse
oncogenicity
study
(
MRID
No.
00115733),
oxadiazon
(
tech.,
99.3%
a.
i.)
was
administered
in
the
diet
to
CD
1
mice
(
70/
sex/
group)
for
up
to
105
weeks
at
0,
100,
300,
1000,
or
2000
ppm
(
equivalent
to
0/
0,
12/
14,
37/
44,
122/
143,
or
254/
296
mg/
kg/
day
[
M/
F],
respectively).
At
2000
ppm,
significantly
decreased
survival
(
and
a
dose
related
positive
trend
for
decreased
survival)
were
observed
in
males
(
at
termination,
43%,
24%,
36%,
27%
and
4%,
control
to
high
dose)
and
in
females
(
at
termination,
56%,
41%,
53%,
43%
and
29%).
During
the
first
26
weeks
of
treatment,
29/
70
high
dose
males
died
or
were
sacrificed
in
extremis.
It
was
stated
that
these
animals
were
generally
pale,
inactive,
weak,
hypothermic
and
exhibited
tremor
and
piloerection.
Thoracic
serosanguineous
fluid
was
observed
in
these
males
at
gross
necropsy
(
15/
29
treated
vs
6/
70
total
controls
affected
and
1
of
2
controls
that
died
by
week
26).
At
histological
examination,
the
following
were
also
observed
(#
of
animals):
hypercellular
spleens
(
18);
diffuse,
necrotic
myocarditis
(
20);
periacinar
hepatocytic
pallor
(
12);
hepatic
single
cell
necrosis
(
16);
and
pigmented
Kupffer
cells
(
8).
An
increase
(
p<
0.05
or
0.01)
in
the
total
incidence
of
distended
abdomen
was
observed
at
various
intervals
in
all
treated
males
(
80
90%
treated
vs
60
61%
controls).
Pale
eyes
were
observed
in
females
(
50
60%
treated
vs
31%
controls).
At
1000
and
2000
ppm,
increased
(
p<
0.05
or
0.01)
incidence
of
pallor
was
observed
(
40
46%
treated
vs
21%
controls)
during
the
study.
At
2000
ppm,
body
weights
were
reduced
in
males
at
week
104
(
12%,
not
analyzed
statistically).
Reductions
(
p<
0.05
or
0.01)
in
mean
body
weight
gain
were
observed
in
the
males
during
weeks
1
13
(
13%)
and
for
weeks
0
104
(
26%);
during
weeks
66
92,
weight
loss
was
greater
at
high
dose
than
controls
(
7
g
vs.
2
g,
respectively).
Slight
anemia,
as
indicated
by
decreased
(
p<
0.05,
0.01,
or
0.001)
hematocrit
(
5
to
30%),
hemoglobin
(
6
to
28%),
and
erythrocyte
count
(
12
to
32%),
was
observed
in
the
1000
ppm
males
and
2000
ppm
males
and
females.
Neutrophil
count
was
slightly
increased
at
2000
ppm
in
males
(
83%)
and
females
(
117%)
at
termination,
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
20
possibly
reflecting
a
mild
inflammatory
response.
Increases
(
p<
0.05,
0.01,
or
0.001)
with
respect
to
concurrent
controls
were
observed
in
absolute
and
relative
(
to
body
weight)
liver
weights
in
all
male
treatment
groups
(+
45%/+
52%,
+
46%/+
57%,
+
107%/+
120%
and
+
86%/+
120%)
and
in
the
1000
and
2000
ppm
female
groups
(+
48/+
53%
and
+
103%/+
102%).
At
gross
necropsy,
increased
incidence
of
hepatic
pale
areas/
foci
and
masses
were
observed
in
all
male
groups
when
excluding
animals
that
died
before
week
27
(
pale
areas/
foci
36%
59%
treated
vs
4%
controls;
masses
41%
47%
treated
vs
27%
controls)
and
all
female
groups
(
pale
areas/
foci
11%
19%
treated
vs
7%
controls;
masses
10%
26%
treated
vs
3%
controls).
In
addition,
raised
areas
in
the
liver
were
observed
in
the
300,
1000,
and
2000
ppm
females
(
10
11%
vs
1%
control).
Increases
in
large,
eosinophilic
hepatocytes
were
observed
in
all
male
and
female
groups
without
a
clear
dose
response
(
7
23
treated
affected
vs
0
3
controls,
N
=
70,
all
groups).
Slight
to
moderate
hepatic
amyloidosis
was
increased
in
all
male
treatment
groups
(
9
22
treated
affected
vs.
0
controls)
and
in
high
dose
females
(
12/
70
treated
vs
3/
70
controls).
Increased
incidence
of
pigmented
Kupffer
cells
(
7/
41
treated
vs
0/
70
controls)
were
observed
in
males
that
did
not
die
by
week
26.
Food
consumption,
food
efficiency,
and
water
consumption
(
visually
inspected,
only)
for
both
sexes
at
all
doses
were
unaffected
by
treatment
with
oxadiazon
at
any
tested
dose.
The
systemic
toxicity
LOAEL
is
100
ppm
for
males
and
females
(
equivalent
to
12/
14
mg/
kg/
day
[
M/
F])
based
on
clinical
signs,
gross
and
microscopic
liver
lesions
in
both
sexes,
and
increased
liver
weights
in
males.
The
systemic
toxicity
NOAEL
is
<
100
ppm.
Under
the
conditions
of
this
study,
there
was
an
increased
incidence
of
hepatocellular
neoplasms
in
males
and
females.
Incidences
of
hepatocellular
adenomas
were
increased
(
p<
0.05,
0.01,
or
0.001)
in
all
groups
of
treated
males
(
27.9%,
51.4%,
68.6%,
56.5%
and
53.7%
68.6%,
control
to
high
dose)
and
females
(
4.4%,
18.8%,
25.7%,
32.9%
and
41.2%)
treatment
groups.
These
were
outside
of
historical
control
ranges
of
males
(
0
12%)
in
all
groups,
including
controls,
and
of
females
(
0
14%)
for
all
treated
groups.
The
incidences
of
adenocarcinomas
were
increased
(
p<
0.05
or
not
significant)
in
all
male
treatment
groups
(
7.4%,
20.0%,
24.3%,
24.6%
and
24.4%,
control
to
high
dose)
and
in
the
1000
and
2000
ppm
female
groups
(
12.9%
and
10.3%
vs
1.5%,
controls).
The
incidences
were
outside
of
historical
control
ranges
for
males
(
0
8%)
in
all
treatment
groups
and
females
(
0
6%)
at
1000
ppm.
The
incidences
of
combined
adenomas
and
adenocarcinomas
were
increased
(
p<
0.05,
0.01,
or
0.001)
in
all
male
(
29,4%,
57.1%,
74.3%,
63.8%
and
68.3%)
and
female
(
5.9%,
18.8%,
27.1%,
38.6%
and
47.1%)
treatment
groups
(
no
historical
controls
provided
for
combined
neoplasms).
Dosing
was
considered
adequate
based
on
the
finding
of
liver
toxicity
at
all
doses.
The
submitted
study
is
classified
as
Acceptable/
guideline
(
870.4200b)
and
satisfies
the
guideline
requirements
for
a
carcinogenicity
study
in
mice.
(
2)
In
a
chronic/
oncogenicity
toxicity
study
(
MRID
40993301),
oxadiazon
(
tech.,
95.9%
a.
i.)
was
administered
to
80
ICR
JCL
mice
(
80/
sex/
dose)
in
the
diet
at
0,
3,
10,
100
or
1000
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
21
ppm
(
equivalent
to
0,
0.315,
1.09,
10.6
or
113
mg/
kg/
day
for
males
or
0,
0.278,
0.92,
9.3
or
99
mg/
kg/
day
for
females)
for
98
99
weeks
(
the
study
was
scheduled
to
run
for
104
weeks
but
due
to
deaths,
it
was
terminated
at
98
99
weeks).
Clinical
signs
were
monitored
daily.
Body
weights
were
determined
weekly
for
the
first
26
weeks
and
biweekly,
thereafter;
food
consumption
was
determined
twice
weekly
for
8
cages
(
4
mice/
cage).
Groups
of
9
10
mice/
sex/
group
were
sacrificed
at
weeks
52
and
98/
99
were
subjected
to
hematology,
biochemistry,
urinalysis
and
pathology
analysis.
Dose
selection
was
based
on
a
preliminary
4
week
range
finding
study
with
0,
10,
100,
1000
or
3000
ppm.
Liver
weights
were
increased
in
males
at
100,
1000
and
3000
ppm
and
in
females
at
1000
and
3000
ppm.
Signs
of
anemia
were
reported
for
both
sexes
at
1000
ppm.
Elevated
GOT
and
GPT
(
indicative
of
hepatic
toxicity)
was
also
evident
at
1000
and
3000
ppm
(
males)
and
3000
ppm
(
females).
There
were
no
consistent
adverse
effects
on
mortality,
clinical
signs,
body
weight
or
food
consumption.
Hematological
parameters
significantly
affected
in
male
mice
were:
decreased
hematocrit,
hemoglobin
and
erythrocyte
counts
(
all
exposure
groups
at
week
52
but
not
at
week
98);
and
decreased
mean
corpuscular
volume
and
mean
corpuscular
hemoglobin
(
high
dose
males
at
weeks
52
and
98).
In
females,
significantly
decreased
hemoglobin,
mean
corpuscular
volume
and
decreased
mean
corpuscular
hemoglobin
were
observed
at
1000
ppm
after
52
weeks
of
treatment.
The
generalized
changes
in
these
blood
elements
are
indicative
of
anemia
which
was
most
evident
in
the
males
at
week
52.
Significantly
affected
clinical
chemistry
parameters
at
1000
ppm
included:
increased
GLP,
GOT,
ALP
and
BUN
(
males
and
females)
and
at
100
ppm
were:
increased
GLP
and
GOT
(
males).
High
dose
males
also
had
brownish
colored
urine
at
week
52.
Significantly
increased
liver
weights
(
absolute/
relative)
were
seen
in
high
dose
males
at
weeks
52
and
98
and
in
high
dose
females
at
week
98.
Significant
increases
in
absolute
and
relative
adrenal
(
males,
week
98)
and
kidney
(
females,
week
98)
weights
were
also
seen
at
1000
ppm.
Non
neoplastic
pathology
at
1000
ppm
included:
increased
centrilobular
hepatocellular
swelling
(
females);
increased
diffuse
hepatocellular
swelling
(
males);
brown
pigmentation
in
the
liver
and
proximal
tubules
of
the
kidney
(
males
and
females);
extramedullary
hematopoiesis
(
females)
diffuse
hepatocellular
necrosis
(
males)
and
increased
auricular
thrombus
(
males).
At
100
ppm,
increased
diffuse
hepatocellular
swelling
and
brown
pigmentation
in
the
liver
were
also
seen
in
the
males.
The
LOAEL
is
100
ppm
(
10.6
mg/
kg/
day)
based
on
anemia,
hepatocellular
swelling,
necrosis
and
the
formation
of
brown
pigment
in
the
liver
and
kidneys
of
male
mice.
This
latter
finding
is
consistent
with
the
established
mechanism
of
action
of
oxadiazon
in
plants,
(
i.
e.,
inhibition
of
porphyrin
biosynthesis).
The
NOAEL
is
10
ppm
(
1.09/
0.92
mg/
kg/
day
for
males/
females).
Neoplastic
findings
were:
significant
increases
(
p<
0.05<
0.001)
in
liver
adenomas
and
carcinomas
in
males
and
females
at
1000
ppm;
liver
adenomas
and
carcinomas
were
also
significantly
increased
at
100
ppm
in
males.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
22
The
pathology
report
for
this
chronic/
carcinogenicity
study
in
the
mouse
was
considered
incomplete;
thus,
the
overall
study
was
listed
as
Supplementary.
At
this
time,
additional
information
is
not
being
requested
because
the
results
are
consistent
with
an
acceptable
mouse
carcinogenicity
study
(
MRID
No.
00115733)
that
satisfies
the
guideline
requirement.
Similarly,
the
presence
of
liver
neoplasms
confirms
the
evidence
of
a
carcinogenic
effect
seen
in
other
mouse
long
term
studies
(
MRID
No.
00044322
and
00115733).
After
review
of
the
data
from
this
study
by
the
Cancer
Assessment
Review
Committee
(
CARC),
however,
it
was
concluded
that
this
deficiency
did
not
compromise
the
integrity
of
the
study
or
the
interpretation
of
the
results
[
see
Cancer
Assessment
Document
Evaluation
of
the
Carcinogenic
Potential
of
Oxadiazon
(
Third
Review),
dated
April
2001].
Using
this
rationale,
the
study
is
now
upgraded
and
listed
as
Acceptable/
guideline
(
870.4200b).
(
3)
In
an
oral
mouse
oncogenicity
study
(
MRID
00044322),
oxadiazon
(
tech.
95.5%
a.
i.)
was
administered
in
the
diet
to
CD
1
mice
(
60/
sex/
group)
for
up
to
104
weeks
at
0,
300,
1000
or
2000
ppm
(
equivalent
to
0/
0,
48/
62,
153/
201,
and
319/
417
mg/
kg/
day
[
M/
F],
respectively.
Actual
daily
dosage
may
have
been
slightly
lower,
based
on
the
analytical
diet
concentrations).
At
study
initiation,
high
dose
animals
received
3000
ppm
diets.
Due
to
high
mortality,
the
compound
was
removed
from
the
high
dose
diet
for
weeks
2
and
3,
then
dosing
was
re
initiated
at
2000
ppm.
Animals
that
died
during
weeks
1
5
(
10
males,
3
females)
were
replaced
with
parallel
treated
animals
or
control
replacement
animals
that
had
not
previously
received
the
test
article.
No
interim
sacrifice
was
performed.
Toxicity
to
the
liver
was
observed
at
all
doses.
At
300
ppm,
statistically
significantly
increased
serum
alkaline
phosphatase
(+
60%
above
controls)
and
ALT
or
SGPT
(+
270%)
in
females,
along
with
a
non
significant
increase
in
AST
or
SGOT
(+
76%,
females)
and
ALT
(+
75%,
males),
and
statistically
significant
increases
in
abs/
rel
liver
weights
in
both
males
(+
26%/+
34%)
and
females
(+
50%/+
60%)
were
observed.
These
parameters
usually
showed
dose
dependent
increases
at
1000
ppm.
Grossly
visible
liver
masses
(
combined
males/
females
38%
vs.
9%,
controls)
and
liver
microscopic
lesions
(
bile
duct
proliferation,
pigmented
macrophages,
diffuse
hepatocellular
hyperplasia,
nodular
hyperplasia,
nodular
hypertrophy
and
centrilobular
hypertrophy)
were
increased
at
300
ppm
in
both
sexes.
Some
of
these
lesions
did
not
show
a
dose
response,
but
were
still
considered
treatmentrelated
At
1000
ppm,
significantly
increased
serum
alkaline
phosphatase
(+
620%),
AST
(+
104%),
ALT
(+
218%)
and
cholesterol
(+
82%)
were
observed
in
males,
and
possibly
lenticular
degeneration
in
the
eyes
of
males
(
10%
vs.
0,
controls).
At
2000
ppm,
most
of
these
parameters
showed
additional
increases
and
significantly
increased
cholesterol
in
females
(+
81%),
increased
lenticular
degeneration
in
the
eyes
of
males
(
25%
vs.
0%,
controls)
and
liver
focal
necrosis
in
males
(
54%
vs.
35%,
controls)
and
females
(
41%
vs.
25%,
controls)
were
also
observed.
A
16%
decrease
in
hematocrit
in
males
was
considered
of
equivocal
biological
significance.
Survival
(
after
lowering
of
high
dose
to
2000
ppm),
clinical
signs,
body
weights,
food
consumption/
efficiency
and
urine
occult
blood
in
both
sexes
were
unaffected
at
all
dose
levels.
The
systemic
toxicity
LOAEL
is
300
ppm
(
approximately
48/
62
[
M/
F]
mg/
kg/
day)
based
on
increased
liver
effects
in
both
sexes.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
23
The
systemic
toxicity
NOAEL
is
<
300
ppm.
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increased
incidence
of
hepatocellular
carcinoma
in
both
sexes.
The
increase
was
significant
(
p<
0.01)
in
both
sexes
at
1000
(
males
24/
60
or
40%
vs
5/
60
or
8.3%,
controls;
females
12/
61
or
19.7%
vs
1/
60
or
1.7%,
controls)
and
2000
ppm
(
27/
69
or
39.1%,
males
and
13/
63
or
20.6%,
females).
The
incidence
at
300
ppm
in
both
males
(
7/
60
or
11.7%)
and
females
(
4/
60
or
6.7%)
was
not
significant.
Dosing
was
considered
adequate
based
on
the
finding
of
liver
toxicity
at
all
doses.
The
submitted
study
is
classified
as
Unacceptable/
guideline
(
870.4200b).
Although
several
study
deficiencies
were
identified,
the
additional
information
is
not
being
requested
at
this
time
because
the
results
are
consistent
with
an
acceptable
mouse
carcinogenicity
study
(
MRID
00157780;
also
under
MRID
00149003)
that
satisfies
the
guideline
requirement.
In
the
current
study,
the
following
were
noted:
(
1)
the
summary
tables
of
the
gross
pathology
findings
(
Tables
9
and
10)
were
illegible
in
the
only
study
copy
available
for
review
and
(
2)
it
was
unclear
from
the
study
report
what
system
of
classification
of
liver
proliferative
and
neoplastic
microscopic
lesions
were
used
in
this
study
compared
to
current
conventions
of
classification.
Although
hepatocellular
carcinomas
were
increased
in
treated
animals,
no
adenomas
were
reported,
which
are
generally
observed
as
part
of
the
tumor
progression.
4.7
Mutagenicity
Adequacy
of
data
base
for
Mutagenicity:
The
data
base
for
mutagenicity
is
considered
adequate
based
on
pre
1991
mutagenicity
guidelines.
Overall,
the
available
data
indicate
that
oxadiazon
is
not
mutagenic,
but
does
cause
neoplastic
cell
transformation
in
vitro.
The
acceptable
bacterial
assays
conducted
with
97.49%
technical
oxadiazon
were
negative.
Similarly,
neither
95.5%
nor
recrystallized
oxadiazon
(
100%)
were
mutagenic
or
clastogenic
in
cultured
mammalian
cells
and
did
not
cause
UDS
in
primary
rat
hepatocytes.
There
is,
however,
evidence
that
oxadiazon
induced
neoplastic
transformation
in
Syrian
hamster
kidney
cells
both
in
the
presence
and
the
absence
of
S9
activation.
This
positive
finding
is
consistent
with
the
evidence
from
the
mouse
and
rat
long
term
bioassays
in
which
the
incidence
of
liver
tumors
was
increased.
Gene
Mutation
870.5100
Bacterial
Reverse
Gene
Mutation
Assay
and
870.5500
Bacterial
DNA
Repair
Assay
MRID
00069893
Acceptable/
guideline
Doses
tested:
In
Salmonella
typhimurium
strains
TA1535,
TA1537,
TA98
and
TA100
and
Escherichia
coli
strain
WP2
hcr,
100
2500
g/
plate
and
10
1000
g/
plate
w/
o
S9
activation
and
10
1000
g/
plate
w/
S9.
Bacillis
subtilis
strains
H17
and
M45,
20
2000
g/
plate
w/
o
activation.
Negative.
Cytotoxicity
not
observed.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
24
870.5100
Bacterial
Reverse
Gene
Mutation
MRID
41871701
Acceptable/
guideline
Doses
tested:
In
Salmonella
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100,
50
5000
g/
plate
w/
and
w/
o
S9
activation.
Negative
up
to
cytotoxic
doses
(
3330
g/
plate)
in
absence
of
S9
and
up
to
5000
g/
plate
in
presence
of
S9
(
not
cytotoxic
at
any
dose
tested
+
S9).
Insoluble
at
500
g/
plate.
870.5300
In
Vitro
Mammalian
Gene
Mutation
Assay
MRID
00115726
Acceptable/
guideline
Doses
tested:
In
L5178Y
TK+/
mouse
lymphoma
cells,
15.6,
31.3,
250,
500
or
1000
g/
mL
(
trial
1)
and
50,
300,
600,
800
or
1000
g/
mL
(
trial
2)
w/
o
S9;
3.91,
7.81,
15.6,
31.3
or
62.5
g/
mL
(
trial
1),
20,
30,
40,
60,
80
or
100
g/
mL
(
trial
2)
and
100,
120,
140,
160,
180
or
200
g//
L
(
trial
3)
w/
S9.
Negative
up
to
cytotoxic
levels
(
1000
g/
mL
w/
S9
and
200
g/
mL
w/
o
S9).
Insoluble
at
62.5
g/
mL.
870.5300
In
Vitro
Mammalian
Gene
Mutation
Assay
MRID
00115729
Acceptable/
guideline
Doses
tested:
In
L5178Y
TK+/
mouse
lymphoma
cells,
oxadiazon
recrystallise
(
100%
a.
i.)
31.3,
62.5,
125,
250,
500
or
1000
g/
mL
w/
o
S9
and
15.6,
31.3,
62.5,
125
or
250
g/
mL
w/
S9.
Negative
up
to
cytotoxic
doses
(
1000
g/
mL
w/
o
S9
and
250
g/
mL
w/
S9).
Insoluble
at
250
g/
mL.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
25
Cytogenetics
870.5375
In
Vitro
Mammalian
Cell
Chromosomal
Aberration
Assay
MRID
00115728
Acceptable/
guideline
Doses
tested:
In
Chinese
hamster
ovary
cells,
oxadiazon
recrystallise
(
100%
a.
i.)
at
2.0,
6.7,
20,
66.7,
200,
667
or
2000
g/
mL
w/
o
S9
and
0.667,
2.0,
6.7,
20.0,
66.7,
200,
667
or
1000
g/
mL
w/
S9
(
trial
1);
and
at
200,
300,
400,
500
or
600
g/
mL
w/
S9
(
trial
2).
Negative
up
to
cytotoxic
concentrations
(
200
g/
mL
w/
o
S9
and
500
g/
mL
w/
S9).
Insoluble
at
667
g/
mL
w/
o
S9
and
200
g/
mL
w/
S9.
870.5375
In
Vitro
Mammalian
Cell
Chromosomal
Aberration
Assay
MRID
00115730
Acceptable/
guideline
Doses
tested:
oxadiazon
tech.
(
95.5%
a.
i.)
in
Chinese
Hamster
ovary
cells
at
0.416,
1.25,
4.16,
12.5,
41.6
or
125
g/
mL
(
trial
1)
and
12.5,
25,
50
or
75
g/
ml
w/
o
S9
(
trial
2)
and
1.25,
4.16,
41.6
or
125
g/
mL
w/
S9
(
trial
2).
Negative
up
to
cytotoxic
concentrations
(
75
g/
mL
w/
o
S9
and
41.6
g/
mL
w/
S9).
Insoluble
at
416
g/
mL.
870.5395
Mammalian
Erythrocyte
Micronucleus
Test
MRID
00073288
Unacceptable/
guideline
(
not
upgradable)
Doses
tested:
In
CD
1
mice,
0,
500,
100
or
200
mg/
kg
(
2
gavage
doses
24
hr
apart).
Harvested
6
hr
after
second
dose.
Negative;
however
was
unacceptable
because
the
6
hr
sampling
time
could
have
missed
an
effect
and
no
evidence
that
target
tissue
was
reached.
870.5395
Mammalian
Erythrocyte
Micronucleus
Test
MRID
00073289
Unacceptable/
guideline
(
not
upgradable)
Doses
tested:
In
CD
1
mice,
0,
500,
1000
or
2000
mg/
kg,
2
gavage
doses
24
hrs
apart.
Harvest
6
hrs
post
treatment.
Negative;
however
was
unacceptable
because
the
6
hr
sampling
time
could
have
missed
an
effect
and
no
evidence
that
target
tissue
was
reached.
870.5395
Mammalian
Erythrocyte
Micronucleus
Test
MRID
00073290
Unacceptable/
guideline
(
not
upgradable)
Doses
tested:
In
CD
1
mice,
0,
500,
1000
or
2000
mg/
kg,
2
gavage
doses
24
hrs
apart.
Harvest
6
hrs
post
treatment.
Negative;
however
was
unacceptable
because
the
6
hr
sampling
time
could
have
missed
an
effect.
Clinical
signs
of
toxicity
observed
at
2000
mg/
kg.
Other
Genotoxicity
870.5550
Unscheduled
DNA
Synthesis
MRID
00115723
Acceptable/
guideline
Doses
tested:
In
primary
rat
hepatocytes,
1.0,
2.5,
5.0,
10,
25,
50
250
or
1000
g/
mL,
18
hr
exposure.
Negative
up
to
cytotoxic
concentrations
(
100
500
g/
ml).
870.5550
Unscheduled
DNA
Synthesis
MRID
00115727
Acceptable/
guideline
Doses
tested:
In
primary
rat
hepatocytes,
0.5,
1.0,
2.0,
5.0,
10,
25
or
50
g/
mL.
Negative
up
to
cytotoxic
concentrations
(
100
g/
ml).
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
26
Nonguideline
In
vitro
cell
transformation
MRID
00115703
Acceptable/
non
guideline
Doses
tested:
In
Syrian
hamster
BHK21
C13/
HRC1
cells,
12.5,
25,
50,
100
or
200
g
technical
oxadiazon/
mL
and
25,
50,
100,
200
or
400
g
recrystallized
oxadiazon;
both
tested
w/
and
w/
o
S9
activation.
Positive
in
the
presence
and
absence
of
S9
metabolic
activation.
At
the
LD
50
or
HDT,
transformation
frequencies
exceeded
5X
solvent
control
w/
and
w/
o
S9
for
both
oxadiazon
and
recrystallized
oxadiazon.
4.8
Neurotoxicity
Adequacy
of
data
base
for
neurotoxicity:
These
studies
are
not
required
at
this
time
because
there
was
no
evidence
of
potential
neurotoxicity
in
the
database.
4.9
Metabolism
and
Dermal
Penetration
Adequacy
of
data
base
for
metabolism
and
dermal
penetration:
The
data
base
for
metabolism
is
considered
to
be
complete.
No
additional
studies
are
required
at
this
time.
In
rats,
oxadiazon
was
extensively
metabolized
and
most
was
excreted
in
both
urine
and
feces
during
the
7
days
following
dosing.
Although
at
the
low
dose
(
5
mg/
kg),
only
a
small
amount
of
parent
compound
was
excreted,
at
high
dose
(
500
mg/
kg),
as
much
as
53%
of
unchanged
oxadiazon
was
excreted
in
the
feces.
Females
tended
to
excrete
more
of
the
administered
dose
in
the
urine
than
males.
A
total
of
18
metabolites
were
identified
in
the
urine
and
feces.
Two
studies
not
required
by
the
guidelines
were
also
submitted.
In
a
dermal
absorption
study
in
the
rat,
penetration
was
shown
to
be
less
than
10%
in
rats
exposed
for
up
to
10
hrs.
A
14
day
dietary
study
in
the
rat
was
also
submitted
in
which
peroxisomal
proliferative
effects
were
examined.
In
this
study,
liver
enlargement,
proliferation
of
hepatocyte
peroxisomes
and
induction
of
several
peroxisomal
enzymes
were
observed.
However,
activity
of
catalase,
usually
induced
by
such
compounds,
was
decreased
by
oxadiazon
treatment.
Hepatocellular
proliferation
was
not
evaluated.
In
addition
to
the
Executive
Summaries
provided
below,
the
metabolism
and
dermal
penetration
studies
are
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
870.7485
Metabolism
Rat
In
a
metabolism/
pharmacokinetic
study
(
MRIDs
42324701,
42663601),
five
Crl:
CD(
SD)
BR
rats
of
each
sex
were
dosed
with
14C
labeled
oxadiazon
at
a
single
oral
dose
of
5
mg/
kg
or
500
mg/
kg,
and
multiple
doses
of
5
mg/
kg
unlabeled
oxadiazon
for
14
days
followed
by
a
single
oral
dose
of
labeled
oxadiazon
at
5
mg/
kg
on
day
15.
At
low
doses
(
5
mg/
kg,
single
or
multiple),
oxadiazon
was
completely
absorbed,
metabolized
and
excreted
in
the
urine
and
feces;
virtually
no
free
oxadiazon
was
found
in
the
urine.
At
this
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
27
dose,
the
rates
and
routes
of
excretion
of
radioactivity
were
similar.
At
500
mg/
kg,
the
rate
of
excretion
was
affected
but
the
route
was
not.
The
excretion
of
radioactivity
into
the
urine
and
the
feces
was
sex
dependent
and
the
tissue
residues
were
very
low
in
all
tissues
except
liver
and
fat.
Over
a
7
day
period,
85
to
93%
of
the
test
compound
administered
was
excreted
in
the
urine
and
feces.
The
radioactivity
recovered
in
the
urine,
feces
and
tissues
exceeded
94%
of
the
dose
and
was
sex
related.
Females
excreted
more
radioactivity
in
the
urine
than
males.
The
metabolism
of
oxadiazon
in
rats
was
extensive,
but
the
benzene
and
pyrozolidine
rings
were
not
modified.
Eighteen
(
18)
metabolites
were
identified
in
the
urine
and
feces.
Four
urinary
and
5
fecal
metabolites
were
present
at
levels
greater
than
1%
of
the
dose.
Among
the
9
metabolites,
U2,
U7
and
U10
from
the
urine
correspond
to
F2,
F7
and
F9
of
the
feces.
Female
rats
were
efficient
metabolizers
and
the
urine
was
unique
in
that
metabolites
U4
and
U5
were
excreted
in
the
urine
only.
In
addition
to
5
fecal
metabolites,
intact
oxadiazon
was
present
in
feces
only
and
was
dose
related.
At
the
high
dose
more
than
53%
of
the
administered
radioactivity
was
intact
oxadiazon
in
the
feces;
at
5
mg/
kg,
not
more
than
4.8%
of
the
dose
was
intact
oxadiazon
in
the
feces.
This
observation
is
consistent
with
extensive
absorption
followed
by
excretion
in
the
feces
by
way
of
the
bile.
This
study
is
classified
Acceptable/
guideline
and
satisfies
the
Guideline
requirements
(
870.7385)
for
a
metabolism
study
for
oxadiazon
in
the
rat.
870.7600
Dermal
Absorption
Rat
In
a
dermal
penetration
study
(
MRID
44588101),
14C
oxadiazon
(
99.6%
a.
i.,
radiochemical
purity,
mixed
with
unlabelled
oxadiazon
technical,
96%
a.
i.)
in
1%
aqueous
carboxymethyl
cellulose
was
administered
dermally
to
groups
of
24
male
Sprague
Dawley
rats/
dose
at
5.45,
39.2
or
523
g/
cm2
for
exposure
durations
of
0.5,
1,
2,
4,
10
or
24
hours
per
dose
(
4
rats/
exposure
time).
Urine
and
feces
were
collected;
skin
was
excised
and
blood,
residual
urine
and
carcasses
were
collected
and
analyzed.
Recovery
of
radioactivity
ranged
from
83.2%
to
106%
of
administered
dose.
The
quantity
of
oxadiazon
in
washed
skin
during
the
exposure
phase
ranged
from
0.06
0.38,
0.59
3.31
or
2.88
15.32
g/
cm2
at
the
low,
mid
or
high
dose,
respectively.
As
a
percentage
of
the
administered
dose,
these
were
equivalent
to
1.09%
6.89%,
1.50%
8.45%
or
0.55%
2.93%
(
low
to
high
dose,
respectively).
In
general,
the
amount
of
absorbed
test
material
was
not
detectable
during
the
first
2
hours
of
exposure.
Absorption
(
g/
cm2)
was
low
throughout
exposure
and
ranged
from
0.06
0.6,
0.05
2.00
or
0.05
2.62
g/
cm2
(
low
to
high
dose,
respectively)
at
4
to
24
hours;
as
a
percent
of
the
administered
dose,
these
were
equivalent
to
1.11%
11.0%,
0.39%
5.11%
or
0.01%
0.50%,
respectively.
The
percent
of
test
material
on
the
skin
versus
the
percent
absorbed
at
10
hours
was
6.05%
vs.
2.65%
(
5.45
g/
cm2),
4.71%
vs.
0.63%
(
39.2
g/
cm2)
and
1.03%
vs.
0.05%
(
523
g/
cm2).
Since
the
percent
of
dose
absorbed
decreased
with
increasing
dose
and
the
quantity
absorbed
was
essentially
the
same,
the
results
indicate
that
absorption
but
not
dermal
uptake
was
saturated
at
39.2
and
523
g/
cm2.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
28
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
dermal
penetration
study
(
870.7600)
in
the
rat.
4.10
Special/
Other
Studies
A
14
day
dietary
study
evaluating
peroxisomal
proliferation
by
oxadiazon
in
the
rat
was
submitted.
In
addition
to
the
Executive
Summary
provided
below,
this
study
is
summarized
in
capsule
form
in
Section
9.0
(
Appendix),
Table
9.1.2
(
toxicity
profile
table).
In
a
special
mechanistic
study
(
MRID
No.
42310001),
oxadiazon
(
tech.,
95.6%
a.
i.)
was
orally
administered
to
groups
of
male
Sprague
Dawley
rats
(
10
rats/
dose)
at
0,
20,
200
or
500
mg/
kg/
day
for
14
days.
Clinical
signs
were
monitored
daily.
Body
weights,
food
consumption
and
water
consumption
were
determined
daily.
After
14
days
of
treatment,
animals
were
sacrificed
and
organ
weights
were
determined.
Livers
were
prepared
for
microscopic
examination
(
high
dose
only)
and
liver
homogenates
from
all
dose
levels
were
assessed
for
protein,
glucose
6
phosphatase,
catalase,
palmitoyl
CoA
oxidation,
palmitoyl
carnitine
transferase
and
acetyl
carnitine
transferase.
There
were
no
adverse
effects
on
mortality,
clinical
signs,
body
weight
or
food
and
water
consumption.
Absolute
and
relative
liver
weights
were
significantly
(
p<
0.05)
increased
at
200
and
500
mg/
kg/
day.
Thyroid
and
kidney
weights
were
unaffected
by
treatment.
Significant
(
p<
0.05)
effects
on
liver
biochemistry
at
200
and
500
mg/
kg/
day
were:
decreased
catalase
(
62
and
72%,
respectively);
increased
palmitoyl
CoA
oxidation
(+
43
and
+
98%,
respectively);
increased
palmitoyl
carnitine
transferase
(+
92
and
113%,
respectively);
and
increased
acetyl
carnitine
transferase
(+
296
and
569%,
respectively).
Nonsignificant
changes
noted
for
these
parameters
in
the
20
mg/
kg/
day
group
were:
increased
palmitoyl
CoA
oxidation
(+
13%);
increased
palmitoyl
carnitine
transferase
(+
6%);
and
increased
acetyl
carnitine
transferase
(+
57%).
In
addition,
glucose
6
phosphatase
was
significantly
inhibited
at
500
mg/
kg/
day.
Data
for
these
enzyme
levels
indicate
dose
dependent
increases
in
peroxisomal
enzyme
activity
(
in
particular
palmitoyl
Co
A
and
acetyl
carnitine
transferase
as
well
as
the
mitochondrial
associated
palmitoyl
carnitine
transferase).
Ultrastructural
changes
seen
after
treatment
with
500
mg/
kg/
day
included:
peroxisome
proliferation,
increased
lipids,
sinusoidal
dilation,
and
rough
endoplasmic
reticulum
damage.
The
generalized
changes
in
the
enzyme
levels
indicate
dose
dependent
increases
in
peroxisomal
enzyme
activity
(
in
particular
palmitoyl
Co
A
and
acetyl
carnitine
transferase
as
well
as
the
mitochondrial
associated
palmitoyl
carnitine
transferase).
The
LOAEL
is
20
mg/
kg/
day
(
lowest
treatment
level)
based
on
increased
peroxisomal
enzyme
activity
(
in
particular
palmitoyl
Co
A
and
acetyl
carnitine
transferase)
at
all
dose
levels.
This
study
does
not
define
a
NOAEL
(<
20
mg/
kg/
day).
This
special
peroxisome
proliferation
study
in
the
rat
is
Acceptable/
non
guideline
for
the
purpose
for
which
it
was
intended.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
29
5.0
TOXICITY
ENDPOINT
SELECTION
5.1
See
Section
9.2
for
Endpoint
Selection
Table.
5.2
Dermal
Absorption
Dermal
Absorption
Factor:
9
%
The
HIARC
(
December
7,
2000)
determined
that
a
dermal
absorption
factor
of
9%
should
be
used
for
risk
assessment.
The
dermal
absorption
factor
is
based
on
the
dermal
absorption
observed
(
6.05%
absorbed
+
2.65%
bound
=
8.7%)
after
a
10
hr
exposure
in
a
rat
dermal
absorption
study
(
MRID
44588101).
The
dermal
absorption
factor
is
required
for
the
short
term,
intermediate
term
and
long
term
dermal
risk
assessments
since
oral
doses
were
administered
in
the
study
selected
for
these
exposure
periods
(
rat
developmental
toxicity
study).
5.3
Classification
of
Carcinogenic
Potential
5.3.1
Discussion
of
Findings
Oxadiazon
was
evaluated
for
carcinogenicity
for
the
third
time
by
the
HED
Cancer
Assessment
Review
Committee
on
March
7,
2001
(
HED
Document
No.
014555).
This
reevaluation
was
prompted
by
the
submission
of
a
mouse
and
a
rat
carcinogenicity
study
that
were
not
previously
available
to
the
Agency
for
review.
A
treatment
related
increase
in
the
incidence
of
hepatocellular
benign
and
malignant
tumors
was
identified
in
these
new
studies
in
male
Wistar
rats
(
MRID
40993401)
and
in
male
and
female
ICR
JCL
mice
(
MRID
40993301).
The
results
of
the
new
studies
are
consistent
with
those
of
the
previously
reviewed
studies
on
F344
rats
(
MRIDs
00149003,
00157780)
and
CD
1
mice
(
MRIDs
00044322,
00115733).
The
findings
of
these
studies
are
summarized
above
in
the
Hazard
Assessment
(
see
Section
4.6).
The
quantitative
risk
[
Q
1
*
(
mg/
kg/
day)
1
]
was
also
recalculated
as
shown
below,
based
on
evaluation
of
the
new
data
(
Memorandum
from
L.
Brunsman
to
N.
McCarroll
dated
February
1,
2001).
The
available
mechanistic
data
on
the
peroxisomal
proliferative
properties
of
oxadiazon
were
considered
insufficient
to
support
a
threshold
mechanism
for
hepatocellular
carcinogenesis
(
see
Section
7.0,
below).
5.3.2
Classification
of
Carcinogenic
Potential
Oxadiazon
is
classified
as
"
likely
to
be
a
human
carcinogen",
using
the
classification
system
of
the
EPA
Draft
Guidelines
for
Carcinogen
Risk
Assessment
(
July,
1999).
Hepatocellular
tumors
were
identified
in
two
species
and
2
sexes
(
in
mice;
only
males
showed
significant
increases
in
rats).
5.3.3
Quantification
of
Carcinogenic
Potential
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
30
The
Q
1
*
(
mg/
kg/
day)
1
calculated
for
oxadiazon
is
7.11
x
10
2
mg/
kg/
day,
based
on
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
from
the
98
week
dietary
study
(
MRID
40993301).
6.0
FQPA
CONSIDERATIONS
6.1
Special
Sensitivity
to
Infants
and
Children
In
the
rabbit
developmental
study,
there
was
no
evidence
of
either
a
quantitative
or
qualitative
increase
in
the
sensitivity
of
fetuses.
However,
in
the
rat
developmental
study,
very
little
maternal
toxicity
(
small
but
significant
decrease
in
body
weight,
2%
and
decrease
in
body
weight
gain,
10%)
was
seen
at
the
maternal
and
developmental
LOAEL
(
40
mg/
kg/
day).
By
contrast,
effects
on
offspring
at
this
LOAEL
were
severe
(
increased
post
implantation
loss
and
late
resorptions
and
decreased
fetal
weight).
Neonatal
effects
(
LOAEL
of
38
mg/
kg/
day,
based
on
neonatal
losses)
in
the
dose
rangefinding
phase
of
the
two
generation
reproduction
study
in
rats
were
attributable
to
maternal
effects
(
i.
e.,
inactive
mammary
tissue)
at
that
dose.
Based
on
weight
of
the
evidence
considerations,
the
Committee
concluded
that
the
overall
data
provide
no
clear
evidence
of
either
a
qualitative
or
quantitative
increase
in
susceptibility
of
rats
or
rabbits
to
in
utero
and/
or
postnatal
oxadiazon
exposure.
6.2
Recommendation
for
a
Developmental
Neurotoxicity
Study
The
HIARC
recommended
against
requiring
a
developmental
neurotoxicity
study.
This
decision
was
based
on
results
showing
no
evidence
of
neurotoxicity
in
any
study
in
the
database
which
included:
chronic
(
rats,
mice,
dogs),
subchronic
(
rat
or
rabbit),
reproduction
(
rat)
or
developmental
(
rat
or
rabbit)
studies.
7.0
OTHER
ISSUES
Many
compounds
that
induce
hepatic
peroxisomal
proliferation
also
are
hepatic
carcinogens.
Because
the
special
mechanistic
study
demonstrated
that
oxadiazon
caused
hepatocellular
peroxisomal
proliferation,
the
MTARC
evaluated
the
complete
database
to
determine
whether
it
supported
peroxisomal
proliferation
as
a
mechanism
of
action
for
hepatocellular
carcinogenesis
in
rats
and
mice
(
meeting
of
February
8,
2001).
Based
on
weight
of
the
evidence
considerations,
the
MTARC
determined
that
although
oxadiazon
did
not
show
mutagenic
potential
and
peroxisomal
proliferation
may
be
a
possible
mode
of
action
for
hepatocellular
carcinogenesis
by
oxadiazon,
the
data
were
insufficient
to
support
this
mechanism.
The
weaknesses
in
the
database
included:
(
1)
no
cell
proliferation
data
were
provided
for
rats
or
mice;
(
2)
a
good
concordance
between
the
dose
response
for
peroxisomal
enzymatic
activity
and
tumor
formation
was
not
observed
and
(
3)
the
role
of
decreased
catalase
activity,
which
is
generally
increased
by
peroxisomal
proliferator
compounds,
was
not
explained
by
the
authors
of
the
submitted
mechanistic
study.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
31
8.0
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623
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E.
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22,
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00073289
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E.
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1980)
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(
17
623
R.
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CA
76
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00073290
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1980)
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24
865
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533E.
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13,
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Unpublished
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00111801
McGee,
G.;
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L.;
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E.
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1972)
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G
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404.
March
22,
1972.
Unpublished
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00111804
Weatherholtz,
W.
and
Voelker,
R.
(
1970)
13
week
Dietary
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TRW,
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656
114.
May
28,
1970.
Unpublished
study.
00111805
Weatherholtz,
W.
and
Voelker,
R.
(
1970)
13
week
Oral
Administration
Dogs:
RP
17623.
TRW,
Inc.,
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VA.
Project
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656
115.
May
22,
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Unpublished
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00115703
Hossack,
D.
J.
N.
and
Daniel,
M.
R.
(
1982)
Oxadiazon
Lot
CA
76
204
and
Recrystallized
Oxadiazon
17
623
RP
Cell
Transformation
Test
for
Carcinogenicity.
Huntingdon
Research
Centre,
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Laboratory
report
number
RNP
152A/
79368,
July
29,
1982.
Unpublished
study.
00115723
Myhr,
B.
C.
and
McKeon,
M.
(
1982)
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Recristallise
in
the
Primary
Rat
Hepatocyte
Unscheduled
DNA
Synthesis
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Bionetics,
Inc.,
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Project
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1982.
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study.
00115726
Cifone,
M.
A
and
Balinas,
V.
(
1982)
Mutagenicity
Evaluation
of
Oxadiazon
in
the
Mouse
Lymphoma
Forward
Mutation
Assay.
Litton
Bionetics,
Inc.,
Kensington,
MD.
LBI
Project
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
32
No.
20999.
Unpublished
study.
00115727
Myhr,
B.;
McKeon,
M.
(
1982)
Evaluation
of
Oxadiazon
(
Lot
MAG
405)
in
the
Primary
Rat
Hepatocyte
Unscheduled
DNA
Synthesis
Assay.
Litton
Bionetics,
Inc.,
Kensington,
MD.
LBI
Project
No.
21001.
June,
1980.
Unpublished
study.
00115728
Galloway,
S.
and
Lebowitz,
H.
(
1982)
Mutagenicity
Evaluation
of
Oxadiazon
Recristallise,
Lot
BOS
2
385
in
an
in
vitro
Cytogenetic
Assay
Measuring
Chromosome
Aberration
Frequencies
in
Chinese
Hamster
Ovary
(
CHO)
Cells.
Litton
Bionetics,
Inc.,
Kensington,
MD.
LBI
Project
No.
21000.
July,
1982.
Unpublished
study.
00115729
Cifone,
M.
and
Balinas,
V.
(
1982)
Mutagenicity
Evaluation
of
Oxadiazon
Recristallise
in
the
Mouse
Lymphoma
Forward
Mutation
Assay.
Litton
Bionetics,
Inc.,
Kensington,
MD.
LBI
Project
No.
20999.
April,
1982.
Unpublished
study.
00115730
Galloway,
S.
and
Lebowitz,
H.
(
1982)
Mutagenicity
Evaluation
of
Oxadiazon,
Lot
MAG
405
in
an
in
vitro
Cytogenetic
Assay
Measuring
Chromosome
Aberration
Frequencies
in
Chinese
Hamster
Ovary
(
CHO)
Cells.
Litton
Bionetics,
Inc.,
Kensington,
MD.
LBI
Project
No.
21000.
July,
1982.
Unpublished
study.
00115733
Amyes,
S.
J.,
Macrae,
S.
M.,
King,
D.
J.
and
Whitney,
J.
C
(
1982)
Oxadiazon:
Oncogenicity
in
Dietary
Administration
to
Mice
for
Period
of
105
Weeks.
Life
Science
Research,
England.
Laboratory
Report
No.
82/
RH0004/
245.
September
17,
1982.
Unpublished
study.
00149003
Kudo,
S.,
Takeuchi,
T.,
Hayashi,
K.
et
al.
(
1981)
Twenty
four
Month
Chronic
Toxicity
Study
of
Oxiadiazon
in
Rats.
Nippon
Institute
for
Biological
Science
and
Institute
of
Environmental
Toxicology.
No
study/
report
no.
July,
1981.
Unpublished
study.
00157780
Nippon
Institute
for
Biological
Science
(
1986)
Twenty
four
Month
Chronic
Toxicity
Study
of
Oxadiazon
in
Rats:
Revised
Data
Tables
per
EPA
Request.
Unpublished
data.
40470201
Tesh,
J.
M.,
Ross,
F.
W.,
Bailey,
G..
P.,
Wilby,
O.
K.
and
Tesh.,
S.
A.
(
1987)
Oxadiazon:
Teratology
Study
in
the
Rabbit.
Life
Sciences
Research,
England.
Laboratory
Project
ID
87/
RHA095/
534.
September
14,
1987.
Unpublished
study.
40470202
Tesh,
J.
M.,
McAnulty,
P.
A.,
Wightman,
T.
J.,
McCloskey,
B.
A.,
Wilby,
O.
K.
and
Tesh,
S.
A.
(
1987)
Oxadiazon:
Teratology
Study
in
the
Rat:
Laboratory.
Life
Science
Research,
England.
Project
ID
87/
RHA093/
356
(
Preliminary
Study
87/
RHA092/
040).
August
3,
1987.
Unpublished
study.
40993301
Shirasu,
Y.
(
1987)
Oxadiazon
23
Month
Oral
Chronic
Toxicity
and
Oncogenicity
Study
in
Mice.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan.
Study
No.
not
listed.
February,
1987.
Unpublished
study.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
33
40993401
Y.
Shirasu
(
1987).
Oxadiazon
24
Month
Chronic
Toxicity
and
Oncogenicity
Study
in
Rats.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan;
Study
No.
not
listed.
February
1987.
Unpublished
study.
41230401
Siglin,
J.
(
1988)
Delayed
contact
hypersensitivity
study
in
guinea
pigs
with
oxadiazon
(
EPA).
Springborn
Life
Sciences,
Inc.,
Spencerville,
OH.
Laboratory
Study
No.
3147.26.
December
20,
1988.
Unpublished
study.
41239801
Tesh,
J.
M.,
McAnulty,
P.
A.
and
Higgins,
C.
(
1988)
Oxadiazon:
Effects
of
Dietary
Administration
Upon
Reproductive
Performance
of
Rats
Treated
Continuously
Throughout
Two
Successive
Generations.
Life
Sciences
Research,
England.
Project
ID
88/
RHA097/
366.
October
7,
1988.
Unpublished
study.
41240301
Tesh,
J.;
McAnulty,
P.;
Wightman,
T.;
et
al.
(
1987)
Oxadiazon:
Effects
of
Dietary
Administration
Upon
Reproductive
Performance
in
the
Rat:
Dosage
Range
Finding
Study.
Life
Sciences
Research,
England.
Project
ID
87/
RHA096/
434.
August
3,
1987.
Unpublished
study.
41326401
Chapman,
E.
A.
(
1989)
Oxadiazon:
Toxicity
Study
by
Oral
(
Capsule)
Administration
to
Beagle
Dogs
for
52
Weeks.
Life
Sciences
Research
Ltd.,
England.
Lab
Project
Number
88/
0763.
November
29,
1989.
Unpublished
study.
41863602
Siglin,
J.
C.
(
1991)
21
Day
Dermal
Toxicity
Study
in
Rabbits
with
Oxadiazon
Technical.
Springborn
Labs,
Inc.,
Spencerville,
OH.
Lab
Project
Number:
3147.86.
March
20,
1991.
Unpublished
study.
41866501
Rush,
R.
E.
(
1990)
Acute
Oral
Toxicity
Study
in
Rats
with
Oxadiazon.
Springborn
Laboratories,
Inc.,
Spencerville,
OH.
Lab
Project
Number
3147.84.
August
14,
1990.
Unpublished
study
041866502
Rush,
R.
E.
(
1990)
Acute
Dermal
Toxicity
Study
in
Rabbits
with
Oxadiazon.
Springborn
Laboratories,
Inc.,
Spencerville,
OH.
Lab
Project
Number
3147.85.
August
14,
1990.
Unpublished
study.
41866503
Michlewicz,
K.
G.
(
1988)
Acute
Inhalation
Toxicity
Study
of
Oxadiazon
in
Rats
Limit
Test.
Springborn
Laboratories,
Inc.,
Spencerville,
OH.
Lab
Project
Number
3147.24.
December
20,
1988.
Unpublished
study.
41866504
Rush,
R.
E.
(
1991)
Primary
Eye
Irritation
Study
in
Rabbits
with
Oxadiazon.
Springborn
Laboratories,
Inc.,
Spencerville,
OH.
Lab
Project
Number
3147.110.
April
19,
1991.
Unpublished
study.
41866505
Rush,
R.
E.
(
1991)
Primary
Skin
Irritation
Study
in
Rabbits
with
Oxadiazon.
Springborn
Laboratories,
Inc.,
Spencerville,
OH.
Lab
Project
Number
3147.111.
April
11,
1991.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
34
Unpublished
study.
41871701
L.
F.
Stankowski,
Jr,
(
1991).
Ames
Salmonella
Plate
Incorporation
Assay
on
Oxadiazon.
Pharmalon
Research
International
Inc.,
Waverly,
PA.
Study
No.
PH
301
RP
001
91.
April
30,
1991.
Unpublished
study.
42310001
Price,
S.
C.
(
1991)
Studies
on
Morphological
and
Biochemical
Changes
in
the
Livers
of
Rats
Treated
for
14
Days
with
Oxadiazon.
Robens
Institute
of
Health
and
Safety,
Surrey,
England.
Study
Number
R190/
0312.
January
9,
1991.
Unpublished
study.
42324701
Powles,
P.
(
1992)
(
14C)
Oxadiazon:
Absorption,
Distribution,
Metabolism,
and
Excretion
in
the
Rat:
[
Final
Report].
Hazleton
UK,
England.
Study
No.
7120
68/
118.
May
11,
1992.
Unpublished
study.
42663601
Powles,
P.
(
1993):
(
14C)
Oxadiazon:
Absorption,
Distribution
Metabolism
and
Excretion
in
the
Rat.
[
Amendment
to
Final
Report
MRID
No.
42324701]
Hazleton
UK,
England.
Study
No.
7120
68/
118.
February
9,
1993.
Unpublished
study.
44588101
Cheng,
T.
(
1996)
Dermal
Absorption
of
14C
Oxadiazon
in
Male
Rats
(
Preliminary
and
Definitive
Phases)
Corning
Hazleton,
Vienna,
VA.
Lab
Project
Number:
CHW
6224
224.
September
27,
1996.
Unpublished
study.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
35
9.0
APPENDICES
Tables
for
Use
in
Risk
Assessment
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
36
9.1
Toxicity
Profile
Summary
Tables
9.1.1
Acute
Toxicity
Table
See
Section
4.1
9.1.2
Subchronic,
Chronic
and
Other
Toxicity
Tables
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
SUBCHRONIC
TOXICITY
STUDIES
870.3100
90
Day
oral
toxicity
(
CD
rat)
00111804
(
1970)
Acceptable/
guideline
0,
25,
100
or
1000
mg/
kg/
d
(
diet)
NOAEL
=
25
mg/
kg/
day
LOAEL
=
100
mg/
kg/
day
based
on
decreased
body
weight,
increased
liver
weight,
hematological
changes
and
clinical
chemistry
and
pathological
changes
associated
with
liver
damage.
870.3150
90
Day
oral
toxicity
in
(
Beagle
dog)
00111805
(
1970)
Acceptable/
guideline
0,
25,
100
or
1000
mg/
kg/
d
(
capsule)
NOAEL
<
25
mg/
kg/
day
LOAEL
25
mg/
kg/
day
based
on
increased
thyroid
weights
in
males.
870.3200
21
Day
dermal
toxicity
(
NZW
rabbit)
41863602
(
1991
)
Acceptable/
guideline
0,
100,
500
or
1000
mg/
kg/
day
NOAEL
1000
mg/
kg/
day.
LOAEL
>
1000
mg/
kg/
day.
DEVELOPMENTAL
AND
REPRODUCTIVE
TOXICITY
STUDIES
870.3700a
Prenatal
developmental
(
SD
rat)
40470202
(
1987)
Acceptable/
guideline
0,
3,
12
or
40
mg/
kg/
day
(
gavage)
Maternal
NOAEL
=
12
mg/
kg/
day.
LOAEL
=
40
mg/
kg/
day
based
on
decreased
body
weight/
weight
gain.
Developmental
NOAEL
=
12
mg/
kg/
day
LOAEL
=
40
mg/
kg/
day
based
on
increased
fetal
resorptions/
implantation
loss,
decreased
pup
weight
and
increased
incidence
of
incomplete
ossification.
870.3700b
Prenatal
developmental
(
NZW
rabbit)
40470201
(
1987)
Acceptable/
guideline
0,
20,
60
or
180
mg/
kg/
day
(
gavage)
Maternal
NOAEL
=
20
mg/
kg/
day
LOAEL
=
60
mg/
kg/
day
based
on
transient
weight
loss
during
the
first
week
of
treatment.
Developmental
NOAEL
=
60
mg/
kg/
day
LOAEL
=
180
mg/
kg/
day
based
on
increased
postimplantation
loss
and
late
resorptions,
decreased
fetal
weight
and
increased
bilateral
hind
limb
flexure.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
37
870.3800
Reproduction
and
fertility
effects
(
CD
rat)
41239801
(
1988)
Acceptable/
guideline
0,
20,
60
or
200
ppm
(
M/
F
0,
1.5/
1.84,
4.65/
5.63
or
15.50/
18.20
mg/
kg/
day,
premating)
Parental/
Systemic
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
decreased
gestational
weight
gain
in
RF
study
at
38
mg/
kg/
day).
Reproductive
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
inactive
mammary
tissue,
fetal/
neonatal
mortality
in
the
RF
study
at
38
mg/
kg/
day).
Offspring
NOAEL
15.5
mg/
kg/
day
LOAEL
>
15.5
mg/
kg/
day
(
fetal/
neonatal
mortality
in
the
RF
study
at
38
mg/
kg/
day).
CHRONIC
TOXICITY
AND
CARCINOGENICITY
STUDIES
870.4100a
Chronic
toxicity
(
rat)
See
870.4300,
Combined
chronic
toxicity/
carcinogenicity
870.4100b
Chronic
toxicity
(
Beagle
dog)
41326401(
1989)
Acceptable/
guideline
0,
5,
20
or
60
mg/
kg/
day
(
capsule)
NOAEL
=
5
mg/
kg/
day
LOAEL
=
20
mg/
kg/
day
based
on
increased
liver
weight.
870.4200
Carcinogenicity
(
CD
1
mouse)
00044322
(
1980)
Unacceptable/
guideline
0,
300,
1000
or
2000
ppm
(
M/
F
0,
48/
62,
153/
201
or
319/
417
mg/
kg/
day),
in
diet
NOAEL
<
48
mg/
kg/
day
LOAEL
48
mg/
kg/
day
based
on
increased
liver
weight,
serum
enzymes
related
to
liver
damage
and
microscopic
pathology
in
the
liver
of
both
sexes.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
carcinoma,
both
sexes
at
48/
62
mg/
kg/
day.
870.4200
Carcinogenicity
(
CD
1
mouse)
00115733
(
1982)
Acceptable/
guideline
0,
100,
300,
1000
or
2000
ppm
(
M/
F
0,
12/
14,
37/
44,
122/
143
or
254/
296
mg/
kg/
day),
in
diet
NOAEL
12
mg/
kg/
day
LOAEL
<
12
mg/
kg/
day
based
on
clinical
signs,
increased
liver
weights
in
males
and
increased
microscopic
pathology
in
the
liver
of
both
sexes.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
(
adenoma,
combined
adenoma/
carcinoma)
in
both
sexes
at
all
doses
tested
(
carcinoma
alone
increased
in
all
male
groups
and
at
143
mg/
kg/
day
in
females).
870.4200
Carcinogenicity
(
ICR
JCL
mouse)
40993301
(
1987)
Acceptable/
guideline
0,
3,
10,
100
or
1000
ppm
(
M/
F
0,
0.315/
0.278,
1.09/
0.92,
10.6/
9.3
or
113/
99
mg/
kg/
day),
in
diet
NOAEL
=
1.09
mg/
kg/
day
LOAEL
=
10.6
mg/
kg/
day
based
on
anemia
and
microscopic
lesions
in
the
liver
and
kidneys
(
all
in
males).
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
(
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
in
males
at
10.6
mg/
kg/
day
and
in
females
at
99
mg/
kg/
day).
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
38
870.4300
Combined
chronic
toxicity/
carcinogenicity
(
F344
rat)
00149003,
00157780
(
1982,
1986)
Acceptable/
guideline
0,
10,
100,
1000
or
3000
ppm
(
M/
F
0,
0.5/
0.6,
5.9/
4.8,
50.9/
60.9
or
163.1/
192.7
mg/
kg/
day,
in
diet
NOAEL
=
0.5
mg/
kg/
day
LOAEL
=
4.8
mg/
kg/
day
based
on
increased
liver
weights
in
both
sexes
and
increased
total
serum
protein
in
females.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
in
males
(
adenomas
and
combined
adenomas/
carcinomas
in
males
at
50.9
mg/
kg/
day).
870.4300
Combined
chronic
toxicity/
carcinogenicity
(
Wistar
rat)
40993401
(
1987)
Acceptable/
guideline
0,
3,
10,
100
or
1000
ppm
(
M/
F
0,
0.106/
0.131,
0.36/
0.44,
3.5/
4.2
or
39/
44
mg/
kg/
day)
NOAEL
=
0.36
mg/
kg/
day
LOAEL
=
3.5
mg/
kg/
day
based
on
increased
incidence
of
hepatocellular
centrilobular
swelling
in
males.
Evidence
of
carcinogenicity
increased
incidence
of
hepatocellular
neoplasms
in
males
(
adenomas
and
combined
adenomas/
carcinomas
at
4.2
mg/
kg/
day
and
carcinomas
at
39
mg/
kg/
day).
MUTAGENICITY
AND
CELL
TRANSFORMATION
STUDIES
870.5100
Gene
Mutation
Bacterial
reverse
gene
mutation
assay
and
870.5500
Bacterial
DNA
Repair
Assay
00069893
(
1976)
Acceptable/
guideline
S.
typhimurium
and
E.
coli
100
2500
and
10
1000
g/
plate
w/
o
S9
and
10
1000
g/
plate
w/
S9.
B.
subtilis
20
2000
g/
plate
w/
o
S9.
Negative
in
S.
typhimurium
strains
TA1535,
TA1437,
TA1538,
TA98
and
TA100;
E.
coli
strain
WP2
hcr
and
B.
subtilis
strains
H17
and
M45
(
cytotoxicity
not
observed
).
870.5100
Gene
Mutation
Bacterial
reverse
gene
mutation
assay
41871701
(
1991)
Acceptable/
guideline
50
5000
g/
plate
w/
o
or
w/
S9.
Negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
(
cytotoxicity
observed
at
3330
g/
plate
w/
o
S9
but
not
w/
S9).
Insoluble
at
500
g/
plate.
870.5300
Gene
Mutation
In
vitro
mammalian
cell
forward
gene
mutation
assay
00115726
(
1982)
Acceptable/
guideline
15.6
1000
g/
mL
(
Trial
1),
50
1000
g/
mL
(
Trial
2),
both
w/
o
S9;
3.91
62.5
(
Trial
1),
20
100
(
Trial
2)
and
100
200
g/
mL
(
Trial
3),
all
w/
S9.
Negative
in
L5178Y
TK+
mouse
lymphoma
cells
(
cytotoxicity
observed
at
1000
g/
mL
w/
o
S9
and
200
g/
mL
w/
S9).
Insoluble
at
62.5
g/
mL.
870.5300
Gene
Mutation
In
vitro
mammalian
cell
forward
gene
mutation
assay
00115729
(
1982)
Acceptable/
guideline
31.3
1000
g/
mL
w/
o
S9
and
15.6
250
g/
mL
w/
S9
Negative
in
L5178Y
TK+
mouse
lymphoma
cells
(
cytotoxicity
observed
at
1000
g/
mL
w/
o
S9
and
250
g/
mL
w/
S9).
Insoluble
at
250
g/
mL.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
39
870.5375
Cytogenetics
In
vitro
mammalian
cell
chromosomal
aberration
assay
00115728
(
1982)
Acceptable/
guideline
2
2000
g/
mL
w/
o
S9;
0.667
2000
g/
mL
(
Trial
1)
and
200
600
g/
mL
(
Trial
2),
both
w/
S9.
Negative
in
Chinese
hamster
ovary
(
CHO)
cells
(
cytotoxicity
observed
at
200
g/
mL
w/
o
S9
and
500
g/
mL
w/
S9).
Insoluble
at
667
g/
mL
w/
o
S9
and
200
g/
mL
w/
S9.
870.5375
Cytogenetics
In
vitro
mammalian
cell
chromosomal
aberration
assay
00115730
(
1982)
Acceptable/
guideline
0.416
125
g/
mL
(
Trial
1)
and
12.5
75
g/
mL
(
Trial
2),
both
w/
o
S9;
1.25
125
g/
mL
w/
S9
(
trial
2).
Negative
in
Chinese
hamster
ovary
(
CHO)
cells
(
cytotoxicity
at
75
g/
mL
w/
o
S9
and
41.6
g/
mL
w/
S9).
Insoluble
at
416
g/
mL.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
0073288
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
100%
oxadiazon
Negative
up
to
limit
dose
of
2000
mg/
kg,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
No
signs
of
toxicity
were
observed.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
0073289
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
Negative
up
to
limit
dose
of
2000
mg/
kg
,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
No
signs
of
toxicity
were
observed.
870.5395
Cytogenetics
Mammalian
erythrocyte
micronucleus
test
00732890
(
1980)
Unacceptable/
guideline
(
not
upgradable)
0,
500,
1000
or
2000
mg/
kg
24865
RP
(
99%),
an
oxadiazon
impurity
Negative
up
to
limit
dose
of
2000
mg/
kg,
but
early
sampling
time
(
6
hr
post
dosing)
may
have
missed
peak
time
of
mutagenic
effect.
Clinical
signs
of
toxicity
observed
at
1000
mg/
kg
including
2
deaths
at
2000
mg/
kg.
870.5550
Other
Effects
Unscheduled
DNA
synthesis
assay
00115723
(
1982)
Acceptable/
guideline
1.0
to
1000
g/
mL
Negative
in
primary
rat
hepatocytes
after
18
hrs
(
cytotoxicity
observed
at
100
500
g/
mL).
870.5550
Other
Effects
Unscheduled
DNA
synthesis
assay
00115727
(
1982)
Acceptable/
guideline
0.5
to
50
g/
mL
Negative
in
primary
rat
hepatocytes
after
18
hrs
(
cytotoxicity
observed
at
50
g/
mL).
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
40
Nonguideline
Other
Effects
In
vitro
cell
transformation
00115703
(
1982)
Acceptable/
nonguideline
12.5
200
g/
mL
w/
and
w/
o
S9
for
technical
oxadiazon;
25
400
g/
mL
for
recrystallized
oxadiazon
(
100%)
w/
S9
or
w/
o
S9.
Dose
related
induction
of
cell
transformation
above
background
levels
observed
w/
S9
and
w/
o
S9
activation
in
Syrian
hamster
kidney
cells
(
BHK21
C13/
HRC1
cells)
for
both
technical
and
recrystallized
oxadiazon.
METABOLISM,
DERMAL
PENETRATION
AND
SPECIAL
MECHANISTIC
STUDIES
870.7485
Metabolism
and
pharmacokinetics
(
Crl:
CD(
SD)
BR
rat)
42324701,
42663601
(
1992,
1993)
Acceptable/
guideline
5
mg/
kg
14C
oxadiazon
(
single
dose),
5
mg/
kg
(
14
day
dose
of
oxadiazon
+
1
dose
of
14C
oxadiazon,
day
15)
or
500
mg/
kg
14Coxadiazon
(
gavage)
At
5
mg/
kg,
oxadiazon
is
completely
absorbed,
metabolized
and
excreted
in
urine
and
feces
(
no
parent
compound
in
urine;
<
5%
in
feces.
At
500
mg/
kg,
53%
of
administered
dose
was
excreted
in
feces
as
parent
compound.
For
both
groups,
83%
of
administered
dose
was
excreted
in
urine
and
feces
(
total
recovery
94%)
by
7
days'
post
dosing.
Females
tended
to
excrete
more
radioactivity
in
urine
than
males.
Oxadiazon
was
metabolized
primarily
by
hydroxylation
and
glucuronide
conjugation,
but
benzene
and
pyrozolidine
rings
were
not
metabolized.
A
total
of
18
metabolites
were
identified
in
urine
and
feces
(
4
urinary,
5
fecal
metabolites
present
at
>
1%
of
administered
dose).
870.7600
Dermal
penetration
(
SD
rat)
44588101(
1996)
Acceptable/
guideline
5.45,
39.2
or
523
g/
cm2
(
exposure
times
of
0.5,
1,
2,
4,
10
or
24
hrs)
Total
absorption
9%
of
administered
dose
following
10
hr
exposure
(
6.05%
in
skin
and
2.65%
absorbed).
Absorption
but
not
dermal
uptake
saturated
at
39.2
and
523
g/
cm2.
Special
studies
(
nonguideline)
Peroxisomal
proliferation
(
SD
rat)
42310001
(
1991)
Acceptable/
nonguideline
0,
20,
200
or
500
mg/
kg/
day
in
diet
for
14
days
NOAEL
<
20
mg/
kg/
day.
LOAEL
=
20
mg/
kg/
day,
based
on
increased
peroxisomal
enzyme
(
palmitoyl
CoA
and
acetylcarnitine
transferase)
activities.
At
200
mg/
kg/
day,
liver
enlargement
and
at
500
mg/
kg/
day,
ultrastructural
changes
(
peroxisomal
proliferation
and
microsomal
alterations)
were
also
observed.
However,
catalase
was
decreased
by
treatment.
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
41
9.2
Summary
of
Toxicological
Dose
and
Endpoints
for
Oxadiazon
for
Use
in
Human
Risk
Assessment1
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Acute
Dietary
NOAEL=
N/
A
UF
=
N/
A
This
risk
assessment
is
not
required
at
this
time
because
there
are
no
food
or
feed
uses
for
Oxadiazon
Chronic
Dietary
NOAEL
=
N/
A
UF
=
N/
A
This
risk
assessment
is
not
required
at
this
time
because
there
are
no
food
or
feed
uses
for
Oxadiazon
Cancer
Q1*
of
7.11
x
10
2
(
mg/
kg/
day)
1in
human
equivalentsa,
based
on
increased
incidence
of
combined
hepatocellular
adenomas/
carcinomas
in
male
ICR
JCL
mice.
"
Possibly
a
human
carcinogen",
based
on
increased
incidence
of
hepatocellular
tumors
in
four
of
the
five
positive
studies
(
two
mouse
studies
and
two
rat
studies)
at
doses
that
exceeded
the
maximum
tolerated
dose.
Combined
Chronic
Toxicity/
Carcinogenicity
Studies
in
Rats
MRID
Nos.
00149003/
00157780
and
40993401
Carcinogenicity
Studies
in
Mice
MRID
Nos.
00115733
and
40993301
(
increased
liver
tumors
also
observed
in
both
sexes
in
an
unacceptable
mouse
oncogenicity
study,
MRID
00044322).
Incidental
Oral,
Short
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Incidental
Oral,
Intermediate
Term
NOAEL=
12
Maternal
effects
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Short
Term
NOAEL=
12
Developmental
effects
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
factor
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
42
EXPOSURE
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Dermal,
Intermediate
Term
NOAEL=
12
Developmental
effect
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
factor
of
9%
is
applied.
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
the
dermal
absorption
factor
of
9%
is
applied.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Inhalation,
Short
Term
NOAEL=
12
Developmental
effect
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
use
a
route
to
route
extrapolation
and
a
100%
absorption
rate
(
default
value).
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Intermediate
Term
NOAEL=
12
Developmental
effect
Increased
fetal
resorptions/
postimplantation
loss,
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL).
For
this
risk
assessment,
use
a
route
to
route
extrapolation
and
a
100%
absorption
rate
(
default
value).
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL).
Use
a
route
toroute
extrapolation
and
a
100%
absorption
rate
(
default
value)
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
OXADIAZON
TECH.
Updated
April
4,
2001
RED
Toxicology
Chapter
43
SignOff
Date:
7/
10/
01
DP
Barcode:
D266361
HED
DOC
Number:
014614
Toxicology
Branch:
TOX1
| epa | 2024-06-07T20:31:45.188565 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0007/content.txt"
} |
EPA-HQ-OPP-2002-0309-0008 | Supporting & Related Material | 2002-12-03T05:00:00 | null | U.
S.
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
DC
20460
.
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
May
8,
2001
DPBarcode:
D273599
PC
Code
109001
MEMORANDUM
SUBJECT:
Tier
I
Estimated
Environmental
Concentrations
of
Oxadiazon
FROM:
José
Luis
Meléndez,
Chemist
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
THROUGH:
Mah
T.
Shamim,
Ph.
D.,
Chief
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
(
7507C)
TO:
Margaret
Rice,
Acting
Branch
Chief
Veronique
LaCapra,
CRM
and
Tom
Myers,
Team
Leader
Special
Review
and
Reregistration
Division
(
7508C)
This
memo
presents
the
Tier
I
Estimated
Environmental
Concentrations
(
EECs)
for
oxadiazon,
calculated
using
FIRST
(
surface
water)
and
SCIGROW
(
ground
water)
for
use
in
the
human
health
risk
assessment.
For
surface
water,
the
acute
(
peak)
value
is
246
ppb
and
the
annual
average
value
is
100
ppb.
The
groundwater
screening
concentration
is
0.6
ppb.
These
values
generally
represent
upper
bound
estimates
of
the
concentrations
that
might
be
found
in
surface
water
and
groundwater
due
to
the
use
of
oxadiazon
on
turf,
which
is
the
major
use
of
the
chemical.
Background
Information
on
FIRST:
FIRST
is
a
new
screening
model
designed
to
estimate
the
pesticide
concentrations
found
in
water
for
use
in
drinking
water
assessments.
It
provides
high
end
values
on
the
concentrations
that
might
be
found
in
a
small
drinking
water
reservoir
due
to
the
use
of
pesticide.
Like
GENEEC,
the
model
previously
used
for
Tier
I
screening
level,
FIRST
is
a
single
event
model
(
one
run
off
event),
but
can
account
for
spray
drift
from
multiple
applications.
FIRST
takes
into
consideration
the
so
called
Index
Drinking
Water
Reservoir
by
representing
a
larger
field
and
pond
than
the
standard
GENEEC
scenario.
The
FIRST
scenario
includes
a
427
acres
field
immediately
adjacent
to
a
13
acres
reservoir,
9
feet
deep,
with
continuous
flow
(
two
turnovers
per
year).
The
pond
receives
a
spray
drift
event
from
each
application
plus
one
runoff
event.
The
runoff
event
moves
a
maximum
of
8%
of
the
applied
pesticide
into
the
pond.
This
amount
can
be
reduced
due
to
degradation
on
field
and
the
2
effect
of
binding
to
soil.
Spray
drift
is
equal
to
6.4%
of
the
applied
concentration
from
the
ground
spray
application
and
16%
for
aerial
applications.
FIRST
also
makes
adjustments
for
the
percent
crop
area.
While
FIRST
assumes
that
the
entire
watershed
would
not
be
treated,
the
use
of
a
PCA
is
still
a
screen
because
it
represents
the
highest
percentage
of
crop
cover
of
any
large
watershed
in
the
US,
and
it
assumes
that
the
entire
crop
is
being
treated.
Various
other
conservative
assumptions
of
FIRST
include
the
use
of
a
small
drinking
water
reservoir
surrounded
by
a
runoff
prone
watershed,
the
use
of
the
maximum
use
rate,
no
buffer
zone,
and
a
single
large
rainfall
Background
Information
on
SCIGROW:
SCIGROW
provides
a
groundwater
screening
exposure
value
to
be
used
in
determining
the
potential
risk
to
human
health
from
drinking
water
contaminated
with
the
pesticide.
Since
the
SCIGROW
concentrations
are
likely
to
be
approached
in
only
a
very
small
percentage
of
drinking
water
sources,
i.
e.,
highly
vulnerable
aquifers,
it
is
not
appropriate
to
use
SCIGROW
for
national
or
regional
exposure
estimates.
SCIGROW
estimates
likely
groundwater
concentrations
if
the
pesticide
is
used
at
the
maximum
allowable
rate
in
areas
where
groundwater
is
exceptionally
vulnerable
to
contamination.
In
most
cases,
a
large
majority
of
the
use
area
will
have
groundwater
that
is
less
vulnerable
to
contamination
than
the
areas
used
to
derive
the
SCIGROW
estimate.
Modeling
Inputs
and
Results:
Tables
1
and
2
summarize
the
input
values
used
in
the
model
runs
for
FIRST
1.0
and
SCIGROW,
respectively.
The
lowest
non
sand
K
D
was
used
in
FIRST
1.0.
The
median
K
OC
value
was
used
in
SCIGROW.
The
available
aerobic
soil
metabolism
half
life
for
oxadiazon
was
extremely
high.
For
FIRST,
stability
was
assumed,
while
the
extrapolated
value
of
841
days
was
used
in
SCIGROW.
The
modeling
results
associated
with
maximum
allowable
rate
per
year
(
4
lb
ai/
A
applied
twice
at
6
months
interval)
are
presented
in
Table
3.
Attached
to
this
memo
are
copies
of
the
original
printouts
generated
from
FIRST
and
SCIGROW
runs.
cc:
Nancy
McCarroll
(
HED)
3
Table
1.
Environmental
Fate
and
Other
Input
Parameters
for
the
Estimation
of
Oxadiazon
using
FIRST
Parameter
Value
Source
Water
Solubility
(
25
C)
1
ppm
One
Liner
Hydrolysis
Half
Life
(
pH
7)
stable
MRID
41863603
Aerobic
Soil
Metabolism
Half
Life
(
from
6
values)
essentially
stable
MRID
42772801
Aerobic
Aquatic
Metabolism
Half
life
not
available
N/
A
Aqueous
Photolysis
Half
Life
2.75
days
MRID
41897201
Soil/
Water
Partition
Coefficient
(
Lowest
non
sand
K
d)
16.9
MRID
41898202
Pesticide
is
Wetted
In
Yes
Labels
PCA
(
turf)
0.87
Default
Depth
of
Incorporation
(
Broadcast)
0.0
inch
Labels
Table
2.
Environmental
Fate
Input
Parameters
for
the
Estimation
of
Oxadiazon
using
SCIGROW.
Parameter
Value
Source
Organic
Carbon
Partition
Coefficient
(
median
K
OC)
2376
MRID
41898202
Aerobic
Soil
Metabolism
Half
Life
(
median)
841
days
MRID
42772801
Table
3.
Modeling
Results
for
Use
of
Oxadiazon
on
(
Turf)
Golf
Courses
Parameter
Value
Source
Application
Method
Ground
Spray
Labels
Application
Rate
4.0
lb
a.
i./
A
Registrant
Applications
Permitted
per
Year
2
Registrant***
Application
Interval
(
days)
182
Registrant
FIRST
1.0
Peak
Untreated
Water
Concentration
246
ppb
N/
A
FIRST
1.0
Annual
Average
Untreated
Water
Concentration
100
ppb
N/
A
SCIGROW
Ground
Water
Concentration
0.6
ppb
N/
A
***
The
Registrant
supports
multiple
applications,
at
lower
application
rates.
4
RESULTS
OBTAINED
USING
FIRST
RUN
No.
1
FOR
OXADIAZON
ON
Turf
(
Golf
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
%
CROPPED
INCORP
ONE(
MULT)
INTERVAL
Kd
(
PPM
)
(%
DRIFT)
AREA
(
IN)
4.000(
8.000)
2
182
16.9
1.0
GROUND(
6.4)
87.0
.0
FIELD
AND
RESERVOIR
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
RESERVOIR)
(
RES.
EFF)
(
RESER.)
(
RESER.)
.00
0
N/
A
2.75
341.00
.00
341.00
UNTREATED
WATER
CONC
(
MICROGRAMS/
LITER
(
PPB))
Ver
1.0
MAY
1,
2001
PEAK
DAY
(
ACUTE)
ANNUAL
AVERAGE
(
CHRONIC)
CONCENTRATION
CONCENTRATION
246.388
100.013
RESULTS
OBTAINED
USING
SCIGROW
RUN
No.
1
FOR
OXADIAZON
INPUT
VALUES
APPL
(#/
AC)
APPL.
URATE
SOIL
SOIL
AEROBIC
RATE
NO.
(#/
AC/
YR)
KOC
METABOLISM
(
DAYS)
4.000
2
8.000
2376.0
841.0
GROUND
WATER
SCREENING
CONCENTRATIONS
IN
PPB
.592986
A=
836.000
B=
2381.000
C=
2.922
D=
3.377
RILP=
1.821
F=
1.130
G=
.074
URATE=
8.000
GWSC=
.592986
| epa | 2024-06-07T20:31:45.213852 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0008/content.txt"
} |
EPA-HQ-OPP-2002-0309-0009 | Supporting & Related Material | 2002-12-03T05:00:00 | null | U.
S.
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
DC
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
PC
Code:
1090001
DP
Code:
D281176
MEMORANDUM
DATE:
April
15,
2002
SUBJECT:
Tier
II
Estimated
Drinking
Water
Concentrations
(
EDWCs)
for
Human
Health
Risk
for
oxadiazon
on
Florida
Golf
Course
TO:
Veronique
LaCapra,
Chemical
Review
Manager
Margaret
Rice,
Branch
Chief
Special
Review
and
Reregistration
Division
(
7508C)
FROM:
Faruque
A.
Khan,
Ph.
D.,
Environmental
Scientist
José
Luis
Meléndez,
Chemist
Environmental
Fate
and
Effects
Division
THROUGH:
Mah
T.
Shamim,
Ph.
D.,
Chief
Jean
Holmes,
Biologist,
RAPL
Environmental
Risk
Branch
V
Environmental
Fate
and
Effects
Division
This
memo
presents
the
Tier
II
surface
drinking
water
assessment
for
oxadiazon.
The
EDWCs
for
oxadiazon
were
based
on
the
proposed
maximum
application
rate
(
8.0
lbs
a.
i./
A,
3
applications)
on
golf
coarse,
which
constitute
the
major
use
of
the
chemical.
The
mean
values
of
EDWCs
over
a
36
year
period
based
on
Florida
Turf
Scenario
for
various
segments
of
the
golf
course
(
green,
tees,
fairways,
and
rough
)
are
summarized
in
Table
1.
Adjustments
can
be
made
to
calculate
cumulative
EDWCs
for
various
segments
of
the
golf
coarse
by
adding
EECs
for
each
segment
of
interest.
For
example,
the
sum
of
the
chronic
EDWCs
for
green,
tees
and
,
fairways
would
be
20.73
(
i.
e.
2.10+
18.63)
µ
g
L
1.
Table
1.
Recommended
EDWCs
of
Oxadiazon
for
human
health
risk
assessment.
Exposure
Greens
&
Tees
Fairways
Roughs
Golf
Coarse
(
µ
g
L
1)
Acute
(
1/
10
peak
value)
7.7
44.28
128.65
180.63
Non
cancer
Chronic
(
1/
10
yearly
value)
2.76
15.87
46.24
64.87
Cancer
Chronic
(
Mean
36
year
annual
concentration)
2.10
18.63
35.22
55.95
Note:
µ
g
L
1
=
ppb
2
1.0
Estimation
of
surface
water
exposure
concentrations
The
maximum
application
rate
and
relevant
environmental
fate
parameters
for
oxadiazon
were
used
in
the
Tier
II
model
(
PRZM/
EXAMS)
for
EDWCs
in
the
surface
water.
The
output
of
the
screening
model
represent
an
upper
bound
estimate
of
the
concentrations
of
oxadiazon
that
might
be
found
in
surface
water
due
to
use
of
oxadiazon
on
golf
coarse.
2.0
Background
Information
on
PRZM/
EXAMS
simulation
PRZM/
EXAMS
modeling
using
the
Index
Reservoir
(
IR)
and
the
Percent
Crop
Area
(
PCA)
adjustment
was
used
to
estimate
concentrations
in
surface
water
used
as
a
source
of
drinking
water.
The
index
reservoir
represents
a
watershed
that
is
more
vulnerable
than
most
used
as
drinking
water
sources.
It
was
developed
from
a
real
watershed
in
western
Illinois.
The
index
reservoir
is
used
as
a
standard
watershed
that
is
combined
with
local
soils,
weather,
and
cropping
practices
to
represent
a
vulnerable
watershed
for
each
crop
that
could
support
a
drinking
water
supply.
If
a
community
derives
its
drinking
water
from
a
large
river,
the
estimated
exposure
would
likely
be
higher
than
the
actual
exposure.
Conversely,
a
community
that
derives
its
drinking
water
from
smaller
bodies
of
water
with
minimal
outflow
would
likely
get
higher
drinking
water
exposure
than
estimated
using
the
index
reservoir.
Areas
with
a
more
humid
climate
that
use
a
similar
reservoir
and
golf
coarse
turf
management
practices
would
likely
get
more
pesticides
in
their
drinking
water
than
predicted
levels.
A
single
steady
flow
has
been
used
to
represent
the
flow
through
the
reservoir.
Discharge
from
the
reservoir
also
removes
chemical
from
it
so
this
assumption
will
underestimate
removal
from
the
reservoir
during
wet
periods
and
overestimates
removal
during
dry
periods.
This
assumption
can
both
underestimate
or
overestimate
the
concentration
in
the
reservoir
depending
upon
the
annual
precipitation
pattern
at
the
site.
The
index
reservoir
scenario
uses
the
characteristic
of
a
single
soil
to
represent
all
soils
in
the
basin.
Soils
can
vary
substantially
across
even
small
areas,
thus,
this
variation
is
not
reflected
in
these
simulations.
The
index
reservoir
scenario
does
not
consider
tile
drainage.
Areas
that
are
prone
to
substantial
runoff
are
often
tile
drained.
This
may
underestimate
exposure,
particularly
on
a
chronic
basis
(
the
watershed
on
which
the
IR
is
based
had
no
documented
tile
drainage).
Additionally,
EXAMS
is
unable
to
easily
model
spring
and
fall
turnover
which
would
result
in
complete
mixing
of
a
chemical
through
the
water
column
during
these
events.
Because
of
this
inability,
Shipman
City
Lake
has
been
simulated
without
stratification.
There
is
data
to
suggest
that
Shipman
City
Lake
does
stratify
in
the
deepest
parts
of
the
lake
at
least
in
some
years.
This
may
result
in
both
an
over
and
underestimation
of
the
concentration
in
drinking
water
depending
upon
the
time
of
the
year
and
the
depth
the
drinking
water
intake
is
drawing
from.
A
full
description
of
the
Index
Reservoir
is
provided
in
the
"
Guidance
for
Use
of
the
Index
Reservoir
in
Drinking
Water
Exposure
Assessment"
from
EFED
upon
request.
Development
a
Percent
Crop
Area
(
PCA),
watershed
based
adjustment
factor
for
the
percent
of
land
in
production
for
golf
coarse
has
not
been
performed.
Therefore,
the
drinking
water
concentrations
for
oxadiazon
were
estimated
using
adjusting
factors
recommended
in
the
EFED
guidance
document
for
the
turf
scenario
(
Carleton,
et.
al.,
2001).
The
predicted
concentrations
are
multiplied
by
0.04
(
fractional
area
analogous
to
PCA)
for
an
average
green
and
tee
areas,
0.23
(
fractional
area
analogous
to
PCA)
for
fairways,
and
an
average
0.67
(
fractional
area
analogous
to
PCA)
for
roughs
(
Appendix
A).
These
multipliers
were
comparable
to
the
surveyed
data
conducted
by
the
Golf
Course
Superintends
3
Table
2.
PRZM/
EXAM
Input
Parameters
for
Oxadiazon
Parameters
and
Units
Oxadiazon
Source
PC
Code
1090001
Molecular
Weight
(
g
Mole
1)
345.2
Product
Chemistry
Vapor
pressure
(
Torr)
1.0
E
6
Product
Chemistry
Water
solubility
(
mg
L
1)
*
1.0
Product
Chemistry
Hydrolysis
half
life
@
pH
5
(
Days)
Stable
MRID
41863603
Hydrolysis
half
life
@
pH
7
(
Days)
Stable
MRID
41863603
Hydrolysis
half
life
@
pH
9
(
Days)
38
MRID
41863603
Aerobic
soil
metabolism
t
½
,
(
Days)*
841
MRID
42772801
Aerobic
aquatic
metabolism
(
Days)*
1682**
EFED
Guidence
Anaerobic
aquatic
metabolism
(
Days)*
365
MRID
42773802
Direct
Aqueous
Photolysis
(
Days)
2.75
MRID
41897201
Soil
Water
Partition
Coefficient
(
Koc,
L
Kg
1)
2352
MRID
1898202
Florida
Turf
Management
Pesticide
Application
Rates
(
lbs
a.
i./
A)
2.0
and
4.0
SRRD
Application
Frequency
2X
and
1X
SRRD
Application
Interval
(
days)
30
and
135
SRRD
First
Application
Date
March
15
SRRD
Spray
Efficiency
99%
EFED
Spray
Drift
6.40%
EFED
PCA***
Green
and
Tees
Fairways
Roughs
4.00%
23.00%
67.00%
EFED
*
=
Water
solubility
was
multiplied
by
10
according
to
Guidance
for
selecting
input
parameters
in
modeling
for
environmental
fate
and
transport
of
*
=
Selected
input
parameters
were
multiplied
by
3
according
to
Guidance
for
selecting
input
parameters
in
modeling
for
environmental
fate
and
**
=
2X
of
soil
aerobic
metabolismhalf
life
input
value.
***
=
Fractional
use
area
analogous
to
percent
crop
area
Association
of
America.
They
reported
that
an
average
for
teeing
areas
is
2%,
putting
green
2%,
fairways
23%,
rough/
wood/
water
70%,
and
building
and
grounds
3%
and
that
an
average
of
150
200
acres
of
total
land
is
used
for
an
18
hole
golf
course
facility.
The
linked
PRZM
and
EXAM
model
is
typically
used
by
EFED
in
estimating
pesticides
concentrations
in
surface
waters.
PRZM
is
employed
to
evaluate
runoff
loading
to
a
receiving
surface
body.
As
soon
as
the
pesticides
residues
reaches
the
surface
water,
EXAMS
uses
algorithms
to
estimate
the
4
pesticides
concentrations
by
taking
into
account
different
dissipation
mechanisms
in
the
aqueous
and
sediment
phases,
weather
patterns,
and
periodic
application
of
pesticides
for
several
years.
3.0
Florida
Turf
Scenario
This
scenario
based
on
the
the
EFED
standard
citrus
scenario,
models
a
field
located
in
Osceola
County,
Florida
in
the
Adamsville
sand,
a
hyperthermic,
uncoated
Aquic
Quartzipsamment
in
MLRA
156A.
The
Adamsville
sand
is
a
somewhat
poorly
drained,
rapidly
permeable
soil
that
formed
in
thick
sandy
marine
sediments
occurring
in
Central
and
Southern
Florida
on
slopes
of
0
5
percent.
Adamsville
sand
ranges
from
a
Hydrologic
Group
A
soil
to
a
Hydrologic
Group
C
soil,
depending
on
the
water
table.
For
the
purpose
of
this
modeling,
EFED
used
the
curve
numbers
from
the
PIC
of
the
Adamsville
sand
as
a
Group
C
soil.
Runoff
from
application
on
turf
was
modeled
using
the
EFED
standard
turf
scenario
(
Carleton,
et.
al.,
2001).
To
develop
a
turf
scenario
the
citrus
scenario
was
modified
by
adding
a
2
cm
thick
layer
of
A
thatch@
on
top
of
the
soil
profile.
The
thatch
layer
has
the
following
properties:
bulk
density
=
0.37;
field
capacity
=
0.47;
wilting
point
=
0.27;
organic
carbon
=
7.5%.
Curve
numbers
were
selected
based
on
A
good
condition@
open
space
areas
as
specified
in
TR
55,
that
for
hydrologic
soil
groups.
A
2
cm
layer
of
thatch
is
typical
for
golf
course
fairways,
but
is
probably
thicker
than
average
for
golf
course
greens.
Turf
is
considered
to
be
essentially
generic,
with
no
distinction
made
between
sod
farms,
golf
course
fairways,
greens
and
tees,
or
residential
lawns.
For
chemicals
applied
to
golf
courses,
the
fraction
of
the
total
area
composed
of
greens,
tees,
and
fairways
may,
however
be
used
to
modify
the
results
of
a
modeling
run,
somewhat
in
the
fashion
of
a
percent
cropped
area
(
PCA)
adjustment.
The
approximate
average
percent
areas
(
confirmed
by
Mike
Kenna,
USGA,
personal
communication)
are
as
follows:
fairways,
23%;
greens,
2%;
tees,
2%.
Thus
if
a
pesticide
is
only
used
on
greens
and
tees,
for
example,
the
modeling
results
would
be
multiplied
by
a
factor
of
0.04.
4.0
Modeling
Inputs
and
Results
The
weather,
golf
coarse
management
practices,
and
oxadiazon
applications
were
simulated
over
36
years
so
that
the
ten
year
excedence
probability
at
the
site
could
be
estimated.
The
EDWC's
generated
in
this
analysis
were
estimated
using
PRZM
3.12
(
Pesticide
Root
Zone
Model
)
for
simulating
runoff
and
erosion
from
the
agricultural
field
and
EXAMS
2.97.5
(
Exposure
Analysis
Modeling
System)
for
estimating
environmental
fate
and
transport
in
surface
water.
Table
2
summarizes
the
input
values
used
in
the
Florida
Golf
Coarse
model
run
for
PRZM/
EXAMS.
Attached
to
this
memo
is
a
copy
of
the
printout
generated
from
the
PRZM/
EXAMS
run
(
See
Appendix
A).
5.0
References
Carleton,
J.,
J.
Lin,
and
M.
Corbin.
2002.
Development
of
a
modeling
approach
to
estimate
runoff
of
pesticide
residues
from
managed
turf
grass.
Memorandum
issued
on
February
27,
2002
on
the
subject
"
PRZM
Standard
Crop/
Location
Scenarios,
Procedure
to
Develop
and
Approve
New
Scenarios,
and
PRZM
Turf
Modeling
Scenarios
to
Date"
by
Elizabeth
Leovey,
Acting
Director
of
Environmental
Fate
And
Effect
Division
of
the
Office
of
Pesticides,
Environmental
Protection
Agency,
Washington
D.
C.
EFFD
Guidance
document.
2001.
Guidance
for
selecting
input
parameters
in
modeling
for
environmental
fate
and
transport
of
pesticides.
Version
II.
December
4,
2001.
5
Appendix
A
Florida
Turf(
2.00
lbs
X
2X
and
4.00
lbs
X
1X
applications)
Chemical:
Oxadiazon
PRZM
environment:
FLOXATRF.
inp
EXAMS
environment:
INDEXRES.
EXV
Metfile:
met156A.
met
WATER
COLUMN
DISSOLVED
CONCENTRATION
(
PPB)
YEAR
PEAK
96
HOUR
21
DAY
60
DAY
90
DAY
YEARLY
1948
242.000
236.000
215.000
180.000
160.000
50.980
1949
112.000
109.000
101.000
90.350
83.690
63.400
1950
74.410
72.960
68.120
58.650
53.490
38.110
1951
73.530
72.160
66.680
56.480
51.260
39.540
1952
210.000
205.000
187.000
154.000
139.000
63.590
1953
105.000
103.000
99.710
87.230
79.180
60.070
1954
92.800
91.020
85.580
77.490
71.290
53.220
1955
63.750
62.710
59.680
53.670
49.610
40.750
1956
55.700
54.680
52.380
50.060
47.080
33.150
1957
161.000
157.000
143.000
119.000
112.000
66.870
1958
169.000
166.000
151.000
129.000
115.000
66.050
1959
113.000
111.000
104.000
89.500
82.190
59.850
1960
140.000
137.000
128.000
116.000
106.000
67.850
1961
85.600
84.050
78.420
73.590
68.740
52.540
1962
68.250
67.010
62.160
56.550
56.250
42.300
1963
111.000
109.000
102.000
88.070
78.290
49.370
1964
107.000
105.000
96.260
90.100
86.820
60.240
1965
148.000
145.000
133.000
122.000
108.000
62.890
1966
109.000
107.000
100.000
94.900
87.020
71.590
1967
109.000
107.000
103.000
95.120
88.300
65.750
1968
112.000
111.000
108.000
101.000
94.220
67.920
1969
79.310
78.140
72.690
63.590
56.750
45.180
1970
98.620
96.960
90.130
76.970
69.270
50.640
1971
84.820
83.200
77.290
68.930
63.760
44.640
1972
93.450
91.590
84.920
79.580
74.520
48.020
1973
50.060
49.180
46.770
42.220
39.300
31.670
1974
63.840
62.890
58.230
49.290
46.990
34.390
1975
40.150
39.430
36.700
32.370
31.470
26.370
1976
54.370
53.310
49.600
45.990
43.700
33.380
1977
235.000
232.000
214.000
198.000
181.000
87.790
1978
67.640
66.730
63.140
56.240
52.850
40.150
1979
185.000
181.000
170.000
144.000
130.000
73.100
1980
84.110
82.580
78.420
70.970
64.470
53.390
1981
101.000
99.370
92.320
78.970
72.440
47.590
1982
107.000
105.000
102.000
96.830
92.650
59.920
1983
54.200
53.310
50.180
46.460
45.450
39.870
SORTED
FOR
PLOTTING
PROB
PEAK
96
HOUR
21
DAY
60
DAY
90
DAY
YEARLY
0.027
242.000
236.000
215.000
198.000
181.000
87.790
0.054
235.000
232.000
214.000
180.000
160.000
73.100
6
0.081
210.000
205.000
187.000
154.000
139.000
71.590
0.108
185.000
181.000
170.000
144.000
130.000
67.920
0.135
169.000
166.000
151.000
129.000
115.000
67.850
0.162
161.000
157.000
143.000
122.000
112.000
66.870
0.189
148.000
145.000
133.000
119.000
108.000
66.050
0.216
140.000
137.000
128.000
116.000
106.000
65.750
0.243
113.000
111.000
108.000
101.000
94.220
63.590
0.270
112.000
111.000
104.000
96.830
92.650
63.400
0.297
112.000
109.000
103.000
95.120
88.300
62.890
0.324
111.000
109.000
102.000
94.900
87.020
60.240
0.351
109.000
107.000
102.000
90.350
86.820
60.070
0.378
109.000
107.000
101.000
90.100
83.690
59.920
0.405
107.000
105.000
100.000
89.500
82.190
59.850
0.432
107.000
105.000
99.710
88.070
79.180
53.390
0.459
105.000
103.000
96.260
87.230
78.290
53.220
0.486
101.000
99.370
92.320
79.580
74.520
52.540
0.514
98.620
96.960
90.130
78.970
72.440
50.980
0.541
93.450
91.590
85.580
77.490
71.290
50.640
0.568
92.800
91.020
84.920
76.970
69.270
49.370
0.595
85.600
84.050
78.420
73.590
68.740
48.020
0.622
84.820
83.200
78.420
70.970
64.470
47.590
0.649
84.110
82.580
77.290
68.930
63.760
45.180
0.676
79.310
78.140
72.690
63.590
56.750
44.640
0.703
74.410
72.960
68.120
58.650
56.250
42.300
0.730
73.530
72.160
66.680
56.550
53.490
40.750
0.757
68.250
67.010
63.140
56.480
52.850
40.150
0.784
67.640
66.730
62.160
56.240
51.260
39.870
0.811
63.840
62.890
59.680
53.670
49.610
39.540
0.838
63.750
62.710
58.230
50.060
47.080
38.110
0.865
55.700
54.680
52.380
49.290
46.990
34.390
0.892
54.370
53.310
50.180
46.460
45.450
33.380
0.919
54.200
53.310
49.600
45.990
43.700
33.150
0.946
50.060
49.180
46.770
42.220
39.300
31.670
0.973
40.150
39.430
36.700
32.370
31.470
26.370
1/
10
192.500
188.200
175.100
147.000
132.700
69.021
MEAN
OF
ANNUAL
VALUES
=
52.559
STANDARD
DEVIATION
OF
ANNUAL
VALUES
=
14.081
UPPER
90%
CONFIDENCE
LIMIT
ON
MEAN
=
56.034
EEC
calculations:
FOR
Tees
and
Greens
Acute
EEC
=
(
1/
10
peak
value)(
Percent
area
for
Green
&
Tee)
=
(
192.5
µ
g/
L)(
0.04)
=
7.70
µ
g/
L
Non
cancer
Chronic
EEC
=(
1/
10
yearly
value)(
Percent
area
for
Green
&
Tee)
(
69.02
µ
g/
L)(
0.04)
=
2.76
µ
g/
L
Cancer
chronic
EEC
=
(
Mean
of
annual
value)(
Percent
area
for
Green
&
Tee)
(
52.56
µ
g/
L)(
0.04)
=
2.10
µ
g/
L
7
FOR
Fairways
Acute
EEC
=
(
1/
10
peak
value)(
Percent
area
for
Fairway)
=
(
192.5
µ
g/
L)(
0.23)
=
44.28
µ
g/
L
Non
cancer
Chronic
EEC
=(
1/
10
yearly
value)(
Percent
area
for
FAirways)
(
69.02
µ
g/
L)(
0.23)
=
15.87
µ
g/
L
Cancer
chronic
EEC
=
(
Mean
of
annual
value)(
Percent
area
for
Fairways)
(
52.56
µ
g/
L)(
0.23)
=
12.08
µ
g/
L
FOR
Roughs
Acute
EEC
=
(
1/
10
peak
value)(
Percent
area
for
Roughs)
=
(
192.5
µ
g/
L)(
0.67)
=
128.65
µ
g/
L
Non
cancer
Chronic
EEC
=(
1/
10
yearly
value)(
Percent
area
for
Rough)
(
69.02
µ
g/
L)(
0.67)
=
46.24
µ
g/
L
Cancer
chronic
EEC
=
(
Mean
of
annual
value)(
Percent
area
for
Rough)
(
52.56
µ
g/
L)(
0.67)
=
35.22
µ
g/
L
| epa | 2024-06-07T20:31:45.217449 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0009/content.txt"
} |
EPA-HQ-OPP-2002-0309-0010 | Supporting & Related Material | 2002-12-03T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
HED
DOC.
NO.
014469
DATE:
February
8,
2001
MEMORANDUM
SUBJECT:
Oxadiazon
Report
of
the
Hazard
Identification
Assessment
Review
Committee.
FROM:
Nancy
E.
McCarroll,
Toxicologist
Toxicology
Branch
1
Health
Effects
Division
(
7509C)
THROUGH:
Jess
Rowland,
Co
Chair
and
Elizabeth
Doyle,
Co
Chair
Hazard
Identification
Assessment
Review
Committee
Health
Effects
Division
(
7509C)
TO:
Seyed
Tadayan,
Chemist
Chemistry
and
Exposure
Branch
I
Health
Effects
Division
(
7509C)
PC
Code:
109001
On
December
7,
2000,
the
Health
Effects
Division
(
HED)
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
reviewed
the
recommendations
of
the
toxicology
reviewer
for
Oxadiazon
with
regard
to
the
acute
and
chronic
Reference
Doses
(
RfDs)
and
the
toxicological
endpoint
selection
for
use
as
appropriate
in
occupational/
residential
exposure
risk
assessments.
The
potential
for
increased
susceptibility
of
infants
and
children
from
exposure
to
Oxadiazon
was
also
evaluated
as
required
by
the
Food
Quality
Protection
Act
(
FQPA)
of
1996.
The
conclusions
drawn
at
this
meeting
are
presented
in
this
report.
Page
2
Committee
Members
in
Attendance
Members
present
were:
William
Burnam,
Pamela
Hurley,
David
Nixon,
Jess
Rowland,
Brenda
Tarplee,
and
Yung
Yang,
Member(
s)
in
absentia:
Elizabeth
Doyle
and
Elizabeth
Mendez
Data
evaluation
prepared
by:
Linnea
Hansen/
Nancy
E.
McCarroll,
Toxicologist
Branch
1
Also
in
attendance
were:
Ayaad
Assad,
Mike
Ioannou,
Alberto
Protzel,
Seyed
Tadayan
(
HED)
Jonathan
Chen
(
AD),
Veronique
La
Capra
(
SRRD)
Data
Evaluation
/
Report
Presentation:
December
7,
2000
Linnea
Hansen/
Nancy
E.
McCarroll
Toxicologists
Page
3
1.
INTRODUCTION
On
December
7,
2000,
the
Health
Effects
Division
(
HED)
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
reviewed
the
recommendations
of
the
toxicology
reviewer
for
Oxadiazon
with
regard
to
the
acute
and
chronic
Reference
Doses
(
RfDs)
and
the
toxicological
endpoint
selection
for
use
as
appropriate
in
occupational/
residential
exposure
risk
assessments.
The
potential
for
increased
susceptibility
of
infants
and
children
from
exposure
to
Oxadiazon
was
also
evaluated
as
required
by
the
Food
Quality
Protection
Act
(
FQPA)
of
1996.
Oxadiazon,
5
term
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
1,3,4
oxadiazol
2
one,
is
a
selective
pre
emergent
and
early
post
emergence
herbicide
that
is
effective
primarily
for
the
control
of
annual
grasses
and
broadleaf
weeds
in
turf.
Most
of
the
usage
is
allocated
to
golf
courses.
The
trade
name
for
Oxadiazon
in
the
U.
S.
is
Ronstar.
The
mechanism
of
action
is
contact
inhibition
by
affecting
young
shoots
as
they
grow
through
the
treated
zone
(
pre
emergence)
and
complete
coverage
(
postemergence
Oxadiazon
destroys
cell
membranes
and
inhibits
photosynthesis,
probably
by
generating
oxidizing
radicals
in
light.
It
is
a
powerful
inhibitor
of
plant,
yeast
and
mouse
protoporphyrinogen
oxidase,
an
enzyme
critical
in
the
biosynthesis
of
chlorophyll
and
heme
(
Matringe
et
al.,
1989).
Oxadiazon
has
no
food
or
feed
uses.
There
are
currently
16
tolerances
in
CFR
180.346;
however,
the
registrant
will
delete
these
uses
so
that
the
tolerances
can
be
revoked.
The
Registrant
is
now
supporting
use
of
Oxadiazon
on
golf
courses,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries.
Oxadiazon
has
the
following
structure:
Empirical
Formula:
C
15
H
18
Cl
2
N
2
O
3
Molecular
Weight:
345.22
Melting
Point:
88
90
C
Boiling
Point:
Not
applicable
(
Oxadiazon
is
a
solid)
Density:
20
C
Vapor
Pressure
at
20
C:
<
1
x
10
6
mm
Hg
Water
Solubility:
0.7
mg/
L
at
20
C
Log
Kow:
4.8
CAS
Number:
19666
30
9
Page
4
2.
HAZARD
IDENTIFICATION
2.1
Acute
Reference
Dose
(
RfD)
Not
required
since
there
are
no
food
or
feed
or
anticipated
food
or
feed
uses
for
this
pesticide.
2.2
Chronic
Reference
Dose
(
RfD)
Not
required
since
there
are
no
food
or
feed
or
anticipated
food
or
feed
uses
for
this
pesticide.
2.3
Occupational/
Residential
Exposure
2.3.1
Short
Term
(
1
7
days)
Incidental
Oral
Exposure
Study
Selected:
Developmental
Toxicity
in
Rats
Guideline
#:
870.3700;
83
3a
MRID
No.:
40470202
Executive
Summary:
In
a
developmental
toxicity
study
(
MRID
40470202),
Oxadiazon
technical
(
96.3%)
was
administered
daily
by
gavage
in
10
ml
1%
aqueous
methylcellulose
vehicle/
kg
body
weight
from
Gestation
Days
6
through
15
to
groups
of
20
pregnant
Sprague
Dawley
rats
per
dose
at
0,
3,
12
or
40
mg/
kg/
day.
Pregnant
females
were
examined
daily
for
signs
of
toxicity
and
body
weights
were
measured
on
Gestation
Days
0,
3,
6,
daily
through
Day
16
and
on
Days
18
and
20.
Dams
were
sacrificed
on
Day
20
and
uterine
contents
were
examined.
Very
little
maternal
toxicity
was
observed
at
any
dose.
Small
but
statistically
significant
decreases
in
body
weight
(
2%
less
than
controls)
and
body
weight
gain
(
10%)
in
the
highdose
females
at
Days
16
20
were
possibly
due
to
resorptions
of
fetuses
(
decreased
maternal
body
weights
also
observed
at
40
mg/
kg/
day
in
the
range
finding
study).
The
maternal
toxicity
LOAEL
is
40
mg/
kg/
day,
based
on
slightly
decreased
body
weight/
weight
gain.
The
maternal
toxicity
NOAEL
is
12
mg/
kg/
day.
Treatment
related
fetal
toxicity
at
40
mg/
kg/
day
included:
slightly,
not
statistically
significantly
increased
fetal
resorptions
(
0.7/
dam
vs.
0.4/
dam,
controls)
and
post
implantation
loss
(
12.5%
vs.
8.2%,
controls),
and
significantly
decreased
body
weight
(
4.5%
less
than
controls).
Developmental
effects
at
40
mg/
kg/
day
were
confined
to
increased
incidence
of
incomplete
ossification,
primarily
in
skull
and
vertebral
bones.
No
effects
were
seen
at
lower
doses.
No
treatment
related
malformations
were
observed
at
the
doses
tested.
Fetal
effects
seen
in
this
study
are
considered
treatment
related
based
on
the
steep
dose
response
curve
(
for
fetal
loss
and
decreased
fetal
weight)
between
20
60
mg/
kg/
day
in
the
preliminary
rangefinding
study.
In
the
range
finding
study,
which
tested
at
10,
20,
40,
60
or
80
mg/
kg/
day
(
6
dams/
dose
group),
no
maternal
or
developmental
toxicity
was
observed
at
10
or
20
Page
5
mg/
kg/
day.
However,
at
40
mg/
kg/
day,
a
mean
fetal
resorption
rate
of
40%
(
53
100%
in
3/
6
dams)
was
observed,
increasing
to
80
90%
at
60
and
80
mg/
kg/
day.
Weights
of
surviving
fetuses
were
decreased.
Decreased
maternal
weights
were
also
observed
at
40
mg/
kg/
day
and
were
usually
correlated
with
the
increased
litter
resorption.
Therefore,
the
effects
seen
at
40
mg/
kg/
day
in
the
main
study
are
considered
a
threshold
response
for
Oxadiazon
under
the
conditions
of
the
main
study.
The
developmental
toxicity
LOAEL
is
40
mg/
kg/
day,
based
on
increased
fetal
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification.
The
developmental
toxicity
NOAEL
is
12
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
developmental
toxicity
study
(
83
3a)
in
the
rat.
Dose
and
Endpoint
for
Risk
Assessment:
NOAEL
for
maternal
effects
=
12
mg/
kg/
day.
LOAEL
=
40
mg/
kg/
day
based
on
slight
decrease
in
body
weight/
body
weight
gain
at
Days
16
20.
Comments
about
Study/
Endpoint/
Uncertainty
Factor(
s):
This
dose
and
endpoint
were
considered
appropriate
because
the
critical
effect
(
body
weight
decrements)
occurred
during
the
treatment
period
(
Gestation
Days
16
20)
which
encompasses
the
exposure
period
of
concern
(
1
7
days)
and
is
appropriate
for
the
population
of
concern
(
infants
and
children).
2.3.2
Intermediate
Term
(
7
Days
to
Several
Months)
Incidental
Oral
Exposure
Study
Selected:
Developmental
Toxicity
in
Rats
Guideline
#:
870.3700;
83
3a
MRID
No.:
40470202
Executive
Summary:
See
Short
term
(
1
7
Days)
Incidental
Oral
Exposure
Dose
and
Endpoint
for
Risk
Assessment:
NOAEL
for
maternal
effects
=
12
mg/
kg/
day.
LOAEL
=
40
mg/
kg/
day
based
on
slight
decrease
in
body
weight/
body
weight
gain
at
Days
16
20.
Comments
about
Study/
Endpoint:
The
dose
and
endpoint
were
considered
appropriate
because
the
NOAEL
in
the
90
day
studies
were
higher
than
the
NOAEL
of
this
study.
The
NOAEL
from
the
developmental
study
was
selected
because
the
lower
maternal
NOAEL
may
reflect
greater
sensitivity
of
the
pregnant
rat.
2.3.3
Dermal
Absorption
Dermal
Absorption
Factor:
9%
from
the
dermal
penetration
study
(
10
hour
reading)
MRID
No.:
44588101
Page
6
Executive
Summary:
In
a
dermal
penetration
study
(
MRID
44588101),
14C
Oxadiazon
(
Lot
No.
GXR
396A
99.6%
radiochemical
purity,
mixed
with
unlabeled
Oxadiazon
technical,
96%
a.
i.)
in
1%
aqueous
carboxymethyl
cellulose
was
administered
dermally
to
groups
of
24
male
Sprague
Dawley
rats/
dose
at
5.45,
39.2
or
523
g/
cm2
for
exposure
durations
of
0.5,
1,
2,
4,
10
or
24
hours
per
dose
(
4
rats/
exposure
time).
Urine
and
feces
were
collected;
skin
was
excised
and
blood,
residual
urine
and
carcasses
were
collected
and
analyzed.
Recovery
of
radioactivity
ranged
from
83.2%
to
106%
of
administered
dose.
The
quantity
of
Oxadiazon
in
washed
skin
during
the
exposure
phase
ranged
from
0.06
0.38,
0.59
3.31
or
2.88
15.32
g/
cm2
at
the
low,
mid
or
high
dose,
respectively.
As
a
percentage
of
the
administered
dose,
these
were
equivalent
to
1.09%
6.89%,
1.50%
8.45%
or
0.55%
2.93%
(
low
to
high
dose,
respectively).
In
general,
the
amount
of
absorbed
test
material
was
not
detectable
during
the
first
2
hours
of
exposure.
Absorption
(
g/
cm2)
was
low
throughout
exposure
and
ranged
from
0.06
0.6,
0.05
2.00
or
0.05
2.62
g/
cm2
(
low
to
high
dose,
respectively)
at
4
to
24
hours;
as
a
percent
of
the
administered
dose,
these
were
equivalent
to
1.11%
11.0%,
0.39%
5.11%
or
0.01%
0.50%,
respectively.
The
percent
of
test
material
on/
or
bound
to
the
skin
and
the
percent
absorbed
at
10
hours
was
6.05%
and
2.65%
(
5.45
g/
cm2),
4.71%
and
0.63%
(
39.2
g/
cm2),
and
1.03%
and
0.05%
(
523
g/
cm2),
respectively.
Since
the
percent
of
dose
absorbed
decreased
with
increasing
dose
and
the
quantity
absorbed
was
essentially
the
same,
the
results
indicate
that
absorption
but
not
dermal
uptake
was
saturated
at
39.2
and
523
g/
cm2.
Consequently,
the
percent
bound
to
the
skin
and
the
percent
absorbed
in
a
10
hour
period
is
6.05
and
2.65
%,
respectively.
For
the
purposes
of
risk
assessment,
the
sum
of
both
is
8.70%.
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
dermal
penetration
study
(
85
3)
in
the
rat.
Comments
about
Dermal
Absorption:
None
2.3.4
Short
Term
Dermal
(
1
7
days)
Exposure
Study
Selected:
Developmental
Toxicity
in
Rats
Guideline
#:
870.3700;
83
3a
MRID
No.:
40470202
Executive
Summary:
See
Short
term
(
1
7
Days)
Incidental
Oral
Exposure
Dose
and
Endpoint
for
Risk
Assessment:
NOAEL
for
developmental
effects
=
12
mg/
kg/
day.
LOAEL
=
40
mg/
kg/
day
based
on
increased
fetal
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification.
Comments
about
Study/
Endpoint:
A
dermal
study
was
submitted
in
which
no
systemic
effects
were
seen
up
to
the
limit
dose.
However,
since
dermal
studies
do
not
evaluate
developmental
effects
and
there
is
a
concern
for
increased
susceptibility
of
the
fetus
to
the
test
compound,
Page
7
the
Committee
decided
that
the
rat
developmental
study
was
more
appropriate
to
set
the
dermal
endpoint
in
conjunction
with
a
dermal
absorption
factor.
2.3.5
Intermediate
Term
Dermal
(
7
Days
to
Several
Months)
Exposure
Study
Selected:
Developmental
Toxicity
in
Rats
Guideline
#:
870.3700;
83
3a
MRID
No.:
40470202
Executive
Summary:
See
Short
term
Incidental
Oral
Exposure
Dose
and
Endpoint
for
Risk
Assessment:
See
Short
term
Incidental
Dermal
Exposure
Comments
about
Study/
Endpoint:
See
Comments
for
Short
Term
Dermal
Study/
Endpoint.
2.3.6
Long
Term
Dermal
(
Several
Months
to
Life
Time)
Exposure
Studies
Selected:
Combined
Chronic
Feeding/
Oncogenicity
Rat
Guideline
870.4300/
[
83
5]
MRID
Nos:
(
1)
40993401
(
2)
00149003/
00157780
Executive
Summary:
In
a
chronic/
oncogenicity
toxicity
study
(
MRID
No.
40993401),
Oxadiazon
(
95.9%)
was
administered
to
SPF
Wistar
rats
(
80/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.106,
0.36,
3.5
or
39
mg/
kg/
day
for
males
or
0,
0.131,
0.44,
4.2
or
44
mg/
kg/
day
for
females)
for
104
weeks.
Clinical
signs
were
monitored
daily.
Body
weights
were
determined
weekly
for
the
first
26
weeks
and
biweekly,
thereafter;
food
consumption
was
determined
weekly
for
20
rats/
group.
Groups
of
8
rats/
sex/
group
were
sacrificed
at
weeks
26,
52
and
78
and
10
animals/
sex/
group
at
104
weeks
were
subjected
to
hematology,
biochemistry
and
urinalysis
examinations.
All
80
rats/
sex/
dose
were
reportedly
examined
for
histopathology.
Dose
selection
was
based
on
a
preliminary
4
week
range
finding
study
with
10,
100,
1000
or
3000
ppm.
At
1000
and
3000
ppm,
signs
of
toxicity
included:
anemia
(
males
both
groups;
females
3000
ppm,
only),
effects
on
biochemical
parameters
associated
with
hepato
renal
disorders
(
increased
GOT,
GPT,
ALP,
BUN,
total
cholesterol
and/
or
urobilinogen),
and
liver
and
kidney
weight
changes
accompanied
by
a
dark
color.
There
were
no
adverse
effects
on
mortality,
clinical
signs
or
food
consumption.
Treatment
related
effects
included:
decreased
body
weight
gain
for
high
dose
males
generally
throughout
the
study;
statistically
significant
body
weight
losses
(
8.9%)
were
reported
for
the
10
and
1000
ppm
females
only
at
study
termination.
Hematological
parameters
significantly
affected
were:
decreased
hematocrit
and
hemoglobin
(
high
dose
males
at
week
26)
and
decreased
mean
corpuscular
volume
and
mean
corpuscular
hemoglobin
(
high
dose
males
at
weeks
26,
Page
8
78
and
104).
There
were
no
consistent
hematological
effects
in
the
females.
The
generalized
changes
in
the
blood
elements
of
male
rats
are
indicative
of
anemia
which
was
most
evident
at
week
26.
Significantly
affected
clinical
chemistry
parameters
included:
increased
LDH,
ALP,
GOT,
GPT,
total
and
direct
bilirubin
and
total
cholesterol
for
high
dose
males
at
week
26;
no
toxicologically
significant
effects
were
seen
in
the
females
of
any
dose
group.
At
1000
ppm,
males
also
showed
increased
urobilinogen
at
week
26.
Increased
liver
weights
were
seen
in
high
dose
males
and
females
throughout
the
study
and
statistically
significant
increases
in
kidneys
(
both
sexes)
and
testis
(
males)
were
also
consistently
seen
at
1000
ppm.
Nonneoplastic
pathology
in
the
liver
at
1000
ppm
included:
centrilobular
hepatocellular
swelling
(
and
)
;
acidophilic
foci
of
cellular
alteration
(
)
;
brown
pigmentation
in
the
liver
(
and
)
;
and
bile
duct
proliferation
(
)
.
At
100
ppm,
centrilobular
hepatocellular
swelling
was
also
seen
in
the
males.
Brown
pigmentation
in
the
proximal
tubular
cells
and
in
cortical
interstitial
tissue
(
and
)
;
and
chronic
nephropathy
(
)
were
also
recorded
for
the
kidneys
of
high
dose
rats.
The
LOAEL
is
100
ppm
(
3.5
mg/
kg/
day)
based
on
centrilobular
swelling
in
the
male
rat
livers;
the
NOAEL
is
10
ppm
(
0.36
mg/
kg/
day).
Neoplastic
findings
were:
increased
incidence
of
liver
adenomas
in
males
at
100
(
p<
0.05)
and
1000
ppm
(
p<
0.010);
liver
carcinomas
were
also
increased
at
1000
ppm
in
both
sexes
but
not
significantly.
The
pathology
report
for
this
chronic/
carcinogenicity
study
in
the
rat
was
considered
incomplete;
thus,
the
overall
study
was
listed
as
Supplementary.
At
this
time,
no
additional
information
is
being
requested
because
the
results
are
consistent
with
an
acceptable
rat
chronic/
carcinogenicity
study
(
MRID
No.
0014003/
00157780)
that
satisfies
the
guideline
requirement.
Similarly,
the
presence
of
liver
neoplasms
confirms
the
evidence
of
a
carcinogenic
effect
seen
in
MRID
No.
0014003/
00157780.
Using
the
more
recent
terminology,
the
study
is
now
listed
as
Unacceptable/
guideline
(
MRID
No.
40993401).
Executive
Summary:
In
a
chronic/
carcinogenicity
toxicity
study
(
00149003/
00157780),
Oxadiazon
(
99.9%)
was
administered
to
Fischer
344
rats
(
76/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
10,
100,
1000
or
3000
ppm
(
mean
consumption
per
group:
equivalent
to
0,
0.5,
4.8,
50.9
or
163.1
mg/
kg/
day
for
males
or
0,
0.6,
5.9,
60.9
or
192.7
mg/
kg/
day
for
females)
for
24
months.
Parameters
examined
included:
(
1)
twice
daily
observations,
(
2)
weekly
body
weights
and
food
consumption,
(
3)
ophthalmic
examinations
(
all
animals
at
pretest
and
10
rats/
group
at
6,
12
and
24
months),
(
4)
standard
hematology,
clinical
chemistry
and
urinalysis
(
10
rats/
group
at
6,
12
and
24
months),
and
(
5)
gross
necropsy,
organ
weights
and
histology
(
10
rats/
group
at
6
and
12
months
and
all
survivors
at
24
months).
There
were
no
effects
on
mortality.
At
1000
and
3000
ppm,
clinical
signs
included
emaciation,
anemia
and
brown
colored
urine;
ophthalmic
examinations
revealed
narrowing
of
the
fundus
vasculature
(
at
1000
ppm
and
both
sexes
at
3000
ppm).
Significant
decreases
(
p<
0.05
0.001)
in
body
weight
gain
were
apparent
in
rats
of
both
sexes
receiving
1000
or
3000
ppm
and
significant
decreases
in
food
consumption
were
recorded
for
both
sexes
Page
9
starting
at
week
3
(
males)
and
week
6
(
females).
Consistent
hematological
findings
indicative
of
anemia
at
3000
ppm
(
both
sexes)
were:
significantly
decreases
erythrocyte
counts,
hematocrit,
hemoglobin,
mean
corpuscular
volume,
mean
corpuscular
hemoglobin
and
mean
corpuscular
hemoglobin
concentration.
Anemia
was
also
present
in
males
at
1000
ppm
and
appeared
to
be
less
severe
in
females.
Adverse
effects
on
urinalysis
parameters
were
confined
to
the
two
highest
dose
groups
(
both
sexes)
and
included:
urine
color,
strongly
positive
bilirubin
and
urobilinogen.
Significantly
affected
clinical
chemistry
parameters
included:
reduced
glucose
levels
(
1000
ppm
at
6
and
12
months;
3000
ppm
at
6
months);
increased
total
protein
(
consistent
effect
only
in
the
at
100
ppm
and
generally
at
all
sampling
intervals);
increased
total
cholesterol
(
at
1000
ppm
and
both
sexes
at
3000
ppm)
and
increased
bilirubin
(
1000
ppm
at
6
and
12
months;
3000
ppm
at
6
months).
In
addition,
significant
increases
in
GOT,
GPT,
AP
and
BUN
generally
correlated
well
with
liver
morphological
changes
at
1000
ppm
(
)
.
Similarly,
increased
absolute
and
relative
liver
and
kidney
weights
at
1000
ppm
(
both
sexes)
correlated
well
with
liver
and
kidney
histopathology
effects.
At
termination,
Oxadiazon
also
induced
increased
absolute
and
relative
liver
weights
at
100
ppm
(
)
.
Non
neoplastic
pathology
included:
hepatocyte
changes
consisting
of
progressive
alterations
from
hypertrophy
through
fatty
changes
to
necrosis
were
noted
in
males
receiving
1000
and
3000
ppm
and
females
receiving
3000
ppm.
Other
nonneoplastic
changes
noted
in
both
sexes
were:
pigmented
nephrosis
and
fat
replacement
in
the
pancreas
at
1000
ppm
and
basophilic
changes
in
the
adrenal
glands
at
3000
ppm.
The
LOAEL
is
100
ppm
(
5
mg/
kg/
day)
based
on
increased
absolute
liver
weights
in
males
and
females
and
increased
total
serum
protein
in
females.
The
NOAEL
is
10
ppm
(
0.5
mg/
kg/
day).
Neoplastic
findings
were:
increased
incidences
of
benign
and
malignant
liver
tumors
in
males
at
1000
and
3000
ppm
after
prolonged
exposure
to
hepatotoxic
doses.
In
addition,
there
was
no
decrease
in
latency
for
liver
neoplasia.
This
chronic/
carcinogenicity
study
in
the
rat
is
Acceptable
(
Guideline)
and
satisfies
the
guideline
requirement
for
a
combined
chronic/
carcinogenicity
study
(
83
5)
in
the
rat
(
MRID
Nos.
00149003
[
main
study]/
MRID
00157780
[
additional
data]).
Dose
and
Endpoint
for
Risk
Assessment:
NOAEL
=
0.36
mg/
kg/
day.
LOAEL
=
3.5
mg/
kg/
day
based
on
centrilobular
swelling
in
the
male
rat
livers.
Comments
about
Study/
Endpoint:
The
pathology
report
for
the
selected
chronic/
carcinogenicity
study
in
the
rat
was
considered
incomplete
and
the
overall
study
was
listed
as
Supplementary
(
Unacceptable).
However,
no
additional
information
is
being
requested
because
the
results
are
consistent
with
an
acceptable
rat
chronic/
carcinogenicity
study
(
MRID
No.
0014003/
00157780).
This
study
was
chosen
by
IRIS
in
1986
to
set
the
chronic
RfD
for
Oxadiazon.
The
NOAEL
and
LOAEL
for
this
study
was
0.5
and
5
mg/
kg/
day,
respectively,
based
on
increased
liver
weights
in
both
sexes
and
increased
serum
protein
in
females.
Thus,
the
findings
from
MRID
No.
0014003/
00157780
support
the
selected
NOAEL
and
LOAEL.
In
addition,
liver
neoplasms
in
males
were
present
in
both
Page
10
studies
and
confirms
the
evidence
of
a
carcinogenic
effect.
While
both
studies
were
in
good
agreement,
the
study
selected
for
this
endpoint
(
MRID
No.
40993401)
is
considered
Unacceptable.
The
HIARC
concluded,
however,
that
in
combination
with
the
Acceptable
study
used
by
IRIS
and
within
the
context
of
the
entire
database,
MRID
No.
40993401
was
Acceptable
for
endpoint
selection.
Additionally,
since
an
oral
NOAEL
was
selected
for
this
risk
assessment,
the
dermal
absorption
factor
should
be
used
for
route
to
route
extrapolation.
2.3.7
Inhalation
Exposure
(
All
Durations)
Studies
Selected:
Short
and
Intermediate
Term:
Developmental
Oral
Study
in
Rats
(
MRID
No.
40470202)
NOAEL
=
12
mg/
kg/
day
Executive
Summary:
See
Short
term
Incidental
Oral
Exposure
Long
Term:
Combined
Chronic
Feeding
/
Oncogenicity
in
Rats
(
MRID
Nos.
40993401
and
0014003/
00157780)
NOAEL
=
0.36
mg/
kg/
day
Executive
Summaries:
See
Long
Term
Dermal
(
Several
Months
to
Life
Time)
Exposure
Comments
about
Study/
Endpoint:
With
the
exception
of
an
acute
inhalation
study
(
MRID
No.
41866503)
in
which
Oxadiazon
was
placed
in
Category
III
(
LC
50
>
1.94
mg/
L),
no
other
inhalation
studies
are
available
for
this
risk
assessment.
Consequently,
the
HIARC
recommended
the
submission
of
a
28
day
inhalation
toxicity
study.
Until
that
time,
the
HIARC
recommended
using
route
to
route
extrapolation
since
the
doses
identified
for
the
short
and
intermediate
term
and
for
the
long
term
inhalation
exposures
are
from
oral
studies.
The
following
route
to
route
extrapolation
steps
should
be
followed:
Step
1:
Convert
the
inhalation
exposure
(
g/
lb
a.
i.)
using
a
100%
inhalation
absorption
rate
(
default
value),
application
rate
and
acres
treated
to
an
oral
equivalent
dose
(
mg/
kg/
day).
Step
2:
Convert
the
dermal
exposure
(
mg/
kg/
day)
using
9%
as
the
dermal
absorption
rate,
application
rate
and
acres
treated
to
an
oral
equivalent
dose
(
mg/
kg/
day).
This
dose
should
be
combined
with
the
converted
oral
dose
in
Step
1.
Step
3:
To
calculate
the
MOE's,
the
combined
dose
from
Step
II
should
be
compared
to
the
oral
NOAEL
of
12
mg/
kg/
day
for
the
Short
and
Intermediate
term
exposure
scenarios
and
to
the
oral
NOAEL
of
0.36
mg/
kg/
day
for
the
Long
term
exposure
scenarios.
Page
11
2.3.8
Margins
of
Exposure
for
Occupational/
Residential
Risk
Assessments
There
are
no
food
or
feed
uses
of
Oxadiazon.
For
nonoccupational
and
occupational
exposure
risk
assessments,
a
MOE
of
100
is
required
for
dermal
and
inhalation
exposures.
The
Registrant
is
now
supporting
use
of
Oxadiazon
on
golf
courses,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries.
Many
of
these
sites,
including
golf
courses
are
considered
a
residential
use
with
respect
to
the
post
application
risk
assessment.
2.4
Recommendation
for
Aggregate
Exposure
Risk
Assessments
Since
there
are
no
food
uses,
aggregate
exposure
will
be
limited
to
combining
the
dermal
and
inhalation
exposure
components
since
oral
equivalents
were
selected.
3
CLASSIFICATION
OF
CARCINOGENIC
POTENTIAL
3.1
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
Rats
Guideline
#:
870.4300/
[
83
5]
MRID
No.:
00149003/
00157780
Executive
Summary:
In
a
chronic/
carcinogenicity
toxicity
study
(
00149003/
00157780),
Oxadiazon
(
99.9%)
was
administered
to
Fischer
344
rats
(
76/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
10,
100,
1000
or
3000
ppm
(
mean
consumption
per
group:
equivalent
to
0,
0.5,
4.8,
50.9
or
163.1
mg/
kg/
day
for
males
or
0,
0.6,
5.9,
60.9
or
192.7
mg/
kg/
day
for
females)
for
24
months.
Parameters
examined
included:
(
1)
twice
daily
observations,
(
2)
weekly
body
weights
and
food
consumption,
(
3)
ophthalmic
examinations
(
all
animals
at
pretest
and
10
rats/
group
at
6,
12
and
24
months),
(
4)
standard
hematology,
clinical
chemistry
and
urinalysis
(
10
rats/
group
at
6,
12
and
24
months),
and
(
5)
gross
necropsy,
organ
weights
and
histology
(
10
rats/
group
at
6
and
12
months
and
all
survivors
at
24
months).
There
were
no
effects
on
mortality.
At
1000
and
3000
ppm,
clinical
signs
included
emaciation,
anemia
and
brown
colored
urine;
ophthalmic
examinations
revealed
narrowing
of
the
fundus
vasculature
(
at
1000
ppm
and
both
sexes
at
3000
ppm).
Significant
decreases
(
p<
0.05
0.001)
in
body
weight
gain
were
apparent
in
rats
of
both
sexes
receiving
1000
or
3000
ppm
and
significant
decreases
in
food
consumption
were
recorded
for
both
sexes
starting
at
week
3
(
males)
and
week
6
(
females).
Consistent
hematological
findings
indicative
of
anemia
at
3000
ppm
(
both
sexes)
were:
significantly
decreases
erythrocyte
counts,
hematocrit,
hemoglobin,
mean
corpuscular
volume,
mean
corpuscular
hemoglobin
and
mean
corpuscular
hemoglobin
concentration.
Anemia
was
also
present
in
males
at
1000
ppm
and
appeared
to
be
less
severe
in
females.
Adverse
effects
on
urinalysis
parameters
were
confined
to
the
two
highest
dose
groups
(
both
sexes)
and
included:
urine
color,
strongly
positive
bilirubin
and
urobilinogen.
Significantly
affected
clinical
chemistry
parameters
included:
reduced
glucose
levels
(
1000
ppm
at
6
and
12
months;
3000
ppm
at
6
months);
increased
total
protein
(
consistent
effect
only
in
the
at
100
ppm
and
generally
at
all
Page
12
sampling
intervals);
increased
total
cholesterol
(
at
1000
ppm
and
both
sexes
at
3000
ppm)
and
increased
bilirubin
(
1000
ppm
at
6
and
12
months;
3000
ppm
at
6
months).
In
addition,
significant
increases
in
GOT,
GPT,
AP
and
BUN
generally
correlated
well
with
liver
morphological
changes
at
1000
ppm
(
)
.
Similarly,
increased
absolute
and
relative
liver
and
kidney
weights
at
1000
ppm
(
both
sexes)
correlated
well
with
liver
and
kidney
histopathology
effects.
At
termination,
Oxadiazon
also
induced
increased
absolute
and
relative
liver
weights
at
100
ppm
(
)
.
Non
neoplastic
pathology
included:
hepatocyte
changes
consisting
of
progressive
alterations
from
hypertrophy
through
fatty
changes
to
necrosis
were
noted
in
males
receiving
1000
and
3000
ppm
and
females
receiving
3000
ppm.
Other
nonneoplastic
changes
noted
in
both
sexes
were:
pigmented
nephrosis
and
fat
replacement
in
the
pancreas
at
1000
ppm
and
basophilic
changes
in
the
adrenal
glands
at
3000
ppm.
The
LOAEL
is
100
ppm
(
5
mg/
kg/
day)
based
on
increased
absolute
liver
weights
in
males
and
females
and
increased
total
serum
protein
in
females.
The
NOAEL
is
10
ppm
(
0.5
mg/
kg/
day).
Discussion
of
Tumor
Data:
Neoplastic
findings
were:
increased
incidences
of
benign
and
malignant
liver
tumors
in
males
at
1000
and
3000
ppm
after
prolonged
exposure
to
hepatotoxic
doses.
In
addition,
there
was
no
decrease
in
latency
for
liver
neoplasia.
Adequacy
of
the
Dose
Levels
Tested:
Dosing
was
considered
adequate
in
males
and
in
females
and
the
data
support
a
presumption
that
the
maximum
tolerated
dose
(
MTD)
lies
between
100
and
1000
ppm.
This
chronic/
carcinogenicity
study
in
the
rat
is
Acceptable
(
Guideline)
and
satisfies
the
guideline
requirement
for
a
combined
chronic/
carcinogenicity
study
(
83
5)
in
the
rat
(
MRID
Nos.
00149003
[
main
study]/
MRID
00157780
[
additional
data]).
MRID
No.:
40993401
Executive
Summary:
In
a
chronic/
oncogenicity
toxicity
study
(
MRID
No.
40993401),
Oxadiazon
(
95.9%)
was
administered
to
SPF
Wistar
rats
(
80/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.106,
0.36,
3.5
or
39
mg/
kg/
day
for
males
or
0,
0.131,
0.44,
4.2
or
44
mg/
kg/
day
for
females)
for
104
weeks.
Clinical
signs
were
monitored
daily.
Body
weights
were
determined
weekly
for
the
first
26
weeks
and
biweekly,
thereafter;
food
consumption
was
determined
weekly
for
20
rats/
group.
Groups
of
8
rats/
sex/
group
were
sacrificed
at
weeks
26,
52
and
78
and
10
animals/
sex/
group
at
104
weeks
were
subjected
to
hematology,
biochemistry
and
urinalysis
examinations.
All
80
rats/
sex/
dose
were
reportedly
examined
for
histopathology.
Dose
selection
was
based
on
a
preliminary
4
week
range
finding
study
with
10,
100,
1000
or
3000
ppm.
At
1000
and
3000
ppm,
signs
of
toxicity
included:
anemia
(
males
both
groups;
females
3000
ppm,
only),
effects
on
biochemical
parameters
associated
with
hepato
renal
disorders
(
increased
GOT,
GPT,
ALP,
BUN,
total
cholesterol
and/
or
urobilinogen),
and
liver
and
kidney
weight
changes
accompanied
by
a
dark
color.
Page
13
There
were
no
adverse
effects
on
mortality,
clinical
signs
or
food
consumption.
Treatment
related
effects
included:
decreased
body
weight
gain
for
high
dose
males
generally
throughout
the
study;
statistically
significant
body
weight
losses
(
8.9%)
were
reported
for
the
10
and
1000
ppm
females
only
at
study
termination.
Hematological
parameters
significantly
affected
were:
decreased
hematocrit
and
hemoglobin
(
high
dose
males
at
week
26)
and
decreased
mean
corpuscular
volume
and
mean
corpuscular
hemoglobin
(
high
dose
males
at
weeks
26,
78
and
104).
There
were
no
consistent
hematological
effects
in
the
females.
The
generalized
changes
in
the
blood
elements
of
male
rats
are
indicative
of
anemia
which
was
most
evident
at
week
26.
Significantly
affected
clinical
chemistry
parameters
included:
increased
LDH,
ALP,
GOT,
GPT,
total
and
direct
bilirubin
and
total
cholesterol
for
high
dose
males
at
week
26;
no
toxicologically
significant
effects
were
seen
in
the
females
of
any
dose
group.
At
1000
ppm,
males
also
showed
increased
urobilinogen
at
week
26.
Increased
liver
weights
were
seen
in
high
dose
males
and
females
throughout
the
study
and
statistically
significant
increases
in
kidneys
(
both
sexes)
and
testis
(
males)
were
also
consistently
seen
at
1000
ppm.
Nonneoplastic
pathology
in
the
liver
at
1000
ppm
included:
centrilobular
hepatocellular
swelling
(
and
)
;
acidophilic
foci
of
cellular
alteration
(
)
;
brown
pigmentation
in
the
liver
(
and
)
;
and
bile
duct
proliferation
(
)
At
100
ppm,
centrilobular
hepatocellular
swelling
was
also
seen
in
the
males.
Brown
pigmentation
in
the
proximal
tubular
cells
and
in
cortical
interstitial
tissue
(
and
)
;
and
chronic
nephropathy
(
)
were
also
recorded
for
the
kidneys
of
high
dose
rats.
The
LOAEL
is
100
ppm
(
3.5
mg/
kg/
day)
based
on
centrilobular
swelling
in
the
male
rat
livers;
the
NOAEL
is
10
ppm
(
0.36
mg/
kg/
day).
Discussion
of
Tumor
Data:
Neoplastic
findings
were:
increased
incidence
of
liver
adenomas
in
males
at
100
(
p<
0.05)
and
1000
ppm
(
p<
0.010);
liver
carcinomas
were
also
increased
at
1000
ppm
in
both
sexes
but
not
significantly.
Adequacy
of
the
Dose
Levels
Tested:
Dosing
was
considered
adequate
in
males
based
on
signs
of
transient
anemia,
serum
enzyme
activity,
bilirubin
and
liver
weight,
body
weight
gain,
and
pathological
changes
in
the
liver
(
centrilobular
hepatocellular
swelling
and
foci
of
cellular
alteration).
Females
were
considered
to
be
tested
at
a
dose
below
the
maximum
tolerated
dose
(
MTD).
However,
since
the
NOAEL
and
LOAEL
were
defined
for
males
(
0.36/
3.5
mg/
kg/
day),
the
hypothetical
values
for
females
are
expected
to
be
higher.
Hence,
the
NOAEL
and
LOAEL
for
males
are
considered
to
be
protective
for
females.
The
pathology
report
for
this
chronic/
carcinogenicity
study
in
the
rat
was
considered
incomplete;
thus,
the
overall
study
was
listed
as
Supplementary.
At
this
time,
no
additional
information
is
being
requested
because
the
results
are
consistent
with
an
acceptable
rat
chronic/
carcinogenicity
study
(
MRID
No.
0014003/
00157780)
that
satisfies
the
guideline
requirement.
Similarly,
the
presence
of
liver
neoplasms
confirms
the
evidence
of
a
carcinogenic
effect
seen
in
MRID
No.
0014003/
00157780.
Using
the
more
recent
terminology,
the
study
is
now
listed
as
Unacceptable/
guideline
(
MRID
No.
40993401).
Page
14
3.2
Carcinogenicity
Study
in
Mice
Guideline
#:
870.4200/
[
83
2]
MRID
No.:
00115733
Executive
Summary:
In
a
mouse
oncogenicity
study
(
MRID
No.
00115733),
Oxadiazon
(
tech.,
99.3%
a.
i.,
Lot/
Batch
#
BES
2253)
was
administered
in
the
diet
to
CD
1
mice
(
70/
sex/
group)
for
up
to
105
weeks
at
0,
100,
300,
1000,
or
2000
ppm
(
equivalent
to
0/
0,
12/
14,
37/
44,
122/
143,
or
254/
296
mg/
kg/
day
[
M/
F],
respectively).
At
2000
ppm,
significantly
decreased
survival
(
and
a
dose
related
positive
trend
for
decreased
survival)
were
observed
in
males
(
at
termination,
43%,
24%,
36%,
27%
and
4%,
control
to
high
dose)
and
in
females
(
at
termination,
56%,
41%,
53%,
43%
and
29%).
During
the
first
26
weeks
of
treatment,
29/
70
high
dose
males
died
or
were
sacrificed
in
extremis.
It
was
stated
that
these
animals
were
generally
pale,
inactive,
weak,
hypothermic
and
exhibited
tremor
and
piloerection.
Thoracic
serosanguineous
fluid
was
observed
in
these
males
at
gross
necropsy
(
15/
29
treated
vs
6/
70
total
controls
affected
and
1
of
2
controls
that
died
by
week
26).
At
histological
examination,
the
following
were
also
observed
(#
of
animals):
hypercellular
spleens
(
18);
diffuse,
necrotic
myocarditis
(
20);
periacinar
hepatocytic
pallor
(
12);
hepatic
single
cell
necrosis
(
16);
and
pigmented
Kupffer
cells
(
8).
An
increase
(
p<
0.05
or
0.01)
in
the
total
incidence
of
distended
abdomen
was
observed
at
various
intervals
in
all
treated
males
(
80
90%
treated
vs
60
61%
controls).
Pale
eyes
were
observed
in
females
(
50
60%
treated
vs
31%
controls).
At
1000
and
2000
ppm,
increased
(
p<
0.05
or
0.01)
incidence
of
pallor
was
observed
(
40
46%
treated
vs
21%
controls)
during
the
study.
At
2000
ppm,
body
weights
were
reduced
in
males
at
week
104
(
12%,
not
analyzed
statistically).
Reductions
(
p<
0.05
or
0.01)
in
mean
body
weight
gain
were
observed
in
the
males
during
weeks
1
13
(
13%)
and
for
weeks
0
104
(
26%);
during
weeks
66
92,
weight
loss
was
greater
at
high
dose
than
controls
(
7
g
vs.
2
g,
respectively).
Slight
anemia,
as
indicated
by
decreased
(
p<
0.05,
0.01,
or
0.001)
hematocrit
(
5
30%),
hemoglobin
(
6
28%),
and
erythrocyte
count
(
12
32%),
was
observed
in
the
1000
ppm
males
and
2000
ppm
males
and
females.
Neutrophil
count
was
slightly
increased
at
2000
ppm
in
males
(
83%)
and
females
(
117%)
at
termination,
possibly
reflecting
a
mild
inflammatory
response.
Increases
(
p<
0.05,
0.01,
or
0.001)
with
respect
to
concurrent
controls
were
observed
in
absolute
and
relative
(
to
body
weight)
liver
weights
in
all
male
treatment
groups
(
45%/
52%,
46%/
57%,
107%/
120%
and
86%/
120%)
and
in
the
1000
and
2000
ppm
female
groups
(
48/
53%
and
103%/
102%).
At
gross
necropsy,
increased
incidence
of
hepatic
pale
areas/
foci
and
masses
were
observed
in
all
male
groups
when
excluding
animals
that
died
before
week
27
(
pale
areas/
foci
36%
59%
treated
vs
4%
controls;
masses
41%
47%
treated
vs
27%
controls)
and
all
female
groups
(
pale
areas/
foci
11%
19%
treated
vs
7%
controls;
masses
10%
26%
treated
vs
3%
controls).
In
addition,
raised
areas
in
the
liver
were
observed
in
the
300,
1000,
and
2000
ppm
females
(
10
11%
vs
1%
control).
Increases
in
large,
eosinophilic
hepatocytes
were
observed
in
all
male
and
female
groups
without
a
clear
doseresponse
(
7
23
treated
affected
vs
0
3
controls,
N
=
70,
all
groups).
Slight
to
moderate
hepatic
amyloidosis
was
increased
in
all
male
treatment
groups
(
9
22
treated
affected
vs.
0
Page
15
controls)
and
in
high
dose
females
(
12/
70
treated
vs
3/
70
controls).
Increased
incidence
of
pigmented
Kupffer
cells
(
7/
41
treated
vs
0/
70
controls)
were
observed
in
males
that
did
not
die
by
week
26.
Food
consumption,
food
efficiency,
and
water
consumption
(
visually
inspected,
only)
for
both
sexes
at
all
doses
were
unaffected
by
treatment
with
Oxadiazon
at
any
tested
dose.
The
systemic
toxicity
LOAEL
is
100
ppm
for
males
and
females
(
equivalent
to
12/
14
mg/
kg/
day
[
M/
F])
based
on
clinical
signs,
gross
and
microscopic
liver
lesions
in
both
sexes,
and
increased
liver
weights
in
males.
The
systemic
toxicity
NOAEL
is
<
100
ppm.
Discussion
of
Tumor
Data:
Under
the
conditions
of
this
study,
there
was
an
increased
incidence
of
hepatocellular
neoplasms
in
males
and
females.
Incidences
of
hepatocellular
adenomas
were
increased
(
p<
0.05,
0.01,
or
0.001)
in
all
groups
of
treated
males
(
27.9%,
51.4%,
68.6%,
56.5%
and
53.7%
68.6%,
control
to
high
dose)
and
females
(
4.4%,
18.8%,
25.7%,
32.9%
and
41.2%)
treatment
groups.
These
were
outside
of
historical
control
ranges
of
males
(
0
12%)
in
all
groups,
including
controls,
and
of
females
(
0
14%)
for
all
treated
groups.
The
incidences
of
adenocarcinomas
were
increased
(
p<
0.05
or
not
significant)
in
all
male
treatment
groups
(
7.4%,
20.0%,
24.3%,
24.6%
and
24.4%,
control
to
high
dose)
and
in
the
1000
and
2000
ppm
female
groups
(
12.9%
and
10.3%
vs
1.5%,
controls).
The
incidences
were
outside
of
historical
control
ranges
for
males
(
0
8%)
in
all
treatment
groups
and
females
(
0
6%)
at
1000
ppm.
The
incidences
of
combined
adenomas
and
adenocarcinomas
were
increased
(
p<
0.05,
0.01,
or
0.001)
in
all
male
(
29,4%,
57.1%,
74.3%,
63.8%
and
68.3%)
and
female
(
5.9%,
18.8%,
27.1%,
38.6%
and
47.1%)
treatment
groups
(
no
historical
controls
provided
for
combined
neoplasms).
Adequacy
of
the
Dose
Levels
Tested:
Dosing
was
considered
adequate
based
on
the
finding
of
liver
toxicity
at
all
doses.
The
submitted
study
is
classified
as
Acceptable/
guideline
(
§
83
2b)
and
satisfies
the
guideline
requirements
for
a
carcinogenicity
study
in
mice
(
MRID
No.
00115733).
MRID
No.:
00044322
Executive
Summary:
In
an
oral
mouse
oncogenicity
study
(
MRID
00044322),
Oxadiazon
(
95.5%
a.
i.,
Lot/
Batch
#
MAG
405)
was
administered
in
the
diet
to
CD
1
mice
(
60/
sex/
group)
for
up
to
104
weeks
at
0,
300,
1000
or
2000
ppm
(
equivalent
to
0/
0,
48/
62,
153/
201,
and
319/
417
mg/
kg/
day
[
M/
F],
respectively.
Actual
daily
dosage
may
have
been
slightly
lower,
based
on
the
analytical
diet
concentrations).
At
study
initiation,
high
dose
animals
received
3000
ppm
diets.
Due
to
high
mortality,
the
compound
was
removed
from
the
high
dose
diet
for
weeks
2
and
3,
then
dosing
was
re
initiated
at
2000
ppm.
Animals
that
died
during
weeks
1
5
(
10
males,
3
females)
were
replaced
with
parallel
treated
animals
or
control
replacement
animals
that
had
not
previously
received
the
test
article.
No
interim
sacrifice
was
performed.
Toxicity
to
the
liver
was
observed
at
all
doses.
At
300
ppm,
statistically
significantly
increased
serum
alkaline
phosphatase
(+
60%
above
controls)
and
ALT
or
SGPT
(+
270%)
in
Page
16
females,
along
with
a
non
significant
increase
in
AST
or
SGOT
(+
76%,
females)
and
ALT
(+
75%,
males),
and
statistically
significant
increases
in
abs/
rel
liver
weights
in
both
males
(+
26%/+
34%)
and
females
(+
50%/+
60%)
were
observed.
These
parameters
usually
showed
dose
dependent
increases
at
1000
ppm.
Grossly
visible
liver
masses
(
combined
males/
females
38%
vs.
9%,
controls)
and
liver
microscopic
lesions
(
bile
duct
proliferation,
pigmented
macrophages,
diffuse
hepatocellular
hyperplasia,
nodular
hyperplasia,
nodular
hypertrophy
and
centrilobular
hypertrophy)
were
increased
at
300
ppm
in
both
sexes.
Some
of
these
lesions
did
not
show
a
dose
response,
but
were
still
considered
treatment
related.
At
1000
ppm,
significantly
increased
serum
alkaline
phosphatase
(+
620%),
AST
(+
104%),
ALT
(+
218%)
and
cholesterol
(+
82%)
were
observed
in
males,
and
possibly
lenticular
degeneration
in
the
eyes
of
males
(
10%
vs.
0,
controls).
At
2000
ppm,
most
of
these
parameters
showed
additional
increases
and
significantly
increased
cholesterol
in
females
(+
81%),
increased
lenticular
degeneration
in
the
eyes
of
males
(
25%
vs.
0%,
controls)
and
liver
focal
necrosis
in
males
(
54%
vs.
35%,
controls)
and
females
(
41%
vs.
25%,
controls)
were
also
observed.
A
16%
decrease
in
hematocrit
in
males
was
considered
of
equivocal
biological
significance.
Survival
(
after
lowering
of
high
dose
to
2000
ppm),
clinical
signs,
body
weights,
food
consumption/
efficiency
and
urine
occult
blood
in
both
sexes
were
unaffected
at
all
dose
levels.
The
systemic
toxicity
LOAEL
is
300
ppm
(
approximately
48/
62
[
M/
F]
mg/
kg/
day)
based
on
increased
liver
effects
in
both
sexes.
The
systemic
toxicity
NOAEL
is
<
300
ppm.
Discussion
of
Tumor
Data:
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increased
incidence
of
hepatocellular
carcinoma
in
both
sexes.
The
increase
was
significant
(
p<
0.01)
in
both
sexes
at
1000
(
males
24/
60
or
40%
vs
5/
60
or
8.3%,
controls;
females
12/
61
or
19.7%
vs
1/
60
or
1.7%,
controls)
and
2000
ppm
(
27/
69
or
39.1%,
males
and
13/
63
or
20.6%,
females).
The
incidence
at
300
ppm
in
both
males
(
7/
60
or
11.7%)
and
females
(
4/
60
or
6.7%)
was
not
significant.
Adequacy
of
the
Dose
Levels
Tested:
Dosing
was
considered
adequate
based
on
the
finding
of
liver
toxicity
at
all
doses.
The
submitted
study
is
classified
as
Unacceptable/
guideline
(
§
83
2b).
Although
several
study
deficiencies
were
identified,
the
additional
information
is
not
being
requested
at
this
time
because
the
results
are
consistent
with
an
acceptable
mouse
carcinogenicity
study
(
MRID
No.
00149003/
00157780)
that
satisfies
the
guideline
requirement.
In
the
current
study,
the
following
were
noted:
(
1)
the
summary
tables
of
the
gross
pathology
findings
(
Tables
9
and
10)
were
illegible
in
the
only
study
copy
available
for
review
and
(
2)
it
was
unclear
from
the
study
report
what
system
of
classification
of
liver
proliferative
and
neoplastic
microscopic
lesions
were
used
in
this
study
compared
to
current
conventions
of
classification.
Although
hepatocellular
carcinomas
were
increased
in
treated
animals,
no
adenomas
were
reported,
which
are
generally
observed
as
part
of
the
tumor
progression
(
MRID
No.
00044322).
MRID
No.:
40993301
Page
17
Executive
Summary:
In
a
chronic/
oncogenicity
toxicity
study
(
MRID
No.
40993301),
Oxadiazon
(
95.9%)
was
administered
to
80
ICR
JCL
mice
(
80/
sex/
dose)
in
the
diet
at
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.315,
1.09,
10.6
or
113
mg/
kg/
day
for
males
or
0,
0.278,
0.92,
9.3
or
99
mg/
kg/
day
for
females)
for
98
99
weeks
(
the
study
was
scheduled
to
run
for
104
weeks
but
due
to
deaths,
it
was
terminated
at
98
99
weeks).
Clinical
signs
were
monitored
daily.
Body
weights
were
determined
weekly
for
the
first
26
weeks
and
biweekly,
thereafter;
food
consumption
was
determined
twice
weekly
for
8
cages
(
4
mice/
cage).
Groups
of
9
10
mice/
sex/
group
were
sacrificed
at
weeks
52
and
98/
99
were
subjected
to
hematology,
biochemistry,
urinalysis
and
pathology
analysis.
Dose
selection
was
based
on
a
preliminary
4
week
range
finding
study
with
0,
10,
100,
1000
or
3000
ppm.
Liver
weights
were
increased
in
males
at
100,
1000
and
3000
ppm
and
in
females
at
1000
and
3000
ppm.
Signs
of
anemia
were
reported
for
both
sexes
at
1000
ppm.
Elevated
GOT
and
GPT
(
indicative
of
hepatic
toxicity)
was
also
evident
at
1000
and
3000
ppm
(
)
and
3000
ppm
(
)
.
There
were
no
consistent
adverse
effects
on
mortality,
clinical
signs,
body
weight
or
food
consumption.
Hematological
parameters
significantly
affected
in
male
mice
were:
decreased
hematocrit,
hemoglobin
and
erythrocyte
counts
(
all
exposure
groups
at
week
52
but
not
at
week
98);
and
decreased
mean
corpuscular
volume
and
mean
corpuscular
hemoglobin
(
highdose
males
at
weeks
52
and
98).
In
females,
significantly
decreased
hemoglobin,
mean
corpuscular
volume
and
decreased
mean
corpuscular
hemoglobin
were
observed
at
1000
ppm
after
52
weeks
of
treatment.
The
generalized
changes
in
these
blood
elements
are
indicative
of
anemia
which
was
most
evident
in
the
males
at
week
52.
Significantly
affected
clinical
chemistry
parameters
at
1000
ppm
included:
increased
GLP,
GOT,
ALP
and
BUN
(
and
)
and
at
100
ppm
were:
increased
GLP
and
GOT(
)
.
High
dose
males
also
had
brownish
colored
urine
at
week
52.
Significantly
increased
liver
weights
(
absolute/
relative)
were
seen
in
high
dose
males
at
weeks
52
and
98
and
in
high
dose
females
at
week
98.
Significant
increases
in
absolute
and
relative
adrenal
(
week
98)
and
kidney
(
week
98)
weights
were
also
seen
at
1000
ppm.
Non
neoplastic
pathology
at
1000
ppm
included:
centrilobular
hepatocellular
swelling
(
)
;
diffuse
hepatocellular
swelling
(
)
;
brown
pigmentation
in
the
liver
and
proximal
tubules
of
the
kidney
(
and
)
;
extramedullary
hematopoiesis
(
)
diffuse
hepatocellular
necrosis
(
)
and
auricular
thrombus
(
)
.
At
100
ppm,
diffuse
hepatocellular
swelling
and
brown
pigmentation
in
the
liver
were
also
seen
in
the
males.
The
LOAEL
is
100
ppm
(
10.6
mg/
kg/
day)
based
on
anemia,
hepatocellular
swelling,
necrosis
and
the
formation
of
brown
pigment
in
the
liver
and
kidneys
of
male
mice.
This
latter
finding
is
consistent
with
the
established
mechanism
of
action
of
Oxadiazon
in
plants,
(
i.
e.,
inhibition
of
porphyrin
biosynthesis).
The
NOAEL
is
10
ppm
(
1.09/
0.92
mg/
kg/
day
for
/
)
.
Discussion
of
Tumor
Data:
Neoplastic
findings
were:
significant
increases
(
p<
0.05<
0.001)
in
liver
adenomas
and
carcinomas
in
males
and
females
at
1000
ppm;
liver
adenomas
and
carcinomas
were
also
significantly
increased
at
100
ppm
in
males.
Page
18
Adequacy
of
the
Dose
Levels
Tested:
Dosing
was
considered
adequate
in
males
and
females
based
on
anemia
and
pathological
changes
in
the
liver
at
the
highest
dose
tested.
The
pathology
report
for
this
chronic/
carcinogenicity
study
in
the
mouse
was
considered
incomplete;
thus,
the
overall
study
was
listed
as
Supplementary.
At
this
time,
additional
information
is
not
being
requested
because
the
results
are
consistent
with
an
acceptable
mouse
carcinogenicity
study
(
MRID
No.
00115733)
that
satisfies
the
guideline
requirement.
Similarly,
the
presence
of
liver
neoplasms
confirms
the
evidence
of
a
carcinogenic
effect
seen
in
other
mouse
long
term
studies
(
MRID
No.
00044322
and
00115733).
Using
the
more
recent
terminology,
the
study
is
now
listed
as
Unacceptable/
guideline
(
MRID
No.
40993301).
3.3
Classification
of
Carcinogenic
Potential
According
to
the
Cancer
Assessment
Review
Committee
report,
dated
August
27,
1987
(
HED
Document
No.
007798),
the
original
peer
review
(
September
9,
1986)
placed
Oxadiazon
into
Group
B2
(
probable
human
carcinogen)
but
there
was
a
minority
opinion
that
the
agent
should
be
placed
in
Group
C
(
possible
human
carcinogen).
Review
of
the
weightof
the
evidence
on
Oxadiazon
by
the
Scientific
Advisory
Panel
(
dated
November
20,
1987)
reiterated
this
minority
view.
Consequently,
the
current
Agency
decision
on
the
carcinogenic
potential
of
Oxadiazon
concurs
with
the
Scientific
Advisory
Panel's
(
SAP)
classification
of
Oxadiazon
as
a
group
C
carcinogen.
The
updated
Q
1*
has
been
set
at
1.4
x
10
1(
mg/
kg/
day)
1
in
human
equivalents.
The
rationale
for
the
original
classification
as
group
B2
was
based
on
the
increased
incidence
of
malignant
or
combined
malignant
and
benign
liver
tumors:
a)
in
multiple
species
(
CD
1
mice
and
F344
rats
of
one
or
both
sexes)
and
in
multiple
experiments
(
liver
tumors
in
two
mouse
studies
and
in
one
rat
study).
The
decision
to
reclassify
Oxadiazon
as
a
Group
C
carcinogen
was
based
on
the
rationale
that
liver
tumors
were
produced
in
two
of
the
three
positive
studies
(
one
mouse
study
and
one
rat
study)
at
doses
that
exceeded
the
maximum
tolerated
dose
(
MTD).
Since
that
time,
a
new
chronic/
oncogenicity
toxicity
study
in
rats
(
MRID
No.
40993401)
and
a
new
carcinogenicity
study
in
mice
(
MRID
No.
40993301)
have
been
submitted
to
the
Agency.
The
HIARC
recommended
that
the
Q1*
be
revisited
and
that
the
CARC
reconvene
to
evaluate
these
more
recent
studies.
4
MUTAGENICITY
4.1
Summaries
Nine
acceptable
mutagenicity
studies
were
available
for
review;
summaries
of
these
studies
with
MRID
numbers
are
presented
below:
GENE
MUTATION
Page
19
a)
Salmonella
typhimurium/
Escherichia
coli
reverse
gene
mutation
assay.
The
assay
was
negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
and
E.
coli
WP2
hcr
up
to
the
highest
dose
tested
(
2500
g/
plate
S9;
1000
g/
plate
+
S9)
of
99.18%
Oxadiazon.
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5100/
84
2)
for
a
bacterial
gene
mutation
assay
(
MRID
No.
00069893).
b)
S.
typhimurium
reverse
gene
mutation
assay:
The
assay
was
negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
exposed
to
97.49%
Oxadiazon
up
to
5000
g/
plate+/
S9;
cytotoxicity
was
seen
at
3330
g/
plate
S9.
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5100/
84
2)
for
a
bacterial
reverse
mutation
assay
(
MRID
No.
41871701).
c)
L5178Y
TK
+/
mouse
lymphoma
cell/
mammalian
activation
forward
mutation
assay:
The
assay
was
negative
in
cells
treated
with
Oxadiazon
(
95.5%
a.
i.)
up
to
reproducibly
cytotoxic
levels
in
the
absence
of
S9
activation
(
1000
g/
mL)
and
severely
cytotoxic
doses
(
200
g/
mL)
with
S9
activation.
Oxadiazon
was
insoluble
at
62.5
g/
mL.
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5300/
84
2)
for
a
mammalian
cell
gene
mutation
assay
(
MRID
No.
00115726).
d)
L5178Y
TK
+/
mouse
lymphoma
cell/
mammalian
activation
forward
mutation
assay:
The
assay
was
negative
in
cells
treated
with
recrystallized
Oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
levels
(
1000
g/
mL
S9;
250
g/
mL
+
S9).
Oxadiazon
was
insoluble
at
concentrations
250
g/
mL.
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5300/
84
2)
for
a
mammalian
cell
gene
mutation
assay
(
MRID
00115729).
CHROMOSOME
ABERRATIONS
e)
In
vitro
chromosome
aberration
assay
in
Chinese
hamster
ovary
(
CHO)
cells:
The
assay
was
negative
in
cells
treated
with
Oxadiazon
(
95.5%
a.
i.)
up
to
cytotoxic
concentrations
(
75
g/
mL
S9;
41.6
g/
mL
+
S9)
and
the
limit
of
solubility
(
416
g/
mL).
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5373/
84
2)
for
a
mammalian
cell
chromosome
aberration
assay
(
MRID
00115730).
f)
In
vitro
chromosome
aberration
assay
in
Chinese
hamster
ovary
(
CHO)
cells:
The
assay
was
negative
in
cells
treated
with
recrystallized
Oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
concentrations
(
200
g/
mL
S9;
500
g/
mL
+
S9)
and
the
limit
of
solubility
(
667
g/
mL
S9;
200
g/
mL
+
S9).
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5373/
84
2)
for
a
mammalian
cell
chromosome
aberration
assay
(
MRID
00115728).
OTHER
MUTAGENIC
MECHANISMS
Unscheduled
DNA
synthesis(
UDS)
g)
UDS
in
primary
rat
hepatocytes
assay:
The
test
was
negative
in
hepatocytes
exposed
to
Oxadiazon
(
95.5%
a.
i.)
up
to
cytotoxic
concentrations
(
100
µ
g/
mL)
and
the
limit
of
Page
20
solubility
(
50
µ
g/
mL).
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5550/
84
2)
for
a
UDS
assay
(
MRID
No.
00115727).
h)
UDS
in
primary
rat
hepatocytes
assay:
The
test
was
negative
in
hepatocytes
exposed
to
recrystallized
Oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
concentrations
(
100
500
µ
g/
mL)
and
the
limit
of
solubility
(
25
µ
g/
mL).
The
study
is
acceptable
and
satisfies
the
guideline
requirements
(
870.5550/
84
2)
for
a
UDS
assay
(
MRID
No.
00115723).
In
vitro
cell
transformation
I)
In
vitro
cell
transformation
assay
in
Syrian
hamster
kidney
BHK21
C13/
HRC1
cells:
The
test
was
positive
both
with
and
without
S9
activation,
based
on
the
induction
of
transformation
frequencies
(
TFs)
5
times
the
solvent
control
value
at
the
LD
50
.
Oxadiazon
(
90%
a.
i.)
and
recrystallized
Oxadiazon
(
100
%
a.
i.)
were
tested
up
to
cytotoxic
concentrations
with
LD
50
values
in
the
absence
of
S9
mix
of
118
µ
g/
mL
and
200
µ
g/
mL,
respectively.
In
the
presence
of
S9
mix,
the
LD
50
of
Oxadiazon
was
69
µ
g/
mL;
however,
the
LD
50
for
recrystallized
Oxadiazon
was
not
determined
as
cell
viability
was
78%
of
the
solvent
control
at
the
highest
dose
tested
(
400
µ
g/
mL).
The
transformation
frequencies
(
the
number
of
transformed
colonies/
106
surviving
cells)
at
the
LD
50
concentrations
were
128
and
79
for
cells
treated
with
Oxadiazon
in
the
absence
and
presence
of
S9
mix,
respectively,
compared
to
the
solvent
control
values
of
4
and
5,
respectively.
Recrystallized
Oxadiazon
induced
transformation
frequencies
of
55
at
the
LD
50
in
the
absence
of
S9
mix
and
60
at
the
highest
dose
tested
in
the
presence
of
S9
mix.
A
positive
dose
response
trend
was
generally
apparent
for
both
concentrations.
This
study
is
classified
as
acceptable
(
nonguideline)
(
MRID
No.
00115703).
Page
21
4.2
Conclusions
In
addition
to
the
above
two
S.
typhimurium
reverse
gene
mutation
assays
(
Ames
test),
seven
Ames
tests
submitted
by
the
sponsor
were
considered
inadequate
(
see
HED
Document
No.
002168).
Nevertheless,
results
from
these
assays
indicated
that
an
impurity
(
identified
as
24,865
RP)
in
Oxadiazon
formulations
was
mutagenic
in
S.
typhimurium
strains
TA98
and/
or
TA100
in
the
presence
of
S9
activation.
Lots/
batches
of
Oxadiazon
with
purity
levels
90%
that
contained
this
impurity
were
also
positive.
As
summarized
above,
the
acceptable
bacterial
assays
with
97.49%
Oxadiazon
were
negative
(
MRID
Nos.
00069893
and
41871701).
Similarly,
neither
95.5%
Oxadiazon
nor
recrystallized
Oxadiazon
(
100%)
were
mutagenic
or
clastogenic
in
cultured
mammalian
cells
and
did
not
cause
UDS
in
primary
rat
hepatocytes.
There
is,
however,
evidence
that
both
formulations
induced
neoplastic
transformation
in
Syrian
hamster
kidney
cells
both
in
the
presence
and
in
the
absence
of
S9
activation.
The
finding
of
positive
cell
transformation
supports
the
evidence
from
mouse
bioassays
(
MRID
Nos.
00444322,
00115733
and
40993301)
and
the
rat
long
term
studies
(
MRID
Nos.
00149003/
00157780
and
40993401)
of
liver
tumor
induction.
Overall,
the
data
indicate
that
Oxadiazon
is
not
mutagenic
but
does
cause
neoplastic
cell
transformation
in
vitro.
5
FQPA
CONSIDERATIONS
5.1
Adequacy
of
the
Data
Base:
Acceptable
prenatal
toxicity
studies
in
rats
and
rabbits
with
Oxadiazon
have
been
submitted
to
the
Agency.
An
acceptable
reproductive
toxicity
study
in
rats
with
Oxadiazon
was
also
submitted.
Hence,
there
are
no
data
gaps
for
the
assessment
of
the
effects
of
Oxadiazon
following
in
utero
exposure
or
the
effects
on
young
animals
following
early
exposure.
Neither
acute
nor
subchronic
neurotoxicity
studies
were
submitted
to
the
Agency.
It
is
not,
however,
expected
that
Oxadiazon
is
a
neurotoxicant
since
none
of
the
acute,
subchronic,
chronic,
developmental
or
reproductive
toxicity
studies
showed
evidence
of
an
effect
on
the
nervous
system.
5.2
Neurotoxicity:
No
neurotoxicity
studies
were
submitted
to
the
Agency.
5.3
Developmental
Toxicity
a.
Developmental
Toxicity
Study
in
the
Rat
(
ORAL)
Guideline
#:
870.3700;
83
3
MRID
No.:
40470202
Page
22
Executive
Summary:
In
a
developmental
toxicity
study
(
MRID
40470202),
Oxadiazon
technical
(
96.3%)
was
administered
daily
by
gavage
in
10
ml
1%
aqueous
methylcellulose
vehicle/
kg
body
weight
from
Gestation
Days
6
through
15
to
groups
of
20
pregnant
Sprague
Dawley
rats
per
dose
at
0,
3,
12
or
40
mg/
kg/
day.
Pregnant
females
were
examined
daily
for
signs
of
toxicity
and
body
weights
were
measured
on
Gestation
Days
0,
3,
6,
daily
through
Day
16
and
on
Days
18
and
20.
Dams
were
sacrificed
on
Day
20
and
uterine
contents
were
examined.
Very
little
maternal
toxicity
was
observed
at
any
dose.
Small
but
statistically
significant
decreases
in
body
weight
(
2%
less
than
controls)
and
body
weight
gain
(
10%)
in
the
highdose
females
at
Days
16
20
were
possibly
due
to
resorptions
of
fetuses
(
decreased
maternal
body
weights
also
observed
at
40
mg/
kg/
day
in
the
range
finding
study).
The
maternal
toxicity
LOAEL
is
40
mg/
kg/
day,
based
on
slightly
decreased
body
weight/
weight
gain.
The
maternal
toxicity
NOAEL
is
12
mg/
kg/
day.
Treatment
related
fetal
toxicity
at
40
mg/
kg/
day
included:
slightly,
not
statistically
significantly
increased
fetal
resorptions
(
0.7/
dam
vs.
0.4/
dam,
controls)
and
post
implantation
loss
(
12.5%
vs.
8.2%,
controls)
and
significantly
decreased
body
weight
(
4.5%
less
than
controls).
Developmental
effects
at
40
mg/
kg/
day
were
confined
to
increased
incidence
of
incomplete
ossification,
primarily
in
skull
and
vertebral
bones.
No
effects
were
seen
at
lower
doses.
No
treatment
related
malformations
were
observed
at
the
doses
tested.
Fetal
effects
seen
in
this
study
are
considered
treatment
related
based
on
the
steep
dose
response
curve
(
for
fetal
loss
and
decreased
fetal
weight)
between
20
60
mg/
kg/
day
in
the
preliminary
rangefinding
study.
In
the
range
finding
study,
which
tested
at
10,
20,
40,
60
or
80
mg/
kg/
day
(
6
dams/
dose
group),
no
maternal
or
developmental
toxicity
was
observed
at
10
or
20
mg/
kg/
day.
However,
at
40
mg/
kg/
day,
a
mean
fetal
resorption
rate
of
40%
(
53
100%
in
3/
6
dams)
was
observed,
increasing
to
80
90%
at
60
and
80
mg/
kg/
day.
Weights
of
surviving
fetuses
were
decreased.
Decreased
maternal
weights
were
also
observed
at
40
mg/
kg/
day
and
were
usually
correlated
with
the
increased
litter
resorption.
Therefore,
the
effects
seen
at
40
mg/
kg/
day
in
the
main
study
are
considered
a
threshold
response
for
Oxadiazon
under
the
conditions
of
the
main
study.
The
developmental
toxicity
LOAEL
(
threshold)
is
40
mg/
kg/
day,
based
on
increased
fetal
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification.
The
developmental
toxicity
NOAEL
(
threshold)
is
12
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
developmental
toxicity
study
(
83
3a)
in
the
rat.
b.
Developmental
Toxicity
Study
in
the
Rabbit
(
ORAL)
Guideline
#:
870.3700;
83
3
MRID
No.:
40470201
Executive
Summary:
In
a
developmental
toxicity
study
(
MRID
40470201),
Oxadiazon
technical
(
95.6%
)
was
administered
daily
by
gavage
in
5
ml
1%
aqueous
methylcellulose
vehicle/
kg
body
weight
from
gestation
days
6
through
19
to
groups
of
15
to
19
pregnant
New
Page
23
Zealand
White
rabbits
per
dose
at
0,
20,
60
or
180
mg/
kg/
day.
Pregnant
females
were
examined
daily
for
signs
of
toxicity
and
body
weights
were
measured
on
Gestation
Days
0
and
6,
on
alternate
days
through
day
20
and
on
days
24
and
28.
Dams
were
sacrificed
on
Day
29
and
uterine
contents
were
examined.
Treatment
related
maternal
toxicity
was
observed
at
60
mg/
kg/
day
as
transient
weight
loss
(
0.01
kg
vs.
0.10
kg
gain,
controls;
p<
0.05)
and
slightly
decreased
food
consumption
during
the
first
half
of
treatment
(
15%
less
than
controls,
treatment
days
6
12;
not
statistically
significant).
These
effects
were
more
pronounced
at
180
mg/
kg/
day
and
showed
statistically
significant
reductions
in
weight
gain
and
marked
reductions
in
food
consumption
during
and
after
treatment.
The
maternal
toxicity
LOAEL
is
60
mg/
kg/
day,
based
on
transient
weight
loss
and
decreased
food
consumption
during
treatment.
The
maternal
toxicity
NOAEL
is
20
mg/
kg/
day.
Treatment
related
fetal
toxicity
at
180
mg/
kg/
day
included:
increased
postimplantation
loss
and
late
resorptions
(
18.85%
vs.
8.6%,
controls;
p<
0.05),
decreased
mean
fetal
weight
(
10%)
and
increased
incidence
of
bilateral
hind
limb
flexure
(
4.2%
of
fetuses,
3
litters
affected
vs.
0%,
controls).
Marginal
developmental
effects
at
180
mg/
kg/
day
were:
increased
incidence
of
rib
abnormalities,
delayed/
incomplete
ossification
in
several
bones
and
asymmetrical
pelvis.
No
effects
were
seen
at
lower
doses
and
there
were
no
treatment
related
malformations
observed
at
any
dose
tested.
The
developmental
toxicity
LOAEL
is
180
mg/
kg/
day,
based
on
increased
postimplantation
loss,
decreased
mean
fetal
weight,
increased
bilateral
hind
limb
flexure
and
possibly
delayed/
incomplete
ossification
of
several
bones.
The
developmental
toxicity
NOAEL
is
60
mg/
kg/
day.
This
study
is
classified
Acceptable/
guideline;
it
satisfies
the
guideline
requirement
for
a
nonrodent
developmental
toxicity
study
(
83
3b)
in
the
rabbit.
5.4
Reproductive
Toxicity
Two
Generation
Reproduction
Study
in
Rats
(
dietary)
Guideline
#:
870.3800;
83
4a
MRID
Nos.
41230301(
Dose
range
finding
study)/
41239801
(
Main
study)
Executive
Summary:
In
a
2
generation
reproduction
study
(
MRID
41239801;
range
finding
study
MRID
41240301)
Oxadiazon
(
96.6%
a.
i.,
batch
#
DA459)
was
administered
in
the
diet
continuously
to
CD
rats
(
30
rats/
sex/
dose)
at
0,
20,
60
or
200
ppm
(
equivalent
to
an
average
daily
intake
[
M/
F]
of
0,
1.50/
1.84,
4.65/
5.63
or
15.50/
18.20
mg/
kg/
day,
average
of
P
and
F
1
generation
premating
food
consumption).
Dose
levels
were
selected
based
on
the
results
of
the
1
generation
range
finding
study,
which
tested
at
0,
50,
100,
200,
400
or
800
ppm
(
6
animals/
sex/
dose,
4
weeks
premating
exposure).
The
P
animals
were
exposed
to
the
test
substance
beginning
at
approximately
6
weeks
of
age
for
14
weeks
prior
to
mating
and
continuing
until
sacrifice
after
weaning
(
post
partum
day
25).
F
1
pups
selected
(
30/
sex/
dose)
to
produce
the
F
2
generation
were
exposed
to
the
same
dosage
as
their
parents
beginning
at
postnatal
day
(
PND)
25
for
14
weeks
premating
and
continuously
throughout
the
rest
of
the
Page
24
study
until
weaning
of
the
F
2
offspring
(
postpartum
day
25).
Liver,
kidneys,
ovaries,
uterus,
prostate,
epididymis,
testes
and
seminal
vesicles
were
weighed
and
examined
for
gross/
microscopic
pathology.
Mammary
gland,
pituitary
and
vagina
were
examined
for
pathological
changes.
The
1
generation
range
finding
study
tested
in
6
dams/
dose
group
at
dietary
concentrations
of
0,
50,
100,
200,
400
or
800
ppm
(
0,
5/
5,
9/
9,
19/
19,
36/
38
or
67/
75
mg/
kg/
day,
respectively),
administered
beginning
15
days
prior
to
initiation
of
mating
until
lactation
day
4.
No
treatment
related
findings
were
reported
at
200
ppm;
effects
at
400
and
800
ppm
are
discussed
below.
There
was
no
evidence
of
treatment
related
changes
in
clinical
signs,
mortality,
body
weights
or
weight
gains,
food
consumption,
food
efficiency,
organ
weights
or
microscopic
or
macroscopic
pathology
observed
in
P
or
F
1
adults
in
the
main
study.
Slight
liver
alterations
in
F
1
adults
at
200
ppm
(+
6%
relative
liver
weight,
females,
periacinar
hepatocellular
hypertrophy,
males)
were
considered
an
adaptive
response.
However,
at
400
ppm
in
the
range
finding
study,
markedly
decreased
gestational
weight
gain
(
34%
below
controls,
primarily
after
GD
13)
was
observed
(
due
largely
to
increased
fetal
loss).
At
800
ppm,
decreased
maternal
weight
gain
of
38%
below
controls,
also
primarily
after
GD
13,
blood
in
the
urine
in
the
cage
paper
of
males
and
blood
in
the
nares/
face/
urogenital
region
of
1
dam
were
observed.
The
LOAEL
(
main
study)
for
parental
toxicity
is
>
200
ppm
(
15.5
mg/
kg/
day;
HDT
in
main
study);
however,
a
LOAEL
of
400
ppm
(
38
mg/
kg/
day),
based
on
decreased
gestational
weight
gain,
was
observed
in
the
range
finding
study.
The
parental
toxicity
NOAEL
(
main
study)
is
200
ppm.
No
differences
in
reproductive
parameters
in
P
or
F
1
parental
animals,
nor
in
F
1
or
F
2
offspring
viability,
clinical
signs,
body
weight
or
body
weight
gain,
developmental
landmarks,
auditory
or
ophthalmological
function
or
macroscopic
pathology
were
observed
in
the
main
study.
However,
in
the
range
finding
study,
pronounced
reproductive/
offspring
toxicity
at
400
ppm
in
the
4
dams
that
littered
(
5
pregnant)
included
inactive/
pale
mammary
tissue,
reduced
litter
size
and
increased
gestation
length
(+
1
day).
Pre/
perinatal
mortality
resulted
in
total
litter
losses
for
all
dams
by
day
1
postpartum
(
17
offspring
were
examined:
20%
late
resorptions,
7.7%
dead
fetus,
73%
without
milk
in
stomach).
At
800
ppm,
2
dams
littered
but
all
were
late
resorptions;
4
dams
that
failed
to
litter
had
blood
in
their
cage
on
GD
23
(
implantation
sites/
dam
were
comparable
to
controls).
The
reproductive/
offspring
toxicity
LOAEL
(
main
study)
is
>
200
ppm
(
15.5
mg/
kg/
day;
HDT
in
main
study);
however,
a
LOAEL
of
400
ppm
(
38
mg/
kg/
day),
based
on
inactive
mammary
tissue
and
fetal/
neonatal
death,
was
observed
in
the
range
finding
study.
The
reproductive/
offspring
toxicity
NOAEL
(
main
study)
is
200
ppm.
This
reproductive
toxicity
study
in
the
rat
is
classified
Acceptable/
guideline
[
§
83
4(
a)]
and
satisfies
the
guideline
requirement
for
a
multigenerational
reproductive
toxicity
study
in
rats.
Although
no
significant
effects
were
observed
at
200
ppm
in
the
main
or
range
finding
studies,
pronounced
reproductive/
offspring
toxicity,
including
complete
litter
loss,
was
observed
at
400
ppm.
The
HIARC
concluded
that
the
neonatal
loss
seen
at
400
ppm
was
attributable
to
maternal
effects
(
i.
e.,
inactive
mammary
tissue
resulting
in
possible
starvation
of
the
pups
which
was
manifested
as
73%
of
the
examined
offspring
Page
25
without
milk
in
their
stomachs).
The
HIARC
further
concluded
that
the
inactivity
of
mammary
tissue
may
have
been
related
to
endocrine
disruption.
However,
this
finding
was
not
considered
to
be
likely
because
there
was
no
supporting
evidence
of
possible
endocrine
disruption
observed
in
any
other
study
in
the
Oxadiazon
database.
5.5
Additional
Information
from
Literature
Sources
(
if
available)
No
additional
information
was
obtained
from
the
open
literature
for
developmental,
reproductive
or
neurotoxic
effects
of
Oxadiazon.
5.2
Determination
of
Susceptibility
There
was
qualitative
evidence
of
increase
susceptibility
of
fetuses
in
the
rat
developmental
study.
In
this
study,
very
little
maternal
toxicity
(
a
small
but
significant
decrease
in
body
weight,
2%
and
a
decrease
in
body
weight
gain,
10%)
was
seen
at
the
maternal
and
developmental
LOAEL
(
40
mg/
kg/
day).
By
contrast,
effects
on
offspring
at
this
LOAEL
were
severe
(
increased
post
implantation
loss
and
late
resorptions
and
decreased
fetal
weight).
In
the
two
generation
study
in
rats,
neonatal
effects
(
LOAEL
of
38
mg/
kg/
day,
based
on
neonatal
losses)
in
the
dose
range
finding
phase
of
testing
and
the
lack
of
milk
in
the
pup
stomach
were
considered
to
be
attributable
to
maternal
effects
(
i.
e.,
inactive
mammary
tissue)
at
38
mg/
kg/
day.
The
findings
of
post
implantation
loss
associated
with
the
lack
of
milk
could
be
due
to
endocrine
disruption.
There
was,
however,
no
evidence
(
qualitative
or
quantitative)
of
increased
susceptibility
in
the
developmental
rabbit
study
following
in
utero
exposure
or
in
the
two
generation
reproduction
study
following
pre
or
post
natal
exposure.
5.3
Recommendation
for
a
Developmental
Neurotoxicity
Study
The
Committee
concluded
that
a
developmental
neurotoxicity
study
was
not
recommended.
This
decision
was
based
on
results
showing
no
evidence
of
neurotoxicity
in
any
study
in
the
database
which
included:
chronic
(
rats,
mice
and
dogs),
subchronic
(
rat
or
rabbit),
reproduction
(
rat)
or
developmental
(
rat
or
rabbit)
toxicity
studies.
6
HAZARD
CHARACTERIZATION
Oxadiazon
is
a
selective
pre
emergent
herbicide
of
the
oxadiazole
class
which
displays
light
dependent
phytotoxicity
through
the
accumulation
of
protoporphyrin
IX
in
plants,
yeast
and
mouse
liver
mitochondria.
At
present,
there
are
no
registered
food
or
residential
uses.
The
database
for
Oxadiazon
is
largely
complete
and
provides
sufficient
information
to
characterize
toxicity.
The
only
data
gap
that
has
been
identified
at
this
time
is
the
submission
of
a
28
and/
or
90
day
inhalation
study.
In
acute
studies,
Oxadiazon
is
only
slightly
toxic
(
Toxicity
Categories
III
or
IV)
with
an
oral
LD
50
>
5000
mg/
kg,
a
dermal
LD
50
>
2000
mg/
kg
and
an
inhalation
LC
50
>
1.94
mg/
L.
Page
26
Oxadiazon
is
mildly
irritating
to
ocular
tissue
and
negligibly
irritating
to
the
skin
(
both
Toxicity
Category
III)
and
is
not
a
dermal
sensitizer.
The
major
target
organ
of
Oxadiazon
is
the
liver.
Effects
were
consistent
among
the
species
tested
(
rat,
dog,
mouse)
in
both
subchronic
and
chronic
studies
and
typically
included
enlarged
livers
(
presumably
due
to
the
peroxisomal
proliferating
activity
of
Oxadiazon),
along
with
increases
in
serum
clinical
chemistry
parameters
associated
with
hepatotoxicity
such
as
alkaline
phosphatase
and
serum
aspartate
or
alanine
aminotransferase.
Although
treatmentrelated
microscopic
lesions
of
the
liver
were
not
observed
in
dog
subchronic
or
chronic
oral
studies,
findings
in
rats
and
mice
included
pigmented
Kupffer
cells
and
bile
canaliculi,
periacinar
pallor,
increased
acidophilic
cells
and
hepatocellular
necrosis.
The
hematopoietic
system
also
appeared
to
be
a
target
of
Oxadiazon
in
all
three
species,
based
on
mild
anemia
(
reductions
in
RBC,
hematocrit
and/
or
hemoglobin).
Increased
pigmentation
in
the
kidney
was
observed
in
rats,
along
with
increased
BUN
and
kidney
weights.
Although
a
dose
dependent
increase
in
thyroid
weight
was
observed
in
the
dog
subchronic
oral
toxicity
study,
treatment
related
changes
in
thyroid
weights
or
gross/
microscopic
observations
were
not
observed
in
other
studies
(
thyroid
hormones
were
not
evaluated).
In
a
rat
dermal
absorption
study,
up
to
9%
of
the
applied
dose
was
absorbed
after
10
hours
of
exposure.
Dermal
toxicity
studies
(
21
day
rabbit)
support
low
dermal
absorption:
no
toxicity
was
observed
at
the
limit
dose
of
1000
mg/
kg/
day.
Following
long
term
dietary
administration,
Oxadiazon
caused
an
increased
incidence
of
hepatocellular
adenoma
and
carcinoma
in
rats
and
mice.
In
mice,
statistically
significant
increases
of
hepatocellular
adenoma
and
combined
adenoma/
adenocarcinoma
were
observed
at
all
four
dose
levels
tested
(
100
ppm)
in
males
and
females.
The
incidence
of
hepatocellular
adenocarcinoma
was
increased
at
all
doses
in
males
but
only
at
the
two
highest
doses
(
1000
and
2000
ppm;
significant
at
1000
ppm)
in
females.
The
highest
dose
tested
in
males
(
2000
ppm)
exceeded
the
MTD
based
on
excessive
mortality.
In
SPF
Wistar
rats,
the
incidence
of
hepatocellular
adenomas
was
increased
in
males;
adenocarcinomas
were
increased
but
not
significantly
in
both
sexes
at
the
highest
dose
tested
(
1000
ppm).
A
second
study
in
F344
rats
showed
an
increased
incidence
of
hepatocellular
adenoma
and
adenocarcinoma
only
in
males
at
1000
and
3000
ppm.
A
classification
of
Group
C
(
possible
human
carcinogen)
and
a
Q
1*
of
1.4
x
10
1
(
mg/
kg/
day)
1
were
assigned
by
the
HED
Cancer
Peer
Review
Committee
in
conjunction
with
the
recommendations
of
the
Scientific
Advisory
Panel.
Since
that
time,
a
new
chronic/
oncogenicity
toxicity
study
in
rats
and
a
new
carcinogenicity
study
in
mice
have
been
submitted
to
the
Agency
and
are
being
evaluated
for
their
impact
on
the
cancer
classification
and
the
Q
1*.
In
a
special
mechanistic
study
in
rats,
Oxadiazon
induced
peroxisomal
proliferation
(
based
on
peroxisomal
enzyme
induction
and
electron
microscopy)
after
a
14
day
dietary
administration.
Although
some
peroxisomal
proliferator
compounds
are
known
to
be
liver
carcinogens,
there
are
insufficient
data
available
to
support
this
as
a
mechanism
of
carcinogenicity
for
Oxadiazon.
Similarly,
Oxadiazon
did
not
show
mutagenic
potential
in
any
in
vitro
assays
with
bacteria
(
S.
typhimurium
and
E.
coli)
or
mammalian
cells
(
TK
+/
mouse
lymphoma
Page
27
cells),
did
not
show
clastogenic
potential
in
the
in
vitro
Chinese
hamster
ovary
cell
chromosomal
aberration
assays
and
did
not
induce
unscheduled
DNA
synthesis
in
cultured
primary
rat
hepatocytes.
However,
a
dose
related
increase
in
transformation
frequencies
was
observed
in
an
in
vitro
Syrian
hamster
kidney
BHK21
C13/
HRC1
cell
transformation
assay.
Significant
fetal
toxicity
(
fetal
loss
due
to
resorptions
and
post
implantation
loss,
decreased
fetal
weight,
skeletal
variations)
was
observed
in
developmental
toxicity
studies
in
both
rats
and
rabbits
and
in
a
rat
two
generation
reproduction
study.
Neonatal
survival
was
also
sharply
reduced
in
the
reproduction
study.
The
latter
finding
was
due
at
least
in
part
to
effects
on
lactation,
based
on
findings
of
inactive
mammary
glands
in
the
dams
at
necropsy.
These
fetal/
neonatal
effects
occurred
at
the
same
dose
levels
at
which
maternal
toxicity
(
decreased
weight
gain/
weight
loss)
were
observed.
It
is
likely
that
neonatal
loss
may
have
resulted
from
starvation
and
would,
therefore,
be
an
effect
of
direct
maternal
toxicity.
Inactivity
of
the
mammary
tissue
as
a
possible
effect
of
endocrine
disruption
was
considered
but
was
not
found
to
be
likely
since
there
was
no
evidence
from
any
other
study
in
the
database
suggesting
endocrine
disruption.
No
fetal
malformations
were
observed
in
the
rat
or
rabbit
developmental
toxicity
studies
although,
some
skeletal
variations
(
delayed
ossification,
asymmetric
pelvis)
were
reported.
There
was,
however,
no
evidence
(
qualitative
or
quantitative)
of
increased
susceptibility
in
the
developmental
rabbit
study
following
in
utero
exposure
or
in
the
two
generation
reproduction
study
following
pre
or
post
natal
exposure.
No
neurotoxicity
studies
have
been
submitted
for
Oxadiazon.
However,
the
available
data
do
not
indicate
a
need
for
neurotoxicological
testing.
No
clinical
signs
of
toxicity
suggestive
of
neurobehavioral
alterations
nor
evidence
of
neuropathological
effects
were
observed
in
the
available
oral
toxicity
studies.
There
was
no
evidence
for
neurodevelopmental
potential
of
Oxadiazon
in
the
rat
and
rabbit
developmental
toxicity
studies,
nor
in
the
rat
two
generation
reproductive
toxicity
study.
Based
on
pharmacokinetics/
metabolism
studies
in
the
rat,
low
doses
(
5
mg/
kg,
single
or
multiple)
of
Oxadiazon
were
completely
absorbed,
metabolized
and
excreted
in
the
urine
and
feces;
virtually
no
free
Oxadiazon
was
found
in
the
urine.
At
this
dose,
the
rates
and
routes
of
excretion
of
radioactivity
were
similar.
At
500
mg/
kg,
the
rate
of
excretion
was
affected
but
the
route
was
not.
The
excretion
of
radioactivity
into
the
urine
and
the
feces
was
sex
dependent
and
the
tissue
residues
were
very
low
in
all
tissues
except
liver
and
fat.
Over
a
7
day
period,
85
to
93%
of
the
test
compound
administered
was
excreted
in
the
urine
and
feces.
The
radioactivity
recovered
in
the
urine,
feces
and
tissues
exceeded
94%
of
the
dose
and
was
sex
related.
Females
excreted
more
radioactivity
in
the
urine
than
males.
The
metabolism
of
Oxadiazon
in
rats
was
extensive,
but
the
benzene
and
pyrozolidine
rings
were
not
modified.
Eighteen
(
18)
metabolites
were
identified
in
the
urine
and
feces.
Four
(
4)
urinary
and
5
fecal
metabolites
were
present
at
levels
greater
than
1%
of
the
dose.
Among
the
9
metabolites,
U2,
U7
and
U10
from
the
urine
correspond
to
F2,
F7
and
F9
of
the
feces.
Female
rats
were
efficient
metabolizers
and
the
urine
was
unique
in
that
metabolites
U4
and
U5
were
excreted
in
the
urine
only.
Only
conjugates
of
glucuronic
acid
were
present
in
urine;
there
was
no
evidence
of
sulphate
conjugates.
The
identified
glucuronides
were
those
of
metabolites
RP
29585
and
RP25496.
In
addition
to
5
fecal
metabolites,
intact
Oxadiazon
was
present
in
feces
Page
28
only
and
was
dose
related.
At
the
high
dose
more
than
53%
of
the
administered
radioactivity
was
intact
Oxadiazon
in
the
feces;
at
5
mg/
kg,
not
more
than
4.8%
of
the
dose
was
intact
Oxadiazon
in
the
feces.
This
observation
is
consistent
with
extensive
absorption
followed
by
excretion
in
the
feces
by
way
of
the
bile.
7
DATA
GAPS
HIARC
has
requested
the
submission
of
a
28
day
inhalation
study.
8
ACUTE
TOXICITY
Acute
Toxicity
of
Oxadiazon
Guideline
No.
Study
Type
MRIDs
#
Results
Toxicity
Category
870.1100/
[
81
1]
Acute
Oral;
Rat
97.5
%
a.
i.
41866501
LD
50
=
>
5000
mg/
kg
(
,
combined)
IV
870.1200/
81
2
Acute
Dermal;
Rabbit
97.5
%
a.
i.
41866502
LD
50
=
>
2000
mg/
kg
(
,
combined)
III
870.1300/
81
3
Acute
Inhalation;
Rat
93.7
%
a.
i.
41866503
LC
50
=
>
1.94
mg/
L
(
,
combined)
III
870.2400/
81
4
Primary
Eye
Irritation;
Rabbit
97.5
%
a.
i.
41866504
Mild
irritant
to
ocular
tissue
III
870.2500/
81
5
Primary
Skin
Irritation;
Rabbit
97.5
%
a.
i.
41866505
Negligibly
irritating
to
skin
III
870.2600/
81
6
Dermal
Sensitization;
Guinea
pig
93.7%
a.
i.
41230401
Not
a
dermal
sensitizer
(
Buehler
test)
81
8
Acute
Neurotoxicity
ND
9
SUMMARY
OF
TOXICOLOGY
ENDPOINT
SELECTION
The
doses
and
toxicological
endpoints
selected
for
various
exposure
scenarios
are
summarized
below.
Page
29
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Acute
Dietary
NOAEL=
N/
A
UF
=
N/
A
This
risk
assessment
is
not
required
because
there
are
no
food
or
feed
uses
for
Oxadiazon
Chronic
Dietary
NOAEL
=
N/
A
UF
=
N/
A
This
risk
assessment
is
not
required
because
there
are
no
food
or
feed
uses
for
Oxadiazon
Cancer
Q
1*
of
1.4
x
10
1
(
mg/
kg/
day)
1in
human
equivalentsa
Group
C
"
possible
human
carcinogen",
based
on
liver
tumors
produced
in
two
of
the
three
positive
studies
(
one
mouse
study
and
one
rat
study)
at
doses
that
exceeded
the
maximum
tolerated
dose.
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
Rats
MRID
Nos.
00149003/
00157780;
Carcinogenicity
Study
in
Mice
MRID
Nos.
00115733
Incidental
Oral,
Short
and
Intermediate
Term
NOAEL=
12
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL).
Developmental
Toxicity
Rat
MRID
No.
40470202
Dermal,
Shortand
Intermediate
Term
NOAEL=
12
Increased
fetal
resorptions/
postimplantation
loss,
decreased
fetal
weight
and
increased
incidence
of
incomplete
ossification
at
40
mg/
kg/
day
(
LOAEL)
b.
Developmental
Toxicity
Rat
MRID
No.
40470202
Page
30
EXPOSURE
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Dermal,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL)
b.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
Inhalation,
Short
Term
NOAEL=
12
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
c
.
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Intermediate
Term
NOAEL=
12
Reduced
body
weight/
body
weight
gain
at
40
mg/
kg/
day
(
LOAEL)
c
.
Developmental
Toxicity
Rat
MRID
No.
40470202
Inhalation,
Long
Term
NOAEL=
0.36
Increased
centrilobular
swelling
in
male
livers
at
3.5
mg/
kg/
day
(
LOAEL)
c.
Combined
Chronic
Feeding/
Oncogenicity
Rat
MRID
Nos.
40993401,
00149003/
00157780
a
Q
1*
may
change
awaiting
the
outcome
of
the
CARC
revisit.
b
For
this
risk
assessment,
the
dermal
absorption
factor
of
9%
should
be
applied.
c
For
this
risk
assessment,
use
a
route
to
route
extrapolation
and
a
100%
absorption
rate
(
default
value).
| epa | 2024-06-07T20:31:45.222770 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0010/content.txt"
} |
EPA-HQ-OPP-2002-0309-0011 | Supporting & Related Material | 2002-12-03T05:00:00 | null | HED
DOC.
NO.
014555
CANCER
ASSESSMENT
DOCUMENT
EVALUATION
OF
THE
CARCINOGENIC
POTENTIAL
OF
OXADIAZON
(
THIRD
REVIEW)
FINAL
REPORT
1
MAY
2001
CANCER
ASSESSMENT
REVIEW
COMMITTEE
HEALTH
EFFECTS
DIVISION
OFFICE
OF
PESTICIDE
PROGRAMS
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
ii
DATA
PRESENTATION:
Nancy
McCarroll,
Toxicologist
DOCUMENT
PREPARATION:
Sanjivani
Diwan,
Executive
Secretary
COMMITTEE
MEMBERS
IN
ATTENDANCE:
(
Signature
indicates
concurrence
with
the
assessment
unless
otherwise
stated).
Karl
Baetcke
William
Burnam
Kerry
Dearfield
Vicki
Dellarco
Yiannakis
Ioannou
Nancy
McCarroll
Esther
Rinde
Joycelyn
Stewart
Clark
Swentzel
Linda
Taylor
NON
COMMITTEE
MEMBERS
IN
ATTENDANCE
(
Signature
indicates
concurrence
with
the
pathology
report
and
statistical
analysis
of
data,
respectively)
John
M.
Pletcher
Pathology
Consultant
Lori
Brunsman,
Statistical
Analysis
Veronique
LaCapra
CRM
(
SRRD)
Seyed
Tadayon
Chemist
(
Chem
and
Exposure)
_______________________________________________________________________________
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
iii
CONTENTS
Executive
Summary
.
.
.
.
.
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iv
I.
Introduction
.
.
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1
II.
Background
Information
.
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1
III.
Evaluation
of
Carcinogenicity
Evidence
.
.
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.
.
2
1.
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
Wistar
Rats
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
2
2.
Combined
Chronic
Toxicity/
Carcinogenicity
Studies
in
ICR
JCL
mice
.
.
.
.
.
.
.
.
.
.
8
IV.
Other
Toxicology
Data
.
.
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.
13
1.
Mutagenicity
.
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.
13
2.
Structure
Activity
Relationships
.
.
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.
.
15
3.
Mode
of
Action
Studies.
.
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..
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..
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..
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.
.17
V.
Committee's
Assessment
of
the
Weight
of
the
Evidence
.
.
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.
18
VI.
Classification
of
Carcinogenic
Potential
.
.
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.
19
VII.
Quantification
of
Carcinogenic
Potential.
.
.
.
.
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.
.
20
VIII.
Bibliography
.
.
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.
21
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
iv
EXECUTIVE
SUMMARY
On
March
7,
2001,
the
Cancer
Assessment
Review
Committee
(
CARC)
of
the
Health
Effects
Division
(
HED)
of
the
Office
of
Pesticide
Programs
met
to
reevaluate
the
carcinogenic
potential
of
oxadiazon.
In
the
original
carcinogenicity
assessment,
oxadiazon
was
classified
as
a
Group
B2,
probable
human
carcinogen,
based
on
the
increased
incidence
of
malignant
or
combined
benign
and
malignant
liver
tumors
in
multiple
species
(
CD
1
mice
and
F344
rats
of
one
or
both
sexes)
and
in
multiple
experiments
(
two
mouse
studies
and
one
rat
study
(
1984;
HED
Document
No.
004097).
On
September
3,
1986
during
the
2nd
meeting,
the
Toxicology
Branch
Peer
Review
Committee
reaffirmed
the
earlier
classification
of
oxadiazon
as
a
Group
B2
carcinogen
but
there
was
a
minority
opinion
that
the
agent
should
be
placed
in
Group
C,
possible
human
carcinogen
(
1987;
HED
Document
No.
007798).
Based
on
weight
of
the
evidence
for
oxadiazon,
the
Scientific
Advisory
Panel
reiterated
the
minority
view
(
1987;
HED
Document
No.
007798).
Subsequently,
the
cancer
classification
for
oxadiazon
was
revised
to
a
Group
C
carcinogen
and
for
the
quantification
of
human
cancer
risk,
a
linear
low
dose
extrapolation
approach
was
recommended
(
1987;
HED
Document
No.
007798).
The
decision
to
reclassify
oxadiazon
as
a
Group
C
carcinogen
was
based
on
the
rationale
that
liver
tumors
were
produced
in
two
of
the
three
positive
studies
(
one
mouse
study
and
one
rat
study)
at
doses
that
exceeded
the
maximum
tolerated
dose
(
MTD).
At
the
March
7,
2001
CARC
meeting,
information/
data
previously
not
available
to
the
Peer
Review
Committee
were
considered
which
included
chronic
toxicity/
carcinogenicity
studies
in
Wistar
rats
and
ICR
JCL
mice.
In
the
rat
study,
oxadiazon
was
administered
in
the
diet
to
groups
of
80
male
and
80
female
Wistar
rats
at
concentrations
of
0,
3,
10,
100
or
1000
ppm
(
0,
0.106,
0.36,
3.5
or
39
mg/
kg/
day
for
males
and
0,
0.131,
0.44,
4.2
or
44
mg/
kg/
day
for
females,
respectively)
for
up
to
104
weeks.
In
the
mouse
study,
oxadiazon
was
administered
to
groups
of
80
male
and
80
female
ICR
JCL
mice
at
dietary
concentrations
of
0,
3,
10,
100
or
1000
ppm
(
0,
0.315,
1.09,
10.6
or
113
mg/
kg/
day
for
males
and
0,
0.278,
0.92,
9.3
or
99
mg/
kg/
day
for
females,
respectively)
for
98/
99
weeks.
The
Registrant
also
submitted
mechanistic
studies
to
support
the
proposed
mode
of
action
for
liver
tumor
induction
observed
in
these
studies.
The
CARC
concluded
that:
!
There
was
clear
evidence
that
oxadiazon
was
carcinogenic
to
male
Wistar
rats
because:
1)
There
were
statistically
significant
positive
trends
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas.
There
was
a
statistically
significant
increase
by
pair
wise
comparison
with
the
controls
for
liver
adenomas
and
combined
liver
adenomas/
carcinomas
at
100
and
1000
ppm
and
for
liver
carcinomas
at
1000
ppm
indicating
a
malignant
component
to
the
liver
tumors;
and
2)
The
incidences
of
liver
adenomas
at
100
ppm
and
1000
ppm
and
carcinomas
at
1000
ppm
were
outside
the
published
range
of
spontaneous
incidences
in
Wistar
rats
(
range:
adenomas,
0%
2.5%;
carcinomas,
0%
2.5%).
The
highest
dose
level
tested
in
this
study
was
considered
to
be
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
v
adequate
and
not
excessive
in
male
rats
because
there
were
decreases
in
body
weight
gains
and
the
clinical
and
histopathological
liver
changes
observed
were
not
severely
adverse.
The
survival
of
the
animals
was
not
affected
by
the
treatment.
There
was
a
statistically
significant
increasing
trend
for
liver
carcinomas
in
females
but
there
was
no
significant
increase
in
liver
tumors
in
treated
females
by
pair
wise
comparisons
with
controls.
The
Committee
determined
that,
for
female
rats,
the
highest
dose
was
adequate
based
on
an
increased
incidence
of
chronic
nephropathy.
The
CARC
concluded
that
the
increased
incidence
of
liver
tumors
observed
in
the
male
rats
was
treatment
related.
!
There
was
clear
evidence
that
oxadiazon
was
carcinogenic
to
male
and
female
ICRJCL
mice
because:
There
were
statistically
significant
positive
trends
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
in
both
sexes.
There
were
also
statistically
significant
increases
by
pair
wise
comparison
of
the
dosed
groups
with
the
controls
for
liver
adenomas
and
carcinomas
as
well
as
for
combined
liver
adenomas/
carcinomas
at
100
and
1000
ppm
for
males
and
at
1000
ppm
for
females.
There
was
a
malignant
component
to
the
liver
tumors
in
both
sexes.
The
highest
dose
level
tested
was
considered
to
be
adequate
and
not
excessive
in
both
sexes
based
on
increased
liver
weights
and
histopathological
changes
in
the
liver
at
1000
ppm
which
were
not
severely
adverse.
The
Committee
concluded
that
there
were
treatment
related
increases
in
both
benign
and
malignant
liver
tumors
in
male
and
female
mice.
The
positive
results
of
an
in
vitro
cell
transformation
assay
are
in
concordance
with
the
findings
of
in
vivo
rodent
bioassays.
!
A
battery
of
acceptable
mutagenicity
assays
indicated
that
oxadiazon
was
not
mutagenic.
!
The
mechanistic
studies
provide
insufficient
data
to
determine
whether
a
threshold
mechanism
exists
for
the
induction
of
liver
tumors
observed
in
rats
and
mice.
Nevertheless,
the
formation
of
brown
pigment
in
the
liver
and
kidneys
of
rats
and
mice
is
consistent
with
the
known
inhibitory
action
of
oxadiazon
toward
protoporphyrinogen
oxidase,
a
critical
enzyme
in
chlorophyll
and
heme
biosynthesis.
In
accordance
with
the
EPA
Draft
Guidelines
for
Carcinogen
Risk
Assessment
(
July,
1999),
the
CARC
classified
oxadiazon
into
the
category
"
Likely
to
be
carcinogenic
to
humans"
based
on
the
following
weight
of
the
evidence
considerations:
1.
Treatment
related
benign
and
malignant
liver
tumors
were
observed
in
two
species.
There
was
clear
evidence
that
oxadiazon
induced
a
statistically
significant
increase
in
liver
tumors
in
male
Wistar
rats
and
male
and
female
ICR
JCL
mice.
The
findings
of
liver
tumors
are
consistent
with
the
results
of
earlier
studies
in
male
F
344
rats
and
male
and
female
CD
mice.
The
positive
results
from
an
in
vitro
cell
transformation
assay
are
in
concordance
with
the
results
of
in
vivo
rodent
bioassays.
2.
Oxadiazon
was
not
mutagenic.
However,
it
causes
cell
transformation
in
vitro;
these
results
are
in
concordance
with
the
carcinogenicity
seen
in
in
vivo
rodent
studies.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
vi
The
Committee
recommended
a
low
dose
linear
extrapolation
approach
for
the
quantification
of
human
cancer
risk
based
on
the
most
potent
liver
tumors
in
rats
and
mice.
This
approach
is
supported
by
the
inadequacy
of
data
on
the
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rodents.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
1
I.
INTRODUCTION
According
to
the
original
carcinogenicity
assessment
for
oxadiazon,
the
pesticide
was
ranked
as
a
Group
B2,
probable
human
carcinogen
(
1984;
HED
Document
No.
004097).
The
rationale
for
the
classification,
Group
B2,
was
based
on
the
increased
incidence
of
malignant
or
combined
malignant
and
benign
liver
tumors
in
multiple
species
(
CD
1
mice
and
F344
rats
of
one
or
both
sexes)
and
in
multiple
experiments
(
two
mouse
studies
and
one
rat
study).
The
Toxicology
Branch
Peer
Review
of
this
agent
was
later
held
on
September
3,
1986
and
the
Committee
affirmed
the
earlier
classification
of
oxadiazon
as
a
Group
B2
carcinogen
but
there
was
a
minority
opinion
that
the
agent
should
be
placed
in
Group
C,
possible
human
carcinogen
(
1987;
HED
Document
No.
007798).
Review
of
the
weight
of
the
evidence
on
oxadiazon
by
the
Scientific
Advisory
Panel
reiterated
this
minority
view
(
1987;
HED
Document
No.
007798).
At
that
time,
the
Agency's
decision
on
the
carcinogenic
potential
of
oxadiazon
concurred
with
the
Scientific
Advisory
Panel's
(
SAP)
classification
of
oxadiazon
as
a
Group
C
carcinogen
(
1987;
HED
Document
No.
007798).
The
decision
to
reclassify
oxadiazon
as
a
Group
C
carcinogen
was
based
on
the
rationale
that
liver
tumors
were
produced
in
two
of
the
three
positive
studies
(
one
mouse
study
and
one
rat
study)
at
doses
that
exceeded
the
maximum
tolerated
dose
(
MTD).
For
the
quantification
of
human
cancer
risk
a
linear
low
dose
extrapolation
approach
was
recommended
(
Q1*=
1.4
x
10
1(
mg/
kg/
day)
1
).
On
March
7,
2001,
the
Cancer
Assessment
Review
Committee
(
CARC)
met
to
reconsider
the
carcinogenicity
classification
of
oxadiazon
under
the
draft
Agency
Cancer
Risk
Assessment
Guidelines
(
1999)
for
the
human
cancer
risk
assessment.
At
this
meeting,
information/
data
previously
not
available
or
relevant
to
this
review
were
presented
by
Nancy
McCarroll
of
the
Toxicology
Branch.
These
include
a
chronic/
carcinogenicity
toxicity
study
in
Wistar
rats
(
MRID
No.
40993401),
a
carcinogenicity
study
in
ICR
JCL
mice
(
MRID
No.
40993301),
genetic
toxicology
as
well
as
mechanistic
studies
and
data
on
structurally
related
compounds.
Based
on
the
available
studies,
the
quantitative
risk
to
humans
was
also
evaluated.
II.
BACKGROUND
INFORMATION
Oxadiazon
(
P.
C.
Code:
109001,
CAS
Number:
19666
30
9,
5
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
1,3,4
oxadiazol
2
one),
also
known
as
Ronstar,
is
a
selective
pre
emergent
and
early
post
emergence
herbicide
that
is
effective
primarily
for
the
control
of
annual
grasses
and
broadleaf
weeds
in
turf.
It
has
no
food
or
feed
uses.
Aventis
CropScience
USA
is
supporting
use
of
oxadiazon
on
golf
courses,
ornamentals,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds
and
cemeteries.
Oxadiazon
destroys
cell
membranes
and
inhibits
photosynthesis,
probably
by
generating
oxidizing
radicals
in
the
presence
of
light
and
is
a
powerful
inhibitor
of
plant,
yeast
and
mouse
protoporphyrinogen
oxidase,
an
enzyme
critical
in
the
biosynthesis
of
chlorophyll
and
heme
(
Matringe
et
al.,
1989).
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
2
.
Figure
1.
Chemical
Structure
of
Oxadiazon
III.
EVALUATION
OF
CARCINOGENICITY
AND
OTHER
EVIDENCE
4.
Previous
Chronic
Toxicity/
Carcinogenicity
Studies
Earlier
tumor
data
for
Oxadiazon
in
F
344
rats
and
CD
1
mice
were
discussed
previously
(
HED
Document
NO.
007798,
dated
August
27,
1987)
and
are
not
reiterated
here.
2.
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
Wistar
Rats
Reference
Y.
Shirasu
(
1987).
Oxadiazon
24
Month
Chronic
Toxicity
and
Carcinogenicity
Study
in
Rats.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan;
Study
No.
Not
listed;
Report
dated
February
1987.
(
Unpublished)
MRID:
40993401
A.
Experimental
Design
Oxadiazon
(
95.9%)
was
administered
to
SPF
Wistar
rats
(
80/
sex/
dose)
in
the
diet
at
dose
levels
of
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.106,
0.36,
3.5
or
39
mg/
kg/
day
for
males
or
0,
0.131,
0.44,
4.2
or
44
mg/
kg/
day
for
females)
for
104
weeks.
All
80
rats/
sex/
dose
were
reportedly
examined
for
histopathology.
B.
Discussion
of
Tumor
Data
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
3
The
incidences
of
liver
tumors
in
male
and
female
rats
are
presented
in
Tables
1
and
2,
respectively.
For
males,
there
were
statistically
significant
(
p<
0.01)
increasing
trends
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
(
Table
1).
There
were
also
significant
increases
in
the
pair
wise
comparisons
with
the
controls
for
liver
adenomas
at
100
ppm
(
p<
0.05)
and
1000
ppm
(
p<
0.01),
carcinomas
at
1000
ppm
(
p<
0.05)
and
combined
adenomas/
carcinomas
at
100
ppm
(
p<
0.05)
and
1000
ppm
(
p<
0.01).
For
female
rats,
there
was
a
statistically
significant
increasing
trend
(
p<
0.05)
for
liver
carcinomas
only
and
no
significant
increases
in
pair
wise
comparisons
of
the
treated
groups
with
the
controls
were
noted
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
(
Table
2).
Historical
control
data
were
not
provided
by
the
performing
laboratory;
however,
the
spontaneous
incidences
of
liver
tumors
in
Wistar
rats
reported
by
Welsh
and
Poteracki
(
1994)
are
as
follows:
males
adenomas:
1.02%,
range
0
2.5%;
carcinomas:
0.88%,
range
0
2.5%;
females
adenomas:
2.34%,
range
0
12%;
carcinomas:
0.88%,
range
0
10%.
The
incidences
of
adenomas
at
100
and
1000
ppm
(
9%
and
13%
,
respectively)
and
carcinomas
(
10%)
at
1000
ppm
in
males
exceeded
the
range
of
available
spontaneous
incidences.
The
incidences
of
liver
carcinomas
(
4%)
in
females
did
not
exceed
the
range
of
available
spontaneous
incidences.
The
Committee
concluded
that
the
increase
in
liver
tumors
in
male
rats
was
treatment
related.
C.
Non
neoplastic
Lesions
In
1991,
the
Agency
requested
the
Registrant
to
provide
new
pathology
summary
tables
and
indicate
the
exact
number
of
each
tissue
that
was
examined
(
HED
Document
No.
008949)
because
the
exact
number
of
tissues/
organs
examined
could
not
be
verified
by
the
Reviewers.
No
correspondence
regarding
this
request
has
been
presented
to
HED.
However,
the
recent
review
of
data
by
the
HED
statistician
indicated
that
none
of
the
animals
were
excluded
from
the
analyses.
Therefore,
the
Committee
concluded
that
the
integrity
of
the
study
or
the
interpretation
of
the
results
is
not
compromised
by
this
data
deficiency.
The
histopatholgical
examination
revealed
increases
in
non
neoplastic
changes
in
the
liver
at
1000
ppm.
These
included:
centrilobular
liver
swelling
(
and
)
;
acidophilic
foci
of
cellular
alteration
(
)
;
and
brown
pigmentation
in
the
Stellate
cells
(
and
)
(
Table
3).
At
100
ppm,
a
significant
(
p<
0.05)
increase
in
the
number
of
males
with
centrilobular
liver
swelling
was
seen.
Brown
pigmentation
in
the
proximal
tubular
cells
(
and
)
and
in
cortical
interstitial
tissue
(
)
as
well
as
chronic
nephropathy
(
)
were
also
noted
in
the
kidneys
of
high
dose
rats.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
4
Table
1.
Oxadiazon
SPF
Wistar
Rat
Study
Male
Liver
Tumor
Rates+
and
Exact
Trend
Test
and
Fisher's
Exact
Test
Results
(
p
values)
(
Brunsman,
2001)
Dose
(
ppm)
0
3
10
100
1000
Adenomas
(%)
p
=
0/
53
(
0)
0.001**
1/
55
(
2)
0.509
1/
54
(
2)
0.505
5a/
54
(
9)
0.030*
7a
/
52
(
13)
0.006**
Carcinomas
(%)
p=
0/
53
(
0)
0.000**
0/
55
(
0)
1.000
0/
54
(
0)
1.000
0/
54
(
0)
1.000
5b/
52
(
10)
0.027*
Combined
(%)
p
=
0/
53
(
0)
0.000**
1/
55
(
2)
0.509
1/
54
(
2)
0.505
5/
54
(
9)
0.030*
12/
52
(
23)
0.000**
+
Number
of
tumor
bearing
animals/
Number
of
animals
examined,
excluding
those
that
died
or
were
sacrificed
before
week
53.
a
First
adenoma
observed
simultaneously
at
week
78
in
interim
sacrifice
animals,
doses
100
and
1000
ppm.
b
First
carcinoma
observed
at
week
78
in
an
interim
sacrifice
animal,
dose
1000
ppm.
Note:
26
and
56
week
interim
sacrifice
animals
are
not
included
in
this
analysis.
There
were
no
liver
tumors
in
any
interim
sacrifice
animals
at
26
or
52
weeks.
Significance
of
trend
denoted
at
control.
Significance
of
pair
wise
comparison
with
control
denoted
at
dose
level.
If
*,
then
p
<
0.05.
If
**,
then
p
<
0.01.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
5
Table
2.
Oxadiazon
SPF
Wistar
Rat
Study:
Female
Liver
Tumor
Rates+
and
Exact
Trend
Test
and
Fisher's
Exact
Test
Results
(
p
values)
(
Brunsman,
2001)
Dose
(
ppm)
0
3
10
100
1000
Adenomas
(%)
p
=
1a/
52
(
2)
0.550
1/
52
(
2)
0.752
1/
55
(
2)
0.738
1/
53
(
2)
0.748
1/
55
(
2)
0.738
Carcinomas
(%)
p=
0/
52
(
0)
0.042*
0/
52
(
0)
1.000
0/
55
(
0)
1.000
0/
53
(
0)
1.000
2b/
55
(
4)
0.262
Combined
(%)
p
=
1/
52
(
2)
0.098
1/
52
(
2)
0.752
1/
55
(
2)
0.738
1/
53
(
2)
0.748
3/
55
(
5)
0.330
+
Number
of
tumor
bearing
animals/
Number
of
animals
examined,
excluding
those
that
died
or
were
sacrificed
before
week
53.
a
First
adenoma
observed
at
week
103,
dose
0
ppm.
b
First
carcinoma
observed
at
week
104,
dose
1000
ppm
Note:
26
and
52
week
interim
sacrifice
animals
are
not
included
in
this
analysis.
There
were
no
liver
tumors
in
any
in
terim
sacrifice
animals
at
26
and
56
weeks.
Significance
of
trend
denoted
at
control.
Significance
of
pair
wise
comparison
with
control
denoted
at
dose
level.
If
*,
then
p
<
0.05.
If
**,
then
p
<
0.01.
Table
3.
Non
neoplastic
Lesions
in
the
Liver
of
Wistar
Rats
Fed
Dietary
Administrations
of
Oxadiazon
for
104
Weeks
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
6
Lesions
of
the
Liver
Malesa
Group
(
ppm)
Femalesa
Group
(
ppm)
0
3
10
100
1000
0
3
10
100
1000
Centrilobular
hepatocellular
Swelling
1
2
1
8*
52*
3
2
1
9
33**
Foci
of
Cellular
Alteration
(
acidophilic)
9
14
14
9
18*
12
10
8
14
9
Brown
Pigmentation
of
Stellate
Cells
0
0
0
1
35***
4
1
4
1
12**
Focal
Hepatocellular
Fatty
Change
3
7
7
10*
8
9
10
3
8
5
a
80
animals/
sex
were
reportedly
examined
at
each
dose
level.
*
Significantly
different
(
p<
0.05)
than
the
vehicle
control
by
Fisher's
Exact
Test.
**
Significantly
different
(
p<
0.01)
than
the
vehicle
control
by
Fisher's
Exact
Test.
***
Significantly
different
(
p<
0.001)
than
the
vehicle
control
by
Fisher's
Exact
Test.
Selected
non
neoplastic
changes
in
the
kidney,
which
were
considered
to
be
treatment
related,
are
shown
in
Table
4.
At
1000
ppm,
these
included:
brown
pigmentation
in
the
proximal
tubular
cells
(
p<
0.001,
)
,
brown
pigmentation
in
the
cortical
interstitial
tissue
(
p<
0.001,
)
,
and
chronic
nephropathy
(
p<
0.01,
)
.
At
lower
doses,
non
neoplastic
lesions
were
comparable
to
the
vehicle
control
values.
Table
4.
Non
neoplastic
Lesions
in
the
Kidneys
of
Wistar
Rats
Fed
Dietary
Administrations
of
Oxadiazon
for
104
Weeks
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
7
Lesions
of
the
Kidneys
Malesa
Group
(
ppm)
Femalesa
Group
(
ppm)
0
3
10
100
1000
0
3
10
100
1000
Brown
Pigmentation
in
Proximal
Tubular
Cells
3
4
1
2
50***
6
5
8
13
20***
Brown
Pigmentation
in
Cortical
Interstitial
Tissue
2
0
0
1
49***
0
0
1
1
2
Chronic
Nephropathy
28
28
33
36
37
11
16
15
14
26**
a
80
animals/
sex
were
reportedly
examined
at
each
dose
level.
*
Significantly
different
(
p<
0.05)
than
the
vehicle
control
by
Fisher's
Exact
Test.
**
Significantly
different
(
p<
0.01)
than
the
vehicle
control
by
Fisher's
Exact
Test.
***
Significantly
different
(
p<
0.001)
than
the
vehicle
control
by
Fisher's
Exact
Test
C.
Adequacy
of
Dosing
for
Assessment
of
Carcinogenic
Potential
Statistical
evaluation
of
mortality
indicated
no
significant
incremental
changes
with
increasing
doses
of
oxadiazon
in
the
male
and
female
rats
(
Brunsman,
2001).
The
dosing
at
the
highest
dose
(
1000
ppm)
was
considered
to
be
adequate
and
not
excessive
in
male
rats
based
on
decreased
body
weight
gain
(
generally
throughout
the
study),
signs
of
transient
anemia
(
evident
at
week
26),
increased
serum
enzyme
activity
(
LDH
63%;
ALP
245%;
SGOT
151%;
SGPT
646%),
increased
bilirubin
and
increased
liver
and
kidney
weights
with
associated
pathological
changes
at
1000
ppm
which
were
not
severely
adverse
(
Refer
to
Table
3
for
details).
For
females
at
1000
ppm,
there
was
a
decrease
in
the
terminal
body
weight
(
8.9%).
However,
the
findings
were
confounded
by
apparently
fairly
large
standard
deviations.
With
the
exception
of
decreased
terminal
body
weight,
there
were
no
significant
differences
from
controls
in
body
weight
measurements.
Significant
increases
in
liver
and
kidney
weights
were
seen
only
at
week
26
and
78
(
kidney
only).
While
increases
in
liver
weight
and
findings
of
liver
pathology
were
reported
for
females
at
1000
ppm,
these
effects
were
either
less
consistent
or
occurred
less
frequently
than
those
observed
in
males
at
this
level.
Other
findings
(
anemia,
increased
serum
enzymes
and
pathological
change
such
as
foci
of
cellular
alteration)
showing
evidence
of
toxicity,
which
were
generally
confined
to
the
high
dose
were
not
noted
in
females.
However,
there
was
a
significant
increase
in
the
incidence
of
chronic
nephropathy
among
high
dose
females.
The
Committee,
therefore,
concluded
that
the
highest
dose
tested
in
female
rats
was
adequate
to
assess
the
carcinogenic
potential
of
oxadiazon.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
8
2.
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
ICR
JCL
Mice
Reference
Y.
Shirasu
(
1987).
Oxadiazon
23
Month
Chronic
Toxicity
and
Oncogenicity
Study
in
Mice.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan;
Study
No.
Not
listed;
Report
dated
February
1987.
(
Unpublished)
MRID:
40993301
A.
Experimental
Design
Oxadiazon
(
95.9%)
was
administered
to
80
ICR
JCL
mice
(
80/
sex/
dose)
in
the
diet
at
0,
3,
10,
100
or
1000
ppm
(
equivalent
to
0,
0.315,
1.09,
10.6
or
113
mg/
kg/
day
for
males
or
0,
0.278,
0.92,
9.3
or
99
mg/
kg/
day
for
females)
for
98
99
weeks
(
the
study
was
scheduled
to
run
for
104
weeks
but
due
to
deaths,
it
was
terminated
at
98
99
weeks).
Groups
of
9
10
mice/
sex/
group
were
sacrificed
at
weeks
52
were
subjected
to
pathology
analysis.
B.
Discussion
of
Tumor
Data
The
incidences
of
liver
tumors
in
male
and
female
mice
are
presented
in
Table
5
and
6,
respectively.
For
male
mice,
statistically
significant
increasing
trends
(
p<
0.01)
were
observed
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
(
Table
5).
There
were
also
significant
increases
by
pair
wise
comparisons
of
the
100
and
1000
ppm
dose
groups
with
the
controls
for
liver
adenomas,
combined
adenomas/
carcinomas
(
both
at
p
<
0.01)
and
carcinomas
(
p
<
0.05
and
p<
0.01,
respectively).
No
significant
increases
were
noted
at
lower
doses
(
3
or
10
ppm).
For
female
mice,
statistically
significant
increasing
trends
(
p<
0.01)
were
noted
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
(
Table
6).
There
were
statistically
significant
increases
by
pair
wise
comparison
of
the
1000
ppm
dose
group
with
the
controls
for
adenomas
(
p<
0.01),
carcinomas
(
p
<
0.05)
and
combined
adenomas/
carcinomas
(
p
<
0.01).
Historical
control
data
were
not
provided
by
the
performing
laboratory.
Table
5.
Oxadiazon
ICR
JCL
Mouse
Study:
Male
Liver
Tumor
Rates+
and
Exact
Trend
Test
and
Fisher's
Exact
Test
Results
(
p
values)
(
Brunsman,
2001)
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
9
Dose
(
ppm)
0
3
10
100
1000
Adenomas
(%)
p
=
2/
69
(
3)
0.000**
7/
71
(
10)
0.090
2/
71
(
3)
0.676
12/
69
(
17)
0.005**
16a/
71
(
23)
0.000**
Carcinomas
(%)
p=
3/
69
(
4)
0.000**
1/
71
(
1)
0.299
4/
71
(
6)
0.516
11/
69
(
16)
0.023*
29b/
71
(
41)
0.000**
Combined
(%)
p
=
5/
69
(
7)
0.000**
8/
71
(
11)
0.300
6/
71
(
8)
0.520
23/
69
(
33)
0.000**
45/
71
(
63)
0.000**
+
Number
of
tumor
bearing
animals/
Number
of
animals
examined,
excluding
those
that
died
before
week
46.
a
First
adenoma
observed
at
week
52
in
an
interim
sacrifice
animal,
dose
1000
ppm.
b
First
carcinoma
observed
at
week
46,
dose
1000
ppm.
Note:
Significance
of
trend
denoted
at
control.
Significance
of
pair
wise
comparison
with
control
denoted
at
dose
level.
If
*,
then
p
<
0.05.
If
**,
then
p
<
0.01.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
10
Table
6.
Oxadiazon
ICR
JCL
Mouse
Study:
Female
Liver
Tumor
Rates+
and
Exact
Trend
Test
and
Fisher's
Exact
Test
Results
(
p
values)
(
Brunsman,
2001)
Dose
(
ppm)
0
3
10
100
1000
Adenomas
(%)
p
=
0/
52
(
0)
0.000**
0/
53
(
0)
1.000
1a/
46
(
2)
0.469
1a/
48
(
2)
0.480
8a/
51
(
16)
0.003**
Carcinomas
(%)
p=
1/
52
(
2)
0.000**
0/
53
(
0)
0.495
0/
46
(
0)
0.531
1/
48
(
2)
0.732
7b/
51
(
14)
0.028*
Combined
(%)
p
=
1/
53
(
2)
0.000**
0/
53
(
0)
0.495
1/
46
(
2)
0.721
2/
48
(
4)
0.470
15/
51
(
29)
0.000**
+
Number
of
tumor
bearing
animals/
Number
of
animals
examined,
excluding
those
that
died
or
were
sacrificed
before
week
53.
a
First
adenoma
observed
at
week
99
in
final
sacrifice
animal
simultaneously
in
doses
of
10,
100
and
1000
ppm.
b
First
carcinoma
observed
at
week
83,
dose
1000
ppm.
Note:
Interim
sacrifice
animals
are
not
included
in
this
analysis.
There
were
no
liver
tumors
in
any
interim
sacrifice
animals.
Significance
of
trend
denoted
at
control.
Significance
of
pair
wise
comparison
with
control
denoted
at
dose
level.
If
*,
then
p
<
0.05.
If
**,
then
p
<
0.01.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
11
In
addition
to
liver
tumors
in
females,
a
significant
(
p<
0.05)
increase
by
pair
wise
comparison
of
the
1000
ppm
dose
group
with
the
controls
was
noted
for
malignant
lymphoma
(
Table
7);
however,
no
dose
response
was
evident.
The
Committee
concluded
that
these
tumors
were
not
treatment
related
because
there
was
no
dose
response,
the
tumor
response
was
variable
and
these
tumors
were
not
seen
in
the
male
mice.
In
addition,
these
tumors
were
also
not
reported
in
the
previously
performed
mouse
carcinogenicity
and
rat
chronic/
carcinogenicity
studies
with
oxadiazon.
The
historical
control
data
were
not
available
for
comparison.
Table
7.
Oxadiazon
ICR
JCL
Mouse
Study:
Female
Lymphoma
Tumor
Rates+
and
Exact
Trend
Test
and
Fisher's
Exact
Test
Results
(
p
values)
(
Brunsman,
2001)
Dose
(
ppm)
0
3
10
100
1000
Malignant
Lymphoma
(%)
p
=
16/
80
(
20)
0.067
25/
79
(
32)
0.067
19/
80
(
24)
0.351
21a/
80
(
26)
0.227
27/
80
(
34)
0.037*
+
Number
of
tumor
bearing
animals/
Number
of
animals
examined,
excluding
those
that
died
before
week
19.
a
First
malignant
lymphoma
observed
at
week
19,
dose
100
ppm.
Significance
of
trend
denoted
at
control.
Significance
of
pair
wise
comparison
with
control
denoted
at
dose
level.
If
*,
then
p
<
0.05.
If
**,
then
p
<
0.01.
C.
Non
neoplastic
Lesions:
In
1991,
the
Agency
requested
the
Registrant
to
provide
new
pathology
summary
tables
and
indicate
the
exact
number
of
each
tissue
that
was
examined
(
HED
Document
No.
008949)
because
the
exact
number
of
tissues/
organs
examined
could
not
be
verified
by
the
Reviewers.
No
correspondence
regarding
this
request
has
been
presented
to
HED.
However,
the
recent
review
of
data
by
the
HED
statistician
indicated
that
none
of
the
animals
were
excluded
from
the
analyses.
Therefore,
the
Committee
concluded
that
the
integrity
of
the
study
or
the
interpretation
of
the
results
is
not
compromised
by
this
data
deficiency.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
12
The
non
neoplastic
changes
in
the
liver
observed
in
male
and
female
mice
are
listed
in
Table
8.
At
1000
ppm,
there
was
a
significant
increase
in
the
incidence
of
centrilobular
liver
swelling
(
p<
0.001
)
,
diffuse
liver
swelling
(
p<
0.001
and
)
,
brown
pigment
disposition
(
p<
0.001
and
)
,
and
bile
duct
proliferation
(
p<
0.001
)
.
The
incidence
of
diffuse
liver
swelling
and
brown
pigment
disposition
was
also
significantly
increased
at
100
ppm
(
p<
0.001)
but
only
in
the
males.
The
formation
of
brown
pigment
in
the
liver
and
kidneys
of
male
mice
is
consistent
with
the
inhibition
of
porphyrin
biosynthesis
by
oxadiazon.
Other
treatment
related
findings
included
a
significant
increase
in
the
incidence
of
auricular
hardening
or
thrombus
in
the
heart
of
high
dose
males
(
p<
0.05)
and
a
significant
(
p<
0.001)
increase
in
brown
pigment
disposition
in
the
proximal
tubules
of
high
dose
male
kidneys.
Table
8.
Non
neoplastic
Lesions
in
the
Liver
of
ICR
JCL
Mice
Fed
Dietary
Administrations
of
Oxadiazon
for
98
98
Weeks
Lesions
of
the
Liver
Malesa
Group
(
ppm)
Femalesa
Group
(
ppm)
0
3
10
100
1000
0
3
10
100
1000
Centrilobular
Hepatocellular
Swelling
1
1
0
3
2
1
0
1
1
14***
Diffuse
Hepatocellular
Swelling
1
2
5
45***
67***
3
5
1
2
24***
Brown
Pigmentation
Disposition
4
3
5
47***
59***
0
1
0
3
35***
Extra
medullary
Hematopoiesis
1
2
6
1
0
13
10
7
6
4*
Diffuse
Hepatocellular
Necrosis
1
2
4
16***
7*
0
0
0
0
0
Bile
Duct
Proliferation
0
0
0
1
15***
0
0
0
0
0
a
80
animals/
sex
were
reportedly
examined
at
each
dose
level.
*
Significantly
different
(
p<
0.05)
than
the
vehicle
control
by
Fisher's
Exact
Test.
**
Significantly
different
(
p<
0.01)
than
the
vehicle
control
by
Fisher's
Exact
Test.
***
Significantly
different
(
p<
0.001)
than
the
vehicle
control
by
Fisher's
Exact
Test.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
13
D.
Adequacy
of
Dosing
for
Assessment
of
Carcinogenic
Potential
Statistical
evaluation
of
mortality
indicated
no
significant
incremental
changes
with
increasing
doses
of
oxadiazon
in
the
male
and
female
rats
(
Brunsman,
2001).
The
CARC
considered
the
dosing
to
be
adequate
and
not
excessive
in
males
and
females
based
on
anemia
and
pathological
changes
in
the
liver
at
the
highest
dose
tested
(
HDT)
which
were
not
severely
adverse
(
Refer
to
Table
8
for
details).
The
treatment
related
effects
observed
at
1000
ppm
(
HDT)
included
transient
anemia
(
evident
at
week
52)
in
males
and
females,
increased
serum
enzymes
(
SGPT
(
275
300%)
,
SGOT
(
117%),
ALP
(
325%)
and
BUN
(
44%)
(
and
)
and
at
100
ppm:
increased
SGPT
(
147%)
(
)
),
increased
liver
weights
(
absolute
and
relative)
in
males
at
week
52
and
98
and
in
females
at
week
98
and
increased
absolute
and
relative
adrenal
(
week
98)
and
kidney
(
week
98)
weights.
IV.
OTHER
TOXICOLOGY
DATA
A.
Mutagenicity
and
Cell
Transformation
Overall,
the
data
indicate
that
oxadiazon
is
not
mutagenic
but
does
cause
neoplastic
cell
transformation
in
vitro
in
Syrian
hamster
kidney
BHK21
C13/
HRC1
cells.
Nine
acceptable
mutagenicity
studies
were
available
for
review.
These
studies
satisfy
the
pre
1991
FIFRA
guideline
requirements
.
The
summaries
of
these
studies
are
presented
below:
GENE
MUTATION
a)
Salmonella
typhimurium/
Escherichia
coli
reverse
gene
mutation
assay.
The
assay
was
negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
and
E.
coli
WP2
hcr
up
to
the
highest
dose
tested
(
2500
g/
plate
S9;
1000
g/
plate
+
S9)
of
99.18%
oxadiazon
(
MRID
No.
00069893).
b)
S.
typhimurium
reverse
gene
mutation
assay:
The
assay
was
negative
in
S.
typhimurium
strains
TA1535,
TA1537,
TA1538,
TA98
and
TA100
exposed
to
97.49%
oxadiazon
up
to
5000
g/
plate+/
S9;
cytotoxicity
was
seen
at
3330
g/
plate
S9
(
MRID
No.
41871701).
c)
L5178Y
TK
+/
mouse
lymphoma
cell/
mammalian
activation
forward
mutation
assay:
The
assay
was
negative
in
cells
treated
with
oxadiazon
(
95.5%
a.
i.)
up
to
reproducibly
cytotoxic
levels
in
the
absence
of
S9
activation
(
1000
g/
mL)
and
severely
cytotoxic
doses
(
200
g/
mL)
with
S9
activation.
Oxadiazon
was
insoluble
at
62.5
g/
mL
(
MRID
No.
00115726).
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
14
d)
L5178Y
TK
+/
mouse
lymphoma
cell/
mammalian
activation
forward
mutation
assay:
The
assay
was
negative
in
cells
treated
with
recrystallized
oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
levels
(
1000
g/
mL
S9;
250
g/
mL
+
S9;
MRID
00115729).
CHROMOSOME
ABERRATIONS
e)
In
vitro
chromosome
aberration
assay
in
Chinese
hamster
ovary
(
CHO)
cells:
The
assay
was
negative
in
cells
treated
with
oxadiazon
(
95.5%
a.
i.)
up
to
cytotoxic
concentrations
(
75
g/
mL
S9;
41.6
g/
mL
+
S9)
and
the
limit
of
solubility
(
416
g/
mL)
(
MRID
00115730).
f)
In
vitro
chromosome
aberration
assay
in
Chinese
hamster
ovary
(
CHO)
cells:
The
assay
was
negative
in
cells
treated
with
recrystallized
oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
concentrations
(
200
g/
mL
S9;
500
g/
mL
+
S9)
and
the
limit
of
solubility
(
667
g/
mL
S9;
200
g/
mL
+
S9;
MRID
00115728).
OTHER
MUTAGENIC
MECHANISMS
g)
Unscheduled
DNA
Synthesis(
UDS)
in
primary
rat
hepatocytes
assay:
The
test
was
negative
in
hepatocytes
exposed
to
oxadiazon
(
95.5%
a.
i.)
to
cytotoxic
concentrations
(
100
µ
g/
mL)
and
the
limit
of
solubility
(
50
µ
g/
mL)
(
MRID
No.
00115727).
h)
UDS
in
primary
rat
hepatocytes
assay:
The
test
was
negative
in
hepatocytes
exposed
to
recrystallized
oxadiazon
(
100%
a.
i.)
up
to
cytotoxic
concentrations
(
100
500
µ
g/
mL)
and
the
limit
of
solubility
(
25
µ
g/
mL)
(
MRID
No.
00115723).
CELL
TRANSFORMATION
i)
In
vitro
cell
transformation
assay
in
Syrian
hamster
kidney
BHK21
C13/
HRC1
cells:
The
test
was
positive
both
with
and
without
S9
activation,
based
on
the
induction
of
transformation
frequencies
(
TFs)
5
times
the
solvent
control
value
at
the
LD
50
.
Oxadiazon
(
90%
a.
i.)
and
recrystallized
oxadiazon
(
100
%
a.
i.)
were
tested
up
to
cytotoxic
concentrations
with
LD
50
values
in
the
absence
of
S9
mix
of
118
µ
g/
mL
and
200
µ
g/
mL,
respectively.
In
the
presence
of
S9
mix,
the
LD
50
of
oxadiazon
was
69
µ
g/
mL;
however,
the
LD
50
for
recrystallized
oxadiazon
was
not
determined
as
cell
viability
was
78%
of
the
solvent
control
at
the
highest
dose
tested
(
400
µ
g/
mL).
The
transformation
frequencies
(
the
number
of
transformed
colonies/
106
surviving
cells)
at
the
LD
50
concentrations
were
128
and
79
for
cells
treated
with
oxadiazon
in
the
absence
and
presence
of
S9
mix,
compared
to
the
solvent
control
values
of
4
and
5,
respectively.
Recrystallized
oxadiazon
induced
transformation
frequencies
of
55
at
the
LD
50
in
the
absence
of
S9
mix
and
60
at
the
highest
dose
tested
in
the
presence
of
S9
mix.
A
positive
dose
response
trend
was
generally
apparent
for
both
concentrations.
This
study
is
classified
as
acceptable
(
nonguideline)
(
MRID
No.
00115703).
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
15
2.
Conclusions
Acceptable
bacterial
assays
with
97.49%
oxadiazon
were
negative
for
gene
mutations
in
Salmonella
typhimurium
and
Escherichia
coli
(
MRID
Nos.
00069893
and
41871701).
Similarly,
neither
95.5%
oxadiazon
nor
recrystallized
Oxadiazon
(
100%)
were
mutagenic
or
clastogenic
in
cultured
mammalian
cells
(
MRID
Nos.
00115726,
00115729,
00115728
and
00115730)
and
did
not
cause
UDS
in
primary
rat
hepatocytes
(
MRID
Nos.
00115727
and
00115723).
There
is,
however,
evidence
that
both
formulations
induced
neoplastic
transformation
in
Syrian
hamster
kidney
cells
both
in
the
presence
and
in
the
absence
of
S9
activation
(
MRID
No.
00115703).
The
finding
of
positive
cell
transformation
supports
the
evidence
from
mouse
bioassays
(
MRID
Nos.
00444322,
00115733
and
40993301)
and
the
rat
long
term
studies
(
MRID
Nos.
00149003/
00157780
and
40993401)
of
liver
tumor
induction.
B.
Structural
Activity
Relationships
The
two
structurally
related
compounds,
azafenidin
and
sulfentrazone,
are
nonmutagenic
and
are
not
hepatocarcinogens
in
rats
or
mice.
Oxadiazon
belongs
to
the
class
of
oxadiazoles.
While
oxadiazon
is
only
somewhat
similar
in
structure
to
other
pesticides
that
have
a
chlorinated
phenol
ring
and
a
heterocyclic
ring
(
Figure
2),
it
shares
some
biological
properties
with
azafenidin
and
sulfentrazone
(
i.
e.,
inhibition
of
protoporphyrinogen
oxidase
and/
or
adverse
effects
on
the
hematopoietic
system
and
the
liver
of
rodents).
Sulfentrazone
produced
equivocal
results
in
the
mouse
lymphoma
forward
mutation
assay,
was
not
mutagenic
in
Salmonella
and
was
neither
clastogenic
nor
aneugenic
in
vivo.
There
was
also
no
evidence
of
a
carcinogenic
effect
in
2
year
bioassays
in
rats
and
mice
(
EPA,
1999).
Azafenidin
was
not
mutagenic
in
the
available
studies.
The
CARC
agreed
that
the
consensus
classification
for
male
rat
thyroid
tumors
seen
following
administration
of
azafenidin
should
be
in
"
Data
are
inadequate"
category
but
no
additional
cancer
studies
were
considered
necessary
nor
would
there
be
any
quantification
of
human
cancer
risk.(
CARC,
1999;
HED
Doc
#
013794).
Figure
2.
Structural
Activity
Relationships:
Oxadiazon
and
Related
Structures
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
16
N
N
O
O
Cl
Cl
O
CH
3
CH
3
CH
3
C
H
3
CH
3
N
N
O
Cl
Cl
O
N
CH
N
N
O
Cl
Cl
O
N
CH
Oxadiazon
Azafenidin
Sulfentrazone
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
17
N
N
O
Cl
Cl
NH
N
CH
3
S
O
O
CH
3
F
F
C.
Mode
of
Action
Studies
The
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
determined
that
the
available
information
does
not
support
the
proposed
non
genotoxic
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rodents
(
McCarroll,
2001).
The
mechanistic
studies
including
an
unpublished
study
in
Sprague
Dawley
rats
(
MRID
No.
42310001)
and
a
published
study
by
Richert
et
al.,
1996
in
Sprague
Dawley
rats,
CD
1
mice
and
Beagle
dogs
were
presented
to
the
MTARC
on
February
8,
2001.
The
committee
concluded
that
peroxisome
proliferation
may
be
a
possible
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rats
and
mice.
However,
there
are
deficiencies
in
the
database
which
include
lack
of
cell
proliferation
data
in
rat
and
mouse
studies,
lack
of
concordance
between
the
dose
response
for
peroxisomal
enzymatic
activity
and
liver
tumor
induction,
and
decrease
rather
than
increase
in
catalase
activity.
Therefore,
the
available
information
is
inadequate
to
determine
the
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rodents.
V.
COMMITTEE'S
ASSESSMENT
OF
THE
WEIGHT
OF
THE
EVIDENCE
1.
Carcinogenicity
The
CARC
concluded
that:
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
18
!
In
the
combined
chronic
toxicity/
carcinogenicity
study
in
Wistar
rats,
there
was
clear
evidence
that
oxadiazon
was
carcinogenic
to
male
rats
because:
1)
There
were
statistically
significant
(
p<
0.01)
positive
trends
for
liver
adenomas,
carcinomas
and
combined
adenomas/
adenocarcinomas.
There
was
also
a
statistically
significant
(
p<
0.05
or
p<
0.01)
increase
by
pair
wise
comparisons
of
the
100
and
1000
ppm
(
3.5
and
39
mg/
kg/
day,
respectively)
dose
groups
with
the
controls
for
liver
adenomas
(
9%
and
13%
,
respectively,
vs
0%
in
controls)
and
combined
adenomas/
carcinomas
(
9%
and
23%
vs
0%
in
controls)
as
well
as
liver
carcinomas
(
10%
vs
0%
in
controls)
at
1000
ppm;
and
2)
The
incidences
of
liver
adenomas
and
carcinomas
were
outside
the
range
for
the
published
spontaneous
rates
(
range
both
for
liver
adenomas
and
carcinomas
:
0%
2.5%).
For
females,
there
was
a
statistically
significant
increasing
trend
for
liver
carcinomas
but
there
were
no
significant
pair
wise
comparisons
of
liver
tumors
in
treated
females.
The
highest
dose
level
tested
was
considered
to
be
adequate
and
not
excessive
for
males
based
on
decreased
body
weight
gains
as
well
as
clinical
and
the
clinical
and
histopatholgical
liver
changes
observed
which
were
not
severely
adverse.
For
female
rats,
the
highest
dose
was
considered
to
be
adequate
and
not
excessive
based
on
an
increased
incidence
of
chronic
nephropathy
and
liver
changes.
The
survival
of
the
animals
was
not
affected
by
the
treatment.
The
CARC
concluded
that
the
increases
in
both
the
benign
and
malignant
liver
tumors
in
the
male
rats
were
treatment
related.
!
In
the
combined
chronic
toxicity/
carcinogenicity
study
in
ICR
JCL
mice,
there
was
clear
evidence
that
oxadiazon
was
carcinogenic
to
male
and
female
mice
because:
1)
There
were
statistically
significant
(
p<
0.01)
positive
trends
for
liver
adenomas,
carcinomas
and
combined
adenomas/
carcinomas
in
males
and
females.
For
males,
there
were
also
statistically
significant
(
p<
0.05
or
p<
0.01)
increases
by
pair
wise
comparisons
of
the
100
and
1000
ppm
(
10.6
and
113
mg/
kg/
day,
respectively)
dose
groups
with
the
controls
for
liver
adenomas
(
17%
and
23%,
respectively,
vs
3%
in
controls),
carcinomas
(
33%
and
63%,
respectively,
vs
4%
in
controls)
and
combined
adenomas/
carcinomas
(
16%
and
41%
,
respectively,
vs
7%
in
controls).
For
females,
there
were
also
statistically
significant
(
p<
0.05
or
<
0.01)
increases
by
pair
wise
comparisons
of
the
1000
ppm
dose
group
(
99
mg/
kg/
day)
with
the
controls
for
liver
adenomas
(
16%
vs
0%
in
controls),
carcinomas
(
14%
vs
2%
in
controls)
and
combined
adenomas/
carcinomas
(
29%
vs
2%
in
controls).
The
increase
in
the
incidence
of
lymphomas
in
females
was
not
considered
to
be
treatment
related
because
there
was
no
doseresponse
the
tumor
response
was
variable
and
this
type
of
tumor
was
not
seen
in
male
mice
or
in
earlier
studies.
The
highest
dose
level
tested
for
the
male
and
female
mice
was
considered
to
be
adequate
and
not
excessive
based
on
the
findings
of
anemia
and
histopatholgical
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
19
changes
in
the
liver
which
were
not
severely
adverse.
There
were
no
adverse
effects
on
the
body
weight
gain
and
survival
of
the
animals.
The
Committee
concluded
that
the
increases
in
both
benign
and
malignant
liver
tumors
in
male
and
female
mice
were
treatment
related.
The
positive
results
in
an
in
vitro
cell
transformation
assay
are
in
concordance
with
the
findings
of
liver
tumor
induction
in
the
in
vivo
rodent
studies.
2.
Mutagenicity
The
CARC
concluded
that
oxadiazon
was
negative
for
mutagenic
potential
in
a
battery
of
acceptable
mutagenicity
studies
which
satisfy
the
pre
1991
FIFRA
guideline
requirements.
These
studies
included
reverse
gene
mutation
assays
in
bacteria,
a
mouse
lymphoma
forward
gene
mutation
assay,
chromosome
aberration
assays,
and
UDS
assays.
No
new
studies
were
requested
by
the
CARC.
3.
Structure
Activity
Relationships
The
structurally
related
compounds,
azafenidin
and
sulfentrazone,
are
neither
mutagenic
nor
liver
carcinogens
in
rats
or
mice.
4.
Mode
of
Action
Studies
The
MTARC
concluded
that
the
available
mechanistic
data
are
insufficient
to
determine
whether
oxadiazon
induced
liver
tumors
in
the
rats
and
mice
were
associated
with
peroxisome
proliferation.
Nevertheless,
the
formation
of
brown
pigment
in
the
liver
and
kidneys
of
rats
and
mice
is
consistent
with
the
inhibition
of
porphyrin
biosynthesis
by
oxadiazon.
It
is
caused
by
the
disruption
of
the
biosynthetic
pathways
producing
heme
that
leads
to
accumulation
of
precursors
throughout
the
body.
VI.
CLASSIFICATION
OF
CARCINOGENIC
POTENTIAL
In
accordance
with
the
EPA
Draft
Guidelines
for
Carcinogen
Risk
Assessment
(
July,
1999),
the
CARC
classified
oxadiazon
into
the
category
"
Likely
to
be
carcinogenic
to
humans"
based
on
the
following
weight
of
the
evidence
considerations:
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
20
1.
Treatment
related
benign
and
malignant
liver
tumors
were
observed
in
two
species.
There
was
clear
evidence
that
oxadiazon
induced
both
benign
and
malignant
liver
tumors
in
male
Wistar
rats
and
male
and
female
ICR
JCL
mice.
Liver
tumors
were
also
noted
in
earlier
studies
with
F
344
rats
and
CD
1
mice
using
higher
doses
of
oxadiazon
that
exceeded
the
MTD.
2.
Oxadiazon
was
not
mutagenic.
However,
it
causes
cell
transformation
in
vitro;
these
results
are
in
concordance
with
the
carcinogenicity
seen
in
in
vivo
rodent
studies.
3.
The
available
mechanistic
studies
do
not
support
a
non
genotoxic
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rodents.
VII.
QUANTIFICATION
OF
CARCINOGENIC
POTENTIAL
.
For
human
cancer
risk
assessment,
the
CARC
recommended
using
a
linear
low
dose
extrapolation
approach
based
on
the
most
potent
liver
tumors
in
the
rats
and
mice.
This
approach
is
supported
by
the
inadequacy
of
data
on
the
mode
of
action
for
oxadiazon
induced
liver
tumors
in
rodents.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
21
VII.
BIBLIOGRAPHY
MRID
No.
CITATION
40993401
Shirasu,
Y.
(
1987).
Oxadiazon
24
Month
Chronic
Toxicity
and
Carcinogenicity
Study
in
Rats.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan;
Study
No.
Not
listed;
Report
dated
February
1987.
(
Unpublished).
HED
Doc.#
08949.
40993301
Shirasu,
Y.
(
1987).
Oxadiazon
23
Month
Chronic
Toxicity
and
Carcinogenicity
Study
in
Mice.
Institute
of
Environmental
Toxicology,
Tokyo,
Japan;
Study
No.
Not
listed;
Report
dated
February
1987.
(
Unpublished).
HED
Doc.#
08949.
Brunsman,
L.
L.
(
2001).
Oxadiazon
Qualitative
Risk
Assessment
(
Q
1
*)
Based
on
SPF
Wistar
Rat
and
ICR_
JCL
Mouse
Dietary
Studies.
A
memorandum
from
Lori
L.
Brunsman,
Science
Analyses
Branch,
Health
Effects
Division
to
Nancy
McCarroll,
Toxicology
Branch,
Health
Effects
Division,
dated
February
14,
2001.
HED
Doc
#
014470.
CARC.
(
1999).
Evaluation
of
the
carcinogenic
potential
of
Azafenidin/
Cancer
Assessment
Document.
Cancer
Assessment
Review
Committee
,
Health
Effects
Division,
Office
of
Pesticide
Programs.
Final
Report
dated
October
18,
1999.
HED
Doc
#
013794.
EPA
(
1999).
Office
of
Pesticide
Programs
List
of
Chemicals
Evaluated
for
Carcinogenic
Potential.
Memorandum
from
William
Burnam
to
Division
Directors,
Office
of
Pesticide
Programs,
Environmental
Protection
Agency.
August
25,
1999.
Farber,
T.
M..
(
1987).
Classification
of
Oncogenic
Potential
of
Oxadiazon.
Memorandum
from
Theodore
M.
Farber,
Health
Evaluation
Division
to
Edwin
F.
Tinsworth,
Registration
Division,
Office
of
Pesticide
Programs,
U.
S.
EPA.,
dated
August
27,
1987.
HED
Doc
#
007798.
Litt,
B.
D.
(
1984).
Carcinogenicity
Risk
Assessment
for
Oxadiazon.
Memorandum
from
Bertram
D.
Litt,
Toxicology
Branch
to
Richard
Mountfort
Registration
Division,
Office
of
Pesticide
Programs,
U.
S.
EPA.,
dated
November
21,
1984.
HED
Doc#
004097.
Matringe,
M.,
Camadro,
J.
M.,
Labbe,
P.,
Scalla,
R.
(
1989).
Protoporphyrinogen
oxidase
inhibition
by
three
peroxidizing
herbicides:
oxadiazon,
LS
82
556
and
M&
B
39279.
FEBS
Letters
245,
number
1,
2:
35
38.
Oxadiazon
(
3
rd
Review)
Cancer
Assessment
Document
Final
Report
22
McCarroll,
N.
(
2001).
Oxadiazon:
Assessment
of
Mode
of
Action
on
Liver
Carcinogenicity.
A
memorandum
from
Nancy
McCarroll,
Toxicology
Branch
to
William
Burnham,
Immediate
Office,
Office
of
Pesticide
Programs,
U.
S.
EPA.,
dated
February
28,
2001.
Quest,
J.
A.
(
1987).
2nd
Peer
Review
of
Oxadiazon.
A
memorandum
from
John
A.
Quest,
Toxicology
Branch
to
Richard
Mountfort
Registration
Division,
Office
of
Pesticide
Programs,
U.
S.
EPA.,
dated
April
14,
1987.
HED
Doc
#
07798
Richert,
L.,
Price,
S.,
Chesne,
C.,
Maita,
K.
Carmichael,
N.
(
1996).
Comparison
of
the
induction
of
hepatic
peroxisome
proliferation
by
the
herbicide
Oxadiazon
in
vivo
in
rats,
mice,
and
dogs
and
in
vitro
in
rat
and
human
hepatocytes.
Toxicol.
Appl.
Pharmacol
141:
35
43.
Welsh,
K.
M.
And
Poteracki,
J.
(
1994).
Spontaneous
neoplasms
in
control
Wistar
rats.
Fundam
Appl
Toxicol
22:
65
72.
| epa | 2024-06-07T20:31:45.234402 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0011/content.txt"
} |
EPA-HQ-OPP-2002-0309-0012 | Supporting & Related Material | 2002-12-03T05:00:00 | null |
1
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
DATE:
February
28,
2001
MEMORANDUM
SUBJECT:
Oxadiazon:
Assessment
of
Mode
of
Action
on
Liver
Carcinogenicity
FROM:
Nancy
McCarroll
Toxicology
Branch
Health
Effects
Division
(
7509C)
THRU:
Pauline
Wagner,
Co
Chair
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
Health
Effects
Division
(
7509C)
and
Karl
Baetcke,
Co
Chair
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
Health
Effects
Division
(
7509C)
TO:
William
Burnham,
Senior
Scientist
Advisor
Chairman,
Cancer
Assessment
Review
Committee
(
CARC)
Immediate
Office
Health
Effects
Division
(
7509C)
cc:
Anna
Lowit,
Executive
Secretary,
MTARC
Veronique
LaCapra,
Chemical
Review
Manager,
SRRD
Branch
Files
Oxadiazon
2
PC
Code:
109001
DP
Barcode:
D266361
Action:
The
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
met
on
February
8,
2001
to
evaluate
the
mechanistic
and
other
relevant
data
to
determine
whether
the
available
findings
support
peroxisome
proliferation
as
a
possible
mechanism
of
action
for
liver
tumors
induction
by
Oxadiazon.
The
mechanistic
data
included
one
14
day
oral
study
in
rats
submitted
by
the
Registrant
(
MRID
No.
42310001)
and
a
journal
article
(
Richert
et
al.,
1996).
Conclusions:
Based
on
the
weight
of
the
evidence,
there
are
sufficient
data
to
classify
Oxadiazon
as
a
non
genotoxic
hepatocarcinogen.
The
available
data
also
provide
suggestive
evidence
of
peroxisome
proliferation.
There
are,
however,
weaknesses
in
the
database
that
preclude
acceptance
of
peroxisome
proliferation
as
the
mode
of
action
for
Oxadiazon
induced
liver
tumors;
these
include:
(
1)
No
cell
proliferation
data
were
reported
for
rats
or
mice;
hence,
mitogenesis
could
not
be
mechanistically
linked
to
proliferation
of
peroxisomes.
(
2)
There
was
no
convincing
concordance
between
the
dose
response
for
peroxisomal
enzymatic
activity
and
tumor
formation.
(
3)
The
role
of
decreased
catalase
activity,
which
generally
increases
in
the
presence
of
a
proxisome
proliferator,
was
not
explained
by
the
investigators
of
the
submitted
study.
The
Committee
concluded,
therefore,
that
peroxisome
proliferation
may
be
a
possible
mode
of
action
for
Oxadiazon
induced
liver
tumors
in
rats
and
mice.
However,
because
of
shortcomings
in
the
database,
the
available
information
do
not
support
this
proposed
non
genotoxic
mode
of
action
for
Oxadiazon
at
this
time.
3
Committee
Members
in
Attendance
Members
who
were
present
and
gave
electronic
concurrence
to
this
report
were:
Karl
Baetcke,
Mike
Ioannou,
Anna
Lowit,
Alberto
Protzel,
and
Pauline
Wagner
Data
evaluation
prepared
by:
Nancy
McCarroll,
Toxicology
Branch
Also
in
attendance
were:
Veronique
LaCapra
of
SRRD
and
HaJung
Sung
of
Rural
Development
Administration,
Korea.
4
Proposed
Mechanism
of
Action
for
Oxadiazon:
Recommendations
to
the
MTARC
I.
Background:
The
relevance
of
peroxisome
proliferation
(
PP)
to
hepatocarcinogenesis
has
been
previously
discussed
(
see
HED
Memorandum:
Lactofen:
Assessment
of
Mode
of
Action
on
Liver
Carcinogenicity
from
Robert
F.
Fricke
to
Christine
Olinger,
dated
February
15,
2001).
Within
this
document,
criteria
are
presented
that
must
be
satisfied
before
a
non
genotoxic
hepatocarcinogen
can
be
classified
as
a
PP.
These
criteria,
which
were
established
through
the
joint
efforts
of
MTARC
and
CARC,
are:
1.
Changes
in
liver
morphology
indicating
hepatomegaly
as
measured
by
increased
relative
liver
weights
and
an
increased
number
of
peroxisomes
as
measured
by
morphometric
analysis.
2.
Evidence
of
cell
proliferation
as
measured
by
increased
relative
liver
weights
and
increased
replicative
DNA
synthesis
as
measured
by
increased
hepatocellular
BrdU
nuclear
labeling
in
light
microscopy.
3.
Increased
levels
of
enzymes
involved
in
peroxisomal
fatty
acid
metabolism,
especially
acyl
or
palmitoyl
CoA
oxidase.
II.
Physical
and
Chemical
Properties
of
Oxadiazon
Oxadiazon,
2
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
1,3,4
oxadiazol
5
one,
is
a
selective
pre
emergent
and
early
post
emergence
herbicide
that
is
effective
primarily
for
the
control
of
annual
grasses
and
broadleaf
weeds
in
turf.
The
trade
name
for
Oxadiazon
in
the
U.
S.
is
Ronstar.
Oxadiazon
has
no
food
or
feed
uses.
Most
of
the
usage
is
allocated
to
golf
courses.
However,
the
Registrant
is
now
supporting
use
of
Oxadiazon
on
golf
courses,
apartment/
condo
lawns,
athletic
fields,
parks,
playgrounds,
and
cemeteries.
The
mechanism
of
action
is
contact
inhibition
by
affecting
young
shoots
as
they
grow
through
the
treated
zone
(
pre
emergence)
and
complete
coverage
(
post
emergence).
Oxadiazon
destroys
cell
membranes
and
inhibits
photosynthesis,
probably
by
generating
oxidizing
radicals
in
light
and
is
a
powerful
inhibitor
of
plant,
yeast
and
mouse
protoporphyrinogen
oxidase,
an
enzyme
critical
in
the
biosynthesis
of
chlorophyll
and
heme
(
Matringe
et
al.,
1989).
Oxadiazon
has
the
following
structure:
Empirical
Formula:
C
15
H
18
Cl
2
N
2
O
3
III.
Classification
of
Carcinogenic
Potential
5
According
to
the
Cancer
Assessment
Review
Committee
(
CARC)
report,
dated
August
27,
1987
(
HED
Document
No.
007798),
the
original
peer
review
(
November
21,
1984,
HED
Document
No.
004097)
placed
Oxadiazon
into
Group
B2
(
probable
human
carcinogen)
but
there
was
a
minority
opinion
that
the
agent
should
be
placed
in
Group
C
(
possible
human
carcinogen).
Review
of
the
weight
of
theevidence
on
Oxadiazon
by
the
Scientific
Advisory
Panel
(
dated
November
20,
1987)
reiterated
this
minority
view.
Consequently,
the
current
Agency
decision
on
the
carcinogenic
potential
of
Oxadiazon
concurs
with
the
Scientific
Advisory
Panel's
(
SAP)
classification
of
Oxadiazon
as
a
Group
C
carcinogen
and
the
Q1*
has
been
set
at
1.4
x
10
1(
mg/
kg/
day)
1
in
human
equivalents.
The
rationale
for
the
original
classification
as
group
B2
was
based
on
the
increased
incidence
of
malignant
or
combined
malignant
and
benign
liver
tumors:
a)
in
multiple
species
(
CD
1
mice
and
F344
rats
of
one
or
both
sexes)
and
in
multiple
experiments
(
liver
tumors
in
two
mouse
studies
and
in
one
rat
study).
The
decision
to
reclassify
Oxadiazon
as
a
Group
C
carcinogen
was
based
on
the
rationale
that
liver
tumors
were
produced
in
two
of
the
three
positive
studies
(
one
mouse
study
and
one
rat
study)
at
doses
that
exceeded
the
maximum
tolerated
dose
(
MTD).
Since
the
time
of
the
classification
of
the
oncogenic
potential
of
Oxadiazon
as
a
Group
C
carcinogen,
a
new
chronic/
oncogenicity
study
in
rats
(
MRID
No.
40993401)
and
a
new
carcinogenicity
study
in
mice
(
MRID
No.
40993301)
have
been
submitted
to
the
Agency.
The
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
recommended
that
the
Q1*
be
revisited
and
that
the
Cancer
Assessment
Review
Committee
(
CARC)
reconvene
to
evaluate
these
more
recent
studies.
The
CARC
is
awaiting
the
outcome
of
the
current
MTARC
deliberations
before
evaluating
these
more
recent
chronic
studies.
IV.
Mutagenicity
Oxadiazon
is
neither
mutagenic
nor
clastogenic
but
does
cause
neoplastic
cell
transformation
in
vitro.
Acceptable
bacterial
assays
with
97.49%
Oxadiazon
were
negative
for
gene
mutations
in
Salmonella
typhimurium
and
Escherichia
coli
(
MRID
Nos.
00069893
and
41871701).
Similarly,
neither
95.5%
Oxadiazon
nor
recrystallized
Oxadiazon
(
100%)
were
mutagenic
or
clastogenic
in
cultured
mammalian
cells
and
did
not
cause
unscheduled
DNA
synthesis
(
UDS)
in
primary
rat
hepatocytes.
There
is,
however,
evidence
that
both
formulations
induced
neoplastic
transformation
in
Syrian
hamster
kidney
cells
both
in
the
presence
and
in
the
absence
of
S9
activation.
The
finding
of
positive
cell
transformation
supports
the
evidence
from
mouse
bioassays
(
MRID
Nos.
00444322,
00115733
and
40993301)
and
the
rat
long
term
studies
(
MRID
Nos.
00149003/
00157780
and
40993401)
of
liver
tumor
induction.
V.
Evaluation
of
the
Toxicology
Database
for
Peroxisome
Proliferation
as
a
Possible
Mechanism
of
Action
for
Liver
Tumors
Induced
by
Oxadiazon
Data
submitted
by
the
Registrant
are
from
both
guideline
and
one
non
guideline
(
mechanistic)
studies.
In
general,
the
database
for
Oxadiazon
is
complete
and
has
been
evaluated
with
respect
to
the
potential
of
Oxadiazon
to
induce
liver
tumors
via
peroxisome
proliferation.
Results
from
submitted
studies
were
selected
to
illustrate
findings
pertinent
to
peroxisome
proliferation
as
the
proposed
mechanism
of
action
of
Oxadiazon
and
are
summarized
in
Table
1.
In
addition,
a
published
study
conducted
in
rats,
mice
6
and
dogs
(
Richert
et
al.,
1996)
has
also
been
considered
with
pertinent
results
presented
in
Table
1.
All
data
have
been
assessed
relative
to
the
peroxisome
proliferation
criteria
presented
earlier.
A.
Criterion
1:
Increased
Liver
Weights
and
Increased
Peroxisome
Proliferation
As
shown
in
Table
1,
increased
absolute
and
relative
liver
weights
were
seen
in
both
sexes
of
several
rat
strains
(
Sprague
Dawley,
only
examined,
Fischer
344,
CD,
Wistar)
in
male
and
female
mice
(
CD
1
and
ICR
JCL)
and
Beagle
dogs.
The
length
of
exposure
ranged
from
14
days
to
2
years.
Doses
causing
increased
liver
weights
in
rats
ranged
from
200
mg/
kg/
day
(
14
days),
51
mg/
kg/
day
(
6
months)
to
6
mg/
kg/
day
(
24
months).
In
mice,
the
earliest
time
that
liver
weights
were
recorded
in
the
Guideline
studies
was
52
weeks.
At
this
interval,
significant
effects
were
seen
at
113
mg/
kg/
day.
By
104
weeks,
liver
weight
increases
were
noted
at
doses
12
mg/
kg/
day.
Similar
results
of
significantly
increased
absolute
and
relative
liver
weights
have
been
shown
by
Richert
et
al.(
1996)
in
Sprague
Dawley
rats
(
200
mg/
kg/
day,
14
days)
and
CD
1
mice
(
200
mg/
kg/
day,
as
early
as
28
days
post
treatment)
but
not
in
Beagle
dogs
after
28
days
of
exposure.
Regardless
of
the
rodent
species,
hepatomegaly
was
generally
more
pronounced
in
males
than
in
females.
Hence,
the
data
show
convincing
evidence
pointing
to
hypertrophy
as
the
cause
of
hepatomegaly
in
rats
and
mice.
There
is
also
evidence
of
hyperplasia
in
CD
1
mice
but
it
was
only
seen
in
one
of
two
studies
conducted
with
this
mouse
strain
and
was
not
reported
in
strain
ICRJCL
In
the
14
day
oral
mechanism
study
(
MRID
No.
42310001)
with
Sprague
Dawley
rats,
electron
micrographs
showed
an
increase
in
peroxisomes
at
500
mg/
kg/
day
Oxadiazon.
Livers
from
lower
dose
groups
were
not
examined
microscopically.
However,
electron
microscopy
of
rat
and
mouse
liver
sections
in
the
study
of
Richert
et
al.
(
1996),
showed
a
qualitative
and
dosedependent
increase
in
peroxisomes
at
20
mg/
kg/
day
(
minimal
in
5
of
11
mice),
100
mg/
kg/
day
(
moderate
in
7
of
7
mice)
and
200
mg/
kg/
day
(
severe
in
9
of
9
mice).
Eight
of
10
rats
administered
500
mg/
kg/
day
Oxadiazon
also
showed
a
"
severe"
increase
in
peroxisomes.
B.
Criterion
2:
Evidence
of
Cell
Proliferation
As
stated
above,
there
is
ample
evidence
of
increased
relative
liver
weights;
however,
no
study
has
been
submitted
on
the
effects,
if
any,
of
Oxadiazon
on
replicative
DNA
synthesis.
It
is
of
note
that
Oxadiazon
was
tested
in
two
in
vitro
assays
(
MRID
Nos.
00115723
and
27)
for
UDS
in
primary
rat
hepatocytes.
Both
studies
were
negative
for
UDS,
and
cells
undergoing
DNA
replication
rather
than
DNA
repair
were
reported
to
be
evenly
distributed
among
all
groups.
C.
Criterion
3:
Evidence
of
Increased
Enzymatic
Activity
Increased
levels
of
enzymes
associated
with
liver
toxicity
(
ALP,
SGOT,
SGPT
and/
or
LDH)
were
recorded
in
subchronic
dietary
studies
lasting
90
days
in
rats
as
well
as
chronic
studies
lasting
1
2
years
in
rats,
mice
or
dogs
and
can
be
seen
in
many
of
the
studies
listed
in
Table
1.
In
the
14
day
oral
mechanism
study
(
MRID
No.
42310001)
with
Sprague
Dawley
rats,
dose
related
increases
in
palmitoyl
CoA
oxidation
(
PAO),
palmitoyl
carnitine
transferase
and
acetyl
carnitine
7
transferase
(
ACT)
were
reported
at
20,
200
and
500
mg/
kg/
day;
effects
at
200
mg/
kg/
day
were
significant.
Catalase
activity
was,
however,
significantly
reduced
at
200
and
500
mg/
kg/
day.
This
decrease
in
catalase
activity,
which
is
generally
increased
in
the
presence
of
peroxisome
proliferation,
was
not
explained
by
the
investigators.
In
agreement
with
the
peroxisomal
enzyme
activity
results
from
the
submitted
14
day
study,
Richert
et
al.
(
1996)
found
a
significant
(
p<
0.05)
and
dose
related
increase
in
rat
(
PAO)
and
ACT
at
200
and
500
mg/
kg/
day.
In
mice,
the
same
investigators
noted
that
increases
in
PAO
were
achieved
at
100
(
174%
of
control)
and
200
mg/
kg
(
p<
0.05).
ACT
was
also
significantly
increased
at
these
levels.
No
biochemical
assays
in
dogs
were
performed.
In
vitro
studies
conducted
as
part
of
these
investigations
showed
concentration
dependent
increases
in
both
PAO
and
ACT
at
2.5
10
x
10
5
M
Oxadiazon
in
primary
rat
hepatocytes;
no
effect
were
seen
in
cultured
human
hepatocytes
at
comparable
doses.
While
increases
in
the
activity
of
the
two
enzyme
markers
for
peroxisome
proliferation
followed
exposure
to
Oxadiazon,
the
concordance
between
the
dose
response
for
peroxisome
enzymes
and
liver
tumor
induction
is
not
strong.
As
shown
in
Table
2,
a
dose
of
113
mg/
kg/
day
induced
significant
(
p<
0.01)
increases
in
adenomas
(+
23%)
carcinomas
(+
41%)
and
adenomas/
carcinomas
combined
(+
63%)
in
male
mouse
livers
while
a
comparable
dose
(
100
mg/
kg/
day)
caused
only
a
moderate
increase
in
the
number
of
peroxisomes
and
a
less
than
2
fold
increase
in
PAO.
At
10.6
mg/
kg/
day
in
the
oncogenicity
study,
adenomas
(+
17%)
carcinomas
(+
16%)
and
adenomas/
carcinomas
combined
(+
33%)
were
also
significantly
increased.
However,
only
a
slight
increase
in
the
number
of
peroxisomes
and
no
increased
in
PAO
were
seen.
Similar
evidence
of
a
weak
response
in
peroxisome
enzymes
was
note
in
male
rats
dosed
with
either
200
or
500
mg/
kg/
day
Oxadiazon
in
the
submitted
mechanistic
study
or
the
published
results
of
Richert
et
al.,
(
1996).
Increases
in
PAO
only
ranged
from
1.4
to
2.1
fold
over
control
while
liver
tumor
induction
was
achieved
at
3.5
mg/
kg/
day.
ACT
activity,
which
is
distributed
not
only
in
the
peroxisomes
but
also
in
endoplasmic
reticulum
and
mitochondria,
only
reached
a
6
fold
increase
in
male
rats
at
500
mg/
kg/
day.
Although
temporal
associations
were
considered,
the
Committee
acknowledged
,
based
on
its
experience
with
peroxisome
proliferators
that
increased
peroxisome
enzyme
activity
generally
occurs
(
regardless
of
the
time
interval)
at
doses
near
the
tumor
doses.
It
concluded,
therefore,
that
the
findings
with
Oxadiazon
indicate
that
tumorigenic
doses
were
substantially
lower
than
levels
inducing
peroxisome
enzymes.
VI.
Other
Modes
of
Action
As
stated
previously,
Oxadiazon
is
not
mutagenic,
and
with
the
exception
of
peroxisome
proliferation,
no
other
mode
of
action
has
been
hypothesized
for
Oxadiazon.
However,
a
possible
alternative
mode
of
action
could
be
oxidative
damage
to
DNA
through
the
production
of
hydrogen
peroxide
by
increased
fatty
acid
oxidation.
This
is
because
of
the
decreased
catalase
activity
noted
in
the
14
day
submitted
study.
Theoretically,
the
reduction
in
catalase
activity
could
lower
the
degradation
rate
of
H
2
O
2
thus
initiating
increased
levels
of
H
2
O
2.
Cattley
et
al.
(
1998)
have
hypothesized
that
since
catalase
levels
"
are
never
increased
more
than
twofold
an
imbalance
between
generation
and
degradation
of
H
2
O
2
within
the
peroxisome"
would
exist.
The
excess
H
2
O
2,
that
would
result
from
a
loss
of
catalase
8
(
as
demonstrated
in
the
Oxadiazon
study),
could
conceivably
escape
from
the
peroxisome,
react
with
transition
metals
and
form
hydroxyl
radicals.
Cattley
et
al.
note
that
if
these
radicals
form
in
the
proximity
of
macromolecules,
oxidative
damage
may
occur.
VII.
Structural
Activity
Relationships
(
SAR)
Oxadiazon
is
not
known
to
be
structurally
related
to
other
known
herbicides
that
are
also
peroxisome
proliferators
(
Richert
et
al.,
1996);
however,
a
wide
variety
of
chemical
classes
have
been
shown
to
have
the
potential
to
induce
peroxisome
proliferation.
VIII.
Conclusions
Based
on
the
weight
of
the
evidence,
there
are
sufficient
data
to
classify
Oxadiazon
as
a
nongenotoxic
hepatocarcinogen.
The
available
data
also
provide
suggestive
evidence
of
peroxisome
proliferation.
There
are,
however,
weaknesses
in
the
database
that
preclude
acceptance
of
peroxisome
proliferation
as
the
mode
of
action
for
Oxadiazon
induced
liver
tumors;
these
include:
(
1)
No
cell
proliferation
data
were
reported
for
rats
or
mice;
hence,
mitogenesis
could
not
be
mechanistically
linked
to
proliferation
of
peroxisomes.
(
2)
There
was
no
convincing
concordance
between
the
dose
response
for
peroxisomal
enzymatic
activity
and
tumor
formation.
(
3)
The
role
of
decreased
catalase
activity,
which
generally
increases
in
the
presence
of
a
proxisome
proliferator,
was
not
explained
by
the
investigators
of
the
submitted
study.
The
Committee
concluded,
therefore,
that
peroxisome
proliferation
may
be
a
possible
mode
of
action
for
Oxadiazon
induced
liver
tumors
in
rats
and
mice.
However,
because
of
shortcomings
in
the
data
base,
the
available
information
do
not
support
this
proposed
non
genotoxic
mode
of
action
for
Oxadiazon
at
this
time.
REFERENCE
Richert,
L.,
Price,
S.,
Chesne,
C.,
Maita,
K.
Carmichael,
N.
(
1996).
Comparison
of
the
induction
of
hepatic
peroxisome
proliferation
by
the
herbicide
oxadiazon
in
vivo
in
rats,
mice,
and
dogs
and
in
vitro
in
rat
and
human
hepatocytes.
Toxicol.
Appl.
Pharmacol
141:
35
43.
Cattley,
R.
C.,
DeLuca,
J.,
Elcombe,
C.,
Fenner
Crisp,
P.,
Lake,
B.
G.,
Marsman,
D.
S.,
Pastoor,
T.
A.,
Popp,
J.
A.,
Robinson,
D.
E.,
Schwetz,
B.,
Tugwood,
J.,
Wahli,
W.
(
1998).
Do
peroxisome
proliferating
compounds
pose
a
hepatocarcinogenic
hazard
to
humans?
Reg
Toxicol
and
Pharm
27:
47
60.
Matringe,
M.,
Camadro,
J.
M.,
Labbe,
P.,
Scalla,
R.
(
1989).
Protoporphyrinogen
oxidase
inhibition
by
three
peroxidizing
herbicides:
oxadiazon,
LS
82
556
and
M&
B
39279.
FEBS
Letters
245,
number
1,
2:
35
38.
9
Table
1
:
Summary
of
Liver
Effects
with
Oxadiazon
Study
(
MRID)
Liver
Weight
Liver
Enzymes
Liver
Histopathology
(
Nonneoplastic)
Liver
histopathology
(
Tumors)
14
Day
Oral
Peroxisome
Proliferation
Rat
(
Sprague
Dawley)
(
42310001):
0,
20,
200,
500
mg/
kg/
day
Abs
&
rel
wt
(
p<
0.05)
200
&
500
mg/
kg
(
p<
0.05)
and
dose
related
at
200
&
500
mg/
kg
catalase,
PAO,
palmitoyl
carnitine
transferase,
ACT,
G
6
PO4ase
at
500
mg/
kg
At
500
mg/
kg:
peroxisome
proliferation;
lipids;
sinusoidal
dilation
&
rough
endoplasmic
reticulum
damage
NA
Oral
Peroxisome
Proliferation
in
Rat
(
Sprague
Dawley):
0,
20,
200,
500
mg/
kg/
day
14
days
(
10/
group)
Mice
(
CD
1):
0,
100,
200
mg/
kg/
day
28
days
(
12/
group)
Dogs
(
Beagles):
0,
500
mg/
kg
28
days
(
3/
group)
(
Richert
et
al.,
1996)
Abs
&
rel
wt
(
p<
0.05)
200
mg/
kg/
day
rats
100
mg/
kg/
day
mice
NS
500
mg/
kg/
day
dogs
Dose
related
PAO
&
ACT;
(
p<
0.05)
at
200
&
500
mg/
kg/
day
rats
Dose
related
PAO
&
ACT;
(
p<
0.05)
at
200
(
PAO)
&
200
&
500
mg/
kg/
day(
ACT)
mice
At
500
mg/
kg
(
only
dose
tested):
peroxisome
proliferation
(
severe
in
8/
10
rats
Dose
related
peroxisome
proliferation
(
minimal
at
20
5/
11;
moderate
at
100
7/
7;
severe
at
200
mg/
kg/
day
9/
9
mice)
No
effects
dogs
NA
Abbreviations:
ALP
=
Alkaline
phosphatase
LDH
=
Lactate
dehydrogenase
SGOT
=
Serum
glutamic
oxaloacetic
transaminase
PAO
=
Palmitoyl
CoA
oxidase
SGPT
=
Serum
glutamic
pyruvic
transaminase
ACT
=
Acetyl
carnitine
transferase
10
Study
(
MRID)
Liver
Weight
Liver
Enzymes
Liver
Histopathology
(
Nonneoplastic)
Liver
Histopathology
(
Tumors)
90
Day
Dietary
Rat
(
CD)
(
00111804):
0,
25,
100,
1000
mg/
kg/
day
Abs
&
rel
wt
(
p<
0.05)
100
&
1000
mg/
kg
(
)
wks
4
&
13:
ALP
(
100&
1000
mg/
kg;
1000
mg/
kg),
wk
13:
SGOT
(
100&
1000
mg/
kg;
1000
mg/
kg),
wks
4
&
13:
SGPT(
100&
1000
mg/
kg;
1000
mg/
kg)
At
1000
mg/
kg
(
)
&
100
mg/
kg
(
)
:
brown
pig.
Kupffer
cells
&
bile
canaliculi;
marked
variability
in
cell
size
and
staining
properties
of
hepatocytes
&
necrotic
hepatocytes
(
Above
findings
generally
seen
in
90%
&
60%
)
NA
Chronic/
Onco
Rat
(
Fischer
344)
(
00149003/
00157780):
0,
10,
100,
1000,
3000
ppm
(
0,
0.5,
4.8,
50.9,
163.1
mg/
kg/
day
;
0,
0.6,
5.9,
60.9,
192.7
mg/
kg/
day
)
Abs
&
rel
wt
(
p
0.05
0.001)
6
mo:
1000
(
)
&
3000
ppm
(
)
;
12
mo:
1000
&
3000
ppm
(
)
;
24
mo:
100,
1000
&
3000
ppm
(
)
6
mo:
At
1000
ppm
(
)
ALP,
SGPT
(
at
3000
ppm
)
SGOT
(
at
3000
ppm
)
SGOT,
SGPT,
LDH,
ALP;
12
mo:
(
at
1000
ppm
)
ALP,
SGPT
;
24
mo:
(
at
3000
ppm
)
ALP,
LDH
Progressive
alterations
from
hypertrophy
through
fatty
changes
to
necrosis
(
1000
ppm
&
3000
ppm
)
(
p<
0.05)
pairwise
and
trend
adenomas
&
carcinomas
combined
(
1000
ppm
)
.
No
decrease
in
latency.
Benign
&
malignant
tumors
after
prolonged
exposure
to
hepatotoxic
doses
11
Study
(
MRID)
Liver
Weight
Liver
Enzymes
Liver
Histopathology
(
Nonneoplastic)
Liver
histopathology
(
Tumors)
Chronic/
Onco
Rat
(
Wistar)
(
40993401):
0,
0,
3,
10,
100,
1000
ppm
(
0,
0.1,
0.4,
3.5,
39
mg/
kg/
day
;
0,
0.1,
0.4,
4.2,
44
mg/
kg/
day
)
Abs
&
rel
wt
(
p
0.05
0.001)
26
wk:
1000
ppm
(
)
;
52
wk:
1000
ppm
(
)
;
78
wk:
1000
ppm
(
)
;
104
wk:
1000
ppm
(
)
wks
26:
LDH
(
1000
mg/
kg
&
wk
52);
ALP
(
1000
mg/
kg);
SGOT/
SGPT
(
1000
mg/
kg).
Wks
52,
78
&
104:
No
effects.
At
1000
ppm
(
p
0.01
0.001):
centrilobular
hepato.
swell.(
)
;
brown
pigmentation
in
liver)
(
)
;
foci
of
cell
alteration
(
)
;
bile
duct
proliferation)
(
)
.
At
100
ppm
(
p<
0.05)
,
centrilobular
hepato.
swell.(
)
(
)
S
trend
(
p<
0.01)
&
S
pairwise
100
&
1000
ppm
(
p<
0.05
0.01)
liver
adenomas
and/
or
carcinomas
combined.
At
1000
ppm,
S
pairwise
(
p<
0.05)
carcinomas
.
Onco
Mice
(
CD
1)
(
00044322):
0,
300,
1000,
2000
ppm
(
0,
48,
153,
319
mg/
kg/
day
;
0,
62,
201,
417
mg/
kg/
day
)
Abs
&
rel
wt
(
p
0.05
0.01)
at
104
wk:
300
ppm
(
)
wk
104:
(
p
0.05
0.01)
ALP
(
300
ppm
,
1000
ppm
);
SGOT
(
1000
ppm
)
;
SGPT
(
300
ppm
,
1000
ppm
)
centrilobular
hypertrophy
(
300
ppm
)
;
diffuse
hepatocellular
hyperplasia
&
hypertrophy
(
300
ppm
)
;
nodular
hyperplasia
&
hypertrophy
(
300
ppm
)
;
focal
necrosis
(
2000
ppm
)
no
stats
p<
0.01
hepatocarcinomas
(
1000
ppm
)
.
No
decrease
in
latency.
12
Study
(
MRID)
Liver
Weight
Liver
Enzymes
Liver
Histopathology
(
Nonneoplastic)
Liver
histopathology
(
Tumors)
Onco
Mice
(
CD
1)
(
00115733):
0,
100,
300,
1000,
2000
ppm
(
0,
12,
37,
122,
254
mg/
kg/
day
;
0,
14,
44,
143,
296
mg/
kg/
day
)
Abs
&
rel
wt
(
p
0.05
0.001)
at
105
wk:
100
ppm
(
)
,
1000
ppm
(
)
Not
Done
No
detail;
terminal
sac:
lesions
listed
as
masses
(
all
dose
groups,
both
sexes),
pale
areas/
foci
(
all
dose
groups,
both
sexes),
raised
areas
(
all
dose
groups,
females
only)
unscheduled
deaths:
pigmented
Kupffer
cells,
hepatic
single
cell
necrosis
(
high
dose
males)
p<
0.05
0.01
liver
adenomas
(
100
ppm
)
;
p<
0.05
carcinomas
(
100
ppm
1000
ppm
)
;
p<
0.05
0.01
combined
liver
adenomas
&
carcinomas
(
100
ppm
)
.
p<
0.05
trend
for
carcinomas
(
)
,
adenomas
(
)
&
combined
(
)
Onco
Mice
(
ICR
JCL)
(
40993301):
0,
3,
10,
100,
1000
ppm
(
0,
0.3,
1,
11,
113
mg/
kg/
day
;
0,
0.3,
1,
9,
99
mg/
kg/
day
)
Abs
&
rel
wt
(
p
0.05
0.001)
at
52
&
98
wk:
1000
ppm
(
)
,
98
wk:
1000
ppm
(
)
wks
52:
ALP
(
1000
mg/
kg
&
wk
98
1000
ppm);
SGOT
(
100
ppm).
SGPT
(
100
ppm
wk
52
&
at
wk
98;
1000
mg/
kg
at
wk
52)
At
1000
ppm
(
p<
0.001):
centrilobular
hepato.
swell.(
)
;
diffuse
hepatocellular
swell.(
)
;
brown
pigmentation
(
)
diffuse
hepatocellular
necrosis
(
only)
at
1000
ppm
(
p<
0.05)
but
(
p<
0.001)
at
100
ppm.
Also
in
at
100
ppm:
(
p<
0.001)
diffuse
hepatocellular
swell
and
brown
pigmentation
(
only)
p<
0.01
liver
adenomas
(
100
ppm
,
1000
ppm
)
;
p<
0.01
liver
carcinomas
(
100
ppm
,
1000
ppm
)
p<
0.01
liver
adenomas/
carcinomas
combined
(
100
ppm
,
1000
ppm
)
.
:
p<
0.05
0.01
trend
for
liver
adenomas,
carcinomas,
and
adenomas/
carcinomas
combined.
13
Study
(
MRID)
Liver
Weight
Liver
Enzymes
Liver
Histopathology
(
Nonneoplastic)
Liver
histopathology
(
Tumors)
1
Year
Chronic
Dog
(
Beagles)
(
41326401)
0,
5,
20,
60,
200
mg/
kg/
day
Abs
&
rel
wt
(
p
0.05
0.01)
at
necropsy:
:
rel
60
mg/
kg/
day
abs
at
60
mg/
kg/
day
also
but
NS;
:
abs
20
mg/
kg/
day
rel
also
but
S
only
at
60
mg/
kg/
day
wks
24
&
50:
SGOT
(
60
mg/
kg
(
p<
0.05)
periacinar
apoptosis
centriacinar
hepatocytic
vacuolation
None
2
Generation
Reproduction
Rat
(
CD)
(
41239801)
0,
20,
60,
200
ppm
(
0,
1.5,
4.65,
15.5
mg/
kg/
day
;
0,
1.8,
5.6,
18.2
mg/
kg/
day
)
P
adults:
No
effect
F1
adults:
Sli
rel
wt
200
ppm
F1
and
F2
offspring:
Not
measured
Not
measured
P
adults:
No
effects
F1
adults:
periacinar
hepatocellular
hypertrophy
200
ppm
F1
or
F2
offspring:
No
effects
None
Abbreviations:
ALP
=
Alkaline
phosphatase
LDH
=
Lactate
dehydrogenase
SGOT
=
Serum
glutamic
oxaloacetic
transaminase
PAO
=
Palmitoyl
CoA
oxidase
SGPT
=
Serum
glutamic
pyruvic
transaminase
ACT
=
Acetyl
carnitine
transferase
a
Data
were
extracted
from
Richert
et
al.
(
1996).
b
Data
were
extracted
from
Richert
et
al.
(
1996).
c
Data
were
from
Mouse
23
month
chronic
toxicity
and
oncogenicity
study
(
MRID
No.
40993301).
14
Table
2.
Summary
of
Peroxisomal
Effects
and
Liver
Tumor
Induction
in
Male
Mice
Administered
Oxadiazon
Dose
(
mg/
kg/
day)
No.
of
Peroxisomesa
Peroxisomal
Enzyme
Activitiesb
Neoplasmsc
Palmitoyl
CoA
oxidase
(%
over
control)
Acetyl
carnitine
transferase
(%
over
control)
Adenomas
Carcinomas
Adenomas/
Carcinomas
Combined
0
0
2/
69
3%
3/
69
4%
5/
69
7%
0.3
7/
71
10%
1/
71
1%
8/
71
11%
1.1
2/
71
3%
4/
71
6%
6/
71
8%
10.6
12/
69**
17%
11/
69*
16%
23/
69**
33%
20
Slight
(
6/
11)
106
113
100
Moderate
(
7/
7)
174
389*
113
16/
71**
23%
29/
71**
41%
45/
71**
63%
200
Severe
(
9/
9)
259*
459.5*
*
Significantly
different
than
control
(
p<
0.05)
**
Significantly
different
than
control
(
p<
0.01)
| epa | 2024-06-07T20:31:45.241993 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0012/content.txt"
} |
EPA-HQ-OPP-2002-0309-0013 | Supporting & Related Material | 2002-12-03T05:00:00 | null | 1
See
memo
Deriving
Q
1
*
s
Using
the
Unified
Interspecies
Scaling
Factor,
P.
A.
Fenner
Crisp,
Director,
HED,
7/
1/
94.
HED
DOC.
NO.
014450
MEMORANDUM
January
23,
2001
SUBJECT:
REVISED
Oxadiazon
Quantitative
Risk
Assessment
(
Q
1
*)
Based
On
ICR
JCL
Mouse
and
SPF
Wistar
Rat
Dietary
Studies
With
3/
4'
s
Interspecies
Scaling
Factor
P.
C.
Code
109001
TO:
Nancy
McCarroll,
Geneticist
Toxicology
Branch
Health
Effects
Division
(
7509C)
FROM:
Lori
L.
Brunsman,
Statistician
Science
Information
Management
Branch
Health
Effects
Division
(
7509C)
THROUGH:
Jess
Rowland,
Branch
Chief
Science
Information
Management
Branch
Health
Effects
Division
(
7509C)
Conclusion
The
most
potent
unit
risk,
Q
1
*(
mg/
kg/
day)
1,
of
those
calculated
for
Oxadiazon
is
that
for
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
at
5.52
x
10
2
in
human
equivalents.
The
dose
levels
used
from
the
98
week
dietary
study
were
0,
3,
10,
100,
and
1000
ppm
of
Oxadiazon.
The
corresponding
tumor
rates
were
3/
51,
1/
55,
4/
57,
11/
58,
and
29/
55,
respectively.
Background
On
September
3,
1986,
the
Toxicology
Branch
Peer
Review
Committee
classified
Oxadiazon
as
a
Group
B2
probable
human
carcinogen,
and
recommended
that,
for
the
purpose
of
risk
characterization,
a
low
dose
extrapolation
model
be
applied
to
the
experimental
animal
tumor
data
for
quantification
of
human
risk
(
Q
1
*).
A
Q1*
based
upon
male
liver
(
carcinoma
and/
or
adenoma)
tumor
rates
was
generated
using
mg/
kg
b.
w.^
2/
3'
s/
day
cross
species
scaling
factor
(
Oxadiazon
hand
written
memo,
B.
Fisher,
3/
16/
87).
This
revised
memo
has
been
generated
in
response
to
new,
more
appropriate
chronic/
oncogenicity
studies
submitted
to
the
Agency
and
to
reflect
the
Agency
policy
change
from
use
of
the
2/
3'
s
to
the
3/
4'
s
scaling
factor
in
1994
1.
Quantifications
of
risk
have
subsequently
2
been
estimated
for
these
new
studies.
The
most
potent
unit
risk
will
be
used
for
the
purpose
of
lifetime
cancer
risk
assessment
by
the
Agency.
In
this
case,
the
most
potent
unit
risk,
Q
1
*,
is
that
for
male
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
at
5.52
x
10
2
in
human
equivalents.
All
unit
risks
have
been
converted
from
animals
to
humans
by
use
of
the
3/
4'
s
scaling
factor
(
Tox_
Risk
program,
Version
3.5,
K.
Crump,
1994)
1.
For
the
conversion
to
human
equivalents,
weights
of
0.03
kg
for
the
mouse,
0.35
kg
for
the
rat,
70
kg
for
humans,
the
use
of
98
weeks
for
the
mouse
life
span
default
and
104
weeks
for
the
rat
lifespan
default
were
used.
It
is
to
be
noted
that
the
Q
1
*
(
mg/
kg/
day)
1
is
an
estimate
of
the
upper
bound
on
risk
and
that,
as
stated
in
the
EPA
Risk
Assessment
Guidelines,
the
true
value
of
the
risk
is
unknown,
and
may
be
as
low
as
zero.
Dose
Response
Analysis
There
were
no
significant
incremental
changes
in
mortality
with
increasing
doses
of
Oxadiazon
in
male
or
female
mice
or
rats
reported
in
the
studies.
The
unit
risks,
Q
1
*`
s,
were
obtained
by
the
application
of
the
Multi
Stage
model
(
Tox_
Risk
program,
Version
3.5,
K.
Crump,
1994).
Male
mice
had
a
significant
increasing
trend
at
p
<
0.01,
and
significant
differences
in
the
pair
wise
comparisons
of
the
100
(
p
<
0.05)
and
1000
(
p
<
0.01)
ppm
dose
groups
with
the
controls,
for
liver
adenomas
and/
or
carcinomas
combined.
Female
mice
had
a
significant
increasing
trend
at
p
<
0.01,
and
a
significant
difference
in
the
pair
wise
comparison
of
the
1000
ppm
dose
group
with
the
controls
at
p
<
0.05,
for
liver
adenomas
and/
or
carcinomas
combined.
There
was
also
a
significant
difference
in
the
pair
wise
comparison
of
the
1000
ppm
dose
group
with
the
controls
for
malignant
lymphomas
at
p
<
0.05.
Male
rats
had
a
significant
increasing
trend
at
p
<
0.01,
and
significant
differences
in
the
pair
wise
comparisons
of
the
100
(
p
<
0.05)
and
1000
(
p
<
0.01)
ppm
dose
groups
with
the
controls,
for
liver
adenomas
and/
or
carcinomas
combined.
There
were
no
significant
trends
or
pair
wise
comparisons
for
the
liver
tumors
of
female
rats.
Additional
Q
1
*
Calculations
The
unit
risk,
Q
1
*(
mg/
kg/
day)
1,
of
Oxadiazon
based
upon
female
mouse
malignant
lymphoma
tumor
rates
is
2.89
x
10
2
in
human
equivalents.
The
dose
levels
used
from
the
98
week
dietary
study
were
0,
3,
10,
100,
and
1000
ppm
of
Oxadiazon.
The
corresponding
tumor
rates
were
16/
52,
25/
53,
19/
46,
21/
48,
and
27/
51,
respectively.
3
The
unit
risk,
Q
1
*(
mg/
kg/
day)
1,
of
Oxadiazon
based
upon
female
mouse
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
is
1.31
x
10
2
in
human
equivalents.
The
dose
levels
used
from
the
98
week
dietary
study
were
0,
3,
10,
100,
and
1000
ppm
of
Oxadiazon.
The
corresponding
tumor
rates
were
1/
52,
0/
53,
0/
46,
1/
48,
and
7/
51,
respectively.
The
unit
risk,
Q
1
*(
mg/
kg/
day)
1,
of
Oxadiazon
based
upon
male
rat
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
is
3.34
x
10
2
in
human
equivalents.
The
dose
levels
used
from
the
104
week
dietary
study
were
0,
3,
10,
100,
and
1000
ppm
of
Oxadiazon.
The
corresponding
tumor
rates
were
0/
53,
1/
55,
1/
54,
5/
54,
and
12/
52,
respectively.
The
unit
risk,
Q
1
*(
mg/
kg/
day)
1,
of
Oxadiazon
based
upon
female
rat
liver
adenoma
and/
or
carcinoma
combined
tumor
rates
is
8.16
x
10
3
in
human
equivalents.
The
dose
levels
used
from
the
104
week
dietary
study
were
0,
3,
10,
100,
and
1000
ppm
of
Oxadiazon.
The
corresponding
tumor
rates
were
1/
52,
1/
52,
1/
55,
1/
53,
and
3/
55,
respectively.
4
SignOff
Date:
1/
23/
01
DP
Barcode:
D000000
HED
DOC
Number:
014450
Toxicology
Branch:
SAB
| epa | 2024-06-07T20:31:45.247754 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0013/content.txt"
} |
EPA-HQ-OPP-2002-0309-0014 | Supporting & Related Material | 2002-12-03T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
DATE:
February
13,
2001
SUBJECT:
Oxadiazon.
(
List
B,
Case
No.
2485)
The
Outcome
of
the
HED
Metabolism
Assessment
Review
Committee
Meeting
Held
on
01/
30/
01.
DP
Barcode
272425.
Chemical
109001.
FROM:
Sheila
Piper,
Chemist
Chemistry
and
Exposure
Branch
Health
Effects
Division
(
7509C)
THROUGH:
Francis
B.
Suhre,
Branch
Senior
Scientist
Chemistry
and
Exposure
Branch
Health
Effects
Division
(
7509C)
and
Christine
Olinger,
Chair
of
HED
MARC
Reregistration
Branch
I
Health
Effects
Division
(
7509C)
TO:
Yan
W.
Donovan,
Chemist,
RAB1/
HED
(
7509C)
MARC
Executive
Secretary
Material
Reviewed
The
Metabolism
Assessment
Review
Committee
(
MARC)
met
on
January
30,
2001
to
consider
the
degradation
of
oxadiazon
(
2
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
21,3,4
oxadiazolin
5
one)
in
water.
Specifically,
MARC
was
asked
to
determine
which
degradates
should
be
included
in
the
risk
assessment.
EFED
supplied
information
that
was
presented
to
MARC
(
S.
Piper,
N.
McCarroll
and
J.
Melendez,
D271728,
1/
10/
01)
describing
degradates
found
or
having
the
potential
to
be
found
in
soil
and
water.
MARC
Conclusions
The
Committee
concluded
that
the
parent
compound,
oxadiazon
is
the
only
residue
to
be
included
in
a
drinking
water
risk
Page
2
assessment.
Although,
MARC
expressed
concern
about
the
toxicity
of
other
metabolites
of
oxadiazon,
the
Committee
do
not
recommend
including
them
in
a
drinking
water
risk
assessment
because
they
are
not
likely
to
be
present
in
drinking
water.
Supporting
Reasons
The
Committee
considered
the
following
information
to
arrive
at
the
conclusion
shown
above:
The
major
degradate
observed
in
the
laboratory
studies
is
the
hydrolysate
1
trimethylacetyl
2(
2,4
dichloro
5
isopropoxyphenyl)
hydrazine
(
RP26123).
This
degradate
reached
a
maximum
of
45%
of
the
applied
on
day
31
at
pH
9
only.
RP26123
was
<
4%
in
all
the
other
laboratory
studies
at
all
samplings,
including
the
aerobic
soil
metabolism,
the
photolysis
on
soil,
and
a
supplemental
anaerobic
soil
metabolism
study.
The
available
data
indicates
that
metabolite
RP26123
should
be
a
minor
component
in
the
environment
under
most
conditions.
In
addition,
the
Committee
concluded
that
this
metabolite
is
not
likely
to
be
significantly
more
toxic
than
the
parent.
The
only
significant
route
of
degradation
for
the
chemical
oxadiazon
is
aqueous
photolysis.
Several
(
about
20)
minor
degradates
were
produced
in
the
laboratory
study;
only
one
was
slightly
above
the
10%
level
(
RP37084,
nomenclature
not
provided
by
the
registrant).
The
maximum
level
of
RP37084
was
only
11.5%
at
the
last
test
interval,
when
only
27.6%
of
the
applied
radioactivity
remained
undegraded.
Since
by
the
time
the
degradate
reached
11.5%
the
levels
of
oxadiazon
had
decreased
substantially
(
to
27.6%
of
the
applied),
it
appears
that
the
levels
of
the
degradate
would
not
increase
much
further.
Moreover
RP37084
was
not
an
important
metabolite
in
the
soil
photolysis
study
or
in
any
other
laboratory
study.
The
available
data
indicates
that
metabolite
RP37084
should
be
a
minor
component
in
the
environment
under
most
conditions.
In
addition,
the
Committee
concluded
that
this
metabolite
is
not
likely
to
be
significantly
more
toxic
than
the
parent.
Individuals
in
Attendance
1.
MARC
Members
Alberto
Protzel,
Christine
Olinger,
Rick
Loranger,
Leung
Cheng,
Page
3
John
Doherty,
Abdallah
Khasawinah,
and
Sheila
Piper.
2.
Scientists
(
non
MARC
members)
Nancy
McCarroll(
TOX1),
Mike
Ioannou(
TOX1),
Veronique
LaCapra(
SRRD),
and
Jose
Melendez(
EFED).
cc:
SF,
RF,
List
B
File,
S.
Piper,
N.
McCarroll
(
TOX1),
Jose
Melendez(
EFED)
RDI:
C.
Olinger:
2/
06/
01;
F.
B.
Suhre:
2/
09/
01
7509C:
CEB1:
CM
2:
Room
810F:
308
2717:
Oxadiazon
Page
4
| epa | 2024-06-07T20:31:45.250309 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0014/content.txt"
} |
EPA-HQ-OPP-2002-0309-0015 | Supporting & Related Material | 2002-12-03T05:00:00 | null | 3
2
01
MEMORANDUM
SUBJECT:
Oxadiazon.
List
B
Reregistration
Case
2485.
PC
Code
109001.
Product
Chemistry
Chapter
for
the
Reregistration
Eligibility
Decision
[
RED]
Document.
DP
Barcode
D273104.
FROM:
K.
Dockter,
Chemist
Reregistration
Branch
2
Health
Effects
Division
[
7509C]
THRU:
Alan
Nielsen,
Branch
Senior
Scientist
Reregistration
Branch
2
Health
Effects
Division
[
7509C]
TO:
Nancy
McCarroll,
Risk
Assessor
Toxicology
Branch
Health
Effects
Division
[
7509C]
Oxadiazon
[
2
tert
butyl
4(
2,4
dichloro
5
iospropoxyphenyl)
2
1,3,4
oxadiazolin
5
one]
is
a
preemergence,
early
postemergence
herbicide
registered
to
control
annual
grasses
and
broadleaf
weeds.
Empirical
formula:
C
15
H
18
Cl
2
N
2
O
3
Molecular
weight:
345.2
CAS
Registry
No.:
19666
30
9
PC
Code:
109001
Chemical
structure
by
J.
Punzi
2
A
search
of
REFS
conducted
2/
14/
01
identified
a
single
oxadiazon
MP
registered
under
PC
Code
109001,
the
Aventis
Cropscience
USA
LP
94
%
technical
[
T];
EPA
Reg.
No.
264
450.
There
are
47
active
end
use
products.
Only
the
Aventis
94%
T
is
subject
to
a
RED.
The
product
chemistry
data
base
is
complete.
However,
the
current
Confidential
Statement
of
Formula
[
CSF],
dated
4/
7/
78,
is
inadequate.
Nominal
concentration
and
upper
limit
must
be
stated
for
all
components.
Additionally,
the
lower
limit
must
be
stated
for
the
a.
i.
The
CSF
must
be
executed
by
the
current
registrant.
The
Series
830
physical
and
chemical
properties
are
given
in
the
table
below.
GLN
MRID
Data
6302
Color
jacket
white
6303
Physical
state
"
crystalline
pwd.
6304
Odor
"
odorless
7200
MP
"
90
C
7300
Bulk
density
41565701
1.3
g/
mL
7840
Water
solubility
jacket
0.0007
g/
L
@
20
C
7950
vp
41230301
7.76x10
7
mm
Hg
[
gas
satn.]
7550
P
ow
41230302
log
P
=
4.91
6313
Stability
to
normal
and
elevated
temperatures,
metals,
and
metal
ions
41877601
stable
for
30
days
@
55
C;
stable
in
presence
of
aluminum,
iron,
&
tin
pwds.
But
>
5%
loss
in
presence
of
ferric
chloride.
Bibliography
41565701
Chabassol,
Y.;
Hunt,
G.
[
1990]
Oxadiazon
Specific
Gravity
and
Density
at
20
C:
Study
No.
89
15.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
16
p.
41230301
Hoffman,
M.
[
1989]
Vapor
Pressure
Determination
of
Oxadiazon:
Project
No.
HLA
6001
372.
Unpublished
study
prepared
by
Hazelton
Labs.
America,
Inc.
71
p.
41230302
Seymour,
R.;
Hall,
L.
[
1988]
Octanol/
Water
Partition
Coefficient
Determination
for
Oxadiazon;
Report
No.
40434.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
12
p.
3
41877601
Sanders,
J.
[
1991]
Oxadiazon,
Technical
Determination
of
Stability;
Lab.
ID
4053
91
0061
AS.
Unpublished
study
prepared
by
Ricerca,
Inc.
102
p.
cc:
List
B
file,
SF,
RF,
Dockter,
N.
McCarroll,
S.
Piper,
S.
Tadayan.
RD\
I
TB/
CEB/
RRB2
Oxadiazon
RED
Team.
7509C:
RRB2:
Rm712N:
57886:
KD/
kd
Oxadiazon
RED
[
9856_
1]
=
D273104.
RED.
wpd.
| epa | 2024-06-07T20:31:45.253669 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0015/content.txt"
} |
EPA-HQ-OPP-2002-0309-0016 | Supporting & Related Material | 2002-12-03T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
DATE:
March
27,
2001
SUBJECT:
Oxadiazon.
List
B
Reregistration
Case
2485.
PC
Code
109001.
Product
Chemistry
and
Residue
Chemistry
Chapter
for
the
Reregistration
Eligibility
Decision
[
RED]
Document.
DP
Barcode
D273740.
FROM:
Sheila
Piper,
Chemist
Chemistry
Exposure
Branch
Health
Effects
Division
[
7509C]
THRU:
Francis
B.
Suhre,
Branch
Senior
Scientist
Chemistry
Exposure
Branch
Health
Effects
Division
[
7509C]
TO:
Nancy
McCarroll,
Risk
Assessor
Toxicology
Branch
Health
Effects
Division
[
7509C]
The
Product
Chemistry
and
Residue
Chemistry
databases
for
oxadiazon
are
complete.
The
registrant,
Aventis
Environmental
Science
USA
is
no
longer
supporting
oxadiazon
in
or
on
food,
feed,
or
residential
uses
(
Revocation
Letter
for
Oxadiazon
Tolerances,
1/
24/
01).
Currently,
the
registrant
is
only
supporting
the
use
of
oxadiazon
on
golf
courses
and
ornamentals.
The
request
for
revocation
of
oxadiazon
on
food,
feed
or
residential
uses
has
been
granted
and
tolerances
will
be
revoked.
Attachments
1
and
2:
Oxadiazon
Product
and
Residue
Chemistry
RED
Chapter
cc:
SF,
RF,
List
B
File,
S.
Piper
RDI:
F.
B.
Suhre:
3/
23/
01
7509C:
CEB1:
CM
2:
Room
810F:
308
2717:
Oxadiazon
REREGISTRATION
ELIGIBILITY
DECISION
PRODUCT
CHEMISTRY
CONSIDERATIONS
PC
Code
109001;
Case
2485
(
DP
Barcode
D273104)
Oxadiazon
[
2
tert
butyl
4(
2,4
dichloro
5
iospropoxyphenyl)
2
1,3,4
oxadiazolin
5
one]
is
a
preemergence,
early
postemergence
herbicide
registered
to
control
annual
grasses
and
broadleaf
weeds.
Empirical
formula:
C
15
H
18
Cl
2
N
2
O
3
Molecular
weight:
345.2
CAS
Registry
No.:
19666
30
9
PC
Code:
109001
Oxadiazon
A
search
of
REFS
conducted
2/
14/
01
identified
a
single
oxadiazon
MP
registered
under
PC
Code
109001,
the
Aventis
Environmental
Science
USA
LP
94
%
technical
[
T];
EPA
Reg.
No.
264
450.
There
are
47
active
end
use
products.
Only
the
Aventis
94%
T
is
subject
to
a
RED.
The
product
chemistry
data
base
is
complete.
However,
the
current
Confidential
Statement
of
Formula
[
CSF],
dated
4/
7/
78,
is
inadequate.
Nominal
concentration
and
upper
limit
must
be
stated
for
all
components.
Additionally,
the
lower
limit
must
be
stated
for
the
a.
i.
The
CSF
must
be
executed
by
the
current
registrant.
The
Series
830
physical
and
chemical
properties
are
given
in
the
table
below:
GLN
MRID
Data
6302
Color
jacket
white
6303
Physical
state
"
crystalline
powder
6304
Odor
"
odorless
7200
MP
"
90
C
7300
Bulk
density
41565701
1.3
g/
mL
7840
Water
solubility
jacket
0.0007
g/
L
@
20
C
7950
vp
41230301
7.76x10
7
mm
Hg
[
gas
satn.]
7550
P
ow
41230302
log
P
=
4.91
6313
Stability
to
normal
and
elevated
temperatures,
metals,
and
metal
ions
41877601
stable
for
30
days
@
55
C;
stable
in
presence
of
aluminum,
iron,
&
tin
pwds.
But
>
5%
loss
in
presence
of
ferric
chloride.
Bibliography
41565701
Chabassol,
Y.;
Hunt,
G.
[
1990]
Oxadiazon
Specific
Gravity
and
Density
at
20
C:
Study
No.
89
15.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
16
p.
41230301
Hoffman,
M.
[
1989]
Vapor
Pressure
Determination
of
Oxadiazon:
Project
No.
HLA
6001
372.
Unpublished
study
prepared
by
Hazelton
Labs.
America,
Inc.
71
p.
41230302
Seymour,
R.;
Hall,
L.
[
1988]
Octanol/
Water
Partition
Coefficient
Determination
for
Oxadiazon;
Report
No.
40434.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
12
p.
41877601
Sanders,
J.
[
1991]
Oxadiazon,
Technical
Determination
of
Stability;
Lab.
ID
4053
91
0061
AS.
Unpublished
study
prepared
by
Ricerca,
Inc.
102
p.
OXADIAZON
REREGISTRATION
ELIGIBILITY
DECISION
RESIDUE
CHEMISTRY
CONSIDERATIONS
PC
Code
109001;
Case
2485
(
DP
Barcode
D273740)
TABLE
OF
CONTENTS
page
INTRODUCTION
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
2
REGULATORY
BACKGROUND
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
2
SUMMARY
OF
SCIENCE
FINDINGS
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
3
GLN
860.1200:
Directions
for
Use
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
3
GLN
860.1300:
Nature
of
the
Residue
Plants
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
3
GLN
860.1300:
Nature
of
the
Residue
Animals
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
3
GLN
860.1340:
Residue
Analytical
Methods
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
GLN
860.1360:
Multiresidue
Methods
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
GLN
860.1380:
Storage
Stability
Data
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
GLN
860.1500:
Crop
Field
Trials
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
GLN
860.1520:
Processed
Food/
Feed
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
4
GLN
860.1480:
Meat,
Milk,
Poultry,
Eggs
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
5
GLN
860.1400:
Water,
Fish,
and
Irrigated
Crops
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
5
GLN
860.1460:
Food
Handling
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
5
GLNs
860.1850
and
860.1900:
Confined/
Field
Accumulation
in
Rotational
Crops
.
.
.
5
TOLERANCE
REASSESSMENT
SUMMARY
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
5
Tolerances
Listed
Under
40
CFR
§
180.346
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
6
CODEX
HARMONIZATION
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
7
DIETARY
EXPOSURE
ASSESSMENT
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
7
AGENCY
MEMORANDA
CITED
IN
THIS
DOCUMENT
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
7
INTRODUCTION
2
Oxadiazon,
(
2
tert
butyl
4(
2,4
dichloro
5
isopropoxyphenyl)
21,3,4
oxadiazolin
5
one)
is
a
selective
pre
emergent
and
early
post
emergence
herbicide
that
is
effective
primarily
for
the
control
of
annual
grasses
and
broadleaf
weeds
in
turf.
Oxadiazon
is
manufactured
by
Aventis
CropScience
USA,
under
the
trade
name
Ronstar
®
and
formulations
are
available
as
emulsifiable
concentrates,
granules,
flowable
and
wetable
powders.
The
registrant
are
no
longer
supporting
oxadiazon
in
or
on
food,
feed
or
residential
uses.
Currently,
the
registrant
is
only
supporting
the
use
of
oxadiazon
on
golf
courses
and
ornamentals
(
Revocation
Letter
for
Oxadiazon
Tolerances,
1/
24/
01).
REGULATORY
BACKGROUND
Oxadiazon
is
a
list
B
reregistration
chemical
and
was
subject
of
a
Phase
III
Review
dated
1/
3/
90
(
C.
Olinger).
This
document
summarized
regulatory
conclusions
on
the
available
residue
chemistry
data
and
specified
that
additional
data
were
not
required
for
reregistration
purposes.
The
information
contained
in
this
document
outlines
the
current
Residue
Chemistry
Science
Assessments
with
respect
to
the
reregistration
of
oxadiazon.
Tolerances
have
been
established
for
combined
residues
of
oxadiazon
and
its
metabolites
[
2
tertbutyl
4(
2,4
dichloro
5
hydroxyphenyl)
21,3,4
oxadiazolin
5
one
and
2
carboxyiso
propyl
4(
4
dichloro)
5
isopropo
xyphenyl)
21,3,4
oxadiazolin
5
one]
in
or
on:
rice
straw
(
0.2
ppm);
milk
fat
(
0.1
ppm;
reflecting
negligible
residues
in
milk);
Brazil
nuts,
bush
nuts,
butternuts,
cashews,
chestnuts,
crabapples,
filbert,
hazelnuts,
hickory
nuts,
macadamia
nuts,
pears,
pecans,
pistachio
nuts,
quinces,
rice
grain,
stone
fruit
and
walnuts
(
0.05
ppm);
and
in
the
meat,
fat,
and
meat
byproducts
of
cattle,
goats,
hogs,
horses,
and
sheep
(
0.01
ppm)
[
40
CFR
§
180.346].
The
HED
Metabolism
Assessment
Review
Committee
(
S.
Piper,
D272425,
2/
13/
01)
has
concluded
that
the
parent
compound,
oxadiazon
is
the
only
residue
to
be
included
in
a
drinking
water
risk
assessment.
The
chemical
structure
of
oxadiazon
is
shown
below:
SUMMARY
OF
SCIENCE
FINDINGS
GLN
860.1200:
Directions
for
Use
A
REFS
search,
conducted
on
2/
14/
01,
identified
a
single
oxadiazon
MP
registered
under
PC
Code
109001,
the
Aventis
3
Environmental
Science
USA
LP
94%
technical
[
T];
EPA
Reg.
No.
264
450.
There
are
47
active
end
use
products,
registered
pesticide
products
under
FIFRA
with
labeling
claiming
oxadiazon
as
the
active
ingredient.
The
use
sites
claimed
on
the
labels
of
these
products
are
non
residential
lawns
(
turf)
and
ornamental
plants.
Three
of
the
products
are
registered
under
24(
c)
and
the
other
44
products
are
registered
under
Section
3
of
FIFRA.
Only
the
Aventis
94%
is
subject
to
a
reregistration
eligibility
decision.
For
the
purpose
of
generating
this
Residue
Chemistry
Science
Chapter,
the
Aventis
will
not
support
aerial
application
(
will
put
restriction
on
the
Ronstar
®
labels)
or
greenhouse
useage
(
already
restricted
on
the
Ronstar
®
labels).
Aventis
will
add
these
label
restrictions
to
the
products
(
Ronstar
®
50%
intermediate
and
Ronstar
®
Technical)
used
by
other
registrants
to
formulate
their
own
products.
Details
of
the
rates
and
application
intervals
are
presented
below:
$
Maximum
of
4
lbs
ai/
A
per
application
per
six
month
period.
$
If
the
4
lbs
is
split,
applications
within
the
six
month
period
must
be
6
to
8
weeks
apart.
$
Maximum
of
8
lbs
ai/
A
per
year
or
4
lbs
every
six
months.
GLN
860.1300:
Nature
of
the
Residue
Plants
The
qualitative
nature
of
the
residue
in
plants
is
not
adequately
understood.
The
registrant
submitted
an
inadequate
rice
metabolism
study.
Furthermore,
no
data
were
available
concerning
the
metabolism
of
oxadiazon
in/
on
crops
representing
orchard
crops.
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
GLN
860.1300:
Nature
of
the
Residue
Animals
The
qualitative
nature
of
the
residue
in
animals
is
not
adequately
understood.
The
registrant
submitted
an
inadequate
ruminant
metabolism
study.
Furthermore,
no
data
on
poultry
were
submitted.
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
GLN
860.1340:
Residue
Analytical
Methods
Adequate
methodology
is
available
for
the
enforcement
of
tolerances
for
residues
of
oxadiazon
in
or
on
plant
and
animal
commodities.
A
GLC/
electron
capture
(
EC)
method
is
included
in
Pesticide
Analytical
Manual
(
PAM)
Vol.
II
as
Method
1
for
analysis
of
oxadiazon
residues
in
rice,
soybeans,
peanuts,
onions,
and
potatoes
(
Pesticide
Reg.
Sec,
180.346).
A
modified
version
of
4
Method
III
has
also
been
used
for
analysis
of
residues
in
turf,
nuts,
and
orchard
fruit.
Method
III
includes
similar
procedures
for
analysis
of
oxadiazon
residues
in
milk
and
dairy
cattle
tissue.
GLN
860.1360:
Multiresidue
Methods
The
Pestrak
data
base
dated
12/
13/
89
indicates
that
oxadiazon
recovery
is
complete
(>
80%)
using
Multiresidue
Protocol
D
and
either
partial
(
50
80%;
fatty
foods)
or
complete
(
non
fatty
foods)
using
Protocol
E,
and
that
the
two
metabolites
of
concern
were
included
in
the
tolerance
expression.
The
requirements
to
conduct
multiresidue
method
trials
with
oxadiazon
and
its
metabolites
are
waived.
GLN
860.1380:
Storage
Stability
Data
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
Therefore,
reregistration
requirements
for
storage
stability
data
are
waived
for
plant
and
animal
commodities.
GLN
860.1500:
Crop
Field
Trials
The
reregistration
requirements
for
magnitude
of
the
residue
in/
on
the
following
raw
agricultural
commodities
(
RACs)
have
been
waived:
rice
(
grain
and
straw),
Brazil
nuts,
bush
nuts,
butternuts,
cashews,
chestnuts,
crabapples,
filberts,
hazelnuts,
hickory
nuts,
macadamia
nuts,
pears,
pecans,
pistachio
nuts,
quinces,
stone
fruits
and
walnuts.
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
GLN
860.1520:
Processed
Food/
Feed
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
Therefore,
reregistration
requirements
for
magnitude
of
the
residue
in
the
processed
commodities
of
plum
(
dried
prune)
has
been
waived.
GLN
860.1480:
Meat,
Milk,
Poultry,
Eggs
The
reregistration
requirements
for
magnitude
of
the
residue
in
meat,
milk,
poultry,
and
eggs
are
waived.
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
GLN
860.1400:
Water,
Fish,
and
Irrigated
Crops
5
Oxadiazon
is
presently
not
registered
for
direct
use
on
water
and
aquatic
food
and
feed
crops;
therefore,
no
residue
chemistry
data
are
required
under
this
guideline
topic.
GLN
860.1460:
Food
Handling
Oxadiazon
is
presently
not
registered
for
use
in
food
handling
establishments;
therefore,
no
residue
chemistry
data
are
required
under
this
guideline
topic.
GLNs
860.1850
and
860.1900:
Confined/
Field
Accumulation
in
Rotational
Crops
The
registrant
has
requested
revocation
of
oxadiazon
on
food/
feed
uses
and
tolerances
will
be
revoked.
Therefore,
reregistration
requirements
for
accumulation
in
rotational
crops
are
waived.
Tolerance
Reassessment
Summary
Tolerances
for
residues
of
oxadiazon
in/
on
plant
and
animal
RACs
are
currently
expressed
in
terms
of
oxadiazon
and
its
metabolites
[
2
tert
butyl
4(
2,4
dichloro
5
hydroxyphenyl)
21,3,4
oxadiazolin
5
one
and
2
carboxyiso
propyl
4(
4
dichloro)
5
isopropo
xyphenyl)
21,3,4
oxadiazolin
5
one]
[
40
CFR
§
180.346].
The
HED
Metabolism
Assessment
Review
Committee
(
S.
Piper,
D272425,
2/
13/
01)
has
concluded
that
the
parent
compound,
oxadiazon
is
the
only
residue
to
be
included
in
a
drinking
water
risk
assessment.
The
tolerance
definition
listed
under
40
CFR
§
180.346
should
be
changed
to
the
following:
Tolerances
have
been
revoked
for
oxadiazon
and
its
metabolites
[
2
tert
butyl
4(
2,4
dichloro
5
hydroxyphenyl)
21,3,4
oxadiazolin
5
one
and
2
carboxyiso
propyl
4(
4
dichloro)
5
isopropo
xyphenyl)
21,3,4
oxadiazolin
5
one]
in
or
on
the
following
raw
agricultural
commodities
presented
in
Table
A:
Table
A.
Tolerance
Reassessment
Summary
for
Oxadiazon.
Commodity
Current
Tolerance
(
ppm)
Tolerance
a
Reassessment
(
ppm)
Comme
Tolerances
listed
under
40
CFR
§
180.346:
Brazil
nuts,
bush
nuts,
butternuts,
cashews,
chestnuts,
filbert,
hazelnuts,
hickory
nuts,
macadamia
nuts,
pecans,
pistachio
nuts,
and
walnuts.
0.05
Revoke
The
registran
Cattle,
meat,
fat,
mbyp
0.01
Revoke
The
registran
Crabapples
0.05
Revoke
The
registran
Commodity
Current
Tolerance
(
ppm)
Tolerance
a
Reassessment
(
ppm)
Comment/
Correct
Commodity
Definition
6
Goats,
meat,
fat,
mbyp
0.01
Revoke
The
registrant
will
not
support
this
use.
Hogs,
meat,
fat,
mbyp
0.01
Revoke
The
registrant
will
not
support
this
use.
Horses,
meat,
fat,
mbyp
0.01
Revoke
The
registrant
will
not
support
this
use.
Milk,
fat
0.1
Revoke
The
registrant
will
not
support
this
use.
Pears
2.0
Revoke
The
registrant
will
not
support
this
use.
Quinces
0.05
Revoke
The
registrant
will
not
support
this
use.
Rice,
grain
0.05
Revoke
The
registrant
will
not
support
this
use.
Rice,
straw
0.2
Revoke
The
registrant
will
not
support
this
use.
Sheep,
meat,
fat,
mbyp
0.01
Revoke
The
registrant
will
not
support
this
use.
Stone
fruits
0.05
Revoke
The
registrant
will
not
support
this
use.
a
The
registrant,
Aventis
submitted
a
revocation
letter
(
1/
24/
01)
for
oxadiazon
in
which
they
are
not
supporting
any
tolerances
for
oxadiazon
in
or
on
food.
DIETARY
EXPOSURE
ASSESSMENT
SUMMARY
A
dietary
risk
assessment
for
the
uses
of
oxadiazon
is
not
needed
at
this
time
because
there
are
no
food/
feed
uses
for
oxadiazon.
CODEX
HARMONIZATION
7
There
are
no
CODEX,
Canadian,
or
Mexican
tolerances
for
oxadiazon
residues
on
the
16
commodities
listed
in
40
CFR
§
180.346.
AGENCY
MEMORANDA
CITED
IN
THIS
DOCUMENT
HED
No:
None
DP
Barcode:
D271728
Subject:
Oxadiazon.
Issues
to
be
Presented
to
the
HED
Metabolism
Assessment
Review
Committee
(
MARC).
From:
S.
Piper,
HED
To:
HED
Metabolism
Committee
Dated:
1/
10/
01
MRID(
s):
None
HED
No:
None
DP
Barcode:
D272425
Subject:
Oxadiazon.
The
Outcome
of
the
HED
Metabolism
Assessment
Review
Committee
Meeting
Held
on
1/
30/
01.
From:
S.
Piper,
HED
To:
HED
Metabolism
Committee
Dated:
2/
13/
01
MRID(
s):
None
8
| epa | 2024-06-07T20:31:45.256345 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0309-0016/content.txt"
} |
EPA-HQ-OPP-2002-0310-0001 | Notice | 2002-11-27T05:00:00 | Pesticide Products; Registration Approval | 70945
Federal
Register
/
Vol.
67,
No.
229
/
Wednesday,
November
27,
2002
/
Notices
Washington,
DC,
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0317.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0317.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
registration
activity.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Registration
Application
EPA
received
an
application
as
follows
to
register
a
pesticide
product
containing
an
active
ingredient
not
included
in
any
previously
registered
products
pursuant
to
the
provision
of
section
3(
c)(
4)
of
FIFRA.
Notice
of
receipt
of
this
application
does
not
imply
a
decision
by
the
Agency
on
the
application.
Product
Containing
an
Active
Ingredient
not
Included
in
any
Previously
Registered
Products
File
symbol:
56228
GU.
Applicant:
United
States
Department
of
Agriculture,
Animal
Plant
and
Health
Inspection
Service,
4700
River
Road,
Unit
152,
Riverdale,
MD
20737.
Product
name:
Acetaminophen
For
Brown
Treesnake
Control.
Product
type:
Pesticide.
Active
ingredient:
Contains
72.7%
of
the
new
active
ingredient
acetaminophen.
Proposed
classification/
Use:
For
control
and
reduction
of
brown
treesnake
abundance
on
Guam
and
the
Northern
Mariana
Islands
and
to
protect
against
brown
treesnakes
being
exported
to
Hawaii
or
the
Continental
United
States
as
hitchhikers
in
cargo.
List
of
Subjects
Environmental
protection,
Pesticides
and
pest.
Dated:
November
18,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30122
Filed
11
26
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0310;
FRL
7280
5]
Pesticide
Product;
Registration
Approval
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
Agency
approval
of
an
application
to
register
the
pesticide
product
Bromuconazole
Technical
containing
an
active
ingredient
not
included
in
any
previously
registered
product
pursuant
to
the
provisions
of
section
3(
c)(
5)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended.
FOR
FURTHER
INFORMATION
CONTACT:
Mary
Waller,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9354;
and
e
mail
address:
waller.
mary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0310.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
VerDate
0ct<
31>
2002
16:
54
Nov
26,
2002
Jkt
200001
PO
00000
Frm
00030
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
27NON1.
SGM
27NON1
70946
Federal
Register
/
Vol.
67,
No.
229
/
Wednesday,
November
27,
2002
/
Notices
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
In
accordance
with
section
3(
c)(
2)
of
FIFRA,
a
copy
of
the
approved
label,
the
list
of
data
references,
the
data
and
other
scientific
information
used
to
support
registration,
except
for
material
specifically
protected
by
section
10
of
FIFRA,
are
also
available
for
public
inspection.
Requests
for
data
must
be
made
in
accordance
with
the
provisions
of
the
Freedom
of
Information
Act
and
must
be
addressed
to
the
Freedom
of
Information
Office
(
A
101),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
The
request
should:
Identify
the
product
name
and
registration
number
andspecify
the
data
or
information
desired.
A
paper
copy
of
the
fact
sheet,
which
provides
more
detail
on
this
registration,
may
be
obtained
from
the
National
Technical
Information
Service
(
NTIS),
5285
Port
Royal
Rd.,
Springfield,
VA
22161.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Did
EPA
Approve
the
Application?
The
Agency
approved
the
application
after
considering
all
required
data
on
risks
associated
with
the
proposed
use
of
bromuconazole,
and
information
on
social,
economic,
and
environmental
benefits
to
be
derived
from
use.
Specifically,
the
Agency
has
considered
the
nature
of
the
chemical
and
its
pattern
of
use,
application
methods
and
rates,
and
level
and
extent
of
potential
exposure.
Based
on
these
reviews,
the
Agency
was
able
to
make
basic
health
and
safety
determinations
which
show
that
use
of
bromuconazole
when
used
in
accordance
with
widespread
and
commonly
recognized
practice,
will
not
generally
cause
unreasonable
adverse
effects
to
the
environment.
III.
Approved
Application
EPA
issued
a
notice,
published
in
the
Federal
Register
of
May
10,
1994
(
59
FR
24151)
(
FRL
4770
4),
which
announced
that
Rhone
Poulenc
Ag
Company
had
submitted
an
application
to
register
the
pesticide
product
Bromuconazole
Technical
(
EPA
File
Symbol
264
LUT),
containing
bromuconazole
at
97.0%,
an
active
ingredient
not
included
in
any
previously
registered
product.
The
application
was
approved
on
September
30,
2002,
as
Bromuconazole
Technical,
a
manufacturing
use
product
for
manufacturing,
formulating
and
repackaging
use
(
EPA
Registration
Number
264
547).
List
of
Subjects
Environmental
protection,
Pesticides
and
pests.
Dated:
November
16,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30124
Filed
11
26
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0313;
FRL
7280
9]
Pesticide
Emergency
Exemptions;
Agency
Decisions
and
State
and
Federal
Agency
Crisis
Declarations
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
EPA
has
granted
or
denied
emergency
exemptions
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
for
use
of
pesticides
as
listed
in
this
notice.
The
exemptions
or
denials
were
granted
during
the
period
July
1,
2002
until
September
30,
2002
to
control
unforseen
pest
outbreaks.
FOR
FURTHER
INFORMATION
CONTACT:
See
each
emergency
exemption
or
denial
for
the
name
of
a
contact
person.
The
following
information
applies
to
all
contact
persons:
Team
Leader,
Emergency
Response
Team,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9366.
SUPPLEMENTARY
INFORMATION:
EPA
has
granted
or
denied
emergency
exemptions
to
the
following
State
and
Federal
agencies.
The
emergency
exemptions
may
take
the
following
form:
Crisis,
public
health,
quarantine,
or
specific.
EPA
has
also
listed
denied
emergency
exemption
requests
in
this
notice.
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
a
federal
or
state
government
agency
involved
in
administration
of
environmental
quality
programs
(
i.
e.,
Departments
of
Agriculture,
Environment,
etc).
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Federal
or
State
Government
Entity,
(
NAICS
9241),
i.
e.,
Departments
of
Agriculture,
Environment,
etc.
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0313.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
VerDate
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16:
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26,
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| epa | 2024-06-07T20:31:45.261312 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0310-0001/content.txt"
} |
EPA-HQ-OPP-2002-0311-0001 | Notice | 2002-12-02T05:00:00 | Endangered Species Protection Program Field Implementation. Notice of Proposed Field
Implementation Approach and Request for Comment
(For Documents 2-4 Below, There are no Documents Associated With Those Entries). | 71549
Federal
Register
/
Vol.
67,
No.
231
/
Monday,
December
2,
2002
/
Notices
Disinfection
Byproducts
Rule
(
DBPR)
to
provide
greater
protection
against
risks
associated
with
microbial
pathogens
and
disinfection
byproducts
in
drinking
water.
The
Committee
provided
consensus
recommendations
for
the
LT2ESWTR
and
Stage
2
DBPR
in
September
2000,
as
stated
in
an
Agreement
in
Principle
(
65
FR
83015,
December
29,
2000).
In
this
meeting,
EPA
will
inform
the
Committee
regarding
the
status
of
development
of
the
LT2ESWTR
and
Stage
2
DBPR.
Dated:
November
25,
2002.
Cynthia
C.
Dougherty,
Director,
Office
of
Ground
Water
and
Drinking
Water.
[
FR
Doc.
02
30461
Filed
11
29
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7414
9]
Meeting
of
the
National
Drinking
Water
Advisory
Council
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice
of
public
meeting.
SUMMARY:
In
accordance
with
section
10(
a)(
2)
of
Public
Law
92
423,
``
The
Federal
Advisory
Committee
Act,''
notice
is
hereby
given
of
the
forthcoming
conference
call
meeting
of
the
National
Drinking
Water
Advisory
Council
(
Council),
established
under
the
Safe
Drinking
Water
Act,
as
amended
(
42
U.
S.
C.
300f
et
seq.).
The
Council
will
discuss
underground
injection
control
with
respect
to
the
practice
of
hydraulic
fracturing
for
coal
bed
methane
production.
DATES:
The
meeting
will
be
held
on
December
12,
2002,
from
10
a.
m.
to
1
p.
m.,
Eastern
Standard
Time.
ADDRESSES:
Council
members
will
teleconference
into
Room
2123
of
the
EPA
East
building,
which
is
physically
located
at
1201
Constitution
Avenue,
NW,
Washington,
DC.
A
limited
number
of
additional
phone
lines
may
be
available
for
members
of
the
public
who
are
outside
of
the
Washington
DC
metropolitan
commuting
area
and
are
unable
to
attend
in
person.
Any
additional
teleconferencing
lines
that
are
available
will
be
reserved
on
a
firstcome
first
serve
basis
by
the
Designated
Federal
Officer.
FOR
FURTHER
INFORMATION
CONTACT:
Members
of
the
public
who
would
like
to
attend
the
meeting,
present
an
oral
statement,
submit
a
written
statement
in
advance,
or
make
arrangements
to
teleconference
into
the
meeting
should
contact
Brenda
Johnson,
Designated
Federal
Officer,
National
Drinking
Water
Advisory
Council,
by
December
6,
2002.
Ms.
Johnson
can
be
reached
at
(
202)
564
3791;
by
e
mail
at
johnson.
brendap@
epa.
gov,
or
by
regular
mail
at
U.
S.
Environmental
Protection
Agency,
Office
of
Ground
Water
and
Drinking
Water
(
M/
C
4601M),
1200
Pennsylvania
Avenue,
NW,
Washington,
DC
20460.
SUPPLEMENTARY
INFORMATION:
The
Council
encourages
the
public's
input
and
will
allocate
a
portion
of
the
meeting
for
this
purpose.
To
ensure
adequate
time
for
public
involvement,
oral
statements
will
be
limited
to
five
minutes,
and
it
is
preferred
that
only
one
person
present
the
statement
on
behalf
of
a
group
or
organization.
Any
person
who
wishes
to
file
a
written
statement
can
do
so
before
or
after
a
Council
meeting.
Written
statements
received
prior
to
the
meeting
will
be
distributed
to
all
members
of
the
Council
before
any
final
discussion
or
vote
is
completed.
Any
statements
received
after
the
meeting
will
become
part
of
the
permanent
meeting
file
and
will
be
forwarded
to
the
Council
members
for
their
information.
Dated:
November
25,
2002.
Cynthia
C.
Dougherty,
Director,
Office
of
Ground
Water
and
Drinking
Water.
[
FR
Doc.
02
30462
Filed
11
29
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0311;
FRL
7283
7]
Endangered
Species
Protection
Program
Field
Implementation
AGENCY:
Environmental
Protection
Agency
(
EPA
or
Agency).
ACTION:
Notice
of
proposed
field
implementation
approach
and
request
for
comment.
SUMMARY:
EPA's
Office
of
Pesticide
Programs
is
describing,
and
requesting
comment
on,
implementation
of
its
Endangered
Species
Protection
Program
(
ESPP,
or
the
Program).
The
goal
of
the
ESPP
is
to
carry
out
responsibilities
under
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
in
compliance
with
the
Endangered
Species
Act
(
ESA),
while
at
the
same
time
not
placing
unnecessary
burden
on
agriculture
and
other
pesticide
users.
This
Notice
describes
how
EPA
proposes
to
implement
its
responsibilities
under
section
7(
a)(
2)
of
ESA
by
completing
and
upgrading
County
Bulletins,
amending
pesticide
labels
to
reference
County
Bulletins,
and
enhancing
monitoring
programs.
Regulations
found
at
50
CFR
part
402
acknowledge
that
there
may
be
Federal
programs
for
which
revisions
to
standard
regulatory
processes
could
result
in
more
effective
and
efficient
coordination
among
Federal
agencies
and
thus,
more
effective
and
efficient
protection
of
listed
species.
As
such,
those
regulations
(
50
CFR
part
402)
allow
Federal
agencies
to
establish
alternate
procedures,
applicable
to
specific
Federal
programs,
for
satisfying
the
provisions
of
ESA
section
7(
a)(
2).
Those
alternate
procedures
are
known
as
counterpart
regulations.
Through
a
separate
Advance
Notice
of
Proposed
Rulemaking
(
ANPR)
to
be
issued
on
or
about
the
same
date
as
this
Notice,
EPA,
the
Department
of
the
Interior
(
DOI),
and
the
Department
of
Commerce
(
DOC)
are
seeking
public
input
on
ways
that
such
counterpart
regulations
could
improve
the
ESA
consultation
process
with
respect
to
pesticide
registrations.
Similarly,
implementing
regulations
under
FIFRA
may
be
revised
to
ensure
a
more
effective
program.
The
docket
for
this
Notice
(
docket
identification
number
OPP
2002
0311)
includes
a
summary
of
the
current
technical
review
and
consultation
approaches
employed
by
the
Agency,
and
the
standard
evaluation
procedure
used
for
ecological
risk
assessments.
That
information
has
been
subject
to
public
comment
in
the
past,
has
been
used
during
EPA's
Interim
Endangered
Species
Protection
Program,
and
will
continue
to
be
used
until
the
Agency,
DOI
and
DOC
take
comment
on
these
aspects
of
the
Program
through
the
ANPR
and
modify
them
as
appropriate.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0311,
must
be
received
on
or
before
March
3,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
this
Notice.
FOR
FURTHER
INFORMATION
CONTACT:
Mary
Powell,
Field
and
External
Affairs
Division
(
7506C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
7384;
fax
number:
(
703)
308
3259;
e
mail
address:
powell.
mary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
This
Notice
is
organized
into
four
units.
Unit
I.
provides
general
information
about
applicability
of
this
Notice,
availability
of
additional
information,
and
how
to
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17:
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Federal
Register
/
Vol.
67,
No.
231
/
Monday,
December
2,
2002
/
Notices
comment
on
the
Notice.
Unit
II.
provides
background
information,
including
the
Agency's
legal
authority
for
taking
this
action,
the
Interim
ESPP,
and
EPA's
efforts
to
develop
this
proposed
field
implementation
approach.
Unit
III.
describes
the
proposed
field
implementation
of
the
ESPP,
and
Unit
IV.
provides
the
references
cited
throughout
this
Notice.
While
the
Agency
seeks
comments
on
any
aspect
of
this
Notice,
it
also
is
hoping
to
obtain
input
on
certain
specific
aspects.
Within
the
various
units
of
this
Notice,
EPA
has
indicated
specific
issues
on
which
the
Agency
is
particularly
interested
in
obtaining
comment.
These
issues
are
noted
within
the
appropriate
units
under
a
subheading
of
``
Specific
Input
Requested.''
Further,
the
Agency
seeks
comment
on
whether
any
aspect
of
this
field
implementation
proposal
is
more
appropriately
addressed
through
the
counterpart
regulations
that
are
the
subject
of
a
separate
ANPR,
to
be
published
by
the
Agency,
DOI,
and
DOC
on
or
about
the
same
date
as
this
Notice.
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general,
and
may
be
of
particular
interest
to
farmers;
pesticide
registrants;
pesticide
users;
agricultural
trade
associations;
public
interest
groups;
groups
involved
in
or
interested
in
endangered
species
protection;
and
local,
State,
Tribal,
U.
S.
Territory,
and
Federal
government
agencies.
Because
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0311.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
(
in
this
case,
number
OPP
2002
0311)
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
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Notices
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0311.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0311.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0311.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0311.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
these
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
your
estimate.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternatives.
7.
Make
sure
to
submit
your
comments
by
the
comment
period
deadline
identified.
8.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
(
in
this
case,
docket
ID
number
OPP
2002
0311)
in
the
subject
line
on
the
first
page
of
your
response.
It
would
also
be
helpful
if
you
provided
the
name,
date,
and
Federal
Register
citation
related
to
your
comments.
II.
Background
Information
on
the
Endangered
Species
Protection
Program
A.
Authority
and
Responsibility
under
FIFRA
and
ESA
Since
1970,
EPA
has
had
responsibility
for
regulating
the
sale,
distribution
and
use
of
pesticides
under
the
Federal
Insecticide,
Fungicide
and
Rodenticide
Act
(
FIFRA).
EPA
has
granted
registrations,
or
licenses,
to
thousands
of
pesticides
containing
hundreds
of
active
ingredients
and
has
continuing
oversight
over
such
actions.
These
registrations
encompass
thousands
of
different
use
sites
and
practices
across
the
United
States.
FIFRA
as
amended
(
7
U.
S.
C.
135
et
seq.)
governs
the
regulation
of
pesticides
in
the
United
States.
Under
FIFRA,
a
pesticide
product
may
be
sold
or
distributed
in
the
United
States
only
if
it
is
registered
or
exempted
from
registration
by
EPA.
Before
a
product
can
be
registered
unconditionally,
it
must
be
shown,
among
other
things,
that
the
pesticide,
when
used
in
accordance
with
widespread
and
commonly
recognized
practice,
will
not
generally
cause
``
unreasonable
adverse
effects
on
the
environment''
(
section
3(
c)(
5)).
FIFRA
defines
this
standard
to
include
``
any
unreasonable
risk
to
man
or
the
environment,
taking
into
account
the
economic,
social,
and
environmental
costs
and
benefits
of
the
use
of''
the
pesticide
(
FIFRA
section
(
2)(
bb)(
1)).
This
is
known
as
the
FIFRA
risk/
benefit
standard.
Amendments
to
FIFRA
in
1988
required
that
in
addition
to
the
original
registration
decision,
all
pesticides
first
registered
before
November
1984
be
reviewed
against
more
up
to
date
data
requirements
and
standards,
and
decisions
made
about
whether
these
pesticides
should
be
``
reregistered''
(
FIFRA
section
4(
a)).
FIFRA
was
amended
again
in
1996
with
enactment
of
the
Food
Quality
Protection
Act.
FQPA
put
into
place
a
new
standard
for
assessing
human
dietary
risk
(
FIFRA
section
2(
bb)(
2)),
but
it
did
not
alter
the
risk
benefit
standard
of
section
2(
bb)(
1)
for
assessing
ecological
risk.
It
also
required
that
EPA
periodically
review
pesticide
registrations
(
establishing
a
goal
of
such
review
every
15
years)
to
determine
whether
such
registrations
meets
the
requirements
of
the
Act
(
FIFRA
section
3(
g)(
1)(
A)).
Congress
enacted
the
ESA
(
16
U.
S.
C.
1531
et
seq.)
to
protect
and
promote
the
recovery
of
animal
and
plant
species
that
are
threatened
or
in
danger
of
becoming
extinct
and
to
ensure
that
the
critical
habitat
upon
which
they
depend
is
not
destroyed
or
adversely
modified.
The
ESA
institutes
certain
prohibitions
against
``
taking''
threatened
or
endangered
(
listed)
species.
Section
7(
a)(
1)
of
the
ESA,
16
U.
S.
C.
1536(
a)(
1),
requires
Federal
agencies
use
their
authorities
in
furtherance
of
the
purposes
of
the
Act,
by
carrying
out
programs
for
the
conservation
of
listed
species.
Public
Law
100
478,
October
7,
1988,
amended
the
ESA
and
states
that
EPA
should
fulfill
its
obligation
to
conserve
listed
species,
while
at
the
same
time
considering
the
needs
of
agriculture
and
other
pesticide
users.
Section
7(
a)(
2)
of
the
ESA,
16
U.
S.
C.
1536,
and
the
implementing
regulations
at
50
CFR
part
402,
further
require
Federal
agencies
to
ensure
that
their
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actions
are
not
likely
to
jeopardize
the
continued
existence
of
any
endangered
or
threatened
species
or
result
in
the
destruction
or
adverse
modification
of
critical
habitat.
This
duty
extends
to
licensing
activities
such
as
the
registration
of
pesticides
by
EPA.
In
meeting
the
section
7(
a)(
2)
requirement,
EPA
must
consult
with
the
Services
regarding
the
effects
of
Agency
actions
on
listed
species.
In
fulfilling
this
requirement,
Federal
agencies
must
use
the
best
scientific
and
commercial
data
available.
The
Secretary
of
the
Interior
has
delegated
the
interagency
consultation
responsibilities
to
the
U.
S.
Fish
and
Wildlife
Service;
the
Secretary
of
Commerce
has
delegated
the
interagency
consultation
responsibilities
to
the
National
Oceanic
and
Atmospheric
Administration.
EPA
and
the
Services
are
currently
engaged
in
a
number
of
separate,
but
related
activities
relative
to
EPA's
responsibilities
under
the
ESA.
First,
under
ESA
section
7(
a)(
1),
EPA
and
the
Services
are
engaged
in
an
ongoing
Proactive
Conservation
Review.
This
review
of
EPA's
ESPP,
is
intended
to
clarify
for
the
Federal
agencies,
EPA's
approach
to
risk
assessment,
criteria
that
indicate
a
listed
species
may
be
at
risk,
and
the
requirements
imposed
on
EPA
by
the
ESA
regulations
governing
consultation.
The
review
will
also
identify
areas
or
issues
relative
to
risk
assessment,
criteria
and
consultations
that
may
require
modification
to
ensure
an
effective
and
efficient
process
of
consultation
among
EPA
and
the
Services.
While
this
review
is
conducted
under
ESA
section
7(
a)(
1),
the
outcomes
of
the
review
will
likely
be
used
to
help
focus
discussions
on
technical
and
science
policy
issues
that
need
to
be
addressed
in
order
to
effectively
carry
out
responsibilities
under
ESA
section
7(
a)(
2).
As
noted
in
the
SUMMARY
section
of
this
Notice,
EPA
and
the
Services
are
also
publishing
an
ANPR,
at
or
about
the
same
time
as
publication
of
this
Notice.
The
purpose
of
the
ANPR
is
to
gain
public
input
relative
to
the
consultation,
technical,
and
science
policy
issues
that
need
to
be
addressed
in
order
to
effectively
carry
out
responsibilities
under
ESA
section
7(
a)(
2).
As
part
of
the
ESPP,
this
Federal
Register
Notice
proposes
a
field
implementation
plan
for
putting
in
place
any
protection
measures
necessary
to
ensure
EPA's
compliance
with
ESA
section
7(
a)(
2).
This
plan,
once
final,
will
be
used
to
put
in
place
protection
measures
identified
through
consultations
with
the
Services.
EPA
may
also
use
this
implementation
approach
as
appropriate,
to
put
measures
in
place
necessary
to
protect
listed
species,
even
in
the
absence
of
a
Biological
Opinion
from
the
Services.
B.
EPA's
Role
1.
ESA
section
7(
a)(
1)
obligations.
As
noted
in
Unit
II.
A.
above,
EPA
has
responsibilities
under
both
section
7(
a)(
1)
and
7(
a)(
2)
of
the
ESA.
Under
section
7(
a)(
1),
EPA
uses
its
authorities
to
conserve
listed
species,
in
consultation
with
the
Services.
The
Proactive
Conservation
Review
discussed
in
Unit
II.
F.
2.
is
being
carried
out
under
section
7(
a)(
1)
of
ESA.
In
addition,
EPA
has
carried
out
a
number
of
other
activities
intended
to
conserve
listed
species
including:
Hosting
a
Wb
site
that
contains
listed
species
fact
sheets
and
a
county
scale
data
base
of
listed
species
occurrences;
maintaining
a
toll
free
telephone
number
for
public
inquiries
relative
to
pesticide
use
and
listed
species
protection;
and
producing
and
disseminating
educational
materials
for
students.
Additionally,
EPA
has
worked
with
State
agencies
responsible
for
pesticide
programs,
to
ensure
that
pesticide
applicators
certified
by
the
States,
receive
information
during
their
certification
training,
relative
to
endangered
species
protection
needs.
2.
ESA
section
7(
a)(
2)
obligations.
Under
section
7(
a)(
2)
of
ESA,
EPA
must
ensure
that
its
actions
are
``
not
likely
to
jeopardize
the
continued
existence
of
any''
listed
species
or
``
result
in
the
destruction
or
adverse
modification
of''
their
designated
critical
habitat.
In
carrying
out
its
responsibilities,
EPA's
challenge
is
how
to
implement
FIFRA,
a
risk/
benefit
statute,
in
a
way
that
ensures
compliance
with
the
requirements
of
the
ESA
mandate
to
protect
listed
species
and
to
do
so
at
use
sites
that
are
geographically,
ecologically,
agronomically,
and
economically
diverse
and
changeable.
EPA
seeks
to
carry
out
these
protections
for
thousands
of
pesticide
products
in
ways
that
users
can
be
expected
to
implement
reliably
and
routinely
without
unnecessary
burden.
The
Agency
is
responsible
for
reviewing
information
and
data
to
determine
whether
a
pesticide
product
may
be
registered
for
a
particular
use.
As
part
of
that
determination,
the
Agency
assesses
whether
listed
species
or
their
designated
critical
habitat
may
be
affected
by
the
use
of
the
product.
If
EPA
determines
that
the
action
may
affect
a
listed
species,
the
interagency
coordination
regulations
require
the
Agency
to
enter
into
a
process
with
the
Services
called
``
consultation''
(
50
CFR
402.14).
The
consultation
process
is
designed
to
ensure
that
the
Agency
action
is
not
likely
to
jeopardize
the
continued
existence
of
a
listed
species
or
result
in
destruction
or
adverse
modification
of
its
designated
critical
habitat
(
ESA
section
7(
a)(
2)).
Following
consultation,
the
Agency
is
responsible
for
implementing
protections,
if
necessary,
through
its
available
authority.
More
information
on
``
may
affect
determinations''
and
consultations
may
be
found
in
Unit
II.
D.
EPA
must
also
``
confer''
with
the
Services
if
its
actions
may
jeopardize
the
continued
existence
of
species
proposed
for
listing
or
result
in
destruction
or
adverse
modification
of
habitat
proposed
for
designation
as
critical
habitat.
Consultation
is
not
necessary
if
EPA
determines
that
a
particular
action
will
have
``
no
effect''
on
listed
species
or
designated
critical
habitat.
(
See
Unit
II.
D.
1.
c.
for
a
discusssion
of
``
no
effect
determinations.''
C.
The
Roles
of
FWS
and
NOAA
Fisheries
DOI's
U.
S.
Fish
and
Wildlife
Service
(
FWS)
administers
the
ESA
for
most
species.
DOC's
National
Marine
Fisheries
Service
(
NOAA
Fisheries)
administers
the
ESA
for
certain
listed
marine
and
anadromous
species.
Both
FWS
and
NOAA
Fisheries
(
jointly,
the
Services)
enter
into
formal
or
informal
consultation
or
conference
with
EPA
concerning
effects
to
listed
species
and
species
proposed
for
listing
as
well
as
effects
on
critical
habitat.
The
consultation
process
is
described
in
Unit
II.
D.
3.
below.
The
Services
may
determine
whether
an
EPA
action
is
likely
to
cause
jeopardy
to
the
continued
existence
of
a
species
and
if
so,
the
Services
may
propose
reasonable
and
prudent
alternatives
to
the
action
to
avoid
jeopardy.
The
Services
may
also
issue
incidental
take
statements
that
authorize
takings
of
listed
species
incidental
to
certain
Federal
actions.
D.
Effects
Determinations
and
Consultations
In
the
past,
EPA
has
conducted
a
number
of
consultations
with
the
Services.
The
Agency's
experience
with
those
has
demonstrated
that
the
agencies
need
to
reexamine
their
programs
to
improve
both
the
efficiency
and
effectiveness
of
consultation.
EPA
and
the
Services
are
currently
participating
in
a
joint
Proactive
Conservation
Review
(
see
Unit
II.
F.
2.)
to
explore
potential
modifications
for
better
integrating
the
FIFRA
and
ESA
processes.
The
Agency,
DOI
and
DOC
are
seeking
public
input
on
the
consultation
process
and
EPA's
endangered
species
assessment
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processes
through
a
separate
ANPR,
to
be
published
on
or
about
the
same
date
as
this
Notice,
and
intend
to
address
these
provisions
through
counterpart
regulations.
Similarly,
subsequent
to
the
ANPR,
certain
FIFRA
regulatory
processes
may
be
reviewed
for
possible
revisions
that
could
make
the
program
more
efficient
or
effective.
While
the
Agency
is
not
seeking
comment
on
these
aspects
of
its
protection
efforts
through
this
Notice,
it
is
including
a
summary
of
its
current
process
for
making
effects
determinations
and
consulting
with
the
Services
in
Unit
II.
D.
2.
below,
for
purposes
of
providing
context
to
the
reader.
1.
Effects
determinations.
To
the
degree
possible,
endangered
species
issues
are
and
will
be
addressed
within
the
Agency's
existing
processes
of
registration
and
reregistration.
Concurrently,
the
Agency
will
review
those
pesticides
that
have
been
through
reregistration
and
that
may
affect
listed
species,
or
did
not
undergo
ESA
review
during
reregistration.
EPA
has
no
standard
data
requirements
for
endangered
species
effects
determinations,
beyond
those
normally
required
during
registration
and
reregistration.
However,
in
making
such
effects
determinations
in
the
past,
the
Agency
has
requested
data
for
specific
listed
species
concerns,
and
may
continue
to
do
so
in
the
future.
As
the
Proactive
Conservation
Review
and
ANPR
move
forward
(
see
Unit
II.
F.
2.),
and
as
EPA
begins
to
meld
the
process
for
making
these
determinations
into
existing
registration
and
reregistration
activities,
the
Agency
may
revisit
the
necessity
for
identifying
data
requirements
specific
to
listed
species.
The
potential
of
a
pesticide
to
directly
affect
any
particular
species
is
based
on
two
factors:
The
toxicity
of
the
chemical
to
the
species,
and
exposure.
The
latter
includes
the
estimated
environmental
concentrations
(
EECs)
that
would
result
from
labeled
use
of
a
pesticide
and
the
potential
for
actual
exposure
of
the
species
of
concern
to
those
EECs.
Direct
effects
may
be
in
either
of
two
broad
categories:
Acute
effects
or
chronic
effects,
including
both
lethal
and
sublethal
effects.
Species
may
also
be
affected
indirectly
through
modification
of
their
habitat
or
through
effects
on
their
food
supply.
EPA
relies
on
a
wide
range
of
environmental
data
to
assess
the
potential
effects
of
pesticides
on
listed
species.
These
data
include
toxicological
studies,
laboratory
and
field
studies
of
the
fate
and
transport
of
pesticides,
mathematical
fate
and
transport
models,
and
field
studies
monitoring
pesticide
concentrations
and
adverse
effects
to
non
target
organisms.
a.
Acute
lethal
and
sublethal
effects.
Acute
data
are
derived
from
toxicity
tests
with
lethality
as
the
primary
endpoint.
The
standard
acute
tests
submitted
for
pesticide
registration
also
include
analysis
of
observable
sublethal
effects.
For
example,
a
typical
acute
test
for
a
fish
will
include
concentrations
that
cause
no
mortality
and
often
no
observable
sublethal
effects,
as
well
as
concentrations
that
would
cause
100%
mortality.
Sublethal
effects
may
or
may
not
be
observed
at
concentrations
below
that
which
cause
100%
mortality.
Where
sublethal
effects
are
observed,
the
Agency
includes
such
information
in
its
assessment
of
whether
a
pesticide
may
affect
a
listed
species.
The
effects
at
test
concentrations
can
be
used
to
statistically
predict
the
effects
likely
to
occur
at
various
pesticide
concentrations;
a
well
done
test
can
even
be
extrapolated
to
concentrations
below
those
tested
(
or
above
the
test
concentrations,
if
the
highest
concentration
did
not
produce
100%
mortality).
b.
Chronic
lethal
and
sublethal
effects.
Potential
chronic
effects
of
a
pesticide
can
be
evaluated
based
on
several
types
of
tests
and
conducted
on
one
of
several
possible
species,
depending
on
the
listed
species
of
interest.
For
example,
chronic
tests
for
a
listed
bird
could
be
conducted
on
the
mallard
or
bobwhite
quail,
whereas
such
tests
for
a
listed
estuarine
species
would
be
conducted
on
mysid
shrimp.
Chronic
tests
primarily
evaluate
the
potential
for
reproductive
effects
and
effects
on
the
offspring.
Other
observed
sublethal
effects
are
also
required
to
be
reported.
An
abbreviated
chronic
test
is
usually
the
first
chronic
test
conducted
and
will
indicate
the
likelihood
of
reproductive
or
chronic
effects
at
relevant
concentrations.
If
such
effects
are
found,
then
a
full
life
cycle
test
will
generally
be
required.
If
the
nature
of
the
chemical
is
such
that
reproductive
effects
are
expected,
the
abbreviated
test
may
be
skipped
in
favor
of
the
full
lifecycle
test.
These
chronic
tests
are
designed
to
determine
a
``
no
observable
effect
level''
(
NOEL)
and
a
``
lowest
observable
effect
level''
(
LOEL).
c.
Assessment.
EPA
typically
evaluates
the
potential
of
a
pesticide
to
affect
listed
species
by
conducting
a
screening
level
assessment
and,
if
necessary,
a
species
specific
assessment.
During
the
screening
level
assessment
process,
the
Agency
generally
does
not
determine
whether
in
fact
any
specific
threatened
or
endangered
species
may
be
affected
by
the
pesticide,
but
merely
whether
a
concern
would
exist
if
a
threatened
or
endangered
species
were
exposed
to
the
EECs,
given
the
toxicity
of
the
specific
pesticide
to
the
species.
The
screening
steps
start
out
very
conservative
and
become
more
refined
with
each
step.
EPA
determines
that
there
is
``
no
effect''
on
listed
species
if,
at
any
step
in
the
screening
level
assessment,
no
Levels
of
Concern
(
LOCs)
are
exceeded.
After
EPA
performs
all
the
available
steps
in
the
screening
level
assessment,
a
pesticide
may
still
exceed
the
Agency's
LOCs
for
listed
species
(
see
Unit
II.
D.
1.
d.).
The
Agency
will
then
conduct
a
speciesspecific
assessment
to
make
effects
determinations
for
individual
listed
species
and
their
designated
critical
habitat.
Units
II.
D.
1.
d.
through
II.
D.
1.
g.
provide
an
example
of
this
process
for
aquatic
species.
Similar
steps
are
undertaken
for
terrestrial
species.
d.
Screening
level
assessment.
EPA
begins
its
screening
level
assessments
by
conducting
a
basic
ecological
risk
assessment
that
uses
available
data
and
generally
conservative
assumptions
to
establish
the
EEC.
EPA
then
uses
increasingly
specific
methods
and
data
and
more
refined
exposure
models
to
refine
the
EEC
of
the
pesticide.
Where
available,
EPA
may
also
use
field
monitoring
data
for
a
variety
of
purposes.
At
each
screening
step,
the
more
refined
EEC
is
compared
to
the
toxicity
of
the
pesticide
active
ingredient
to
determine
whether
the
pesticide
exceeds
LOCs
established
for
listed
aquatic
and
terrestrial
species.
EPA's
Standard
Evaluation
Procedure
for
Ecological
Risk
Assessment
(
June,
1986.
EPA
540/
9
85
001)
provides
that
LOCs
are
exceeded
for
acute
effects
on
listed
species
when
the
EEC
of
a
pesticide
is
greater
than
1/
20th
the
LC50
for
appropriate
aquatic
species
or
1/
10th
the
LC50
or
LD50
for
appropriate
terrestrial
species.
Thus,
under
current
practices,
the
LOCs
for
listed
species
incorporate
an
extra
level
of
protection
that
is
not
used
in
the
LOCs
for
other
non
target
species.
(
LC50
is
the
statistically
derived
estimate
of
concentration
expected
to
cause
50%
lethality.
LD50
is
the
statistically
derived
estimate
of
oral
dose
expected
to
result
in
50%
lethality.)
LOCs
are
exceeded
for
chronic
and/
or
reproductive
effects
when
the
EEC
exceeds
the
NOEL
in
appropriate
studies.
In
the
first
step
of
EPA's
screening
level
assessment,
the
Agency
uses
a
quantitative
comparison
between
the
default
EEC
and
the
toxicity
of
the
chemical.
A
default
EEC
is
based
on
application
rates
from
pesticide
labels
and
on
extremely
conservative
assumptions
of
movement
of
the
pesticide
to
water
rather
than
on
actual
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chemical
fate
and
transport
data.
Toxicity
values
for
the
pesticide
are
taken
from
data
submitted
by
pesticide
registrants
to
support
their
registration
request.
The
application
rate
is
determined
from
pesticide
labels.
EPA
then
compares
the
toxicity
values
with
the
default
EEC
to
determine
whether
the
pesticide
exceeds
EPA's
endangered
species
LOCs.
If
no
LOCs
are
exceeded,
the
pesticide
has
``
no
effect''
on
listed
species
and
the
analysis
ends.
However,
if
an
LOC
is
exceeded,
EPA
may
proceed
to
the
next
screening
step
to
refine
its
assessment.
In
this
next
step,
the
Agency
refines
its
ecological
risk
assessment
by
running
the
GENEEC
(
generic
EEC)
model
with
a
variety
of
inputs
on
application
methods
and
rates,
and
chemical
fate
and
transport
data
to
calculate
the
EEC.
Running
this
model
provides
a
more
refined
EEC
for
comparison
with
the
toxicity
data.
Again,
if
an
endangered
species'
LOC
is
exceeded
at
this
step,
EPA
may
proceed
to
the
next
step
to
further
refine
its
assessment.
If
the
model
described
below
is
not
available
for
the
particular
use
scenario
being
evaluated,
EPA
would
typically
move
to
a
speciesspecific
assessment
as
described
in
Unit
II.
D.
1.
e.
below.
In
the
next
step,
the
Agency
uses
a
much
more
sophisticated
model
the
Pesticide
Root
Zone
Model
Exposure
Analysis
Modeling
System
(
PRZM/
EXAMS)
to
calculate
more
refined
EECs.
This
model
includes
more
chemical
fate
and
transport
data,
and
it
involves
selecting
a
use
site
(
e.
g.,
wheat
or
apples)
scenario
and
modifying
the
scenario
to
reflect
the
nature
of
the
pesticide
use.
These
scenarios
are
based
upon
actual
field
data
on
crop
location,
extent
to
which
the
crop
is
grown,
soil
characteristics,
climate,
etc.
Use
site
scenarios
exist
only
for
major
and
a
few
minor
crops,
and
would
need
to
be
developed
to
run
this
model
for
other
crops.
If
an
endangered
species
LOC
is
exceeded
at
this
step,
a
species
specific
assessment
is
conducted.
e.
Species
specific
assessment.
To
conduct
a
species
specific
assessment,
EPA
takes
the
basic
quantitative
information
from
its
screening
level
assessment
developed
for
all
non
target
organisms
and
puts
that
information
in
context
for
individual
listed
species
and
their
locations.
Important
ecological
parameters
such
as
stream
flow
rates
and
soil
types,
pesticide
use
information,
the
geographic
relationship
between
specific
pesticide
uses
and
species
locations,
and
biological
requirements
and
behavioral
aspects
of
the
particular
species
are
typically
considered.
Where
reliable,
published
data
are
not
available,
information
for
such
parameters
is
typically
obtained
through
contacts
with
knowledgeable
experts,
including
extension
agents,
crop
advisors,
resource
specialists,
and
watershed
experts.
These
steps
enable
the
Agency
to
refine
its
generic
assessment
into
one
specific
to
individual
listed
species
and
their
designated
critical
habitat.
If
LOCs
are
exceeded
after
this
analysis,
the
Agency
may
work
with
the
registrant
to
determine
whether
sufficient
protection
measures
can
be
incorporated
into
the
registration
or
reregistration
to
achieve
a
no
effect
determination.
Only
if
those
efforts
are
unsuccessful
will
EPA
declare
a
``
may
affect
determination.''
f.
Use
of
field
monitoring
in
assessing
risks.
Field
monitoring
data
can
supplement
modeling
and
provide
a
more
direct
means
to
assess
whether
species
may
be
exposed
to
the
pesticide
at
a
level
sufficient
to
cause
an
effect,
if
the
monitoring
program
was
designed
or
is
appropriate
for
this
purpose.
For
example,
using
monitoring
data
where
water
samples
are
obtained
one
time
per
quarter
year
does
not
necessarily
provide
information
from
which
exposure
levels
can
be
determined,
although
data
can
alert
EPA
to
locations
where
pesticide
exposure
may
be
occurring
to
trigger
further
assessment
or
analysis.
However,
even
in
cases
where
appropriately
designed
monitoring
was
conducted,
EPA
would
still
typically
conduct
exposure
modeling
when
field
monitoring
data
do
not
exist
for
all
species
locations,
and
EPA
would
still
typically
conduct
a
species
specific
assessment,
as
described
in
Unit
II.
D.
1.
e.
above,
to
determine
whether
a
particular
species
may
be
exposed
to
the
monitored
levels
of
the
pesticide.
In
summary,
EPA
typically
evaluates
the
potential
of
a
pesticide
to
affect
listed
species
by
conducting
increasingly
refined
screening
level
assessments,
and,
if
necessary,
a
final
species
specific
assessment.
2.
Consultation
procedures.
Service
regulations
provide
for
two
types
of
consultations
once
a
``
may
affect
determination''
has
been
made.
a.
Informal
consultation.
Informal
consultation
is
an
option
available
to
an
action
agency
(
in
this
case
EPA)
to
assist
the
action
agency
in
determining
whether
formal
consultation
is
required.
During
this
process,
the
Services
can
suggest
modifications
to
an
EPA
action
to
avoid
the
likelihood
of
adverse
effects
to
a
listed
species
or
its
designated
critical
habitat.
The
informal
consultation
process
is
completed
with
a
written
concurrence
by
the
Services
with
EPA's
determination
that
its
action
is
``
not
likely
to
adversely
affect''
listed
species
or
designated
critical
habitat.
If
the
Services
do
not
concur
with
EPA's
finding
of
``
not
likely
to
adversely
affect,''
then
formal
consultation
must
be
initiated.
b.
Formal
consultation.
Formal
consultation
is
required
if
the
Agency
determines
that
a
pesticide
may
affect
or
is
likely
to
adversely
affect
a
listed
species
or
critical
habitat.
In
this
case,
EPA
makes
a
written
request
for
formal
consultation
with
the
Services
on
a
particular
Agency
action
(
i.
e.,
a
pesticide
registered
for
a
specific
use).
Basically,
a
consultation
package
consists
of
EPA's
assessment
of
the
potential
for
a
listed
species
or
designated
critical
habitat
to
be
adversely
affected
by
the
registration
of
a
particular
pesticide.
More
specifically,
the
package
includes
a
description
of
the
action
under
consideration,
areas
that
may
be
affected,
listed
species
or
critical
habitats
at
issue,
a
description
of
the
manner
in
which
the
action
may
affect
any
listed
species
or
critical
habitat,
and
an
analysis
of
cumulative
effects
and
any
relevant
reports.
The
consultation
package
must
use
the
best
scientific
and
commercial
data
available.
In
response,
the
Services
develop
and
provide
to
EPA
a
Biological
Opinion,
which
provides
the
Services'
opinion
on
whether
the
use
of
the
pesticide
in
question
is
``
likely
to
jeopardize
the
continued
existence
of
a
listed
species
or
result
in
the
destruction
or
adverse
modification
of
designated
critical
habitat''
(
50
CFR
402.14(
g)).
If
a
Biological
Opinion
concludes
that
an
action
is
likely
to
jeopardize
a
listed
species
or
adversely
modify
its
designated
critical
habitat,
then
the
Biological
Opinion
will
include
``
reasonable
and
prudent
alternatives,''
if
any,
that
EPA
may
undertake
to
avoid
the
likelihood
of
jeopardy
to
the
species
or
destruction
or
adverse
modification
of
critical
habitat.
Reasonable
and
prudent
alternatives
(
50
CFR
402.02)
are
actions
that:
(
1)
The
consulting
agency
is
capable
of
implementing
under
its
authority
and
jurisdiction.
(
2)
Allow
the
agency
action
to
be
implemented
in
a
manner
consistent
with
its
intended
purpose.
(
3)
Are
economically
and
technologically
feasible.
(
4)
Are
not
likely
to
jeopardize
the
continued
existence
of
any
listed
species
or
result
in
the
destruction
or
adverse
modification
of
critical
habitat.
Biological
Opinions
will
frequently
include
information
for
use
in
implementing
protections.
For
those
few
species
that
the
Services
determine
are
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Notices
subject
to
collection
threats,
the
Services
generally
will
encourage
development
of
alternative
protections,
such
as
landowner
agreements
(
see
Unit
II.
E.
3.
b.
for
more
information
on
landowner
agreements).
Biological
Opinions
may
also
include
an
``
incidental
take
statement.''
For
listed
species,
to
``
take''
means
``
to
harass,
harm,
pursue,
hunt,
shoot,
wound,
kill,
trap,
capture,
or
collect,
or
to
attempt
to
engage
in
any
such
conduct''
(
ESA
section
3).
Incidental
take
refers
to
takings
that
result
from,
but
are
not
the
purpose
of,
carrying
out
an
otherwise
lawful
activity
(
50
CFR
402.02).
Incidental
take
statements
specify,
among
other
things,
the
amount
or
extent
of
any
anticipated
incidental
taking
(
e.
g.,
the
number
of
individuals)
and
the
``
reasonable
and
prudent
measures''
needed
to
minimize
the
impact
of
such
a
taking.
The
Biological
Opinion
may
contain
reasonable
and
prudent
measures
to
reduce
the
impact
of
incidental
take,
even
if
no
jeopardy
to
the
listed
species
is
found.
If
the
amount
or
extent
of
taking
specified
in
the
incidental
take
statement
is
exceeded,
EPA
must
reinitiate
formal
consultation
(
50
CFR
402.16(
a)).
The
incidental
take
statement
also
conveys
to
the
action
agency,
any
applicant
to
the
agency,
and
any
users
of
the
product
an
exemption
from
the
take
prohibitions
of
the
ESA,
provided
that
the
action
is
implemented
in
a
manner
consistent
with
the
reasonable
and
prudent
measures
included
with
the
incidental
take
statement
(
ESA
section
7(
o)(
2)).
Reinitiation
of
consultation
must
occur
if
new
information
reveals
effects
of
the
action
that
may
affect
listed
species
or
critical
habitat
in
a
manner
or
extent
not
previously
considered;
if
the
identified
action
is
subsequently
modified
in
a
manner
that
causes
an
effect
to
the
listed
species
or
critical
habitat
that
was
not
considered
in
the
Biological
Opinion;
or
if
a
new
species
is
listed
or
critical
habitat
designated
that
may
be
affected
by
the
identified
action
(
50
CFR
402.16).
E.
Initial
Efforts
at
Program
Implementation
EPA's
past
efforts
to
carry
out
its
responsibilities
under
FIFRA
and
ESA
fall
into
three
areas:
Assessment
and
consultation;
implementation
of
protections;
and
an
interim
Program
that
relies
on
education,
cooperation
and
public
outreach.
1.
Assessment
and
consultation.
EPA
has
been
consulting
with
FWS
on
endangered
species
issues
since
1977,
and
has
used
a
variety
of
approaches
to
these
consultations.
The
various
approaches
yielded
variable
results
in
terms
of
efficiency,
effectiveness
at
addressing
potential
risk
to
a
given
species,
and
equity
among
pesticide
registrants
and
equity
among
pesticide
users.
a.
``
Case
by
case''
consultations.
In
more
than
80
instances,
the
Agency
has
assessed
the
potential
effects
of
a
pesticide
on
all
listed
species,
across
all
proposed
uses
of
a
single
pesticide.
The
benefit
to
this
approach
to
consultation
(
one
pesticide,
all
proposed
uses)
is
that
it
is
comprehensive
as
to
the
agency
action
and
manageable
since
it
involves
a
single
pesticide.
The
major
drawbacks
to
this
approach
resulted
from
use
limitations
being
proposed
for
a
specific
pesticide
while
competing
pesticides
that
may
also
pose
risks
to
species
had
not
yet
been
reviewed.
b.
``
Cluster''
consultations.
In
order
to
mitigate
the
potential
inequity
to
competing
registrants
from
the
case
bycase
approach,
the
Agency
engaged
the
FWS
in
several
``
cluster''
consultations.
These
consultations
were
based
on
an
assessment
of
all
pesticides
registered
for
use
on
certain
crops.
For
example,
in
the
``
cotton
cluster''
EPA
assessed
and
consulted
as
appropriate
on
any
pesticide
registered
for
use
on
cotton.
By
approaching
assessment
and
consultation
in
this
manner,
the
Agency
alleviated
the
potential
inequity
of
caseby
case
consultations
since
competitive
products
for
the
same
use
were
assessed
at
the
same
time.
However,
this
approach
carried
with
it
certain
other
problems.
The
consultations
resulting
from
this
approach
were
much
larger
and
more
complex.
At
the
request
of
the
FWS,
EPA
reinitiated
consultation
on
portions
of
these
``
clusters''
to
address
newly
listed
species
and
obtain
``
incidental
take''
statements.
The
resulting
reinitiation
encompassed
certain
uses
of
112
pesticides
that
had
the
potential
to
affect
one
or
more
of
165
different
listed
species.
For
both
the
original
consultations
and
the
reinitiation,
the
statutory
time
frame
provided
for
the
Services
to
complete
a
Biological
Opinion
proved
difficult
to
meet.
This
approach,
while
eliminating
the
inequity
among
pesticide
registrants,
created
a
potential
inequity
among
pesticide
users.
In
these
cluster
consultations,
a
pesticide
was
assessed
for
one
crop,
but
not
for
other
crops
for
which
it
was
registered.
If
the
assessed
crop
was
grown
adjacent
to
the
unassessed
crop,
growers
of
the
one
crop
could
face
use
limitations
while
growers
of
the
other
did
not.
c.
``
Species
based''
consultations.
A
third
approach
to
assessment
and
consultation
was
intended
to
ensure
that
a
species
was
completely
addressed
at
once.
This
``
species
based''
approach
was
used
to
request
formal
consultation
for
31
pesticides.
Under
this
approach,
the
Agency
and
the
Services
identified
the
species
most
vulnerable
to
effects
from
exposure
to
pesticides;
identified
all
the
pesticides
to
which
that
species
might
be
exposed;
and
identified
all
other
species
that
might
be
exposed
to
those
uses
of
these
pesticides.
The
Agency's
consultation
would
encompass
any
combination
of
these
factors
that
produced
a
``
may
affect
determination.''
Because
of
the
diversity
of
uses
of
these
pesticides
and
the
large
number
of
species
potentially
affected,
it
was
necessary
to
divide
the
consultation
into
two
parts.
FWS
has
completed
part
I.
EPA
asked
FWS
to
suspend
work
on
part
II
while
EPA
and
the
Services
undertake
the
ESA
Section
7(
a)(
1)
Proactive
Conservation
Review
to
facilitate
the
overall
consultation
process
(
see
Unit
II.
F.
2.
for
more
information
on
the
Proactive
Conservation
Review).
The
benefits
of
this
approach
appear
to
be
that
a
particular
species
would
be
protected
from
all
pesticide
exposures
with
a
potential
to
harm
the
species,
at
one
time.
However,
because
of
the
complexity
of
these
assessments,
the
time
necessary
to
identify
protections
is
protracted
significantly.
2.
Implementation
of
protections.
In
the
past,
EPA
has
proposed
several
approaches
for
implementing
an
endangered
species
protection
program
(
53
FR
7716,
March
9,
1988;
54
FR
27984,
July
3,
1989).
Under
these
previous
proposals,
product
labels
would
have
been
amended,
where
necessary,
to
instruct
users
to
follow
specific
use
limitations.
These
limitations
would
have
been
described
in
County
Bulletins
developed
by
EPA
to
protect
listed
species
in
their
area.
Bulletins
would
contain
general
information
about
the
ESPP,
a
map
of
the
county
depicting
areas
in
which
limitations
applied,
and
a
table
indicating
the
particular
use
limitations
for
specific
pesticides
in
specific
areas
of
the
county.
States
and
Tribes
would
have
had
the
option
to
initiate
and
propose
to
EPA
alternative
plans
for
protecting
listed
species
in
their
area.
If
EPA
deemed
these
plans
to
be
feasible,
and
the
Services
deemed
them
protective
of
the
species,
EPA
would
adopt
the
provisions
of
the
plan
as
the
Federal
requirements
for
that
State
or
Tribe.
Other
elements
of
implementation
would
have
included
public
participation,
to
include
the
opportunity
for
comment
on
the
maps
and
County
Bulletins
and
State
initiated
plans
(
Unit
III.
F.).
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2,
2002
/
Notices
Moving
forward
with
a
final
program
implementation
scheme
did
not
seem
feasible
at
those
earlier
points
in
the
history
of
the
program's
development.
There
remained
significant
issues
with
potential
resulting
inequities
and
resource
implications
created
by
the
variety
of
priority
setting
schemes
for
assessment
and
consultation.
There
also
was
concern
that
County
Bulletins,
enforceable
under
FIFRA
misuse
provisions,
did
not
provide
sufficient
flexibility
for
pesticide
applicators
to
exercise
judgement
based
on
local
conditions,
to
protect
listed
species
in
ways
that
posed
the
least
burden.
Consequently,
EPA
decided,
for
the
interim,
to
maintain
its
case
by
case
approach
to
assessment
and
consultation
and
to
conduct
a
voluntary
ESPP
to
protect
listed
species
and
their
habitats.
As
part
of
this
interim
program,
EPA
has
undertaken
a
number
of
activities
designed
to
address
efficiency,
effectiveness
and
equity
issues
and
to
develop
an
improved
ESPP
implementation
plan.
3.
Interim
program.
The
interim
ESPP
relies
on
education,
cooperation
and
public
outreach
to
achieve
its
goals.
The
interim
ESPP
involves
the
voluntary
participation
of
States
and
pesticide
users,
typically
through
the
use
of
Interim
Pamphlets
as
described
below.
Some
States
also
have
participated
in
the
program
by
developing
and
piloting
State
initiated
plans
to
protect
listed
species
within
that
State.
Key
components
of
the
interim
ESPP
include:
a.
Distributing
Interim
Pamphlets.
These
Pamphlets,
which
are
precursors
to
the
County
Bulletins,
were
developed
for
voluntary
use
during
the
Interim
ESPP
to
encourage
the
protection
of
listed
species.
Based
largely
on
Biological
Opinions,
the
Pamphlets
include
the
name
of
the
species
of
concern,
a
table
of
the
pesticides
that
may
harm
that
species,
a
description
of
the
use
limitations
necessary
to
protect
the
species,
and
a
county
level
map
showing
the
geographic
areas
associated
with
these
use
limitations.
The
type
of
map
and
level
of
detail
depends
in
part
on
the
sensitivity
of
the
listed
species
to
other
factors,
such
as
collection.
(
See
Unit
III.
B.
for
distribution
procedures
and
more
information
on
County
Bulletins.)
b.
Developing
State
and
Tribespecific
approaches.
Several
States
have
developed
alternative
approaches
to
protecting
certain
listed
species
during
the
Interim
Program.
For
example,
Minnesota
and
Wisconsin
have
succeeded
in
protecting
listed
plants
by
developing
landowner
agreements
with
private
individuals.
These
agreements
identify
protective
measures
specific
to
the
geographic
area
involved
in
the
agreement
and
are
made
with
FWS
and
the
appropriate
State
agencies.
California
has
put
a
program
in
place
whereby
use
of
particular
pesticides
requires
a
State
permit,
the
provisions
of
which
take
into
account
the
proximity
of
use
to
a
listed
species.
Still
others
have
proceeded
under
the
general
direction
of
the
Agency's
Interim
Program
but
have
developed
alternatives
to
county
mapping
that
better
communicate
protection
measures
to
their
citizens.
F.
Development
of
this
Implementation
Proposal
In
developing
this
implementation
proposal,
EPA
considered
information
and
comments
from
a
number
of
sources.
Those
sources
included
public
comments
submitted
in
response
to
past
proposals
and
other
information
described
below.
1.
EPA
initiatives.
EPA
has
been
working
on
the
technical
aspects
of
the
ESPP.
These
efforts
include
collecting
additional
data
on
species
biology
and
habitat
locations,
agricultural
crop
and
other
pesticide
use
locations,
and
pesticide
toxicity
and
exposure.
In
certain
cases,
additional
research
was
conducted
that
specifically
provided
data
needed
to
address
risks
to
listed
species.
Examples
include
studies
on
herbicide
effects
on
cacti,
and
effects
of
insecticide
use
on
terrestrial
snails.
As
required
by
Public
Law
100
478,
October
7,
1988,
EPA
completed
and
submitted
a
report
to
Congress
titled
``
Report
to
Congress
on
the
Endangered
Species
Protection
Program
as
it
Relates
to
Pesticide
Regulatory
Activities.''
The
report
describes
the
joint
efforts
by
EPA,
USDA,
and
FWS
to
determine
the
effects
of
pesticide
use
on
listed
species.
It
also
summarizes
EPA's
efforts
to
communicate
use
limitations
to
pesticide
users,
to
determine
alternatives
to
outright
prohibitions,
to
develop
and
distribute
accurate
maps
of
use
limitation
areas
related
to
listed
species,
and
to
improve
communications
among
EPA,
USDA,
and
FWS.
2.
Proactive
Conservation
Review.
In
a
joint
effort
with
the
Services,
the
Agency
has
undertaken
a
Proactive
Conservation
Review,
authorized
under
ESA
section
7(
a)(
1).
EPA
and
the
Services
are
analyzing
the
processes
EPA
uses
to
determine
whether
a
pesticide
may
affect
a
listed
species
and
to
assess
generic
mitigation
measures.
The
Services
and
EPA
have
agreed
to
explore
issues
relative
to
five
specific
areas:
(
1)
EPA's
test
methodologies,
(
2)
environmental
exposure
assessment
processes,
(
3)
risk
assessments,
(
4)
conservation
measures,
and
(
5)
followup
to
EPA
action
to
ensure
continuing
protection
and
conservation
of
listed
species.
One
product
of
the
Proactive
Conservation
Review
will
be
a
handbook
setting
forth
the
processes
and
procedures
that
will
be
followed
by
EPA,
NOAA
Fisheries
and
FWS
relative
to
species
conservation,
pesticide
consultations,
and
protection
measures
for
listed
species
deemed
to
be
potentially
affected
by
pesticide
exposure.
3.
EPA
Regional
programs.
EPA
Regional
offices
continue
to
act
as
liaisons
with
State
lead
agencies
(
SLAs)
for
pesticide
regulatory
activities,
Tribes
and
U.
S.
territories;
train
State
representatives
in
the
ESPP;
distribute
program
materials;
contribute
to
the
development
of
educational
and
outreach
materials;
and
work
closely
with
States
in
developing
State
initiated
plans.
4.
State
efforts.
To
ensure
that
the
county
maps
delineating
the
pesticide
use
limitation
areas
are
precise
and
reflect
the
result
of
assessments
that
were
based
on
currently
occupied
habitat,
EPA
has
continued
to
work
with
the
States,
FWS,
and
USDA
in
developing,
reviewing
and
revising
the
maps.
Opportunity
also
has
been
provided
for
their
comment
on
the
specific
pesticide
use
limitations
for
individual
species.
State
involvement
varies,
but
review
usually
includes
participation
by
the
SLA
responsible
for
pesticide
programs
at
the
State
level
(
usually
the
State
Department
of
Agriculture),
State
heritage
and
conservation
agencies,
the
pesticide
coordinator
for
pesticide
applicator
certification
and
training,
and
others.
EPA
has
encouraged
the
States
to
include
a
balanced
role
for
representatives
of
non
government
environmental
groups
and
the
pesticide
user
community
as
well.
States
continue
to
play
an
active
role
in
other
aspects
of
the
ESPP.
Their
efforts
include
developing
Stateinitiated
plans,
incorporating
endangered
species
modules
into
pesticide
applicator
certification
and
training
programs,
refining
species
location
information,
and
providing
input
on
the
future
directions
of
the
ESPP
and
ways
to
achieve
program
goals
more
effectively.
5.
National
partners'
workshops.
As
EPA
began
to
revitalize
the
ESPP,
three
national
workshops
were
held
(
in
1997,
1999
and
2001).
The
purpose
of
these
workshops
was
to
seek
input
on
future
directions
of
the
ESPP
and
on
ways
to
achieve
goals
more
effectively.
These
workshops
resulted
in
the
formulation
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Notices
of
the
framework
for
this
final
program
proposal.
At
the
heart
of
each
of
these
workshops
was
the
discussion
of
a
range
of
practical,
nuts
and
bolts
solutions
for
furthering
endangered
species
protection
consistent
with
the
ESA.
A
few
dominant
themes
were
apparent
throughout:
To
better
protect
threatened
and
endangered
species,
everyone
involved
needs
to
communicate
better;
to
share
information,
data
and
resources;
and
to
identify
and
focus
on
priorities
to
make
better
use
of
limited
resources.
While
the
use
of
technology
to
foster
endangered
species
protection
is
crucial,
consideration
must
also
be
given
to
non
technological
alternatives
and
innovative
practices
(
see
Unit
III.
E.
3.
b.
for
some
examples).
III.
The
Endangered
Species
Protection
Program
Field
Implementation
Proposal
EPA's
implementation
proposal
is
based
on
two
goals.
The
first
is
to
provide
appropriate
protection
to
listed
species
and
their
habitats
from
potential
harm
due
to
pesticide
use.
The
second
is
to
avoid
placing
unnecessary
burden
on
pesticide
users
and
agriculture.
The
following
sections
describe
the
elements
of
EPA's
proposed
approach
to
implementing
endangered
species
protections
under
existing
ESA
regulations.
These
elements
include:
Scope,
approach
to
reviewing
pesticides,
completing
and
upgrading
County
Bulletins,
amending
pesticide
labels
to
reference
County
Bulletins,
enhancing
monitoring
programs,
compliance
and
enforcement,
and
public
participation.
Finally,
this
section
describes
the
role
of
States
and
Tribes
in
the
Program,
implementation
timing,
and
program
maintenance.
A.
Scope
of
the
ESPP
All
pesticide
products
for
which
EPA
makes
a
``
may
affect''
determination
may
be
subject
to
the
ESPP.
1.
Indoor
products
determination.
EPA
has
determined
that
pesticide
products
bearing
label
directions
only
for
use
indoors,
and
where
the
applied
pesticide
remains
indoors,
will
not
result
in
exposure
to
listed
species.
Therefore,
these
products
will
have
``
no
effect''
on
listed
species
and
generally
would
not
be
subject
to
the
ESPP.
Indoor
use
includes
application
within
transport
vehicles
and
within
any
structure
with
enclosed
walls
and
a
roof,
such
as
buildings,
greenhouses,
outbuildings,
etc.
This
``
no
effect''
determination
would
not
apply
to
a
pesticide
that
is
applied
indoors,
but
could
expose
outdoor
environments
(
such
as
pesticides
applied
in
cooling
towers
or
used
as
cattle
dips).
Whether
these
products
result
in
a
``
may
affect''
determination
will
be
assessed
on
a
case
by
case
basis.
If
a
``
may
affect''
determination
is
made
for
these
products,
they
would
be
subject
to
the
ESPP.
2.
Public
health
emergencies.
Under
section
18
of
FIFRA
(
40
CFR
part
166),
a
State
or
Federal
public
health
agency
may
request
that
EPA
grant
an
emergency
exemption
from
pesticide
registration
requirements
for
a
public
health
emergency
if
the
State
or
Federal
agency
can
demonstrate
that:
a.
An
emergency,
non
routine
condition
exists
that
requires
the
use
of
a
pesticide.
b.
Effective
registered
pesticides
or
alternative
practices
are
not
available
or
economically
or
environmentally
feasible.
c.
The
situation
will
present
significant
risks
to
human
health.
Public
health
emergencies,
verified
by
State
or
Federal
public
health
authorities,
include
situations
in
which:
(
1)
A
pest
outbreak
poses
a
significant
risk
to
human
health
or
in
which
the
elements
for
disease
outbreak
(
i.
e.,
virus
activity,
large
population
of
disease
vectors
either
present
or
pending,
or
others)
are
demonstrated
to
be
in
place
and
prompt
action
is
required
to
avert
an
actual
disease
outbreak,
and
(
2)
An
actual
disease
outbreak
is
in
progress
and
immediate
action
is
essential
to
arrest
the
outbreak.
In
the
latter
case,
a
crisis
exemption
under
section
18
may
be
appropriate,
which
allows
a
Federal
or
State
agency
to
authorize
the
emergency
use
of
a
pesticide
if
its
use
is
critical
and
enough
time
is
not
available
for
EPA
to
receive
and
complete
a
review
of
the
specific
request
for
a
public
health
exemption.
Consultations
on
emergency
actions
are
conducted
in
accordance
with
Service
regulations
found
at
50
CFR
402.05.
Generally,
in
accordance
with
the
ESA,
EPA
does
not
authorize
use
of
a
pesticide
under
section
18
if
that
pesticide
will
jeopardize
a
listed
species
or
adversely
modify
critical
habitat.
However,
if
no
practical
alternative
control
measures
are
available,
during
a
public
health
emergency,
a
public
health
exemption
under
section
18
may
be
sought
for
the
use
of
a
pesticide
that
was
found
to
jeopardize
listed
species
or
adversely
modify
its
critical
habitat.
Specific
Input
Requested
Public
Health
Emergencies
Is
the
above
section
18
approach
the
appropriate
mechanism
to
address
potential
intersections
of
public
health
and
listed
species
protections?
Should
actions
relative
to
public
health
emergencies
require
consultation
with
the
Services,
and
if
so,
should
it
be
an
emergency
consultation?
What
specific
alternatives
might
be
appropriate?
How
do
these
alternatives
allow
the
appropriate
weighing
and
balancing
of
public
health
and
listed
species
protection?
3.
Review
of
pesticides.
To
the
degree
possible,
endangered
species
issues
will
be
addressed
within
the
Agency's
existing
review
processes
of
registration
and
reregistration
so
that
when
a
registration
or
reregistration
decision
is
made,
it
fully
addresses
issues
relative
to
listed
species
protection.
Concurrently,
the
Agency
will
begin
a
process
to
review
those
pesticides
that
have
been
through
reregistration
review
and
were
found
potentially
to
affect
listed
species
or
their
critical
habitat,
or
where
the
potential
for
effects
on
listed
species
or
their
critical
habitat
was
not
considered.
This
does
not
limit
EPA's
ability
to
make
changes
in
its
technical
approach
nor
in
its
data
requirements.
EPA
and
the
Services
are
seeking
input
relative
to
the
technical
and
consultation
aspects
of
the
program
through
an
ANPR.
EPA
attempted
several
different
approaches
to
prioritizing
reviews
in
the
past
(
see
Unit
II.
E.
a.
through
II.
E.
c.),
each
resulting
in
a
different
set
of
issues
and
each
more
or
less
effective
in
differing
ways.
EPA's
proposed
approach
of
addressing
potential
effect
to
listed
species
on
a
chemical
bychemical
basis,
is
not
without
issues.
With
any
approach,
EPA
believes
the
best
way
to
address
the
issues
is
to
develop
a
technical
and
consultation
process
that
allows
the
Federal
Government
to
make
appropriate
decisions
in
a
timely
manner.
By
focusing
our
internal
processes
to
address
listed
species
concerns
during
registration
and
reregistration
where
possible,
and
by
identifying
and
implementing
improvements
in
the
technical
aspects
of
review
and
in
the
consultation
processes,
EPA
believes
many
of
the
issues
resulting
from
a
chemical
by
chemical
approach
to
review
will
be
resolved.
4.
Effect
determinations
and
consultations.
EPA's
technical
review
policies
(
Unit
II.
D.)
and
the
Services'
technical
information
and
analysis
requirements
under
the
ESA
section
7
consultation
regulations
currently
form
the
analytical
and
procedural
bases
of
EPA's
Interim
Endangered
Species
Protection
Program.
As
noted
in
Unit
II.
F.
2.,
EPA
is
engaged
in
a
Proactive
Conservation
Review
with
the
Services
under
ESA
section
7(
a)(
1)
to
analyze,
among
other
things,
the
processes
EPA
uses
to
determine
whether
a
pesticide
may
affect
a
listed
species.
Further,
EPA
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Notices
and
the
Services
will
be
taking
comment
through
an
ANPR
on
options
for
counterpart
regulations
that
could
amend
the
existing
ESA
and
FIFRA
regulatory
regimes
in
a
manner
that
improves
consultations
on
pesticide
actions.
Until
these
efforts
are
finalized,
EPA's
current
procedures
and
the
Services'
existing
regulations
at
50
CFR
part
402
will
continue
to
form
the
analytical
and
procedural
bases
of
the
ESPP.
B.
Completing
and
Upgrading
County
Bulletins
The
Interim
Pamphlets
(
Unit
II.
E.
3.)
have
been
the
centerpiece
of
the
ESPP.
As
a
top
priority,
EPA
will
update
existing
Pamphlets
to
reflect
all
current
Biological
Opinions,
including
the
identified
species
of
concern,
a
table
of
pesticides
that
may
harm
those
species,
and
current
use
limitations
to
protect
listed
species.
EPA
will
then
convert
these
Pamphlets
to
County
Bulletins.
The
Agency
will
continue
to
provide
access
to
the
Bulletins
through
its
home
page
on
the
Internet
(
www.
epa.
gov/
espp)
and
improve
the
distribution
network.
The
Bulletins
will
be
developed
by
EPA
in
cooperation
with
the
Services,
USDA,
States
and
Tribes.
EPA
will
generally
determine
appropriate
use
limitations
and
recommendations
in
the
Bulletins
by
reviewing
results
of
ESA
section
7
consultations
and
any
other
relevant
information
that
addresses
the
needs
of
the
listed
species.
The
Bulletins
will
only
be
maintained
and
issued
for
counties
for
which
protection
measures
have
been
deemed
necessary.
Bulletins
will:
1.
Identify
the
species
of
concern.
2.
Name
the
pesticides
that
may
harm
the
listed
species.
3.
Provide
a
description
of
the
protection
measures
necessary
to
protect
the
species.
Where
species
or
habitat
descriptions
are
helpful
or
necessary
to
identify
use
limitations,
EPA
will
also
include
this
information.
4.
Contain
a
county
map
showing
the
geographic
area
associated
with
the
protection
measures,
depending
on
the
sensitivity
of
the
species
to
other
factors
such
as
collection.
Typically,
maps
will
show
a
shaded
area
indicating
the
area
where
pesticide
use
should
be
modified
to
protect
that
species.
Within
shaded
areas
on
the
maps,
the
specific
protection
measures
will
be
identified
for
the
pesticide
and
the
species
being
protected.
To
ensure
precision,
EPA
has
been
working
with
other
Federal
agencies
and
the
States
in
revising
the
maps
and
the
tables
of
pesticide
use.
EPA
will
develop
draft
maps
and
tables
of
pesticide
use
limitations
and
send
them
to
the
States,
Services,
and
USDA
for
review
as
EPA
updates
the
information
for
the
County
Bulletins,
or
as
completion
of
consultations
results
in
EPA's
decision
to
include
additional
pesticides
or
species,
or
delete
currently
included
pesticides
or
species.
Based
on
comments
from
Federal
agencies,
States
and
Tribes
during
the
review
process,
EPA
will
work
with
the
commenters
to
resolve
any
problems
and
to
make
any
necessary
revisions
to
the
Bulletins.
EPA
also
is
working
on
making
the
maps
easier
to
use.
For
example,
EPA
has
been
exploring
various
mapping
formats
in
attempting
to
convey
information
to
pesticide
users
most
effectively.
In
some
cases,
townshiprange
section
designation
may
be
the
best
way
to
delineate
the
habitat
of
a
species,
while
in
other
situations,
local
landmarks
such
as
roads
or
streams
may
work
more
effectively.
The
Bulletins
also
will
contain
a
printing
date
to
indicate
the
date
the
Bulletin
was
issued.
As
new
information
becomes
available
and
a
Bulletin
is
revised,
EPA
will
issue
a
new,
revised
Bulletin
with
a
new
printing
date.
This
Bulletin
will
supersede
the
Bulletin
previously
issued,
as
identified
by
the
new
printing
date.
EPA
will
review
the
County
Bulletins
as
necessary,
but
generally
will
not
update
them
more
than
once
annually.
Specific
Input
Requested
County
Bulletins
County
Bulletins
will
be
the
main
basis
for
conveying
information
to
pesticide
users.
The
Agency
is
particularly
interested
in
comment
on
various
aspects
of
these
documents
as
detailed
below.
(
To
facilitate
comment,
an
Interim
Pamphlet
may
be
printed
from
the
Web
site
at
www.
epa.
gov/
espp/
usa
map.
htm.)
Are
there
ways
to
make
the
instructions
for
use
easier
to
understand?
Is
the
mapped
information
depicted
in
a
way
that
is
understandable?
For
example,
is
the
use
of
township
range
section
designations
appropriate?
Is
the
use
of
natural
and
man
made
landmarks
appropriate?
Is
it
clear
what
pesticides
are
subject
to
what
use
modifications
to
protect
listed
species?
Are
there
ways
to
make
the
protection
measures
easier
to
understand?
Are
the
narrative
descriptions
of
habitat
or
of
species
as
a
map
supplement
helpful?
How
can
the
Agency
make
protection
areas
as
specific
as
possible
without
infringing
on
the
privacy
of
individual
landowners,
who
may
be
the
sole
custodians
of
a
species
on
their
property,
while
still
protecting
the
species
and
not
subjecting
the
species
to
potential
harm
by
revealing
its
specific
location?
How
can
EPA
ensure
that
growers
know
they
have
the
most
recent
Bulletins?
Is
annual
updating
of
the
Bulletins
the
right
frequency?
If
not,
how
often
should
EPA
update
them?
How
can
EPA
work
with
States
to
improve
the
development
of
Bulletins?
C.
Bulletin
Distribution
Procedures
EPA
has
been
developing
its
distribution
plan
for
Bulletins
and
other
ESPP
information.
A
key
factor
in
developing
this
plan
is
to
make
sources
of
Bulletins
and
other
information
convenient
to
pesticide
users.
In
addition,
different
mechanisms
may
be
appropriate
for
different
States
and
Tribes.
As
a
result,
distribution
mechanisms
could
include
several
or
all
of
the
following
methods,
depending
on
the
State
or
Tribe:
1.
Mechanisms
identified
by
SLAs.
2.
Direct
mailing
to
pesticide
applicators
within
an
affected
county.
3.
Pesticide
dealers
and
distributors.
Ideally,
Bulletins
will
be
available
when
and
where
pesticide
applicators
buy
or
obtain
their
pesticides.
4.
Cooperative
Extension
Service,
Natural
Resources
Conservation
Service,
Agricultural
Stabilization
and
Conservation
offices,
and
USDA
county
offices
in
the
vicinity
of
affected
counties.
5.
The
Services'
regional
and
field
offices,
where
appropriate.
6.
EPA
Headquarters,
Regional
offices,
EPA's
toll
free
number
and
Web
site.
EPA
plans
to
evaluate
these
mechanisms
continually
and
to
modify
any
part
of
the
distribution
process
as
the
need
arises
and
as
more
is
learned
about
the
effectiveness
of
the
various
mechanisms.
Specific
Input
Requested
Bulletin
Distribution
Are
the
mechanisms
identified
for
Bulletin
distribution
appropriate?
What
other
mechanisms
would
be
of
value?
D.
Amending
Pesticide
Labels
to
Reference
County
Bulletins
EPA
proposes
to
request
label
amendments
of
pesticide
products
for
which
protection
measures
have
been
identified.
This
amendment
would
generally
include
a
statement
directing
the
user
to
follow
the
information
in
the
County
Bulletin.
The
label
also
would
include
a
statement
regarding
the
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potential
for
effects
to
listed
species.
Finally,
the
label
would
include
information
on
how
the
user
can
obtain
the
County
Bulletin.
The
County
Bulletins,
in
turn,
would
contain
specific
information
on
species
and
areas
where
protection
measures
were
necessary.
Such
a
system
would
help
ensure
that
pesticide
users
are
aware,
before
applying
pesticides,
of
both
the
potential
harm
to
listed
species
and
how
they
can
obtain
information
necessary
to
protect
listed
species.
The
Agency
has
several
approaches
to
requesting
label
amendments
for
currently
registered
pesticides.
In
Reregistration
Eligibility
Decisions
(
REDs),
the
Agency
can
make
clear
its
regulatory
position
on
listed
species
protection
and
indicate
the
labeling
that
would
be
necessary
for
products
to
be
considered
eligible
for
reregistration.
The
Agency
also
could
issue
a
Pesticide
Registration
(
PR)
Notice
requesting
amendments
of
pesticide
labels
for
which
limitations
have
been
identified
to
protect
listed
species
or
critical
habitat.
The
Agency
also
could
determine
that
in
the
absence
of
the
amended
label
language,
the
pesticide
would
no
longer
meet
the
risk/
benefit
standard
of
FIFRA
and
would,
therefore,
be
subject
to
cancellation.
The
Agency
intends
to
use
the
first
approach
when
completion
of
a
listed
species
and
critical
habitat
assessment
and
the
identification
of
use
limitations
coincides
with
completion
of
a
RED.
However,
this
approach
will
not
work
in
those
instances
where
these
two
activities
are
not
coincidental
(
i.
e.,
the
RED
is
completed
ahead
of
the
listed
species
determinations
or
vice
versa).
To
facilitate
label
changes
in
these
situations,
the
Agency
would
first
review
the
existing
Interim
Pamphlets
to
determine
that
the
information
is
current.
The
Agency
then
intends
to
prepare
a
PR
Notice
that
will
generally
request
registrants
of
products
in
those
Pamphlets
to
make
label
changes
relative
to
listed
species.
Specific
suggested
label
language
would
be
articulated
in
the
PR
Notice.
After
passage
of
the
time
frames
that
would
be
articulated
in
that
Notice,
products
for
which
revised
label
statements
are
requested,
and
which
do
not
bear
that
statement,
may
be
considered
misbranded
under
FIFRA
section
12(
a)(
1)(
E)
and
may
be
subject
to
a
Notice
of
Intent
to
Cancel.
If
necessary,
subsequent
PR
Notices
would
generally
be
issued
annually
to
request
label
changes
for
additional
products.
These
Notices
will
also
indicate
any
products
that
have
been
removed
from
the
Program.
Because
the
label
statements
would
not
be
county
specific
or
use
site
specific,
registrants
would
not
need
to
change
their
product
label
once
the
appropriate
changes
have
been
made,
if
protection
measures
are
extended
to
new
locations
or
new
species
need
protection.
Label
changes
would
be
necessary
only
if
the
protective
measures
specified
in
the
Bulletin
are
rescinded
for
all
uses
of
the
product.
As
noted
in
Unit
III.
H.,
the
Agency
intends
to
take
public
input
on
several
phases
of
listed
species
assessment
before
implementing
new
measures.
The
Agency
proposes
the
following
generic
label
statement
be
adopted
for
instructing
pesticide
users
about
listed
species
protection:
This
product
may
have
effects
on
federally
listed
threatened
and
endangered
species
or
critical
habitat
in
some
counties.
When
using
this
product,
you
must
follow
the
measures
contained
in
the
County
Bulletin
for
the
county
in
which
you
are
applying
the
pesticide.
To
determine
whether
your
County
has
a
Bulletin
consult
http://
www.
epa.
gov/
espp/
usa
map.
htm.
Bulletins
also
may
be
available
from
local
pesticide
dealers,
extension
offices,
or
State
pesticide
agencies.
Specific
Input
Requested
Labels
The
Agency
specifically
requests
comment
on
how
best
to
accomplish
label
changes
to
protect
listed
species,
where
EPA,
FWS
or
NOAA
Fisheries
has
identified
use
limitations
to
ensure
protection.
The
Agency
also
seeks
suggestions
for
specific
label
language
to
relay
the
information
articulated
in
this
section.
E.
Enforcement
For
pesticide
products
determined
to
affect
listed
species
or
critical
habitat,
the
Agency
is
proposing
that
the
product
labels
carry
a
statement
directing
users
to
follow
the
appropriate
County
Bulletin
in
effect
at
the
time
of
product
application.
Another
option
is
that
all
Bulletins
published
by
an
annual
date
certain
will
be
in
effect
for
12
months.
In
either
case,
pesticide
users
who
fail
to
follow
provisions
applicable
to
their
pesticide
application,
whether
that
failure
results
in
harm
to
a
listed
species
or
not,
would
be
subject
to
enforcement
under
the
misuse
provisions
of
FIFRA
(
section
12(
a)(
2)(
G)).
Specific
Input
Requested
Enforcement
In
connection
with
these
approaches,
EPA
seeks
public
comment
on
whether:
Either
or
both
of
these
approaches
provide
effective
means
to
implement
species
protection.
There
are
alternative
means
to
ensure
appropriate
protection
of
species
that
may
be
adversely
affected
from
the
use
of
a
pesticide.
F.
Enhancing
Monitoring
Programs
Evaluating
the
extent
to
which
the
ESPP
is
protecting
and
contributing
to
the
conservation
of
listed
species
can
be
accomplished
in
several
ways.
Potential
options
include
monitoring
to
determine
the
degree
to
which
pesticide
users
in
affected
areas
are
or
are
not
applying
pesticides
in
accordance
with
the
County
Bulletins,
best
management
practices
associated
with
landowner
agreements,
and
State
specific
approaches.
To
determine
the
feasibility
of
this
type
of
monitoring,
EPA
proposes
several
pilot
studies.
At
least
two
States
would
conduct
a
pilot
study
with
the
Agency
regarding
adherence
to
information
in
the
Bulletins.
States
selected
for
this
pilot
would
be
from
among
those
that
are
currently
working
on
more
efficient
ways
to
distribute
County
Bulletins.
EPA
also
proposes
that
another
State,
from
among
those
currently
employing
landowner
agreements
in
their
endangered
species
protection
efforts,
pilot
a
review
of
the
effectiveness
of
landowner
agreements.
Finally,
the
Agency
proposes
that
two
additional
States
assist
in
piloting
a
review
of
the
effectiveness
of
Statespecific
approaches
(
Unit
II.
E.
3.
b.).
Again,
the
States
selected
for
this
pilot
would
be
from
among
those
that
have
implemented
protection
programs
that
vary
from
EPA's
proposal
in
some
significant
respect.
Also,
it
is
important
that
data
being
collected
through
acceptable
sources
be
used
to
the
fullest
extent
possible
to
maximize
efficiencies
and
minimize
costs.
EPA
proposes
to
use
more
effectively
the
information
being
obtained
by
the
U.
S.
Geological
Survey
to
detect
pesticides
in
surface
and
ground
water,
information
provided
to
EPA's
Office
of
Water
under
the
Clean
Water
Act,
and
State
level
ground
or
surface
water
monitoring
resulting
from
State
pesticide
program
efforts.
EPA
will
also
use
the
technical
data
identified
during
section
7
consultations
with
the
Services.
EPA
proposes
to
analyze
this
information
to
determine
if
residues
of
pesticides
are
occurring
at
levels
of
concern
in
aquatic
environments.
Further,
EPA
proposes
to
augment
these
data
with
targeted
terrestrial
residue
monitoring,
possibly
to
include
postregistration
monitoring
by
registrants
or
others.
Locations
would
be
determined
with
input
from
the
Services
and
the
appropriate
State
or
Tribe,
based
on
proximity
of
pesticide
use
sites
with
species
locations.
If
such
pilots
result
in
broader
monitoring,
this
would
be
conducted
as
part
of
the
States'
or
Tribes'
ongoing
enforcement
efforts.
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Finally,
EPA
would
continue
and
improve
upon
its
cooperation
with
the
Services,
States,
Tribes,
and
others
to
review
reported
incidents
in
which
pesticides
have
had
an
impact
on
listed
species
and
critical
habitat.
EPA
has
been
working
with
FWS
field
offices
throughout
the
country,
as
well
as
other
Federal
and
State
agencies,
to
ensure
that
EPA
has
the
best
possible
information
on
incidents.
EPA's
Environmental
Fate
and
Effects
Division
maintains
an
Ecological
Incidents
Information
System.
EPA
also
gathers
incident
information
from
registrant
reports
submitted
under
FIFRA
section
6(
a)(
2),
or
those
in
which
pesticide
registrants
report
to
the
Agency
on
observed
adverse
effects.
Specific
Input
Requested
Enhanced
Monitoring
In
particular,
the
Agency
is
interested
in
obtaining
public
input
on
the
following
issues:
The
appropriate
role
of
pesticide
registrants
and
manufacturers
in
performing
environmental
monitoring.
The
role
incident
data
could
play
in
protecting
listed
species
and
critical
habitat.
Whether
there
are
other
ongoing
monitoring
programs
EPA
should
consider
reviewing
routinely
for
information.
The
role
the
Services
should
play
in
monitoring
programs.
Other
methods
of
monitoring
that
might
be
appropriate
for
the
agencies
to
implement.
How
to
improve
the
quality
of
information
on
the
effects
of
pesticides
on
listed
species
and
critical
habitat.
G.
Role
of
the
States
and
Tribes
Because
local
and
State
and
Tribal
circumstances
may
influence
the
effectiveness
of
different
approaches
to
listed
species
protection,
States
and
Tribes
will
continue
to
be
integral
to
the
success
of
the
ESPP.
Specific
roles
include
review
of
county
maps;
review
of
use
limitations
to
protect
species;
determining
the
effectiveness
of
the
program;
and,
at
their
discretion,
development
of
alternative
approaches
for
protecting
listed
species.
1.
Review
of
county
maps.
States
and
Tribes
will
be
requested
to
provide
input
to
the
Agency
on
county
maps
to
accomplish
several
things.
First,
accuracy
of
the
maps
is
key
to
success
of
relaying
information
to
pesticide
users.
Therefore,
States
and
Tribes
will
be
requested
to
provide
feedback
on
draft
maps
relative
to
whether
they
accurately
depict
landmarks,
rivers,
roads,
etc.
Further,
State
and
Tribal
input
on
how
best
to
characterize
use
limitation
areas
on
the
County
maps
will
be
sought.
For
example,
some
States
believe
that
their
pesticide
users
would
be
best
served
by
designating
limitation
areas
based
on
townshiprange
section
mapping,
while
other
States
believe
their
pesticide
users
would
prefer
designations
based
on
natural
and
man
made
landmarks
such
as
rivers,
roads
and
railways.
2.
Review
of
use
limitations
to
protect
species.
States
and
Tribes
also
will
be
requested
to
provide
input
to
the
Agency
on
any
potential
use
limitations
for
species
protection.
The
purpose
of
this
review
would
be
for
the
Agency
to
ascertain,
based
on
local
conditions,
whether
specific
use
limitations
could
be
implemented.
States
and
Tribes
will
also
be
sources
of
input
on
the
technological
and
economic
feasibility
of
implementing
any
proposed
use
limitations.
3.
Help
determine
the
effectiveness
of
the
program.
Because
States
and
Tribes
are
in
closer
contact
with
pesticide
users
than
is
the
Agency,
they
will
be
requested
to
assist
the
Agency
in
determining
whether
the
ESPP
as
implemented
is
effective
in
protecting
listed
species.
They
also
will
be
requested
to
assist
in
determining
whether
the
limitations
outlined
in
County
Bulletins
are
being
followed
or
modified
based
on
local
conditions,
and
whether
any
generic
changes
in
the
County
Bulletins
would
improve
the
success
of
this
program.
4.
Develop
alternative
approaches
to
protect
listed
species.
States
and
Tribes
may
develop
and
propose
alternative
plans
for
protecting
listed
species
in
their
areas.
Such
a
plan
would
recommend
measures
and
approaches
that
EPA
could
use
to
protect
listed
species
in
that
area.
If
these
plans
are
submitted
to
EPA
for
review
and
approval,
EPA
will
coordinate
with
the
Services
and
consult,
as
appropriate,
to
determine
that
the
provisions
of
the
plan
will
provide
adequate
protections
for
listed
species
within
that
State
or
Tribal
land.
If
EPA
approves
the
plan
following
any
necessary
consultation
with
the
Services,
EPA
would
then
adopt
it
and
could
require,
through
Bulletins,
that
users
comply
with
the
requirements
of
the
plan.
Alternative
plans
can
be
developed
for
all
or
a
portion
of
the
species
affected
in
that
State
or
Tribal
land.
An
alternative
plan
may
be
submitted
to
EPA
at
any
time.
However,
once
the
federally
initiated
actions
are
implemented
within
an
area,
those
requirements
will
be
effective
in
that
area
until
the
alternative
plan
is
approved
for
implementation.
H.
Public
Participation
EPA
has
encouraged
the
involvement
of
Federal
agencies,
States,
Tribes
and
members
of
the
public
throughout
the
development
of
the
ESPP
and
will
continue
to
provide
opportunities
for
public
participation
once
the
program
is
final.
EPA
intends
the
final
ESPP
to
be
as
flexible
as
possible
and
to
modify
it
as
necessary
to
achieve
the
goals
of
protecting
listed
species
and
minimizing
the
impact
on
pesticide
users.
Eventually,
the
ongoing
program
will
meld
its
components
of
public
participation
with
existing
practices
in
the
registration
and
reregistration
processes.
EPA
will
always
welcome
comments
from
the
public
on
the
various
aspects
of
the
program.
EPA
intends
periodically
to
reevaluate
the
Program,
review
public
comments,
and
modify
the
ESPP
to
continually
improve
protection
of
listed
species
while
serving
the
public
interest.
Additionally,
there
are
several
major
phases
of
a
listed
species
assessment
that
have
opportunity
for
public
input:
(
1)
Prior
to
a
``
may
affect
determination''
by
EPA,
(
2)
subsequent
to
such
determination
but
during
development
of
information
with
which
to
consult
with
the
Services,
and
(
3)
prior
to
issuance
of
a
Biological
Opinion
to
EPA
by
the
Services.
EPA
proposes
to
engage
the
public
in
each
of
these
phases
as
noted
below.
When
any
of
these
phases
corresponds
with
a
public
participation
phase
under
EPA's
ongoing
review
processes
(
i.
e,
reregistration
review),
that
ongoing
public
process
will
be
used.
1.
Prior
to
a
``
may
affect
determination.''
The
Agency
proposes
to
notify
affected
pesticide
registrants
and
provide
them
an
opportunity
to
update
information
or
provide
additional
information
relative
to
the
determination.
Subsequently,
the
Agency
will
make
public
in
draft,
any
determination
that
a
pesticide
``
may
affect''
a
listed
species.
The
public
will
have
a
30
day
opportunity
to
provide
input
to
that
determination.
2.
Subsequent
to
a
``
may
affect
determination.''
The
Agency
will
accept
information
provided
for
use
during
consultation
with
the
Services.
Information
provided
subsequent
to
a
``
may
affect
determination''
being
made
will
not
be
considered
by
the
Agency
alone
but
will
be
shared
with
the
Services
for
joint
consideration
during
consultation.
3.
Public
comment
on
draft
Biological
Opinion.
The
Agency
intends
to
request
that
the
Services
provide
draft
Biological
Opinions
to
the
Agency
upon
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Federal
Register
/
Vol.
67,
No.
231
/
Monday,
December
2,
2002
/
Notices
their
development.
The
Agency
will
provide
opportunity
for
public
input
to
any
reasonable
and
prudent
measures
or
alternatives
recommended
by
the
Services
in
these
draft
Biological
Opinions.
The
purpose
of
this
review
would
be
to
determine
whether
the
alternatives
or
measures
can
be
reasonably
implemented
and
whether
there
are
alternative
measures
that
may
provide
similar
protection
but
result
in
less
impact.
The
Agency
will
consider
this
input
in
developing
its
response
to
the
draft
Biological
Opinions.
Specific
Input
Requested
Public
Participation
The
Agency
seeks
specific
suggestions
on
how
the
public
could
most
effectively
be
informed
of
the
Agency's
determinations
and
consultations.
The
Agency
also
seeks
other
suggestions
for
enhancing
public
involvement
in
the
ESPP.
I.
Implementation
Timing
Once
public
comment
on
this
Notice
has
been
considered
and
a
final
Notice
issued,
the
Agency
intends
to
begin
field
implementation
of
the
ESPP.
At
the
same
time,
EPA
recognizes
that
technical
and
consultation
process
issues
may
change
based
on
input
in
response
to
the
ANPR
the
Agency
will
issue
with
DOI
and
DOC
on
or
about
the
same
date
as
this
Notice,
or
changes
to
FIFRA
implementation
regulations.
However,
the
Agency
believes
the
responsible
approach
is
to
implement
in
a
timely
manner,
those
aspects
of
listed
species
protection
that
the
Agency
can,
while
building
modifications
and
efficiencies
into
the
longer
term
effort
of
a
sustained
approach
to
protecting
listed
species.
Within
6
months
of
reviewing
existing
Interim
Pamphlets
for
accuracy,
the
Agency
intends
to
modify
them
as
appropriate
and
issue
them
as
County
Bulletins.
While
the
Bulletins
will
be
widely
available,
they
will
be
effective
upon
reference
to
them
on
pesticide
labels.
The
Agency
also
will
develop
for
public
comment
a
PR
Notice
that
will
identify
time
frames
in
which
the
Agency
anticipates
that
registrants
could
modify
labels
for
these
products.
Upon
issuance
of
a
final
Notice
of
Program
Field
Implementation,
the
Agency
will
begin
the
process
of
reviewing,
for
endangered
species
implications,
those
pesticides
for
which
REDs
have
already
been
issued
but
for
which
specific
endangered
species
assessments
were
not
completed
during
the
RED
process.
As
pesticides
are
reviewed
and
determinations
made
for
listed
species,
the
Agency
will
begin
creating
Bulletins
or
preparing
to
include
these
pesticides
in
existing
Bulletins,
as
appropriate.
EPA
will
review
the
County
Bulletins
as
necessary,
but
generally
update
them
not
more
than
once
annually.
Specific
Input
Requested
Implementation
Timing
How
can
EPA
time
the
release
of
County
Bulletins
to
minimize
the
potential
disruption
to
pesticide
users
during
a
growing
season?
J.
Program
Maintenance
To
the
degree
possible,
endangered
species
issues
are
and
will
be
addressed
within
the
Agency's
existing
processes
of
registration
and
reregistration.
Concurrently,
the
Agency
will
review
those
pesticides
that
have
been
through
reregistration
and
were
found
potentially
to
affect
listed
species,
or
did
not
undergo
ESA
review
during
reregistration.
Once
all
registered
pesticides
have
been
re
evaluated,
EPA's
future
obligations
to
consult
under
ESA
will
be
fulfilled
through
an
ongoing
process
of
evaluation
and
referral.
If
new,
valid
information
becomes
available
on
existing
pesticide
registrations,
or
if
new
species
affected
by
specific
pesticides
are
listed
under
the
ESA,
EPA
will
re
evaluate
its
determinations
and
reinitiate
consultation
when
appropriate.
EPA
anticipates
that
reinitiation
on
the
basis
of
new
information
will
occur
on
an
annual
or
biannual
basis,
as
necessary.
EPA
will
periodically
reinitiate
consultation,
as
appropriate,
on
pesticides
already
included
in
the
Program
to
obtain
Biological
Opinions
for
newly
listed
species.
It
is
not
the
Agency's
intent,
however,
to
change
product
labels
and
County
Bulletins
constantly;
rather,
EPA
intends
to
maintain
the
ability
to
act
on
listed
species
and
critical
habitat
issues
if
a
new
body
of
data
becomes
available.
IV.
References
All
references
are
available
for
public
review
in
the
public
docket.
The
references
used
in
this
document
are:
1.
U.
S.
Environmental
Protection
Agency.
2002.
Process
for
Assessing
Potential
Risks
to
Endangered
and
Threatened
Species
and
Consultation
with
the
National
Marine
Fisheries
Service
and
the
U.
S.
Fish
and
Wildlife
Service.
2.
U.
S.
Environmental
Protection
Agency.
1986.
Hazard
Evaluation
Division
Standard
Evaluation
Procedure,
Ecological
Risk
Assessment.
3.
U.
S.
Environmental
Protection
Agency.
1991.
Report
to
Congress
on
the
Endangered
Species
Protection
Program
as
it
Relates
to
Pesticide
Regulatory
Activities.
List
of
Subjects
Environmental
protection,
Pesticides,
Endangered
species.
Dated:
November
25,
2002.
James
Jones,
Acting
Director,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30463
Filed
11
29
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7415
4]
CERCLA
Administrative
Consent
Order
Containing
Proposed
Past
Costs
Settlement
Related
to
the
Butternuts
Landfill
Superfund
Site,
Town
of
Butternuts,
Otsego
County,
NY
AGENCY:
Environmental
Protection
Agency.
ACTION:
Notice;
request
for
public
comment.
SUMMARY:
In
accordance
with
Section
122(
i)
of
the
Comprehensive
Environmental
Response,
Compensation,
and
Liability
Act
of
1980,
amended
(``
CERCLA''),
42
U.
S.
C.
9622(
i),
notice
is
hereby
given
by
the
U.
S.
Environmental
Protection
Agency
(``
EPA''),
Region
II,
of
an
administrative
consent
order
(``
Order'')
pursuant
to
sections
104,
106,
107,
and
122
of
CERCLA
42
U.
S.
C.
9604,
9606,
9607,
and
9622,
addressing,
inter
alia,
proposed
recovery
of
past
response
costs
paid
by
EPA
with
regard
to
the
Butternuts
Landfill
Superfund
Site
(``
Site'')
located
in
the
Town
of
Butternuts,
Otsego
County,
New
York.
The
Order
requires
the
settling
party,
Hugo
Neu
Schnitizer
East
(``
Respondent''),
to
perform
a
removal
action
at
the
Site
and
also
pay
$
40,000
in
reimbursement
of
EPA's
past
response
costs
at
the
Site.
The
settlement
includes
a
covenant
not
to
sue
the
Respondent
pursuant
to
sections
106
and
107(
a)
of
CERCLA,
42
U.
S.
C.
9606,
9607(
a),
for
performance
of
the
removal
action
and
for
recovery
of
EPA's
past
costs
and
oversight
costs.
For
thirty
(
30)
days
following
the
date
of
publication
of
this
notice,
EPA
will
receive
written
comments
relating
only
to
the
portion
of
the
Order
which
settles
EPA's
claim
for
recovery
of
its
past
response
costs.
EPA
will
consider
all
such
comments
received
and
may
modify
or
withdraw
its
consent
to
the
past
costs
settlement
if
comments
received
disclose
facts
or
considerations
that
indicate
that
the
proposed
past
costs
settlement
is
inappropriate,
improper
or
inadequate.
EPA's
response
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"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0311-0001/content.txt"
} |
EPA-HQ-OPP-2002-0311-0005 | Supporting & Related Material | 2002-11-25T05:00:00 | null | Page
1
of
7
PROCESS
FOR
ASSESSING
POTENTIAL
RISKS
TO
ENDANGERED
AND
THREATENED
SPECIES
AND
CONSULTATION
WITH
THE
NATIONAL
MARINE
FISHERIES
SERVICE
AND
THE
U.
S.
FISH
AND
WILDLIFE
SERVICE
U.
S.
Environmental
Protection
Agency
2002
A.
Consultation
Procedures
Regulations
governing
ESA
s
section
7
consultation
procedures
pursuant
to
section
7
of
ESA
are
codified
in
50
CFR
Part
402.
A
discussion
of
these
regulations
in
reference
to
EPA
s
registration
and
reregistration
activities
follows.
1.
A
"
conference"
is
designed
to
identify
potential
problems
between
an
agency
action,
such
as
pesticide
registration,
and
a
species
proposed
to
be
listed
(
i.
e.,
before
it
is
listed)
under
ESA.
There
is
also
a
more
formal
conference
procedure
(
50
CFR
402.10
(
d)
and
(
e)),
which
follows
the
same
basic
procedures
as
a
formal
consultation,
except
that
again
the
species
is
not
yet
listed.
The
EPA
hopes
to
make
use
of
formal
conferences
in
the
future,
where
appropriate,
to
provide
more
timely
protection
to
listed
species.
2.
An
"
early
consultation"
attempts
to
identify
potential
conflicts
between
listed
species
and
their
critical
habitats,
and
proposed
actions
prior
to
applying
for
the
Federal
pesticide
registration.
This
type
of
consultation
is
conducted
between
the
Federal
agency,
EPA,
and
FWS,
but
involves
the
registrant
or
applicant
throughout
the
process.
Pesticide
registration
has
not
used
early
consultation
because
the
amount
and
quality
of
data
needed
from
the
registrant
would
be
equivalent
to
that
needed
for
registration,
and
the
process
would
provide
no
benefit.
Aspects
of
this
consultation
procedure
(
i.
e.,
early
involvement
of
the
applicant)
can
be
useful
in
expediting
public
health
emergency
exemption
consultations.
3.
A
"
biological
assessment"
evaluates
the
potential
effects
of
Federal
action(
s)
on
listed
species.
species
that
are
proposed
to
be
listed,
and
their
critical
habitats.
The
goal
is
to
determine
which
species
or
habitats
are
likely
to
be
adversely
affected
and
to
determine
if
consultation
is
necessary.
Biological
assessments
are
only
required
for
major
construction
activities.
An
agency
may
request
from
FWS
a
list
of
species
that
may
be
in
the
area
of
concern.
This
process
is
only
required
within
the
biological
assessment
process
but
can
be
requested
for
any
action.
The
FWS
is
to
provide
such
a
list
to
the
agency
within
30
days.
4.
An
"
informal
consultation"
is
an
optional
process
between
a
Federal
agency
and
FWS
and
is
designed
to
assist
the
Federal
agency
in
determining
if
formal
consultation
and/
or
a
conference
are
required.
5.
A
"
formal
consultation"
is
the
process
in
which
a
Federal
agency
first
determines
if
an
agency
action
such
as
pesticide
registration
"
may
affect"
a
listed
species
or
its
critical
habitat.
If
Page
2
of
7
"
no
effect"
is
determined,
the
process
concludes.
If
there
is
a
"
may
affect"
determination,
then
the
agency
initiates
formal
consultation
with
FWS
which
describes
(
ii
the
action,
(
ii)
the
specific
area(
s)
affected,
(
iii)
any
species
or
critical
habitats
that
may
be
affected.
(
iv)
how
the
action
will
impact
the
species
or
habitats.
(
v)
any
cumulative
effects,
and
(
vi)
any
other
relevant
information.
The
FWS
then
concludes
the
formal
consultation
within
90
days,
unless
extended
by
mutual
agreement.
Within
45
days
after
the
conclusion
of
the
formal
consultation,
FWS
issues
a
written
finding
called
a
Biological
Opinion
to
the
Federal
agency.
During
this
45
day
time
period,
the
Federal
agency
may
request
a
draft
of
the
Opinion
primarily
to
analyze
the
reasonable
and
prudent
alternatives.
This
cannot
extend
the
45
day
period
by
more
than
10
days
unless
an
extension
is
mutually
agreed
upon.
The
Biological
Opinion
should
include
a
summary
of
the
information
on
which
the
consultation
is
based,
and
a
discussion
of
the
effects
of
the
action
on
the
listed
species
or
critical
habitats,
including
a
FWS
determination
on
whether
the
action
is
likely
to
jeopardize
the
continued
existence
of
a
species
or
result
in
the
destruction
or
adverse
modification
of
critical
habitat.
Incidental
take
of
species
for
which
there
is
a
"
may
affect"
but
is
not
likely
to
be
jeopardized,
will
be
identified.
If
possible,
FWS
will
identify
reasonable
and
prudent
alternatives
to
the
action,
such
as
modification
of
the
use
of
the
pesticide,
that
the
agency
or
registrant
can
take
to
avoid
jeopardy.
In
addition,
the
Biological
Opinion
will
identify
(
i)
the
amount
or
extent,
if
any,
of
acceptable
incidental
take
of
the
species,
(
ii)
reasonable
and
prudent
measures
to
the
action
that
will
minimize
the
impact.
(
iii)
terms
and
conditions
to
implement
the
reasonable
and
prudent
measures,
and
(
iv)
procedures
to
handle
or
dispose
of
species
taken.
The
FWS
can
also
provide
conservation
recommendations
that
the
agency
may
or
may
not
consider.
Issuance
of
the
Biological
Opinion
terminates
the
formal
consultation
process.
If
the
Federal
agency
cannot
comply
with
a
Biological
Opinion,
it
may
apply
for
an
exemption
under
section
7
of
ESA.
6.
A
"
reinitiation
of
consultation"
is
required
if
(
i)
incidental
take
is
exceeded,
(
ii)
new
information
is
obtained
which
may
affect
the
assessment(
s)
of
species
or
critical
habitats
in
a
manner
not
previously
considered,
(
iii)
the
action
is
subsequently
modified
and
causes
an
effect
to
the
species
or
habitat
not
previously
considered,
and
(
iv)
new
species
or
critical
habitats
have
been
designated
that
may
be
affected
by
the
action.
B.
The
EPA
s
"
May
Affect"
Determinations
Ecological
risk
from
pesticide
use
is
a
function
of
toxicity
and
environmental
exposure
(
Ref.
1).
This
Unit
summarizes
risk
assessment
procedures
used
by
EPA
and
indicates
how
these
standard
procedures
are
adapted
for
determining
whether
a
pesticide
"
may
affect"
listed
species.
The
EPA
evaluates
data
and
risks
in
a
tiered
fashion.
The
first
risk
evaluation
is
based
upon
laboratory
toxicity
and
environmental
fate
data,
If
the
initial
evaluation
indicates
a
significant
Page
3
of
7
concern,
then
EPA
requests
registrants
to
supply
additional
laboratory
and/
or
field
data
in
order
to
refine
the
risk
assessment.
1.
Toxicity
evaluations.
Data
used
in
assessing
toxicity
include
acute
and
chronic
test
data.
For
acute
toxicity,
EPA
evaluates
LC5O
and
LD5O
tests,
which
are
submitted
in
response
to
EPA
data
requirements
(
40
CFR
Part
158).
The
LC5O
is
the
statistically
derived
estimate
of
the
concentration
(
median
lethal
concentration)
that
would
cause
mortality
to
50
percent
of
the
test
population.
in
contrast,
the
LD5O
is
the
statistically
derived
estimate
of
the
single
dose
(
median
lethal
dose)
that
would
cause
mortality
to
50
percent
of
the
test
population.
Both
tests
are
conducted
with
surrogate
species
that
are
used
to
evaluate
the
potential
risk
to
other
species.
To
assess
acute
toxicity
of
pesticides
to
birds,
EPA
guidelines
require
one
LD5O
study
for
an
upland
game
bird
(
preferably
bobwhite
quail)
or
waterfowl
(
preferably
mallard
duck)
and
one
LC5O
study
for
each
species.
To
assess
toxicity
to
aquatic
species
(
fish
and
invertebrates),
EPA
requires
LC5O
studies
on
a
warm
water
species
(
preferably
bluegill
sunfish),
a
cold
water
species
(
preferably
rainbow
trout),
and
an
invertebrate
(
preferably
Daphnia
magna).
Toxicity
to
nontarget
mammals
is
initially
assessed
by
considering
LD5O
data
for
laboratory
rats,
which
EPA
requires
to
evaluate
pesticide
hazards
to
humans.
Typically,
EPA
requires
data
on
honeybees
to
address
the
risks
to
beneficial
insects.
In
situations
where
additional,
scientifically
valid,
toxicity
data
related
to
acute
effects
in
wildlife
and
aquatic
organisms
are
available
EFED
will
consider
them
in
establishing
the
toxicity
endpoint
for
risk
assessment.
It
is
EFED's
policy
to
conduct
risk
assessments
using
the
acute
lethal
endpoint
from
the
most
sensitive
species
tested.
The
acute
toxicity
data
described
above
are
basic
requirements
that
are
generally
available
for
all
pesticides
with
outdoor
uses.
For
some
kinds
of
pesticide
uses,
or
where
these
basic
data
warrant
additional
data,
EPA
may
require
higher
tier
testing.
Higher
tier
acute
data
may
include
toxicity
to
estuarine
fish,
invertebrates,
and
oyster
embryo
larvae;
and
oyster
shell
deposition
studies.
Chronic
toxicity
data
are
all
higher
tier
and
may
include
data
or
avian
reproductive
effects,
fish
early
life
stage
toxicity,
chronic
toxicity
to
mammals
and
to
freshwater
fishes,
estuarine
fishes,
and
invertebrates.
The
chronic
toxicity
endpoints
commonly
considered
by
EFED
include
frank
effects
on
reproduction
such
as
numbers
of
offspring
produced
and
their
survival
as
well
a
growth
effects.
Rarely
are
data
from
field
studies,
aquatic
pond
studies,
or
secondary
toxicity
studies
available,
although
such
data
recently
have
been
required
for
some
pesticides.
The
EPA
validates
all
data
using
its
Standard
Evaluation
Procedures
(
Refs
2
through
24).
For
assessment
of
potential
effects
to
plants,
EFED
may
request
toxicity
data
regarding
seedling
emergence
and
vegetative
vigor
in
a
variety
of
terrestrial
plants
as
well
as
plant
growth
studies
for
aquatic
plants.
Effects
endpoints
for
terrestrial
plants
are
established
for
the
most
sensitive
tested
dicot
and
monocot
plants
and
are
set
at
the
no
observed
adverse
effect
concentration
(
NOAEC)
or
EC05
values
if
NOAEC
values
are
unavailable.
2.
Environmental
exposure.
Data
used
for
the
exposure
assessment
of
a
pesticide
include
(
1)
its
physical/
chemical
properties;
(
2)
environmental
fate
data,
including
data
on
persistence;
(
3)
Page
4
of
7
label
information
such
as
application
sites,
rates,
methods,
and
timing;
(
4)
bioconcentration;
and
(
5)
factors
related
to
the
species
themselves,
such
as
their
biology,
ecology,
and
distribution.
Occasionally,
field
residue
data
applicable
to
non
target
species
are
available.
The
exposure
assessment
has
two
components.
The
first
component
is
the
determination
of
the
EECs
that
may
result
from
use
of
the
pesticide
according
to
label
directions.
The
second
is
a
determination
of
whether
non
target
species
are
expected
to
be
exposed
to
the
EEC.
The
EPA
uses
various
models
to
determine
EECs
to
evaluate
the
risk
to
aquatic
species.
Whenever
possible.
actual
field
study
or
residue
data
also
are
reviewed.
The
models
used
include
(
a)
a
water
model,
(
b)
a
simple
drift
model,
(
c)
a
simple
runoff
model,
and
(
d)
a
computer
runoff
and
exposure
simulation
model.
Computer
based
models
include
the
Pesticide
Root
Zone
Model
coupled
with
the
Exposure
Analysis
Modeling
System
(
EXAMS).
To
determine
EECs
for
listed
terrestrial
species,
EPA
estimates
residues
on
food
items
consumed
by
the
species.
Estimated
residues,
primarily
on
plants
and
insects,
are
based
mainly
on
the
work
of
Hoerga
and
Kenaga
(
1972)
and
Fletcher
et
al.
(
1994).
These
works
are
a
compendium
of
measured
pesticide
residue
values
for
several
types
of
vegetable
material,
such
as
long
and
short
range
grasses;
leaves
and
leafy
crops;
forage
crops;
pods
containing
seeds;
and
fruit
(
cherries,
peaches,
grapes,
citrus).
Residues
are
given
on
the
basis
of
a
pesticide
application
rate
of
lb/
A
and
then
adjusted
for
the
label
rate.
The
estimates
represent
upper
bound
expected
residues
for
day
zero
(
immediately
after
application).
When
possible,
actual
validated
residue
data
also
are
considered.
In
estimating
the
environmental
concentrations,
EPA
also
considers
the
formulation
of
the
product,
such
as
liquid,
granular,
or
fumigant
formulations.
The
available
validated
pesticide
and
environmental
fate
data
are
used
in
the
computer
based
models
to
provide
more
accurate
assessments
from
multiple
applications,
as
identified
on
the
label.
Specific
scenarios
have
been
developed
for
runoff
from
specific
crop
sites,
as
well
as
environmental
concentrations
in
a
pond
or
headwater
stream
environment.
Data,
such
as
water
chemistry
data,
are
often
insufficient
to
accurately
run
the
more
sophisticated
computer
based
models.
The
EPA
is
attempting
to
develop
additional
scenarios
to
address
additional
use
sites,
different
application
methods
(
aerial,
ground,
etc.),
cropping
practices
(
no
till,
strip
crop,
rotation,
etc.),
application
techniques
(
band,
infurrow
side
dressing,
etc.),
and
integrated
pest
management
practices
so
that
alternatives
can
be
identified
that
will
protect
listed
species.
3.
Risk
assessment.
In
assessing
the
risk
to
non
target
species
in
general,
EPA
compares
the
toxicity
information
with
the
EEC
and
then
determines
the
likelihood
that
non
target
organisms
will
actually
be
exposed.
Comparisons
of
LC5O
or
LD50
values
with
EECs
indicate
whether
additional
data
may
be
required
or
that
a
particular
pesticide
may
warrant
restricted
use
classification
if
actual
exposure
may
occur.
When
evaluating
impacts
to
federally
listed
species,
EPA
does
not
rely
solely
on
the
LC5O
or
LD5O
end
points
since
some
listed
species
may
not
be
able
to
withstand
even
the
loss
of
a
few
individuals
in
the
population.
much
less
50
percent.
Page
5
of
7
Therefore,
more
stringent
criteria
have
been
developed
to
provide
greater
protection
for
populations
of
listed
species,
whose
numbers
in
many
instances
are
dangerously
low.
Thus,
criteria
were
developed
to
determine
the
environmental
concentrations
at
which
a
pesticide
A
"
may
affect"
a
listed
species.
These
criteria
were
developed
for
mammals,
birds,
and
aquatic
organisms
as
follows:
mammals
B
EEC
equal
to
or
greater
than
1/
5th
the
lowest
mammalian
acute
oral
LD1O
or
LC1O,
or
1/
10th
the
lowest
LD5O
or
LC5O;
birds
B
EEC
equal
to
or
greater
than
1/
5th
the
lowest
avian
acute
oral
LD1O
or
subacute
dietary
LC1O
or
1/
10th
the
lowest
LD5O
or
LC5O;
and
aquatic
organisms
B
EEC
equal
to
or
greater
than
1/
10th
the
lowest
aquatic
LC1O,
or
1/
20th
the
lowest
aquatic
LC5O.
Terrestrial
plant
criteria
are
set
at
an
EEC
equivalent
to
the
EC05
or
the
NOAEC,
depending
upon
toxicity
data
availability.
When
the
above
criteria
are
exceeded
for
any
relevant
taxa,
the
magnitude
of
the
potential
impact
is
determined
by
calculating
a
hazard
ratio,
which
is
the
ratio
of
the
EEC
(
based
on
a
specific
application
rate)
over
the
toxicity
criteria.
Any
hazard
ratio
of
one
or
greater
confirms
that
a
"
may
affect"
situation
exists,
since
the
predicted
residues
in
the
environment
are
equal
to
or
exceed
the
amount
of
the
pesticide
that
could
be
hazardous
to
the
species.
Higher
hazard
ratios
indicate
a
greater
magnitude
of
concern.
For
most
currently
registered
pesticides,
ecological
impacts
from
acute
toxicity
are
more
likely
than
those
from
chronic
toxicity.
However,
EPA
also
considers
information
related
to
subchronic
and
chronic
risks,
reproductive
effects,
and
bioaccumulation
factors.
The
laboratory
test
data
(
e.
g.,
chronic
feeding,
life
cycle,
oncogenicity,
or
reproductive
studies)
on
no
effect
levels
or
no
observable
effect
levels
(
NOEL)
and/
or
effect
levels
are
compared
with
estimated
or
actual
field
residues.
When
these
residues
are
in
excess
of
the
NOEL
for
appropriate
surrogates
of
listed
species,
EPA
considers
there
is
a
potential
that
the
pesticide
may
affect
a
species
and
therefore,
conducts
more
in
depth
assessments.
Secondary
hazards
are
associated
with
acute
and
chronic
toxicity
relating
to
bioaccumulation
of
a
pesticide
in
the
food
chain
and
body
residues
of
target
or
non
target
organisms
consumed
by
organisms
higher
in
the
food
chain.
Again,
estimated
or
actual
residues
In
food
items
are
correlated
with
diet
of
the
non
target
organisms
and
compared
with
the
acute
and
chronic
toxicity
values.
In
evaluating
the
risk
from
pesticide
use,
EPA
also
considers
other
information.
For
example,
toxicity
to
non
target
insects,
such
as
honey
bees,
is
important
because
pollination
can
be
critical
to
certain
listed
plants.
Any
reports
of
pesticide
incidents
involving
non
target
species,
even
if
they
are
not
listed
species,
also
are
considered.
Page
6
of
7
Finally,
effects
on
listed
species
habitats
and
food
supply
are
also
considered.
For
example,
the
Everglade
snail
kite
feeds
specifically
on
the
apple
snail.
Therefore,
any
disruption
of
the
apple
snail's
habitat
from
pesticides
or
pesticide
toxicity
to
the
apple
snail
itself
may
adversely
affect
the
Everglade
snail
kite.
Also,
herbicide
disruptions
of
animal
and
plant
community
balance
also
could
adversely
impact
the
habitat
or
micro
habitat
of
listed
species.
For
example,
herbicides
are
unlikely
to
be
directly
toxic
to
the
valley
elderberry
longhorn
beetle,
but
they
may
destroy
the
elderberry
trees
in
which
the
beetle
lives.
On
occasion,
pesticide
use
may
be
beneficial
to
some
species
habitats
by
reversing
adverse
plant
competition
trends
that
have
been
exacerbated
by
other
human
activities,
such
as
exotic
introductions
and
wildfire
control.
When
all
the
data
are
evaluated,
if
a
"
may
affect
determination"
is
made,
EPA
assembles
all
of
the
relevant
information
and/
or
references,
along
with
any
reasonable
and
prudent
alternatives
that
are
known,
and
sends
it
to
FWS
requesting
consultation,
per
the
Services
regulations.
The
species
and
pesticides
included
in
this
request
are
only
those
where
a
"
may
affect
determination"
was
made.
Following
receipt
of
the
request
for
consultation,
FWS
prepares
the
Biological
Opinion
and
determines
if
the
use
is
likely
to
pose
jeopardy
to
the
continued
existence
of
a
species,
if
the
use
will
result
in
the
destruction
or
adverse
modification
of
critical
habitat
of
a
species
or
if
incidental
take
is
anticipated
and
provisions
are
necessary
to
minimize
these
impacts.
A
"
may
affect
determination"
by
EPA
may
not
result
in
a
jeopardy
determination
by
FWS
or
result
in
any
anticipated
incidental
take.
C.
Threshold
Application
Rate
Estimates
Some
pesticides
(
e.
g.,
certain
ones
that
have
been
subject
to
Special
Review)
have
been
evaluated
enough
that
the
application
rates
that
would
result
in
a
"
may
affect"
determination
are
already
known.
For
other
pesticides,
EPA
will
first
screen
them
to
determine
if
the
highest
application
rate
would
result
in
a
"
may
affect"
determination.
Pesticides
that
do
not
exceed
the
"
may
affect"
criteria
are
dropped
from
further
analysis.
For
pesticides
that
do
exceed
the
criteria
at
the
highest
application
rate,
EPA
then
will
determine
the
EEC
that
would
result
from
an
application
rate
of
1
pound
active
ingredient
per
acre
(
lb
ai/
A)
for
various
combinations
of
application
methods
and
formulation
types
(
and
environments,
where
appropriate)
of
a
pesticide.
Typically,
EPA
then
will
compare
the
resulting
EEC
s
to
toxicity
to
obtain
a
hazard
ratio.
A
hazard
ratio
of
"
1"
or
greater
indicates
that
the
EEC
has
met
or
exceeded
our
"
may
affect"
criteria.
If
using
1
lb
ai/
A
application
rate
results
In
a
hazard
ratio
of
less
than
one
(
indicating
the
"
may
affect"
criteria
has
not
been
met
at
that
rate),
the
ratio
allows
EPA
to
calculate
the
highest
application
rate
that
would
still
not
result
in
a
"
may
affect"
determination,
which
may
be
compared
with
product
label
rates.
This
is
accomplished
by
multiplying
the
1
lb
ai/
A
application
rate
by
the
reciprocal
of
the
hazard
ratio.
For
example,
if
the
hazard
ratio
is
1/
5
based
on
a
1
lb
ai/
A
application
rate,
the
Page
7
of
7
application
rate
which
would
result
in
a
"
may
affect"
determination
would
be
1
lb
ai/
A
x
5/
1
or
5
lb
ai/
A.
The
same
procedure
applies
even
if
the
hazard
ratio
is
greater
than
1.
However,
the
application
rate
derived
in
the
latter
case
might
not
be
a
rate
specified
on
the
label,
in
which
case
all
label
use
rates
would
result
in
a
"
may
affect"
to
listed
species.
U.
S.
Environmental
Protection
Agency.
1986.
Hazard
Evaluation
Division
Standard
Evaluation
Procedure,
Ecological
Risk
Assessment
Fletcher,
J.
S.,
J.
E.
Nellesson
and
T.
G.
Pfleeger.
1994.
Literature
Review
and
Evaluation
of
the
EPA
Food
Chain
(
Kenaga)
Nomogram,
an
Instrument
for
Estimating
Pesticide
Residues
on
Plants.
Environ.
Tox.
and
Chem.
13(
9):
1383
1391.
Hoerger,
F.
and
E.
E.
Kenaga.
1972.
Pesticide
Residues
on
Plants:
Correlation
of
Representative
Data
as
a
Basis
for
Estimation
of
Their
Magnitude
in
the
Environment.
IN:
F.
Coulston
and
F.
Corte,
eds.,
Environmental
Quality
and
Safety:
Chemistry,
Toxicology,
and
Technology.
Vol
I.
Georg
Thieme
Publishers,
Stuttgart,
West
Germany,
pp.
9
28.
| epa | 2024-06-07T20:31:45.287066 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0311-0005/content.txt"
} |
EPA-HQ-OPP-2002-0312-0001 | Notice | 2002-12-09T05:00:00 | Diazinon; End-Use Products Cancellation Order | 72943
Federal
Register
/
Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Notices
also
required.
Any
owner
or
operator
subject
to
the
rule
shall
maintain
a
file
of
these
measurements,
and
retain
the
file
for
at
least
two
years
following
the
date
of
such
measurements,
maintenance
reports,
and
records.
Burden
Statement:
The
EPA
would
like
to
solicit
comments
to:
(
i)
Evaluate
whether
the
proposed
collection
of
information
is
necessary
for
the
proper
performance
of
the
functions
of
the
Agency,
including
whether
the
information
will
have
practical
utility;
(
ii)
Evaluate
the
accuracy
of
the
Agency's
estimate
of
the
burden
of
the
proposed
collection
of
information,
including
the
validity
of
the
methodology
and
assumptions
used;
(
iii)
Enhance
the
quality,
utility,
and
clarity
of
the
information
to
be
collected;
and
(
iv)
Minimize
the
burden
of
the
collection
of
information
on
those
who
are
to
respond,
including
through
the
use
of
appropriate
automated
electronic,
mechanical,
or
other
technological
collection
techniques
or
other
forms
of
information
technology,
e.
g.,
permitting
electronic
submission
of
responses.
In
the
previously
approved
ICR,
the
estimated
number
of
respondents
for
this
information
collection
was
390
with
390
responses
per
year.
The
annual
industry
reporting
and
recordkeeping
burden
for
this
collection
of
information
was
15,463
hours.
On
the
average,
each
respondent
reported
once
per
year
and
approximately
40
hours
were
spent
preparing
each
response.
The
total
annual
reporting
and
recordkeeping
cost
burden
for
this
collection
of
information
was
$
15,000.
This
included
an
annual
cost
of
$
1,000
associated
with
capital/
startup
costs
and
$
14,000
associated
with
the
annual
operation
and
maintenance
costs.
Burden
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
An
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
regulations
are
listed
in
40
CFR
part
9
and
48
CFR
chapter
15.
Dated:
November
27,
2002.
Michael
M.
Stahl,
Director,
Office
of
Compliance.
[
FR
Doc.
02
31016
Filed
12
6
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0312;
FRL
7280
7]
Diazinon;
End
Use
Products
Cancellation
Order
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
EPA's
cancellation
order
for
the
product
and
use
cancellations
as
requested
by
companies
(
hereafter
collectively
referred
to
as
the
``
EUP
Registrants'')
that
hold
the
registrations
of
pesticide
End
Use
Products
(
EUPs)
containing
the
active
ingredient
diazinon
and
accepted
by
EPA,
pursuant
to
section
6(
f)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
This
order
follows
up
an
September
11,
2002,
notice
of
receipt
from
the
EUP
Registrants,
of
requests
for
cancellations
and
or
amendments
of
their
diazinon
product
registrations
to
terminate
all
indoor
uses,
certain
agricultural
uses
and
certain
outdoor
non
agricultural
uses.
In
the
September
11,
2002
notice,
EPA
indicated
that
it
would
issue
an
order
granting
the
voluntary
product
and
use
registration
cancellations
unless
the
Agency
received
any
substantive
comment
within
the
comment
period
that
would
merit
its
further
review
of
these
requests.
The
Agency
did
not
receive
any
comments
specific
to
these
cancellations.
Accordingly,
EPA
hereby
issues
in
this
notice
a
cancellation
order
granting
the
requested
cancellations.
Any
distribution,
sale,
or
use
of
the
products
subject
to
this
cancellation
order
is
only
permitted
in
accordance
with
the
terms
of
the
existing
stocks
provisions
of
this
cancellation
order.
DATES:
The
cancellations
are
effective
December
9,
2002.
FOR
FURTHER
INFORMATION
CONTACT:
Laura
Parsons,
Special
Review
and
Reregistration
Division
(
7508C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
telephone
number:
(
703)
305
5776;
fax
number:
(
703)
308
7042;
email
address:
parsons.
laura@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
You
may
be
potentially
affected
by
this
action
if
you
manufacture,
sell,
distribute,
or
use
diazinon
products.
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
does
not
apply
because
this
action
is
not
a
rule,
for
purposes
of
5
U.
S.
C.
804(
3).
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0312.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
VerDate
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15:
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E:\
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Federal
Register
/
Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Notices
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Receipt
of
Requests
to
Cancel
and
Amend
Registrations
to
Delete
Uses.
A.
Background
Certain
registrants
requested
in
letters
dated
December
2001,
and
January,
February,
March,
April,
May,
June,
and
July
2002
that
their
diazinon
registrations
be
amended
to
delete
all
indoor
uses,
certain
agricultural
uses,
and
any
other
uses
that
the
registrants
do
not
wish
to
maintain.
The
requests
also
included
deletions
of
outdoor
nonagricultural
uses
from
the
labeling
of
certain
end
use
products
so
that
such
products
would
be
labeled
for
agricultural
uses
only.
Similarly,
other
diazinon
end
use
registrants
requested
voluntary
cancellation
of
their
diazinon
EUP
registrations
with
indoor
use
and/
or
certain
outdoor
non
agricultural
uses,
and
any
other
uses
that
the
registrants
do
not
wish
to
maintain.
EPA
announced
its
receipt
of
these
abovementioned
cancellation
requests
in
a
Federal
Register
notice
dated
September
11,
2002
(
67
FR
57589),
(
FRL
7197
8).
These
requested
cancellations
and
amendments
are
consistent
with
the
requests
in
December
2000
by
the
manufacturers
of
diazinon
technical
products,
and
EPA's
approval
of
such
requests,
to
terminate
all
indoor
uses
and
certain
agricultural
uses
from
their
diazinon
product
registrations
because
of
EPA's
concern
with
the
potential
exposure
risk,
especially
to
children,
associated
with
diazinon
containing
products.
The
indoor
uses
and
agricultural
uses
subject
to
cancellation
are
identified
in
List
1
below:
List
1
Uses
Requested
for
Termination
1.
Indoor
uses:
Pet
collars,
or
inside
any
structure
or
vehicle,
vessel,
or
aircraft
or
any
enclosed
area,
and/
or
on
any
contents
therein
(
except
mushroom
houses),
including
food/
feed
handling
establishments,
greenhouses,
schools,
residences,
commercial
buildings,
museums,
sports
facilities,
stores,
warehouses
and
hospitals.
2.
Agricultural
uses:
Alfalfa,
bananas,
Bermuda
grass,
dried
beans,
dried
peas,
celery,
red
chicory
(
radicchio),
citrus,
clover,
coffee,
cotton,
cowpeas,
cucumbers,
dandelions,
forestry
(
ground
squirrel/
rodent
burrow
dust
stations
for
public
health
use),
kiwi,
lespedeza,
parsley,
parsnips,
pastures,
peppers,
potatoes
(
Irish
and
sweet),
sheep,
sorghum,
squash
(
winter
and
summer),
rangeland,
Swiss
chard,
tobacco,
and
turnips
(
roots
and
tops).
In
today's
Cancellation
Order,
EPA
is
approving
the
registrants'
requested
cancellations
and
amendments
of
the
their
diazinon
end
use
products
registrations
to
terminate
all
uses
identified
in
List
1.
B.
Requests
for
Voluntary
Cancellation
of
End
Use
Products
The
end
use
product
registrations
for
which
cancellation
was
requested
are
identified
in
the
following
Table
1.
TABLE
1.
END
USE
PRODUCT
REGISTRATION
CANCELLATION
REQUESTS
Company
EPA
Registration
#
Product
Farnam
Companies,
Inc.
270
282
Diazinon
2EC
Prentiss
Inc.
655
457
655
462
655
519
Prentox
Diazinon
4E
Insecticide
Prentox
Diazinon
4S
Insecticide
Prentox
Liquid
Household
Spray
#
1
Universal
Cooperatives,
Inc.
1386
573
1386
651
Diazinon
Emulsifiable
Lawn
and
Garden
Insecticide
Security
Brand
2%
Diazinon
Granules
Lawn
Insect
Control
Virbac
AH,
Inc.
2382
168
2382
171
2382
172
Diazinon
Pyriproxyfen
Collar
for
Dogs
and
Puppies
#
1
Diazinon
Pyriproxyfen
Collar
for
Dogs
and
Puppies
#
3
Diazinon
Pyriproxyfen
Collar
for
Dogs
and
Puppies
#
2
ABC
Compounding,
Inc.
3862
71
Drop
Dead
Insect
Spray
Cerexagri,
Inc.
4581
335
Knox
Out
2
FM
Amvac
Chemical
Corp.
5481
224
5481
241
Diazinon
4E
Alco
Housing
Authority
Roach
Concentrate
US
Marketing
Distributors
6409
14
Professional
Do
it
Yourself
Exterminator's
Kit
Formula
400
Voluntary
Purchasing
Group,
Inc.
7401
67
Ferti
Lome
Rose
Spray
Containing
Diazinon
&
Daconil.
Earth
Care/
Division
of
United
Industries
Corp.
8660
101
8660
115
8660
106
Vertagreen
5%
Diazinon
Insecticide
Vertagreen
Diazion
Pre
Weed
Vertagreen
Diazinon
Pre
Weed
Plus
The
Andersons
Lawn
Fertilizer
Division
9198
189
Proturf
Insecticide
One
Waterbury
Companies,
Inc.
9444
89
CB
Aqueous
Residual
Insecticide
Athea
Laboratories,
Inc.
10088
71
Roach
and
Ant
Killer
Verpas
Products,
Inc.
13926
6
Diaciclon
F
5
Wagnol
Inc.
33912
1
Wagnol
40
Pest
Control
Spray
Concentrate
Contains
Diazinon
T
Tex
Corp.
39039
5
Dryzon
WP
Livestock
Premise
&
Sheep
Insecticide
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Register
/
Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Notices
TABLE
1.
END
USE
PRODUCT
REGISTRATION
CANCELLATION
REQUESTS
Continued
Company
EPA
Registration
#
Product
Chem
Tech
Ltd.
47000
63
Pressurized
Household
Insect
Spray
Concentrate
Contains
Diazinon
and
DDVP
Marman
USA
,
Inc.
48273
25
Marman
Diazinon
AG
60
EC
Control
Solutions
Inc
53883
58
Martin's
Diazinon
4E
Indoor
Outdoor
Insecticide
Arkopharma,
Inc.
69607
1
Double
Duty
Flea
&
Tick
Collar
For
Dogs
EPA
did
not
receive
any
substantive
comments
that
would
merit
further
review
expressing
a
need
of
diazinon
products
for
indoor
use.
Accordingly,
the
Agency
is
issuing
an
order
in
this
notice
canceling
the
registrations
identified
in
Table
1,
as
requested
by
the
EUP
registrants.
C.
Requests
for
Voluntary
Amendments
of
End
Use
Product
Registrations
to
Terminate
Certain
Uses
Pursuant
to
section
6(
f)(
1)(
A)
of
FIFRA,
many
EUP
Registrants
submitted
requests
to
amend
a
number
of
their
diazinon
end
use
product
registrations
to
terminate
the
uses
identified
in
List
1
of
this
notice
or
any
other
uses
as
specified
for
each
product
in
the
September
13,
2001,
Diazinon
6(
f)
Notice
and
reiterated
in
Table
2
below.
EPA
did
not
receive
any
comments
expressing
a
need
for
any
of
the
canceled
uses.
The
registrations
for
which
amendments
to
terminate
specific
uses
were
requested
are
identified
in
the
following
Table
2:
TABLE
2.
END
USE
PRODUCT
REGISTRATION
AMENDMENT
REQUESTS
Company
EPA
Registration
#
Product
Name:
Use
Deletions
Dragon
Chemical
Corp.
16
119
16
157
16
166
Dragon
5%
Diazinon
Granules
Celery.
Diazinon
25%
Diazinon
Spray:
Almonds
Dragon
Diazinon
Water
Based
Concentrate:
Almonds
Southern
Agricultural
Insecticides
Inc.
829
264
SA
50
Brand
5%
Diazinon
Granules
Celery
TABLE
2.
END
USE
PRODUCT
REGISTRATION
AMENDMENT
REQUESTS
Continued
Company
EPA
Registration
#
Product
Name:
Use
Deletions
Universal
Cooperative
Inc.
1386
599
1386
648
Diazinon
4
EC
(
AG):
Beans,
Cucumbers
Parsley,
Parsnips,
Peas,
Peppers,
Potatoes
(
Irish),
Squash
(
Summer
and
Winter),
Sweet
Potatoes,
Swiss
Chard,
Turnips
Lawn
Pest
Control,
Nuisance
Pests
in
Outside
Areas,
Grassland
Insects,
and
Indoor
Ornamentals
5%
Diazinon
Insect
Killer
Granules:
Celery
Knox
Fertilizer
Co.
Inc.
8378
32
Shaw's
5%
Diazinon
Insect
Granules:
Celery
III.
Cancellation
Order
Pursuant
to
section
6(
f)
of
FIFRA,
EPA
hereby
approves
the
requested
cancellations
of
diazinon
product
and
use
registrations
identified
in
Tables
1
and
2
of
this
notice.
Accordingly,
the
Agency
orders
that
the
diazinon
end
use
product
registrations
identified
in
Table
1
are
hereby
canceled.
The
Agency
also
orders
that
all
of
the
uses
identified
in
List
1
and
all
other
uses
(
including
specific
outdoor
non
agricultural
uses)
identified
for
deletion
in
Table
2
are
hereby
canceled
from
the
end
use
product
registrations
identified
in
Table
2.
Any
distribution,
sale,
or
use
of
existing
stocks
of
the
products
identified
in
Tables
1
and
2
in
a
manner
inconsistent
with
the
terms
of
this
order
or
the
Existing
Stock
Provisions
in
Unit
IV
of
this
notice
will
be
considered
a
violation
of
section
12(
a)(
2)(
K)
of
FIFRA
and/
or
section
12(
a)(
1)(
A)
of
FIFRA.
IV.
Existing
Stocks
Provisions
For
purposes
of
this
Order,
the
term
``
existing
stocks''
is
defined,
pursuant
to
EPA's
existing
stocks
policy
(
56
FR
29362,
June
26,
1991),
as
those
stocks
of
a
registered
pesticide
product
which
are
currently
in
the
United
States
and
which
have
been
packaged,
labeled,
and
released
for
shipment
prior
to
the
effective
date
of
the
amendment
or
cancellation.
The
existing
stocks
provisions
of
this
Cancellation
Order
are
as
follows:
1.
Distribution
or
Sale
of
Products
Bearing
Instructions
for
Use
on
Agricultural
Crops.
The
distribution
or
sale
of
existing
stocks
by
the
registrant
of
any
product
listed
in
Table
1
or
2
that
bears
instructions
for
use
on
the
agricultural
crops
identified
in
List
1
will
not
be
lawful
under
FIFRA
1
year
after
the
effective
date
of
the
cancellation
order,
except
for
the
purposes
of
shipping
such
stocks
for
export
consistent
with
section
17
of
FIFRA
or
for
proper
disposal.
Persons
other
than
the
registrant
may
continue
to
sell
or
distribute
the
existing
stocks
of
any
product
listed
in
Table
2
that
bears
instructions
for
any
of
the
agricultural
uses
identified
in
List
1
after
the
effective
date
of
the
cancellation
order.
2.
Distribution
or
Sale
of
Products
Bearing
Instructions
for
Use
on
Outdoor
Non
Agricultural
Sites.
The
distribution
or
sale
of
existing
stocks
by
the
registrant
of
any
product
listed
in
Table
1
or
2
that
bears
instructions
for
use
on
outdoor
non
agricultural
sites
will
not
be
lawful
under
FIFRA
1
year
after
the
effective
date
of
the
cancellation
order,
except
for
the
purposes
of
shipping
such
stocks
for
export
consistent
with
section
17
of
FIFRA
or
for
proper
disposal.
Persons
other
than
the
registrant
may
continue
to
sell
or
distribute
the
existing
stocks
of
any
product
listed
in
Table
1
or
2
that
bears
instructions
for
use
on
outdoor
non
agricultural
sites
after
the
effective
date
of
the
cancellation
order.
3.
Distribution
or
Sale
of
Products
Bearing
Instructions
for
Use
on
Indoor
Sites.
The
distribution
or
sale
of
existing
stocks
by
the
registrant
of
any
product
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236
/
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9,
2002
/
Notices
listed
in
Table
1
or
2
that
bears
instructions
for
use
at
or
on
any
indoor
sites
(
except
mushroom
houses),
shall
not
be
lawful
under
FIFRA
as
of
the
effective
date
of
the
cancellation
order,
except
for
the
purposes
of
shipping
such
stocks
for
export
consistent
with
section
17
of
FIFRA
or
for
proper
disposal.
4.
Retail
and
Other
Distribution
or
Sale
of
Existing
Stock
of
Products
For
Indoor
Use.
The
distribution
or
sale
of
existing
stocks
by
any
person
other
than
the
registrants
of
products
listed
in
Table
1
or
2
bearing
instructions
for
any
indoor
uses
except
mushroom
houses
will
not
be
lawful
under
FIFRA
after
December
31,
2002,
except
for
the
purposes
of
shipping
such
stocks
for
export
consistent
with
section
17
of
FIFRA
or
for
proper
disposal.
5.
Use
of
existing
stocks.
EPA
intends
to
permit
the
use
of
existing
stocks
of
products
listed
in
Table
1
or
2
until
such
stocks
are
exhausted,
provided
such
use
is
in
accordance
with
the
existing
labeling
of
that
product.
List
of
Subjects
Environmental
protection,
Pesticides
and
pests.
Dated:
November
22,
2002.
Lois
Rossi,
Director,
Special
Review
and
Reregistration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31013
Filed
12
6
02;
8:
45am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7413
3]
Napa
State
Hospital
Administrative
Consent
Agreement
and
Final
Order;
Notice
of
Proposed
Administrative
Consent
Agreement
and
Final
Order
Pursuant
to
Section
311(
b)(
6)
of
the
Clean
Water
Act
AGENCY:
Environmental
Protection
Agency,
Region
IX.
ACTION:
Notice,
request
for
public
comments.
SUMMARY:
In
accordance
with
section
311(
b)(
6)(
C)
of
the
Clean
Water
Act,
(``
CWA''),
33
U.
S.
C.
1321(
b)(
6)(
C),
notice
is
hereby
given
of
a
proposed
Consent
Agreement
and
Final
Order
(``
CA/
FO,''
Region
9
Docket
No.
OPA
9
2003
0001),
which
resolves
penalties
for
alleged
violations
of
sections
311(
b)(
3)
and
311(
j)
of
the
CWA.
The
respondent
to
the
CA/
FO
is
the
Napa
State
Hospital,
an
agency
of
the
State
of
California.
Through
the
proposed
CA/
FO,
the
Napa
State
Hospital
will
pay
$
40,000
to
the
Oil
Spill
Liability
Trust
Fund
as
a
penalty
for
alleged
violations
involving
the
discharge
of
oil
into
waters
of
the
United
States,
and
the
failure
to
prepare
and
maintain
a
spill
prevention,
control
and
countermeasure
plan.
The
penalty
included
in
this
CA/
FO
was
calculated
in
accordance
with
the
Agency's
guidance
document,
Civil
Penalty
Policy
for
section
311(
b)(
3)
and
section
311(
j)
of
the
Clean
Water
Act,
dated
August
1998.
For
30
days
following
the
date
of
publication
of
this
notice,
the
Agency
will
receive
written
comments
relating
to
the
proposed
CA/
FO.
Any
person
who
comments
on
the
proposed
CA/
FO
shall
be
given
notice
of
any
hearing
held
and
a
reasonable
opportunity
to
be
heard
and
to
present
evidence.
If
no
hearing
is
held
regarding
comments
received,
any
person
commenting
on
this
proposed
CA/
FO
may,
within
30
days
after
the
issuance
of
the
final
order,
petition
the
Agency
to
set
aside
the
CA/
FO,
as
provided
by
section
311(
b)(
6)(
C)(
iii)
of
the
CWA,
33
U.
S.
C.
1321(
b)(
6)(
C)(
iii).
DATES:
Comments
must
be
submitted
on
or
before
January
8,
2003.
ADDRESSES:
The
proposed
CA/
FO
may
be
obtained
from
J.
Andrew
Helmlinger,
telephone
(
415)
972
3904.
Comments
regarding
the
proposed
CA/
FO
should
be
addressed
to
Danielle
Carr
(
ORC
3)
at
75
Hawthorne
Street,
San
Francisco,
California
94105,
and
should
reference
the
Napa
State
Hospital
and
Region
IX
docket
OPA
9
2003
0001.
FOR
FURTHER
INFORMATION
CONTACT:
J.
Andrew
Helmlinger,
Office
of
Regional
Counsel,
(
415)
972
3904,
U.
S.
Environmental
Protection
Agency,
Region
9,
75
Hawthorne
Street,
San
Francisco,
CA
94105.
Dated:
November
14,
2002.
Debbie
Jordan,
Acting
Director,
Superfund
Division.
[
FR
Doc.
02
30121
Filed
12
6
02;
8:
45
am]
BILLING
CODE
6560
50
P
FEDERAL
COMMUNICATIONS
COMMISSION
[
Report
No.
AUC
02
49
A
(
Auction
No.
49);
DA
02
3287]
Auction
No.
49
Auction
of
Lower
700
MHz
Band
Licenses
Scheduled
for
April
16,
2003;
Comment
Sought
on
Reserve
Prices
or
Minimum
Opening
Bids
and
Other
Auction
Procedures
AGENCY:
Federal
Communications
Commission.
ACTION:
Notice.
SUMMARY:
This
document
announces
the
auction
of
251
licenses
in
the
Lower
700
MHz
band
C
block
(
710
716/
740
746
MHz)
scheduled
to
commence
on
April
16,
2003.
This
document
also
seeks
comment
on
reserve
prices
or
minimum
opening
bids
and
other
auction
procedures.
DATES:
Comments
are
due
on
or
before
December
16,
2002,
and
reply
comments
are
due
on
or
before
December
23,
2002.
ADDRESSES:
Comments
and
reply
comments
must
be
sent
by
electronic
mail
to
the
following
address:
auction49@
fcc.
gov.
FOR
FURTHER
INFORMATION
CONTACT:
Legal
questions:
Howard
Davenport
(
202)
418
0660;
General
auction
questions:
Lyle
Ishida
(
202)
418
0660
or
Linda
Sanderson
(
717)
338
2888.
For
service
rule
questions:
Amal
Abdallah,
Policy
and
Rules
Branch,
or
Joanne
Epps
and
Melvin
Spann,
Licensing
and
Technical
Analysis
Branch,
at
(
202)
418
0620.
SUPPLEMENTARY
INFORMATION:
This
is
a
summary
of
the
Auction
No.
49
Comment
Public
Notice
released
December
2,
2002.
The
complete
text
of
the
Auction
No.
49
Comment
Public
Notice,
including
attachments,
is
available
for
public
inspection
and
copying
during
regular
business
hours
at
the
FCC
Reference
Information
Center,
Portals
II,
445
12th
Street,
SW.,
Room
CY
A257,
Washington,
DC
20554.
Auction
No.
49
Comment
Public
Notice
may
also
be
purchased
from
the
Commission's
duplicating
contractor,
Qualex
International,
Portals
II,
445
12th
Street,
SW.,
Room
CY
B402,
Washington,
DC
20554,
telephone
202
863
2893,
facsimile
202
863
2898,
or
via
e
mail
qualexint@
aol.
com.
1.
By
the
Auction
No.
49
Comment
Public
Notice,
the
Wireless
Telecommunications
Bureau
(``
Bureau'')
announces
the
auction
of
251
licenses
in
the
Lower
700
MHz
band
C
block
(
710
716/
740
746
MHz)
scheduled
to
commence
on
April
16,
2003
(
Auction
No.
49).
This
auction
will
include
the
C
block
licenses
that
remained
unsold
in
Auction
No.
44,
which
closed
on
September
18,
2002.
A
complete
list
of
licenses
available
for
Auction
No.
49
is
included
as
Attachment
A
of
the
Auction
No.
49
Comment
Public
Notice.
The
C
block
is
a
12
megahertz
spectrum
block,
consisting
of
a
pair
of
6
megahertz
segments,
which
is
licensed
over
734
Metropolitan
Statistical
Areas
(``
MSAs'')
and
Rural
Service
Areas
(``
RSAs'').
2.
The
following
table
contains
the
block/
frequency
cross
reference
for
the
710
716/
740
746
MHz
bands:
VerDate
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| epa | 2024-06-07T20:31:45.294444 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0312-0001/content.txt"
} |
EPA-HQ-OPP-2002-0314-0001 | Rule | 2002-11-29T05:00:00 | Pyriproxyfen; Pesticide Tolerance for Emergency Exemption | 71105
Federal
Register
/
Vol.
67,
No.
230
/
Friday,
November
29,
2002
/
Rules
and
Regulations
agricultural
services;
management
of
health
care
facilities;
mailing,
reproduction,
and
commercial
art;
and
temporary
help
supply
services.
*
*
*
*
*
[
FR
Doc.
02
30136
Filed
11
27
02;
8:
45
am]
BILLING
CODE
3510
06
P
LIBRARY
OF
CONGRESS
Copyright
Office
37
CFR
Part
253
[
Docket
No.
2002
4
CARP
NCBRA]
Cost
of
Living
Adjustment
for
Performance
of
Musical
Compositions
by
Colleges
and
Universities
AGENCY:
Copyright
Office,
Library
of
Congress.
ACTION:
Final
rule.
SUMMARY:
The
Copyright
Office
of
the
Library
of
Congress
announces
a
cost
of
living
adjustment
of
2.0%
in
the
royalty
rates
paid
by
colleges,
universities,
or
other
nonprofit
educational
institutions
that
are
not
affiliated
with
National
Public
Radio
for
the
use
of
copyrighted
published
nondramatic
musical
compositions
in
the
BMI
and
ASCAP
repertories.
The
cost
of
living
adjustment
is
based
on
the
change
in
the
Consumer
Price
Index
from
October,
2001,
to
October,
2002.
EFFECTIVE
DATE:
January
1,
2003.
FOR
FURTHER
INFORMATION
CONTACT:
Tanya
M.
Sandros,
Senior
Attorney,
Copyright
Arbitration
Royalty
Panel,
P.
O.
Box
70977,
Southwest
Station,
Washington,
D.
C.
20024.
Telephone:
(
202)
707
8380.
Telefax:
(
202)
252
3423.
SUPPLEMENTARY
INFORMATION:
Section
118
of
the
Copyright
Act,
17
U.
S.
C.,
creates
a
compulsory
license
for
the
use
of
published
nondramatic
musical
works
and
published
pictorial,
graphic,
and
sculptural
works
in
connection
with
noncommercial
broadcasting.
Terms
and
rates
for
this
compulsory
license,
applicable
to
parties
who
are
not
subject
to
privately
negotiated
licenses,
are
published
in
37
CFR
part
253
and
are
subject
to
adjustment
at
five
year
intervals.
17
U.
S.
C.
118(
c).
The
most
recent
proceeding
to
adjust
the
terms
and
rates
for
the
section
118
license
began
in
April
of
this
year.
67
FR
15414
(
April
1,
2002).
On
October
30,
2002,
the
Copyright
Office
announced
proposed
regulations
governing
the
terms
and
rates
of
copyright
royalty
payments
with
respect
to
certain
uses
by
public
broadcasting
entities
of
published
nondramatic
musical
works,
and
published
pictorial,
graphic,
and
sculptural
works,
including
a
provision
to
adjust
§
253.10
which
provides
for
an
annual
cost
of
living
adjustment
of
the
rates
for
the
public
performance
of
musical
compositions
in
the
ASCAP
and
BMI
repertories
by
public
broadcasting
entities
licensed
to
colleges
and
universities
set
forth
in
§
253.5
for
the
new
license
period,
2003
2007.
67
FR
66090
(
October
30,
2002).
Under
the
proposed
rules,
the
§
253.5
rate
for
the
public
performance
of
musical
compositions
in
the
SESAC
repertory
will
be
$
80
for
2003,
subject
to
an
annual
cost
of
living
adjustment
in
each
subsequent
year
thereafter
during
the
licensing
period.
Section
253.10(
b)
requires
that
the
Librarian
publish
a
revised
schedule
of
rates
for
the
public
performance
of
musical
compositions
in
the
ASCAP,
BMI,
and
SESAC
repertories
by
public
broadcasting
entities
licensed
to
colleges
and
universities,
reflecting
the
change
in
the
Consumer
Price
Index.
Accordingly,
the
Copyright
Office
of
the
Library
of
Congress
is
hereby
announcing
the
change
in
the
Consumer
Price
Index
and
performing
the
proposed
annual
cost
of
living
adjustment
to
the
rates
set
out
in
§
253.5(
c)
for
the
public
performance
of
musical
compositions
in
the
BMI
and
ASCAP
repertories
in
accordance
with
the
October
30
proposed
regulations.
The
change
in
the
cost
of
living
as
determined
by
the
Consumer
Price
Index
(
all
consumers,
all
items)
during
the
period
from
the
most
recent
Index
published
before
December
1,
2001,
to
the
most
recent
Index
published
before
December
1,
2002,
is
2%
(
2001'
s
figure
was
177.7;
the
figure
for
2001
is
181.3,
based
on
1982
1984=
100
as
a
reference
base).
Rounding
off
to
the
nearest
dollar,
the
royalty
rate
for
the
use
of
musical
compositions
in
the
repertory
of
ASCAP
is
$
249
and
the
use
of
the
musical
compositions
in
the
repertory
of
BMI
is
the
same,
$
249.
If
no
comments
are
received
regarding
the
proposed
amendments
to
§
§
253.5
and
253.10
announced
in
the
October
30
Federal
Register
notice
and
the
final
rules
are
published
before
January
1,
2003,
the
cost
of
living
adjustments
announced
in
this
notice
shall
become
effective
on
January
1,
2003.
List
of
Subjects
in
37
CFR
Part
253
Copyright,
Radio,
Television.
Final
Regulation
For
the
reasons
set
forth
in
the
preamble,
part
253
of
title
37
of
the
Code
of
Federal
Regulations
is
amended
as
follows:
PART
253
USE
OF
CERTAIN
COPYRIGHTED
WORKS
IN
CONNECTION
WITH
NONCOMMERCIAL
EDUCATIONAL
BROADCASTING
1.
The
authority
citation
for
part
253
continues
to
read
as
follows:
Authority:
17
U.
S.
C.
118,
801(
b)(
1)
and
803.
2.
Section
253.5
is
amended
by
revising
paragraphs
(
c)(
1)
through
(
c)(
2)
as
follows:
§
253.5
Performance
of
musical
compositions
by
public
broadcasting
entities
licensed
to
colleges
and
universities.
*
*
*
*
*
(
c)
*
*
(
1)
For
all
such
compositions
in
the
repertory
of
ASCAP,
$
249
annually.
(
2)
For
all
such
compositions
in
the
repertory
of
BMI,
$
249
annually.
*
*
*
*
*
Dated:
November
21,
2002.
Marybeth
Peters,
Register
of
Copyrights.
[
FR
Doc.
02
30145
Filed
11
27
02;
8:
45
am]
BILLING
CODE
1410
33
P
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
180
[
OPP
2002
0314;
FRL
7281
2]
Pyriproxyfen;
Pesticide
Tolerance
for
Emergency
Exemption
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
This
regulation
establishes
a
time
limited
tolerance
for
residues
of
pyriproxyfen
in
or
on
strawberry.
This
action
is
in
response
to
EPA's
granting
of
an
emergency
exemption
under
section
18
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
authorizing
use
of
the
pesticide
on
strawberry.
This
regulation
establishes
a
maximum
permissible
level
for
residues
of
pyriproxyfen
in
or
on
this
food
commodity.
The
tolerance
will
expire
and
is
revoked
on
December
31,
2004.
DATES:
This
regulation
is
effective
November
29,
2002.
Objections
and
requests
for
hearings,
identified
by
docket
ID
number
OPP
2002
0314,
must
be
received
on
or
before
January
28,
2003.
ADDRESSES:
Written
objections
and
hearing
requests
may
be
submitted
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/
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67,
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230
/
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November
29,
2002
/
Rules
and
Regulations
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
VII.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Andrea
Conrath,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9356;
e
mail
address:
conrath.
andrea@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
producers
(
NAICS
111)
Animal
producers
(
NAICS
112)
Food
manufacturing
(
NAICS
311)
Pesticide
manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0314.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
A
frequently
updated
electronic
version
of
40
CFR
part
180
is
available
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
40cfr180_
00.
html,
a
beta
site
currently
under
development.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
and
Statutory
Findings
EPA,
on
its
own
initiative,
in
accordance
with
sections
408(
e)
and
408
(
l)(
6)
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a,
is
establishing
a
tolerance
for
residues
of
the
insecticide
pyriproxyfen,
2[
1
methyl
2(
4
phenoxyphenoxy)
ethoxypyridine],
in
or
on
strawberry
at
0.30
part
per
million
(
ppm).
This
tolerance
will
expire
and
is
revoked
on
December
31,
2004.
EPA
will
publish
a
document
in
the
Federal
Register
to
remove
the
revoked
tolerance
from
the
Code
of
Federal
Regulations.
Section
408(
l)(
6)
of
FFDCA
requires
EPA
to
establish
a
time
limited
tolerance
or
exemption
from
the
requirement
for
a
tolerance
for
pesticide
chemical
residues
in
food
that
will
result
from
the
use
of
a
pesticide
under
an
emergency
exemption
granted
by
EPA
under
section
18
of
FIFRA.
Such
tolerances
can
be
established
without
providing
notice
or
period
for
public
comment.
EPA
does
not
intend
for
its
actions
on
section
18
related
tolerances
to
set
binding
precedents
for
the
application
of
section
408
of
FFDCA
and
the
new
safety
standard
to
other
tolerances
and
exemptions.
Section
408(
e)
of
FFDCA
allows
EPA
to
establish
a
tolerance
or
an
exemption
from
the
requirement
of
a
tolerance
on
its
own
initiative,
i.
e.,
without
having
received
any
petition
from
an
outside
party.
Section
408(
b)(
2)(
A)(
i)
of
FFDCA
allows
EPA
to
establish
a
tolerance
(
the
legal
limit
for
a
pesticide
chemical
residue
in
or
on
a
food)
only
if
EPA
determines
that
the
tolerance
is
``
safe.''
Section
408(
b)(
2)(
A)(
ii)
of
FFDCA
defines
``
safe''
to
mean
that
``
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
pesticide
chemical
residue,
including
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.''
This
includes
exposure
through
drinking
water
and
in
residential
settings,
but
does
not
include
occupational
exposure.
Section
408(
b)(
2)(
C)
of
FFDCA
requires
EPA
to
give
special
consideration
to
exposure
of
infants
and
children
to
the
pesticide
chemical
residue
in
establishing
a
tolerance
and
to
``
ensure
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
the
pesticide
chemical
residue.
.
.
.''
Section
18
of
FIFRA
authorizes
EPA
to
exempt
any
Federal
or
State
agency
from
any
provision
of
FIFRA,
if
EPA
determines
that
``
emergency
conditions
exist
which
require
such
exemption.''
This
provision
was
not
amended
by
the
Food
Quality
Protection
Act
(
FQPA)
of
1996.
EPA
has
established
regulations
governing
such
emergency
exemptions
in
40
CFR
part
166.
III.
Emergency
Exemption
for
Pyriproxyfen
on
Strawberry
and
FFDCA
Tolerances
The
California
Department
of
Pesticide
Regulation
has
indicated
that
populations
of
the
silverleaf
whitefly
in
the
State
are
at
levels
which
could
result
in
significant
damage
to
the
State's
strawberry
crop.
This
pest
is
relatively
newly
introduced
into
the
U.
S.,
and
the
registered
alternatives
have
not
provided
adequate
control
thus
far.
Without
adequate
control,
this
pest
was
expected
to
result
in
significant
crop
damage
and
yield
losses
for
strawberry
growers,
leading
to
significant
economic
losses.
EPA
has
authorized
under
FIFRA
section
18
the
use
of
pyriproxyfen
on
strawberry
for
control
of
the
silverleaf
whitefly
in
California.
After
having
reviewed
the
submission,
EPA
concurs
that
emergency
conditions
exist
for
this
State.
As
part
of
its
assessment
of
this
emergency
exemption,
EPA
assessed
the
potential
risks
presented
by
residues
of
pyriproxyfen
in
or
on
strawberry.
In
doing
so,
EPA
considered
the
safety
standard
in
section
408(
b)(
2)
of
FFDCA,
and
EPA
decided
that
the
necessary
tolerance
under
section
408(
l)(
6)
of
FFDCA
would
be
consistent
with
the
safety
standard
and
with
FIFRA
section
18.
Consistent
with
the
need
to
move
quickly
on
the
emergency
exemption
in
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230
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November
29,
2002
/
Rules
and
Regulations
order
to
address
an
urgent
non
routine
situation
and
to
ensure
that
the
resulting
food
is
safe
and
lawful,
EPA
is
issuing
this
tolerance
without
notice
and
opportunity
for
public
comment
as
provided
in
section
408(
l)(
6)
of
FFDCA.
Although
this
tolerance
will
expire
and
is
revoked
on
December
31,
2004,
under
section
408(
l)(
5)
of
FFDCA,
residues
of
the
pesticide
not
in
excess
of
the
amounts
specified
in
the
tolerance
remaining
in
or
on
strawberry
after
that
date
will
not
be
unlawful,
provided
the
pesticide
is
applied
in
a
manner
that
was
lawful
under
FIFRA,
and
the
residues
do
not
exceed
a
level
that
was
authorized
by
this
tolerance
at
the
time
of
that
application.
EPA
will
take
action
to
revoke
this
tolerance
earlier
if
any
experience
with,
scientific
data
on,
or
other
relevant
information
on
this
pesticide
indicate
that
the
residues
are
not
safe.
Because
this
tolerance
is
being
approved
under
emergency
conditions,
EPA
has
not
made
any
decisions
about
whether
pyriproxyfen
meets
EPA's
registration
requirements
for
use
on
strawberry
or
whether
a
permanent
tolerance
for
this
use
would
be
appropriate.
Under
these
circumstances,
EPA
does
not
believe
that
this
tolerance
serves
as
a
basis
for
registration
of
pyriproxyfen
by
a
State
for
special
local
needs
under
FIFRA
section
24(
c).
Nor
does
this
tolerance
serve
as
the
basis
for
any
State
other
than
California
to
use
this
pesticide
on
this
crop
under
section
18
of
FIFRA
without
following
all
provisions
of
EPA's
regulations
implementing
FIFRA
section
18
as
identified
in
40
CFR
part
166.
For
additional
information
regarding
the
emergency
exemption
for
pyriproxyfen,
contact
the
Agency's
Registration
Division
at
the
address
provided
under
FOR
FURTHER
INFORMATION
CONTACT.
IV.
Aggregate
Risk
Assessment
and
Determination
of
Safety
EPA
performs
a
number
of
analyses
to
determine
the
risks
from
aggregate
exposure
to
pesticide
residues.
For
further
discussion
of
the
regulatory
requirements
of
section
408
of
the
FFDCA
and
a
complete
description
of
the
risk
assessment
process,
see
the
final
rule
on
Bifenthrin
Pesticide
Tolerances
November
26,
1997
(
62
FR
62961)
(
FRL
5754
7).
Consistent
with
section
408(
b)(
2)(
D)
of
FFDCA,
EPA
has
reviewed
the
available
scientific
data
and
other
relevant
information
in
support
of
this
action.
EPA
has
sufficient
data
to
assess
the
hazards
of
pyriproxyfen
and
to
make
a
determination
on
aggregate
exposure,
consistent
with
section
408(
b)(
2)
of
FFDCA,
for
a
time
limited
tolerance
for
residues
of
pyriproxyfen
in
or
on
strawberry
at
0.30
ppm.
EPA's
assessment
of
the
dietary
exposures
and
risks
associated
with
establishing
the
tolerance
follows.
A.
Toxicological
Endpoints
EPA
has
evaluated
the
available
toxicity
data
and
considered
its
validity,
completeness,
and
reliability
as
well
as
the
relationship
of
the
results
of
the
studies
to
human
risk.
EPA
has
also
considered
available
information
concerning
the
variability
of
the
sensitivities
of
major
identifiable
subgroups
of
consumers,
including
infants
and
children.
The
nature
of
the
toxic
effects
caused
by
pyriproxyfen,
a
summary
of
the
toxicological
dose
and
endpoints
for
pyriproxyfen
for
use
in
this
human
risk
assessment,
and
the
most
recent
estimated
aggregate
risks
resulting
from
registered
uses
are
discussed
in
the
Federal
Register
for
August
28,
2002
(
67
FR
55150)
(
FRL
7195
7)
Final
Rule
establishing
tolerances
for
residues
of
pyriproxyfen
in/
on
acerola,
bushberry
subgroup,
feijoa,
guava,
jaboticaba,
juneberry,
lingonberry,
longan,
lychee,
passionfruit,
pulasan,
rambutan,
salal,
Spanish
lime,
starfruit,
stone
fruit
group,
and
wax
jambu.
Refer
to
the
August
28,
2002
Federal
Register
document
for
a
detailed
discussion
of
the
aggregate
risk
assessments
and
determination
of
safety.
EPA
relies
upon
that
risk
assessment
and
the
findings
made
in
the
Federal
Register
document
in
support
of
this
action.
Below
is
a
brief
summary
of
the
aggregate
risk
assessment,
including
this
use
on
strawberry.
B.
Exposure
Assessment
EPA
assessed
risk
scenarios
for
pyriproxyfen
under
chronic
and
intermediate
and
short
term
(
residential)
scenarios.
Because
there
were
no
acute
endpoints
identified,
an
acute
risk
assessment
was
not
conducted.
Nor
was
a
cancer
aggregate
risk
assessment
conducted,
because
pyriproxyfen
is
classified
as
``
not
likely''
to
be
a
human
carcinogen.
The
Dietary
Exposure
Evaluation
Model
(
DEEMTM)
analysis
evaluated
the
individual
food
consumption
as
reported
by
respondents
in
the
Department
of
Agricultural
(
USDA)
1989
1992
nationwide
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII)
and
accumulated
exposure
to
the
chemical
for
each
commodity.
The
following
assumptions
were
made
for
the
chronic
exposure
assessments:
Published
and
proposed
tolerance
level
residues
and
100%
crop
treated
were
assumed
for
all
commodities,
and
the
default
processing
factors
were
applied.
Using
these
exposure
assumptions,
EPA
concluded
that
pyriproxyfen
chronic
exposures
from
food
consumption
are
below
levels
of
concern
(<
100%
of
the
chronic
Population
Adjusted
Dose
(
cPAD))
for
the
general
U.
S.
population
and
all
population
subgroups.
The
cPAD
utilized
for
the
most
highly
exposed
subgroup
(
children
1
6
years
old)
is
2.7%.
Chronic
risk
from
dietary
exposure
for
infants
(<
1
year
old)
and
children
(
7
12
years
old)
utilizes
2.0%
and
1.6%
of
the
cPAD,
respectively.
Chronic
dietary
risk
for
the
general
U.
S.
population
is
1.0%
of
the
cPAD,
and
the
estimated
chronic
risk
for
all
other
population
subgroups
is
below
this
level.
In
addition,
despite
the
potential
for
chronic
dietary
exposure
to
pyriproxyfen
in
drinking
water,
after
calculating
drinking
water
levels
of
concern
(
DWLOCs)
and
comparing
them
to
conservative
model
EECs
of
pyriproxyfen
in
surface
and
ground
waters,
EPA
does
not
expect
the
aggregate
exposure
to
exceed
100%
of
the
cPAD,
as
shown
in
the
following
table:
TABLE
1.
AGGREGATE
RISK
ASSESSMENT
FOR
CHRONIC
EXPOSURE
TO
PYRIPROXYFEN
Population
Subgroup
cPAD
(
mg/
kg)
%
cPAD
(
Food)
Surface
Water
EEC
(
ppb)
Ground
Water
EEC
(
ppb)
Chronic
DWLOC
(
ppb)
General
U.
S.
population
0.35
1.0
0.4
0.006
12,000
Children
(
1
6
years
old)
0.35
2.7
0.4
0.006
3,100
Children
(
7
12
years
old)
0.35
1.6
0.4
0.006
3,200
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Regulations
TABLE
1.
AGGREGATE
RISK
ASSESSMENT
FOR
CHRONIC
EXPOSURE
TO
PYRIPROXYFEN
Continued
Population
Subgroup
cPAD
(
mg/
kg)
%
cPAD
(
Food)
Surface
Water
EEC
(
ppb)
Ground
Water
EEC
(
ppb)
Chronic
DWLOC
(
ppb)
Infants
(<
1
year
old)
0.35
2.0
0.4
0.006
3,200
Short
term
and
intermediate
term
aggregate
exposure
takes
into
account
residential
exposure
plus
chronic
exposure
to
food
and
water
(
considered
to
be
a
background
exposure
level).
The
term
``
residential
exposure''
is
used
in
this
document
to
refer
to
nonoccupational
non
dietary
exposure
(
e.
g.,
for
lawn
and
garden
pest
control,
indoor
pest
control,
termiticides,
flea
and
tick
control
on
pets).
Pyriproxyfen
is
currently
registered
for
various
residential
non
dietary
sites,
and
is
used
for
flea
and
tick
control
(
home
environment
and
pet
treatments)
as
well
as
products
for
ant
and
roach
control.
Pet
owners
could
potentially
be
exposed
to
pyriproxyfen
during
applications
to
pets;
however,
since
no
short
term
dermal
or
inhalation
endpoints
were
identified,
only
a
postapplication
residential
assessment
was
conducted.
Both
adults
and
toddlers
could
potentially
be
exposed
to
pyriproxyfen
residues
on
treated
carpets,
floors,
upholstery,
and
pets,
but
it
is
anticipated
that
toddlers
will
have
higher
exposures
than
adults
due
to
behavior
patterns.
Therefore,
the
residential
risk
assessment
addressed
post
application
exposures
of
toddlers,
which
is
considered
to
be
a
worst
case
scenario.
Short
term,
intermediate
term,
and
long
term
toddler
hand
to
mouth
exposures
(
consisting
of
petting
treated
animals
and
touching
treated
carpets/
flooring)
were
assessed;
long
term
dermal
exposures
were
also
assessed
for
products
with
anticipated
efficacy
of
more
than
6
months
(
carpet
powders
and
pet
collars).
Toddler
exposures
to
combined
treatment
scenarios,
where
a
pet
owner
treats
the
home
environment
and
the
pet
in
the
same
period
were
also
assessed.
The
Agency
has
determined
that
it
is
appropriate
to
aggregate
chronic
food
and
water
and
short
term
and
intermediate
term
exposures
for
pyriproxyfen.
Using
the
exposure
assumptions
described
above
for
shortterm
and
intermediate
term
exposures,
EPA
has
concluded
that
food
and
residential
exposures
aggregated
result
in
aggregate
MOEs
as
shown
in
the
following
table:
TABLE
2.
AGGREGATE
RISK
ASSESSMENT
FOR
SHORT
TERM
AND
INTERMEDIATE
TERM
EXPOSURE
TO
PYRIPROXYFEN
Population
Subgroup
Target
MOE
Short
Term
Aggregate
MOE
(
Food
+
Residential)
Intermediate
Term
Aggregate
MOE
(
Food
+
Residential
Surface,
Ground
Water
EECs
(
ppb)
Short
Term
DWLOCs
(
ppb)
Intermidate
Term
DWLOCs
(
ppb)
U.
S.
population
100
29,000
10,000
0.4,
0.006
35,000
12,000
Infants
(<
1
year
old)
100
1,800
650
0.4,
0.006
9,400
3,000
Children
(
1
6
years)
100
1,700
620
0.4,
0.006
9,400
2,900
Children
(
7
12
years)
100
1,900
670
0.4,
0.006
9,500
3,000
These
aggregate
MOEs
do
not
exceed
the
Agency's
level
of
concern
for
aggregate
exposure
to
food
and
residential
uses.
For
surface
and
ground
water,
the
EECs
for
pyriproxyfen
are
significantly
less
than
the
DWLOCs
as
a
contribution
to
intermediate
term
and
short
term
aggregate
exposure.
Therefore,
EPA
concludes
with
reasonable
certainty
that
residues
of
pyriproxyfen
in
drinking
water
do
not
contribute
significantly
to
the
intermediate
term
or
short
term
aggregate
human
health
risk
at
the
present
time.
Pyriproxyfen
is
classified
as
not
likely
to
be
a
human
carcinogen,
so
the
Agency
did
not
conduct
a
cancer
aggregate
risk
assessment.
Based
upon
these
risk
assessments,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children,
from
aggregate
exposure
to
pyriproxyfen
residues.
V.
Other
Considerations
A.
Analytical
Enforcement
Methodology
Adequate
enforcement
methodology
(
gas
liquid
chromatography
with
nitrogen
phosphorus
(
GLC/
NP)
detector)
is
available
to
enforce
the
tolerance
expression.
The
method
may
be
requested
from:
Chief,
Analytical
Chemistry
Branch,
Environmental
Science
Center,
701
Mapes
Rd.,
Ft.
Meade,
MD
20755
5350;
telephone
number:
(
410)
305
2905;
e
mail
address:
residuemethods@
epa.
gov.
B.
International
Residue
Limits
There
are
no
Codex,
Canadian,
or
Mexican
maximum
residue
limits
for
residues
of
pyriproxyfen
in/
on
strawberry,
so
international
harmonization
is
not
an
issue.
C.
Conditions
A
maximum
of
two
applications
may
be
made,
at
a
maximum
rate
of
30
grams
active
ingredient
(
a.
i.),
using
ground
application
equipment
only.
No
more
than
60
grams
a.
i.
may
be
applied
per
acre
per
season.
VI.
Conclusion
Therefore,
the
tolerance
is
established
for
residues
of
pyriproxyfen,
2[
1
methyl
2(
4
phenoxyphenoxy)
ethoxypyridine],
in
or
on
strawberry
at
0.30
ppm.
VII.
Objections
and
Hearing
Requests
Under
section
408(
g)
of
FFDCA,
as
amended
by
FQPA,
any
person
may
file
an
objection
to
any
aspect
of
this
regulation
and
may
also
request
a
hearing
on
those
objections.
The
EPA
procedural
regulations
which
govern
the
submission
of
objections
and
requests
for
hearings
appear
in
40
CFR
part
178.
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Regulations
Although
the
procedures
in
those
regulations
require
some
modification
to
reflect
the
amendments
made
to
FFDCA
by
FQPA,
EPA
will
continue
to
use
those
procedures,
with
appropriate
adjustments,
until
the
necessary
modifications
can
be
made.
The
new
section
408(
g)
of
FFDCA
provides
essentially
the
same
process
for
persons
to
``
object''
to
a
regulation
for
an
exemption
from
the
requirement
of
a
tolerance
issued
by
EPA
under
new
section
408(
d)
of
the
FFDCA,
as
was
provided
in
the
old
sections
408
and
409
of
the
FFDCA.
However,
the
period
for
filing
objections
is
now
60
days,
rather
than
30
days.
A.
What
Do
I
Need
to
Do
to
File
an
Objection
or
Request
a
Hearing?
You
must
file
your
objection
or
request
a
hearing
on
this
regulation
in
accordance
with
the
instructions
provided
in
this
unit
and
in
40
CFR
part
178.
To
ensure
proper
receipt
by
EPA,
you
must
identify
docket
ID
number
OPP
2002
0314
in
the
subject
line
on
the
first
page
of
your
submission.
All
requests
must
be
in
writing,
and
must
be
mailed
or
delivered
to
the
Hearing
Clerk
on
or
before
January
28,
2003.
1.
Filing
the
request.
Your
objection
must
specify
the
specific
provisions
in
the
regulation
that
you
object
to,
and
the
grounds
for
the
objections
(
40
CFR
178.25).
If
a
hearing
is
requested,
the
objections
must
include
a
statement
of
the
factual
issues(
s)
on
which
a
hearing
is
requested,
the
requestor's
contentions
on
such
issues,
and
a
summary
of
any
evidence
relied
upon
by
the
objector
(
40
CFR
178.27).
Information
submitted
in
connection
with
an
objection
or
hearing
request
may
be
claimed
confidential
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
A
copy
of
the
information
that
does
not
contain
CBI
must
be
submitted
for
inclusion
in
the
public
record.
Information
not
marked
confidential
may
be
disclosed
publicly
by
EPA
without
prior
notice.
Mail
your
written
request
to:
Office
of
the
Hearing
Clerk
(
1900C),
Environmental
Protection
Agency
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
You
may
also
deliver
your
request
to
the
Office
of
the
Hearing
Clerk
in
Rm.
104,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
The
Office
of
the
Hearing
Clerk
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Office
of
the
Hearing
Clerk
is
(
703)
603
0061.
2.
Tolerance
fee
payment.
If
you
file
an
objection
or
request
a
hearing,
you
must
also
pay
the
fee
prescribed
by
40
CFR
180.33(
i)
or
request
a
waiver
of
that
fee
pursuant
to
40
CFR
180.33(
m).
You
must
mail
the
fee
to:
EPA
Headquarters
Accounting
Operations
Branch,
Office
of
Pesticide
Programs,
P.
O.
Box
360277M,
Pittsburgh,
PA
15251.
Please
identify
the
fee
submission
by
labeling
it
``
Tolerance
Petition
Fees.''
EPA
is
authorized
to
waive
any
fee
requirement
``
when
in
the
judgement
of
the
Administrator
such
a
waiver
or
refund
is
equitable
and
not
contrary
to
the
purpose
of
this
subsection.''
For
additional
information
regarding
the
waiver
of
these
fees,
you
may
contact
James
Tompkins
by
phone
at
(
703)
305
5697,
by
e
mail
at
tompkins.
jim@
epa.
gov,
or
by
mailing
a
request
for
information
to
Mr.
Tompkins
at
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
If
you
would
like
to
request
a
waiver
of
the
tolerance
objection
fees,
you
must
mail
your
request
for
such
a
waiver
to:
James
Hollins,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
3.
Copies
for
the
Docket.
In
addition
to
filing
an
objection
or
hearing
request
with
the
Hearing
Clerk
as
described
in
Unit
VII.
A.,
you
should
also
send
a
copy
of
your
request
to
the
PIRIB
for
its
inclusion
in
the
official
record
that
is
described
in
Unit
I.
B.
1.
Mail
your
copies,
identified
by
the
docket
ID
number
OPP
2002
0314,
to:
Public
Information
and
Records
Integrity
Branch,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
In
person
or
by
courier,
bring
a
copy
to
the
location
of
the
PIRIB
described
in
Unit
I.
B.
1.
You
may
also
send
an
electronic
copy
of
your
request
via
e
mail
to:
opp
docket@
epa.
gov.
Please
use
an
ASCII
file
format
and
avoid
the
use
of
special
characters
and
any
form
of
encryption.
Copies
of
electronic
objections
and
hearing
requests
will
also
be
accepted
on
disks
in
WordPerfect
6.1/
8.0
or
ASCII
file
format.
Do
not
include
any
CBI
in
your
electronic
copy.
You
may
also
submit
an
electronic
copy
of
your
request
at
many
Federal
Depository
Libraries.
B.
When
Will
the
Agency
Grant
a
Request
for
a
Hearing?
A
request
for
a
hearing
will
be
granted
if
the
Administrator
determines
that
the
material
submitted
shows
the
following:
There
is
a
genuine
and
substantial
issue
of
fact;
there
is
a
reasonable
possibility
that
available
evidence
identified
by
the
requestor
would,
if
established
resolve
one
or
more
of
such
issues
in
favor
of
the
requestor,
taking
into
account
uncontested
claims
or
facts
to
the
contrary;
and
resolution
of
the
factual
issues(
s)
in
the
manner
sought
by
the
requestor
would
be
adequate
to
justify
the
action
requested
(
40
CFR
178.32).
VIII.
Regulatory
Assessment
Requirements
This
final
rule
establishes
a
timelimited
tolerance
under
section
408
of
the
FFDCA.
The
Office
of
Management
and
Budget
(
OMB)
has
exempted
these
types
of
actions
from
review
under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(
58
FR
51735,
October
4,
1993).
Because
this
rule
has
been
exempted
from
review
under
Executive
Order
12866
due
to
its
lack
of
significance,
this
rule
is
not
subject
to
Executive
Order
13211,
Actions
Concerning
Regulations
That
Significantly
Affect
Energy
Supply,
Distribution,
or
Use
(
66
FR
28355,
May
22,
2001).
This
final
rule
does
not
contain
any
information
collections
subject
to
OMB
approval
under
the
Paperwork
Reduction
Act
(
PRA),
44
U.
S.
C.
3501
et
seq.,
or
impose
any
enforceable
duty
or
contain
any
unfunded
mandate
as
described
under
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(
UMRA)
(
Public
Law
104
4).
Nor
does
it
require
any
special
considerations
under
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(
59
FR
7629,
February
16,
1994);
or
OMB
review
or
any
Agency
action
under
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(
62
FR
19885,
April
23,
1997).
This
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
NTTAA),
Public
Law
104
113,
section
12(
d)
(
15
U.
S.
C.
272
note).
Since
tolerances
and
exemptions
that
are
established
on
the
basis
of
a
FIFRA
section
18
exemption
under
section
408
of
the
FFDCA,
such
as
the
tolerance
in
this
final
rule,
do
not
require
the
issuance
of
a
proposed
rule,
the
requirements
of
the
Regulatory
Flexibility
Act
(
RFA)
(
5
U.
S.
C.
601
et
seq.)
do
not
apply.
In
addition,
the
Agency
has
determined
that
this
action
will
not
have
a
substantial
direct
effect
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Federal
Register
/
Vol.
67,
No.
230
/
Friday,
November
29,
2002
/
Rules
and
Regulations
on
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132,
entitled
Federalism
(
64
FR
43255,
August
10,
1999).
Executive
Order
13132
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.''
``
Policies
that
have
federalism
implications''
is
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.''
This
final
rule
directly
regulates
growers,
food
processors,
food
handlers,
and
food
retailers,
not
States.
This
action
does
not
alter
the
relationships
or
distribution
of
power
and
responsibilities
established
by
Congress
in
the
preemption
provisions
of
section
408(
n)(
4)
of
the
FFDCA.
For
these
same
reasons,
the
Agency
has
determined
that
this
rule
does
not
have
any
``
tribal
implications''
as
described
in
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(
65
FR
67249,
November
6,
2000).
Executive
Order
13175,
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
tribal
officials
in
the
development
of
regulatory
policies
that
have
tribal
implications.''
``
Policies
that
have
tribal
implications''
is
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
one
or
more
Indian
tribes,
on
the
relationship
between
the
Federal
Government
and
the
Indian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes.''
This
rule
will
not
have
substantial
direct
effects
on
tribal
governments,
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,
as
specified
in
Executive
Order
13175.
Thus,
Executive
Order
13175
does
not
apply
to
this
rule.
IX.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
this
final
rule
in
the
Federal
Register.
This
final
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
180
Environmental
protection,
Administrative
practice
and
procedure,
Agricultural
commodities,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
November
8,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Therefore,
40
CFR
chapter
I
is
amended
as
follows:
PART
180
[
AMENDED]
1.
The
authority
citation
for
part
180
continues
to
read
as
follows:
Authority:
21
U.
S.
C.
321(
q),
346(
a)
and
371.
2.
Section
180.510
is
amended
by
alphabetically
adding
``
strawberry''
to
the
table
in
paragraph
(
b)
to
read
as
follows:
§
180.510
Pyriproxyfen;
tolerances
for
residues.
*
*
*
*
*
(
b)
*
*
*
Commodity
Parts
per
million
Expiration/
revocation
date
*
*
*
*
*
Strawberry
................................................
0.30
12/
31/
04
*
*
*
*
*
[
FR
Doc.
02
30260
Filed
11
27
02;
8:
45
am]
BILLING
CODE
6560
50
S
FEDERAL
COMMUNICATIONS
COMMISSION
47
CFR
Parts
1,
2,
27,
87,
90
and
95
[
WT
Docket
No.
02
08;
FCC
02
152]
License
Services
in
the
216
220
MHz,
1390
1395
MHz,
1427
1429
MHz,
1429
1432
MHz,
1432
1435
MHz,
1670
1675
MHz,
and
2385
2390
MHz
Government
Transfer
Bands
AGENCY:
Federal
Communications
Commission.
ACTION:
Final
rule;
correction.
SUMMARY:
The
Federal
Communications
Commission
published
a
document
in
the
Federal
Register
on
June
20,
2002,
(
67
FR
41847),
revising
the
Quiet
Zone
procedures
for
operation
near
GOES
stations.
The
publication
incorrectly
indicated
that
the
GOES
procedures
were
contained
in
§
1.924(
f)
and,
therefore,
inadvertently
removed
the
Quiet
Zone
procedures
for
operation
in
the
420
450
MHz
band.
This
document
corrects
the
Quiet
Zone
procedures
by
re
inserting
the
procedures
for
operation
in
420
450
MHz
band
into
§
1.924(
f)
and
lists
the
updated
procedures
for
operation
near
GOES
stations
into
§
1.924(
g).
DATES:
Effective
November
29,
2002.
FOR
FURTHER
INFORMATION
CONTACT:
Keith
Fickner
regarding
legal
matters,
and/
or
Brian
Marenco
or
Tim
Maguire
regarding
engineering
matters
via
phone
at
(
202)
418
0680,
via
TTY
(
202)
418
7233,
or
via
e
mail
at
kfickner@
fcc.
gov,
bmarenco@
fcc.
gov
or
tmaguire@
fcc.
gov,
respectively,
Wireless
Telecommunications
Bureau,
Federal
Communications
Commission,
Washington,
DC
20554.
SUPPLEMENTARY
INFORMATION:
In
the
FR
Doc.
02
15373
published
in
the
Federal
Register
on
June
20,
2002,
(
67
FR
41847)
the
Commission
updated
the
Quiet
Zone
procedures
for
operation
near
GOES
stations.
The
document
incorrectly
indicated
that
the
GOES
procedures
were
contained
in
§
1.924(
f).
The
GOES
procedures
are
supposed
to
be
listed
in
§
1.924(
g).
The
Quiet
Zone
procedures
listed
in
§
1.924(
f)
are
intended
for
operation
in
the
420
450
MHz
band.
Therefore,
the
Federal
Register
publication
inadvertently
deleted
the
Quiet
Zone
procedures
for
operation
in
the
420
450
MHz
band.
The
Quiet
Zone
procedures
for
operations
near
GOES
stations
are
intended
to
apply
only
to
operation
in
the
1670
1675
MHz
band.
Therefore,
the
Quiet
Zone
procedures
for
operation
in
the
420
450
MHz
band
should
be
re
inserted
into
§
1.924(
f)
and
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| epa | 2024-06-07T20:31:45.301598 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0314-0001/content.txt"
} |
EPA-HQ-OPP-2002-0316-0001 | Notice | 2002-12-06T05:00:00 | Notice of Receipt of Requests for Amendments to Delete Uses in Certain Pesticide Registrations | 72673
Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
Famoxadone
at
97.8%.
Proposed
classification/
Use:
None.
For
the
manufacture
of
fungicides
only.
2.
File
Symbol:
352
ANU.
Applicant:
E.
I.
du
Pont
de
Nemours
and
Company.
Product
Name:
DPX
KP481
50DF
Fungicide.
Fungicide.
Active
ingredients:
Famoxadone
at
25%
and
Cymoxanil
at
25%.
Proposed
classification/
Use:
None.
For
control
of
downy
mildew
in
cucurbits
and
lettuce
and
for
the
control
of
early
blight
and
late
blight
in
potatoes
and
fruiting
vegetables.
3.
File
Symbol:
3125
LLN.
Applicant:
Bayer
CropScience,
2
T.
W.
Alexander
Drive,
Research
Triangle
Park,
NC
27709.
Product
Name:
KWG
4168
300
CS.
Fungicide.
Active
ingredient:
Spiroxamine
at
30.9%.
Proposed
classification/
Use:
None.
For
control
of
powdery
mildew
on
grapes.
4.
File
Symbol:
3125
LLR.
Applicant:
Bayer
CropScience.
Product
Name:
Spiroxamine
Technical.
Fungicide.
Active
ingredient:
Spiroxamine
at
96.6%.
Proposed
classification/
Use:
None.
For
use
in
the
manufacture
of
fungicides.
5.
File
Symbol:
7969
ROA.
Applicant:
BASF
Corporation,
P.
O.
Box
13528,
Research
Triangle
Park,
NC
27709
3528.
Product
Name:
BAS510
02F
Turf
Fungicide.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
70.0%.
Proposed
classification/
Use:
None.
For
disease
control
on
golf
course
turfgrass.
6.
File
Symbol:
7969
ROI.
Applicant:
BASF
Corporation.
Product
Name:
BAS510
F
Manufacturing
Use
Product.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
99.0%.
Proposed
classification/
Use:
None.
For
use
in
fungicide
formulations.
7.
File
Symbol:
7969
ROO.
Applicant:
BASF
Corporation.
Product
Name:
BAS516
02
F
Crop
Fungicide.
Fungicide.
Active
ingredients:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
25.2%
and
pyraclostrobin
at
12.8%.
Proposed
classification/
Use:
None.
For
use
on
berries,
bulb
vegetables,
grapes,
carrots,
pistachio,
tree
nuts,
stone
fruits,
and
strawberries.
8.
File
Symbol:
7969
ROT.
Applicant:
BASF
Corporation.
Product
Name:
BAS510
02
F
Crop
Fungicide.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
70.0%.
Proposed
classification/
Use:
None.
For
use
on
berries,
dry
and
succulent
beans,
bulb
vegetables,
canola,
carrots,
fruiting
vegetables,
grapes,
lettuce,
peanuts,
pistachio,
potatoes,
tree
nuts,
stone
fruits,
and
strawberries.
9.
File
Symbol:
11656
OI.
Applicant:
Western
Farm
Services,
Inc.,
P.
O.
Box
1168,
Fresno,
CA
93715.
Product
Name:
Bud
Break
Plant
Growth
Regulator.
Plant
Growth
Regulator.
Active
ingredients:
Ammonium
nitrate
at
36.0%
and
Calcium
nitrate
at
31.0%.
Proposed
classification/
Use:
None.
For
agricultural
use
only.
10.
File
Symbol:
62719
GTG.
Applicant:
Dow
AgroSciences
LLC,
9330
Zionsville
Road,
Indianapolis,
IN
46268
1054.
Product
Name:
Quinoxyfen
Technical.
Fungicide.
Active
ingredient:
Quinoxyfen
at
97.7%.
Proposed
classification/
Use:
None.
For
manufacturing
use
only.
11.
File
Symbol:
62719
GTL.
Applicant:
Product
Name:
Quintec.
Fungicide.
Active
ingredient:
Quinoxyfen
at
22.58%.
Proposed
classification/
Use:
None.
A
protectant
fungicide
for
the
control
of
powdery
mildew
on
grapes
and
hops.
12.
File
Symbol:
62719
GTU.
Applicant:
Dow
AgroSciences
LLC.
Product
Name:
Quinoxyfen
Manufacturing
Use
Concentrate.
Fungicide.
Active
ingredient:
Quinoxyfen
at
53.5%.
Proposed
classification/
Use:
None.
For
manufacturing
use
only.
List
of
Subjects
Environmental
protection,
Pesticides
and
pest.
Dated:
November
26,
2002.
Peter
Caulkins,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30945
Filed
12
5
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0316;
FRL
7281
5]
Notice
of
Receipt
of
Requests
for
Amendments
to
Delete
Uses
in
Certain
Pesticide
Registrations
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
accordance
with
section
6(
f)(
1)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended,
EPA
is
issuing
a
notice
of
receipt
of
request
for
amendments
by
registrants
to
delete
uses
in
certain
pesticide
registrations.
Section
6(
f)(
1)
of
FIFRA
provides
that
a
registrant
of
a
pesticide
product
may
at
any
time
request
that
any
of
its
pesticide
registrations
be
amended
to
delete
one
or
more
uses.
FIFRA
further
provides
that,
before
acting
on
the
request,
EPA
must
publish
a
notice
of
receipt
of
any
request
on
the
Federal
Register.
DATES:
The
deletions
are
effective
on
June
4,
2003,
or
on
January
6,
2003
for
product
registration
019713
00263,
unless
the
Agency
receives
a
withdrawal
request
on
or
before
dates
given
above.
The
30
day
comment
period
applies
to
product
registration
019713
00263
only.
Users
of
these
products
who
desire
continued
use
on
crops
or
sites
being
deleted
should
contact
the
applicable
registrant
on
or
before
dates
given
above.
ADDRESSES:
Withdrawal
requests
may
be
submitted
by
mail,
electronically,
or
in
person.
Please
follow
the
detailed
instructions
for
each
method
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
To
ensure
proper
receipt
by
EPA,
it
is
imperative
that
you
identify
docket
ID
number
OPP
2002
0316
in
the
subject
line
on
the
first
page
of
your
response.
FOR
FURTHER
INFORMATION
CONTACT:
By
mail:
James
A.
Hollins,
Office
of
Pesticide
Programs
(
7502C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5761;
e
mail
address:
hollins.
james@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
Although
this
action
may
be
of
particular
interest
to
persons
who
produce
or
use
pesticides,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
information
in
this
notice,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0316.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
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17:
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Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
What
Action
is
the
Agency
Taking?
This
notice
announces
receipt
by
the
Agency
of
applications
from
registrants
to
delete
uses
in
certain
pesticide
registrations.
These
registrations
are
listed
in
Table
1
by
registration
number,
product
name/
active
ingredient,
and
specific
uses
deleted:
TABLE
1.
REGISTRATIONS
WITH
REQUESTS
FOR
AMENDMENTS
TO
DELETE
USES
IN
CERTAIN
PESTICIDE
REGISTRATIONS
EPA
Registration
No.
Product
Name
Active
Ingredient
Delete
From
Label
000264
00325
SEVIN
Brand
97.5%
Manfacturing
Concentrate
Insecticide
Carbaryl
Poultry
001327
00041
Fulex
Nicotine
Fumigator
Nicotine
Greenhouse
food
crops
001812
00355
Trilin
Trifluralin
Eggplant,
onion
004581
00402
TOPSIN
M
70W
Turf
and
Ornamentals
Thiophanate
methyl
Sod
farms
004581
00405
TOPSIN
M
4.5F
Turf
and
Ornamentals
Thiophanate
methyl
Sod
farms
019713
00263
Drexel
Diazinon
5G
Diazinon
Celery
019713
00539
Drexel
Metolachlor
Technical
Metolachlor
Turf
use
060063
00017
Sipcam
Metolachlor
Technical
Metolachlor
Turf
use
Users
of
these
products
who
desire
continued
use
on
crops
or
sites
being
deleted
should
contact
the
applicable
registrant
before
dates
indicated
in
DATES
section
of
this
notice
to
discuss
withdrawal
of
the
application
for
amendment.
This
30
or
180
day
period
will
also
permit
interested
members
of
the
public
to
intercede
with
registrants
prior
to
the
Agency's
approval
of
the
deletion.
Table
2
includes
the
names
and
addresses
of
record
for
all
registrants
of
the
products
in
Table
1,
in
sequence
by
EPA
company
number.
TABLE
2.
REGISTRANTS
REQUESTING
AMENDMENTS
TO
DELETE
USES
IN
CERTAIN
PESTICIDE
REGISTRATIONS
EPA
Company
No.
Company
Name
and
Address
000264
Bayer
Cropscience
LP,
2
T.
W.
Alexander
Drive,
Research
Triangle
Park,
NC
27709
001327
Fuller
System,
Inc.,
Box
3053,
Woburn,
MA
01888
001812
Griffin
L.
L.
C.,
Box
1847,
Valdosta,
GA
31603
TABLE
2.
REGISTRANTS
REQUESTING
AMENDMENTS
TO
DELETE
USES
IN
CERTAIN
PESTICIDE
REGISTRATIONS
Continued
EPA
Company
No.
Company
Name
and
Address
004581
Cerexagri,
Inc.,
630
Freedom
Business
Center,
Suite
402,
King
Of
Prussia,
PA
19046
019713
Drexel
Chemical
Co,
1700
Channel
Ave.,
Box
13327,
Memphis,
TN
38113
060063
Sipcam
Agro
USA,
Inc.,
300
Colonial
Parkway,
Suite
230,
Roswell,
GA
30076
III.
What
is
the
Agency
Authority
for
Taking
this
Action?
Section
6(
f)(
1)
of
FIFRA
provides
that
a
registrant
of
a
pesticide
product
may
at
any
time
request
that
any
of
its
pesticide
registrations
be
amended
to
delete
one
or
more
uses.
The
Act
further
provides
that,
before
acting
on
the
request,
EPA
must
publish
a
notice
of
receipt
of
any
such
request
in
the
Federal
Register.
Thereafter,
the
Administrator
may
approve
such
a
request.
IV.
Procedures
for
Withdrawal
of
Request
Registrants
who
choose
to
withdraw
a
request
for
use
deletion
must
submit
such
withdrawal
in
writing
to
James
A.
Hollins,
at
the
address
under
FOR
FURTHER
INFORMATION
CONTACT,
postmarked
on
or
before
dates
indicated
in
DATES
section
of
this
notice.
V.
Provisions
for
Disposition
of
Existing
Stocks
The
Agency
has
authorized
the
registrants
to
sell
or
distribute
product
under
the
previously
approved
labeling
for
a
period
of
18
months
after
approval
of
the
revision,
unless
other
restrictions
have
been
imposed,
as
in
special
review
actions.
List
of
Subjects
Environmental
protection,
Pesticides
and
pests.
Dated:
November
21,
2002.
Linda
Vlier
Moos,
Acting
Director,
Information
Resources
and
Services
Division.
[
FR
Doc.
02
30944
Filed
12
5
02;
8:
45
am]
BILLING
CODE
6560
50
S
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13:
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| epa | 2024-06-07T20:31:45.309140 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0316-0001/content.txt"
} |
EPA-HQ-OPP-2002-0317-0001 | Notice | 2002-11-27T05:00:00 | Pesticide Products; Registration Applications | 70943
Federal
Register
/
Vol.
67,
No.
229
/
Wednesday,
November
27,
2002
/
Notices
www.
ferc.
gov
using
the
``
FERRIS''
link.
Enter
the
docket
number
excluding
the
last
three
digits
in
the
docket
number
field
to
access
the
document.
For
assistance,
contact
FERC
Online
Support
at
FERCOnlineSupport@
ferc.
gov
or
tollfree
at
1
866
208
3676,
or
for
TTY,
(
202)
502
8659.
A
copy
is
also
available
for
inspection
and
reproduction
at
the
address
in
item
h
above.
n.
Individuals
desiring
to
be
included
on
the
Commission's
mailing
list
should
so
indicate
by
writing
to
the
Secretary
of
the
Commission.
Anyone
may
submit
comments,
a
protest,
or
a
motion
to
intervene
in
accordance
with
the
requirements
of
rules
of
practice
and
procedure,
18
CFR
385.210,
.211,
.214.
In
determining
the
appropriate
action
to
take,
the
Commission
will
consider
all
protests
or
other
comments
filed,
but
only
those
who
file
a
motion
to
intervene
in
accordance
with
the
Commission's
Rules
may
become
a
party
to
the
proceeding.
Any
comments,
protests,
or
motions
to
intervene
must
be
received
on
or
before
the
specified
comment
date
for
the
particular
application.
Any
filings
must
bear
in
all
capital
letters
the
title
``
COMMENTS,''
``
PROTEST,''
or
``
MOTION
TO
INTERVENE,''
as
applicable,
and
the
Project
Number
of
the
particular
application
to
which
the
filing
refers.
A
copy
of
any
motion
to
intervene
must
also
be
served
upon
each
representative
of
the
Applicant
specified
in
the
particular
application.
Federal,
state,
and
local
agencies
are
invited
to
file
comments
on
the
described
application.
A
copy
of
the
application
may
be
obtained
by
agencies
directly
from
the
applicant.
If
an
agency
does
not
file
comments
within
the
time
specified
for
filing
comments,
it
will
be
presumed
to
have
no
comments.
One
copy
of
an
agency's
comments
must
also
be
sent
to
the
Applicant's
representatives.
Linwood
A.
Watson,
Jr.,
Deputy
Secretary.
[
FR
Doc.
02
30207
Filed
11
26
02;
8:
45
am]
BILLING
CODE
6717
01
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7414
3]
Interagency
Project
To
Clean
Up
Open
Dumps
on
Tribal
Lands:
Request
for
Proposals
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice
of
availability.
SUMMARY:
The
Tribal
Solid
Waste
Interagency
Workgroup
(
Workgroup)
is
soliciting
proposals
for
its
fifth
year
of
the
Tribal
Open
Dump
Cleanup
Project
(
Cleanup
Project).
Since
FY99,
the
Workgroup
has
funded
approximately
$
8.8
million
in
projects.
In
FY02,
the
Interagency
Workgroup
made
approximately
$
2.2
million
available
to
fully
or
partially
fund
27
selected
projects,
for
an
average
of
approximately
$
80,000
a
proposal.
A
similar
amount
of
funding
is
being
projected
for
FY03.
Each
of
these
projects
will
result
in
the
closure
or
upgrade
of
one
or
more
open
dumps
located
on
tribal
lands.
The
Cleanup
Project
is
part
of
a
federal
effort
to
help
tribes
comprehensively
address
their
solid
waste
needs.
The
purpose
of
the
Cleanup
Project
is
to
assist
with
closing
or
upgrading
tribal
high
threat
waste
disposal
sites
and
providing
alternative
disposal
and
integrated
solid
waste
management.
The
Workgroup
was
established
in
April
1998
to
coordinate
federal
assistance
to
tribes
in
bringing
their
waste
disposal
sites
into
compliance
with
the
municipal
solid
waste
landfill
criteria
(
40
CFR
part
258).
Current
Workgroup
members
include
representatives
from
the
U.
S.
Environmental
Protection
Agency
(
EPA);
the
Bureau
of
Indian
Affairs
(
BIA);
the
Indian
Health
Service
(
IHS);
the
Bureau
of
Land
Management;
the
departments
of
Agriculture,
Defense,
and
Housing
and
Urban
Development.
Criteria:
Eligible
recipients
of
assistance
under
The
Cleanup
Project
include
federally
recognized
tribes
and
intertribal
consortiums.
A
full
explanation
of
the
submittal
process,
the
qualifying
requirements,
and
the
criteria
that
will
be
used
to
evaluate
proposals
for
this
project
may
be
found
in
the
Request
for
Proposals
package.
DATES:
For
consideration,
proposals
must
be
received
by
close
of
business
on
January
31,
2003.
Proposals
postmarked
on
or
before
but
not
received
by
the
closing
date
will
not
be
considered.
Please
do
not
rely
solely
on
overnight
mail
to
meet
the
deadlines.
FOR
FURTHER
INFORMATION
CONTACT:
Copies
of
the
Request
for
Proposals
package
may
be
downloaded
from
the
Internet
at
<
www.
epa.
gov/
tribalmsw>
by
clicking
on
``
Recent
Additions.''
Copies
may
also
be
obtained
by
contacting
EPA,
IHS
or
BIA
regional
or
area
offices
or
one
of
the
following
Workgroup
representatives:
EPA
Charles
Bearfighter
Reddoor
703
308
8245,
Christopher
Dege,
703
308
2392,
or
Tonya
Hawkins,
703
308
8278.
IHS
Steve
Aoyama,
301
443
1046.
BIA
Debbie
McBride,
202
208
3606.
Dated:
November
4,
2002.
Robert
Springer,
Director,
Office
of
Solid
Waste.
[
FR
Doc.
02
30116
Filed
11
26
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0317;
FRL
7281
4]
Pesticide
Products;
Registration
Applications
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
receipt
of
an
application
to
register
a
pesticide
product
containing
a
new
active
ingredient
not
included
in
any
previously
registered
products
pursuant
to
the
provisions
of
section
3(
c)(
4)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended.
DATES:
Written
comments,
identified
by
the
docket
ID
number
OPP
2002
0317,
must
be
received
on
or
before
December
27,
2002.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Geri
McCann,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
605
0716;
e
mail
address;
mccann.
geri@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
a
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Pesticide
Manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
To
determine
whether
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November
27,
2002
/
Notices
you
or
your
business
may
be
affected
by
this
action,
you
should
carefully
examine
the
applicability
provisions
in
Section
II
of
this
notice.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0317.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legalholidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
comments,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
Docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0317.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0317.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
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/
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67,
No.
229
/
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November
27,
2002
/
Notices
Washington,
DC,
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0317.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0317.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
registration
activity.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Registration
Application
EPA
received
an
application
as
follows
to
register
a
pesticide
product
containing
an
active
ingredient
not
included
in
any
previously
registered
products
pursuant
to
the
provision
of
section
3(
c)(
4)
of
FIFRA.
Notice
of
receipt
of
this
application
does
not
imply
a
decision
by
the
Agency
on
the
application.
Product
Containing
an
Active
Ingredient
not
Included
in
any
Previously
Registered
Products
File
symbol:
56228
GU.
Applicant:
United
States
Department
of
Agriculture,
Animal
Plant
and
Health
Inspection
Service,
4700
River
Road,
Unit
152,
Riverdale,
MD
20737.
Product
name:
Acetaminophen
For
Brown
Treesnake
Control.
Product
type:
Pesticide.
Active
ingredient:
Contains
72.7%
of
the
new
active
ingredient
acetaminophen.
Proposed
classification/
Use:
For
control
and
reduction
of
brown
treesnake
abundance
on
Guam
and
the
Northern
Mariana
Islands
and
to
protect
against
brown
treesnakes
being
exported
to
Hawaii
or
the
Continental
United
States
as
hitchhikers
in
cargo.
List
of
Subjects
Environmental
protection,
Pesticides
and
pest.
Dated:
November
18,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30122
Filed
11
26
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0310;
FRL
7280
5]
Pesticide
Product;
Registration
Approval
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
Agency
approval
of
an
application
to
register
the
pesticide
product
Bromuconazole
Technical
containing
an
active
ingredient
not
included
in
any
previously
registered
product
pursuant
to
the
provisions
of
section
3(
c)(
5)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended.
FOR
FURTHER
INFORMATION
CONTACT:
Mary
Waller,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9354;
and
e
mail
address:
waller.
mary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0310.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
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| epa | 2024-06-07T20:31:45.313212 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0317-0001/content.txt"
} |
EPA-HQ-OPP-2002-0319-0001 | Proposed Rule | 2002-12-06T05:00:00 | Notice of Filing a Pesticide Petition to Establish a Tolerance for a Certain Pesticide Chemical in
or on Food | 72675
Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0319;
FRL
7281
9]
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0319,
must
be
received
on
or
before
January
6,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Bipin
Gandhi,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
8380;
e
mail
address:
gandhi.
bipin@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
pesticide
manufacturer,
or
antimicrobial
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Industry
(
NAICS
111),
e.
g.,
Crop
Production.
Industry
(
NAICS
112),
e.
g.,
Animal
Production.
Industry
(
NAICS
311),
e.
g.,
Food
manufacturing.
Industry
(
NAICS
32532),
e.
g.,
Pesticide
Manufacturing.
Industry
(
NAICS
32561),
e.
g.,
Antimicrobial
Pesticide.
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0319.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
e
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72676
Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
mail
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0319.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0319.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0319.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
Number
OPP
2002
0319.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
November
20,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petition
The
petitioner
summary
of
the
pesticide
petition
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petition
was
prepared
by
the
petitioner
and
represents
the
view
of
the
petitioner.
The
petition
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
3E6523
EPA
has
received
a
pesticide
petition
(
PP
3E6523)
from
Akzo
Nobel
Industrial
Specialties,
Inc.,
15200
Almeda
Road,
Houston,
TX
77053
proposing,
pursuant
to
section
408(
d)
of
the
FFDCA,
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
180.960
to
establish
an
exemption
from
the
requirement
of
a
tolerance
for
a
Hydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates,
poly(
oxyethylene)
content
is
4
12
moles.
EPA
has
determined
that
the
petition
contains
data
or
information
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/
Friday,
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6,
2002
/
Notices
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
supports
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
A.
Residue
Chemistry
Analytical
method.
Akzo
Nobel
is
petitioning
that
a
hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
be
exempt
from
the
requirement
of
a
tolerance
based
upon
the
definition
of
a
low
risk
polymer
under
40
CFR
723.250(
e).
Therefore,
an
analytical
method
to
determine
residues
of
ahydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
in
raw
agricultural
commodities
(
RACs)
is
not
required.
B.
Toxicological
Profile
As
part
of
the
EPA
policy
statement
on
inert
ingredients,
the
Agency
set
forth
a
list
of
studies
which
would
generally
be
used
to
evaluate
the
risks
posed
by
the
presence
of
an
inert
ingredient
in
a
pesticide
formulation.
However,
where
it
can
be
determined
without
the
data
that
the
inert
ingredient
will
present
minimal
or
no
risk,
the
Agency
generally
does
not
require
some
or
all
of
the
required
studies
to
rule
on
the
proposed
tolerance
or
exemption
from
the
requirement
of
a
tolerance
for
an
inert
ingredient.
Akzo
Nobel
Industrial
Specialties,
Inc.
believes
that
the
data
and
the
information
described
below
are
adequate
to
ascertain
the
toxicology
and
characterize
the
risk
associated
with
the
use
of
a
hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates,
poly(
oxyethylene)
content
is
4
12
moles
which
represent
C8
alkyl
ether
citrate
(
CAS
Registration
Number:
330977
00
9),
C10
C16
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
58
5)
and
C16
C18
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
61
0)
as
inert
ingredients
in
pesticide
formulations.
In
the
case
of
certain
chemical
substances
that
are
defined
as
``
polymers''
the
EPA
has
established
a
set
of
criteria
which
identify
categories
of
polymers
that
present
low
risk.
These
criteria
(
codified
in
40
CFR
723.250)
identify
polymers
that
are
relatively
unreactive
and
stable
compared
to
other
chemical
substances
as
well
as
polymers
that
are
not
readily
absorbed.
These
properties
generally
limit
a
polymer's
ability
to
cause
adverse
effects.
In
addition,
these
criteria
exclude
polymers
about
which
little
is
known.
The
EPA
believes
that
polymers
meeting
the
criteria
noted
below
will
present
minimal
or
no
risk.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates,
poly(
oxyethylene)
content
is
4
12
moles
which
represent
C8
alkyl
ether
citrate
(
CAS
Registration
Number:
330977
00
9),
C10
C16
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
58
5)
and
C16
C18
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
61
0)
conform
to
the
definition
of
a
polymer
given
in
40
CFR
723.250(
b)
and
meet
the
following
criteria
that
are
used
to
identify
low
risk
polymers.
1.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
are
not
cationic
polymers,
nor
are
they
reasonably
anticipated
to
become
cationic
polymers
in
a
natural
aquatic
environment.
2.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
contain
as
an
integral
part
of
their
composition
the
atomic
elements
carbon,
oxygen,
and
hydrogen.
3.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
do
not
contain
as
an
integral
part
of
their
composition
any
elements
other
those
listed
in
40
CFR
723.250(
d)(
2)(
ii).
4.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
are
not
designed,
nor
are
they
reasonably
anticipated
to
substantially
degrade,
decompose,
or
depolymerize.
5.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
are
not
manufactured
or
imported
from
monomers
and/
or
other
reactants
that
are
not
already
included
on
the
Toxic
Substances
Control
Act
(
TSCA)
Chemical
Substance
Inventory
or
manufactured
under
an
applicable
TSCA
section
5
exemption.
6.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
are
not
water
absorbing
polymers.
7.
a
Hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
do
not
contain
any
group
as
reactive
functional
groups.
8.
The
minimum
number
average
molecular
weights
of
polymers
represented
by
a
hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
are
listed
as
shown
below:
C8
alkyl
ether
citrate
(
CAS
Registration
Number:
330977
00
9)
1,300
daltons
C10
C16
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
58
5)
1,100
daltons
C16
C18
alkyl
ether
citrates
(
CAS
Registration
Number:
330985
61
0)
1,300
daltons
Substances
with
molecular
weights
greater
than
400
generally
are
not
absorbed
through
the
intact
skin,
and
substances
with
molecular
weights
greater
than
1,000
generally
are
not
absorbed
through
the
intact
gastrointestinal
(
GI)
tract.
Chemicals
not
absorbed
through
the
skin
or
GI
tract
generally
are
incapable
of
eliciting
a
toxic
response.
9.
The
polymers
represented
by
ahydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
have
numberaverage
molecular
weights
greater
than
1,100
and
contain
less
than
10%
oligomeric
material
below
molecular
weight
of
500
and
less
than
25%
oligomeric
material
below
1,000
molecular
weight.
In
addition,
the
monomers/
reactants
that
are
used
for
the
production
of
polymers
represented
by
a
hydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
have
prior
clearances
by
the
Food
and
Drug
Administration
(
FDA)
under
21
CFR
for
food
contact
applications,
and
by
the
Environmental
Protection
Agency
under
40
CFR
for
use
in
pesticide
formulations
applied
to
raw
agricultural
commodities
(
RAC).
1.
Citric
acid
(
CAS
Registration
Number:
77
92
9)
was
affirmed
by
FDA
as
generally
recognized
as
safe
(
GRAS)
under
21
CFR
184.1033
for
use
in
food
for
human
consumption.
2.
Citric
acid
(
CAS
Registration
Number:
77
92
9)
is
cleared
under
40
CFR
180.1001(
c)
and
(
e)
as
an
inert
ingredient
in
pesticide
formulations
applied
to
RAC.
It
is
included
in
Inerts
List
4A.
3.
Fatty
alcohols
are
widely
present
in
oils,
fats
and
waxes
which
are
used
in
human
food.
Some
waxes
(
bees
wax,
candelilla
wax
and
carnauba
wax)
are
GRAS
substances
(
21
CFR
Part
184).
Bees
wax
and
carnauba
wax
are
in
Inerts
List
4B.
4.
C8
C18
Alcohols
are
List
3
inerts.
Ethoxylated
C10
C16
alcohols
(
CAS
Registration
Number:
68002
97
1)
and
ethoxylated
C16
C18
alcohols
(
CAS
Registration
Number:
68439
49
6)
are
included
in
Inerts
List
3.
Ethoxylated
C9
C16
alcohols
(
CAS
Registration
Number:
97043
91
9)
are
in
Inerts
List
4B.
C.
Aggregate
Exposure
Although
exposure
to
three
polymers
represented
by
a
hydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
may
occur
through
dietary
sources,
the
chemical
characteristics
of
these
polymers
lead
to
the
conclusion
that
there
is
a
reasonable
certainty
of
no
harm
from
aggregate
exposure
to
these
polymers.
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235
/
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December
6,
2002
/
Notices
The
Agency
has
maintained
that
polymers
meeting
the
polymer
exemption
criteria
will
present
minimal
risk
to
human
health
when
used
as
inert
ingredients
in
pesticide
products
applied
to
food
crops.
EPA
has
also
established
exemptions
from
tolerance
for
polymeric
materials
used
as
pesticide
inert
ingredients
that
it
considers
to
be
intrinsically
safe
based
on
the
fact
that
they
are
listed
on
the
TSCA
Inventory
or
meet
the
requirements
of
the
amended
TSCA
polymer
exemption
and
are
thereby
not
subject
to
the
requirements
of
the
premanufacturing
notification.
Any
exposure
resulting
from
the
approval
of
three
polymers
represented
by
a
hydro
hydroxypoly
oxyethylene)
C8
C18
alkyl
ether
citrates
in
pesticide
formulations
for
use
on
growing
crops
or
to
RAC
after
harvest
is
not
warranted.
D.
Cumulative
Effects
At
this
time
there
is
no
information
to
indicate
that
any
toxic
effects
produced
by
three
polymers
represented
by
ahydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
having
a
number
average
molecular
weight
of
at
least
1,100
would
be
cumulative
with
those
of
any
other
chemical
substance(
s).
Given
the
categorization
of
these
polymers
as
a
``
low
risk
polymer''
(
40
CFR
723.250)
and
their
proposed
use
as
inert
ingredients
in
pesticide
formulations,
there
is
no
reasonable
expectation
of
increased
risk
due
to
cumulative
exposure.
E.
Safety
Determination
1.
U.
S.
population.
As
a
matter
of
policy,
EPA
has
in
the
past
established
exemptions
from
tolerance
for
polymeric
substances
used
as
pesticide
inert
ingredients
that
it
considers
to
be
intrinsically
safe
based
on
the
fact
that
they
are
listed
on
the
TSCA
Inventory
or
meet
the
requirements
of
the
amended
TSCA
polymer
exemption
and
are
thereby
not
subject
to
the
requirements
of
premanufacture
notice
(
PMN).
The
Agency
has
maintained
that
polymers
meeting
the
polymer
exemption
criteria
will
present
minimal
risk
to
human
health
when
used
as
inert
ingredients
in
pesticide
formulations.
2.
Infants
and
children.
FFDCA
section
408
provides
that
EPA
shall
supply
an
additional
tenfold
margin
of
safety
for
infants
and
children
in
the
case
of
threshold
effects
where
prenatal
and/
or
postnatal
toxicity
are
found
or
there
is
incompleteness
of
the
database,
unless
EPA
concludes
that
a
different
margin
of
safety
will
be
safe
for
infants
and
children.
Margins
of
safety
are
incorporated
into
EPA
risk
assessments
either
directly
through
the
use
of
margin
of
exposure
(
MOE)
analysis
or
through
using
uncertainty
(
safety)
factors
in
calculating
a
dose
level
that
poses
no
appreciable
risk
to
humans.
Due
to
the
low
expected
toxicity
of
these
three
polymers
represented
by
ahydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates,
a
safety
factor
analysis
is
not
required
for
assessing
the
risk.
For
the
same
reasons
the
additional
safety
factor
is
unnecessary.
F.
International
Tolerances
Akzo
Nobel
Industrial
Specialties,
Inc.
is
not
aware
of
any
country
requiring
a
tolerance
for
the
three
polymers
represented
by
a
hydro
hydroxy
poly(
oxyethylene)
C8
C18
alkyl
ether
citrates
having
a
number
average
molecular
weights
of
at
least
1,100.
Nor
have
there
been
any
CODEX
Maximum
Residue
Levels
(
MRLs)
established
for
any
food
crops
at
this
time.
[
FR
Doc.
02
30946
Filed
12
5
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0211;
FRL
7283
3]
Imazethapyr;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0211,
must
be
received
on
or
before
January
6,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Jim
Tompkins,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5697;
e
mail
address:
tompkins.
jim@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
111)
Animal
production
(
NAICS
112)
Food
manufacturing
(
NAICS
311
Pesticide
manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0211.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
VerDate
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31>
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17:
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05,
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PO
00000
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06DEN1.
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06DEN1
| epa | 2024-06-07T20:31:45.317794 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0319-0001/content.txt"
} |
EPA-HQ-OPP-2002-0320-0001 | Notice | 2002-12-04T05:00:00 | Agency Information Collection Activities; Submission to OMB; Comment Request; EPA ICR No.
0161.09/OMB No. 2070-0027; Foreign Purchaser Acknowledgment Statement of Unregistered
Pesticides | 72164
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
action
it
takes,
i.
e.,
issues,
amends,
or
revokes,
a
State
registration.
The
Agency
has
90
days
to
disapprove
the
registration.
In
such
cases,
the
State
is
responsible
for
notifying
the
affected
registrant.
Burden
Statement:
According
to
the
Paperwork
Reduction
Act
(
PRA),
``
burden''
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
The
Agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to
a
collection
of
information
that
is
subject
to
approval
under
the
PRA,
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
information
collections
appear
on
the
collection
instruments
or
instructions,
in
the
Federal
Register
notices
for
related
rulemakings
and
ICR
notices,
and,
if
the
collection
is
contained
in
a
regulation,
in
a
table
of
OMB
approval
numbers
in
40
CFR
part
9.
The
following
is
a
summary
of
the
burden
estimates
taken
from
the
ICR:
Respondents/
affected
entities:
State
and
territorial
governments
(
the
50
states
plus
Washington,
DC,
Puerto
Rico,
the
U.
S.
Virgin
Islands,
Guam
and
the
islands
of
the
Pacific
Territory,
and
American
Samoa).
Estimated
total
number
of
potential
respondents:
60.
Frequency
of
response:
As
needed.
Estimated
total/
average
number
of
responses
for
each
respondent:
5
6.
Estimated
total
annual
burden
hours:
18,200.
Estimated
total
annual
burden
costs:
$
1,585,150.
Changes
in
the
ICR
Since
the
Last
Approval:
The
Agency
revised
its
burden
estimates
for
both
States
and
applicants
based
on
information
received
during
the
public
comment
period
and
in
consultation
with
respondents.
The
average
applicant
response
burden
decreased
by
29
hours
while
the
average
State
response
burden
increased
by
11.5
hours,
resulting
in
a
net
decrease
in
burden
for
the
activities
associated
with
this
ICR.
EPA
estimates
that
the
overall
respondent
burden
has
decreased
from
24,604
hours
to
18,200
hours,
a
decrease
in
burden
of
6,404
hours.
These
changes
are
described
in
detail
in
the
ICR.
According
to
the
procedures
prescribed
in
5
CFR
1320.12,
EPA
has
submitted
this
ICR
to
OMB
for
review
and
approval.
Any
comments
related
to
the
renewal
of
this
ICR
should
be
submitted
within
30
days
of
this
notice,
as
described
above.
Dated:
November
22,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
30758
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0320;
FRL
7417
6]
Agency
Information
Collection
Activities;
Submission
to
OMB;
Comment
Request;
EPA
ICR
No.
0161.09/
OMB
No.
2070
0027;
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
compliance
with
the
Paperwork
Reduction
Act
(
PRA)
(
44
U.
S.
C.
3501
et
seq.),
this
document
announces
that
the
following
Information
Collection
Request
(
ICR)
has
been
forwarded
to
the
Office
of
Management
and
Budget
(
OMB)
for
review
and
approval:
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides;
OMB
No.
2070
0027;
EPA
No.
0161.09.
The
ICR,
which
is
abstracted
below,
describes
the
nature
of
the
information
collection
activity
and
its
expected
burden
and
costs.
DATES:
Additional
comments
may
be
submitted
on
or
before
January
3,
2003.
ADDRESSES:
Follow
the
detailed
instructions
in
the
SUPPLEMENTARY
INFORMATION
section.
FOR
FURTHER
INFORMATION
CONTACT:
Nancy
Vogel,
Field
and
External
Affairs
Division
(
7506C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
6475;
fax
number:
(
703)
305
5884;
e
mail
address:
vogel.
nancy@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
EPA
has
submitted
the
following
ICR
to
OMB
for
review
and
approval
according
to
the
procedures
prescribed
in
5
CFR
1320.12.
The
Federal
Register
document,
required
under
5
CFR
1320.8(
d),
soliciting
comments
on
this
collection
of
information
was
published
on
December
12,
2001
(
66
FR
64246).
EPA
received
no
comments
on
this
ICR
during
the
60
day
comment
period.
EPA
has
established
a
public
docket
for
this
ICR
under
Docket
ID
No.
OPP
2002
0320
(
formerly
Docket
Control
No.
OPP
00751),
which
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
An
electronic
version
of
the
public
docket
is
available
through
EPA
Dockets
(
EDOCKET)
at
http://
www.
epa.
gov/
edocket.
Use
EDOCKET
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
docket
ID
number
identified
above.
Any
comments
related
to
this
ICR
should
be
submitted
to
EPA
and
OMB
within
30
days
of
this
notice,
and
according
to
the
following
detailed
instructions:
(
1)
Submit
your
comments
to
EPA
online
using
EDOCKET
(
our
preferred
method),
by
e
mail
to
oppdocket
epa.
gov,
or
by
mail
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0320;
and
(
2)
Mail
your
comments
to
OMB
at:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EDOCKET
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
public
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EDOCKET.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Although
identified
as
an
item
in
the
official
docket,
information
claimed
as
CBI,
or
whose
disclosure
is
otherwise
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19:
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04DEN1.
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72165
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
restricted
by
statute,
is
not
included
in
the
official
public
docket,
and
will
not
be
available
for
public
viewing
in
EDOCKET.
For
further
information
about
the
electronic
docket,
see
EPA's
Federal
Register
notice
describing
the
electronic
docket
at
67
FR
38102
(
May
31,
2002),
or
go
to
http;//
www.
epa.
gov./
edocket.
ICR
Title:
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides
(
OMB
NO.
2070
0027;
EPA
No.
0161.09)
ICR
Status:
This
is
a
request
for
extension
of
an
existing
approved
collection
that
is
currently
scheduled
to
expire
on
November
30,
2002.
EPA
is
asking
OMB
to
approve
this
ICR
for
three
years.
Under
5
CFR
1320.12(
b)(
2),
the
Agency
may
continue
to
conduct
or
sponsor
the
collection
of
information
while
the
submission
is
pending
at
OMB.
Abstract:
This
information
collection
program
is
designed
to
enable
the
Environmental
Protection
Agency
(
EPA)
to
provide
notice
to
foreign
purchasers
of
unregistered
pesticides
exported
from
the
United
States
that
the
pesticide
product
cannot
be
sold
in
the
United
States.
Section
17(
a)(
2)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
requires
an
exporter
of
any
pesticide
not
registered
under
FIFRA
section
3
or
sold
under
FIFRA
section
6(
a)(
1)
to
obtain
a
signed
statement
from
the
foreign
purchaser
acknowledging
that
the
purchaser
is
aware
that
the
pesticide
is
not
registered
for
use
in,
and
cannot
be
sold
in,
the
United
States.
A
copy
of
this
statement
must
be
transmitted
to
an
appropriate
official
of
the
government
in
the
importing
country.
The
purpose
of
the
purchaser
acknowledgment
statement
requirement
is
to
notify
the
government
of
the
importing
country
that
a
pesticide
judged
hazardous
to
human
health
or
the
environment,
or
for
which
no
such
hazard
assessment
has
been
made,
will
be
imported
into
that
country.
This
information
is
submitted
in
the
form
of
annual
or
per
shipment
statements
to
the
EPA,
which
maintains
original
records
and
transmits
copies
thereof
to
appropriate
government
officials
of
the
countries
which
are
importing
the
pesticide.
Burden
Statement:
The
annual
``
respondent''
burden
for
this
ICR
is
estimated
to
be
24,753
hours.
According
to
the
Paperwork
Reduction
Act
(
PRA),
``
burden''
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
The
Agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to
a
collection
of
information
that
is
subject
to
approval
under
the
PRA,
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
information
collections
appear
on
the
collection
instruments
or
instructions,
in
the
Federal
Register
notices
for
related
rulemakings
and
ICR
notices,
and,
if
the
collection
is
contained
in
a
regulation,
in
a
table
of
OMB
approval
numbers
in
40
CFR
part
9.
The
following
is
a
summary
of
the
burden
estimates
taken
from
the
ICR:
Respondents/
affected
entities:
Individuals
or
entities
engaged
in
activities
related
to
the
registration
of
a
pesticide
product.
Estimated
total
number
of
potential
respondents:
2,500.
Frequency
of
response:
Annual
or
pershipment
Estimated
total/
average
number
of
responses
for
each
respondent:
1.
Estimated
total
annual
burden
hours:
24,753.
Estimated
total
annual
burden
costs:
$
1,902,400.
According
to
the
procedures
prescribed
in
5
CFR
1320.12,
EPA
has
submitted
this
ICR
to
OMB
for
review
and
approval.
Any
comments
related
to
the
renewal
of
this
ICR
should
be
submitted
within
30
days
of
this
notice,
as
described
above.
Dated:
November
22,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
30759
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
FRL
7417
5]
Agency
Information
Collection
Activities:
Submission
for
OMB
Review;
Comment
Request;
NSPS
for
Beverage
Can
Surface
Coating
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
compliance
with
the
Paperwork
Reduction
Act
(
44
U.
S.
C.
3501
et
seq.),
this
document
announces
that
the
following
Information
Collection
Request
(
ICR)
has
been
forwarded
to
the
Office
of
Management
and
Budget
(
OMB)
for
review
and
approval:
Title:
NSPS
for
Beverage
Can
Surface
Coating
40
CFR
part
60,
subpart
WW,
OMB
Control
Number
2060
0001,
expiration
date
January
31,
2003.
The
ICR
describes
the
nature
of
the
information
collection
and
its
expected
burden
and
cost;
where
appropriate,
it
includes
the
actual
data
collection
instrument.
DATES:
Comments
must
be
submitted
on
or
before
January
3,
2003.
ADDRESSES:
Send
comments,
referencing
EPA
ICR
Number
0663.08
and
OMB
Control
Number
2060
0001,
to
the
following
addresses:
Susan
Auby,
United
States
Environmental
Protection
Agency,
Collection
Strategies
Division
(
Mail
Code
2822T),
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460
0001;
and
to
the
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
FOR
FURTHER
INFORMATION
CONTACT:
For
a
copy
of
the
ICR,
contact
Susan
Auby
at
(
202)
566
1672
or
by
e
mail
to
auby.
susan@
epa.
gov
or
download
from
the
Internet
at:
http://
www.
epa.
gov/
icr,
and
refer
to
EPA
ICR
Number
0663.08.
For
technical
questions
about
the
ICR,
contact
Steven
Hoover
at
(
202)
564
7007,
or
by
e
mail
to:
hoover.
steven@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
Title:
NSPS
for
Beverage
Can
Surface
Coating
40
CFR
part
60,
subpart
WW,
OMB
Control
Number
2060
0001,
EPA
ICR
Number
0663.08,
expiration
date
January
31,
2003.
This
is
a
request
for
extension
of
a
currently
approved
collection.
Abstract:
The
New
Source
Performance
Standards
(
NSPS)
for
Surface
Coating
of
Beverage
Cans
were
proposed
on
November
26,
1980,
and
promulgated
on
August
25,
1983.
These
standards
apply
to
each
beverage
can
surface
coating
operation
in
which
organic
coatings
are
applied
(
exterior
base
coat
operations,
over
varnish
coating
operations,
and
inside
spray
coating
operations)
that
commenced
construction,
modification
or
reconstruction
after
November
26,
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to
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and
it
is
estimated
that
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per
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04DEN1
| epa | 2024-06-07T20:31:45.321588 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0320-0001/content.txt"
} |
EPA-HQ-OPP-2002-0320-0002 | Supporting & Related Material | 2002-11-06T05:00:00 | null | November
14,
2002
Page
1
of
17
SUPPORTING
STATEMENT
FOR
AN
INFORMATION
COLLECTION
REQUEST
(
ICR)
1.
IDENTIFICATION
OF
THE
INFORMATION
COLLECTION
1(
a)
Title
of
the
Information
Collection
TITLE:
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides
OMB
No.
2070
0027
EPA
No.
0161.09
1(
b)
Short
Characterization/
Abstract
This
information
collection
program
is
designed
to
enable
the
Environmental
Protection
Agency
(
EPA)
to
provide
notice
to
foreign
purchasers
of
unregistered
pesticides
exported
from
the
United
States
that
the
pesticide
product
cannot
be
sold
in
the
United
States.
Section
17(
a)(
2)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
requires
an
exporter
of
any
pesticide
not
registered
under
FIFRA
section
3
or
sold
under
FIFRA
section
6(
a)(
1)
to
obtain
a
signed
statement
from
the
foreign
purchaser
acknowledging
that
the
purchaser
is
aware
that
the
pesticide
is
not
registered
for
use
in,
and
cannot
be
sold
in,
the
United
States.
A
copy
of
this
statement
must
be
transmitted
to
an
appropriate
official
of
the
government
in
the
importing
country.
The
purpose
of
the
purchaser
acknowledgment
statement
requirement
is
to
notify
the
government
of
the
importing
country
that
a
pesticide
judged
hazardous
to
human
health
or
the
environment,
or
for
which
no
such
hazard
assessment
has
been
made,
will
be
imported
into
that
country.
This
information
is
submitted
in
the
form
of
annual
or
per
shipment
statements
to
the
EPA,
which
maintains
original
records
and
transmits
copies
thereof
to
appropriate
government
officials
of
the
countries
which
are
importing
the
pesticide.
The
burden
for
this
information
collection
has
been
constant
since
the
implementation
of
the
1993
pesticide
export
policy
governing
the
export
of
pesticides,
devices,
and
active
ingredients
used
in
producing
pesticides.
EPA
is
including
in
this
renewal
of
the
information
collection
request
an
estimate
of
the
burden
imposed
by
export
labeling
requirements,
which
meet
the
definition
of
third
party
labeling.
2.
NEED
FOR
AND
USE
OF
THE
COLLECTION
2(
a)
Need/
Authority
for
the
Collection
This
information
is
required
to
be
submitted
to
EPA
pursuant
to
section
17(
a)(
2)
of
FIFRA.
Regulations
pertaining
to
exporting
pesticides
are
contained
in
Title
40
of
the
Code
of
Federal
Regulations,
Part
168,
Subpart
D.
November
14,
2002
Page
2
of
17
2(
b)
Practical
Utility/
Users
of
the
Data
Section
17(
a)(
2)
of
FIFRA
requires
all
exporters
of
unregistered
pesticides
to
obtain
signed
statements
from
their
customers
acknowledging
that
they
are
aware
that
their
purchased
products
are
not
registered
in
the
United
States.
Hence,
one
use
of
this
collection
activity
is
in
assuring
that
foreign
purchasers
of
pesticides
produced
in
the
U.
S.
are
aware
of
the
products'
U.
S.
registration
status.
When
such
statements
are
submitted
to
EPA,
the
Agency
is
provided
with
a
record
of
foreign
destinations
of
domestically
produced
unregistered
products.
This
is
important
to
enable
the
Agency
to
assure
that
such
products,
which
are
produced
in
the
U.
S.
but
cannot
be
legally
sold
for
use
in
the
U.
S.,
have
been
legally
distributed.
In
addition,
such
statements
are
required
by
statute
to
be
directed
onward
to
the
appropriate
government
officials
in
importing
countries.
These
officials
may
use
such
documents
to
verify
the
U.
S.
registration
status
of
products
which
are
arriving
or
have
arrived
in
their
country.
Officials
of
foreign
governments
can
also
use
this
information
to
verify
how
many
shipments
of
a
particular
pesticide
are
being
sent
to
their
country.
This
information
is
extremely
useful
in
countries
which
do
not
have
the
resources
to
maintain
extensive
import
records
or
control
systems.
3.
NON
DUPLICATION,
CONSULTATIONS,
AND
OTHER
COLLECTION
CRITERIA
3(
a)
Non
duplication
The
submission
of
purchaser
acknowledgment
statements
is
a
statutory
provision
which
must
be
met
before
unregistered
pesticides
may
be
exported.
This
information
is
in
turn
required
by
statute
to
be
sent
to
the
governments
of
importing
countries.
With
the
current
system,
EPA
recognizes
that
repeated
submissions
of
purchaser
acknowledgment
statements
involving
the
same
country,
purchase,
and
chemical
would
be
duplicative,
except
in
regards
to
identifying
the
number
of
shipments
to
which
they
apply.
For
this
reason,
EPA
only
requires
this
statement
to
be
submitted
once
per
year
and
that
the
exporter
provides
summary
information
indicating
the
number
of
shipments
which
apply
to
each
submitted
statement.
This
eliminates
the
redundancy
that
would
be
associated
with
the
submission
of
identical
acknowledgment
statements,
while
still
providing
EPA
and
foreign
governments
with
full
information
regarding
the
number
of
shipments
in
the
calendar
year.
November
14,
2002
Page
3
of
17
3(
b)
Public
Notice
Required
Prior
to
ICR
Submission
to
OMB
In
proposing
to
renew
this
ICR,
EPA
published
a
Federal
Register
Notice
that
provided
a
60
day
public
notice
and
comment
period
that
ended
on
February
11,
2002
(
see
Attachment
).
No
comments
were
received
in
response
to
that
notice.
3(
c)
Consultations
EPA
consulted
with
several
stakeholders
in
developing
the
burden
estimates
for
this
ICR
renewal,
including:
Jose
Lopez,
Marketing
Arm
International
Inc.
941
743
5533
David
Edison,
Environmental
Safety
Products
541
332
8202
Richard
Costlow,
Rohm
&
Haas
Co.
215
641
7331
All
stakeholders
contacted
believed
that
the
estimates
in
the
ICR
were
reasonable
and
in
line
with
actual
costs.
David
Edison
of
Environmental
Safety
Products
noted
that
while
complying
with
FIFRA
17(
a)
generally
takes
little
time,
follow
up,
involving
resubmitting
the
forms
and
answering
questions
from
foreign
purchasers,
can
be
time
consuming.
Richard
Costlow
of
Rohm
&
Haas
added
that
complying
with
the
multilingual
labeling
requirements
can
be
more
time
consuming
and
costly
when
the
foreign
purchaser
is
in
an
Asian
or
Arabic
speaking
country.
3(
d)
Effects
of
Less
Frequent
Collection
By
offering
the
compliance
option
of
annual
reporting,
EPA
is
offering
a
less
frequent
information
collection
to
reduce
the
burden
of
per
shipment
reporting.
Further
reduction,
i.
e.,
to
a
one
time
submission
for
the
life
of
the
product
or
otherwise
to
a
frequency
of
less
than
once
a
year
would
damage
the
correlation
of
statements
with
the
actual
regulatory
status
of
pesticide
products,
which
may
change
from
year
to
year.
Unless
statements
are
renewed
on
an
annual
basis,
it
becomes
difficult
for
the
purchaser
to
know
whether
the
regulatory
status
of
the
product
has
changed
from
the
previous
year,
or
for
foreign
governments
to
determine
whether
or
not
the
regulatory
status
reflected
in
the
most
current
statement
reflects
the
actual
regulatory
status
of
the
product.
The
annual
summaries
provide
EPA
with
the
ability
to
monitor
compliance
with
the
requirements
of
section
17(
a).
Currently,
such
records
need
be
kept
for
only
two
years.
Since
the
summaries
are
submitted
at
the
end
of
an
applicable
year,
less
frequent
submissions
would
occasionally
result
in
the
necessary
records
not
being
available
to
validate
submissions.
November
14,
2002
Page
4
of
17
3(
e)
General
Guidelines
The
following
areas
are
not
applicable
to
this
information
request:
reports
of
quarterly
or
greater
frequency.
records
required
to
be
maintained
for
more
than
three
years.
statistical
surveys.
written
responses
to
this
information
collection
required
less
than
30
days
after
receipt.
required
specific
format
(
NB:
the
new
system
may
include
a
specific
format).
submission
of
more
than
an
original
and
two
copies
of
the
information
collected.
remuneration
to
be
received
by
the
respondents
for
the
information
submission.
OMB's
regulations
require
agencies
to
provide
a
statement
indicating
whether
the
proposed
collection
of
information
involves
the
use
of
automated,
electronic,
mechanical,
or
other
technological
collection
techniques
or
other
forms
of
information
technology,
e.
g.,
permitting
electronic
submission
of
responses,
and
an
explanation
of
the
decision
(
5
CFR
1320.5(
a)(
iii)(
E)).
No
automated
techniques
for
information
submission
are
available
which
are
suitable
to
this
information
collection.
But
during
the
implementation
of
the
new
requirements
under
the
Rotterdam
Convention
on
the
Prior
Informed
Consent
(
PIC)
Procedure
for
Certain
Hazardous
Chemicals
and
Pesticides
in
International
Trade
(
see
discussion
in
section
6(
d),
below),
electronic
submission
and
transmission
will
be
examined.
The
submissions
must
be
made
in
a
form
which
can
be
sent
to
and
subsequently
read
and
understood
by
appropriate
officials
of
foreign
governments.
3(
f)
Confidentiality
Although
the
EPA
urges
submitters
to
minimize
the
amount
of
claimed
Confidential
Business
Information
(
CBI),
all
data
and/
or
information
brought
to
the
Agency
in
conjunction
with
this
rule
that
may
be
claimed
as
trade
secret,
commercial
or
financial
information
will
be
protected
from
disclosure
by
EPA
under
FIFRA
section
10
and
the
associated
regulation
as
contained
in
40
CFR
Part
2,
Subpart
B.
Confidential
business
information
may
be
required
to
be
submitted
in
the
case
where
a
business
wishes
to
export
an
unregistered
research
pesticide
product.
EPA
recognizes
that
the
chemical
identity
of
the
product
may
require
protection
as
confidential
business
information,
but
believes
that
it
is
essential
that
the
Agency
nevertheless
be
able
to
accurately
identify
the
nature
of
the
product,
both
for
domestic
compliance
monitoring
and
to
meet
possible
future
requirements
under
the
PIC
agreement.
The
name
of
the
foreign
purchaser
is
generally
afforded
CBI
treatment
in
the
U.
S.,
but,
according
to
statute,
must
be
reported
to
the
government
of
the
importing
country.
EPA
is
aware
that
foreign
governments
consider
the
name
of
the
purchaser
in
their
country
to
be
the
most
useful
information
transmitted
with
the
export
notice.
Aside
from
the
name
and
address
of
the
foreign
purchaser,
no
information
required
to
be
November
14,
2002
Page
5
of
17
submitted
in
purchaser
acknowledgment
statements
is
considered
to
be
confidential.
EPA
has
specifically
stated
that
certain
information
which
could
be
considered
confidential
is
not
included
in
the
statements.
Specifically,
the
identity
of
a
product
under
research
and
development
may
be
identified
by
use
of
identification
codes
which
protect
proprietary
information.
(
However,
most
research
and
development
shipments
are
exempt
from
the
requirement.)
EPA
also
is
not
requiring
that
the
acknowledgment
statements,
the
estimates,
or
the
annual
summaries
indicate
the
amount
of
product
shipped
or
to
be
shipped,
since
this
information
may
be
confidential.
The
actual
fact
that
shipments
occur
is
not
considered
to
be
confidential
since
the
statute
clearly
requires
that
such
submission
be
made
to
EPA,
and
that
such
statements
be
transmitted
to
foreign
governments,
where
it
is
not
possible
for
EPA
to
protect
confidentiality.
3(
g)
Sensitive
Questions
No
information
of
a
sensitive
nature
is
required
to
be
submitted.
4.
THE
RESPONDENTS
AND
THE
INFORMATION
REQUESTED
4(
a)
Respondents
NAICS
Codes
Respondents
affected
by
the
collection
activities
under
this
ICR
are
individuals
or
entities
who
either
manufacture
and
export
or
who
reformulate
or
repackage
and
export
unregistered
pesticides.
The
North
American
Industrial
Classification
System
(
NAICS)
code
assigned
to
the
parties
responding
to
this
information
is
as
follows:
Category
NAICS
code
Examples
of
potentially
affected
entities
Pesticide
and
other
agricultural
chemical
manufacturing
325320
Individuals
or
entities
engaged
in
activities
related
to
the
registration
of
a
pesticide
product.
4(
b)
Information
Requested
There
are
no
forms
for
this
activity.
In
preparing
the
statement,
the
exporter
is
free
to
format
the
document
in
any
manner
as
long
as
it
includes
all
of
the
required
information.
The
exporter
must
obtain
the
signed
statement
from
the
foreign
purchaser
before
the
pesticide
can
be
shipped.
i.
Data
items,
including
record
keeping
requirements:
Foreign
Purchaser
Acknowledgment
Statement
(
FPAS)
The
respondent
must
ascertain
the
November
14,
2002
Page
6
of
17
registration
status
of
the
product
that
is
being
produced
for
export.
After
determining
that
an
exported
product
is
not
registered
in
the
Untied
States,
the
exporter
must
obtain
a
statement
of
the
type
described
in
item
3(
b)(
i)
from
the
foreign
purchaser
of
the
pesticide
product.
This
will
normally
require
that
the
exporter
provide
the
purchaser
with
a
prepared
statement
for
signature
or
with
instructions
that
are
adequate
to
ensure
that
the
purchaser
can
prepare
the
statement.
If
the
exporter
anticipates
making
more
than
one
shipment
of
the
product
to
the
purchaser
in
a
given
year,
the
exporter
may
elect
to
notify
EPA
only
at
the
time
of
the
first
shipment
and
to
choose
to
comply
with
the
annual
reporting
option,
which
requires
the
submission
of
an
annual
summary
of
shipments
of
pesticides
shipped
to
each
purchaser.
The
exporter
is
required
to
send
a
copy
of
the
purchaser
acknowledgment
statement
to
EPA
within
7
days
of
having
shipped
the
pesticide,
along
with
a
signed
statement
that
the
shipment
did
not
occur
prior
to
receipt
of
the
purchaser
acknowledgment
statement.
In
addition,
if
the
exporter
chooses
the
annual
reporting
option,
he
or
she
must
include
a
statement
that
the
FPAS
is
for
the
first
shipment
of
a
pesticide
to
a
particular
purchaser
in
a
specific
country,
and
that
the
exporter
will
report
this
information
annually.
Where
an
exporter
chooses
to
comply
with
the
annual
summary
reporting
option,
a
summary
must
be
sent
after
the
end
or
the
calendar
year
which
lists
all
shipments
of
a
particular
pesticide
shipped
to
a
particular
foreign
purchaser.
It
is
not
required
for
the
statement
to
be
shipped
in
time
for
EPA
to
notify
the
importing
country
prior
to
arrival
of
the
pesticide.
Submission
of
a
purchaser
acknowledgment
statement
does
not
require
the
maintenance
of
any
records
unique
to
this
section.
All
records
needed
to
ensure
and
verify
compliance
with
this
requirement
are
required
under
section
8
of
FIFRA.
The
FPAS
must
contain
the
following
information:
Name
and
address
of
exporter.
Name
and
address
of
foreign
purchaser.
Name
of
product
and
active
ingredient.
Statement
that
foreign
purchaser
is
aware
that
the
product
is
not
registered
for
use
in
the
United
States
and
cannot
be
sold
for
use
in
the
United
States.
If
known,
country
of
final
destination
of
the
exported
shipment
if
different
from
country
of
import.
Signature
of
foreign
purchaser.
Date
that
purchaser
acknowledgment
statement
is
signed
by
foreign
purchaser.
Certification
that
shipment
did
not
occur
prior
to
receipt
of
Purchaser
Acknowledgment
Statement
Exporter's
signature.
Third
Party
Notification
Requirements;
Export
Labeling
The
following
information
must
be
November
14,
2002
Page
7
of
17
included
on
the
labels
or
labeling
of
exported
pesticides:
EPA
pesticide
producing
establishment
number.
Warning
or
caution
statements.
The
statement
"
Not
Registered
for
Use
in
the
United
States
of
America."
The
labels
of
all
pesticides,
devices,
and
active
ingredients
which
are
not
registered
for
use
in
the
United
States
under
FIFRA
section
3
must
include
this
statement.
The
ingredient
statement.
Identity
of
parties.
Weight
or
measure.
Additional
warning
for
highly
toxic
pesticides.
Use
classification
statement.
Multilingual
labeling
requirement
The
following
labeling
information
must
be
multilingual:
Warning
and
caution
statements.
Where
applicable,
the
statement
"
Not
registered
for
use
in
the
United
States
of
America."
Ingredient
statement
If
the
pesticide,
device
or
active
ingredient
is
highly
toxic
to
humans,
the
skull
and
crossbones,
the
word
"
Poison,"
and
a
statement
of
practical
treatment
must
appear
on
the
label.
The
word
"
Poison"
and
the
statement
of
practical
treatment
shall
be
in
English
and
in
an
acceptable
language
of
the
country
of
import,
and
in
an
acceptable
language
in
the
country
of
final
destination,
if
known
or
reasonably
ascertainable.
(
ii)
Respondent
Activities
A)
Submission
of
Foreign
Purchaser
Acknowledgment
Statement
B)
Exemption
of
research
and
development
pesticides.
Records
supporting
research
and
development
status
must
include
records
of
communication
received
by
exporter
regarding
research
intent
of
shipment
and
information
indicating
knowledge
that
quantity
shipped
is
consistent
with
research
intent.
Persons
claiming
an
exemption
from
the
FPAS
requirement
for
the
export
of
research
and
development
products
must
maintain
records
which
support
the
R&
D
claim
for
each
shipment
so
claimed.
In
its
policy,
EPA
has
limited
research
claims
only
to
shipments
where
it
is
unlikely
that
the
quantity
shipped
could
have
a
significant
commercial
use.
Thus
the
records
must
be
sufficient
to
support
the
claim
that
the
quantity
shipped
is
only
sufficient
for
use
within
the
limits
of
the
policy.
This
can
be
done
either
in
the
form
of
communications
received
from
the
purchaser
before
or
on
the
date
of
export
or
in
the
form
of
instructions
sent
to
the
purchaser
before
or
on
the
date
of
export.
November
14,
2002
Page
8
of
17
Alternatively,
the
exporter
may
retain
records
which
indicate
that
the
quantity
shipped
is
compatible
with
the
claim
that
the
amount
sent
is
not
enough
to
be
used
in
applications
exceeding
those
provided
as
exempt
under
the
policy.
Such
information
could
include
results
of
test,
citations
of
literature,
or
other
information
which
supports
the
claim.
At
the
time
of
shipment,
the
exporter
must
produce
a
record
of
the
identity,
amount,
and
date
that
the
pesticide
was
shipped,
the
destination
and
purchaser,
and
the
intended
research
use.
Most
of
this
information
is
provided
in
copies
of
or
original
invoice/
shipping
records
normally
maintained
for
such
products.
Note
that
records
of
shipment
of
pesticides
are
already
required
to
be
maintained
under
FIFRA
section
8.
Other
documentation
supporting
research
use
is
generally
available
as
typical
business
practice
and
should
not
impose
additional
burden
to
maintain
with
shipping
records.
Records
of
shipment
and
confirmation
of
research
intent
must
be
maintained
and
made
available
for
inspection
and
copying
by
EPA
for
two
years
following
the
exportation
of
the
pesticide.
C)
Export
labeling
Every
exported
pesticide,
device,
and
active
ingredient
used
in
producing
a
pesticide
must
bear
a
label
or
labeling
which
meets
the
requirements
of
FIFRA
section
17(
a)(
1).
This
requirement
applies
to
all
such
pesticides,
devices,
or
active
ingredients,
regardless
of
whether
the
export
is
for
commercial
or
research
and
development
use.
The
specific
requirements
for
the
labeling
of
exported
pesticides
are
described
in
section
4(
b)
of
this
paper.
The
required
label
statements
may
be
met
through
either
immediate
container
labels,
or
accompanying
supplemental
labeling,
or
through
a
combination
of
the
two.
EPA
included
supplemental
labeling
as
an
option
to
ease
the
compliance
burden
of
this
requirement.
Rather
than
prepare
individual
product
labels
with
the
necessary
information,
the
exporter
can
attach
a
paper
to
the
shipping
container,
e.
g.,
attaching
a
paper
to
the
shrink
wrap
around
multiple
containers
on
a
shipping
pallet.
Exporters
are
also
required
to
keep
records
of
the
product
labeling
used,
including
the
EPA
registered
labeling,
any
foreign
labeling
on
or
attached
to
the
product
when
shipped,
and
as
applicable,
any
supplemental
labeling
used.
The
records
shall
be
maintained
in
a
manner
that
shows
exactly
which
labels
and
labeling
accompanied
each
shipment
of
a
pesticide
product
to
a
foreign
country.
5.
THE
INFORMATION
COLLECTED
AGENCY
ACTIVITIES,
COLLECTION
METHODOLOGY,
AND
INFORMATION
MANAGEMENT
5(
a)
Agency
Activities
EPA
is
required
to
perform
the
following
activities:
November
14,
2002
Page
9
of
17
Respond
to
questions
submitted
by
respondents
Receive
submissions
of
acknowledgment
statements,
certification
statements,
notifications
of
shipments
and
summaries
of
shipments
Review
submissions
for
completeness
Transmit
submissions
of
acknowledgment
statements,
notifications
and
summaries
of
shipments
to
appropriate
government
officials
of
importing
countries
Maintain
a
file
of
all
submissions
Respond
to
requests
for
the
information
5(
b)
Collection
Methodology
and
Management
EPA
maintains
a
file
of
all
submitted
acknowledgment
statements.
This
file
includes
the
following
for
each
submitted
statement:
(
1)
a
copy
of
the
purchaser
acknowledgment
statement
and
certification
that
shipment
did
not
occur
before
receipt
of
statement
by
exporter;
(
2)
a
copy
of
the
delivery
receipt
and
the
date
that
the
statement
was
signed
and
delivered
to
EPA;
(
3)
the
date
that
the
statement
was
forwarded
to
the
appropriate
government
official
and
agency
of
the
importing
country;
and
(
4)
a
copy
of
the
estimate
summary
of
the
number
of
shipments
to
be
made
in
association
with
that
statement.
EPA
reviews
its
files
annually
for
completeness,
following
the
submission
of
annual
summaries
of
shipments,
by
referencing
establishment
reporting
records
for
apparent
discrepancies.
EPA
targets
inspections
based
on
such
apparent
discrepancies
to
determine
whether
a
violation
under
FIFRA
has
occurred.
5(
c)
Small
Entity
Flexibility
Under
this
reporting
requirement,
small
entities
must
follow
the
same
collection
procedures
as
large
companies.
However,
EPA
provides
flexibility
in
the
formatting
of
submissions
which
will
reduce
the
proportionately
higher
burden
which
would
be
placed
on
occasional
submitters
by
strict
requirements.
In
addition,
the
Agency
allows
respondents
to
determine
the
method
of
obtaining
the
purchaser
acknowledgment
statement.
Finally,
respondents
are
allowed
flexibility
in
choosing
between
annual
estimates
and
summaries
or
pershipment
statements.
5(
d)
Collection
Schedule
Not
applicable.
The
activity
is
conducted
only
as
purchaser
acknowledgment
statements
are
received.
There
is
no
set
schedule
for
the
collection
of
this
information.
6.
ESTIMATING
THE
BURDEN
AND
COST
OF
THE
COLLECTION
6(
a)
Estimating
Respondent
Burden
November
14,
2002
Page
10
of
17
The
overall
respondent
burden
hours
associated
with
this
collection
total
24,753
hours
per
year.
The
average
number
of
respondents
per
calendar
year
over
the
past
three
years
has
remained
constant
at
2,500.
No
changes
have
been
made
to
requirements
for
foreign
purchaser
acknowledgments.
The
requirements
to
be
fulfilled
under
this
ICR
consist
of
two
parts:
submission
of
the
Foreign
Purchaser
Acknowledgment
Statements
(
FPAS);
and
the
third
party
notification
export
labeling
requirement.
The
third
party
labeling
requirement
is
further
subdivided
into
labeling
requirements
for
unregistered
exported
pesticide
products
and
multilingual
labeling
for
registered
exported
pesticide
products.
Estimating
the
Respondent
Burden
of
the
FPAS
Requirement
This
ICR
renewal
includes
a
respondent
burden
estimate
of
2,650
hours
for
the
FPAS
requirement.
This
figure
is
based
on
the
approximately
2,500
notices
received
annually
pursuant
to
the
export
policy.
Table
1
presents
the
expected
labor
mix
required
and
a
breakdown
of
the
FPAS
collection
activities
per
respondent.
Annual
Respondent
Burden/
Cost:
Submission
of
Foreign
Purchaser
Acknowledgment
Statement
Collection
Activity
Burden
Hours
Total
Mgmt
$
123/
hr
Tech
$
83/
hr
Cler
$
38/
hr
Hours
Cost
($)
Read
Regulations
0.08
0.08
9.84
Plan
Activities
0.08
0.08
6.64
Gather
Information
0.08
0.08
6.64
Process,
compile
and
reveal
information
0.16
0.16
13.28
Complete
paperwork
0.25
0.25
0.50
30.25
Record,
disclose
&
display
information
0.08
0.08
3.04
November
14,
2002
Page
11
of
17
Store,
maintain
and
file
information
0.08
0.08
3.04
TOTAL
0.08
0.57
0.41
1.06
72.73
ANNUAL
BURDEN:
1.06
hrs
(
64
minutes)
X
2,500
respondents
=
2,650
hours
per
year
ANNUAL
COSTS:
$
72.73
X
2,500
respondents
=
$
181,825
per
year
The
clarifications
regarding
record
keeping
to
ensure
compliance
will
not
result
in
additional
burden
since
all
such
records
are
either
already
required
to
be
kept
under
FIFRA
Section
8
or
are
maintained
in
the
normal
course
of
business.
Exporters
who
feel
that
pershipment
submissions
represent
undue
burden
may
choose
to
report
annually.
The
per
shipment
notification
and
annual
summary
requirements
of
this
option
are
based
on
records
of
production
and
shipment
records
already
required
by
regulations
under
FIFRA
Section
8,
so
such
information
will
be
readily
available
to
exporters,
who
may
submit
it
without
reformatting
or
special
preparation.
These
annual
submissions
may
be
included
as
part
of
the
annual
submission
of
acknowledgment
statements
and
thus
would
result
in
minimal
burden.
Estimating
the
Respondent
Burden
of
the
Third
Party
Notification
Export
Labeling
Requirement
It
is
estimated
that
one
quarter
of
the
pesticides
exported
from
the
U.
S.
are
not
registered
for
use
in
the
United
States.
Approximately
900
unregistered
pesticide
products
are
exported
annually.
To
estimate
the
total
number
of
registered
pesticides
exported
from
the
U.
S.
annually,
EPA
multiplied
by
four
the
number
of
unregistered
pesticide
products.
Multiplying
this
by
four
gives
an
estimated
total
of
3,600
pesticide
products(
registered
and
unregistered)
exported
annually.
As
discussed
above
in
section
4(
b),
certain
information
must
be
included
on
the
labels
or
labeling
of
exported
pesticides.
The
labeling
requirements
may
be
met
by
supplemental
labeling
attached
to
either
the
product
container
or
the
shipping
container.
November
14,
2002
Page
12
of
17
Annual
Respondent
Burden/
Cost:
Labeling
Requirement
for
Unregistered
Exported
Pesticide
Products
Collection
Activity
Burden
Hours
Total
Mgmt
$
123
Tech
$
83
Cler
$
38
Hours
Costs
($)
Read
Regulations
0.5
0.5
61.5
Design
Labels
2.0
2
166.0
Translate
Labels
5.0
5
415.0
Complete
Paperwork
and
Store
Information
0.5
0.5
19.0
TOTAL
0.5
7.0
0.5
8.0
661.5
ANNUAL
BURDEN:
8
hours
x
900
unregistered
products
=
7,200
hours
ANNUAL
COSTS:
$
661.5
x
900
unregistered
products
=
$
595,350.
Certain
information
must
be
provided
in
the
languages
of
the
country
or
countries
of
final
destination.
EPA
estimates
that
it
will
take
respondents
approximately
5.5
hours
to
meet
the
multilingual
labeling
requirement
for
each
product.
EPA
estimates
that
to
prepare
one
label
in
one
language
would
take
approximately
one
hour.
In
reviewing
the
major
destinations
of
export
shipments,
EPA
estimates
that
most
labels
would
be
in
one
or
more
of
the
following
languages:
French,
Spanish,
German,
Taiwanese,
and
Portuguese.
November
14,
2002
Page
13
of
17
Multilingual
Labeling
for
Registered
Exported
Pesticide
Products
Collection
Activity
Burden
Hours
Total
Mgmt
$
123
Tech
$
83
Cler
$
38
Hours
Costs
($)
Translate
Label
5
5
415
Complete
Paperwork
and
Store
Information
0.5
0.5
19
TOTAL
0
5
0.5
5.5
434
ANNUAL
BURDEN:
5.5
hours
x
2700
exported
registered
products
=
14,850
hours
ANNUAL
COSTS:
$
434
x
2700
exported
registered
products
=
$
1,171,800
6(
b)
Estimating
Respondent
Cost
The
total
annual
respondent
cost
for
this
ICR
is
estimated
to
be
$
1,948,975,
broken
down
as
follows:
Foreign
purchaser
acknowledgment
statement
$
181,825
Labeling/
unregistered
pesticides
$
595,350
Labeling/
registered
pesticides
$
1,171,800
TOTAL
$
1,948,975
EPA
estimated
the
respondent
burden
cost
based
on
the
estimated
hourly
loaded
labor
rate
(
including
salary
and
overhead
expenses)
of
$
123
for
management,
$
83
for
technical
personnel,
and
$
38
for
clerical
staff.
These
labor
rates
are
based
on
information
taken
from
the
Bureau
of
Labor
Statistics,
and
match
the
labor
rates
used
in
other
pesticide
program
related
ICRs
that
were
recently
submitted
to
OMB.
6(
c)
Estimating
Agency
Burden
and
Cost
Agency
costs
for
this
information
collection
activity
are
minimal,
and
include
only
the
November
14,
2002
Page
14
of
17
record
keeping
associated
with
the
receipt
of
the
acknowledgment
statements
and
costs
associated
with
the
transmittal
of
acknowledgment
statements
to
the
appropriate
government
official
in
the
importing
country.
EPA
estimates
such
costs
at
a
GS
13
gross
salary
level
(
including
benefits)
for
.583
hours
(
35
minutes)
per
statement.
This
estimate
presumes
that
all
relevant
tasks
are
performed
at
a
GS
13
level,
which
may
overestimate
the
Agency
cost
of
this
activity.
The
total
annual
burden
therefore
is
2500
FPASs
time
35
minutes
per
FPAS
equals
1457.5
hours.
The
annual
cost
is
1800
times
$
35.15
per
statement,
or
$
63,270.
The
distribution
of
this
burden
for
specific
tasks
is
described
in
the
table
describing
the
Agency
tally
in
section
6(
d)
(
ii)
(
Table
4),
below.
6(
d)
Bottom
Line
Burden
Hours
and
Cost
Tables
(
i)
Respondent
Burden
FPAS
2,703
HOURS
LABELING
7,200
HOURS
MULTILINGUAL
LABELING
14,850
HOURS
TOTAL
ANNUAL
RESPONDENT
BURDEN
24,753
HOURS
(
ii)
Agency
Burden
Annual
Agency
Burden/
Cost
Estimates:
Foreign
Purchaser
Acknowledgment
Statement
Requirement
(
Table
4)
Collection
Activity
Hours
Annual
Cost
($)
Receive,
review
acknowledgment
statements
for
completeness,
and
enter
in
log
book
0.08
5.08
Data
entry
of
information
in
acknowledgment
statements
0.25
15.25
Make
necessary
copies
and
transmit
submission
to
appropriate
government
officials
of
importing
countries
0.16
9.76
Maintain
a
file
of
all
submissions
0.08
5.06
TOTAL
0.57
35.15
November
14,
2002
Page
15
of
17
ANNUAL
BURDEN:
2,500
statements
x
0.576
hours
=
1,440
hours
ANNUAL
COSTS:
2,500
statements
x
$
35.15
=
$
63,270
6(
d)
Bottom
Line
Burden
Hours
and
Cost
Table
TOTAL
Hours
Costs
Respondent
Burden
Estimate
24753
$
1,948,975
Agency
Burden
Estimate
1440
$
87,875
Variations
in
the
Annual
Bottom
Line
Significant
variations
in
the
annual
respondent
burden
or
cost
are
possible
during,
or
just
after
the
end
of,
the
three
year
term
of
this
information
collection
activity.
The
matter
is
now
before
Congress,
which
is
considering
legislation
to
amend
FIFRA
to
include
authorities
necessary
to
fully
implement
the
PIC
agreement.
Effective
implementation
of
PIC
will
require
ratification
and
implementing
legislation,
and
specific
plans
for
affecting
changes
in
the
relevant
U.
S.
laws
and
regulations
are
under
development.
The
PIC
Agreement
includes
a
provision
on
export
notification,
which
differs
from
the
export
notification
provisions
of
FIFRA
section
17
and
40
CFR
168,
Subpart
D..
Currently,
the
Administration's
bill,
which
was
introduced
in
May
2002,
does
not
include
amendments
to
existing
section
17
export
notification
requirements,
but
does
include
the
requirement
for
the
PIC
export
notification.
The
PIC
notification
system
differs
in
applicability,
in
timing,
and
in
the
information
transmitted
from
the
current
provisions
of
section
17(
a)(
2)
and
40
CFR
168,
Subpart
D.
The
scope
of
the
PIC
export
notification
is
limited
to
those
pesticides
banned
or
severely
restricted
by
an
exporting
country,
pursuant
to
the
definitions
in
the
Agreement.
The
timing
of
the
notice
is
to
occur
prior
to
the
actual
shipment,
for
the
first
time
in
a
calendar
year.
The
PIC
notification
does
not
include
a
provision
for
a
foreign
purchaser
to
sign
an
acknowledgment
statement,
and
data
elements
in
the
PIC
notice
differ
slightly.
The
export
notification
requirement
ceases
altogether
once
the
pesticide
is
included
in
the
PIC
procedure
(
and
certain
other
conditions
have
been
met).
6(
f)
Burden
Statement
Annual
respondent
burden
for
this
collection
of
information
is
estimated
to
average
1.08
hours
(
65
minutes)
per
response,
including
the
time
for
reviewing
instructions,
gathering
and
maintaining
the
data
needed,
and
completing
and
reviewing
the
collection
of
information.
The
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
November
14,
2002
Page
16
of
17
Send
comments
regarding
this
burden
estimate
or
any
other
aspect
of
this
information
collection,
including
suggestions
for
reducing
burden,
to:
Director,
Collection
Strategies
Division,
Mail
Code
2822,
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW,
Washington,
DC
20460;
and
to
Paperwork
Reduction
Act
Project
(
OMB
No.
2070
0027),
Office
of
Regulatory
Affairs,
Office
of
Management
and
Budget,
Washington,
DC
20503,
marked
"
Attention
Desk
Officer
for
EPA."
November
14,
2002
Page
17
of
17
Attachments
to
the
Supporting
Statement
Attachment
A
FIFRA
section
17
Imports
and
Exports
available
electronically
at
http://
www.
epa.
gov/
pesticides/
fifra.
htm#
sec17
Attachment
B
40
Code
of
Federal
Regulations,
Part
168,
Subpart
D
Section
168.75
Procedures
for
exporting
unregistered
pesticides
purchaser
acknowledgment
statements
available
electronically
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
40cfr168_
00.
html
Attachment
C
66
FR
64246
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides;
Renewal
of
Pesticide
Information
Collection
Activities
and
Request
for
Comments
(
published
December
12,
2001)
available
electronically
at
http://
www.
epa.
gov/
fedrgstr/
EPA
PEST/
2001/
December/
Day
12/
p30596.
htm
| epa | 2024-06-07T20:31:45.325153 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0320-0002/content.txt"
} |
EPA-HQ-OPP-2002-0321-0001 | Notice | 2002-12-04T05:00:00 | Agency Information Collection Activities; Submission to OMB; Comment Request; EPA ICR No.
0595.08/OMB Control No. 2070-0055; Notice of Pesticide Registration by States To Meet a Special
Local Need Under FIFRA Section 24(c) | 72163
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
Linwood
A.
Watson,
Jr.,
Deputy
Secretary.
[
FR
Doc.
02
30717
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6717
01
P
DEPARTMENT
OF
ENERGY
Federal
Energy
Regulatory
Commission
[
Project
No.
12087
001]
White
River
Falls
Energy
Associates,
Inc.;
Notice
of
Surrender
of
Preliminary
Permit
November
27,
2002.
Take
notice
that
White
River
Falls
Energy
Associates,
Inc.,
permittee
for
the
proposed
White
River
Falls
Project,
has
requested
that
its
preliminary
permit
be
terminated.
The
permit
was
issued
on
February
6,
2002,
and
would
have
expired
on
January
31,
2005.
The
project
would
have
been
located
on
the
White
River
in
Wasco
County,
Oregon.
The
permittee
filed
the
request
on
September
9,
2002,
and
the
preliminary
permit
for
Project
No.
12087
shall
remain
in
effect
through
the
thirtieth
day
after
issuance
of
this
notice
unless
that
day
is
a
Saturday,
Sunday,
or
holiday
as
described
in
18
CFR
385.2007,
in
which
case
the
permit
shall
remain
in
effect
through
the
first
business
day
following
that
day.
New
applications
involving
this
project
site,
to
the
extent
provided
for
under
18
CFR
part
4,
may
be
filed
on
the
next
business
day.
Linwood
A.
Watson,
Jr.,
Deputy
Secretary.
[
FR
Doc.
02
30711
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6717
01
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0321;
FRL
7417
7]
Agency
Information
Collection
Activities;
Submission
to
OMB;
Comment
Request;
EPA
ICR
No.
0595.08/
OMB
Control
No.
2070
0055;
Notice
of
Pesticide
Registration
by
States
To
Meet
a
Special
Local
Need
Under
FIFRA
Section
24(
c)
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
compliance
with
the
Paperwork
Reduction
Act
(
PRA)
(
44
U.
S.
C.
3501
et
seq.),
this
document
announces
that
the
following
Information
Collection
Request
(
ICR)
has
been
forwarded
to
the
Office
of
Management
and
Budget
(
OMB)
for
review
and
approval:
Notice
of
Pesticide
Registration
by
States
to
Meet
a
Special
Local
Need
Under
FIFRA
Section
24(
c);
EPA
ICR
No.
0595.08;
OMB
Control
No.
2070
0055.
The
ICR,
which
is
abstracted
below,
describes
the
nature
of
the
information
collection
activity
and
its
expected
burden
and
costs.
DATES:
Additional
comments
may
be
submitted
on
or
before
January
3,
2003.
ADDRESSES:
Follow
the
detailed
instructions
in
the
SUPPLEMENTARY
INFORMATION
section.
FOR
FURTHER
INFORMATION
CONTACT:
Nancy
Vogel,
Field
and
External
Affairs
Division
(
7506C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
6475;
fax
number:
(
703)
305
5884;
e
mail
address:
vogel.
nancy@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
EPA
has
submitted
the
following
ICR
to
OMB
for
review
and
approval
according
to
the
procedures
prescribed
in
5
CFR
1320.12.
The
Federal
Register
document,
required
under
5
CFR
1320.8(
d),
soliciting
comments
on
this
collection
of
information
was
published
on
December
12,
2001
(
66
FR
64249).
EPA
received
one
comment
on
this
ICR
during
the
60
day
comment
period,
and
that
comment
is
addressed
in
the
ICR.
EPA
has
established
a
public
docket
for
this
ICR
under
Docket
ID
No.
OPP
2002
0321
(
formerly
Docket
Control
No.
OPP
00753),
which
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
An
electronic
version
of
the
public
docket
is
available
through
EPA
Dockets
(
EDOCKET)
at
http://
www.
epa.
gov/
edocket.
Use
EDOCKET
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
docket
ID
number
identified
above.
Any
comments
related
to
this
ICR
should
be
submitted
to
EPA
and
OMB
within
30
days
of
this
notice,
and
according
to
the
following
detailed
instructions:
(
1)
Submit
your
comments
to
EPA
online
using
EDOCKET
(
our
preferred
method),
by
e
mail
to
oppdocket
epa.
gov,
or
by
mail
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0321;
and
(
2)
Mail
your
comments
to
OMB
at:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EDOCKET
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
public
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EDOCKET.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Although
identified
as
an
item
in
the
official
docket,
information
claimed
as
CBI,
or
whose
disclosure
is
otherwise
restricted
by
statute,
is
not
included
in
the
official
public
docket,
and
will
not
be
available
for
public
viewing
in
EDOCKET.
For
further
information
about
the
electronic
docket,
see
EPA's
Federal
Register
notice
describing
the
electronic
docket
at
67
FR
38102
(
May
31,
2002),
or
go
to
http://
www.
epa.
gov/
edocket.
ICR
Title:
Notice
of
Pesticide
Registration
by
States
to
Meet
a
Special
Local
Need
(
SLN)
Under
FIFRA
Section
24(
c)
(
EPA
ICR
0595.08,
OMB
Control
No.
2070
0055).
ICR
Status:
This
is
a
request
for
extension
of
an
existing
approved
collection
that
is
currently
scheduled
to
expire
on
November
30,
2002.
EPA
is
asking
OMB
to
approve
this
ICR
for
three
years.
Under
5
CFR
1320.12(
b)(
2),
the
Agency
may
continue
to
conduct
or
sponsor
the
collection
of
information
while
the
submission
is
pending
at
OMB.
Abstract:
This
data
collection
program
is
designed
to
provide
the
Environmental
Protection
Agency
(
EPA,
the
Agency)
with
the
necessary
data
to
review
approval
of
State
issued
pesticide
registrations.
The
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
section
24(
c)
authorizes
the
States
to
register
additional
uses
of
federally
registered
pesticides
for
distribution
and
use
within
the
State
to
meet
a
special
local
need
(
SLN).
A
Stateissued
registration
under
FIFRA
section
24(
c)
is
deemed
a
Federal
registration
for
the
purposes
of
the
pesticide's
use
within
the
State's
boundaries.
A
State
must
notify
EPA,
in
writing,
of
any
VerDate
0ct<
31>
2002
19:
04
Dec
03,
2002
Jkt
200001
PO
00000
Frm
00029
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
04DEN1.
SGM
04DEN1
72164
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Notices
action
it
takes,
i.
e.,
issues,
amends,
or
revokes,
a
State
registration.
The
Agency
has
90
days
to
disapprove
the
registration.
In
such
cases,
the
State
is
responsible
for
notifying
the
affected
registrant.
Burden
Statement:
According
to
the
Paperwork
Reduction
Act
(
PRA),
``
burden''
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
The
Agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to
a
collection
of
information
that
is
subject
to
approval
under
the
PRA,
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
information
collections
appear
on
the
collection
instruments
or
instructions,
in
the
Federal
Register
notices
for
related
rulemakings
and
ICR
notices,
and,
if
the
collection
is
contained
in
a
regulation,
in
a
table
of
OMB
approval
numbers
in
40
CFR
part
9.
The
following
is
a
summary
of
the
burden
estimates
taken
from
the
ICR:
Respondents/
affected
entities:
State
and
territorial
governments
(
the
50
states
plus
Washington,
DC,
Puerto
Rico,
the
U.
S.
Virgin
Islands,
Guam
and
the
islands
of
the
Pacific
Territory,
and
American
Samoa).
Estimated
total
number
of
potential
respondents:
60.
Frequency
of
response:
As
needed.
Estimated
total/
average
number
of
responses
for
each
respondent:
5
6.
Estimated
total
annual
burden
hours:
18,200.
Estimated
total
annual
burden
costs:
$
1,585,150.
Changes
in
the
ICR
Since
the
Last
Approval:
The
Agency
revised
its
burden
estimates
for
both
States
and
applicants
based
on
information
received
during
the
public
comment
period
and
in
consultation
with
respondents.
The
average
applicant
response
burden
decreased
by
29
hours
while
the
average
State
response
burden
increased
by
11.5
hours,
resulting
in
a
net
decrease
in
burden
for
the
activities
associated
with
this
ICR.
EPA
estimates
that
the
overall
respondent
burden
has
decreased
from
24,604
hours
to
18,200
hours,
a
decrease
in
burden
of
6,404
hours.
These
changes
are
described
in
detail
in
the
ICR.
According
to
the
procedures
prescribed
in
5
CFR
1320.12,
EPA
has
submitted
this
ICR
to
OMB
for
review
and
approval.
Any
comments
related
to
the
renewal
of
this
ICR
should
be
submitted
within
30
days
of
this
notice,
as
described
above.
Dated:
November
22,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
30758
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0320;
FRL
7417
6]
Agency
Information
Collection
Activities;
Submission
to
OMB;
Comment
Request;
EPA
ICR
No.
0161.09/
OMB
No.
2070
0027;
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
compliance
with
the
Paperwork
Reduction
Act
(
PRA)
(
44
U.
S.
C.
3501
et
seq.),
this
document
announces
that
the
following
Information
Collection
Request
(
ICR)
has
been
forwarded
to
the
Office
of
Management
and
Budget
(
OMB)
for
review
and
approval:
Foreign
Purchaser
Acknowledgment
Statement
of
Unregistered
Pesticides;
OMB
No.
2070
0027;
EPA
No.
0161.09.
The
ICR,
which
is
abstracted
below,
describes
the
nature
of
the
information
collection
activity
and
its
expected
burden
and
costs.
DATES:
Additional
comments
may
be
submitted
on
or
before
January
3,
2003.
ADDRESSES:
Follow
the
detailed
instructions
in
the
SUPPLEMENTARY
INFORMATION
section.
FOR
FURTHER
INFORMATION
CONTACT:
Nancy
Vogel,
Field
and
External
Affairs
Division
(
7506C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
6475;
fax
number:
(
703)
305
5884;
e
mail
address:
vogel.
nancy@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
EPA
has
submitted
the
following
ICR
to
OMB
for
review
and
approval
according
to
the
procedures
prescribed
in
5
CFR
1320.12.
The
Federal
Register
document,
required
under
5
CFR
1320.8(
d),
soliciting
comments
on
this
collection
of
information
was
published
on
December
12,
2001
(
66
FR
64246).
EPA
received
no
comments
on
this
ICR
during
the
60
day
comment
period.
EPA
has
established
a
public
docket
for
this
ICR
under
Docket
ID
No.
OPP
2002
0320
(
formerly
Docket
Control
No.
OPP
00751),
which
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
An
electronic
version
of
the
public
docket
is
available
through
EPA
Dockets
(
EDOCKET)
at
http://
www.
epa.
gov/
edocket.
Use
EDOCKET
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
docket
ID
number
identified
above.
Any
comments
related
to
this
ICR
should
be
submitted
to
EPA
and
OMB
within
30
days
of
this
notice,
and
according
to
the
following
detailed
instructions:
(
1)
Submit
your
comments
to
EPA
online
using
EDOCKET
(
our
preferred
method),
by
e
mail
to
oppdocket
epa.
gov,
or
by
mail
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0320;
and
(
2)
Mail
your
comments
to
OMB
at:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EDOCKET
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
public
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EDOCKET.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Although
identified
as
an
item
in
the
official
docket,
information
claimed
as
CBI,
or
whose
disclosure
is
otherwise
VerDate
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19:
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03,
2002
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} |
EPA-HQ-OPP-2002-0321-0002 | Supporting & Related Material | 2002-11-06T05:00:00 | null | November
20,
2002
Page
1
of
26
SUPPORTING
STATEMENT
FOR
AN
INFORMATION
COLLECTION
REQUEST
(
ICR)
1.
IDENTIFICATION
OF
THE
INFORMATION
COLLECTION
1(
a)
Title
of
the
Information
Collection
Notice
of
Pesticide
Registration
by
States
to
Meet
a
Special
Local
Need
(
SLN)
under
FIFRA
Section
24(
c)
OMB
NO.
2070
0055;
EPA
NO.
0595.08
1(
b)
Short
Characterization/
Abstract
This
data
collection
program
is
designed
to
provide
the
Environmental
Protection
Agency
(
EPA,
the
Agency)
with
the
necessary
data
to
review
approval
of
State
issued
pesticide
registrations.
The
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
Section
24(
c)
authorizes
the
States
to
register
additional
uses
of
federally
registered
pesticides
for
distribution
and
use
within
the
State
to
meet
a
special
local
need
(
SLN).
A
State
issued
registration
under
FIFRA
section
24(
c)
is
deemed
a
federal
registration
for
the
purposes
of
the
pesticide's
use
within
the
State's
boundaries.
A
State
must
notify
EPA,
in
writing,
of
any
action
it
takes,
i.
e.,
when
it
issues,
amends,
or
revokes
a
State
registration.
The
Agency
has
90
days
to
disapprove
the
registration.
In
such
cases,
the
State
is
responsible
for
notifying
the
affected
registrant.
2.
NEED
FOR
AND
USE
OF
THE
COLLECTION
2(
a)
Need/
Authority
for
the
Collection
The
EPA
requires
this
information
to
ensure
that
the
States
do
not
issue
any
registrations
that
might
conflict
with
other
requirements
in
FIFRA,
or
with
section
408
of
the
Federal
Food
Drug,
and
Cosmetic
Act
(
FFDCA)
which
require
that
a
tolerance
exist
for
any
pesticide
used
on
a
food
or
feed
commodity.
FIFRA
section
24
(
c)(
3)
mandates
that
if
the
Administrator
determines
that
a
registration
issued
by
a
State
is
inconsistent
with
the
FFDCA
or
if
the
use
of
a
pesticide
registered
by
the
State
constitutes
an
imminent
hazard,
the
Administrator
may
disapprove
the
registration.
2(
b)
Practical
Utility/
Users
of
the
Data
The
potential
respondents
to
this
information
collection
activity
are
the
States,
which
are
defined
in
FIFRA
section
2
(
aa)
to
include
Washington,
D.
C.,
Puerto
Rico,
the
U.
S.
Virgin
Islands,
Guam
and
the
islands
of
the
Pacific
Territory,
and
American
Samoa.
The
information
"
users"
are
the
Agency
decision
makers
within
the
Office
of
Pesticide
Programs
(
OPP)
and
is
used
November
20,
2002
Page
2
of
26
to
ensure
conformity
with
FIFRA
and
FFDCA.
The
States
are
required
to
collect
from
the
manufacturer
or
grower
groups
adequate
information
to
support
the
section
24(
c)
application
for
registration
or
amendment.
Both
the
State
and
the
manufacturer
or
grower
group
are
required
to
keep
records.
3.
NON
DUPLICATION,
CONSULTATIONS,
AND
OTHER
COLLECTION
CRITERIA
3(
a)
Non
duplication
Not
applicable.
This
is
the
only
information
collection
activity
of
its
kind
and
information
collected
in
this
data
collection
program
is
collected
only
once
per
receipt
of
an
application
for
a
FIFRA
section
24(
c)
registration.
Consequently,
the
possibility
for
duplication
does
not
exist.
3(
b)
Public
Notice
Required
Prior
to
ICR
Submission
to
OMB
In
proposing
to
renew
this
ICR,
EPA
published
a
Federal
Register
(
FR)
Notice
that
provided
a
60
day
public
notice
and
comment
period
that
ended
on
February
11,
2002
(
see
Attachment
C).
The
Agency
received
one
comment
(
Attachment
D)
in
response
to
this
notice
from
Mr.
Erik
Johansen
of
the
Washington
State
Department
of
Agriculture
(
WSDA).
Mr.
Johansen
noted
that
the
estimated
total/
average
number
of
responses
from
each
respondent,
which
was
listed
in
the
FR
Notice
as
1
3,
appeared
to
be
low.
Mr.
Johansen
estimated
that
the
WSDA
issues
approximately
37
SLN
registrations
per
year
and
corresponds
with
EPA
a
total
of
approximately
75
100
times
per
year
regarding
SLN
registrations.
This
correspondence
includes
label
revisions,
cancellations
of
SLN
registrations,
and
other
actions.
EPA
carefully
considered
Mr.
Johansen's
comments
and
agrees
with
his
assertion
that
its
estimate
of
the
total/
average
number
of
responses
from
each
respondent
which
was
listed
in
the
first
FRN
as
1
3
was
low.
This
renewal
ICR
includes
a
more
realistic
estimate
of
5
6
responses
per
State
(
the
Agency
expects
to
receive
an
average
of
350
applications
annually
for
the
three
years
covered
by
this
renewal
ICR,
divided
by
60
respondents).
In
addition,
Mr.
Johansen
commented
that
the
estimated
number
of
responses
from
each
respondent
pertaining
to
activities
such
as
those
described
in
his
comment
should
be
included
in
the
activity
description
and
accounted
for
as
paperwork
burdens.
The
burden
estimates
in
this
ICR
for
State
governments
already
include
the
preceding
activities
as
part
of
the
paperwork
burden,
but
the
Agency
has
updated
the
activity
descriptions
in
this
ICR
to
more
accurately
reflect
Mr.
Johansen's
concerns.
3(
c)
Consultations
In
addition
to
informal
consultation
between
States
and
the
EPA
during
the
submission
and
review
of
SLN
registration
applications,
which
occurs
on
an
ongoing
basis,
EPA
staff
contacted
the
following
representatives
of
State
regulatory
agencies
and
asked
them
for
their
November
20,
2002
Page
3
of
26
assessment
of
the
burden
estimates
in
the
ICR:
John
Inouye
California
Department
of
Pesticide
Regulation
Sacramento,
CA
Phone:
(
926)
324
3538
John
R.
Lake
Pennsylvania
Department
of
Agriculture
Harrisburg,
PA
17110
Phone:
(
717)
772
5211
Mr.
Jim
Gray
North
Dakota
Department
of
Agriculture
Bismarck,
ND
58505
Phone:
(
701)
382
1505
Mr.
Inouye
replied
that
conditions
pertaining
to
SLN
registrations
vary
so
widely
in
his
State
that
providing
an
estimate
was
not
possible.
Mr.
Lake
responded
that
he
estimated
that
processing
of
an
SLN
registration
by
his
State,
depending
on
concerns
applicable
to
the
pesticide
and
use
requested,
could
range
from
as
many
as
24
hours
to
as
few
as
3.
Mr.
Gray's
response
also
indicated
that
processing
time
could
vary
widely
depending
on
various
concerns,
but
that
processing
time
averaged
approximately
15
hours
per
submission.
The
Agency
agrees
with
these
assessments,
and
based
on
the
responses
received,
calculates
that
the
States
spend
an
average
of
13
hours
processing
an
SLN
submission.
EPA
staff
also
contacted,
by
electronic
mail,
representatives
of
companies
involved
as
applicants
for
State
registrations
to
obtain
their
assessment
of
the
burden
associated
with
this
information
collection
activity.
The
Agency
received
feedback
from
the
following
pesticide
registrants
and
included
their
responses
as
Attachment
E
to
this
supporting
statement:
Rebecca
Johnston
BASF
Corp.
Mt.
Olive,
NJ
Jack
Cain
Dupont
Wilmington,
DE
F.
Andy
Hedgecock
Monsanto
Co.
St.
Louis,
MO
November
20,
2002
Page
4
of
26
Greg
Watson
Syngenta
Greensboro,
NC
The
Agency
used
the
registrant
feedback
to
revise
the
estimated
burden
for
submitting
applications
for
special
local
need
registrations
to
States
and
has
provided
a
detailed
discussion
in
section
6
of
this
supporting
statement.
3(
d)
Effects
of
Less
Frequent
Collection
Not
applicable.
This
activity
is
conducted
only
once
per
receipt
of
an
application
for
a
FIFRA
section
24(
c)
registration.
Consequently,
there
is
no
way
that
the
EPA
can
reduce
the
frequency
of
the
collection.
3(
e)
General
Guidelines
The
recordkeeping
activities
briefly
described
in
this
ICR
exceed
OMB's
guideline
that
agencies
not
require
that
records
be
retained
for
more
than
3
years
(
5
CFR
1320.5(
d)(
2)(
iv)).
As
authorized
under
FIFRA
section
8,
EPA
regulations
require
that
registrants
retain
records
containing
research
data
relating
to
registered
pesticides
(
including
all
data
submitted
to
EPA
in
support
of
a
registration
see
40
CFR
169.2(
k))
for
as
long
as
the
registration
is
valid
and
the
producer
is
in
business.
However,
the
burden
related
to
the
recordkeeping
requirements
is
covered
under
another
ICR
(
see
OMB
Control
No.
2070
0028,
Recordkeeping
Requirements
for
Producers
of
Pesticides
under
Section
8
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)).
In
addition,
this
ICR
does
not
include
any
estimated
burden
or
costs
related
to
the
third
party
activities
associated
with
pesticide
product
labeling.
In
1995,
OMB
determined,
in
the
context
of
OMB
Control
No.
2070
0060,
Application
for
New
and
Amended
Pesticide
Registration,
that
the
Agency
does
not
need
to
estimate
burden
or
costs
for
the
third
party
disclosure
requirement
involving
the
registrant's
disclosure
of
product
specific
information
to
potential
users
and
the
general
public
through
the
pesticide
labeling.
This
activity
is
not
considered
to
be
a
collection
of
information
subject
to
approval
under
the
PRA
because
the
information
that
must
be
included
as
the
product
labeling
has
been
approved
and
provided
by
EPA.
(
5
CFR
1320.3(
c)(
2)).
Finally,
OMB's
regulations
require
agencies
to
provide
a
statement
indicating
whether
the
proposed
collection
of
information
involves
the
use
of
automated,
electronic,
mechanical,
or
other
technological
collection
techniques
or
other
forms
of
information
technology,
e.
g.,
permitting
electronic
submission
of
responses,
and
an
explanation
of
the
decision
(
5
CFR
1320.5(
a)(
iii)(
E)).
At
the
present
time,
applications
for
24(
c)
registration
are
submitted
on
written
forms
via
the
mail.
OPP
is
not
yet
prepared
to
accept
the
electronic
submission
of
any
forms
listed
in
this
ICR.
Forms
based
submissions
likely
would
be
transmitted
via
the
World
Wide
Web
and
neither
OPP
nor
the
Agency's
Office
of
Environmental
Information
have
developed
the
information
technology
November
20,
2002
Page
5
of
26
approaches
that
would
adequately
protect
FIFRA
Confidential
Business
Information
submitted
in
this
way.
3(
f).
Confidentiality
The
Agency
estimates
that
fewer
than
0.1%
of
the
24(
c)
registrations
it
receives
are
for
new
products
and
would
thus
require
submission
of
a
Confidential
Statement
of
Formula,
which
contains
Confidential
Business
Information
(
CBI).
However,
as
many
as
5%
to
10%
of
24(
c)
registrations
may
include
residue
data,
which
also
contains
CBI,
in
support
of
an
unregistered
use.
In
addition,
any
data
and/
or
information
brought
to
the
Agency
in
conjunction
the
submission
of
24(
c)
registrations
may
be
claimed
as
trade
secret,
commercial
or
financial
information
and
must
be
protected
from
disclosure
by
EPA
under
FIFRA
section
10
and
the
associated
regulation
as
contained
in
40
CFR
Part
2,
Subpart
B.
All
CBI
data
submitted
to
the
EPA
under
FIFRA
is
handled
strictly
in
accordance
with
the
provisions
of
the
FIFRA
Confidential
Business
Information
Security
Manual.
3(
g)
Sensitive
Questions
Not
applicable.
No
information
of
a
sensitive
or
private
nature
is
requested
in
conjunction
with
this
collection
activity.
In
addition,
this
information
collection
activity
complies
with
the
provisions
of
the
Privacy
Act
of
1974
and
OMB
circular
A
108.
4.
THE
RESPONDENTS
AND
THE
INFORMATION
REQUESTED
4(
a)
Respondents/
NAICS
Code
Section
2(
aa)
of
FIFRA
defines
"
State"
to
include
any
of
the
50
States,
the
District
of
Columbia,
the
Commonwealth
of
Puerto
Rico,
the
United
States
Virgin
Islands,
Guam,
the
Trust
Territory
of
the
Pacific
Islands,
and
American
Samoa.
The
North
American
Industrial
Classification
System
(
NAICS)
code
for
the
State
government
agencies
participating
in
this
data
collection
is
92411.
4(
b)
Information
Requested
(
i)
Information
Requested
by
States
to
support
SLN
registrations.
(
A)
Application
for
a
24(
c)
registration.
Applicants
for
State
registrations
under
FIFRA
section
24(
c)
to
meet
a
special
local
need
(
typically
pesticides
manufacturers
and
grower
groups)
must
submit
the
following
information
directly
the
State
using
EPA
Form
8570
25,
Application
for/
Notification
of
State
Registration
of
November
20,
2002
Page
6
of
26
a
Pesticide
to
Meet
a
Special
Local
Need
(
Attachment
F)
and
EPA
Form
8570
4,
Confidential
Statement
of
Formula,
(
Attachment
G)
when
applicable:
(
1)
Name
and
address
of
the
applicant
and
any
other
person
whose
name
will
appear
on
the
labeling
or
in
the
directions
for
use.
(
2)
The
name
of
the
pesticide
product,
and,
if
the
application
is
for
an
amendment
to
a
federally
registered
product
the
EPA
registration
number
of
that
product,
(
3)
A
copy
of
the
proposed
labeling,
including
all
claims
made
for
the
product
as
well
as
directions
for
its
use
to
meet
the
special
local
need,
consisting
of:
(
a)
For
a
new
product,
a
copy
of
the
complete
proposed
labeling;
or,
(
b)
For
an
additional
use
of
a
federally
registered
product,
a
copy
of
proposed
supplemental
labeling
and
a
copy
of
the
labeling
for
the
federally
registered
product.
(
c)
If
a
State
classifies
for
restricted
use
a
product
or
use,
which
is
not
required
to
be
so
classified
under
FIFRA,
supplemental
labeling
for
the
product
or
use
containing
additional
appropriate
precautions,
and
a
statement
that
the
product
or
use
is
for
restricted
use
within
the
State
may
be
required.
(
4)
The
complete
formula
of
the
product,
if
the
application
is
for
a
new
product
registration.
(
5)
Any
other
information
that
is
required
to
be
reviewed
prior
to
registration.
(
B)
Information
following
the
issuance
of
a
24(
c)
registration.
A
copy
of
the
final
printed
labeling
as
soon
as
practical
after
a
registration
is
issued.
New
product
labeling
must
all
contain:
(
1)
A
statement
identifying
the
State
where
registration
is
to
be
valid.
(
2)
The
special
local
need
registration
number
assigned
by
the
State.
(
3)
For
an
additional
use
of
a
federally
registered
product,
the
State
must
require
that
at
the
time
of
sale,
labeling
from
the
federally
registered
product
be
accompanied
by
supplemental
labeling.
(
C)
Information
Requested
by
EPA
to
verify
an
SLN
registration.
Within
ten
working
days
from
the
date
a
State
issues,
amends
or
revokes
a
registration,
the
State
is
required
to
notify
the
EPA,
in
writing,
of
the
action.
(
1)
Using
EPA
Form
8570
25
where
applicable,
notification
of
State
registrations,
or
amendments
thereto,
shall
include:
November
20,
2002
Page
7
of
26
(
a)
Effective
date
of
the
registration
or
amendment,
(
b)
Confidential
statement
of
the
formula
of
any
new
product,
and
(
c)
A
copy
of
the
draft
labeling
reviewed
and
approved
by
the
State,
provided
that
labeling
previously
approved
by
the
Administrator
as
part
of
a
federal
registration
need
not
be
submitted.
(
2)
Notification
of
State
registrations
or
amendments
shall
be
supplemented
by
the
State
sending
to
the
EPA
a
copy
of
the
final
printed
labeling
approved
by
the
State
within
60
days
after
the
effective
date
of
the
registration
or
amendment.
(
3)
Notification
of
revocation
of
a
registration
by
a
State
shall
indicate
the
effective
date
of
revocation,
and
shall
state
the
reasons
for
revocation.
(
4)
The
Agency
may
request,
when
appropriate,
that
a
State
submit
any
data
used
by
the
State
to
determine
that
unreasonable
adverse
effects
will
not
be
caused.
(
ii)
Respondent
Activities
The
following
are
the
activities
in
which
an
applicant
must
engage
in
order
to
obtain
a
State
registration
under
FIFRA
section
24(
c).
Gather
data
Proposed
label,
product
formulation
(
if
applicable),
name
of
applicant,
name
of
product,
federal
registration
number
(
if
applicable),
and
any
other
information
required
by
the
State.
Submit
materials
to
the
State
Compile
necessary
data
and
materials.
Complete
application
for
State
registration
(
EPA
Form
8570
25)
and
submit
to
State
Store,
file,
and
maintain
the
information
Applicant
must
maintain
records
of
information
submitted
to
the
State
for
as
long
as
the
State
registration
is
active.
November
20,
2002
Page
8
of
26
A
State
must
engage
in
the
following
activities
in
order
to
comply
under
this
data
collection
program:
Compile
information
Organize
data
submitted
by
registrant
(
or
grower
group)
to
develop
the
SLN
justification.
Registrant
must
maintain
records
of
information
submitted
to
the
State.
Review
information
Evaluate
the
data:
1.
Determine
whether
there
is
a
special
local
need
for
the
registration;
2.
Determine
that
use
of
the
product
for
which
registration
is
sought
will
not
cause
unreasonable
adverse
effects
on
humans
or
the
environment;
3.
For
use
of
a
product
with
public
health
claims,
determine
that
the
product
warrants
the
claims
made,
i.
e.,
efficacy
determination;
4.
Review
the
proposed
labeling
submitted
with
the
application
to
determine
State
and
federal
compliance;
5.
Issue
or
amend
State
registration.
Notify
Federal
Government
Complete
and
submit
EPA
Form
8570
25
and
all
accompanying
data
and
materials.
Respond
to
any
Agency
questions
or
concerns.
Store,
file,
and
maintain
the
data
Maintain
copies
of
the
information
and
data
submitted
to
EPA.
Respond
to
Registrant
(
if
necessary)
Notify
registrant
if
Federal
Government
disapproves
the
State's
registration.
November
20,
2002
Page
9
of
26
5.
THE
INFORMATION
COLLECTED
AGENCY
ACTIVITIES,
COLLECTION
METHODOLOGY,
AND
INFORMATION
MANAGEMENT
5(
a)
Agency
Activities
EPA
must
conduct
the
following
activities
under
this
data
collection
activity:
Read
and
record
State
submitted
information
EPA
Form
8570
25
and
the
application
is
screened,
jacket
created,
and
information
is
recorded
in
electronically
for
tracking
purposes.
Review
data
submissions
Review
materials
for
adherence
to
federal
requirements
of
label
integrity,
lack
of
imminent
risk,
and
the
existence
of
appropriate
tolerances.
Publish
summary
of
24(
c)
s
Publish,
on
a
regular
basis,
in
the
Federal
Register,
a
summary
of
all
State
registrations
received
and
those
disapproved.
Notify
State
(
if
necessary)
Notify
the
State
if
the
registration
is
disapproved.
Store/
file/
maintain
the
data
Maintains
an
electronic
reference
file
on
all
FIFRA
section
24(
c)
applications
received
and
approved.
5(
b)
Collection
Methodology
and
Management
The
section
24(
c)
application
form
and
any
supporting
materials
are
received
and
datemarked
to
start
the
90
day
clock.
They
are
screened
for
completeness,
a
master
file
jacket
is
created
for
the
incoming
application,
and
the
case
is
assigned
a
unique
identifier.
Identifying
information
then
is
extracted
for
the
required
FR
Notice
of
receipt,
for
the
Pesticide
Product
Information
System
(
PPIS)
inventory
of
all
24(
c)
actions,
and
for
tracking
records.
The
file
then
is
reviewed
for
substantive
acceptability,
and
any
scientific
data
is
routed
for
review
by
appropriate
specialists.
When
all
reviews
are
completed
a
decision
is
made
to
accept
or
disapprove
the
application.
If
the
decision
is
to
disapprove
the
application,
the
State
is
notified,
and
a
notice
of
disapproval
is
published
in
the
FR.
The
disapproval
is
recorded
in
the
PPIS
data
base.
If
the
decision
is
to
accept
the
application,
this
is
recorded
in
the
master
file,
and
no
further
action
is
required.
November
20,
2002
Page
10
of
26
5(
c)
Small
Entity
Flexibility
Not
applicable.
As
identified
in
section
4(
a)
of
this
supporting
statement,
Section
24
of
FIFRA
applies
directly
only
to
the
government
agencies
of
the
50
states,
Washington
D.
C.,
and
the
territorial
governments
of
the
United
States;
it
does
not
apply
to
other
entities.
States
are
not
small
entities
as
defined
under
the
Regulatory
Flexibility
Act
and
the
Unfunded
Mandates
Reform
Act.
Small
entity
flexibility
does
not
exist
under
this
information
collection
activity
because
the
respondent
community
does
not
consist
of
any
small
entities.
While
pesticide
manufacturers
and
grower
groups
may
be
affected
by
EPA
State
activities
under
this
ICR,
any
activities
they
undertake
are
in
response
to
FIFRA
Section
24,
which
expressly
delegates
certain
pesticide
registration
authority
to
States.
These
entities
must
comply
with
State
procedures
to
obtain
a
special
local
need
registration
under
FIFRA
section
24(
c).
Consequently,
the
Agency
cannot
offer
them
any
flexibility
without
intruding
on
State
processes.
5(
d)
Collection
Schedule
Not
applicable.
This
activity
is
conducted
only
once
per
receipt
of
an
application
for
a
FIFRA
section
24(
c)
registration.
Consequently,
there
is
no
set
schedule
for
collection
of
this
information.
6.
ESTIMATING
BURDEN
AND
COST
OF
THE
COLLECTION
6(
a)
Estimating
Respondent
Burden
(
i)
Applicant
Burden
As
discussed
in
further
detail
under
section
6(
e)
of
this
supporting
statement,
the
Agency
estimates
the
average
burden
for
applicants
for
State
registrations
under
FIFRA
section
24(
c)
to
equal
approximately
39
hours
per
response.
This
includes
14
hours
of
management
labor,
19
hours
of
technical
labor
and
6
hours
of
clerical
labor
per
response.
The
Agency
expects
that
nearly
350
applications
will
be
submitted
annually
during
the
next
3
years
and
therefore
estimates
that
the
annual
applicant
burden
will
equal
13,650
hours.
(
ii)
State
Agency
Burden
As
discussed
in
further
detail
in
sections
3(
c)
and
6(
e)
of
this
supporting
statement,
EPA
estimates
the
State
Agency
burden
to
average
13
hours
per
response.
This
includes
an
estimated
12.3
hours
of
technical
labor
and
0.7
hours
of
clerical
labor
per
State
agency
response.
The
Agency
anticipates
that
nearly
350
SLN
applications
will
be
submitted
each
year
for
an
estimated
annual
burden
of
4,550
hours.
From
that,
EPA
estimates
that
each
State
will
receive,
on
average,
5
or
6
SLN
applications
per
year.
November
20,
2002
Page
11
of
26
(
iii)
Overall
Burden
The
overall
respondent
burden
associated
with
this
collection
is
estimated
to
be
18,200
hours
per
year.
Respondents
include
both
the
State
governments
and
the
companies
filing
for
State
registrations.
No
changes
have
been
made
in
the
requirements
for
Section
24(
c)
applications,
and
no
changes
have
been
made
to
the
provisions
of
this
information
collection
activity.
6(
b)
Estimating
Respondent
Cost
EPA
has
increased
its
estimated
labor
rates
for
applicants
and
State
government
personnel
factoring
in
an
inflation
cost
index
of
1.056
based
on
the
Gross
Domestic
Product.
These
labor
rates
are
fully
loaded
and
included
benefits
and
overhead
costs.
For
applicants,
EPA
estimates
labor
costs
of
$
130,
$
88
and
$
40
per
hour
for
management,
technical
and
clerical
burden,
respectively.
For
State
agency
personnel,
EPA
estimates
labor
costs
of
$
84,
$
63,
and
$
32
per
hour
for
management,
technical
and
clerical
burden,
respectively.
Using
the
Agency's
burden
estimates
and
the
fully
loaded
labor
rates,
the
Agency
estimates
the
applicant
costs
to
be
approximately
$
3,732
per
response
and
State
agency
costs
to
be
approximately
$
797
per
response
for
a
total
of
$
4,529
per
response.
The
overall
annual
cost
associated
with
this
information
collection,
based
on
an
estimate
350
responses
per
year,
is
estimated
to
be
$
1,585,150.
November
20,
2002
Page
12
of
26
RESPONDENT
BURDEN/
COST
ESTIMATES
PER
24(
c)
REGISTRATION
REGISTRANT
HOURS,
RATES
TOTAL
Collection
Activities
Mgmt.
$
130/
hr
Tech.
$
88/
hr.
Cler.
$
40/
hr.
Hours
Costs
($)
Gather
data
5.00
12.50
0.00
17.50
1,750
Submit
materials
to
State
9.00
5.50
1.00
15.50
1,694
Store/
file/
maintain
the
data
0.00
1.00
5.00
6.00
288
TOTAL
14.00
19.00
6.00
39.00
$
3,732
STATE
GOVERNMENT
HOURS,
RATES
TOTAL
Collection
Activities
Mgmt.
$
84/
hr
Tech.
$
63/
hr.
Cler.
$
32/
hr.
Hours
Costs
Compile
information
0.0
1.0
0.0
1.0
63.00
Review
submission
information
0.0
5.5
0.0
5.5
346.50
Complete
and
transmit
paperwork
to
EPA
(
including
label
revisions,
SLN
registration
cancellations,
and
other
follow
up
actions)
0.0
5.4
0.4
5.8
353.00
Store/
file/
maintain
the
data
0.0
0.0
0.1
0.1
3.20
Respond
to
Registrant
(
if
necessary)
0.0
0.4
0.2
0.6
31.60
TOTAL
0.0
12.3
0.7
13
$
797.30
ANNUAL
BURDEN:
52
Total
Hours
x
350
Applications
=
18,200
hours
ANNUAL
COSTS:
$
4,529
x
350
Applications
=
$
1,585,150
November
20,
2002
Page
13
of
26
6(
c)
Estimating
Agency
Burden
and
Cost
The
Agency
technical
employee
burden
associated
with
the
24(
c)
registration
program
has
been
estimated
from
the
Time
Accounting
Information
System
(
TAIS)
and
OPP's
regulatory
action
resource
tracking
systems,
although
neither
management
nor
clerical
burden
is
captured
by
these
systems.
The
estimate
for
management
burden
is
based
on
the
assumption
that
only
a
small
portion
of
24(
c)
registrations
require
management
decisions,
usually
only
those
the
technical
staff
recommends
for
denial.
The
hours
associated
with
reviewing
the
data
submissions
and
publishing
summaries
have
been
revised
to
reflect
that
it
is
actually
the
data
review
portion
of
the
collection
activity
that
takes
the
most
time.
The
estimate
for
notifying
the
State
is
small
because
of
the
small
number
of
application
denials.
The
Agency
cost
associated
with
this
program
is
estimated
to
be
$
352,124
per
year.
The
labor
rates
are
based
on
Office
of
Personnel
Management
salary
tables
for
federal
employees
for
the
years
1999
through
2001
and
include
benefits
and
overhead
costs,
as
well
as
locality
pay
for
the
Washington,
DC
Baltimore
area.
The
total
Agency
costs
also
include
FR
and
electronic
mailing
costs.
ANNUAL
AGENCY
BURDEN/
COST
ESTIMATES
PER
24(
c)
SUBMISSION
COLLECTION
ACTIVITIES
HOURS,
RATES
TOTAL
Mgmt.
$
96/
hr.
Tech.
$
70/
hr
Cler.
$
33/
hr.
Hours
Costs
Read
and
record
Statesubmitted
information
0.0
0.1
0.1
0.2
10.30
Review
data
submissions
0.6
11.0
0.0
11.6
827.60
Publish
summary
of
24(
c)
s
0.1
0.5
0.1
0.7
47.90
Store/
file/
maintain
the
data
0.0
0.0
0.1
0.1
3.30
Notify
the
State
(
if
necessary)
0.1
0.2
0.1
0.4
26.90
TOTAL
0.8
11.8
0.4
13.0
$
916
ANNUAL
BURDEN:
13
Total
Hours
x
350
Applications
=
4,550
Hours
ANNUAL
COSTS:
$
916
x
350
Applications
$
320,600
ANNUAL
MAILING
COSTS:
$
31,524
(
Federal
Register
mailing
costs
of
$
20,232
+
electronic
mail
costs
of
$
11,292)
TOTAL
ANNUAL
AGENCY
COSTS:
$
352,124
November
20,
2002
Page
14
of
26
6(
d).
Bottom
Line
Hours
And
Costs
MASTER
TABLE
TOTAL
Hours
Costs
Respondents
(
applicants
&
states)
18,200
$
1,585,150
Agency
4,550
$
352,124
6(
e)
Reasons
For
Changes
in
Burden
When
this
information
collection
activity
was
renewed
in
1996
and
1999,
the
Agency
included
burden
estimates
for
applicant
activities
to
conform
to
the
amended
Paperwork
Reduction
Act
requirements.
Based
on
their
expertise,
the
Agency's
staff
experts
estimated
at
the
time
that
the
applicant
paperwork
burden
was
approximately
68
hours
per
application.
The
Agency
did
not
receive
any
information
during
the
public
comment
period
for
this
renewal
that
indicated
a
revision
to
this
estimate
was
needed.
Information
received
by
the
Agency
during
consultations
with
applicants
indicated
that
previous
estimates
of
average
"
per
application"
burden
were
too
high.
The
Agency
has
revised
the
estimated
applicant
burden
downward
to
approximately
39
hours
per
response
to
reflect
the
information
supplied
by
applicants.
While
EPA
revised
its
assessment
of
applicant
burden
downward
based
on
consultations
with
respondents,
the
Agency
revised
its
assessment
of
State
agency
burden
upward
in
response
to
respondent
feedback.
EPA
had
historically
estimated
the
to
burden
State
agencies
as
2.5
hours
per
response.
We
learned
during
our
consultation
with
our
State
partners
that
13
hours
per
response
is
a
more
accurate
assessment
of
burden.
Our
estimates
have
been
revised
to
reflect
the
discussions
with
respondents.
The
effect
of
these
revisions
to
our
burden
estimates
has
led
to
a
net
reduction
of
annual
respondent
burden
associated
with
this
collection
by
6,404
hours.
When
OMB
last
approved
this
information
collection
activity
in
1999,
the
Agency
estimated
the
annual
burden
to
equal
24,604
hours
annually.
This
renewal
ICR
reflects
a
29
hour
burden
decrease
per
response
for
applicants,
while
showing
a
11.5
hour
burden
increase
per
response
for
States.
This
6,404
hour
burden
decrease
represents
an
adjustment
to
EPA's
burden
hour
estimate
in
the
current
ICR.
6(
f)
Burden
Statement
The
annual
respondent
burden
for
this
ICR
is
estimated
to
average
52
hours
per
response
(
39
hours
per
applicant
and
13
hours
per
State),
including
time
for
compiling
the
information/
data
submitted
by
the
registrant,
reviewing
the
information
for
special
local
needs
November
20,
2002
Page
15
of
26
determination,
completing
paperwork
to
notify
the
federal
government,
storing/
filing/
maintaining
the
data,
and
responding
back
to
the
registrant
if
the
registration
is
disapproved
by
EPA.
The
burden
estimate
includes
hours
spent
by
the
registrant
in
preparing
the
application
for
submission
to
EPA.
Send
comments
regarding
this
burden
estimate
or
any
other
aspect
of
this
collection
of
information,
including
suggestions
for
reducing
the
burden,
to:
Director,
Collection
Strategies
Division,
Mail
Code
2822,
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Avenue,
NW,
Washington,
DC
20460;
and
to
Paperwork
Reduction
Act
Project
(
OMB
No.
2070
0055),
Office
of
Regulatory
Affairs,
Office
of
Management
and
Budget,
Washington,
DC
20503,
marked
"
Attention
Desk
Officer
for
EPA."
November
20,
2002
Page
16
of
26
ATTACHMENTS
TO
THE
SUPPORTING
STATEMENT
ATTACHMENT
A:
FIFRA
Section
24(
c)
(
7
U.
S.
C.
136v)
available
electronically
at
http://
www.
epa.
gov/
pesticides/
fifra.
htm#
sec24
ATTACHMENT
B:
FFDCA
Section
408
(
21
U.
S.
C.
346a)
available
electronically
at
http://
uscode.
house.
gov/
usc.
htm
ATTACHMENT
C:
66
FR
64249
FIFRA
Section
24(
c)
Special
Local
Need
Registrations;
Renewal
of
Pesticide
Information
Collection
Activities
and
Request
for
Comments
(
published
December
12,
2001)
available
electronically
at
http://
www.
epa.
gov/
fedrgstr/
EPA
PEST/
2001/
December/
Day
12/
p30597.
htm
ATTACHMENT
D:
Public
Comment
Regarding
66
FR
64249
Comments
of
Mr.
Erik
Johansen,
Washington
State
Department
of
Agriculture
An
electronic
copy
of
this
attachment
follows
in
the
electronic
file
for
this
ICR.
ATTACHMENT
E:
Applicant
Estimates
of
Burden
Applicant
feedback
received
during
Agency
consultation
activities
An
electronic
copy
of
this
attachment
follows
in
the
electronic
file
for
this
ICR.
ATTACHMENT
F:
Application
for/
Notification
of
State
Registration
of
a
Pesticide
to
Meet
a
Special
Local
Need
(
EPA
Form
8570
25)
available
electronically
at
http://
www.
epa.
gov/
opprd001/
forms/
8570
25.
pdf
ATTACHMENT
G:
Confidential
Statement
of
Formula
(
EPA
Form
8570
4)
available
electronically
at
http://
www.
epa.
gov/
opprd001/
forms/
8570
4.
pdf
ATTACHMENT
H:
Display
Related
to
OMB
Control
#
2070
0055
Listings
of
Related
Regulations
in
40
CFR
9.1
An
electronic
copy
of
this
attachment
follows
in
the
electronic
file
for
this
ICR.
ATTACHMENT
I:
40
CFR
162,
Subpart
D
STATE
REGISTRATION
OF
PESTICIDE
PRODUCTS:
Regulations
Pertaining
to
State
Registration
of
Pesticides
To
Meet
Special
Local
Needs
available
electronically
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
40cfr162_
00.
html
OMB
CONTROL
NO.
2070
0055
ATTACHMENT
D
Public
Comment
Regarding
66
FR
64249
Comments
of
Mr.
Erik
Johansen,
Washington
State
Department
of
Agriculture
Comments
for
EPA
Public
Docket
re:
Docket
control
number
OPP
00753,
ICR
for
FIFRA
Section
24(
c)
Special
Local
Need
Registrations
Washington
State
Department
of
Agriculture
(
WSDA)
issues
approx.
37
SLN
registrations
per
year
(
1999,
2000,
2001).
WSDA
revises
several
dozen
SLN
labels
per
year,
and
cancels
several
dozen
SLN
registrations
per
year.
WSDA
also
responds
to
several
requests
per
year
from
EPA
regarding
SLN
registrations
(
recommendations
for
label
revision,
requests
for
additional
information,
other
actions).
Therefore,
a
reasonable
estimate
is
that
WSDA
corresponds
with
EPA
approx.
75
100
times
per
year
regarding
SLN
registrations.
The
Federal
Register,
December
12,
2001
(
Volume
66,
Number
239,
Page
64249
64251)
indicates
in
Section
V
(
Burden
and
Cost
Estimates)
that
the
estimated
total/
average
number
of
responses
from
each
respondent
(
including
states)
is
1
3.
This
estimate
appears
to
be
inaccurate.
Feel
free
to
contact
me
if
there
are
any
questions
regarding
these
comments.
Erik
W.
Johansen
Pesticide
Registration
Specialist
/
Pollinator
Protection
&
Spray
Adjuvants
Phone
(
360)
902
2078
Fax
(
360)
902
2093
email
ejohansen@
agr.
wa.
gov
OMB
CONTROL
NO.
2070
0055
ATTACHMENT
E
Applicant
Estimates
of
Burden
Applicant
feedback
received
during
Agency
consultation
activities
Page
19
of
26
Generic
EPA
Request
for
Registrant
Feedback
on
Burden
for
FIFRA
24(
c)
Activities
Sent
via
e
mail
by
Jim
Tompkins,
US
EPA/
Office
of
Pesticide
Programs,
on
11/
07/
2002
The
Agency
is
working
on
the
renewal
of
the
Information
Collection
Request
(
ICR)
for
24(
c)
s
under
which
the
Agency
is
given
authority
to
collect
the
information
submitted
with
a
24(
c)
registration.
As
part
of
the
24(
c)
ICR,
the
Agency
must
provide
an
estimate
of
the
burden
on
registrants
to
complete
a
24(
c)
registrations.
To
assist
EPA
in
providing
a
reasonable
estimate
of
the
burden
to
registrants
to
complete
a
24(
c)
registration,
I
am
requesting
that
you
provide
your
best
estimate
of
the
hours
in
each
category
to
complete
an
average
24(
c)
realizing
some
24(
c)
s
take
more
time
and
other
24(
c)
s
take
less
time.
We
will
then
average
the
responses
from
a
number
of
registrants
to
provide
OMB
with
a
reasonable
burden
estimates.
Nobody
is
sure
of
where
the
burden
estimates
in
the
current
ICR
came
from
so
it
is
time
for
a
little
reality
check.
Registration
Manager
Technical
Support
Clerical
Support
Gather
Data
Prepare
24(
c)
for
Submission
to
State
Clerical
typing
filing
etc.
Please
forward
this
message
to
the
appropriate
person.
If
possible,
I
need
a
response
by
November
14.
Thank
You
Jim
T
Page
20
of
26
Forwarded
by
Jim
Tompkins/
DC/
USEPA/
US
on
11/
20/
02
01:
34
PM
Jack
Cain
<
Jack.
Cain@
USA.
dupont.
com>
11/
13/
02
07:
36
AM
To:
Jim
Tompkins/
DC/
USEPA/
US@
EPA
cc:
Subject:
Re:
24(
c)
Burden
Estimate
Jim,
Based
on
input
from
other
2
other
Reg.
Managers
in
our
group,
our
State
Registration
coordinator
and
two
of
our
Field
Dev.
folks
(
tech
support)
we
came
up
with
the
following
#
s
(
note
they
are
averages
from
all
the
inputs
I
received).
Registration
Manager
Technical
Support
Clerical
Support
Gather
Data
4
hrs
12
hrs
Prepare
24(
c)
for
Submission
8
hrs
6
hrs
2
hrs
to
State
Clerical
typing
1.5
hrs
2
hrs
filing
etc.
Hope
this
helps,
Jack
Page
21
of
26
Forwarded
by
Jim
Tompkins/
DC/
USEPA/
US
on
11/
20/
02
01:
35
PM
Rebecca
L
Johnston
<
johnstrl@
basf
corp.
com>
11/
12/
02
10:
51
AM
To:
Jim
Tompkins/
DC/
USEPA/
US@
EPA
cc:
Subject:
Re:
24(
c)
Burden
Estimate
Jim,
I
did
not
receive
a
confirmed
delivery
so
I
am
sending
again.
Rebecca
Forwarded
by
Rebecca
L
Johnston/
APN/
PRINCETON/
BASF
CORP/
BASF
on
11/
12/
2002
10:
51
AM
Rebecca
L
Johnston
11/
08/
2002
03:
04
PM
To:
Tompkins.
Jim
cc:
Joseph
S
O'Grodnick,
Laura
A
Sears
Subject:
Re:
24(
c)
Burden
Estimate(
Document
link:
Rebecca
L
Johnston)
Jim,
Attached
is
BASF's
estimate
of
the
effort
required
to
prepare
a
24(
c)
application.
Any
questions,
please
do
not
hesitate
to
ask.
(
See
attached
file:
Information
Collection
Request
for
24.
doc)
Regards,
Rebecca
Page
22
of
26
BASF
Corporation
BASF
Information
Collection
Request
for
24(
c)
Registrations
Registration
Mgr
Technical
Support
Clerical
Support
Overall
Coordination
8
hours
Support/
Gather
Data
°
Label
°
Justification
°
Data
Summaries
16
hours
8
hours
8
hours
Prepare
Submission
°
Label
°
Justification
°
Data
Summaries
16
hours
8
hours
8
hours
Clerical
Activities
°
Applications
°
Cover
Memos
°
Duplication
°
Filing
16
hours
Total
=
approx.
11
days
(
88
hrs)
1
day
=
typical
8
hour
workday
Estimated
effort
assumes
the
maximum
requirements
and
a
first
time
24(
c)
application.
R.
Johnston
11/
8/
02
November
20,
2002
Page
23
of
26
26
Davis
Drive,
PO
Box
13528,
Research
Triangle
Park,
NC
27709
3528
Telephone
(
919)
547
2000
Page
24
of
26
Forwarded
by
Jim
Tompkins/
DC/
USEPA/
US
on
11/
20/
02
01:
37
PM
"
HEDGECOCK,
F
ANDY
[
AG/
1000]"
<
f.
andy.
hedgecock@
monsanto.
com>
11/
08/
02
12:
58
PM
To:
Jim
Tompkins/
DC/
USEPA/
US@
EPA
cc:
Subject:
FW:
24(
c)
Burden
Estimate
Jim,
Russ
asked
if
I
could
provide
a
response
on
this
for
Monsanto.
I've
made
an
estimate
of
the
average
time
spent
submitting
to
one
state
based
on
the
matrix
you
had
below
across
the
three
functional
types
and
three
process
pieces.
Registration
Manager
Technical
Support
Clerical
Support
Gather
Data
12
hours
Prepare
24(
c)
for
Submission
4
hours
to
State
Clerical
typing
1
hour
filing
etc.
Let
me
know
if
you
need
other
information.
Regards,
F.
Andy
Hedgecock
Director,
State
Regulatory
Affairs
Monsanto
Worldwide
Regulatory
Affairs
phone:
314/
694
5486
cel:
314/
378
5632
fax:
314/
694
4028
email:
f.
andy.
hedgecock@
monsanto.
com
<
mailto:
f.
andy.
hedgecock@
monsanto.
com>
Page
25
of
26
Forwarded
by
Jim
Tompkins/
DC/
USEPA/
US
on
11/
20/
02
01:
43
PM
greg.
watson@
syngenta.
com
11/
08/
02
03:
59
PM
To:
Jim
Tompkins/
DC/
USEPA/
US@
EPA
cc:
Subject:
RE:
24(
c)
Burden
Estimate
Dear
Jim,
As
promised,
here
is
the
feedback
from
us
regarding
the
ICR:
Registration
Manager
Technical
Support*
Clerical
Support
Gather
Data
1
hour
10
hours
Prepare
SLN
for
Submission
8
hours
1
hour
to
State
Clerical
typing,
1
hour
1
hour
filing
etc.
*
includes
compiling
and
summarizing
internal
and
external
data,
calling
COI's,
etc.
It
does
not
include
conducting
efficacy
or
residue
field
trials
required
to
obtain
a
24c
registration.
Please
let
me
know
if
this
was
what
you
were
after
or
if
additional
information
is
needed.
Have
a
good
weekend,
Greg
November
20,
2002
Page
26
of
26
OMB
CONTROL
NO.
2070
0055
ATTACHMENT
H
Display
Related
to
OMB
Control
#
2070
0027
Listings
of
Related
Regulations
in
40
CFR
9.1
As
of
May
10,
1993,
the
OMB
approval
numbers
for
EPA
regulations
in
Chapter
I
of
Title
40
of
the
Code
of
Federal
Regulations
(
CFR)
appear
in
a
listing
in
40
CFR
9.1
(
58
FR
27472).
This
listing
fulfills
the
display
requirements
in
section
3507(
f)
of
the
Paperwork
Reduction
Act
(
PRA)
for
EPA
regulations.
The
listing
at
40
CFR
9.1
displays
this
OMB
Control
number
for
the
following
regulations:
Program
Title
40
CFR
citation
Good
Laboratory
Practice
Standards
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
160
State
Registration
of
Pesticide
Products
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
.
162.153
| epa | 2024-06-07T20:31:45.336415 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0321-0002/content.txt"
} |
EPA-HQ-OPP-2002-0323-0001 | Notice | 2002-12-11T05:00:00 | Experimental Use Permit; Receipt of Application | [
Federal
Register:
December
11,
2002
(
Volume
67,
Number
238)]
[
Notices]
[
Page
76177
76179]
From
the
Federal
Register
Online
via
GPO
Access
[
wais.
access.
gpo.
gov]
[
DOCID:
fr11de02
36]
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0323;
FRL
7283
1]
Experimental
Use
Permit;
Receipt
of
Application
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
receipt
of
an
application
68467
EUP
A
from
Dow
AgroSciences
requesting
an
experimental
use
permit
(
EUP)
for
the
plant
incorporated
protectant
Bacillus
thuringiensis
Cry1F
and
Cry1Ac.
The
Agency
has
determined
that
the
application
may
be
of
regional
and
national
significance.
Therefore,
in
accordance
with
40
CFR
172.11(
a),
the
Agency
is
soliciting
comments
on
this
application.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0323,
must
be
received
on
or
before
January
10,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Leonard
Cole,
Biopesticides
and
Pollution
Prevention
Division
(
7511C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5412;
e
mail
address:
cole.
leonard@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
This
action
may,
however,
be
of
interest
to
those
persons
who
are
interested
in
agricultural
biotechnology
or
may
be
required
to
conduct
testing
of
chemical
substances
under
the
Federal,
Food,
Drug,
and
Cosmetic
Act
(
FFDCA)
or
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0323.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
[[
Page
76178]]
mailed
or
delivered
to
the
Docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
e
mail
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket
,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0323
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0323.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC,
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0323.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0323.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
notice.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
document.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Background
Dow
AgroSciences
has
submitted
an
application
for
an
EUP
for
the
plant
incorporated
protectant
Bacillus
thuringiensis
Cry1F
and
Cry1Ac
in
cotton.
The
requested
number
of
acres
for
this
plant
incorporatedprotectant
is
2,826.
The
EUP
is
for
the
states
of
Alabama,
Arizona,
Arkansas,
California,
Florida,
Georgia,
Louisiana,
Mississippi,
Missouri,
New
Mexico,
North
Carolina,
Puerto
Rico,
South
Carolina,
Tennessee,
and
Texas.
Test
plants
will
consist
of
cotton.
III.
What
Action
is
the
Agency
Taking?
Following
the
review
of
the
Dow
AgroSciences
application
and
any
comments
and
data
received
in
response
to
this
notice,
EPA
will
decide
whether
to
issue
or
deny
the
EUP
request
for
this
EUP
program,
and
if
issued,
the
conditions
under
which
it
is
to
be
conducted.
Any
issuance
of
an
EUP
will
be
announced
in
the
Federal
Register.
[[
Page
76179]]
IV.
What
is
the
Agency's
Authority
for
Taking
this
Action?
EPA
takes
this
action
under
40
CFR
part
172.
List
of
Subjects
Environmental
protection,
Experimental
use
permits.
Dated:
November
22,
2002.
Janet
L.
Andersen,
Director,
Biopesticides
and
Pollution
Prevention
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31165
Filed
12
10
02;
8:
45
am]
BILLING
CODE
6560
50
S
| epa | 2024-06-07T20:31:45.348020 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0323-0001/content.txt"
} |
EPA-HQ-OPP-2002-0325-0002 | Supporting & Related Material | 2002-12-12T05:00:00 | null | United
States
Environmental
Protection
Agency
Prevention,
Pesticides
and
Toxic
Substances
(
7101)
EPA
712
C
02
189
December
2002
Health
Effects
Test
Guidelines
OPPTS
870.1000
Acute
Toxicity
Testing
Background
i
INTRODUCTION
This
guideline
is
one
of
a
series
of
test
guidelines
that
have
been
developed
by
the
Office
of
Prevention,
Pesticides
and
Toxic
Substances,
United
States
Environmental
Protection
Agency
for
use
in
the
testing
of
pesticides
and
toxic
substances,
and
the
development
of
test
data
that
must
be
submitted
to
the
Agency
for
review
under
Federal
regulations.
The
Office
of
Prevention,
Pesticides
and
Toxic
Substances
(
OPPTS)
has
developed
this
guideline
through
a
process
of
harmonization
that
blended
the
testing
guidance
and
requirements
that
existed
in
the
Office
of
Pollution
Prevention
and
Toxics
(
OPPT)
and
appeared
in
Title
40,
Chapter
I,
Subchapter
R
of
the
Code
of
Federal
Regulations
(
CFR),
the
Office
of
Pesticide
Programs
(
OPP)
which
appeared
in
publications
of
the
National
Technical
Information
Service
(
NTIS)
and
the
guidelines
published
by
the
Organization
for
Economic
Cooperation
and
Development
(
OECD).
The
purpose
of
harmonizing
these
guidelines
into
a
single
set
of
OPPTS
guidelines
is
to
minimize
variations
among
the
testing
procedures
that
must
be
performed
to
meet
the
data
requirements
of
the
U.
S.
Environmental
Protection
Agency
under
the
Toxic
Substances
Control
Act
(
15
U.
S.
C.
2601)
and
the
Federal
Insecticide,
Fungicide
and
Rodenticide
Act
(
7
U.
S.
C.
136,
et
seq.).
Final
Guideline
Release:
This
guideline
is
available
from
the
U.
S.
Government
Printing
Office,
Washington,
DC
20402
on
disks
or
paper
copies:
call
(
202)
512
0132.
This
guideline
is
also
available
electronically
in
PDF
(
portable
document
format)
from
EPA's
Internet
Web
site
at
http:/
/
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
1
OPPTS
870.1000
Acute
toxicity
testing
background.
(
a)
Scope
(
1)
Applicability.
This
guideline
is
intended
to
meet
testing
requirements
of
both
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA)
(
7
U.
S.
C.
136,
et
seq.)
and
the
Toxic
Substances
Control
Act
(
TSCA)
(
15
U.
S.
C.
2601).
(
2)
Background.
The
source
material
for
this
revised
harmonized
test
guideline
is
OPPTS
870.1000
Acute
Toxicity
Testing
Background,
dated
August
1998.
(
b)
Purpose.
The
Agency
considers
the
evaluation
of
toxicity
following
short
term
exposure
to
a
chemical
to
be
an
integral
step
in
the
assessment
of
its
toxic
potential
under
the
regulatory
framework
of
its
pesticide
and
toxic
substances
programs.
In
the
assessment
and
evaluation
of
the
toxic
characteristics
of
a
substance,
acute
toxicity
is
generally
performed
by
the
probable
route
of
exposure
in
order
to
provide
information
on
health
hazards
likely
to
arise
from
short
term
exposure
by
that
route.
For
pesticides,
the
short
term
toxicity
testing
battery
consists
of
acute
toxicity
tests
by
the
oral,
dermal,
and
inhalation
routes;
skin
and
eye
irritation
testing;
and
testing
for
dermal
sensitization.
Data
from
an
acute
study
may
serve
as
a
basis
for
hazard
categorization,
labeling,
or
child
resistant
packaging
and
may
also
serve
to
designate
pesticides
which
may
be
applied
only
by
certified
applicators.
It
may
also
be
an
initial
step
in
establishing
a
dosage
regimen
in
subchronic
and
other
studies
and
may
provide
information
on
absorption
and
the
mode
of
toxic
action
of
a
substance.
An
evaluation
of
acute
toxicity
data
should
include
the
relationship,
if
any,
between
the
exposure
of
animals
to
the
test
substance
and
the
incidence
and
severity
of
all
abnormalities,
including
behavioral
and
clinical
abnormalities
the
reversibility
of
observed
abnormalities,
gross
lesions,
body
weight
changes,
effects
on
mortality,
and
any
other
toxic
effects.
(
c)
History
(
1)
Acute
toxicity
test
guidelines.
Test
guidelines
for
acute
toxicity
were
first
published
by
the
Agency
in
October
1982
as
part
of
Subdivision
F
of
the
Pesticide
Assessment
Guidelines
for
the
Office
of
Pesticide
Programs
(
OPP)
(
see
paragraph
(
g)(
1)
of
this
guideline)
and
in
40
CFR
part
797
in
September
1985
for
the
Office
of
Pollution
Prevention
and
Toxics
(
OPPT).
(
2)
Rejection
rate
analysis.
In
1993,
as
part
of
its
Pesticide
Rejection
Rate
Analysis,
Agency
and
industry
scientists
met
to
perform
a
guidelineby
guideline
review
of
toxicology
studies
including
acute
toxicity
studies.
The
purpose
of
this
guideline
by
guideline
review
was
to
identify
those
factors
that
most
frequently
cause
toxicology
studies
required
for
pesticide
reregistration
to
be
rejected.
The
results
were
published
as
the
Pesticide
Reregistration
Rejection
Rate
Analysis:
Toxicology
(
see
paragraph
(
g)(
2)
of
this
guideline).
In
1995,
representatives
from
the
Agency
met
with
the
American
Crop
Protection
Association
(
ACPA),
the
Chemical
Producers
and
Distributors
Association
(
CPDA),
the
Chemical
Manufacturers
Asso
2
ciation
(
CMA),
Health
Canada,
and
the
California
Department
of
Pesticide
Regulation
(
CDPR)
to
discuss
acceptable
methods
for
the
conduct
of
acute
toxicity
studies.
The
discussions
of
this
meeting
were
incorporated
into
a
preliminary
Registration
Division
document
titled
Conduct
of
Acute
Toxicity
Studies
(
see
paragraph
(
g)(
3)
of
this
guideline).
These
documents
supplement
the
acute
toxicology
guidelines
in
Subdivision
F.
(
3)
Guideline
harmonization.
The
Series
870
Health
Effects
test
guidelines
have
been
harmonized
between
OPP
and
OPPT
and,
where
possible
with
the
Organization
for
Economic
Cooperation
and
Development
(
OECD)
test
guidelines.
Scientific
considerations
from
both
of
the
analyses
described
in
paragraph
(
c)(
2)
of
this
guideline
have
been
incorporated
into
the
revised
test
guidelines.
(
d)
Approaches
to
the
determination
of
acute
toxicity.
(
1)
At
present,
the
evaluation
of
chemicals
for
acute
toxicity
is
necessary
for
the
protection
of
public
health
and
the
environment.
The
Agency
supports
measures
dedicated
to
reducing
the
use
of
animals
in
toxicity
testing.
When
animal
testing
is
required
for
this
purpose,
testing
should
be
done
in
ways
that
minimize
numbers
of
animals
used
and
that
take
full
account
of
their
welfare.
To
this
end,
when
conducting
a
test,
the
Agency
stresses
the
simultaneous
monitoring
of
several
endpoints
of
toxicity
in
animals
in
a
single
acute
study
including
sublethal
effects
as
well
as
lethality.
Dosed
animals
are
observed
for
abnormal
behavioral
manifestations
such
as
increased
salivation
or
muscular
incoordination,
in
addition
to
the
recovery
from
these
effects
during
the
observation
period.
Both
dead
and
surviving
animals
are
necropsied
to
evaluate
gross
anatomical
evidence
of
organ
toxicity.
In
selected
cases,
additional
testing
may
be
justified
to
better
characterize
the
kinds
of
abnormalities
that
have
been
found
in
the
organs
of
the
necropsied
animals.
These
sound,
scientific
practices
represent
some
of
the
means
which
maximize
the
utility
of
the
data
obtained
from
a
limited
number
of
test
animals
to
achieve
a
balance
between
protecting
humans
and
the
environment,
and
the
welfare
and
utilization
of
laboratory
animals.
(
2)
EPA
recommends
the
following
means
to
reduce
the
number
of
animals
used
to
evaluate
acute
effects
of
chemical
exposure
while
preserving
its
ability
to
make
reasonable
judgements
about
safety:
(
i)
Use
of
data
from
structurally
related
substances
or
mixtures.
In
order
to
minimize
the
need
for
animal
testing
for
acute
effects,
the
Agency
encourages
the
review
of
existing
acute
toxicity
information
on
chemical
substances
that
are
structurally
related
to
the
agent
under
investigation.
In
certain
cases,
it
may
be
possible
to
obtain
enough
information
to
make
preliminary
hazard
evaluations
that
may
reduce
the
need
for
further
animal
testing
for
acute
effects.
Similarly,
mixtures
or
formulated
products
that
are
substantially
similar
to
well
characterized
mixtures
or
products
may
not
need
additional
testing
if
there
are
sufficient
bridging
data
available
3
for
meaningful
extrapolation.
In
those
cases,
classification
would
be
extrapolated
from
the
mixture
already
tested.
(
ii)
EPA
recommends
the
Up
and
Down
Procedure
(
UDP),
as
detailed
in
this
guideline
and
adopted
by
OECD
as
test
Guideline
425
(
see
paragraph
(
g)(
4)
of
this
guideline),
to
access
acute
oral
toxicity.
This
method
provides
a
point
estimate
of
lethality
and
confidence
interval.
A
dedicated
program
(
AOT425StatPgm)
has
been
developed
by
EPA
to
assist
laboratories
in
the
conduct
of
this
protocol.
The
Agency
strongly
recommends
the
use
of
this
software
package
which
is
available
on
EPA's
Internet
Web
site
at
http://
www.
epa.
gov/
oppfead1/
harmonization.
Acute
oral
toxicity
testing
may
also
be
performed
using
the
Fixed
Dose
Method
of
OECD
Guideline
420
(
see
paragraph
(
g)(
5)
of
this
guideline)
or
the
Acute
Toxic
Class
Method
of
OECD
Guideline
423
(
see
paragraph
(
g)(
6)
of
this
guideline
These
methods
assess
lethality
within
a
dose
range.
(
iii)
Weight
of
evidence
approaches
to
dermal
and
ocular
irritation.
Several
factors
should
be
considered
in
determining
the
corrosion
and
irritation
potential
of
chemicals
before
testing
is
undertaken.
Existing
human
experience
and
data
and
animal
observations
and
data
should
be
the
first
line
of
analysis,
as
it
gives
information
directly
referable
to
effects
on
the
skin.
In
some
cases,
enough
information
may
be
available
from
structurally
related
compounds
to
make
classification
decisions.
Likewise,
pH
extremes
(
pH
<
2
or
>
11.5)
may
indicate
dermal
effects,
especially
when
buffering
capacity
is
known,
although
the
correlation
is
not
perfect.
Generally
such
agents
are
expected
to
produce
significant
effects
on
the
skin.
It
also
stands
to
reason
that
if
a
chemical
is
extremely
toxic
by
the
dermal
route,
a
dermal
irritation/
corrosion
study
may
not
be
needed.
Likewise,
if
there
is
a
lack
of
any
dermal
reaction
at
the
limit
dose
(
2,000
mg/
kg)
in
an
acute
toxicity
study
(
for
which
observations
of
dermal
reactions
were
made),
a
dermal
irritation/
corrosion
study
again
may
not
be
needed
for
labeling
purposes.
It
should
be
noted,
however,
that
often
acute
dermal
toxicity
and
dermal
irritation/
corrosion
testing
are
performed
in
different
species
that
may
differ
in
sensitivity.
In
vitro
alternatives
that
have
been
validated
and
accepted
may
also
be
used
to
help
make
classification
decisions
(
iv)
All
of
the
available
information
on
a
chemical
should
be
used
in
determining
the
need
for
in
vivo
dermal
irritation
testing.
Although
information
might
be
gained
from
the
evaluation
of
single
parameters
within
a
tier
(
e.
g.,
caustic
alkalies
and
acids
with
extreme
pH
(
pH
<
2
or
>
11.5)
should
be
considered
as
dermal
corrosives),
there
is
merit
in
considering
the
totality
of
existing
information
and
making
an
overall
weight
of
evidence
determination.
This
is
especially
true
when
there
is
information
available
on
some
but
not
all
parameters.
(
v)
Use
of
limit
testing.
For
chemicals
judged
to
be
relatively
nontoxic
a
single
group
of
animals
is
given
a
large
dose
of
the
agent.
If
4
no
lethality
is
demonstrated,
no
further
testing
is
pursued.
The
substance
is
classified
in
hazard
categories
according
to
the
limit
dose
used.
(
See
the
following
paragraph
for
a
discussion
of
toxicity
categories
under
FIFRA).
(
e)
Regulatory
applications
under
FIFRA.
(
1)
Precautionary
labeling
provides
the
pesticide
user
with
a
general
idea
of
the
potential
toxicity,
irritation
and
sensitization
hazard
associated
with
the
use
of
a
pesticide
(
see
EPA
Label
Review
Manual
(
paragraph
(
g)(
7)
of
this
guideline)
and
40
CFR
Part
156
Labeling
Requirements
for
Pesticides
and
Devices).
Precautionary
labeling
also
identifies
the
precautions
necessary
to
avoid
exposure
as
well
as
any
personal
protective
equipment
which
should
be
used
when
handling
a
pesticide
and
statements
of
practical
treatment
in
case
of
accidental
exposure.
A
globally
harmonized
system
for
classification
and
labeling
has
been
approved
through
the
United
Nations.
Implementation
will
be
phased
in
by
United
Nations
countries,
with
schedules
to
be
announced.
This
section
describes
the
current
system
in
place
for
pesticides
in
the
United
States
and
will
be
revised
and
updated
when
the
globally
harmonized
system
is
fully
implemented.
(
2)
Precautionary
labeling
which
includes
the
signal
word,
personal
protective
equipment,
hazard
symbol,
and
statements
of
practical
treatment
is
normally
determined
by
six
acute
toxicity
studies
and
product
composition
The
acute
oral,
acute
dermal
and
acute
inhalation
studies
are
used
to
determine
the
LD50
of
a
product
via
the
designated
route
of
exposure.
The
primary
eye
irritation
and
primary
skin
irritation
studies
measure
the
severity
of
irritation
or
corrosivity
caused
by
a
product.
The
dermal
sensitization
study
determines
whether
a
product
is
capable
of
causing
an
allergic
reaction.
With
the
exception
of
the
dermal
sensitization
study,
each
acute
toxicity
study
is
assigned
a
toxicity
category
as
defined
in
the
table
below.
All
products
falling
into
toxicity
categories
I
IV
must
bear
a
signal
word
and
in
some
cases
warning
symbols.
(
3)
Personal
Protective
Equipment.
Personal
protective
equipment
which
includes
use
of
protective
clothing,
chemical
resistant
gloves,
protective
eye
gear,
and
respiratory
protective
devices,
is
determined
by
the
results
of
six
acute
toxicity
studies
according
to
toxicity
category
(
see
table).
The
degree
of
protection
required
is
graded
according
to
the
degree
of
acute
toxicity
and
the
hazard
classification
category
of
the
chemical
or
product.
These
requirements
are
set
forth
in
40
CFR
170.240
in
the
Worker
Protection
Standard.
(
4)
Restricted
entry
intervals.
Agricultural
products
must
display
a
restricted
entry
interval.
A
restricted
entry
interval
is
the
time
immediately
following
a
pesticide
application
during
which
entry
into
the
treated
area
is
restricted.
Restricted
entry
intervals
are
based
on
the
most
severe
acute
toxicity
category
assigned
to
the
acute
dermal,
eye
irritation
and
skin
irritation
data
for
all
of
the
active
ingredients
in
a
pesticide
product.
The
dura
5
tion
of
restricted
entry
intervals
is
based
on
the
severity
of
toxicity,
with
products
classified
in
category
I
requiring
intervals
of
48
hours
or
more
and
products
classified
in
category
III
or
IV
requiring
intervals
of
12
hours.
(
5)
Child
resistant
packaging.
FIFRA
establishes
standards
with
respect
to
pesticide
packaging
of
products
intended
for
use
in
residential
settings
in
order
to
protect
children
or
adults
from
serious
illness
or
injury
resulting
from
accidental
ingestion
or
contact
with
pesticides.
Criteria
in
40
CFR
part
157
for
which
pesticides
must
be
distributed
or
sold
in
childresistant
packaging
are
based
on
classification
according
to
the
toxicity
categories
set
forth
in
the
table.
(
6)
Restricted
use
pesticide.
The
Agency
determines
whether
a
pesticide
must
be
applied
under
the
direct
supervision
of
a
certified
applicator.
Such
clarification
for
restricted
use
is
based
upon
consideration
of
toxicity
data,
including
acute
toxicity,
exposure,
and
intended
use.
(
7)
Biochemical
pest
control
agents
are
tested
in
a
special
tiered
progression
The
technical
grade
biochemical
pest
control
agent
is
always
characterized
by
acute
toxicity
tests.
However,
because
of
their
nontoxic
mode
of
action
against
the
target
pest,
further
testing
of
the
biochemical
pest
control
agent
is
normally
not
required.
Microbial
pest
control
agents
are
tested
using
the
OPPTS
Harmonized
Test
Guidelines
Series
885,
Microbial
Pesticide
Test
Guidelines,
for
pathogenicity/
infectivity.
In
addition,
all
formulations
of
microbial
pest
control
agents
are
tested
for
precautionary
labeling
using
acute
toxicity
tests
in
the
OPPTS
Harmonized
Test
Guidelines
Series
870,
Health
Effects
Test
Guidelines.
6
Toxicity
Categories
Study
Category
I
Category
II
Category
III
Category
IV
Acute
Oral
Up
to
and
including
50
mg/
kg
>
50
through
500
mg/
kg
>
500
through
5000
mg/
kg
>
5000
mg/
kg
Acute
Dermal
Up
to
and
including
200
mg/
kg
>
200
through
2000
mg/
kg
>
2000
through
5000
mg/
kg
>
5000
mg/
kg
Acute
Inhalation
Up
to
and
including
0.05
mg/
liter
>
0.05
through
0.5
mg/
liter
>
0.5
through
2
mg/
liter
>
2
mg/
liter
Eye
Irritation
Corrosive
(
irreversible
destruction
of
ocular
tissue)
or
corneal
involvement
or
irritation
persisting
for
more
than
21
days
Corneal
involvement
or
irritation
clearing
in
8
21
days
Corneal
involvement
or
irritation
clearing
in
7
days
or
less
Minimal
effects
clearing
in
less
than
24
hours
Skin
irritation
Corrosive
(
tissue
destruction
into
the
dermis
and/
or
scarring)
Severe
irritation
at
72
hours
(
severe
erythema
or
edema)
Moderate
irritation
at
72
hours
(
moderate
erythema)
Mild
or
slight
irritation
(
no
irritation
or
slight
erythema)
Study
Study
results
Study
results
Dermal
Sensitization
Product
is
a
sensitizer
or
is
positive
for
sensitization
Product
is
not
a
sensitizer
or
is
negative
for
sensitization
(
f)
Regulatory
applications
under
TSCA.
(
i)
Acute
oral
toxicity
data
are
used
to
provide
a
basic
understanding
of
acute
effects
and
to
serve
as
a
starting
point
for
human
hazard
and
risk
assessments
focused
on
occupational
and
general
population
exposures.
(
ii)
Acute
oral
toxicity
testing
is
included
in
testing
menus
to
obtain
basic
or
``
screening
level''
information
on
certain
chemicals.
These
include
higher
volume/
higher
exposure
new
chemicals
where
TSCA
section
5(
e)
``
exposure
based''
testing
authorities
are
used
to
obtain
a
basic
level
of
hazard
and
environmental
fate
information;
and
High
Production
Volume
existing
chemicals
(
i.
e.,
those
produced
and/
or
imported
at
or
above
1
million
lbs/
yr)
information
data
set.
(
g)
References.
The
following
references
should
be
consulted
for
additional
background
information
on
this
test
guideline.
(
1)
U.
S.
Environmental
Protection
Agency.
Pesticide
Assessment
Guidelines,
Subdivision
F:
Health
Effects.
EPA
report
540/
09
82
025,
October
1982.
(
2)
U.
S.
Environmental
Protection
Agency.
Pesticide
Reregistration
Rejection
Rate
Analysis:
Toxicology.
EPA
report
738
R
93
004.
July
1993.
(
3)
U.
S.
Environmental
Protection
Agency.
Conduct
of
Acute
Toxicity
Studies.
EPA
report
737
R
97
002.
September
1997.
(
4)
Organization
for
Economic
Cooperation
and
Development,
OECD
Guidelines
for
Testing
of
Chemicals.
Guideline
425:
Acute
Oral
Toxicity
Up
and
Down
Method.
Approved:
December
2001.
7
(
5)
Organization
for
Economic
Cooperation
and
Development,
OECD
Guidelines
for
Testing
of
Chemicals.
Guideline
420:
Acute
Oral
Toxicity
Fixed
Done
Method.
Adopted:
December
2001.
(
6)
Organization
for
Economic
Cooperation
and
Development,
OECD
Guidelines
for
Testing
of
Chemicals.
Guideline
423:
Acute
Oral
Toxicity
Acute
Toxic
Class
Method.
Adopted:
December
2001.
(
7)
U.
S.
Environmental
Protection
Agency.
Label
Review
Manual
2nd
Edition.
EPA
report
737
B
96
001.
December
1996.
| epa | 2024-06-07T20:31:45.351849 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0325-0002/content.txt"
} |
EPA-HQ-OPP-2002-0325-0003 | Supporting & Related Material | 2002-12-12T05:00:00 | null | United
States
Environmental
Protection
Agency
Prevention,
Pesticides
and
Toxic
Substances
(
7101)
EPA
712
C
02
190
December
2002
Health
Effects
Test
Guidelines
OPPTS
870.1100
Acute
Oral
Toxicity
i
INTRODUCTION
This
guideline
is
one
of
a
series
of
test
guidelines
that
have
been
developed
by
the
Office
of
Prevention,
Pesticides
and
Toxic
Substances,
United
States
Environmental
Protection
Agency
for
use
in
the
testing
of
pesticides
and
toxic
substances,
and
the
development
of
test
data
that
must
be
submitted
to
the
Agency
for
review
under
Federal
regulations.
The
Office
of
Prevention,
Pesticides
and
Toxic
Substances
(
OPPTS)
has
developed
this
guideline
through
a
process
of
harmonization
that
blended
the
testing
guidance
and
requirements
that
existed
in
the
Office
of
Pollution
Prevention
and
Toxics
(
OPPT)
and
appeared
in
Title
40,
Chapter
I,
Subchapter
R
of
the
Code
of
Federal
Regulations
(
CFR),
the
Office
of
Pesticide
Programs
(
OPP)
which
appeared
in
publications
of
the
National
Technical
Information
Service
(
NTIS)
and
the
guidelines
published
by
the
Organization
for
Economic
Cooperation
and
Development
(
OECD).
The
purpose
of
harmonizing
these
guidelines
into
a
single
set
of
OPPTS
guidelines
is
to
minimize
variations
among
the
testing
procedures
that
must
be
performed
to
meet
the
data
requirements
of
the
U.
S.
Environmental
Protection
Agency
under
the
Toxic
Substances
Control
Act
(
15
U.
S.
C.
2601)
and
the
Federal
Insecticide,
Fungicide
and
Rodenticide
Act
(
7
U.
S.
C.
136,
et
seq.).
Final
Guideline
Release:
This
guideline
is
available
from
the
U.
S.
Government
Printing
Office,
Washington,
DC
20402
on
disks
or
paper
copies:
call
(
202)
512
0132.
This
guideline
is
also
available
electronically
in
PDF
(
portable
document
format)
from
EPA's
Internet
Web
site
at
http:/
/
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
Also,
the
Agency
has
developed
and
strongly
recommends
users
to
solely
use,
the
software
program
for
performing
the
Up
and
Down
Procedure
and
calculating
the
LD50
and
confidence
interval.
The
software
program
(
AOT425StatPgm)
is
available
on
EPA's
Internet
Web
site
at
http://
www.
epa.
gov/
oppfead1/
harmonized.
1
OPPTS
870.1100
Acute
oral
toxicity.
(
a)
Scope
Applicability.
This
guideline
is
intended
to
meet
testing
requirements
of
both
the
Federal
Insecticide,
Fungicide,
and
Rodenticida
Act
(
FIFRA)
(
7
U.
S.
C.
136,
et
seq.)
and
the
Toxic
Substances
Control
Act
(
TSCA)
(
15
U.
S.
C.
2601).
(
2)
Background.
The
source
material
for
this
revised
harmonized
test
guideline
is
OPPTS
870.1100
Acute
Oral
Toxicity,
dated
August
1998
and
OECD
test
Guideline
425
Acute
Oral
Toxicity
Up
and
Down
Procedure.
(
b)
Purpose.
In
the
assessment
and
evaluation
of
the
toxic
characteristics
of
a
substance,
determination
of
acute
oral
toxicity
is
usually
an
initial
step.
It
provides
information
on
health
and
environmental
hazards
likely
to
arise
from
short
term
exposure
by
the
oral
route.
Data
from
an
acute
study
may
serve
as
a
basis
for
classification
and
labeling.
It
is
traditionally
a
step
in
establishing
a
dosage
regimen
in
subchronic
and
other
studies
and
may
provide
initial
information
on
the
mode
of
toxic
action
of
a
substance.
An
evaluation
of
acute
toxicity
data
should
include
the
relationship,
if
any,
between
the
exposure
of
animals
to
the
test
substance
and
the
incidence
and
severity
of
all
abnormalities,
including
behavioral
and
clinical
abnormalities,
the
reversibility
of
observed
abnormalities,
gross
lesions,
body
weight
changes,
effects
on
mortality,
and
any
other
toxic
effects.
(
c)
Definitions.
The
definitions
in
Section
3
of
the
Toxic
Substances
Control
Act
(
TSCA)
and
the
definitions
in
40
CFR
Part
792
Good
Laboratory
Practice
Standards
apply
to
this
test
guideline.
The
following
definitions
also
apply
to
this
test
guideline.
Acute
oral
toxicity
is
the
adverse
effects
occurring
within
a
short
time
of
oral
administration
of
a
single
dose
of
a
substance
or
multiple
doses
given
within
24
hours.
Confidence
interval
(
CI)
is
an
interval
estimate,
a
range
of
values,
intended
to
include
the
true
LD50
with
a
specified
degree
of
confidence.
Delayed
death
means
that
an
animal
does
not
die
or
appear
moribund
within
48
hours,
but
dies
later
during
the
14
day
observation
period.
Dose
is
the
amount
of
test
substance
administered.
Dose
is
expressed
as
weight
(
g,
mg
(
grams,
milligrams))
or
as
weight
of
test
substance
per
unit
weight
of
test
animal
(
e.
g.,
mg/
kg
(
milligrams/
kilograms)).
Dose
progression
factor,
sometimes
termed
a
dose
spacing
factor,
refers
to
the
multiple
by
which
a
dose
is
increased
(
i.
e.,
the
dose
progression)
when
an
animal
survives
or
the
divisor
by
which
it
is
decreased
when
an
animal
dies.
The
dose
progression
factor
is
recommended
to
be
the
antilog
of
1/(
the
estimated
slope
of
the
dose
response
curve).
The
default
2
dose
progression
factor
is
recommended
to
be
3.2
=
antilog
0.5
=
antilog
(
1/
2).
LD50
(
median
lethal
dose),
oral,
is
a
statistically
derived
single
dose
of
a
substance
that
can
be
expected
to
cause
death
in
50
per
cent
of
animals
when
administered
by
the
oral
route.
The
LD50
value
is
expressed
in
terms
of
weight
of
test
substance
per
unit
weight
of
test
animal
(
mg/
kg).
Limit
dose
refers
to
a
dose
at
an
upper
limitation
on
testing
(
2000
5000
mg/
kg).
Moribund
status
of
an
animal
refers
to
being
in
a
state
of
dying
or
inability
to
survive,
even
if
treated.
Nominal
sample
size
refers
to
the
total
number
of
tested
animals,
reduced
by
one
less
than
the
number
of
like
responses
at
the
beginning
of
the
series,
or
by
the
number
of
tested
animals
up
to
but
not
including
the
pair
that
creates
the
first
reversal.
For
example,
for
a
series
where
X
and
O
indicate
opposite
animal
outcomes
(
for
instance,
X
could
be
dies
within
48
hours
and
O
survives)
in
a
pattern
as
follows:
OOOXXOXO,
we
have
the
total
number
of
tested
animals
(
or
sample
size
in
the
conventional
sense)
as
8
and
the
nominal
sample
size
as
6.
This
particular
example
shows
4
animals
following
a
reversal.
It
is
important
to
note
whether
a
count
in
a
particular
part
of
the
guideline
refers
to
the
nominal
sample
size
or
to
the
total
number
tested.
For
example,
the
maximum
actual
number
tested
is
15.
When
testing
is
stopped
based
on
that
basis,
the
nominal
sample
size
will
be
less
than
or
equal
to
15.
Members
of
the
nominal
sample
start
with
the
(
r
1)
st
animal
(
the
animal
before
the
second
in
the
reversal
pair)
(
see
reversal
below).
Probit
is
an
abbreviation
for
the
term
``
probability
integral
transformation''
and
a
probit
dose
response
model
permits
a
standard
normal
distribution
of
expected
responses
(
i.
e.,
one
centered
to
its
mean
and
scaled
to
its
standard
deviation,
sigma
)
to
doses
(
typically
in
a
logarithmic
scale)
to
be
analyzed
as
if
it
were
a
straight
line
with
slope
the
reciprocal
of
sigma.
A
standard
normal
lethality
distribution
is
symmetric;
hence,
its
mean
is
also
its
true
LD50
or
median
response.
Reversal
is
a
situation
where
nonresponse
is
observed
at
some
dose,
and
a
response
is
observed
at
the
next
dose
tested,
or
vice
versa
(
i.
e.,
response
followed
by
nonresponse).
Thus,
a
reversal
is
created
by
a
pair
of
responses.
The
first
such
pair
occurs
at
animals
numbered
r
1
and
r.
Sigma
is
the
standard
deviation
of
a
log
normal
curve
describing
the
range
of
tolerances
of
test
subjects
to
the
chemical
(
where
a
subject
is
expected
capable
of
responding
if
the
chemical
dose
exceeds
the
subject's
tolerance).
The
estimated
sigma
provides
an
estimate
of
the
variation
3
among
test
animals
in
response
to
a
full
range
of
doses.
See
slope
and
probit.
Slope
(
of
the
dose
response
curve)
is
a
value
related
to
the
angle
at
which
the
dose
response
curve
rises
from
the
dose
axis.
In
the
case
of
probit
analysis,
when
responses
are
analyzed
on
a
probit
scale
against
dose
on
a
log
scale
this
curve
will
be
a
straight
line
and
the
slope
is
the
reciprocal
of
sigma,
the
standard
deviation
of
the
underlying
test
subject
tolerances
which
are
assumed
to
be
normally
distributed.
See
probit
and
sigma.
Stopping
rule
is
used
in
this
guideline
synonymously
with
(
1)
a
specific
stopping
criterion
and
(
2)
the
collection
of
all
criteria
determining
when
a
testing
sequence
terminates.
In
particular,
for
the
main
test,
stopping
rule
is
used
in
paragraph
(
e)(
2)(
ii)
of
this
guideline
as
a
shorthand
for
the
criterion
that
relies
on
comparison
of
ratios
to
a
critical
value.
(
d)
Approaches
to
the
determination
of
acute
toxicity.
EPA
recommends
the
Up
and
Down
Procedure
(
UDP)
as
detailed
in
this
guideline
and
adopted
by
the
Organization
for
Economic
Cooperation
and
Development
(
OECD)
as
test
Guideline
425
(
see
paragraph
(
n)(
1)
of
this
guideline
to
assess
acute
oral
toxicity.
This
method
provides
a
point
estimate
of
lethality
and
confidence
interval
around
the
LD50.
Acute
oral
toxicity
testing
may
also
be
performed
using
the
Fixed
Dose
Method
of
OECD
Guideline
420
(
see
paragraph
(
n)(
2)
of
this
guideline)
or
the
Acute
Toxic
Class
Method
of
OECD
Guideline
423
(
see
paragraph
(
n)(
3)
of
this
guideline
These
methods
assess
lethality
within
a
dose
range.
(
e)
Introduction
to
the
UDP
(
1)
Background.
(
i)
The
concept
of
the
up
and
down
testing
approach
was
first
described
by
Dixon
and
Mood
(
see
paragraphs
(
n)(
4)
through
(
n)(
7)
of
this
guideline).
In
1985,
Bruce
proposed
to
use
an
UDP
for
the
determination
of
acute
toxicity
of
chemicals
(
see
paragraph
(
n)(
8)
of
this
guideline).
There
exist
several
variations
of
the
up
and
down
experimental
design
for
estimating
an
LD50.
This
guideline
is
derived
from
the
UDP
of
Bruce
as
adopted
by
the
American
Society
for
Testing
and
Materials
(
ASTM)
in
1987
(
see
paragraph
(
n)(
9)
of
this
guideline)
and
revised
in
1990.
A
study
comparing
the
results
obtained
with
the
UDP,
the
conventional
LD50
test
and
the
Fixed
Dose
Procedure
(
FDP,
OECD
Guideline
420)
was
published
in
1995
(
see
paragraph
(
n)(
10)
of
this
guideline).
(
ii)
The
UDP
described
in
this
guideline
is
of
value
in
minimizing
the
number
of
animals
required
to
estimate
the
acute
oral
toxicity
of
a
chemical.
In
addition
to
the
estimation
of
LD50
and
CI,
the
test
procedure
allows
the
observation
of
signs
of
toxicity.
The
UDP
does
not
provide
information
about
the
slope
of
the
dose
response
curve.
(
iii)
The
guideline
significantly
reduces
the
number
of
animals
used
in
comparison
to
the
traditional
LD50
test,
which
often
required
at
least
30
animals
in
a
test:
(
A)
The
stopping
rule
limits
the
number
of
animals
4
in
a
test;
(
B)
sequential
dosing
introduces
further
efficiencies
in
animal
use;
(
C)
initial
dosing
is
now
set
to
be
below
the
LD50
increasing
the
percentage
of
animals
in
which
dosing
levels
will
be
sublethal
and
thereby
providing
some
reduction
in
pain
and
distress;
and
(
D)
the
use
of
a
single
sex
(
usually
females)
reduces
the
number
of
animals
needed
and
minimizes
the
variability
in
the
test
population.
In
addition,
the
OECD
Guidance
Document
on
Humane
Endpoints
(
see
paragraph
(
n)(
11)
of
this
guideline)
should
be
followed
in
order
to
reduce
the
overall
suffering
of
test
animals
used
in
this
type
of
toxicity
test.
(
2)
Initial
considerations
(
i)
Choice
of
starting
dose
and
dose
progression
factor.
All
available
information
on
the
test
substance
should
be
considered
by
the
testing
laboratory
prior
to
conducting
the
study
in
order
to
determine
if
a
preliminary
estimate
of
the
LD50
and
the
slope
of
the
dose
response
curve
can
be
made.
Because
the
method
has
a
bias
toward
the
starting
dose,
it
is
essential
that
initial
dosing
occur
below
the
LD50.
In
addition,
the
UDP
performs
best
when
the
spacing
between
doses
or
dose
progression
factor
is
based
on
an
accurate
estimate
of
the
slope
of
the
dose
response
curve.
(
See
paragraphs
(
i)(
3)(
ii)
and
(
m)(
1)
of
this
guideline
for
discussion
of
dose
sequences
and
starting
values.)
Initial
information
may
include
the
identity
and
chemical
structure
of
the
substance;
its
physical
chemical
properties;
the
results
of
any
other
in
vitro
or
in
vivo
toxicity
tests
on
the
substance
or
mixtures;
toxicological
data
on
structurally
related
substances
or
similar
mixtures;
and
the
anticipated
use(
s)
of
the
substance.
For
example,
data
from
an
in
vitro
cytotoxicity
assay
can
also
be
useful
as
one
of
the
tools
in
setting
a
starting
dose
for
the
in
vivo
assessment
of
acute
oral
toxicity
(
see
paragraphs
(
n)(
10)
through
(
n)(
12)
of
this
guideline).
(
A
Guidance
Document
on
Using
In
Vitro
Data
to
Estimate
In
Vivo
Starting
Doses
for
Acute
Toxicity
is
available
(
see
paragraph
(
n)(
11)
of
this
guideline),
and
preliminary
information
suggests
that
the
use
of
this
approach
may
further
reduce
the
number
of
animals
used
for
in
vivo
testing
(
see
paragraph
(
n)(
11)
of
this
guideline).
Preliminary
estimates
of
the
LD50
and
the
dose
response
slope
will
help
in
selecting
a
dose
progression
factor
and
a
starting
dose
for
testing.
(
ii)
Default
starting
dose
and
dose
progression
factor.
If
no
information
is
available
to
make
a
preliminary
estimate
of
the
LD50
and
the
slope
of
the
dose
response
curve,
results
of
computer
simulations
have
suggested
that
starting
near
175
mg/
kg
and
using
half
log
units
(
corresponding
to
a
dose
progression
of
3.2)
between
doses
will
produce
the
best
results.
This
starting
dose
should
be
modified
if
the
substance
is
likely
to
be
highly
toxic.
The
half
log
spacing
provides
for
a
more
efficient
use
of
animals,
and
increases
accuracy
in
the
prediction
of
the
LD50
value.
However,
for
chemicals
with
large
variability
(
i.
e.,
shallow
dose
response
slopes),
bias
can
still
be
introduced
in
the
lethality
estimates
and
the
LD50
estimate
will
have
a
large
statistical
error,
similar
to
other
acute
toxicity
methods.
To
correct
for
this,
the
main
test
includes
a
stopping
rule
keyed
5
to
properties
of
the
estimate
rather
than
a
fixed
number
of
test
observations
(
See
paragraph
(
i)(
3)(
iii)
of
this
guideline.)
(
iii)
Delayed
toxicity.
The
method
is
easiest
to
apply
to
materials
that
produce
death
within
one
or
two
days.
The
method
would
not
be
practical
to
use
when
considerably
delayed
death
(
five
days
or
more)
can
be
expected.
(
iv)
Computation.
Computers
are
used
to
facilitate
animal
by
animal
calculations
that
establish
testing
sequences
and
provide
final
estimates.
The
users
of
this
protocol
are
strongly
urged
to
solely
use
the
Agencydeveloped
software
package
(
AOT425StatPgm)
for
performing
the
test
and
the
calculation
of
the
LD
50.
The
software
is
available
on
EPA's
Internet
Web
site
at
http://
www.
epa.
gov/
oppfead1/
harmonized.
(
v)
Humane
practices.
Moribund
animals
or
animals
obviously
in
pain
or
showing
signs
of
severe
and
enduring
distress
shall
be
humanely
killed,
and
are
considered
in
the
interpretation
of
the
test
results
in
the
same
way
as
animals
that
died
on
test.
Criteria
for
making
the
decision
to
kill
moribund
or
severely
suffering
animals,
and
guidance
on
the
recognition
of
predictable
or
impending
death
are
the
subject
of
an
OECD
guidance
document
(
see
paragraph
(
n)(
11)
of
this
guideline).
(
vi)
Limit
test.
A
limit
test
can
be
used
efficiently
to
identify
chemicals
that
are
likely
to
have
low
acute
toxicity.
(
f)
Principle
of
the
limit
test.
The
limit
test
is
a
sequential
test
that
uses
a
maximum
of
5
animals
(
see
paragraphs
(
i)(
2)(
i)
through
(
i)(
2)(
iv)
of
this
guideline).
A
test
dose
of
5000
mg/
kg
is
used.
The
selection
of
a
sequential
test
plan
increases
the
statistical
power
and
also
has
been
made
to
intentionally
bias
the
procedure
towards
rejection
of
the
limit
test
for
compounds
with
LD50s
near
the
limit
dose;
i.
e.,
to
err
on
the
side
of
safety.
As
with
any
limit
test
protocol,
the
probability
of
correctly
classifying
a
compound
will
decrease
as
the
actual
LD50
more
nearly
resembles
the
limit
dose.
(
g)
Principle
of
the
Main
Test.
(
1)
The
main
test
consists
of
a
single
ordered
dose
progression
in
which
animals
are
dosed,
one
at
a
time,
at
48
hour
intervals.
The
first
animal
receives
a
dose
a
step
below
the
level
of
the
best
estimate
of
the
LD50.
If
the
animal
survives,
the
dose
for
the
next
animal
is
increased
to
a
factor
of
one
half
log
times
the
original
dose;
if
it
dies,
the
dose
for
the
next
animal
is
decreased
by
a
similar
dose
progression.
(
Note:
3.2
is
the
default
factor
corresponding
to
a
dose
progression
of
one
half
log
unit
in
the
Agency
developed
software
program
(
AOT425StatPgm).
However,
this
value
may
be
changed.
Paragraphs
(
i)(
3)(
ii)
and
(
m)(
12)
of
this
guideline
provide
further
guidance
for
choice
of
dose
spacing
factor.)
Each
animal
should
be
observed
carefully
for
up
to
48
hours
before
making
a
decision
on
whether
and
how
much
to
dose
the
next
animal.
That
decision
is
based
on
the
48
hour
survival
pattern
6
of
all
the
animals
up
to
that
time.
(
See
paragraphs
(
i)(
3)(
i)
and
(
i)(
3)(
v)
of
this
guideline
on
choice
of
survival
interval.)
A
combination
of
stopping
criteria
is
used
to
keep
the
number
of
animals
low
while
adjusting
the
dosing
pattern
to
reduce
the
effect
of
a
poor
starting
value
or
low
slope
(
see
paragraph
(
i)(
3)(
iv)
of
this
guideline).
Dosing
is
stopped
when
one
of
these
criteria
is
satisfied
(
see
paragraphs
(
i)(
3)(
iii)
and
(
k)(
2)
of
this
guideline),
at
which
time
an
estimate
of
the
LD50
and
a
CI
are
calculated
for
the
test
based
on
the
status
of
all
the
animals
at
termination.
For
most
applications,
testing
will
be
completed
with
only
4
animals
after
initial
reversal
in
animal
outcome.
The
LD50
is
calculated
using
the
method
of
maximum
likelihood
(
see
paragraphs
(
k)(
2)
and
(
k)(
2)(
iii)
of
this
guideline
(
2)
The
results
of
the
main
test
procedure
serve
as
the
starting
point
for
a
computational
procedure
to
provide
a
CI
estimate
where
feasible.
A
description
of
the
basis
for
this
CI
is
outlined
in
paragraph
(
k)(
3)
of
this
guideline.
(
h)
Preparation
for
testing
(
1)
Selection
of
animals
species.
The
preferred
rodent
species
is
the
rat
although
other
rodent
species
may
be
used.
(
2)
Single
sex
selection.
The
test
is
conducted
using
a
single
sex
in
order
to
reduce
variability
and
as
a
means
of
minimizing
the
number
of
animals
used.
Either
sex
may
be
used,
however,
if
there
is
information
available
indicating
differences
in
sensitivity,
the
most
sensitive
sex
(
usually
females)
should
be
tested
(
see
paragraph
(
n)(
11)
of
this
guideline).
(
i)
Literature
surveys
of
conventional
LD50
tests
show
that
usually
there
is
little
difference
in
sensitivity
between
the
sexes
but,
in
those
cases
where
differences
were
observed,
females
were
often
slightly
more
sensitive
(
see
paragraph
(
n)(
10)
of
this
guideline).
For
chemicals
that
are
direct
acting
in
their
toxic
mechanism,
female
rats
may
have
a
lower
detoxification
capacity
than
males,
as
measured
by
specific
activity
of
phase
I
and
II
enzymes.
However,
all
available
information
should
be
evaluated,
for
example
on
chemical
analogues
and
the
results
of
testing
for
other
toxicological
endpoints
on
the
chemical
itself,
as
this
may
indicate
that
males
may
be
more
sensitive
than
females.
Knowledge
that
metabolic
activation
is
required
for
a
chemical's
toxicity
can
also
indicate
that
males
may
be
the
more
sensitive
sex.
(
ii)
Occasionally,
the
results
of
subsequent
testing,
for
example
a
subchronic
test,
may
raise
concerns
that
the
more
sensitive
sex
had
not
been
used.
In
such
cases,
and
only
when
considerable
differences
between
the
sexes
are
suspected,
it
may
be
necessary
to
conduct
another
full
acute
oral
toxicity
study
in
the
second
sex.
This
is
preferable
to
conducting
confirmatory
testing
in
a
small
group
of
animals
of
the
second
sex
as
a
late
satellite
to
the
original
test
because
there
is
a
strong
possibility
that
this
7
would
produce
results
that
are
difficult
to
interpret.
The
impact
of
conducting
a
second
full
test
on
the
overall
number
of
animals
used
in
acute
toxicity
testing
should
be
small
because
re
testing
is
anticipated
to
be
infrequent
and
the
results
of
the
test
in
one
sex,
together
with
data
from
any
subsequent
studies,
will
greatly
assist
in
the
selection
of
starting
doses
closer
to
the
LD50
in
the
second
test.
(
3)
Age
and
weight
ranges.
Healthy
young
adult
animals
of
commonly
used
laboratory
strains
should
be
employed.
Females
should
be
nulliparous
and
non
pregnant.
At
the
commencement
of
its
dosing,
each
animal
should
be
between
8
weeks
and
12
weeks
old.
In
order
to
minimize
the
contribution
of
developmental
variability
to
study
outcome,
10
weeks,
with
a
range
of
±
1
week
is
recommended
if
practical.
The
weight
of
each
animal
should
fall
in
an
interval
±
20%
of
the
mean
initial
weight
of
all
previously
dosed
animals.
(
4)
Housing
and
feeding
conditions.
The
temperature
in
the
experimental
animal
room
should
be
22
°
C
(
±
3
°
C).
The
relative
humidity
should
be
at
least
30%
and
preferably
not
exceed
70%
other
than
during
room
cleaning.
Lighting
should
be
artificial,
the
sequence
being
12
hours
light
and
12
hours
dark.
The
animals
are
housed
individually.
For
feeding,
conventional
rodent
laboratory
diets
may
be
used
with
an
unlimited
supply
of
drinking
water.
(
5)
Preparation
of
animals.
The
animals
are
randomly
selected,
marked
to
permit
individual
identification,
and
kept
in
their
cages
for
at
least
5
days
prior
to
dosing
to
allow
for
acclimatization
to
the
laboratory
conditions.
As
with
other
sequential
test
designs,
care
must
be
taken
to
ensure
that
animals
are
available
in
the
appropriate
size
and
age
range
for
the
entire
study.
(
6)
Preparation
of
doses.
(
i)
When
necessary,
the
test
substance
is
dissolved
or
suspended
in
a
suitable
vehicle.
The
use
of
an
aqueous
solution
suspension/
emulsion
is
recommended
wherever
possible,
followed
in
order
of
preference
by
a
solution/
suspension/
emulsion
in
oil
(
e.
g.
corn
oil)
and
then
possibly
solution
in
other
vehicles.
For
vehicles
other
than
water
the
toxicological
characteristics
of
the
vehicle
should
be
known.
Dosing
preparations
must
be
prepared
shortly
prior
to
administration
unless
the
stability
of
the
preparation
over
the
period
during
which
it
will
be
used
is
known.
Where
preparation
shortly
before
administration
is
not
practicable
and
the
stability
of
the
preparation
is
not
known,
this
will
need
to
be
demonstrated
analytically.
(
ii)
Constant
concentration
should
be
used
in
dosing
unless
there
is
clear
scientific
or
regulatory
justification
for
not
doing
so.
The
maximum
dose
volume
for
administration
must
not
be
exceeded.
The
maximum
volume
of
liquid
that
can
be
administered
at
one
time
depends
on
the
size
of
the
test
animal.
In
rodents,
the
volume
should
not
normally
exceed
8
1
ml/
100g
of
body
weight;
however,
in
the
case
of
aqueous
solutions,
2
ml/
100g
body
weight
can
be
considered.
(
7)
Administration
of
doses.
(
i)
The
test
substance
is
administered
in
a
single
dose
by
gavage
using
a
stomach
tube
or
a
suitable
intubation
cannula.
In
the
unusual
circumstance
that
a
single
dose
is
not
possible,
the
dose
may
be
given
in
smaller
fractions
over
a
period
not
exceeding
24
hours.
(
ii)
Animals
should
be
fasted
prior
to
dosing
(
e.
g.,
with
the
rat,
food
but
not
water
should
be
withheld
overnight;
with
the
mouse,
food
but
not
water
should
be
withheld
for
3
4
hours).
Following
the
period
of
fasting,
the
animals
should
be
weighed
and
the
test
substance
administered.
The
fasted
body
weight
of
each
animal
is
determined
and
the
dose
is
calculated
according
to
the
body
weight.
After
the
substance
has
been
administered,
food
may
be
withheld
for
a
further
3
4
hours
in
rats
or
1
2
hours
in
mice.
Where
a
dose
is
administered
in
fractions
over
a
period
of
time,
it
may
be
necessary
to
provide
the
animals
with
food
and
water
depending
on
the
length
of
the
period.
(
i)
The
up
and
down
testing
procedure
(
1)
Choice
of
limit
test
and
main
test.
The
limit
test
is
primarily
used
in
situations
where
the
experimenter
has
information
indicating
that
the
test
material
is
likely
to
be
nontoxic,
i.
e.,
having
toxicity
below
regulatory
limit
doses.
Information
about
the
toxicity
of
the
test
material
can
be
gained
from
knowledge
about
similar
tested
compounds
or
similar
tested
mixtures
or
products,
taking
into
consideration
the
identity
and
percentage
of
components
known
to
be
of
toxicological
significance.
In
those
situations
where
there
is
little
or
no
information
about
its
toxicity,
or
in
which
the
test
material
is
expected
to
be
toxic,
the
main
test
should
be
performed.
(
2)
Implementation
of
the
limit
test.
(
i)
The
Agency
has
developed
dedicated
software
for
performing
the
test
and
calculation
of
test
results
(
see
paragraph
(
e)
(
2)(
iv)
of
this
guideline).
(
ii)
Dose
one
animal
at
5000
mg/
kg.
If
the
animal
dies,
conduct
the
main
test
starting
at
175
mg/
kg
to
determine
the
LD50.
If
the
animal
survives
dose
two
additional
animals.
If
both
animals
survive,
the
LD50
is
greater
than
the
limit
dose
and
the
test
is
terminated
(
i.
e.
carried
to
full
14
day
observation
without
dosing
of
further
animals).
If
one
or
both
animals
die,
then
dose
an
additional
two
animals,
one
at
a
time.
If
an
animal
unexpectedly
dies
late
in
the
study,
and
there
are
other
survivors,
it
is
appropriate
to
stop
dosing
and
observe
all
animals
to
see
if
other
animals
will
also
die
during
a
similar
observation
period
(
see
paragraph
(
g)(
1)
of
this
guideline
for
initial
observation
period).
Late
deaths
should
be
counted
the
same
as
other
deaths.
The
results
are
evaluated
as
follows
(
O=
survival
and
X=
death).
9
(
iii)
The
LD50
is
less
than
the
test
dose
(
5000
mg/
kg)
when
three
or
more
animals
die.
If
a
third
animal
dies,
conduct
the
main
test.
O
XO
XX
O
OX
XX
O
XX
OX
O
XX
X
(
iv)
The
LD50
is
greater
than
the
test
dose
(
5000
mg/
kg)
when
three
or
more
animals
survive.
O
OO
O
XO
XO
O
XO
O
O
OX
XO
O
OX
O
O
XX
OO
(
v)
If
a
limit
test
is
performed
at
2000
mg/
kg,
animals
should
be
dosed
sequentially
and
testing
should
be
performed
on
all
five
animals.
(
3)
Implementation
of
the
main
test.
(
i)
The
Agency
has
developed
dedicated
software
for
performing
the
test
and
calculation
of
test
results
(
see
paragraph
(
e)
(
2)(
iv)
of
this
guideline).
(
ii)
Performing
the
UDP.
Single
animals
are
dosed
in
sequence
usually
at
48
hour
intervals.
However,
the
time
interval
between
dosing
is
determined
by
the
onset,
duration,
and
severity
of
toxic
signs.
Treatment
of
an
animal
at
the
next
dose
should
be
delayed
until
one
is
confident
of
survival
of
the
previously
dosed
animal.
The
time
interval
may
be
adjusted
as
appropriate,
e.
g.,
in
case
of
inconclusive
response.
The
test
is
simpler
to
implement
when
a
single
time
interval
is
used
for
making
sequential
dosing
decisions.
Nevertheless,
it
is
not
necessary
to
recalculate
dosing
or
likelihood
ratios
if
the
time
interval
changes
midtest.
For
selecting
the
starting
dose,
all
available
information,
including
information
on
structurally
related
substances
and
results
of
any
other
toxicity
tests
on
the
test
material,
should
be
used
to
approximate
the
LD50
as
well
as
the
slope
of
the
dose
response
curve.
(
iii)
Choice
of
starting
dose
and
dose
progression.
The
first
animal
is
dosed
a
step
below
the
toxicologist's
best
estimate
of
the
LD50.
If
the
animal
survives,
the
second
animal
receives
a
higher
dose.
If
the
first
animal
dies
or
appears
moribund,
the
second
animal
receives
a
lower
dose.
The
same
dosing
decision
pattern
is
followed
for
each
subsequent
animal.
10
The
dose
progression
factor
should
be
chosen
to
be
the
antilog
of
1/(
the
estimated
slope
of
the
dose
response
curve)
(
a
progression
of
3.2
corresponds
to
a
slope
of
2)
and
should
remain
constant
throughout
testing.
Thus,
when
there
is
no
information
on
the
slope
of
the
substance
to
be
tested,
a
default
dose
progression
factor
of
3.2
is
used.
Using
the
default
progression
factor,
doses
would
be
selected
from
the
sequence
1.75,
5.5,
17.5,
55,
175,
550,
1750,
5000.
If
no
estimate
of
the
substance's
lethality
is
available,
dosing
should
be
initiated
at
175
mg/
kg.
In
most
cases,
this
dose
is
sublethal
and
therefore
serves
to
reduce
the
level
of
pain
and
suffering
If
animal
tolerances
to
the
chemical
are
expected
to
be
highly
variable
(
i.
e.,
slopes
are
expected
to
be
less
than
2.0),
consideration
should
be
given
to
increasing
the
dose
progression
factor
beyond
the
default
0.5
on
a
log
dose
scale
(
i.
e.,
3.2
progression
factor)
prior
to
starting
the
test.
Similarly,
for
test
substances
known
to
have
very
steep
slopes,
dose
progression
factors
smaller
than
the
default
should
be
chosen.
(
Paragraph
(
m)(
3)
of
this
guideline
relates
choice
of
dose
progression
to
assumed
slope
and
sigma
and
discusses
test
performance.
Paragraph
(
m)(
1)
of
this
guideline
includes
a
table
of
dose
progressions
for
whole
number
slopes
ranging
from
1
to
8
with
starting
dose
175
mg/
kg.)
(
iv)
Stopping
rules.
Dosing
continues
depending
on
the
fixed
time
interval
(
e.
g.,
48
hours)
outcomes
of
all
the
animals
up
to
that
time.
The
testing
stops
when
one
of
the
following
stopping
criteria
first
is
met:
(
A)
3
consecutive
animals
survive
at
the
upper
bound;
(
B)
5
reversals
occur
in
any
6
consecutive
animals
tested;
(
C)
At
least
4
animals
have
followed
the
first
reversal
and
the
specified
likelihood
ratios
exceed
the
critical
value.
(
See
paragraphs
(
k)(
2)(
iv)
and
(
m)(
2)
of
this
guideline).
Calculations
are
made
at
each
dosing,
following
the
fourth
animal
after
the
first
reversal.).
(
v)
Total
number
of
doses.
For
a
wide
variety
of
combinations
of
LD50
and
slopes,
stopping
rule
in
paragraph
(
i)(
3)(
iii)(
C)
of
this
guideline
will
be
satisfied
with
4
to
6
animals
after
the
test
reversal.
In
some
cases
for
chemicals
with
shallow
slope
dose
response
curves,
additional
animals
(
up
to
a
total
of
fifteen
tested)
may
be
needed.
(
vi)
Calculation.
When
the
stopping
criteria
have
been
attained,
the
estimated
LD50
should
be
calculated
from
the
animal
outcomes
at
test
termination
using
the
method
described
in
paragraphs
(
k)(
1)(
i)
and
(
k)(
2)(
i)
of
this
guideline.
(
vii)
Humane
practices.
Moribund
animals
killed
for
humane
reasons
are
considered
in
the
same
way
as
animals
that
died
on
test.
If
an
animal
unexpectedly
dies
late
in
the
study
and
there
are
other
survivors
at
that
dose
or
above,
it
is
appropriate
to
stop
dosing
and
observe
all
animals
to
see
if
other
animals
will
also
die
during
a
similar
observation
period.
11
If
subsequent
survivors
also
die,
and
it
appears
that
all
dose
levels
exceed
the
LD50
it
would
be
most
appropriate
to
start
the
study
again
beginning
at
least
two
steps
below
the
lowest
dose
with
deaths
(
and
increasing
the
observation
period)
since
the
technique
is
most
accurate
when
the
starting
dose
is
below
the
LD50.
If
subsequent
animals
survive
at
or
above
the
dose
of
the
animal
that
dies,
it
is
not
necessary
to
change
the
dose
progression
since
the
information
from
the
animal
that
has
now
died
will
be
included
into
the
calculations
as
a
death
at
a
lower
dose
than
subsequent
survivors,
pulling
the
LD50
down.
(
j)
Observations.
Animals
are
observed
individually
at
least
once
during
the
first
30
minutes
after
dosing,
periodically
during
the
first
24
hours
(
with
special
attention
given
during
the
first
4
hours),
and
daily
thereafter,
for
a
total
of
14
days,
except
where
they
need
to
be
removed
from
the
study
and
humanely
killed
for
animal
welfare
reasons
or
are
found
dead.
However,
the
duration
of
observation
should
not
be
fixed
rigidly
It
should
be
determined
by
the
toxic
reactions
and
time
of
onset
and
length
of
recovery
period,
and
may
thus
be
extended
when
considered
necessary
The
times
at
which
signs
of
toxicity
appear
and
disappear
are
important
especially
if
there
is
a
tendency
for
toxic
signs
to
be
delayed
(
see
paragraph
(
n)(
15)
of
this
guideline).
All
observations
of
toxic
signs
are
systematically
recorded
with
individual
records
being
maintained
for
each
animal.
Additional
observations
will
be
necessary
if
the
animals
continue
to
display
signs
of
toxicity.
(
1)
Toxic
signs.
Observations
should
include
changes
in
skin
and
fur,
eyes
and
mucous
membranes,
and
also
respiratory,
circulatory,
autonomic
and
central
nervous
systems,
and
somatomotor
activity
and
behavior
pattern
Attention
should
be
directed
to
observations
of
tremors,
convulsions,
salivation,
diarrhea,
lethargy,
sleep
and
coma.
The
principles
and
criteria
summarized
in
the
Humane
Endpoints
Guidance
Document
(
see
paragraph
(
n)(
11)
of
this
guideline)
should
be
taken
into
consideration.
Animals
found
in
a
moribund
condition
and
animals
showing
severe
pain
and
enduring
signs
of
severe
distress
should
be
humanely
killed.
When
animals
are
killed
for
humane
reasons
or
found
dead,
the
time
of
death
should
be
recorded
as
precisely
as
possible.
(
2)
Body
weight.
Individual
weights
of
animals
should
be
determined
shortly
before
the
test
substance
is
administered
and
at
least
weekly
thereafter
Weight
changes
should
be
calculated
and
recorded.
At
the
end
of
the
test
surviving
animals
are
weighed
and
then
humanely
killed.
(
3)
Pathology.
All
animals
(
including
those
which
die
during
the
test
or
are
removed
from
the
study
for
animal
welfare
reasons)
should
be
subjected
to
gross
necropsy.
All
gross
pathological
changes
should
be
recorded
for
each
animal.
Microscopic
examination
of
organs
showing
evidence
of
gross
pathology
in
animals
surviving
24
or
more
hours
after
the
12
initial
dosing
may
also
be
considered
because
it
may
yield
useful
information
(
k)
Data
and
reporting
(
1)
Data.
Individual
animal
data
should
be
provided.
Additionally,
all
data
should
be
summarized
in
tabular
form,
showing
for
each
test
dose
the
number
of
animals
used,
the
number
of
animals
displaying
signs
of
toxicity
(
see
paragraph
(
n)(
15)
of
this
guideline
the
number
of
animals
found
dead
during
the
test
or
killed
for
humane
reasons,
time
of
death
of
individual
animals,
a
description
and
the
time
course
of
toxic
effects
and
reversibility,
and
necropsy
findings.
A
rationale
for
the
starting
dose
and
the
dose
progression
and
any
data
used
to
support
this
choice
should
be
provided.
(
2)
Calculation
of
LD50
for
the
main
test
(
i)
Maximum
likelihood
The
LD50
is
calculated
using
the
maximum
likelihood
method,
except
in
the
exceptional
cases
described
in
paragraphs
(
k)(
2)(
ii)
and
(
m)(
3)
of
this
guideline.
The
Agency
developed
software
program
(
AOT425StatPgm)
available
on
EPA's
Internet
Web
site
at
http://
www.
epa.
gov/
oppfead1/
harmonized
should
be
used
to
perform
this
calculation
The
following
statistical
details
may
be
helpful
in
implementing
the
maximum
likelihood
calculations
suggested
(
with
an
assumed
sigma).
All
deaths,
whether
immediate
or
delayed
or
humane
kills,
are
incorporated
for
the
purpose
of
the
maximum
likelihood
analysis.
Following
Dixon
(
see
paragraph
(
n)(
5)
of
this
guideline),
the
likelihood
function
is
written
as
follows:
L
=
L1
L2
....
Ln
,
where
L
is
the
likelihood
of
the
experimental
outcome,
given
µ
and
sigma,
and
n
the
total
number
of
animals
tested.
Li
=
1
F(
Zi)
if
the
ith
animal
survived,
or
Li
=
F(
Zi)
if
the
ith
animal
died,
where
F
=
cumulative
standard
normal
distribution,
Zi
=
[
log(
di)
µ
]
/
sigma
di
=
dose
given
to
the
ith
animal,
and
sigma
=
standard
deviation
in
log
units
of
dose
(
which
is
not
the
log
standard
deviation).
An
estimate
of
the
log
of
the
true
LD50
is
given
by
the
value
of
µ
that
maximizes
the
likelihood
L
(
see
paragraph
(
k)(
2)(
iii)
of
this
guideline
13
An
estimate
of
sigma
of
0.5
is
used
unless
a
better
generic
or
casespecific
value
is
available.
(
ii)
Special
circumstances.
Under
some
circumstances,
statistical
computation
will
not
be
possible
or
will
likely
give
erroneous
results.
Special
means
to
determine/
report
an
estimated
LD50
are
available
for
these
circumstances
as
described
in
the
following
paragraphs
(
k)(
2)(
ii)(
A),
(
k)(
2)(
ii)(
B),
and
(
k)(
2)(
ii)(
C).
If
none
of
these
situations
occurs,
then
the
LD50
is
calculated
using
the
maximum
likelihood
method.
(
A)
If
testing
stopped
based
on
the
criterion
in
paragraph
(
i)(
3)(
iii)(
C)
of
this
guideline
(
i.
e.,
a
boundary
dose
was
tested
repeatedly),
or
if
the
upper
bound
dose
ended
testing,
then
the
LD50
is
reported
to
be
above
the
upper
bound.
(
B)
If
all
the
dead
animals
have
higher
doses
than
all
the
live
animals
(
or
if
all
live
animals
have
higher
doses
than
all
the
dead
animals,
although
this
is
practically
unlikely),
then
the
LD50
is
between
the
doses
for
the
live
and
the
dead
animals.
These
observations
give
no
further
information
on
the
exact
value
of
the
LD50.
Still,
a
maximum
likelihood
LD50
estimate
can
be
made
provided
there
is
a
prior
value
for
sigma.
The
LD50
estimate
is
only
as
good
as
the
validity
of
the
assumed
signa.
However,
Case
3
as
described
in
paragraph
(
m)(
3)(
iii)
of
this
guideline
and
here
is
most
likely
to
occur
because
the
dose
progression
(
based
on
the
assumed
signma)
is
too
wide.
The
stopping
criterion
in
paragraph
(
i)(
3)(
iii)(
C)
describes
one
such
circumstance.
(
C)
If
the
live
and
dead
animals
have
only
one
dose
in
common
and
all
the
other
dead
animals
have
higher
doses
and
all
the
other
live
animals
lower
doses,
or
vice
versa,
then
the
LD50
equals
their
common
dose.
If
a
closely
related
substance
is
tested,
testing
should
proceed
with
a
smaller
dose
progression.
(
iii)
Maximum
likelihood
calculation.
Maximum
likelihood
calculation
should
be
performed
using
a
dedicated
program
developed
by
and
available
from
EPA
(
see
paragraph
(
n)(
16)
of
this
guideline).
If
other
computer
programs
are
used,
the
laboratory
should
take
care
in
handling
special
cases
described
in
this
guideline
and
the
documentation
of
test
performance
available
on
EPA's
Internet
Web
site
at
http://
www.
epa.
gov/
oppfead1/
harmonized.
Typical
instructions
for
these
packages
are
given
in
appendices
to
the
ASTM
Standard
E
1163
87
(
see
paragraph
(
n)(
9)
of
this
guideline).
(
The
sigma
used
in
the
BASIC
program
in
(
see
paragraph
(
n)(
9)
of
this
guideline)
will
need
to
be
edited
to
reflect
the
parameters
of
the
UDP.)
The
program's
output
is
an
estimate
of
log
(
LD50)
and
its
standard
error.
(
iv)
Stopping
rule.
The
likelihood
ratio
stopping
rule
in
paragraph
(
i)(
3)(
iii)(
C)
of
this
guideline
is
based
on
three
measures
of
test
progress,
that
are
of
the
form
of
the
likelihood
in
paragraph
(
k)(
2)
of
this
guideline,
14
with
different
values
for
µ
.
Comparisons
are
made
after
each
animal
tested
after
the
sixth
that
does
not
already
satisfy
the
criteria
in
paragraph
(
i)(
3)(
iii)(
A)
or
paragraph
(
i)(
3)(
iii)(
B)
guideline.
The
equations
for
the
likelihood
ratio
criteria
are
provided
by
following
the
steps
in
paragraph
(
m)(
2)(
vii)
of
this
guideline.
These
comparisons
are
most
readily
performed
in
an
automated
manner
and
can
be
executed
repeatedly,
for
instance
by
a
spreadsheet
routine
such
as
that
also
provided
in
paragraph
(
m)(
2)(
vii)
of
this
guideline.
If
the
criterion
is
met,
testing
stops
and
the
LD50
can
be
calculated
by
the
maximum
likelihood
method.
(
3)
Computation
of
CI.
(
i)
Following
the
main
test
and
estimated
LD50
calculation,
it
may
be
possible
to
compute
interval
estimates
for
the
LD50.
The
Agency
developed
software
program
AOT425StatPgm
will
perform
the
calculations.
Any
of
these
CIs
provides
valuable
information
on
the
reliability
and
utility
of
the
main
test
that
was
conducted.
A
wide
CI
indicates
that
there
is
more
uncertainty
associated
with
the
estimated
LD50.
In
this
case,
the
reliability
of
the
estimated
LD50
is
low
and
the
usefulness
of
the
estimated
LD50
may
be
marginal.
A
narrow
interval
indicates
that
there
is
relatively
little
uncertainty
associated
with
the
estimated
LD50.
In
this
case,
the
reliability
of
the
estimated
LD50
is
high
and
the
usefulness
of
the
estimated
LD50
is
good.
This
means
that
if
the
main
test
were
to
be
repeated,
the
new
estimated
LD50
is
expected
to
be
close
to
the
original
estimated
LD50
and
both
of
these
estimates
are
expected
to
be
close
to
the
true
LD50.
(
ii)
Depending
on
the
outcome
of
the
main
test,
one
of
two
different
types
of
interval
estimates
of
the
true
LD50
is
calculated:
(
A)
When
at
least
three
different
doses
have
been
tested
and
the
middle
dose
has
at
least
one
animal
that
survived
and
one
animal
that
died,
a
profile
likelihood
based
computational
procedure
is
used
to
obtain
a
CI
that
is
expected
to
contain
the
true
LD50
95%
of
the
time.
However,
because
small
numbers
of
animals
are
expected
to
be
used,
the
actual
level
of
confidence
is
generally
not
exact
(
see
paragraph
(
n)(
19)
of
this
guideline
The
random
stopping
rule
improves
the
ability
of
the
test
overall
to
respond
to
varying
underlying
conditions,
but
also
causes
the
reported
level
of
confidence
and
the
actual
level
of
confidence
to
differ
somewhat
(
see
paragraph
(
n)(
18)
of
this
guideline).
(
B)
If
all
animals
survive
at
or
below
a
given
dose
level
and
all
animals
die
when
dosed
at
the
next
higher
dose
level,
an
interval
is
calculated
that
has
as
its
lower
limit
the
highest
dose
tested
where
all
the
animals
survive
and
has
as
its
upper
limit
the
dose
level
where
all
the
animals
died.
This
interval
is
labeled
as
``
approximate.''
The
exact
confidence
level
associated
with
this
interval
cannot
be
specifically
determined.
However
because
this
type
of
response
would
only
occur
when
the
dose
response
is
steep,
in
most
cases,
the
true
LD50
is
expected
to
be
contained
15
within
the
calculated
interval
or
be
very
close
to
it.
This
interval
will
be
relatively
narrow
and
sufficiently
accurate
for
most
practical
use.
(
iii)
In
some
instances,
CIs
are
reported
as
infinite,
through
including
either
zero
at
the
lower
end
or
infinity
at
the
upper
end,
or
both.
Such
intervals
may
occur,
for
example,
when
the
response
profile
is
relatively
flat
or
relatively
uncertain.
(
iv)
Implementing
this
set
of
procedures
requires
specialized
computation
which
is
either
by
use
of
a
dedicated
program
to
be
available
through
the
Environmental
Protection
Agency
(
EPA)
or
OECD
or
developed
following
technical
details
available
from
the
EPA
or
OECD.
Achieved
coverage
of
these
intervals
and
properties
of
the
dedicated
program
are
described
in
a
report
(
see
paragraph
(
n)(
16)
of
this
guideline)
also
available
through
the
EPA.
Paragraph
(
m)(
3)
of
this
guideline
provides
information
on
choice
of
dose
progression
and
initial
dose
level
for
the
UDP
and
describes
test
performance
under
a
variety
of
circumstances.
(
l)
Test
reporting.
The
test
report
must
include
the
following
information
(
1)
Test
substance:
(
i)
Physical
nature,
purity
and
physicochemical
properties
(
including
isomerization);
(
ii)
Identification
data.
(
2)
Vehicle
(
if
appropriate):
Justification
for
choice
of
vehicle,
if
other
than
water.
(
3)
Test
animals:
(
i)
Species/
strain
used;
(
ii)
Microbiological
status
of
the
animals,
when
known;
(
iii)
Number,
age
and
sex
of
animals;
(
iv)
Rationale
for
use
of
males
instead
of
females;
(
v)
Source,
housing
conditions,
diet,
etc.;
(
vi)
Individual
weights
of
animals
at
the
start
of
the
test,
at
day
7,
and
at
day
14.
(
4)
Test
conditions:
(
i)
Rationale
for
initial
dose
level
selection,
dose
progression
factor
and
for
follow
up
dose
levels;
(
ii)
Details
of
test
substance
formulation;
16
(
iii)
Details
of
the
administration
of
the
test
substance;
(
iv)
Details
of
food
and
water
quality
(
including
diet
type/
source,
water
source).
(
5)
Results:
(
i)
Body
weight/
body
weight
changes;
(
ii)
Tabulation
of
response
data
by
sex
(
if
both
sexes
are
used)
and
dose
level
for
each
animal
(
i.
e.,
animals
showing
signs
of
toxicity
including
nature,
severity,
duration
of
effects,
and
mortality);
(
iii)
Time
course
of
onset
of
signs
of
toxicity
and
whether
these
were
reversible
for
each
animal;
(
iv)
Necropsy
findings
and
any
histopathological
findings
for
each
animal,
if
available;
(
v)
LD50
and
CI
(
which
the
AOT425StatPgm
software
package
uses);
(
vi)
Statistical
treatment
of
results
(
description
of
computer
routine
used
and
spreadsheet
tabulation
of
calculations).
If
other
than
Agency
supplied
software
is
used,
give
explanation
of
now
the
program
was
verified
against
Agency
software.
(
6)
Discussion
and
interpretation
of
results.
(
7)
Conclusions.
(
m)
Additional
guidance
for
toxicologists
(
1)
Dosing
procedure
dose
sequence
for
main
test.
(
i)
Up
and
down
dosing
procedure.
For
each
run,
animals
are
dosed,
one
at
a
time,
usually
at
48
hour
intervals.
The
first
animal
receives
a
dose
a
step
below
the
level
of
the
best
estimate
of
the
LD50.
This
selection
reflects
an
adjustment
for
a
tendency
to
bias
away
from
the
LD50
in
the
direction
of
the
initial
starting
dose
in
the
final
estimate
(
see
paragraph
(
e)(
2)(
ii)
of
the
guideline).
The
overall
pattern
of
outcomes
is
expected
to
stabilize
as
dosing
is
adjusted
for
each
subsequent
animal.
Paragraph
(
m)(
1)(
iii)
of
this
guideline
provides
further
guidance
for
choice
of
dose
spacing
factor.
(
ii)
Default
dose
progression.
Once
the
starting
dose
and
dose
spacing
are
decided,
the
toxicologist
should
list
all
possible
doses
including
the
upper
bound
(
usually
2000
or
5000
mg/
kg).
Doses
that
are
close
to
the
upper
bound
should
be
removed
from
the
progression.
The
stepped
nature
of
the
UDP
design
provides
for
the
first
few
doses
to
function
as
a
selfadjusting
sequence.
Because
of
the
tendency
for
positive
bias,
in
the
event
that
nothing
is
known
about
the
substance,
a
starting
dose
of
175
mg/
kg
is
recommended.
If
the
default
procedure
is
to
be
used
for
the
main
test,
dosing
will
be
initiated
at
175
mg/
kg
and
doses
will
be
spaced
by
a
factor
of
0.5
on
a
log
dose
scale.
The
doses
to
be
used
include
1.75,
17
5.5,
17.5,
55,
175,
550,
2000
or,
for
specific
regulatory
needs,
1.75,
5.5,
17.5,
55,
175,
550,
1750,
5000.
For
certain
highly
toxic
substances,
the
dosing
sequence
may
need
to
be
extended
to
lower
values.
(
iii)
In
the
event
a
dose
progression
factor
other
than
the
default
is
deemed
suitable,
the
following
Table
1
provides
dose
progressions
for
whole
number
multiples
of
slope,
from
1
to
8.
(
See
paragraph
(
m)(
3)
of
this
guideline
for
discussion
of
influence
of
dose
progression
on
test
performance
18
Table
1.
Dose
Progressions
for
UDP
(
Choose
a
Slope
and
Read
Down
the
Column.
All
doses
in
mg/
kg
body
weight)
Slope
=
1
2
3
4
5
6
7
8
0.175*
0.175*
0.175*
0.175*
0.175*
0.175*
0.175*
0.175*
......................
......................
......................
......................
......................
......................
0.243*
0.233*
......................
......................
......................
......................
0.28
0.26
......................
......................
......................
......................
......................
0.31
......................
......................
0.34
0.31
......................
......................
0.38
......................
......................
0.38
......................
......................
......................
......................
......................
......................
......................
......................
......................
0.41
......................
......................
......................
......................
0.44
......................
0.47
......................
......................
0.55
......................
.55
......................
0.55
......................
0.55
......................
......................
......................
0.70
......................
0.65
......................
......................
......................
......................
......................
......................
......................
0.74
......................
......................
.81
......................
......................
.81
......................
......................
......................
......................
......................
0.98
......................
......................
0.91
0.98
......................
......................
......................
......................
110
1.19
......................
......................
......................
......................
......................
......................
......................
......................
1.26
1.31
1.75
1.75
1.75
1.75
1.75
1.75
1.75
1.75
......................
......................
......................
......................
......................
......................
2.43
2.33
......................
......................
......................
......................
2.8
2.6
......................
......................
......................
......................
......................
3.1
......................
......................
3.4
3.1
......................
......................
3.8
......................
......................
3.8
......................
......................
......................
......................
......................
......................
4.4
......................
......................
4.1
......................
......................
......................
......................
......................
......................
4.7
......................
......................
5.5
......................
5.5
5.5
......................
5.5
......................
......................
......................
......................
7.0
......................
6.5
......................
......................
......................
......................
......................
......................
......................
......................
7.4
......................
......................
8.1
......................
......................
8.1
......................
......................
......................
......................
......................
9.8
......................
......................
9.1
9.8
......................
......................
......................
......................
11.0
11.9
......................
......................
......................
......................
......................
......................
......................
......................
12.6
13.1
17.5
17.5
17.5
17.5
17.5
17.5
17.5
17.5
......................
......................
......................
......................
......................
......................
24.3
23.3
......................
......................
......................
......................
28
26
......................
......................
......................
......................
......................
31
......................
......................
34
31
......................
......................
38
......................
......................
38
......................
......................
......................
......................
......................
......................
44
......................
......................
41
......................
......................
......................
......................
......................
......................
47
......................
......................
55
......................
55
......................
55
......................
55
......................
......................
......................
......................
......................
......................
65
......................
......................
......................
......................
......................
70
......................
......................
74
......................
......................
81
......................
......................
81
......................
......................
......................
......................
......................
98
......................
......................
91
98
......................
......................
......................
......................
110
119
......................
......................
......................
......................
......................
......................
......................
......................
126
131
175
175
175
175
175
175
175
175
......................
......................
......................
......................
......................
......................
243
233
......................
......................
......................
......................
280
260
......................
......................
......................
......................
......................
310
......................
......................
340
310
......................
......................
380
......................
......................
380
......................
......................
......................
......................
......................
......................
440
......................
......................
410
......................
......................
......................
......................
......................
......................
470
......................
......................
550
......................
550
......................
550
......................
550
......................
......................
......................
......................
......................
......................
650
......................
......................
......................
......................
......................
700
......................
......................
740
......................
......................
810
......................
......................
810
......................
......................
......................
......................
......................
980
......................
......................
910
980
......................
......................
......................
......................
1100
1190
......................
......................
......................
......................
......................
......................
......................
......................
1260
1310
1750
1750
1750
1750
1750
1750
1750
1750
......................
......................
......................
......................
......................
......................
2430
2330
......................
......................
......................
......................
2800
2600
......................
......................
......................
......................
......................
3100
......................
......................
......................
3100
......................
......................
......................
......................
......................
3800
3400
......................
......................
......................
......................
......................
......................
......................
......................
4100
5000
5000
5000
5000
5000
5000
5000
5000
*
If
lower
doses
are
needed,
continue
progressions
to
a
lower
dose
(
2)
Computations
for
the
likelihood
ratio
stopping
rules.
(
i)
As
described
in
paragraph
(
i)(
3)(
iii)
of
this
guideline,
the
main
test
may
be
completed
on
the
basis
of
the
first
of
three
stopping
criteria
to
occur.
In
any
case,
even
if
none
of
the
stopping
criteria
is
satisfied,
dosing
would
stop
when
15
animals
are
dosed.
Tables
2,
4,
and
6
in
paragraphs
(
m)(
2)(
ii),
(
m)(
2)(
iii),
and
(
m)(
2)(
iv),
respectively,
of
this
guideline
illustrate
examples
where
testing
has
started
with
no
information,
so
the
rec
19
ommended
default
starting
value,
175
mg/
kg,
and
the
recommended
default
dose
progression
factor,
3.2
or
one
half
log,
have
been
used.
Tables
3,
5,
and
7
in
paragraphs
(
m)(
2)(
ii),
(
m)(
2)(
iii),
and
(
m)(
2)(
iv),
respectively
illustrate
how
Tables
2,
4,
and
6,
respectively,
would
appear
in
the
dedicated
program
referenced
in
paragraph
(
k)(
3)(
iv)
(
see
also
paragraph
(
n)(
16)).
(
ii)
The
following
Tables
2
and
3
show
how
the
main
test
would
stop
if
3
animals
have
survived
at
the
limit
dose
of
5000
mg/
kg.
(
This
example
illustrates
situations
where
a
limit
test
was
not
thought
appropriate
a
priori).
Table
2.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
A)
using
5000
mg/
kg.
1
2
3
4
5
6
7
8
9
10
11
12
Step
(
I)
nclude;
Dose
(
X)
response
Included
log10
LD50
=
#
DIV/
0!
LD50
=
#
DIV/
0!
LD50
=
#
DIV/
0!
(
E)
xclude
(
O)
non
resp.
in
nominal
Dose
Prob.
of
likelihood
Prob.
of
likelihood
Prob.
of
likelihood
n
response
contribn.
response
contribn.
response
contribn.
OK
(
ln
Li
)
(
ln
Li
)
(
ln
Li
)
1
I
175
O
no
2.2430
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
2
I
550
O
no
2.7404
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
3
I
1750
O
no
3.2430
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
4
I
5000
O
no
3.6990
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
5
I
5000
O
no
3.6990
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
6
I
5000
O
no
3.6990
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
#
DIV/
0!
7
E
8
E
9
E
10
E
11
E
12
E
13
E
14
E
15
E
Nominal
Sample
size
=
0
Actual
number
tested
=
6
Calculated
maximum
likelihood
estimate
of
LD50
=
none
Stop
after
animal
#
6
because
3
animals
survive
at
limit
of
5000
mg/
kg
(#
4#
6).
Ignore
all
calculation
cells.
No
reversal
in
direction
of
response.
Maximum
Likelihood
Calculations
cannot
be
completed.
LD50
is
greater
than
5000
mg/
kg.
Table
3.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
A)
of
this
Guideline
Using
5000
mg/
kg
22
(
iii)
The
following
Tables
4
and
5
show
how
a
particular
sequence
of
5
reversals
in
6
tested
animals
could
occur
and
allow
test
completion.
Table
4.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
B).
1
2
3
4
5
6
7
8
9
10
11
12
Step
(
I)
nclude;
Dose
(
X)
response
Included
log10
LD50
=
31.0
LD50
=
12.4
LD50
=
77.6
(
E)
xclude
(
O)
non
resp.
in
nominal
Dose
Prob.
of
likelihood
Prob.
of
likelihood
Prob.
of
likelihood
n
response
contribn.
response
contribn.
response
contribn.
OK
(
ln
Li
)
(
ln
Li
)
(
ln
Li
)
1
I
175
X
no
2.2430
0.9335
0.0688
0.9892
0.0108
0.7602
0.2742
2
I
55
X
yes
1.7404
0.6905
0.3703
0.9020
0.1031
0.3826
0.9607
3
I
17.5
O
yes
1.2430
0.3095
0.3703
0.6174
0.9607
0.0980
0.1031
4
I
55
X
yes
1.7404
0.6905
0.3703
0.9020
0.1031
0.3826
0.9607
5
I
17.5
O
yes
1.2430
0.3095
0.3703
0.6174
0.9607
0.0980
0.1031
6
I
55
X
yes
1.7404
0.6905
0.3703
0.9020
0.1031
0.3826
0.9607
7
I
17.5
O
yes
1.2430
0.3095
0.3703
0.6174
0.9607
0.0980
0.1031
8
E
9
E
10
E
11
E
12
E
13
E
14
E
15
E
Nominal
Sample
size
=
6
Actual
number
tested
=
7
Dose
averaging
estimator
31.02
log10
=
1.492
log
likelihood
sums:
2.2906
3.2021
3.4655
likelihoods:
0.1012
0.0407
0.0313
likelihood
ratios:
2.4880
3.2378
Individual
ratios
exceed
critical
value?
critical=
2.5
FALSE
TRUE
Both
ratios
exceed
critical
value?
FALSE
Calculated
maximum
likelihood
estimate
of
LD50
=
29.6
Stop
after
animal
#
7
because
5
reversals
in
6
consecutive
animals
tested
(#
2#
7).
Automated
calculation;
not
relevant
to
this
case.
Final
estimate
obtained
from
Maximum
Likelihood
Calculations
Table
5.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
B)
of
this
Guideline.
25
(
iv)
Finally,
the
following
Tables
6
and
7
illustrate
a
situation
several
animals
into
a
test,
where
neither
the
criterion
in
paragraph
(
i)(
3)(
iii)(
A)
nor
the
criterion
in
paragraph
(
i)(
3)(
iii)(
B)
of
this
guideline
has
been
met,
a
reversal
of
response
has
occurred
followed
by
4
tested
animals,
and,
consequently,
the
criterion
in
paragraph
(
i)(
3)(
iii)(
C)
of
this
guideline
must
be
evaluated
as
well.
Table
6.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
C).
Assumed
slope
2
sigma
=
0.5
Parameters
of
convergence
criterion
critical
LR
2.5
Result:
The
LR
criterion
is
met
factor
of
LD50
2.5
1
2
3
4
5
6
7
8
9
10
11
12
Step
(
I)
nclude;
Dose
(
X)
response
Included
log10
Contrib.
to
LD50
=
1292.8
LD50
=
517.1
LD50
=
3232.0
(
E)
xclude
(
O)
non
resp.
in
nominal
Dose
DAE
Prob.
of
likelihood
Prob.
of
likelihood
Prob.
of
likelihood
n
response
contribn.
response
contribn.
response
contribn.
OK
(
ln
Li
)
(
ln
Li
)
(
ln
Li
)
1
I
175
O
no
2.2430
0.0000
0.0412
0.0421
0.1733
0.1903
0.0057
0.0057
2
I
550
O
yes
2.7404
2.7404
0.2289
0.2600
0.5214
0.7368
0.0620
0.0640
3
I
1750
X
yes
3.2430
3.2430
0.6037
0.5046
0.8552
0.1564
0.2971
1.2138
4
I
550
O
yes
2.7404
2.7404
0.2289
0.2600
0.5214
0.7368
0.0620
0.0640
5
I
1750
X
yes
3.2430
3.2430
0.6037
0.5046
0.8552
0.1564
0.2971
1.2138
6
I
550
O
yes
2.7404
2.7404
0.2289
0.2600
0.5214
0.7368
0.0620
0.0640
7
I
1750
O
yes
3.2430
3.2430
0.6037
0.9257
0.8552
1.9323
0.2971
0.3525
8
I
5000
X
yes
3.6990
3.6990
0.8800
0.1279
0.9756
0.0247
0.6477
0.4344
9
I
1750
X
yes
3.2430
3.2430
0.6037
0.5046
0.8552
0.1564
0.2971
1.2138
10
E
0.0000
11
E
0.0000
12
E
0.0000
13
E
0.0000
14
E
0.0000
15
E
0.0000
Nominal
Sample
size
=
8
Actual
number
tested
=
9
Dose
averaging
estimator
1292.78
log10
=
3.112
log
likelihood
sums:
3.3894
4.8270
4.6260
likelihoods:
0.0337
0.0080
0.0098
likelihood
ratios:
4.2104
3.4436
Individual
ratios
exceed
critical
value?
critical=
2.5
TRUE
TRUE
Both
ratios
exceed
critical
value?
TRUE
Calculated
maximum
likelihood
estimate
of
LD50
=
1329.6
Stop
when
LR
criterion
is
first
met,
here
at
animal
#
9.
Check
LR
criterion
starting
at
animal
#
6.
Final
estimate
obtained
from
Maximum
Likelihood
Calculations
Table
7.
Example
of
Stopping
Criterion
in
Paragraph
(
i)(
3)(
iii)(
C)
of
this
Guideline.
28
(
v)
Criterion
in
paragraph
(
i)(
3)(
iii)(
C)
of
this
guideline
calls
for
a
likelihood
ratio
stopping
rule
to
be
evaluated
after
testing
each
animal,
starting
with
the
fourth
tested
following
the
reversal.
Three
``
measures
of
test
progress''
are
calculated.
Technically,
these
measures
of
progress
are
likelihoods,
as
recommended
for
the
maximum
likelihood
estimation
of
the
LD50.
The
procedure
is
closely
related
to
calculation
of
a
CI
by
a
likelihood
based
procedure.
(
vi)
The
basis
of
the
procedure
is
that
when
enough
data
have
been
collected,
a
point
estimate
of
the
LD50
should
be
more
strongly
supported
than
values
above
and
below
the
point
estimate,
where
statistical
support
is
quantified
using
likelihood.
Therefore
three
likelihood
values
are
calculated
A
likelihood
at
an
LD50
point
estimate
(
called
the
rough
estimate
or
dose
averaging
estimate
in
the
example),
a
likelihood
at
a
value
below
the
point
estimate,
and
a
likelihood
at
a
value
above
the
point
estimate.
Specifically,
the
low
value
is
taken
to
be
the
point
estimate
divided
by
2.5
and
the
high
value
is
taken
to
be
the
point
estimate
multiplied
by
2.5.
(
vii)
The
likelihood
values
are
compared
by
calculating
ratios
of
likelihoods,
and
then
determining
whether
these
likelihood
ratios
(
LR)
exceed
a
critical
value.
Testing
stops
when
the
ratio
of
the
likelihood
for
the
point
estimate
exceeds
each
of
the
other
likelihoods
by
a
factor
of
2.5,
which
is
taken
to
indicate
relatively
strong
statistical
support
for
the
point
estimate.
Therefore
two
likelihood
ratios
(
LRs)
are
calculated,
a
ratio
of
likelihoods
for
the
point
estimate
and
the
point
estimate
divided
by
2.5,
and
a
ratio
for
the
point
estimate
and
the
estimate
times
2.5.
(
viii)
The
calculations
are
easily
performed
in
any
spreadsheet
with
normal
probability
functions.
The
calculations
are
illustrated
in
Tables
6
and
7
in
paragraph
(
m)(
2)(
iv)
of
this
guideline,
which
is
structured
to
promote
spreadsheet
implementation.
The
computation
steps
are
illustrated
using
an
example
where
the
upper
limit
dose
is
5000
mg/
kg.
(
A)
Hypothetical
example
(
Tables
6
and
7
in
paragraph
(
m)(
2)(
iv)
of
this
guideline).
In
the
hypothetical
example
utilizing
an
upper
boundary
dose
of
5000
mg/
kg,
the
LR
stopping
criterion
was
met
after
nine
animals
had
been
tested.
The
first
``
reversal''
occurred
with
the
3rd
animal
tested.
The
LR
stopping
criterion
is
checked
when
four
animals
have
been
tested
following
the
reversal.
In
this
example,
the
fourth
animal
tested
following
the
reversal
is
the
seventh
animal
actually
tested.
Therefore,
for
this
example
the
spreadsheet
calculations
are
only
needed
after
the
seventh
animal
had
been
tested
and
the
data
could
be
entered
at
that
time.
Subsequently,
the
LR
stopping
criterion
would
have
been
checked
after
testing
the
seventh
animal,
the
eighth
animal,
and
the
ninth.
The
LR
stopping
criterion
is
first
satisfied
after
the
ninth
animal
is
tested
in
this
example.
(
1)
Enter
the
dose
response
information
animal
by
animal.
29
(
i)
Column
1.
Steps
are
numbered
1
15.
No
more
than
15
animals
may
be
tested.
(
ii)
Column
2.
Place
an
I
in
this
column
as
each
animal
is
tested.
(
iii)
Column
3.
Enter
the
dose
received
by
the
ith
animal.
(
iv)
Column
4.
Indicate
whether
the
animal
responded
(
shown
by
an
X)
or
did
not
respond
(
shown
by
an
O).
(
2)
The
nominal
and
actual
sample
sizes.
The
nominal
sample
consists
of
the
two
animals
that
represent
the
first
reversal
(
here
the
second
and
third
animals),
plus
all
animals
tested
subsequently.
Here,
Column
5
indicates
whether
or
not
a
given
animal
is
included
in
the
nominal
sample.
(
i)
The
nominal
sample
size
(
nominal
n)
appears
in
Row
16.
This
is
the
number
of
animals
in
the
nominal
sample.
In
the
example,
nominal
n
is
8.
(
ii)
The
actual
number
tested
appears
in
Row
17.
(
3)
Rough
estimate
of
the
LD50.
The
geometric
mean
of
doses
for
the
animals
in
the
current
nominal
sample
is
used
as
a
rough
estimate
of
the
LD50
from
which
to
gauge
progress.
In
the
table,
this
is
called
the
``
dose
averaging
estimator.''
It
is
updated
with
each
animal
tested.
This
average
is
restricted
to
the
nominal
sample
in
order
to
allow
for
a
poor
choice
of
initial
test
dose,
which
could
generate
either
an
initial
string
of
responses
or
an
initial
string
of
nonresponses.
(
However,
the
results
for
all
animals
are
used
in
the
likelihood
calculations
for
final
LD50
calculation
below.)
Recall
that
the
geometric
mean
of
n
numbers
is
the
product
of
the
n
numbers,
raised
to
a
power
of
1/
n.
(
i)
The
dose
averaging
estimate
appears
in
Row
18
(
e.
g.,
(
175
*
550
*
...
*
1750)
1/
8
=
1292.78).
(
ii)
Row
19
shows
the
logarithm
(
base
10)
of
the
value
in
Row
18
(
e.
g.,
log10
1292.8
=
3.112).
(
4)
Likelihood
for
the
rough
LD50
estimate.
(
i)
``
Likelihood''
is
a
statistical
measure
of
how
strongly
the
data
support
an
estimate
of
the
LD50
or
other
parameter.
Ratios
of
likelihood
values
can
be
used
to
compare
how
well
the
data
support
different
estimates
of
the
LD50.
(
ii)
In
Column
8
calculate
the
likelihood
for
Step
C's
rough
LD50
estimate.
The
likelihood
(
Row
21)
is
the
product
of
likelihood
contributions
for
individual
animals
(
see
paragraph
(
k)(
2)
of
this
guideline).
The
likelihood
contribution
for
the
ith
animal
is
denoted
Li.
30
(
iii)
Column
7.
Enter
the
estimate
of
the
probability
of
response
at
dose
di,
denoted
Pi.
Pi
is
calculated
from
a
dose
response
curve.
Note
that
the
parameters
of
a
probit
dose
response
curve
are
the
slope
and
the
LD50,
so
values
are
needed
for
each
of
those
parameters.
For
the
LD50
the
dose
averaging
estimate
from
Row
18
is
used.
For
the
slope
in
this
example
the
default
value
of
2
is
used.
The
following
steps
may
be
used
to
calculate
the
response
probability
Pi.
1.
Calculate
the
base
10
log
of
dose
di
(
Column
6).
2.
For
each
animal
calculate
the
z
score,
denoted
Zi
(
not
shown
in
the
table),
using
the
formulae
sigma
=
1
/
slope,
Zi
=
(
log10(
di)
log10(
LD50))
/
sigma
For
example,
for
the
first
animal
(
Row
1),
sigma
=
1
/
2
Z1
=
(
2.243
3.112)
/
0.500
=
1.738
3.
For
the
ith
dose
the
estimated
response
probability
is
Pi
=
F(
Zi)
where
F
denotes
the
cumulative
distribution
function
for
the
standard
normal
distribution
(
i.
e.,
the
normal
distribution
with
mean
0
and
variance
1).
For
example
(
Row
1),
P1
=
F(
1.738)
=
0.0412
The
function
F
(
or
something
very
close)
is
ordinarily
what
is
given
for
the
normal
distribution
in
statistical
tables,
but
the
function
is
also
widely
available
as
a
spreadsheet
function.
It
is
available
under
different
names,
for
example
the
@
NORMAL
function
of
Lotus
1
2
3
(
see
paragraph
(
n)(
19)
of
this
guideline)
and
the
@
NORMDIST
function
in
Excel
(
see
paragraph
(
n)(
20)
of
this
guideline).
To
confirm
that
you
have
used
correctly
the
function
available
in
your
software,
you
may
wish
to
verify
familiar
values
such
as
F(
1.96)
0.975
or
F(
1.64)
0.95.
(
iv)
Column
8.
Calculate
the
natural
log
of
the
likelihood
contribution
(
ln(
Li)).
Li
is
simply
the
probability
of
the
response
that
actually
was
observed
for
the
ith
animal:
Responding
animals:
ln(
Li)
=
ln(
Pi)
Non
responding
animals:
ln(
Li)
=
ln(
1
Pi)
31
Note
that
here
the
natural
logarithm
(
ln)
is
used,
whereas
elsewhere
the
base
10
(
common)
logarithm
was
used.
These
choices
are
what
are
ordinarily
expected
in
a
given
context.
The
steps
above
are
performed
for
each
animal.
Finally:
Row
20:
Sum
the
log
likelihood
contributions
in
Column
8.
Row
21:
Calculate
the
likelihood
by
applying
the
exp
function
applied
to
the
log
likelihood
value
in
Row
20
(
e.
g.,
exp(
3.389)
=
e
3.389
=
0.0337).
(
5)
Calculate
likelihoods
for
two
dose
values
above
and
below
the
rough
estimate.
If
the
data
permit
a
precise
estimate,
then
one
expects
the
likelihood
should
be
high
if
the
estimate
is
a
reasonable
estimate
of
the
LD50,
relative
to
likelihoods
for
values
distant
from
this
estimate.
Compare
the
likelihood
for
the
dose
averaging
estimate
(
1292.8,
Row
18)
to
values
differing
by
a
factor
of
2.5
from
that
value
(
i.
e.,
to
1292.8*
2.5
and
1292.8/
2.5).
The
calculations
(
displayed
in
Columns
9
12)
are
carried
out
in
a
fashion
similar
to
those
described
above,
except
that
the
values
517.1
(=
1292.8/
2.5)
and
3232.0
(=
1292.8*
2.5)
have
been
used
for
the
LD50,
instead
of
1292.8.
The
likelihoods
and
log
likelihoods
are
displayed
in
Rows
20
21.
(
6)
Calculate
likelihood
ratios.
The
three
likelihood
values
(
Row
21)
are
used
to
calculate
two
likelihood
ratios
(
Row
22).
A
likelihood
ratio
is
used
to
compare
the
statistical
support
for
the
estimate
of
1292.8
to
the
support
for
each
of
the
other
values,
517.1
and
3232.0.
The
two
likelihood
ratios
are
therefore:
LR1
=
[
likelihood
of
1292.8]
/
[
likelihood
of
517.1]
=
0.0337
/
0.0080
=
4.21
and
LR2
=
[
likelihood
of
1292.8]
/
[
likelihood
of
3232.0]
=
0.0337
/
0.0098
=
3.44
(
7)
Determine
if
the
likelihood
ratios
exceed
the
critical
value.
High
likelihood
ratios
are
taken
to
indicate
relatively
high
support
for
the
point
estimate
of
the
LD50.
Both
of
the
likelihood
ratios
calculated
in
paragraph
(
m)(
2)(
viii)(
A)(
6)
of
this
guideline
(
4.21
and
3.44)
exceed
the
critical
likelihood
ratio,
which
is
2.5.
Therefore
the
LR
stopping
criterion
is
satisfied
and
testing
stops.
This
is
indicated
by
a
TRUE
in
Row
24
and
a
note
at
the
top
of
the
example
spreadsheet
that
the
LR
criterion
is
met.
Determination
of
the
point
estimate
and
CI
is
carried
out
separately.
32
(
B)
[
Reserved]
(
3)
Performance
of
the
UDP.
This
section
addresses
choice
of
dose
progression
and
initial
dose
level
for
the
UDP
and
describes
the
performance
of
the
test
under
a
variety
of
circumstances.
A
companion
document
titled
``
Toxicology
Summary:
Performance
of
the
Up
and
Down
Procedure
provides
assistance
to
the
user
in
interpretation
of
the
test
results
and
is
available
on
the
ICCVAM
web
site
at
http://
iccvam.
niehs.
nih.
gov/
methods/
udpdocs/
udprpt/
udp
ciprop.
htm.
The
statistical
methods
applied
will
depend
upon
the
case
into
which
the
test
response
patterns
fall
(
see
Table
8
in
paragraph
(
m)(
3)(
iii)
of
this
guideline.
(
i)
Adjusting
the
dose
progression
and
initial
dose.
For
optimum
performance
of
the
UDP,
the
dose
progression
used
should
be
based
on
an
accurate
prior
estimate
of
sigma.
The
following
two
cases
describe
the
outcome
when
an
accurate
estimate
of
sigma
is
not
available.
In
addition,
to
account
conservatively
for
any
bias
in
the
LD50
estimate,
it
is
essential
that
dosing
be
initiated
below
the
actual
LD50.
(
A)
Assumed
sigma
<<
true
sigma:
When
the
assumed
sigma
(
i.
e.,
the
sigma
on
which
the
dose
progression
is
based)
is
much
smaller
than
the
true
sigma
of
the
actual
test
population,
the
estimated
LD50
may
be
``
biased''
in
the
direction
of
starting
dose.
For
example,
if
the
starting
dose
is
less
than
the
true
LD50
of
the
test
population,
the
estimated
LD50
will
generally
be
below
the
true
LD50.
Also,
if
the
starting
dose
is
greater
than
the
true
LD50
of
the
test
population,
the
estimated
LD50
will
tend
to
be
greater
than
the
true
LD50.
To
minimize
the
chance
of
overestimating
the
LD50
due
to
this
bias,
the
UDP
guideline
recommends
a
choice
of
starting
dose
just
below
the
assumed
LD50.
(
B)
Assumed
sigma
>>
true
sigma:
If
the
assumed
sigma
on
which
the
dose
progression
is
based
is
much
larger
than
the
true
sigma
of
the
test
population,
the
median
estimated
LD50
can
be
much
larger
or
much
smaller
than
the
true
LD50
depending
on
the
starting
dose.
In
this
case,
the
LD50
can
be
estimated
only
within
a
range.
(
This
is
Case
3
described
below.)
(
ii)
CI.
Coverage
of
the
CI
is
the
probability
that
a
calculated
CI
encloses
the
true
LD50
for
an
experimental
sample.
Because
the
profile
likelihood
method
is
approximate,
coverage
of
the
CI
does
not
always
correspond
to
its
nominal
value.
For
example,
coverage
falls
below
95%
for
populations
with
shallow
slopes
and
is
better
than
95%
for
populations
with
steep
slopes.
In
addition,
the
width
of
the
CI
is
limited
by
the
dose
progression
chosen.
Generally,
no
type
of
CI
would
be
more
narrow
than
the
dose
progression.
(
iii)
Response
Patterns.
Data
gathered
under
the
UDP
fall
into
one
of
five
animal
response
patterns.
The
five
types
of
animal
response
patterns
referred
to
as
Case
1
through
Case
5
in
the
following
Table
8,
can
33
be
distinguished
for
the
purpose
of
describing
the
performance
of
the
UDP.
These
cases
can
be
distinguished
by
looking
at
the
experimental
outcome
(
survival
or
death)
as
reflected
in
the
AOT425StatPgm
Data
Grid
or
Report
windows
(
see
paragraph
(
n)(
18)
of
this
guideline).
In
considering
these
cases,
note
that
doses
can
be
repeated
more
than
once
in
the
course
of
sequential
dosing.
Table
8.
Outcomes
of
the
UDP:
Cases
and
Confidence
Intervals
Case
#
Definition
of
Case
Approach
Proposed
Possible
Findings
1
.......................
No
positive
dose
response
association.
(
1a)
All
animals
tested
in
the
study
responded
or
(
1b)
none
responded,
or
(
1c)
the
geometric
mean
dose
is
lower
for
animals
that
responded
than
for
animals
that
did
not
respond.
LD50
cannot
be
calculated.
CI
not
applicable
Possible
inferences:
(
1a)
LD50
<
lowest
dose;
(
1b)
LD50
>
highest
dose;
(
1c)
reverse
dose
response
curve;
unlikely
test
outcome.
In
case
1b,
the
highest
dose
tested
is
equivalent
to
a
limit
dose.
2
.......................
Multiple
partial
responses.
One
or
more
animals
responded
at
a
dose
below
some
other
dose
where
one
or
more
did
not
respond.
The
conditions
defining
Case
1
do
not
hold.
(
The
definition
of
Case
2
holds
if
there
are
2
doses
with
partial
responses,
but
holds
in
some
other
cases
as
well.)
Maximum
likelihood
estimate
and
profile
likelihood
computations
of
CI
are
straightforward.
The
LD50
can
be
estimated
and
its
CI
calculated.
3
.......................
No
intermediate
response
fractions.
One
or
more
test
doses
is
associated
with
0%
response
and
one
or
more
is
associated
with
100%
response
(
all
of
the
latter
being
greater
than
all
of
the
former),
and
no
test
doses
are
associated
with
a
partial
response.
Lower
bound
=
highest
test
dose
with
0%
response.
Upper
bound
=
lowest
test
dose
with
100%
response.
High
confidence
that
the
true
LD50
falls
between
the
two
bounding
doses.
Any
value
of
LD50
between
highest
dose
with
0%
response
and
lowest
dose
with
100%
response
is
equally
plausible
4
.......................
One
partial
response
fraction,
first
subcase.
An
intermediate
partial
response
is
observed
at
a
single
test
dose.
That
dose
is
greater
than
doses
associated
with
0%
response
and
lower
than
doses
associated
with
100%
response.
The
LD50
is
set
at
the
single
dose
showing
partial
response
and
its
CI
is
calculated
using
profile
likelihood
method.
The
LD50
can
be
estimated
and
its
CI
calculated.
5
.......................
One
partial
response
fraction,
second
subcase.
There
is
a
single
dose
associated
with
partial
response,
which
is
either
the
highest
test
dose
(
with
no
responses
at
all
other
test
doses)
or
the
lowest
test
dose
(
with
100%
response
at
all
other
test
doses).
The
LD50
is
set
at
the
dose
with
the
partial
response.
A
profile
likelihood
CI
is
calculated
and
may
be
finite
or
infinite.
The
true
LD50
could
be
at
the
boundary
of
the
testing
range
with
more
or
less
confidence.
(
n)
References.
The
following
references
should
be
consulted
for
additional
background
material
on
this
test
guideline.
(
1)
Organization
for
Economic
Cooperation
and
Development.
OECD
Guidelines
for
the
Testing
of
Chemicals.
Guideline
425:
Acute
Oral
Toxicity
Up
and
Down
Procedure.
Adopted:
December
2001.
(
2)
Organization
for
Economic
Cooperation
and
Development.
OECD
Guidelines
for
the
Testing
of
Chemicals.
Guideline
420:
Acute
Oral
Toxicity
Fixed
Dose
Method.
Adopted:
December
2001.
(
3)
Organization
for
Economic
Cooperation
and
Development.
OECD
Guidelines
for
the
Testing
of
Chemicals.
Guideline
423:
Acute
Oral
Toxcity
Acute
Toxic
Class
Method.
Adopted:
December
2001.
(
4)
Dixon,
W.
J.
and
A.
M.
Mood.
(
1948).
A
Method
for
Obtaining
and
Analyzing
Sensitivity
Data.
J.
Amer.
Statist.
Assoc.,
43,
109
126.
34
(
5)
Dixon,
W.
J.
(
1965).
The
Up
and
Down
Method
for
Small
Samples
J.
Amer.
Statist.
Assoc.
60,
967
978.
(
6)
Dixon,
W.
J.
(
1991).
Staircase
Bioassay:
The
Up
and
Down
Method
Neurosci.
Biobehav.
Rev.,
15,
47
50.
(
7)
Dixon,
W.
J.
(
1991).
Design
and
Analysis
of
Quantal
Dose
Response
Experiments
(
with
Emphasis
on
Staircase
Designs).
Dixon
Statistical
Associates,
Los
Angeles
CA,
USA.
(
8)
Bruce,
R.
D.
(
1985).
An
Up
and
Down
Procedure
for
Acute
Toxicity
Testing.
Fundam.
Appl.
Tox.,
5,
151
157.
(
9)
ASTM
(
1987).
E
1163
87,
Standard
Test
Method
for
Estimating
Acute
Oral
Toxicity
in
Rats.
American
Society
for
Testing
and
Materials,
Philadelphia
Pa,
USA.
(
10)
Lipnick,
R.
L.,
J.
A.
Cotruvo,
R.
N.
Hill,
R.
D.
Bruce,
K.
A.
Stitzel,
A.
P.
Walker,
I.
Chu,
M.
Goddard,
L.
Segal,
J.
A.
Springer,
and
R.
C.
Myers.
(
1995).
Comparison
of
the
Up
and
Down,
Conventional
LD50
and
Fixed
Dose
Acute
Toxicity
Procedures.
Fd.
Chem.
Toxicol.,
33,
223
231.
(
11)
Organization
for
Economic
Cooperation
and
Development.
(
2000).
Guidance
Document
on
the
Recognition,
Assessment
and
Use
of
Clinical
Signs
as
Humane
Endpoints
for
Experimental
Animals
Used
in
Safety
Evaluation.
Environmental
Health
and
Safety
Monograph
Series
on
Testing
and
Assessment
No.
19.
(
12)
Report
of
the
International
Workshop
on
In
Vitro
Methods
for
Assessing
Acute
Systemic
Toxicity.
NIH
Publication
No.
01
4499.
Research
Triangle
Park,
NC:
National
Institute
of
Environmental
Health
Sciences,
August
2001.
(
13)
Guidance
Document
on
Using
In
Vitro
Data
to
Estimate
In
Vivo
Starting
Doses
for
Acute
Toxicity.
NIH
Publication
No.
01
4500.
Research
Triangle
Park,
NC:
National
Institute
of
Environmental
Health
Sciences,
August
2001.
(
14)
Spielmann,
H.
E.,
M.
Genschow,
M.
Leibsch,
and
W.
Halle.
(
1999).
Determination
of
the
Starting
Dose
for
Acute
Oral
Toxicity
(
LD50)
Testing
in
the
Up
and
Down
Procedure
(
UDP)
from
Cytotoxicity
Data
ATLA
27:
957
966.
(
15)
Chan,
P.
K.
and
A.
W.
Hayes.
(
1994).
Chap.
16.
Acute
Toxicity
and
Eye
Irritancy.
Principles
and
Methods
of
Toxicology.
Third
Edition.
A.
W.
Hayes,
Editor.
Raven
Press,
Ltd.,
New
York,
USA.
(
16)
Westat.
(
2001).
Acute
Oral
Toxicity
Software
Program;
AOT
425StatPgm;
AOT425StatPgm
Program
User's
Manual;
and
Simulation
Results
for
the
AOT425StatPgm
Program.
Reports
prepared
for
U.
S.
35
E.
P.
A.
under
Contract
68
W7
0025,
Task
Order
5
03.
Currently
available
at
web
site:
http://
iccvam.
niehs.
nih.
gov/
methods/
udpdocs/
udprpt/
udp
ciprop.
htm
(
17)
Rosenberger,
W.
F.,
Flournoy,
N.
and
Durham,
S.
D.
(
1997).
Asymptotic
Normality
of
Maximum
Likelihood
Estimators
from
Multiparameter
Response
driven
Designs.
Journal
of
Statistical
Planning
and
Inference
60,
69
76.
(
18)
Jennison,
C.
and
B.
W.
Turnbull.
(
2000).
Group
Sequential
Methods
with
Applications
to
Clinical
Trials.
Chapman
&
Hall/
CRC:
Boca
Raton,
FL.
(
19)
Lotus
Development
Corporation.
(
1999).
Lotus
1
2
3.
Version
9.5,
Millennium
edition.
Cambridge,
MA,
USA.
(
20)
Microsoft
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(
1985
1997).
Microsoft
Excel.
Version
5.0
or
later.
Seattle,
WA,
USA.
| epa | 2024-06-07T20:31:45.357435 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0325-0003/content.txt"
} |
EPA-HQ-OPP-2002-0325-0004 | Supporting & Related Material | 2002-12-12T05:00:00 | null | 1
11/
26/
02
Response
to
Scientific
Advisory
Panel
Comments
on
Applicability
of
the
Up
and
Down
Procedure
Methodology
for
Acute
Oral
Toxicity
Testing
Comment
1:
The
Panel
concluded
that
the
Up
and
Down
Procedure
(
UDP)
assay
can
be
fairly
and
readily
conducted
inasmuch
as
any
laboratory
that
can
conduct
a
traditional
LD50
test
can
conduct
the
UDP.
Laboratory
and
animal
issues
unique
to
the
UDP
for
acute
testing
include:
(
i)
individual
animal
dosing
and
prolonged
study
time
utilizes
laboratory
space
inefficiently
and
adds
cost;
and
(
ii)
maintenance
of
animal
weights
and
age
for
the
duration
of
the
study
is
more
difficult
and
could
necessitate
additional
shipments
of
animals;
and
(
iii)
special
methods
may
be
needed
to
ensure
accurate
dosing
and
dose
dilution
over
time.
Agency
response:
The
Agency
acknowledges
that
these
issues
require
careful
planning
on
the
part
of
laboratories
performing
the
UDP.
However,
the
UDP
guideline
meets
animal
welfare
goals;
it
calls
for
a
reduced
number
of
test
subjects
and
incorporates
OECD
Humane
Practices
for
animal
treatment.
Comment
2:
Since
the
guideline
calls
for
use
of
a
single
sex,
in
order
to
minimize
population
variance,
it
is
important
that
the
most
sensitive
sex
be
selected.
In
the
majority
of
cases,
females
are
more
sensitive
than
males
and
would
be
the
default
choice
in
the
absence
of
information
to
the
contrary
(
e.
g.,
past
experience
with
similar
chemicals,
knowledge
of
detoxification
kinetics,
etc.).
Agency
response:
As
noted
in
the
text
of
the
guideline,
the
emphasis
is
on
utilization
of
all
available
information
on
related
materials
and
mode
of
toxic
information
in
order
to
determine
which
sex
is
likely
to
be
most
sensitive.
Therefore,
toxicologists
should
always
carefully
consider
selection
of
animal
sex
and
selection
of
the
most
sensitive
sex
should
also
be
justified
in
test
reports.
Comment
3:
An
age
range
of
8
12
weeks
for
test
animals,
while
giving
needed
flexibility
for
the
staggered
schedule
of
this
study,
may
introduce
variability
because
8
week
old
rats
are
still
in
their
rapid
growth
phase
and
may
be
different
in
dose
response
than
ones
of
12
weeks.
Therefore,
the
Panel
recommended
use
of
a
narrower
age
interval
of
9
11
weeks.
Agency
response:
Although
a
narrower
age
limit
may
be
desirable,
the
Agency
selected
8
12
weeks
to
harmonize
with
OECD
practice
for
acute
testing.
Comment
4:
The
Panel
agreed
that
histopathology
would
add
no
useful
information.
The
suggestion
that
histopathology
be
considered
in
study
design
was
viewed
as
adding
no
useful
information.
More
useful
pathology
will
be
obtained
from
studies
of
longer
duration,
e.
g.
28
and
90
day
studies.
2
Agency
response:
Histopathology
is
not
required
in
the
guideline,
but
if
it
is
performed,
a
standard
reporting
format
is
identified.
Comment
5:
The
Panel
agreed
that
selection
of
starting
doses
should
not
be
a
problem
for
informed
toxicologists.
The
Panel
also
recognized
that
reducing
step
size
[
too
far]
might
result
in
too
narrow
a
range
of
doses
and
give
a
poor
LD50
estimate
and
suggested
that
additional
information
could
be
incorporated
in
a
Bayesian
analysis
as
an
alternative
to
the
profile
likelihood
analysis
proposed.
The
Panel
noted
that
if
additional
[
intermediate]
doses
are
added
after
selection
of
initial
sigma
and
dose
progression,
the
software
calculates
the
LD50
and
profile
likelihood.
Calculation
of
the
confidence
interval
remains
valid.
Agency
response:
Simulations
show
that
the
UDP
works
best
when
all
available
information
is
brought
to
bear
when
selecting
starting
dose
and
dose
progression.
If
initial
choice
of
sigma
and
dose
progression
appears
to
be
too
wide,
the
software
can
accept
intermediate
doses
and
will
calculate
an
acceptable
LD50s,
but
the
confidence
interval
provided
will
not
be
accurate,
posing
significant
problems
in
interpretation
of
test
results.
Flexible
stopping
rules
tend
to
compensate
if
choice
of
step
size
is
too
narrow.
Sequential
frequentist
and
Bayesian
analyses
are
a
new
direction
for
acute
testing
analyses
in
general,
and
the
statistical
community
is
being
encouraged
to
explore
how
the
design
and
estimation
may
be
improved
by
their
consideration.
Incorporation
of
additional
information,
as
through
use
of
Bayesian
statistical
analysis,
may
be
feasible
in
the
future
as
the
science
develops.
Comment
6:
The
Panel
agreed
with
the
48
hour
dosing
interval.
Agency
response:
The
Agency
takes
note
of
this
comment.
Of
course,
the
guideline
specifies
48
hours
as
normative
and
for
certain
chemicals
this
dosing
time
interval
can
be
changed.
Comment
7:
The
Panel
agreed
with
the
Agency
that
LD50
estimates
generated
from
the
UDP
will
be
sufficient
for
hazard
classification
and
labeling
of
products
and
noted
that
the
point
estimates
will
be
especially
useful
in
the
classification
of
mixtures.
However,
the
Panel
cautioned
that,
due
to
the
small
number
of
animals
used,
the
confidence
interval
must
be
considered
inexact
and,
in
many
instances,
it
will
be
very
wide.
Even
for
hazard
classification,
the
Panel
noted,
there
is
the
possibility
that
a
small
error
in
estimation
could
put
a
chemical
into
a
different
hazard
class.
The
Panel
cited
the
fact
that
the
Agency
suggested
that
whenever
there
was
uncertainty
at
a
boundary,
the
chemical
or
mixture
would
be
assigned
to
the
more
toxic
class.
Agency
response:
The
Agency
agrees
that
a
primary
application
of
the
UDP
guideline
is
for
hazard
classification
and
labeling
of
products.
As
it
interprets
acute
testing
results,
the
Agency
will
carefully
consider
the
caveats
identified
in
the
Scientific
Advisory
Panel
report
in
order
to
maintain
protection
of
human
health.
Comment
8:
The
Panel
pointed
out
that
the
UDP
will
not
be
sufficient
for
risk
assessment
3
procedures
that
require
information
on
the
slope
or
shape
of
the
dose
response
curve
especially
for
tiered
ecological
risk
assessments.
In
cases
where
the
confidence
bounds
on
a
probabilistic
risk
assessment
are
too
wide,
the
Agency
will
have
to
add
additional
animals
to
the
UDP
or
perform
a
LD50
test
with
standard
techniques
traditionally
used.
Limitations
of
the
UDP
for
ecological
risk
assessments
are
as
follows
and
should
be
clearly
recognized.
(
1)
UDP
test
results
do
not
lend
themselves
to
the
generation
of
a
NOAEL
or
an
estimate
of
the
NOAEL
by
means
of
a
point
estimate
such
as
the
LDx;
(
2)
The
proposed
UDP
test
does
not
provide
information
about
the
slope
of
the
dose
response
curve,
especially
when
a
minimal
number
of
animals
are
used
and
no
partial
kills
are
obtained;
(
3)
Reduction
in
the
number
of
animals,
while
beneficial
from
one
perspective,
makes
it
more
likely
that
the
confidence
interval
will
be
larger,
increasing
the
uncertainty
in
the
LD50
value,
raising
issues
of
what
is
an
acceptable
confidence
interval
and
when
should
additional
animals
be
tested.
In
consequence,
LD50
values
obtained
via
this
methodology
will
often
have
limited
utility
for
risk
assessment
procedures
where
exposure
and
effects
curves
are
compared
since
a
reliable
dose
response
curve
will
not
be
available
from
the
acute
rat
test
without
additional
testing.
Agency
Response:
The
Agency
recognizes
these
limitations
of
the
UDP
for
tiered
ecological
risk
assessment
purposes
and
certain
health
effects
purposes.
However,
in
preparation
for
the
transition
to
alternative
testing
approaches,
Agency
scientists
and
statisticians
performed
simulations
of
performance
of
the
acute
oral
study
utilizing
the
minimum
of
three
groups
of
five
animals.
These
simulations
showed
confidence
intervals
for
slope
in
such
traditional
tests
could
be
fairly
wide
and
not
necessarily
suited
to
risk
assessment
purposes.
Comment
9:
Current
Agency
policy
requires
a
tiered
approach
for
product
evaluation
under
FIFRA
in
order
to
protect
wildlife
from
adverse
effects
that
may
be
manifested
following
pesticide
exposure.
Current
ecological
risk
assessment
procedures
are
thought
to
provide
some
measure
of
protection
for
wildlife.
However,
in
the
future,
for
ecological
assessments
which
rely
upon
rat
studies
to
estimate
risk
to
other
mammals,
the
Agency
must
be
cautious
that
free
ranging
mammals
are
not
placed
at
substantial
risk.
Agency
response:
The
Agency
agrees
and
is
developing
additional
guidance
consistent
with
Part
158
for
higher
tier
testing
to
reduce
uncertainty
in
ecological
risk
assessment.
Comment
10:
At
the
first
tier
of
the
ecological
risk
assessment
process,
an
LD50
is
required
for
deterministic
assessment.
This
estimate
must
be
accurate
enough
to
prevent
erroneous
conclusions
progressing
to
higher
tiers.
Substantial
concern
exists
that
uncertainties
at
the
screening
level
are
already
too
great
to
provide
useful
decisions.
Known
biases
in
the
UDP
may
impact
the
validity
of
assumptions
made
in
current
early
tier/
level
ecological
risk
assessments.
If
tests
which
provide
data
for
screening
level
assessments
are
altered,
the
alteration
must
not
result
in
wider
confidence
limits
and
a
reduced
level
of
certainty
in
screening
or
higher
level
assessments.
Agency
response:
In
determining
the
need
for
the
wild
mammal
test
for
terrestrial
ecological
effects,
Part
158
calls
for
the
Agency
to
consider
results
of
acute
and
subacute
testing
at
Tier
1,
4
along
with
use
pattern
and
environmental
fate
characteristics.
Results
of
simulations
show
that
if
the
initial
dose
and
dose
progression
for
the
UDP
are
chosen
in
the
optimum
fashion
described
in
the
guideline,
the
confidence
interval
which
describes
uncertainty
in
the
LD50
may
be
relatively
narrow.
However,
until
the
results
of
laboratory
testing
of
pesticides
are
available,
the
degree
to
which
the
UDP
will
be
useful
in
Tier
1
ecological
risk
assessment
is
uncertain.
The
Agency
recognizes
that
the
confidence
interval
from
UDP
tests
submitted
for
registration
or
reregistration
may
not
always
be
sufficiently
narrow
for
use
in
Tier
1
ecological
risk
assessments
and
is
developing
a
policy,
including
consideration
of
higher
tier
testing
such
as
wild
mammal
testing,
to
address
this.
Comment
11:
The
Panel
noted
that
multiple
LD
50
values
for
different
(
mammalian)
species
are
utilized
to
identify
the
most
sensitive
species.
Full
dose
response
data
for
most
of
these
(
focal)
species
are
not
typically
available
and
are
not
needed
to
develop
the
acute
5th
percentile
species.
Utilization
of
LD
50
values
generated
with
the
up
down
procedure
are
not
expected
to
significantly
affect
the
outcome
of
this
procedure.
However,
lack
of
dose
response
data
from
an
up
down
test
for
a
key
focal
species
or
for
the
5th
percentile
species
would
prevent
accurate
probabalistic
risk
assessment
(
PRA)
for
that
species,
i.
e.,
it
would
not
be
possible
to
accurately
assess
effects
on
that
species
due
to
exposures
above
or
below
the
LD
50
exposure
level.
Without
slope
information,
the
dose
response
for
a
given
species
will
be
largely
unknown
and
the
confidence
bound
placed
on
modeled
probabilistic
risk
assessments
may
be
unacceptably
wide.
Agency
response:
The
Agency
will
take
note
of
these
points
as
it
continues
to
develop
approaches
for
probabilistic
risk
assessment
for
terrestrial
species.
Comment
12:
Overall,
the
guideline,
additional
guidance,
software
and
software
documentation
provide
sufficient
guidance,
supplemented
with
the
Interagency
Coordinating
Committee
on
the
Validation
of
Alternative
Methods
(
ICCVAM)
report
and
special
simulation
results.
Specific
suggestions
are
as
follows:
(
i)
the
quality
of
the
written
guideline
is
adequate,
but
could
be
improved;
although
the
panel
recognizes
that
EPA
must
follow
certain
formatting
rules.
In
addition,
the
Panel
recommended
that
the
following
topics
be
moved
from
"
Additional
Guidance"
to
an
Appendix:
the
linear
probit
dose
response
model;
the
likelihood
function;
the
assumption
of
constant
variance;
the
maximum
likelihood
estimation
of
LD50;
the
stopping
rule;
and
the
profile
likelihood
confidence
bounds.
and
(
ii)
a
better
illustration
should
be
provided
of
procedural
sequence
in
the
course
of
testing
and
calculation
for
test
scenarios.
Agency
response:
For
point
(
i),
the
EPA
guideline
format
has
been
adjusted
in
so
far
as
possible
to
provide
clear
headings
for
many
of
the
topics
identified
by
the
Panel.
Additional
definitions
also
provide
clarification.
Because
the
EPA
870.1100
guideline
must
track
the
OECD
425
guideline,
the
order
of
sections
has
not
been
changed.
In
addition,
the
Agency
has
developed
a
web
site,
to
be
used
with
the
guideline,
containing
the
AOT425StatPgm
software
and
additional
background
material
and
guidance
addressing
these
topics.
5
For
point
(
ii),
as
an
illustration
of
procedural
sequence
and
calculation,
the
Agency
has
added
a
diagram
of
the
computer
screen
to
illustrate
each
software
image.
Comment
13:
The
Panel
noted
that
documentation
of
AOT425StatPgm
software
for
implementing
the
UDP
dosing
and
LD50
calculations
is
well
written
and
provides
sufficient
guidance
to
the
user.
The
Panel
suggests
that
the
Agency
simplify
installation
procedures
to
make
it
efficient
and
errorfree
from
user
perspective.
Agency
response:
The
software
has
been
fixed
to
eliminate
the
need
for
the
user
to
change
installation
file
names
or
to
`
ignore'
error
messages.
Comment
14:
The
Panel
recommended
that
the
Agency
include
an
initial
schematic
that
outlines
the
relation
of
the
program's
Data
Edit
and
Report,
the
window
task
bars,
and
menu
choices
to
provide
the
user
an
overview
and
facilitate
migration
between
windows,
tasks
and
options.
Agency
response:
These
recommendations
will
be
addressed
in
future
revision
of
the
AOT425StatPgm
software.
Comment
15:
The
Panel
recommended
establishment
of
a
data
set
and
test
protocol
for
verification
of
installation
and
software
operation
of
the
AOT425StatPgm
on
the
users'
computers.
Agency
response:
The
Agency
agreed
with
this
comment
and
developed
a
test
data
collection
consisting
of
a
set
of
15
sample
experiments
which
can
be
used
to
verify
the
proper
installation
and
operation
of
the
software
on
the
user's
computer.
The
test
data
sets,
instructions,
and
solutions
to
the
sample
runs
are
included
on
the
EPA
web
site
at
www.
epa.
gov/
oppfead1/
harmonization,
along
with
the
AOT425StatPgm
program
,
Users'
Manual,
and
other
related
documents.
The
Users'
Manual
also
includes
instructions
on
how
comments
and
questions
pertaining
to
the
software
program
can
be
directed
to
a
specific
AOT425
email
address
at
EPA.
Comment
16:
The
Panel
recommended
that
the
software
output
show
explicit
calculations
for:
the
linear
probit
dose
response
model;
the
likelihood
function;
the
assumption
of
constant
variance;
the
maximum
likelihood
estimate
of
LD50;
the
stopping
rule;
and
the
profile
likelihood
confidence
bounds.
Agency
response:
The
Agency
agrees
that
it
would
be
valuable
for
the
output
of
the
software
to
provide
explicit
calculations
and
will
include
such
calculations
and
other
changes
in
the
next
generation
of
the
software,
after
more
experience
has
been
gained
in
its
use.
| epa | 2024-06-07T20:31:45.375194 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0325-0004/content.txt"
} |
EPA-HQ-OPP-2002-0326-0001 | Supporting & Related Material | 2002-12-09T05:00:00 | null | 72846
Federal
Register
/
Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Rules
and
Regulations
Federal
standard,
and
does
not
alter
the
relationship
or
the
distribution
of
power
and
responsibilities
established
in
the
Clean
Air
Act.
This
rule
also
is
not
subject
to
Executive
Order
13045
``
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks''
(
62
FR
19885,
April
23,
1997),
because
it
is
not
economically
significant.
In
reviewing
SIP
submissions,
EPA's
role
is
to
approve
state
choices,
provided
that
they
meet
the
criteria
of
the
Clean
Air
Act.
In
this
context,
in
the
absence
of
a
prior
existing
requirement
for
the
State
to
use
voluntary
consensus
standards
(
VCS),
EPA
has
no
authority
to
disapprove
a
SIP
submission
for
failure
to
use
VCS.
It
would
thus
be
inconsistent
with
applicable
law
for
EPA,
when
it
reviews
a
SIP
submission,
to
use
VCS
in
place
of
a
SIP
submission
that
otherwise
satisfies
the
provisions
of
the
Clean
Air
Act.
Thus,
the
requirements
of
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
15
U.
S.
C.
272
note)
do
not
apply.
This
rule
does
not
impose
an
information
collection
burden
under
the
provisions
of
the
Paperwork
Reduction
Act
of
1995
(
44
U.
S.
C.
3501
et
seq.).
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
Section
804
exempts
from
section
801
the
following
types
of
rules:
(
1)
Rules
of
particular
applicability;
(
2)
rules
relating
to
agency
management
or
personnel;
and
(
3)
rules
of
agency
organization,
procedure,
or
practice
that
do
not
substantially
affect
the
rights
or
obligations
of
non
agency
parties.
5
U.
S.
C.
804(
3).
EPA
is
not
required
to
submit
a
rule
report
regarding
this
action
under
section
801
because
this
is
a
rule
of
particular
applicability.
Under
section
307(
b)(
1)
of
the
Clean
Air
Act,
petitions
for
judicial
review
of
this
action
must
be
filed
in
the
United
States
Court
of
Appeals
for
the
appropriate
circuit
by
February
7,
2003.
Filing
a
petition
for
reconsideration
by
the
Administrator
of
this
final
rule
does
not
affect
the
finality
of
this
rule
for
the
purposes
of
judicial
review
nor
does
it
extend
the
time
within
which
a
petition
for
judicial
review
may
be
filed,
and
shall
not
postpone
the
effectiveness
of
such
rule
or
action.
This
action
may
not
be
challenged
later
in
proceedings
to
enforce
its
requirements.
(
See
section
307(
b)(
2).)
List
of
Subjects
in
40
CFR
Part
52
Environmental
protection,
Administrative
practice
and
procedure,
Air
pollution
control,
Incorporation
by
reference,
Intergovernmental
relations,
Particulate
matter,
Reporting
and
recordkeeping
requirements.
Dated:
November
7,
2002.
Bharat
Mathur,
Acting
Regional
Administrator,
Region
5.
For
the
reasons
stated
in
the
preamble,
part
52,
chapter
I,
title
40
of
the
Code
of
Federal
Regulations
is
amended
as
follows:
PART
52
[
AMENDED]
1.
The
authority
citation
for
part
52
continues
to
read
as
follows:
Authority:
42
U.
S.
C.
7401
et
seq.
Subpart
P
Indiana
2.
Section
52.770
is
amended
by
adding
paragraph
(
c)(
155)
to
read
as
follows:
§
52.770
Identification
of
plan.
(
c)
*
*
*
(
155)
On
October
17,
2002,
the
State
submitted
revised
particulate
matter
emission
limits
for
the
Knauf
Fiber
Glass
in
Shelby
County
for
incorporation
into
the
Indiana
SIP.
(
i)
Incoropration
by
reference.
(
A)
Indiana
Administrative
Code
Title
326:
Air
Pollution
Control
Board,
Article
11
Emission
Limitations
for
Specific
Types
of
Operations,
Rule
4
Fiberglass
Insulation
Manufacturing,
Paragraph
5
Shelby
County
(
326
IAC
11
4
5).
Adopted
by
the
Indiana
Air
Pollution
Control
Board
on
May
1,
2002.
Filed
with
the
Secretary
of
State
on
August
28,
2002.
Published
in
the
Indiana
Register,
Volume
26,
Number
1,
October
1,
2002,
effective
September
27,
2002.
[
FR
Doc.
02
30937
Filed
12
6
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
180
[
OPP
2002
0326;
FRL
7282
1]
Carboxin;
Pesticide
Tolerance
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
This
regulation
establishes
a
tolerance
for
combined
residues
of
carboxin
(
5,6
dihydro
2
methyl
Nphenyl
1,4
oxathiin
3
carboxamide)
and
its
metabolite
5,6
dihydro
3
carboxanilide
2
methyl
1,4
oxathiin
4
oxide
(
calculated
as
carboxin)
(
from
treatment
of
seed
prior
to
planting)
in
or
on
canola,
seed.
Gustafson
LLC
requested
this
tolerance
under
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA)
,
as
amended
by
the
Food
Quality
Protection
Act
of
1996
(
FQPA).
DATES:
This
regulation
is
effective
December
9,
2002.
Objections
and
requests
for
hearings,
identified
by
docket
ID
number
OPP
2002
0326,
must
be
received
on
or
before
February
7,
2003.
ADDRESSES:
Written
objections
and
hearing
requests
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
VI.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Mary
Waller,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
9354;
e
mail
address:
waller.
mary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
Code
111)
Animal
production
(
NAICS
Code
112)
Food
manufacturing
(
NAICS
Code
311)
Pesticide
manufacturing
(
NAICS
Code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
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/
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236
/
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9,
2002
/
Rules
and
Regulations
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0326.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
A
frequently
updated
electronic
version
of
40
CFR
part
180
is
available
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
40cfr180_
00.
html,
a
beta
site
currently
under
development.
To
access
the
OPPTS
Harmonized
Guidelines
referenced
in
this
document,
go
directly
to
the
guidelines
at
http://
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
and
Statutory
Findings
In
the
Federal
Register
of
February
23,
2000
(
65
FR
8970)
(
FRL
6390
1),
EPA
issued
a
notice
pursuant
to
section
408
of
FFDCA,
21
U.
S.
C.
346a,
as
amended
by
FQPA
(
Public
Law
104
170),
announcing
the
filing
of
a
pesticide
petition
(
PP
9F6036)
by
Gustafson
LLC,
1400
Preston
Road,
Suite
400,
Plano,
Texas
75093.
That
notice
included
a
summary
of
the
petition
prepared
by
Gustafson,
LLC,
the
registrant.
There
were
no
comments
received
in
response
to
the
notice
of
filing.
The
petition
requested
that
40
CFR
180.301
be
amended
by
establishing
a
tolerance
for
combined
residues
of
the
fungicide
carboxin,
5,6
dihydro
2
methyl
1,4
oxathiin
3
carboxanilide]
and
its
sulfoxide
metabolite
5,6
dihydro
3
carboxanilide
2
methyl
1,4
oxathiin
4
oxide],
each
expressed
as
the
parent
compound],
in
or
on
canola,
seed
at
0.03
parts
per
million
(
ppm).
Section
408(
b)(
2)(
A)(
i)
of
the
FFDCA
allows
EPA
to
establish
a
tolerance
(
the
legal
limit
for
a
pesticide
chemical
residue
in
or
on
a
food)
only
if
EPA
determines
that
the
tolerance
is
``
safe.''
Section
408(
b)(
2)(
A)(
ii)
of
the
FFDCA
defines
``
safe''
to
mean
that
``
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
pesticide
chemical
residue,
including
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.''
This
includes
exposure
through
drinking
water
and
in
residential
settings,
but
does
not
include
occupational
exposure.
Section
408(
b)(
2)(
C)
of
the
FFDCA
requires
EPA
to
give
special
consideration
to
exposure
of
infants
and
children
to
the
pesticide
chemical
residue
in
establishing
a
tolerance
and
to
``
ensure
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
the
pesticide
chemical
residue....''
EPA
performs
a
number
of
analyses
to
determine
the
risks
from
aggregate
exposure
to
pesticide
residues.
For
further
discussion
of
the
regulatory
requirements
of
section
408
of
the
FFDCA
and
a
complete
description
of
the
risk
assessment
process,
see
the
final
rule
on
Bifenthrin
Pesticide
Tolerances
November
26,
1997
(
62
FR
62961)
(
FRL
5754
7).
III.
Aggregate
Risk
Assessment
and
Determination
of
Safety
Consistent
with
section
408(
b)(
2)(
D)
of
the
FFDCA,
EPA
has
reviewed
the
available
scientific
data
and
other
relevant
information
in
support
of
this
action.
EPA
has
sufficient
data
to
assess
the
hazards
of
and
to
make
a
determination
on
aggregate
exposure,
consistent
with
section
408(
b)(
2)
of
the
FFDCA,
for
a
tolerance
for
combined
residues
of
carboxin
(
5,6
dihydro
2
methyl
N
phenyl
1,4
oxathiin
3
carboxamide)
and
its
metabolite
5,6
dihydro
3
carboxanilide
2
methyl
1,4
oxathiin
4
oxide
(
calculated
as
carboxin)
(
from
treatment
of
seed
prior
to
planting)
on
canola,
seed
at
0.03
ppm.
EPA's
assessment
of
exposures
and
risks
associated
with
establishing
the
tolerance
follows.
A.
Toxicological
Profile
EPA
has
evaluated
the
available
toxicity
data
and
considered
its
validity,
completeness,
and
reliability
as
well
as
the
relationship
of
the
results
of
the
studies
to
human
risk.
EPA
has
also
considered
available
information
concerning
the
variability
of
the
sensitivities
of
major
identifiable
subgroups
of
consumers,
including
infants
and
children.
The
nature
of
the
toxic
effects
caused
by
carboxin
are
discussed
in
Table
1
of
this
unit
as
well
as
the
no
observed
adverse
effect
level
(
NOAEL)
and
the
lowest
observed
adverse
effect
level
(
LOAEL)
from
the
toxicity
studies
reviewed.
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Guideline
No.
Study
Type
Results
870.3100
90
Day
oral
toxicity
in
rats
NOAEL
=
Males:
not
identified;
Females:
10
mg/
kg/
day
LOAEL
=
Males:
10
mg/
kg/
day
based
on
chronic
nephritis,
increased
urea
nitrogen,
increased
creatinine;
Females:
40
mg/
kg/
day
based
on
chronic
nephritis
870.3200
21/
28
Day
dermal
toxicity
Not
available
870.3465
90
Day
inhalation
toxicity
Not
available
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236
/
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December
9,
2002
/
Rules
and
Regulations
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Continued
Guideline
No.
Study
Type
Results
870.3700
Prenatal
developmental
in
rats
Maternal
NOAEL
=
10
milligrams/
kilogram/
day
(
mg/
kg/
day)
LOAEL
=
90
mg/
kg/
day
based
on
decreased
body
weights
and
body
weight
gain,
decreased
food
consumption,
and
increased
hair
loss
Developmental
NOAEL
=
175
mg/
kg/
day
LOAEL
=
not
identified
870.3700
Prenatal
developmental
in
rabbits
Maternal
NOAEL
=
75
mg/
kg/
day
LOAEL
=
375
mg/
kg/
day
based
on
increased
abortions
Developmental
NOAEL
=
75
mg/
kg/
day
LOAEL
=
375
mg/
kg/
day
based
on
increased
abortions
870.3800
Reproduction
and
fertility
effects
in
rats
Parental
NOAEL
=
Males
and
Females:
1
mg/
kg/
day
LOAEL
=
Males:
10
mg/
kg/
day
based
on
decreased
body
weight
gains
in
F1
parents,
gross
and
histopathological
changes
in
kidneys;
Females:
15
mg/
kg/
day
based
on
equivocal
histopathological
changes
in
kidneys
Reproductive
NOAEL
=
Males:
10
mg/
kg/
day;
Females:
15
mg/
kg/
day
LOAEL
=
Males:
20
mg/
kg/
day;
Females:
30
mg/
kg/
day
based
on
decreased
fertility
indices
for
F1b
parents
due
to
decreased
number
of
pregnancies
for
F2b
generation
Offspring
NOAEL
=
Males:
10
mg/
kg/
day;
Females:
15
mg/
kg/
day
LOAEL
=
Males:
20
mg/
kg/
day;
Females:
30
mg/
kg/
day
based
on
decreased
body
weights
for
F2b
male
pups
870.4100
Chronic
toxicity
in
dogs
NOAEL
=
Males:
16
mg/
kg/
day;
Females:
1.3
mg/
kg/
day
LOAEL
=
Males:
158
mg/
kg/
day
based
on
decreased
RBC,
hematocrit
and
hemoglobin
increased
MCH
and
MCV,
increased
alkaline
phosphatase
and
cholesterol,
increased
liver
weights;
Females:
15
mg/
kg/
day
based
on
decreased
body
weight
gains
870.4300
Combined
Chronic/
Carcinogenicity
in
rats
NOAEL
=
Males:
0.8
mg/
kg/
day;
Females:
1.0
mg/
kg/
day
LOAEL
=
Males:
9
mg/
kg/
day
based
on
decreased
body
weight
and
body
weight
gain,
increased
urea
nitrogen
and
creatinine,
increased
water
consumption
and
urine
volume
decreased
urine
specific
gravity,
histopathological
changes
in
kidneys;
Females
16
mg/
kg/
day
based
on
histopathological
changes
in
kidneys
Negative
for
carcinogenicity
870.4200
Carcino
genicity
in
mice
NOAEL
=
Males:
752
mg/
kg/
day;
Females:
9
mg/
kg/
day
LOAEL
=
Males:
not
identified;
Females:
451
mg/
kg/
day
based
on
increased
mortality
Negative
for
carcinogenicity
870.5100
Bacterial
reverse
mutation
assay
(
Ames
test)
Negative
with
or
without
S
9
activation
at
5.000
µ
g/
plate
and
less
870.5375
In
vitro
mammalian
chromosome
aberration
(
CHO
cells)
Negative
without
S
9
activation
Positive
with
S
9
activation.
Highly
significant
increases
in
chromosomal
aberrations
at
several
toxic
dose
levels
ranging
from
400
to
1,400
Fg/
mL
870.5385
In
vivo
mammalian
chromosome
aberration
(
rat
bone
marrow)
Negative
at
all
dose
levels
up
to
48
hours
post
dosing
Study
is
unacceptable
due
to
lack
of
clinical
toxicity,
lack
of
a
multiple
dosing
schedule
and/
or
lack
of
evidence
of
transport
to
target
tissue
870.5385
In
vivo
mammalian
chromosome
aberration
(
rat
bone
marrow)
Negative
at
all
dose
levels
tested
870.5385
In
vivo
mammalian
chromosome
aberration
(
rat
bone
marrow)
Positive.
Dose
related
statistically
significant
increased
percent
of
aberrant
cells
at
191
mg/
kg/
day
870.5450
Dominant
lethal
assay
in
rats
Not
available
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Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Rules
and
Regulations
TABLE
1.
SUBCHRONIC,
CHRONIC,
AND
OTHER
TOXICITY
Continued
Guideline
No.
Study
Type
Results
870.5550
UDS
in
primary
rat
hepatocytes
Positive.
Dose
dependent
positive
responses
were
observed
at
treatment
levels
from
5.13
to
103
µ
g/
mL
in
the
absence
of
moderate
to
severe
toxicity
870.7485
Metabolism
and
pharmaco
kinetics
in
rats
Following
oral
treatment
of
rats
with
phenyl
UL
C14
carboxin,
approximately
78.3
81.1%
and
77.0
81.5%
of
the
low
and
high
doses,
respectively,
were
recovered.
Urine
was
the
major
route
of
excretion.
The
major
urinary
metabolites
were
4
acetamidophenol
and
its
glucuronide,
acetanilide,
and
hydroxylated
carboxin
sulfoxide
B.
Toxicological
Endpoints
The
dose
at
which
NOAEL
from
the
toxicology
study
identified
as
appropriate
for
use
in
risk
assessment
is
used
to
estimate
the
toxicological
level
of
concern
(
LOC).
However,
the
lowest
dose
at
which
adverse
effects
of
concern
are
identified
the
LOAEL
is
sometimes
used
for
risk
assessment
if
no
NOAEL
was
achieved
in
the
toxicology
study
selected.
An
uncertainty
factor
(
UF)
is
applied
to
reflect
uncertainties
inherent
in
the
extrapolation
from
laboratory
animal
data
to
humans
and
in
the
variations
in
sensitivity
among
members
of
the
human
population
as
well
as
other
unknowns.
An
UF
of
100
is
routinely
used,
10X
to
account
for
interspecies
differences
and
10X
for
intra
species
differences.
For
dietary
risk
assessment
(
other
than
cancer)
the
Agency
uses
the
UF
to
calculate
an
acute
or
chronic
reference
dose
(
acute
RfD
or
chronic
RfD)
where
the
RfD
is
equal
to
the
NOAEL
divided
by
the
appropriate
UF
(
RfD
=
NOAEL/
UF).
Where
an
additional
safety
factors
(
SF)
is
retained
due
to
concerns
unique
to
the
FQPA,
this
additional
factor
is
applied
to
the
RfD
by
dividing
the
RfD
by
such
additional
factor.
The
acute
or
chronic
Population
Adjusted
Dose
(
aPAD
or
cPAD)
is
a
modification
of
the
RfD
to
accommodate
this
type
of
FQPA
SF.
For
non
dietary
risk
assessments
(
other
than
cancer)
the
UF
is
used
to
determine
the
LOC.
For
example,
when
100
is
the
appropriate
UF
(
10X
to
account
for
interspecies
differences
and
10X
for
intraspecies
differences)
the
LOC
is
100.
To
estimate
risk,
a
ratio
of
the
NOAEL
to
exposures
(
margin
of
exposure
(
MOE)
=
NOAEL/
exposure)
is
calculated
and
compared
to
the
LOC.
The
linear
default
risk
methodology
(
Q*)
is
the
primary
method
currently
used
by
the
Agency
to
quantify
carcinogenic
risk.
The
Q*
approach
assumes
that
any
amount
of
exposure
will
lead
to
some
degree
of
cancer
risk.
A
Q*
is
calculated
and
used
to
estimate
risk
which
represents
a
probability
of
occurrence
of
additional
cancer
cases
(
e.
g.,
risk
is
expressed
as
1
x
10
6
or
one
in
a
million).
Under
certain
specific
circumstances,
MOE
calculations
will
be
used
for
the
carcinogenic
risk
assessment.
In
this
non
linear
approach,
a
``
point
of
departure''
is
identified
below
which
carcinogenic
effects
are
not
expected.
The
point
of
departure
is
typically
a
NOAEL
based
on
an
endpoint
related
to
cancer
effects
though
it
may
be
a
different
value
derived
from
the
dose
response
curve.
To
estimate
risk,
a
ratio
of
the
point
of
departure
to
exposure
(
MOEcancer
=
point
of
departure/
exposures)
is
calculated.
A
summary
of
the
toxicological
endpoints
for
carboxin
used
for
human
risk
assessment
is
shown
in
Table
2
of
this
unit:
TABLE
2.
SUMMARY
OF
TOXICOLOGICAL
DOSE
AND
ENDPOINTS
FOR
CARBOXIN
FOR
USE
IN
HUMAN
RISK
ASSESSMENT
Exposure
Scenario
Dose
Used
in
Risk
Assessment
UF
FQPA
SF*
and
Level
of
Concern
for
Risk
Assessment
Study
and
Toxicological
Effects
Acute
dietary
all
populations
Acute
RfD
=
not
required
No
toxicological
endpoint
attributable
to
a
single
exposure
was
identified
None
Chronic
dietary
all
populations
NOAEL
=
0.8
mg/
kg/
day
UF
=
100
Chronic
RfD
=
0.008
mg/
kg/
day
FQPA
SF
=
3
cPAD
=
chr
RfD
FQPA
SF
=
0.00267
mg/
kg/
day
Combined
chronic/
carcinogenicity
rat
LOAEL
=
Males:
9
mg/
kg/
day
based
on
decreased
body
weight
and
body
weight
gain,
increased
urea
nitrogen
and
creatinine
increased
water
consumption
and
urine
volume,
decreased
urine
specific
gravity,
histopathological
changes
in
kidneys
Females:
16
mg/
kg/
day
based
on
histopathological
changes
in
kidneys
Cancer
(
oral,
dermal,
inhalation
Not
likely
to
be
carcinogenic
to
humans
Negative
for
carcinogenicity
in
rats
and
mice
Combined
chronic/
carcinogenicity
rat
and
carcinogenicity
mouse
*
The
reference
to
the
FQPA
SF
refers
to
any
additional
SF
retained
due
to
concerns
unique
to
the
FQPA.
C.
Exposure
Assessment
1.
Dietary
exposure
from
food
and
feed
uses.
Tolerances
have
been
established
(
40
CFR
180.301)
for
the
combined
residues
of
carboxin
and
its
sulfoxide
metabolite,
in
or
on
a
variety
of
raw
agricultural
commodities
(
RAC).
Risk
assessments
were
conducted
by
EPA
to
assess
dietary
exposures
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Regulations
carboxin
and
its
sulfoxide
metabolite
in
food
as
follows:
i.
Acute
exposure.
Acute
dietary
risk
assessments
are
performed
for
a
fooduse
pesticide
if
a
toxicological
study
has
indicated
the
possibility
of
an
effect
of
concern
occurring
as
a
result
of
a
1
day
or
single
exposure.
No
toxicological
endpoint
attributable
to
a
single
exposure
was
identified
in
the
available
toxicology
studies
on
carboxin.
As
a
result,
an
acute
endpoint
was
not
identified
and
an
acute
dietary
exposure
assessment
was
not
performed.
ii.
Chronic
exposure.
In
conducting
this
chronic
dietary
risk
assessment
the
Dietary
Exposure
Evaluation
Model
(
DEEMTM)
analysis
evaluated
the
individual
food
consumption
as
reported
by
respondents
in
the
Department
of
Agriculture
(
USDA)
1989
1992
nationwide
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII)
and
accumulated
exposure
to
the
chemical
for
each
commodity.
The
chronic
dietary
exposure
analysis
was
an
unrefined
assessment.
Tolerance
level
residues
and
100%
crop
treated
assumptions
were
used.
iii.
Cancer.
Carboxin
was
classified
as
``
not
likely
to
be
carcinogenic
to
humans.''
Therefore,
a
cancer
dietary
exposure
assessment
was
not
performed.
2.
Dietary
exposure
from
drinking
water.
The
Agency
lacks
sufficient
monitoring
exposure
data
to
complete
a
comprehensive
dietary
exposure
analysis
and
risk
assessment
for
carboxin
and
its
sulfoxide
metabolite]
in
drinking
water.
Because
the
Agency
does
not
have
comprehensive
monitoring
data,
drinking
water
concentration
estimates
are
made
by
reliance
on
simulation
or
modeling
taking
into
account
data
on
the
physical
characteristics
of
carboxin
and
its
sulfoxide
metabolite.
The
Agency
uses
the
First
Index
Reservoir
Screening
Tool
(
FIRST)
or
the
Pesticide
Root
Zone/
Exposure
Analysis
Modeling
System
(
PRZM/
EXAMS),
to
produce
estimates
of
pesticide
concentrations
in
an
index
reservoir.
The
SCI
GROW
model
is
used
to
predict
pesticide
concentrations
in
shallow
ground
water.
For
a
screening
level
assessment
for
surface
water
EPA
will
use
FIRST
(
a
tier
1
model)
before
using
PRZM/
EXAMS
(
a
tier
2
model).
The
FIRST
model
is
a
subset
of
the
PRZM/
EXAMS
model
that
uses
a
specific
highend
runoff
scenario
for
pesticides.
While
both
FIRST
and
PRZM/
EXAMS
incorporate
an
index
reservoir
environment,
the
PRZM/
EXAMS
model
includes
a
percent
crop
(
PC)
area
factor
as
an
adjustment
to
account
for
the
maximum
PC
coverage
within
a
watershed
or
drainage
basin.
None
of
these
models
include
consideration
of
the
impact
processing
(
mixing,
dilution,
or
treatment)
of
raw
water
for
distribution
as
drinking
water
would
likely
have
on
the
removal
of
pesticides
from
the
source
water.
The
primary
use
of
these
models
by
the
Agency
at
this
stage
is
to
provide
a
coarse
screen
for
sorting
out
pesticides
for
which
it
is
highly
unlikely
that
drinking
water
concentrations
would
ever
exceed
human
health
levels
of
concern.
Since
the
models
used
are
considered
to
be
screening
tools
in
the
risk
assessment
process,
the
Agency
does
not
use
estimated
environmental
concentrations
(
EECs)
from
these
models
to
quantify
drinking
water
exposure
and
risk
as
a
%
RfD
or
%
PAD.
Instead
drinking
water
levels
of
comparison
(
DWLOCs)
are
calculated
and
used
as
a
point
of
comparison
against
the
model
estimates
of
a
pesticide's
concentration
in
water.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food,
and
from
residential
uses.
Since
DWLOCs
address
total
aggregate
exposure
to
carboxin
and
its
sulfoxide
metabolite
they
are
further
discussed
in
the
aggregate
risk
sectionsin
Unit
E.
Based
on
the
FIRST
and
SCI
GROW
models
the
estimated
environmental
concentrations
(
EECs)
of
carboxin
and
its
sulfoxide
metabolite
for
acute
exposures
are
estimated
to
be
29.6
parts
per
billion
(
ppb)
for
surface
water
and
0.09
ppb
for
ground
water.
The
EECs
for
chronic
exposures
are
estimated
to
be
0.63
ppb
for
surface
water
and
0.09
ppb
for
ground
water.
3.
From
non
dietary
exposure.
The
term
``
residential
exposure''
is
used
in
this
document
to
refer
to
nonoccupational
non
dietary
exposure
(
e.
g.,
for
lawn
and
garden
pest
control,
indoor
pest
control,
termiticides,
and
flea
and
tick
control
on
pets).
Carboxin
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
4.
Cumulative
exposure
to
substances
with
a
common
mechanism
of
toxicity.
Section
408(
b)(
2)(
D)(
v)
of
the
FFDCA
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
``
available
information''
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
``
other
substances
that
have
a
common
mechanism
of
toxicity.''
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
carboxin
has
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
Unlike
other
pesticides
for
which
EPA
has
followed
a
cumulative
risk
approach
based
on
a
common
mechanism
of
toxicity,
carboxin
does
not
appear
to
produce
a
toxic
metabolite
produced
by
other
substances.
For
the
purposes
of
this
tolerance
action,
therefore,
EPA
has
not
assumed
that
carboxin
has
a
common
mechanism
of
toxicity
with
other
substances.
For
information
regarding
EPA's
efforts
to
determine
which
chemicals
have
a
common
mechanism
of
toxicity
and
to
evaluate
the
cumulative
effects
of
such
chemicals,
see
the
final
rule
for
Bifenthrin
Pesticide
Tolerances
(
62
FR
62961,
November
26,
1997).
D.
Safety
Factor
for
Infants
and
Children
1.
In
general.
Section
408
of
the
FFDCA
provides
that
EPA
shall
apply
an
additional
tenfold
margin
of
safety
for
infants
and
children
in
the
case
of
threshold
effects
to
account
for
prenatal
and
postnatal
toxicity
and
the
completeness
of
the
database
on
toxicity
and
exposure
unless
EPA
determines
that
a
different
margin
of
safety
will
be
safe
for
infants
and
children.
Margins
of
safety
are
incorporated
into
EPA
risk
assessments
either
directly
through
use
of
a
MOE
analysis
or
through
using
uncertainty
(
safety)
factors
in
calculating
a
dose
level
that
poses
no
appreciable
risk
to
humans.
2.
Prenatal
and
postnatal
sensitivity.
The
developmental
toxicity
and
reproduction
studies
performed
with
carboxin
did
not
indicate
evidence
for
enhanced
susceptibility
to
the
fetuses/
offspring
of
rats
or
rabbits.
Neither
quantitative
nor
qualitative
increased
susceptibility
was
observed
in
the
developmental
toxicity
study
in
rats,
the
developmental
toxicity
study
in
rabbits,
or
the
2
generation
reproduction
toxicity
study
in
rats.
In
none
of
the
toxicity
studies
on
carboxin
was
there
any
toxicologically
significant
evidence
of
treatment
related
neurotoxicity.
A
developmental
neurotoxicity
study
in
rats
is
not
required.
There
is,
however,
a
concern
for
possible
germinal
cell
toxicity.
In
genotoxicity
studies,
carboxin
demonstrated
clear
evidence
of
clastogenic
potential.
It
was
also
noted
that
in
the
2
generation
reproduction
study
in
rats,
treatment
related
decreased
fertility
indices
for
the
F1b
male
and
female
parents
(
due
to
a
decreased
number
of
pregnancies
for
the
F2b
generation)
were
observed.
Based
on
these
considerations,
the
registrant
will
be
required
to
submit
a
germinal
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cell
assay,
specifically
a
dominant
lethal
assay
in
rats,
to
the
Agency
in
order
to
evaluate
possible
interaction
between
carboxin
and
germinal
cell
targets.
3.
Conclusion.
Based
upon
clear
evidence
of
clastogenic
activity
and
the
requirement
for
a
dominant
lethal
study,
EPA
concluded
that
a
FQPA
safety
factor
of
3X
is
appropriate
for
this
risk
assessment.
The
safety
factor
of
10X
was
reduced
to
3X
because:
i.
There
is
no
indication
of
quantitative
or
qualitative
increased
susceptibility
of
rats
or
rabbits
to
in
utero
and/
or
postnatal
exposure;
ii.
A
developmental
neurotoxicity
study
is
not
required;
iii.
The
dietary
(
food
and
drinking
water)
exposure
assessments
will
not
underestimate
the
potential
for
exposures
to
infants
and
children;
and
iv.
There
are
no
registered
residential
uses
for
carboxin.
E.
Aggregate
Risks
and
Determination
of
Safety
To
estimate
total
aggregate
exposure
to
a
pesticide
from
food,
drinking
water,
and
residential
uses,
the
Agency
calculates
DWLOCs
which
are
used
as
a
point
of
comparison
against
the
model
EECs
of
a
pesticide.
DWLOC
values
are
not
regulatory
standards
for
drinking
water.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food
and
residential
uses.
In
calculating
a
DWLOC,
the
Agency
determines
how
much
of
the
acceptable
exposure
(
i.
e.,
the
PAD)
is
available
for
exposure
through
drinking
water
e.
g.,
allowable
chronic
water
exposure
(
mg/
kg/
day)
=
cPAD
(
average
food
+
residential
exposure).
This
allowable
exposure
through
drinking
water
is
used
to
calculate
a
DWLOC.
A
DWLOC
will
vary
depending
on
the
toxic
endpoint,
drinking
water
consumption,
and
body
weights.
Default
body
weights
and
consumption
values
as
used
by
the
USEPA
Office
of
Water
are
used
to
calculate
DWLOCs:
2
liter
(
L)/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female),
and
1L/
10
kg
(
child).
Default
body
weights
and
drinking
water
consumption
values
vary
on
an
individual
basis.
This
variation
will
be
taken
into
account
in
more
refined
screening
level
and
quantitative
drinking
water
exposure
assessments.
Different
populations
will
have
different
DWLOCs.
Generally,
a
DWLOC
is
calculated
for
each
type
of
risk
assessment
used:
Acute,
short
term,
intermediate
term,
chronic,
and
cancer.
When
EECs
for
surface
water
and
ground
water
are
less
than
the
calculated
DWLOCs,
EPA
concludes
with
reasonable
certainty
that
exposures
to
the
pesticide
in
drinking
water
(
when
considered
along
with
other
sources
of
exposure
for
which
EPA
has
reliable
data)
would
not
result
in
unacceptable
levels
of
aggregate
human
health
risk
at
this
time.
Because
EPA
considers
the
aggregate
risk
resulting
from
multiple
exposure
pathways
associated
with
a
pesticide's
uses,
levels
of
comparison
in
drinking
water
may
vary
as
those
uses
change.
If
new
uses
are
added
in
the
future,
EPA
will
reassess
the
potential
impacts
of
residues
of
the
pesticide
in
drinking
water
as
a
part
of
the
aggregate
risk
assessment
process.
1.
Acute
risk.
No
toxicological
endpoint
attributable
to
a
single
exposure
was
identified
in
the
available
toxicology
studies
on
carboxin.
As
a
result,
carboxin
is
not
expected
to
pose
an
acute
risk.
2.
Chronic
risk.
Using
the
exposure
assumptions
described
in
this
unit
for
chronic
exposure,
EPA
has
concluded
that
exposure
to
carboxin
and
its
sulfoxide
metabolite
from
food
will
utilize
41%
of
the
cPAD
for
the
U.
S.
population
and
92%
of
the
cPAD
for
children
1
6
years,
the
most
highly
exposed
population.
There
are
no
residential
uses
for
carboxin.
In
addition,
there
is
potential
for
chronic
dietary
exposure
to
carboxin
and
its
sulfoxide
metabolite
in
drinking
water.
After
calculating
DWLOCs
and
comparing
them
to
the
EECs
for
surface
and
ground
water,
EPA
does
not
expect
the
aggregate
exposure
to
exceed
100%
of
the
cPAD,
as
shown
in
the
following
Table
3:
TABLE
3.
AGGREGATE
RISK
ASSESSMENT
FOR
CHRONIC
(
NON
CANCER)
EXPOSURE
TO
CARBOXIN
AND
ITS
SULFOXIDE
METABOLITE
Population
Subgroup
cPAD
mg/
kg/
day
%
cPAD
(
Food)
Surface
Water
EEC
(
ppb)
Ground
Water
EEC
(
ppb)
Chronic
DWLOC
(
ppb)
U.
S.
population
0.00267
41
0.63
0.09
56
Children
1
6
years
0.00267
92
0.63
0.09
2
3.
Short
term
and
Intermediate
term
risk.
Both
short
term
aggregate
exposure
and
intermediate
term
aggregate
exposure
take
into
account
residential
exposure
plus
chronic
exposure
to
food
and
water
(
considered
to
be
a
background
exposure
level).
Since
carboxin
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
Therefore,
the
aggregate
risk
is
the
sum
of
the
risk
from
food
and
water,
which
do
not
exceed
the
Agency's
level
of
concern
as
described
in
Table
3.
4.
Aggregate
cancer
risk
for
U.
S.
population.
Carboxin
was
classified
as
``
not
likely
to
be
carcinogenic
to
humans.''
Therefore,
carboxin
is
not
expected
to
pose
a
cancer
risk.
5.
Determination
of
safety.
Based
on
these
risk
assessments,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
residues
of
carboxin
and
its
sulfoxide
metabolite.
IV.
Other
Considerations
A.
Endocrine
Disruptor
Effects
FQPA
requires
EPA
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticides
and
inerts
or
inactive
ingredients)
``
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
such
other
endocrine
effect...''
EPA
has
been
working
with
interested
stakeholders
to
develop
a
screening
and
testing
program
as
well
as
a
priority
setting
scheme.
In
the
available
toxicity
studies
for
carboxin,
there
is
no
evidence
of
endocrine
disruptor
effects.
When
appropriate
screening
and/
or
testing
protocols
being
considered
under
the
Agency's
Endocrine
Disruptor
Screening
Program
have
been
developed,
carboxin
may
be
subjected
to
further
screening
and/
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
B.
Analytical
Enforcement
Methodology
The
current
available
enforcement
methods
for
tolerances
of
the
combined
residues
of
carboxin
and
its
carboxin
sulfoxide
metabolite
are
described
in
the
Pesticide
Analytical
Manual
(
PAM)
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and
Regulations
Vol.
II.
Method
I
is
a
colorimetric
method
which
is
used
for
determination
of
residues
in
or
on
corn,
peanuts,
rice,
rice
straw,
sorghum,
soybeans,
eggs,
meat,
and
milk.
Method
II
and
its
modification,
Method
A,
are
gas
liquid
chromatography
(
GLC)
methods
which
are
used
for
wheat,
oats,
barley,
peanuts,
peanut
oil
and
meal,
sorghum,
cottonseed,
and
cottonseed
oil
and
meal.
Adequate
recovery
data
were
submitted
to
validate
the
methods
used
in
the
canola
field
trials.
Residues
in
canola
seeds
were
converted
to
aniline,
which
was
derivatized
with
heptafluorobutyric
anhydride
prior
to
gas
chromatography
mass
selective
detector
(
GC/
MSD)
analysis.
Recoveries
were
100
103%
for
0.025
ppm
fortifications
in
canola
seeds.
Adequate
enforcement
methodology
is
available
to
enforce
the
tolerance
expression.
The
method
may
be
requested
from:
Francis
Griffith,
Analytical
Chemistry
Branch,
Environmental
Science
Center,
U.
S.
Environmental
Protection
Agency,
701
Mapes
Road,
Fort
George
G.
Meade,
MD
20755
5350;
telephone
number:
(
410)
305
2905;
e
mail
address:
griffith.
francis@
epa.
gov.
C.
International
Residue
Limits
There
are
no
CODEX,
Canadian,
or
Mexican
maximum
residue
levels
(
MRLs)
for
carboxin
in/
on
onion
seed.
As
a
result,
harmonization
of
tolerances
is
not
an
issue.
V.
Conclusion
Therefore,
the
tolerance
is
established
for
combined
residues
of
carboxin,
(
5,6
dihydro
2
methyl
N
phenyl
1,4
oxathiin
3
carboxamide)
and
its
metabolite
5,6
dihydro
3
carboxanilide
2
methyl
1,4
oxathiin
4
oxide
(
calculated
as
carboxin)
(
from
treatment
of
seed
prior
to
planting)
insert
regulated
chemical,
in
or
on
canola,
seed
at
0.03
ppm.
VI.
Objections
and
Hearing
Requests
Under
section
408(
g)
of
the
FFDCA,
as
amended
by
the
FQPA,
any
person
may
file
an
objection
to
any
aspect
of
this
regulation
and
may
also
request
a
hearing
on
those
objections.
The
EPA
procedural
regulations
which
govern
the
submission
of
objections
and
requests
for
hearings
appear
in
40
CFR
part
178.
Although
the
procedures
in
those
regulations
require
some
modification
to
reflect
the
amendments
made
to
the
FFDCA
by
the
FQPA,
EPA
will
continue
to
use
those
procedures,
with
appropriate
adjustments,
until
the
necessary
modifications
can
be
made.
The
new
section
408(
g)
of
the
FFDCA
provides
essentially
the
same
process
for
persons
to
``
object''''
to
a
regulation
for
an
exemption
from
the
requirement
of
a
tolerance
issued
by
EPA
under
new
section
408(
d)
of
FFDCA,
as
was
provided
in
the
old
sections
408
and
409
of
the
FFDCA.
However,
the
period
for
filing
objections
is
now
60
days,
rather
than
30
days.
A.
What
Do
I
Need
to
Do
to
File
an
Objection
or
Request
a
Hearing?
You
must
file
your
objection
or
request
a
hearing
on
this
regulation
in
accordance
with
the
instructions
provided
in
this
unit
and
in
40
CFR
part
178.
To
ensure
proper
receipt
by
EPA,
you
must
identify
docket
ID
number
OPP
2002
0326
in
the
subject
line
on
the
first
page
of
your
submission.
All
requests
must
be
in
writing,
and
must
be
mailed
or
delivered
to
the
Hearing
Clerk
on
or
before
February
7,
2003.
1.
Filing
the
request.
Your
objection
must
specify
the
specific
provisions
in
the
regulation
that
you
object
to,
and
the
grounds
for
the
objections
(
40
CFR
178.25).
If
a
hearing
is
requested,
the
objections
must
include
a
statement
of
the
factual
issues(
s)
on
which
a
hearing
is
requested,
the
requestor's
contentions
on
such
issues,
and
a
summary
of
any
evidence
relied
upon
by
the
objector
(
40
CFR
178.27).
Information
submitted
in
connection
with
an
objection
or
hearing
request
may
be
claimed
confidential
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
A
copy
of
the
information
that
does
not
contain
CBI
must
be
submitted
for
inclusion
in
the
public
record.
Information
not
marked
confidential
may
be
disclosed
publicly
by
EPA
without
prior
notice.
Mail
your
written
request
to:
Office
of
the
Hearing
Clerk
(
1900C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
You
may
also
deliver
your
request
to
the
Office
of
the
Hearing
Clerk
in
Rm.
104,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA;.
The
Office
of
the
Hearing
Clerk
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Office
of
the
Hearing
Clerk
is
(
703)
603
0061.
2.
Tolerance
fee
payment.
If
you
file
an
objection
or
request
a
hearing,
you
must
also
pay
the
fee
prescribed
by
40
CFR
180.33(
i)
or
request
a
waiver
of
that
fee
pursuant
to
40
CFR
180.33(
m).
You
must
mail
the
fee
to:
EPA
Headquarters
Accounting
Operations
Branch,
Office
of
Pesticide
Programs,
P.
O.
Box
360277M,
Pittsburgh,
PA
15251.
Please
identify
the
fee
submission
by
labeling
it
``
Tolerance
Petition
Fees.''
EPA
is
authorized
to
waive
any
fee
requirement
``
when
in
the
judgement
of
the
Administrator
such
a
waiver
or
refund
is
equitable
and
not
contrary
to
the
purpose
of
this
subsection.''
For
additional
information
regarding
the
waiver
of
these
fees,
you
may
contact
James
Tompkins
by
phone
at
(
703)
305
5697,
by
e
mail
at
tompkins.
jim@
epa.
gov,
or
by
mailing
a
request
for
information
to
Mr.
Tompkins
at
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
If
you
would
like
to
request
a
waiver
of
the
tolerance
objection
fees,
you
must
mail
your
request
for
such
a
waiver
to:
James
Hollins,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
3.
Copies
for
the
Docket.
In
addition
to
filing
an
objection
or
hearing
request
with
the
Hearing
Clerk
as
described
in
Unit
VI.
A.,
you
should
also
send
a
copy
of
your
request
to
the
PIRIB
for
its
inclusion
in
the
official
record
that
is
described
in
Unit
I.
B.
1.
Mail
your
copies,
identified
by
docket
ID
number
OPP
2002
0326,
to:
Public
Information
and
Records
Integrity
Branch,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001.
In
person
or
by
courier,
bring
a
copy
to
the
location
of
the
PIRIB
described
in
Unit
I.
B.
1.
You
may
also
send
an
electronic
copy
of
your
request
via
e
mail
to:
oppdocket
epa.
gov.
Please
use
an
ASCII
file
format
and
avoid
the
use
of
special
characters
and
any
form
of
encryption.
Copies
of
electronic
objections
and
hearing
requests
will
also
be
accepted
on
disks
in
WordPerfect
6.1/
8.0
or
ASCII
file
format.
Do
not
include
any
CBI
in
your
electronic
copy.
You
may
also
submit
an
electronic
copy
of
your
request
at
many
Federal
Depository
Libraries.
B.
When
Will
the
Agency
Grant
a
Request
for
a
Hearing?
A
request
for
a
hearing
will
be
granted
if
the
Administrator
determines
that
the
material
submitted
shows
the
following:
There
is
a
genuine
and
substantial
issue
of
fact;
there
is
a
reasonable
possibility
that
available
evidence
identified
by
the
requestor
would,
if
established
resolve
one
or
more
of
such
issues
in
favor
of
the
requestor,
taking
into
account
uncontested
claims
or
facts
to
the
contrary;
and
resolution
of
the
factual
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Rules
and
Regulations
issues(
s)
in
the
manner
sought
by
the
requestor
would
be
adequate
to
justify
the
action
requested
(
40
CFR
178.32).
VII.
Regulatory
Assessment
Requirements
This
final
rule
establishes
a
tolerance
under
section
408(
d)
of
the
FFDCA
in
response
to
a
petition
submitted
to
the
Agency.
The
Office
of
Management
and
Budget
(
OMB)
has
exempted
these
types
of
actions
from
review
under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(
58
FR
51735,
October
4,
1993).
Because
this
rule
has
been
exempted
from
review
under
Executive
Order
12866
due
to
its
lack
of
significance,
this
rule
is
not
subject
to
Executive
Order
13211,
Actions
Concerning
Regulations
That
Significantly
Affect
Energy
Supply,
Distribution,
or
Use
(
66
FR
28355,
May
22,
2001).
This
final
rule
does
not
contain
any
information
collections
subject
to
OMB
approval
under
the
Paperwork
Reduction
Act
(
PRA),
44
U.
S.
C.
3501
et
seq.,
or
impose
any
enforceable
duty
or
contain
any
unfunded
mandate
as
described
under
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(
UMRA)
(
Public
Law
104
4).
Nor
does
it
require
any
special
considerations
under
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(
59
FR
7629,
February
16,
1994);
or
OMB
review
or
any
Agency
action
under
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(
62
FR
19885,
April
23,
1997).
This
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
NTTAA),
Public
Law
104
113,
section
12(
d)
(
15
U.
S.
C.
272
note).
Since
tolerances
and
exemptions
that
are
established
on
the
basis
of
a
petition
under
section
408(
d)
of
the
FFDCA,
such
as
the
tolerance
in
this
final
rule,
do
not
require
the
issuance
of
a
proposed
rule,
the
requirements
of
the
Regulatory
Flexibility
Act
(
RFA)
(
5
U.
S.
C.
601
et
seq.)
do
not
apply.
In
addition,
the
Agency
has
determined
that
this
action
will
not
have
a
substantial
direct
effect
on
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132,
entitled
Federalism
(
64
FR
43255,
August
10,
1999).
Executive
Order
13132
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.''
``
Policies
that
have
federalism
implications''
is
defined
in
the
Executive
order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.''
This
final
rule
directly
regulates
growers,
food
processors,
food
handlers
and
food
retailers,
not
States.
This
action
does
not
alter
the
relationships
or
distribution
of
power
and
responsibilities
established
by
Congress
in
the
preemption
provisions
of
section
408(
n)(
4)
of
the
FFDCA.
For
these
same
reasons,
the
Agency
has
determined
that
this
rule
does
not
have
any
``
tribal
implications''
as
described
in
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(
65
FR
67249,
November
6,
2000).
Executive
Order
13175,
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
tribal
officials
in
the
development
of
regulatory
policies
that
have
tribal
implications.''
``
Policies
that
have
tribal
implications''
is
defined
in
the
Executive
order
to
include
regulations
that
have
``
substantial
direct
effects
on
one
or
more
Indian
tribes,
on
the
relationship
between
the
Federal
Government
and
the
Indian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes.''
This
rule
will
not
have
substantial
direct
effects
on
tribal
governments,
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,
as
specified
in
Executive
Order
13175.
Thus,
Executive
Order
13175
does
not
apply
to
this
rule.
VIII.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
this
final
rule
in
the
Federal
Register.
This
final
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
180
Environmental
protection,
Administrative
practice
and
procedure,
Agricultural
commodities,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
November
26,
2002.
Peter
Caulkins,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Therefore,
40
CFR
chapter
I
is
amended
as
follows:
PART
180
[
AMENDED]
1.
The
authority
citation
for
part
180
continues
to
read
as
follows:
Authority:
21
U.
S.
C.
321(
q),
346(
a)
and
371.
2.
Section
180.301
is
amended
by
alphabetically
adding
the
commodity
``
canola,
seed''
to
the
table
in
paragraph
(
a)
to
read
as
follows:
§
180.301
Carboxin;
tolerances
for
residues.
(
a)
*
*
*
Commodity
Parts
per
million
*
*
*
*
*
Canola,
seed
0.03
*
*
*
*
*
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Federal
Register
/
Vol.
67,
No.
236
/
Monday,
December
9,
2002
/
Rules
and
Regulations
*
*
*
*
*
[
FR
Doc.
02
31010
Filed
12
6
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
721
[
OPPT
2002
0043;
FRL
7279
1]
RIN
2070
AD43
Perfluoroalkyl
Sulfonates;
Significant
New
Use
Rule
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
EPA
is
issuing
a
significant
new
use
rule
(
SNUR)
under
section
5(
a)(
2)
of
the
Toxic
Substances
Control
Act
(
TSCA)
for
75
substances
including
perfluorooctanesulfonic
acid
(
PFOSH)
and
certain
of
its
salts
(
PFOSS),
perfluorooctanesulfonyl
fluoride
(
POSF),
certain
higher
and
lower
homologues
of
PFOSH
and
POSF,
and
certain
other
chemical
substances,
including
polymers,
that
are
derived
from
PFOSH
and
its
homologues.
These
chemicals
are
collectively
referred
to
as
perfluoroalkyl
sulfonates,
or
PFAS.
This
rule
requires
manufacturers
and
importers
to
notify
EPA
at
least
90
days
before
commencing
the
manufacture
or
import
of
these
chemical
substances
for
the
significant
new
uses
described
in
this
document.
EPA
believes
that
this
action
is
necessary
because
the
PFOSH
component
of
these
chemical
substances
may
be
hazardous
to
human
health
and
the
environment.
The
required
notice
will
provide
EPA
with
the
opportunity
to
evaluate
an
intended
new
use
and
associated
activities
and,
if
necessary,
to
prohibit
or
limit
that
activity
before
it
occurs.
DATES:
This
final
rule
is
effective
on
January
8,
2003.
FOR
FURTHER
INFORMATION
CONTACT:
For
general
information
contact:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division
(
7408M),
Office
of
Pollution
Prevention
and
Toxics,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
202)
554
1404;
e
mail
address:
TSCA
Hotline@
epa.
gov.
For
technical
information
contact:
Mary
Dominiak,
Chemical
Control
Division
(
7405M),
Office
of
Pollution
Prevention
and
Toxics,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
202)
564
8104;
e
mail
address:
dominiak.
mary@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
manufacture
(
defined
by
statute
to
include
import)
any
of
the
chemical
substances
that
are
listed
in
Table
1
of
this
unit.
Persons
who
intend
to
import
any
chemical
substance
governed
by
a
final
SNUR
are
subject
to
TSCA
section
13
(
15
U.
S.
C.
2612)
import
certification
requirements,
and
to
the
regulations
codified
at
19
CFR
12.118
through
12.127
and
12.728.
Those
persons
must
certify
that
they
are
in
compliance
with
the
SNUR
requirements.
The
EPA
policy
in
support
of
import
certification
appears
at
40
CFR
part
707,
subpart
B.
In
addition,
any
persons
who
export
or
intend
to
export
any
of
the
chemical
substances
listed
in
Table
1
are
subject
to
the
export
notification
provisions
of
TSCA
section
12(
b)
(
15
U.
S.
C.
2611(
b)),
and
must
comply
with
the
export
notification
requirements
in
40
CFR
721.20
and
40
CFR
part
707,
subpart
D.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Chemical
manufacturers
or
importers
(
NAICS
325),
e.
g.,
persons
who
manufacture
(
defined
by
statute
to
include
import)
one
or
more
of
the
subject
chemical
substances.
Chemical
exporters
(
NAICS
325),
e.
g.,
persons
who
export,
or
intend
to
export,
one
or
more
of
the
subject
chemical
substances.
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
To
determine
whether
you
or
your
business
may
be
affected
by
this
action,
you
should
carefully
examine
the
applicability
provisions
in
40
CFR
721.5
for
SNUR
related
obligations.
Also,
consult
Unit
II.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
technical
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
TABLE
1.
CHEMICAL
SUBSTANCES
COVERED
BY
THIS
RULE
CAS
No./
PMN
CAS
Ninth
Collective
Index
Name
307
35
7
1
Octanesulfonyl
fluoride,
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,8
heptadecafluoro
307
51
7
1
Decanesulfonyl
fluoride,
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,9,9,10,10,10
heneicosafluoro
376
14
7
2
Propenoic
acid,
2
methyl,
2[
ethyl[(
heptadecafluorooctyl)
sulfonyl]
amino]
ethyl
ester
383
07
3
2
Propenoic
acid,
2[
butyl[(
heptadecafluorooctyl)
sulfonyl]
amino]
ethyl
ester
423
50
7
1
Hexanesulfonyl
fluoride,
1,1,2,2,3,3,4,4,5,5,6,6,6
tridecafluoro
423
82
5
2
Propenoic
acid,
2[
ethyl[(
heptadecafluorooctyl)
sulfonyl]
amino]
ethyl
ester
754
91
6
1
Octanesulfonamide,
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,8
heptadecafluoro
1652
63
7
1
Propanaminium,
3[[(
heptadecafluorooctyl)
sulfonyl]
amino]
N,
N,
N
trimethyl,
iodide
1691
99
2
1
Octanesulfonamide,
N
ethyl
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,8
heptadecafluoro
N(
2
hydroxyethyl)
1763
23
1
1
Octanesulfonic
acid,
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,8
heptadecafluoro
2795
39
3
1
Octanesulfonic
acid,
1,1,2,2,3,3,4,4,5,5,6,6,7,7,8,8,8
heptadecafluoro,
potassium
salt
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| epa | 2024-06-07T20:31:45.380614 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0326-0001/content.txt"
} |
EPA-HQ-OPP-2002-0329-0002 | Supporting & Related Material | 2002-12-06T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
February
28,
2002
MEMORANDUM
SUBJECT:
Asulam.
HED
Human
Health
Assessment
for
the
Tolerance
Reassessment
Eligibility
Decision
(
TRED).
Chemical
No.
106901/
02.
No
MRID
#.
DP
Barcode
No.
D276505.
FROM:
José
J.
Morales,
Chemist/
Risk
Assessor
John
Liccione,
Toxicologist
Barry
O Keef,
Residential
Exposure
Reregistration
Branch
3
Health
Effects
Division
(
7509C)
THRU:
Catherine
Eiden,
Branch
Senior
Scientist
Reregistration
Branch
3
Health
Effects
Division
(
7509C)
TO:
Demson
Fuller,
Chemical
Review
Manager
Special
Review
and
Reregistration
Division
(
7508C)
This
memorandum
and
attachments
are
the
Health
Effects
Division's
Tolerance
Reassessment
Eligibility
Decision
Document
(
TRED)
for
asulam,
taking
into
consideration
requirements
of
the
1996
Food
Quality
Protection
Act
(
FQPA).
This
assessment
only
discusses
the
human
health
risk
assessment
required
for
reassessment
of
tolerances
and
does
not
include
an
occupational
risk
assessment
required
for
reregistration
of
products.
Cumulative
risk
assessment
considering
risks
from
other
pesticides
which
may
have
a
common
mechanism
of
toxicity
is
also
not
addressed
in
this
document.
Attachments:
Hazard
Identification
Review
Committee
(
HIARC)
report
(
J.
Liccione,
12/
6/
01)
FQPA
Committee
Report
(
C.
Christensen,
2/
5/
02)
Toxicology
Chapter
(
J.
Liccione,
12/
12/
01)
Chemistry
Chapter
(
J.
Morales,
12/
6/
01)
Dietary
Exposure
Analysis
(
J.
Morales,
12/
18/
01)
Drinking
Water
Assessment
to
Support
the
TRED
for
Asulam
(
N.
Birchfield,
1/
8/
02)
ASULAM
HED s
HUMAN
HEALTH
RISK
ASSESSMENT
1.0
Executive
Summary
The
Health
Effects
Division
(
HED)
has
conducted
a
human
health
risk
assessment
for
asulam
for
the
purpose
of
making
a
Tolerance
Reassessment
Eligibility
Decision.
HED
evaluated
the
toxicology,
residue
chemistry,
and
residential
databases
for
asulam
and
determined
that
the
data
are
adequate
to
support
a
Tolerance
Reassessment
Eligibility
Decision
(
TRED).
Use
Profile
Asulam
(
methyl
sulfanilylcarbamate)
is
a
selective,
postemergent
systemic,
carbamate
herbicide
whose
chemical
structure
and
biological
properties
differ
considerably
from
those
of
carbamate
insecticides.
It
is
structurally
related
to
chlorpropham
and
phenmedipham.
It
has
no
registered
residential
uses.
Therefore,
potential
residential
exposures
are
not
anticipated
as
a
result
of
applications
of
asulam.
Use
sites
include
sugarcane
(
the
only
registered
food
use),
Christmas
tree
plantings,
turf
(
for
sod
only),
ornamentals
(
junipers
&
yews
only),
and
non
crop
land
(
e.
g.,
rights
of
way,
fence
rows,
etc.).
Sugarcane
represents
95
percent
of
asulam
utilization;
therefore,
the
remaining
five
percent
is
utilized
on
the
other
use
sites.
Hazard
Profile
The
toxicity
database
for
asulam
included
asulam
technical
(
98
100%
ai)
and
the
sodium
salt
of
asulam
(
88%
ai).
The
acute
toxicity
of
asulam
is
low.
The
acute
oral
LD50
for
asulam
in
rats
exceeded
5000
mg/
kg.
The
acute
inhalation
LC50
was
greater
than
5
mg/
L
in
rats.
The
acute
dermal
LD50
for
asulam
in
rabbits
exceeded
4000
mg/
kg.
Application
of
technical
asulam
to
rabbit
eyes
produced
mild
chemosis,
irritation,
and
redness
which
cleared
by
day
seven
post
treatment.
Asulam
was
not
an
irritant
in
a
primary
skin
irritation
study
in
rabbits.
It
did
not
cause
dermal
sensitization
in
guinea
pigs.
Subchronic
and
chronic
toxicity
studies
demonstrate
that
the
thyroid
gland
is
a
target
organ
for
asulam
in
the
rat
and
dog.
Thyroid
findings,
consisting
of
hyperplastic
changes
in
thyroid
follicular
cells
in
male
rats
reported
in
a
two
year
combined
chronic/
oncogenicity
feeding
study
were
observed
at
the
lowest
observed
adverse
effect
level
(
LOAEL)
of
180
mg/
kg/
day;
the
no
observed
adverse
effect
level
(
NOAEL)
was
36
mg/
kg/
day.
The
chronic
RfD
for
asulam
is
derived
from
the
NOAEL
of
36
mg/
kg/
day,
based
on
thyroid
follicular
hyperplasia
at
180
and
953
mg/
kg/
day.
An
uncertainty
factor
of
100
was
applied
to
the
NOAEL
for
interspecies
extrapolation
and
intraspecies
variability.
Thyroid
weights
were
not
monitored
in
the
study.
Other
toxicological
effects
included
adrenal
medullary
hyperplastic
alterations
in
male
rats,
and
decreased
body
weight
gains
in
male
and
female
rats.
In
a
six
month
dog
study,
increased
thyroid
weights
(
elevated
absolute
weights
in
females
at
300
mg/
kg/
day
and
elevated
absolute
and
relative
weights
in
males
and
females
at
1500
mg/
kg/
day)
were
reported.
Similar
findings
were
noted
in
a
three
month
gavage
study
in
the
dog.
Asulam
is
classified
as
Group
C,
possible
human
carcinogen,
based
on
thyroid
and
adrenal
tumors
in
the
rat
study.
The
Cancer
Peer
Review
Committee
determined
that
a
low
dose
linear
extrapolation
risk
model
was
not
appropriate
for
asulam
(
memorandum
dated
2/
17/
88).
The
12/
06/
01
HIARC
document,
has
concluded
that
the
submission
and
review
of
a
new
mouse
study
did
not
impact
the
current
classification
of
asulam
as
a
Group
C,
possible
human
carcinogen
or
the
CARC
conclusion
that
a
cancer
risk
assessment
is
not
required.
A
two
generation
reproduction
study
in
the
rat
study
provided
evidence
for
a
quantitative
increased
susceptibility
of
the
rat
fetus
to
asulam
exposure
relative
to
adults.
Additionally,
the
HIARC
determined
that
a
comparative
thyroid
rat
assay
in
adults
and
offspring
be
conducted.
In
the
rat
reproductive
toxiciity
study,
significantly
fewer
mean
live
births
per
litter
were
observed
at
250
mg/
kg/
day
and
1250
mg/
kg/
day
in
the
first
generation.
A
dose
response
relationship
was
evident.
The
LOAEL
for
offspring
effects
was
250
mg/
kg/
day.
No
effects
on
mean
live
births
per
litter
were
observed
at
50
mg/
kg/
day,
the
NOAEL
for
offspring
toxicity.
The
LOAEL
for
parental
systemic
toxicity
is
1250
mg/
kg/
day
and
was
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
in
F1
males
and
F2
males
and
females;
increased
absolute
and
relative
liver
weights
in
F1
females;
and
increased
ovarian
weights
in
F1
females
at
31
days
old,
but
not
at
terminal
necropsy).
The
NOAEL
for
parental
systemic
toxicity
is
250
mg/
kg/
day.
Asulam
has
been
evaluated
for
potential
developmental
effects
in
the
rat
and
the
rabbit.
There
was
no
indication
of
treatment
related
effects
on
developmental
parameters
(
at
dose
levels
up
to
750
mg/
kg/
day)
in
a
developmental
toxicity
study
in
the
rabbit.
In
the
developmental
study
in
the
rat,
a
slight
to
moderate
increase
in
preimplantation
loss
was
observed
at
the
high
dose
level
(
1,500
mg/
kg/
day).
Decreased
maternal
body
weight
gain
was
noted
at
1,500
mg/
kg/
day,
but
not
at
1,000
mg/
kg/
day.
In
a
developmental
toxicity
study
in
the
rabbit,
decreased
maternal
body
weight
gain
was
observed
at
a
LOAEL
of
750
mg/
kg/
day;
the
NOAEL
is
300
mg/
kg/
day.
Asulam
was
tested
in
several
genetic
toxicology
studies,
which
included
assessments
of
gene
mutation,
chromosomal
aberrations,
and
cell
transformation.
All
assays
were
negative.
FQPA
Safety
Factor
Based
upon
the
developmental
studies
reviewed,
there
does
not
appear
to
be
any
quantitative
or
qualitative
evidence
of
increased
susceptibility
of
rat
or
rabbit
fetuses
following
in
utero
exposure
to
asulam.
However,
there
was
evidence
of
quantitative
susceptibility
for
offspring
(
significantly
fewer
mean
live
births)
in
a
two
generation
reproduction
study
in
the
rat.
Although
neurotoxicity
studies
were
not
performed,
there
was
no
indication
of
neurotoxicity
in
the
submitted
studies
or
in
the
published
literature.
A
developmental
neurotoxicity
study
was
not
required
by
HIARC,
however
a
comparative
thyroid
rat
assay
in
adults
and
offspring
is
being
required.
The
FQPA
Safety
Factor
Committee
(
12/
10/
01)
determined
that
for
asulam,
the
10
fold
safety
factor
for
the
protection
of
infants
and
children
should
be
retained
because:
1)
There
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat;
and,
2)
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring
and
this
is
considered
a
data
gap
for
asulam.
3
Toxic
Endpoints
Selected
for
Risk
Assessment
The
HED
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
met
on
11/
13/
01
to
select
endpoints
for
human
health
risk
assessments
and
to
reevaluate
increased
susceptibility
of
offspring
and
fetuses
to
asulam
exposures.
The
quality
of
the
toxicity
studies
for
asulam
provided
reasonable
confidence
in
the
toxicity
endpoints
and
doses
selected
for
risk
assessment.
All
doses
for
risk
assessment
purposes
were
assessed
along
with
the
uncertainty
factors
of
10X
for
interspecies
extrapolation
and
10X
for
intraspecies
variability.
No
acute
dietary
toxicity
endpoint
was
identified
because
no
adverse
effect
attributable
to
a
single
dose
of
asulam
was
observed.
A
chronic
Reference
Dose
(
cRfD)
of
0.36
mg/
kg/
day
was
established
based
on
the
NOAEL
of
36
mg/
kg/
day,
and
a
100X
uncertainty
factor
for
interspecies
extrapolation,
and
intraspecies
variability.
An
additional
safety
factor
of
10X
was
applied
to
the
cRfD
to
account
for
quantitative
increased
susceptibility
in
offspring/
fetuses
resulting
in
a
chronic
Population
Adjusted
Dose
(
cPAD)
of
0.036
mg/
kg/
day.
A
chronic
dietary
risk
assessment
was
conducted
to
estimate
risks
from
average
exposures
to
asulam
in
foods.
Short,
intermediate,
and
long
term
dermal
and
inhalation
endpoints
were
selected
because
there
are
occupational
exposures.
Although
dermal
and
inhalation
toxicity
studies
were
available,
these
studies
did
not
include
an
examination
of
the
thyroid
gland,
the
target
organ
for
asulam.
Therefore,
oral
endpoints
were
selected
for
dermal
and
inhalation
endpoints.
Because
the
risk
assessments
conducted
for
this
document
are
intended
to
support
a
TRED,
no
occupational
exposure
and
risk
assessments
were
conducted.
No
endpoints
for
short,
or
intermediate
term
incidental
ingestion
were
selected.
Although
dermal
and
inhalation
endpoints
were
selected,
dermal
and
inhalation
risk
assessments
for
residential
exposures
were
not
conducted
because
there
are
no
registered
residential
uses
of
asulam.
Although
asulam
is
classified
as
a
C
carcinogen,
it
has
not
been
quantified
as
per
the
CARC
(
memo
dated
2/
17/
88).
Therefore,
a
quantitative
exposure
and
risk
assessment
for
cancer
has
not
been
conducted.
Chronic
Dietary
Risk
Assessment
The
risk
estimates
for
chronic
dietary
exposures
to
asulam
analyses
reflect
a
refined
exposure
assessment.
Anticipated
residues
(
ARs)
and
percent
crop
treated
information
were
incorporated
in
the
analysis.
ARs
were
calculated
using
field
trial
data.
There
are
no
monitoring
data
(
USDA
PDP)
available
for
asulam.
Chronic
dietary
risk
is
estimated
by
using
average
consumption
and
residue
values.
A
risk
estimate
that
is
less
than
100%
of
the
chronic
Population
Adjusted
Dose
(
cPAD)
does
not
exceed
HED s
level
of
concern.
The
cPAD
(
0.036
mg/
kg/
day)
is
the
RfD
(
0.36
mg/
kg/
day)
divided
by
the
FQPA
safety
factor
(
10x
for
asulam).
Chronic
dietary
risks
estimated
using
a
cPAD
of
0.036
mg/
kg/
day
are
below
the
Agency s
level
of
concern
(<
100%
cPAD)
for
all
population
subgroups.
The
chronic
dietary
risk
estimate
for
children
1
6
years
(
the
highest
exposed
population
subgroup)
is
1%
of
the
cPAD.
All
other
population
subgroups
have
chronic
dietary
risk
estimates
that
are
<
1%
of
the
cPAD.
4
Drinking
Water
Risk
Assessment
The
Environmental
Fate
and
Effects
Division
(
EFED)
provided
a
drinking
water
assessment
using
simulation
models
to
estimate
the
potential
concentration
of
asulam
and
its
degradates,
sulfanilamide
and
sulfanilic
acid,
in
surface
water.
Sulfanilamide
is
a
major
soil
and
water
degradate
of
asulam
(
Reregsitration
Eligibility
Decision
(
RED)
September
1995).
EFED
used
the
FIRST
reservoir
model
to
calculate
estimated
environmental
concentrations
(
EECs)
in
surface
water.
A
prospective
groundwater
study
was
used
to
estimate
the
groundwater
EEC
for
residues
of
asulam
and
the
sulfanilamide
degradate.
Since
no
data
are
available
on
degradates,
FIRST
modeling
assumed
immediate
conversion
upon
application
to
very
persistent
and
mobile
degradates.
With
respect
to
the
exposure
in
surface
water,
conservative
Tier
I
(
FIRST)
modeling
indicated
that
EECs
in
surface
water
are
not
likely
to
exceed
an
average
concentration
of
6.6
ppb
for
asulam,
and
an
average
concentration
of
272
ppb
for
asulam
plus
the
degradates
(
sulfanilamide
and
sulfanilic
acid)
for
use
in
chronic
exposure
assessments.
Residues
of
asulam
and
sulfanilamide
in
ground
water
are
not
likely
to
exceed
a
maximum
of
154
ppb,
and
an
average
of
43
ppb.
These
EECs
represent
upper
bound
concentrations
for
asulam
residues
in
surface
water
and
groundwater
as
can
be
seen
by
a
comparison
with
monitoring
data
provided
in
the
synopsis
below.
In
a
separate
water
monitoring
study,
asulam
was
detected
in
public
drinking
water
sources
from
ground
and
surface
water.
At
the
request
of
EPA,
Rhone
Poulenc
conducted
a
drinking
water
monitoring
study
in
areas
of
high
asulam
use
in
Florida
and
Louisiana.
The
surface
water
study
was
designed
to
sample
raw
surface
water
in
up
to
15
community
water
systems
in
Florida
and
4
systems
in
Louisiana.
Samples
were
collected
monthly
for
one
year
and
analyzed
for
asulam
and
the
metabolite
sulfanilamide
at
a
detection
limit
of
1
ppb.
In
addition
to
surface
water
collection,
the
study
collected
samples
from
potable
wells
in
Florida
and
Louisiana
that
were
located
within
1,000
feet
of
an
asulam
treated
area.
Seven
of
the
ten
surface
water
community
systems
sampled
contained
traces
(<
1
ppb)
of
asulam
residues
during
May
through
June.
Four
of
the
community
systems
were
located
in
Louisiana
and
three
were
in
Florida.
A
total
of
28
drinking
water
wells
were
sampled
in
Florida.
Because
of
poor
water
quality
in
this
area
of
Florida,
many
of
the
wells
reportedly
use
some
type
of
treatment
system
prior
to
use.
Three
wells
contained
quantifiable
asulam
residues
up
to
1.92
ppb.
Ten
other
wells
contained
detectable
traces
(<
1
ppb).
Reportedly,
the
depth
of
the
well
and
distance
to
treated
area
did
not
have
any
statistically
significant
effects
on
the
concentrations
observed.
No
residues
were
detected
in
12
wells
sampled
in
the
"
sandier"
areas
of
Hendry
County.
Rhone
Poulenc
reported
that
there
was
less
intensive
use
of
asulam
in
this
area.
No
residues
were
detected
in
ground
water
samples
in
Louisiana.
Occupational
Risk
Assessment
Because
this
assessment
is
a
TRED,
occupational
handler
and
post
application
scenarios
will
not
be
assessed.
Residential
Risk
Assessment
5
Potential
residential
exposures
are
not
anticipated
as
a
result
of
applications
of
asulam.
All
end
use
product
labels
contain
the
following
statements:
FOR
AGRICULTURAL
OR
COMMERCIAL
USE
ONLY
and
NOT
FOR
USE
BY
HOMEOWNERS .
Use
sites
include
sugarcane,
Christmas
tree
plantings,
turf
(
for
sod
only),
ornamentals
(
junipers
&
yews
only),
and
non
cropland
(
e.
g.
rights
of
way,
fence
rows,
etc.).
Sugarcane
represents
95
percent
of
asulam
utilization;
so
therefore,
the
remaining
five
percent
is
utilized
on
the
other
use
sites.
Based
on
the
registrants
total
estimate
of
235,000
245,000
gallons
of
asulam
sold
and
used
annually
in
the
US,
the
amount
used
annual
on
use
sites
other
than
sugarcane
is
approximately
12,000
gallons.
Of
these
use
sites,
no
residential
exposures
would
be
anticipated
from
the
Christmas
tree
plantings
and
non
cropland
sites.
The
use
on
turf
is
restricted
to
sod
farms,
and
the
application
to
the
sod
is
made
four
to
five
months
prior
to
the
sod
being
pulled
up
and
subsequently
sold.
Therefore,
no
residential
exposures
would
be
anticipated
from
the
turf/
sod
use.
The
registrant
stated
that
use
of
asulam
on
ornamentals
is
very
limited,
since
its
cost
is
high.
Use
of
asulam
on
ornamentals
in
a
residential
setting
would
not
be
expected.
In
summation,
residential
exposures
are
considered
unlikely.
Aggregate
Risk
Assessment
In
examining
aggregate
exposure,
HED
takes
into
account
the
available
and
reliable
information
concerning
exposures
from
pesticide
residues
in
food
and
other
exposures
including
drinking
water
and
non
occupational
exposures,
e.
g.,
exposure
to
pesticides
used
in
and
around
the
home
(
residential).
Risk
assessments
for
aggregate
exposure
consider
both
short,
intermediate
and
long
term
(
chronic)
exposure
scenarios
considering
the
toxic
effects
which
would
likely
be
associated
with
each
exposure
duration.
There
are
no
residential
uses
of
asulam.
Therefore,
the
considerations
for
aggregate
exposure
are
those
from
food
and
water.
Since
modeling
was
done
to
estimate
concentrations
in
drinking
water,
Drinking
Water
Levels
of
Comparison
(
DWLOCs)
were
calculated.
A
DWLOC
is
a
theoretical
upper
concentration
limit
for
a
pesticide
in
drinking
water
based
on
how
much
of
the
PAD
remains
once
exposures
in
food
and
in
the
home
have
been
estimated
and
subtracted.
For
asulam,
only
chronic
DWLOCs
were
calculated
since
an
acute
endpoint
was
not
selected.
HED
compares
DWLOCs
to
surface
water
and
groundwater
EECs.
If
the
EECs
for
residues
of
asulam
in
surface
water
and
groundwater
are
less
than
the
DWLOCs
for
residues
of
asulam,
HED
has
no
concern
for
aggregate
exposures
to
asulam
residues
in
food
and
drinking
water.
Upon
comparison
of
the
chronic
DWLOCs
(
1,254
ppb
for
males;
1,075
ppb
for
females;
355
ppb
for
children)
with
the
EECs
for
residues
of
asulam
in
surface
and
groundwater,
all
EECs
are
less
than
the
chronic
DWLOCs
for
all
populations.
Consequently,
HED
has
no
concerns
for
chronic
exposures
to
combined
residues
of
asulam
in
food
and
drinking
water,
regardless
of
the
drinking
water
source
(
surface
water
or
groundwater).
Table
1.
Chronic
DWLOCs
Compared
to
Surface
Water
and
Groundwater
EECs
Population
Subgroups
DWLOCs
(
ppb)
Surface
Water
EEC
(
ppb)
(
average
concentration)
Groundwater
EEC
(
ppb)
(
maximum/
average
concentration)
Adult
males
1254
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
Adult
females
1075
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
6
Children
(
1
to
6
years
old)
335
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
2.0
Physical/
Chemical
Properties
Characterization
Asulam
(
methyl
sulfanilylcarbamate)
is
an
herbicide
used
for
weed
control
on
sugarcane.
Asulam
is
formulated
into
and
applied
as
the
asulam
sodium
salt.
H2
N
OH
NO
S
CH3
OO
Asulam
Empirical
Formula:
Molecular
Weight:
CAS
Registry
No.:
Shaughnessy
No.:
H2
N
O
Na+
NO
S
CH3
OO
Asulam,
sodium
salt
C8
H10
N2
O4
S
(
asulam)
C8
H9
N2
NaO4
S
(
asulam
sodium
salt)
230.2
(
asulam)
252.2
(
asulam
sodium
salt)
3337
71
1
(
asulam)
2302
17
2
(
asulam
sodium
salt)
106901
(
asulam)
106902
(
asulam
sodium
salt)
Asulam
is
a
colorless
crystalline
solid
with
a
melting
point
of
143
145
EC.
Asulam
sodium
salt
is
a
buff
colored
powder
with
a
melting
point
of
212
215
EC.
Asulam
is
soluble
at
approximately
0.5%
in
water,
and
moderately
soluble
in
chlorinated
hydrocarbons,
petroleum
oils,
and
hydroxylic
solvents.
Asulam
sodium
salt
is
soluble
at
>
100
g/
100
mL
in
water
at
pHs
5,
6.5,
and
9.
3.0
Hazard
Characterization
3.1
Hazard
Profile
Toxicology
data
are
used
by
HED
to
assess
the
potential
hazards
to
humans.
The
data
are
derived
from
a
variety
of
acute,
subchronic,
and
chronic
toxicity
tests;
developmental/
reproductive
tests;
and
tests
to
assess
mutagenicity
and
pesticide
metabolism.
The
database
for
asulam
is
adequate
to
support
this
TRED
7
Acute
toxicity
values
and
toxicity
categories
for
asulam
are
summarized
in
Table
2.
The
data
indicate
that
asulam
has
low
acute
oral
(
category
IV),
dermal
(
category
III),
and
inhalation
(
category
IV)
toxicity.
Asulam
is
category
III
with
respect
to
ocular
irritation.
It
is
not
a
dermal
sensitizer.
A
primary
dermal
irritation
study
shows
that
asulam
is
category
III.
Study
Type
Table
2.
Acute
Toxicity
of
Asulam
MRID
No.:
Result
81
1.
Acute
Oral
Toxicity
rat.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
260,
November
7,
1988
409605
01
LD50
>
5000
mg/
kg.
Toxicity
Category
IV
Classification:
Guideline
81
2.
Acute
Dermal
Toxicity
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
260,
November
8,
1988
409605
01
LD50
>
4000
mg/
kg.
Toxicity
Category
III
Classification:
Guideline
81
3.
Acute
Inhalation
Toxicity
rat.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
583,
November
7,
1988
409605
02
413616
01
LC50
>
5
mg/
L
Toxicity
Category
IV
Classification:
Minmum
81
4.
Primary
Ocular
Irritation
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
R.
Tox.
57,
June
1981
00098534
Some
chemosis,
redness,
and
irritation
were
noted,
but
eyes
were
clear
by
day
7.
Toxicity
Category
III
Classification:
Minimum
81
5.
Primary
Dermal
Irritation
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
RES
2853,
March
1977
00098535
No
dermal
irritation
was
observed.
Toxicity
Category
III
Classification:
Minimum
81
6.
Dermal
Sensitization
guinea
pig.
Rhone
Poulenc
Ag
Co.,
Study
No.:
RES
2853,
March
1977
00098535
No
evidence
of
sensitization
in
the
Guinea
Pig.
Classification:
Minimum.
No
subchronic
oral
toxicity
studies
in
the
rodent
per
se
were
identified
in
the
data
base
for
asulam.
However,
the
chronic
oral
studies
in
the
rodent
provided
frequent
monitoring
of
clinical
signs
and
interim
measurements
of
body
weights,
food
consumption,
hematology,
clinical
chemistry
and
urinalysis,
and
the
results
provided
insight
into
potential
subchronic
effects.
In
a
subchronic
oral
(
90
day)
study,
dogs
displayed
increased
thyroid
weights.
Although
the
study
was
classified
as
unacceptable
guideline ,
it
was
supported
by
the
findings
of
the
6
month
oral
dog
study.
The
results
of
the
two
studies
were
similar
(
i.
e.,
the
LOAEL
and
NOAEL
based
on
increased
thyroid
weights).
A
one
month
inhalation
toxicity
study
and
21
day
dermal
toxicity
study
were
available;
however,
neither
study
included
assessment
of
thyroid
weights
and
pathology.
The
data
base
for
8
subchronic
toxicity
is
considered
complete
for
oral
and
dermal
studies.
A
28
day
subchronic
inhalation
study
is
required,
one
that
includes
examination
of
thyroid
weights
and
thyroid
pathology.
The
21/
28
day
dermal
toxicity
study
in
the
rat
showed
that
no
apparent
treatment
related
systemic
effects
were
observed
when
body
weight,
food
consumption,
clinical
pathology,
organ
weights,
ophthalmology,
urinalysis,
and
histopathology
were
examined.
Also,
local
skin
irritation,
which
was
slight
and
transient,
was
observed
in
a
small
number
of
treated
females.
There
are
no
90
day
inhalation
toxicity
studies
available
on
asulam.
However,
a
one
month
inhalation
toxicity
study
(
MRID
#
00098537)
in
the
rat
was
available.
This
study
is
limited
because
of
the
lack
of
thyroid
weight
measurements
and
pathological
examination
of
the
thyroid.
Developmental
studies
in
rats
and
rabbits,
designed
to
identify
possible
adverse
effects
on
the
developing
organism
which
may
result
from
the
in
utero
exposure
to
the
pesticide
were
also
conducted.
The
data
base
for
prenatal
developmental
toxicity
is
considered
complete.
The
prenatal
developmental
toxicity
study
in
the
rat
showed
that
there
were
no
treatment
related
effects
on
other
maternal
parameters
including
mortality,
clinical
signs,
and
food
consumption.
A
slight
to
moderate
increase
(
not
statistically
significant)
in
preimplantation
loss
was
observed
in
the
mid
and
high
dose
groups
(
compared
to
controls).
The
slight
increase
in
postimplantation
loss
at
the
high
dose
(
1500
mg/
kg/
day)
was
not
statistically
significantly
different
from
control
values,
and
was
not
of
any
apparent
biological
significance.
In
the
prenatal
developmental
toxicity
study
in
rabbits,
the
high
dose
selected
was
1,500
mg/
kg/
day.
However,
severe
maternal
toxicity
(
greater
than
20%
weight
loss,
mortality,
and
signs
of
starvation)
occurred
after
administration
of
the
1,500
mg/
kg/
day
dose
level.
All
animals
in
this
group
died
or
were
sacrificed
for
humane
reasons.
A
new
group
was
added
to
the
study
using
a
lower
dose
of
750
mg/
kg/
day.
Mean
maternal
body
weight
gain
was
markedly
reduced
(
35%
but
not
statistically
significant)
in
the
750
mg/
kg/
day
group
than
in
controls
during
the
dosing
period.
In
addition,
mean
maternal
body
weight
gains
were
markedly
reduced
during
days
5
9,
5
13,
and
5
17.
During
the
postdosing
period,
mean
body
weights
of
rabbits
treated
with
750
mg/
kg/
day
were
comparable
to
those
of
controls,
and
rabbits
displayed
some
improvement
in
body
weight
gain.
Rabbits
given
750
mg/
kg/
day
exhibited
a
non
statistically
significant
decrease
in
food
consumption
at
several
intervals
during
dosing.
There
were
no
apparent
treatment
related
effects
on
mortality
or
clinical
signs.
The
data
base
for
reproductive
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
Systemic
effects
observed
at
the
high
dose
(
25,000
ppm)
included
decreased
body
weights
in
F0
males
and
F1
females,
increased
absolute
and/
or
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
(
at
age
31
but
not
at
terminal
necropsy).
The
LOAEL
for
systemic
toxicity
is
25,000
ppm
(
1250
mg/
kg/
day)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
9
The
data
base
for
chronic
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
In
the
six
month
chronic
toxicity
study
in
the
dog,
there
was
no
apparent
relationship
between
test
material
administration
and
mortality.
Treatment
related
findings
included
reductions
in
body
weight
gains
and
food
consumption
in
the
high
dose
males
and
females;
increased
frequency
of
emesis
and
diarrhea
in
the
high
dose
males
and
females;
increased
absolute
thyroid
weights
in
the
mid
and
high
dose
females
and
in
the
high
dose
males;
increased
relative
(
to
body
weight)
thyroid
weights
in
the
high
dose
males
and
females;
decreased
absolute
testes
and
lung
weights
in
the
high
dose
males;
decreased
relative
testes
weights
in
the
high
dose
males;
and
increased
relative
kidney
weights
in
the
high
dose
males.
No
histopathological
effects
of
toxicological
significance
were
observed.
There
were
no
apparent
effects
on
prothrombin
time,
kaolin
partial
thromboplastin
time
or
platelet
counts
in
males.
Platelet
counts
were
slightly
decreased
in
treated
females;
however,
the
decreases
were
not
dose
related
at
most
intervals
and
control
values
appeared
to
be
slightly
elevated.
Platelet
count
in
the
high
dose
females
was
significantly
lower
at
the
26
week
interval
only.
Plasma
and
brain
cholinesterase
activities
were
not
affected
by
treatment
in
either
sex.
The
carcinogenicity
data
base
for
asulam
is
considered
complete.
There
is
one
acceptable
combined
chronic
toxicity/
oncogenicity
dietary
study
in
the
rat,
and
one
acceptable
oncogenicity
dietary
study
in
the
mouse.
In
a
two
year
combined
chronic
feeding/
carcinogenicity
study
in
the
rat,
there
was
a
statistically
significant
increase
in
thyroid
gland
C
cell
carcinomas
in
both
the
low
and
mid
dose
males.
There
was
also
a
statistically
significant
increase
in
adrenal
medullary
pheochromocytomas
at
the
high
dose
in
males.
With
the
exception
of
a
non
dose
related
enlargement
of
the
pituitary
gland
in
female
rats,
no
unusual
toxicological
findings
occurred
in
the
animals
sacrificed
at
78
weeks.
In
the
two
year
carcinogenicity
toxicity
study
in
the
mouse,
increased
mortality
was
observed
in
the
high
dose
females;
however,
the
number
of
high
dose
females
was
adequate
to
assess
the
carcinogenic
potential
of
asulam.
There
was
no
treatment
related
effect
on
food
consumption.
Hematologic
findings
in
the
high
dose
males
and
females
consisted
of
increased
leukocyte
counts,
decreased
erythrocyte
counts,
and
decreased
hematocrit
levels.
Organ
weight
changes
included
decreased
brain
weight
in
the
high
dose
females,
and
increased
spleen
weight
in
the
high
dose
males.
There
was
an
increased
incidence
of
brown
granular
pigment
deposits
in
the
livers
of
males
of
all
treatment
groups
and
high
dose
females.
Increased
incidences
of
brown
granular
pigment
deposits
were
also
noted
in
the
spleens
of
the
high
dose
rats
of
both
sexes.
The
brown
granular
pigment
deposit
was
not
identified,
and
is
therefore
of
uncertain
toxicological
significance.
There
was
no
increase
in
the
incidence
of
any
tumors.
With
the
exception
of
the
dominant
lethal
mutation
assay
in
mice,
all
other
mutagenicity
assays
were
found
to
be
acceptable.
These
studies
satistfy
the
pre
1991
guideline
requirements
for
mutagenicity
studies;
no
further
testing
is
required
at
this
time.
The
data
indicate
that
there
is
no
mutagenicity/
genetic
toxicity
concern.
No
acute,
subchronic,
or
developmental
neurotoxicity
studies
have
been
conducted.
However,
there
is
no
evidence
of
neurotoxicity
in
the
available
acute,
subchronic,
chronic,
and
oncogenicity
studies.
In
the
March
31,
1998
HIARC
meeting,
the
HIARC
concluded:
The
data
and
information
provided
by
the
Registrant
demonstrate
that
Asulam,
being
a
carbamate
herbicide
10
rather
than
a
carbamate
insecticide,
has
chemical
structure
and
biological
properties
considerably
different
from
those
of
the
insecticides.
Several
studies
were
cited
to
illustrate
the
lack
of
cholinesterase
inhibition
and
the
absence
of
clinical
signs
suggestive
of
neurotoxicity.
Based
on
these
factors,
the
Agency
waived
the
requirements
for
acute,
subchronic,
and
developmental
neurotoxicity
studies
(
memorandum,
L.
Taylor
to
C.
Peterson,
dated
January
29,
1992.
The
data
base
for
metabolism
is
considered
to
be
complete.
No
additional
studies
are
required
at
this
time.
The
urinary
route
is
the
predominant
route
of
elimination
in
the
rat.
Table
3.
Toxicology
Profile
for
Asulam
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.3100
90
Day
oral
toxicity
in
rodents
See
combined
chronic
feeding
and
carcinogenicity
study.
See
combined
chronic
feeding
and
carcinogenicity
study.
870.3150
90
Day
oral
toxicity
in
nonrodents
00056414
(
1968)/
Unacceptable/
Guideline/
0,
5,
50
or
500
mg/
kg/
day.
LOAEL
=
500
mg/
kg/
day,
based
on
increased
absolute
and
relative
thyroid
weights
in
male
and
female
dogs.
NOAEL
=
50
g/
kg/
day
870.3200
21
Day
dermal
toxicity
in
rabbits
41076901
(
1989)
Acceptable/
Guideline/
0
or
1000
mg/
kg/
day.
NOAEL
=
1000
g/
kg/
day
870.3250
90
Day
dermal
toxicity
No
study.
No
study.
870.3465
90
Day
inhalation
toxicity
No
study.
No
study
870.3700a
Prenatal
developmental
in
rodents
00098538/(
1981)/
Accept
able/
guideline/
0,
500,
1,000,
or
1,500
mg/
kg/
day
Maternal
l
LOAEL
=
1,500
mg/
kg/
day
based
on
body
weight
gain
decrement.
aternal
Maternal
NOAEL
=
1,000
mg/
kg/
day.
Developmental
LOAEL
=
1,500
mg/
kg/
day
based
on
slight
to
moderate
increase
in
preimplantation
loss.
Developmental
NOAEL
=
1,000
mg/
kg/
day.
870.3700b
Prenatal
developmental
in
rabbits
00098539/
1981/
Acceptable/
Guideline/
0,
60,
300,
or
750
mg/
kg/
day
Maternal
LOAEL
=
750
mg/
kg/
day
based
on
decreased
body
weight
during
the
dosing
period.
Maternal
NOAEL
=
300
mg/
kg/
day.
Developmental
NOAEL
=
750
mg/
kg/
day.
m
m
The
m
11
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.3800
Reproduction
and
fertility
effects
00098540/
1981/
Acceptable/
0,
50,
250
or
1250
mg/
kg/
day.
Parental/
Systemic
LOAEL
=
1250
g/
kg/
day
(
HDT)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
Parental/
Systemic
NOAEL
=
250
mg/
kg/
day.
Reproductive/
Offspring
LOAEL
=
250
mg/
kg/
day
based
on
decreased
mean
live
births
per
litter.
Reproductive/
Offspring
NOAEL
=
50
mg/
kg/
day.
870.4100a
Chronic
toxicity
rodents
See
combined
chronic
feeding
and
carcinogenicity
study.
See
combined
chronic
feeding
and
carcinogenicity
study.
870.4100b
Chronic
toxicity
dogs
00098536/
1979/
Acceptable/
Nonguideline/
0,
60,
300,
or
1,500
mg/
kg/
day.
LOAEL
=
g/
kg/
day,
based
on
significant
(
p
<
0.05)
increases
in
absolute
thyroid
weights
in
females.
Absolute
and
relative
thyroid
weights
were
elevated
at
the
high
dose
(
1500
mg/
kg/
day)
in
both
males
and
females.
roid
weights
in
the
mid
and
high
dose
females
appeared
dose
related.
NOAEL
=
60
mg/
kg/
day.
870.4200
Combined
Chronic
Feeding
and
Carcinogenicity
rats
00098543/
1981/
Acceptabl
e
Guideline/
0,
36,
180
and
953
mg/
kg/
day
in
males
and
0,
47,
243
and
1,280
mg/
kg/
day
in
females.
LOAEL
=
180
mg/
kg/
day,
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
NOAEL
=
36
mg/
kg/
day.
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increase
in
tumor
incidence
in
males
when
compared
to
controls.
Therefore,
asulam
is
a
potential
oncogen
in
this
study.
m
300
m
The
increased
absolute
thy
12
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.4300
Carcinogenicity
mice
42338201/
1982/
Acceptable/
Guideline/
0,
74,
730
and
8,040
mg/
kg/
day
in
males
and
0,
95,
938
and
10,353
mg/
kg/
day
in
females
LOAEL
=
8,040
mg/
kg/
day
in
males,
and
10,353
mg/
kg/
day
in
females,
based
on
increased
spleen
weight
and
decreased
body
weight
gain
in
males,
and
decreased
brain
weight
and
survival
in
females.
NOAEL
=
730
mg/
kg/
day
in
males
and
938
mg/
kg/
day
in
females.
Under
the
conditions
of
this
study,
there
was
no
evidence
of
carcinogenicity
of
asulam.
870.4300
Carcinogenicity
mice
00081183/
1978/
Unacceptable/
Guideline/
0,
225,
and
750
mg/
kg/
day.
LOAEL
=
225
mg/
kg/
day,
based
on
enlargement
of
the
spleen
in
females,
decreased
absolute
and
relative
thyroid
weights
in
females,
intestinal
calcification
in
males
and
females,
and
a
dose
related
increase
in
the
incidence
of
mild
skin/
subcutis
hyperkeratosis
in
males.
NOAEL
was
not
achieved.
Under
the
conditions
of
this
study,
there
was
no
definitive
evidence
of
carcinogenicity
of
asulam.
One
Month
Inhalation
study
in
the
rat
00098537/
1977/
Accept
able
Nonguideline/
nose
only
exposure
at
concentrations
of
0,
1.6,
3.9,
or
15.3
mg/
L
for
4
hours
per
day,
5
days
per
week,
for
4
weeks.
NOAEL
=
15.3
mg/
L
(
HDT).
Oral
Range
Finding
in
mice
42110002/
1989/
Accept
able
Nonguideline/
0,
512,
1,673,
5,103,
and
9,022
mg/
kg/
day
for
males,
and
0,
675,
2,263,
6,835,
and
10,828
mg/
kg/
day
for
females
LOAEL
=
9,022
mg/
kg/
day
based
on
decreased
body
weight
and
body
weight
gain
in
males.
NOAEL
is
5,103
mg/
kg/
day.
Gene
Mutation
870.
A
table
presenting
the
mutagenicity
data
base
is
already
included
under
section
4.7.
870.6200a
Acute
neurotoxicity
screening
battery
No
study.
No
study
13
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.6200b
Subchronic
neurotoxicity
screening
battery
No
study.
No
study.
870.6300
Developmental
neurotoxicity
Not
required.
870.7485
Metabolism
and
pharmaco
kinetics
41345601
(
1989)
Metabolism
studies
in
the
rat
demonstrate
that
asulam
was
rapidly
eliminated,
primarily
in
the
urine,
following
administration
of
a
single
oral
or
intravenous
dose,
or
after
repeated
intravenous
doses
for
14
days.
No
unusual
localization
of
asulam
occurred
in
tissues.
Unchanged
parent
compound
was
identified
as
the
major
excretory
product,
with
acetylasulam
and
acetylsulphanilamide
as
minor
metabolites.
870.7600
Dermal
absorpt
ion
No
Study.
No
Study.
14
Table
4.
Mutagenicity/
Genotoxicity
Studies
for
Asulam
Study
Results
Bacterial
mutagenicity
(
Ames
test)
Salmonella
typhimurium.
Litton
Bionetics,
Inc.,
Study
No.:
E
9177,
1983.
MRID
No.:
40415302
Not
mutagenic
with
and
without
metabolic
activation
at
doses
up
to
2000
Fg/
plate.
Classification:
Acceptable
Guideline
Dominant
lethal
Mouse
Hess
&
Clark
(
Div.
of
Rhodia),
Study
No.:
SEH
75,
1975
MRID
No.:
00082250
No
evidence
of
induction
of
dominant
lethal
effect
at
dietary
concentrations
of
1500
or
5000
ppm.
Classification:
Unacceptable
because
purity
information
on
the
test
material
was
not
provided.
In
vitro
cell
transformation
assay
in
C3H/
10T1/
2
cells.
Mason
Research
Institute.
Study
No.:
596
249
8,
October
1979.
MRID
No.:
00098542
No
evidence
of
induction
of
morphological
transformation
at
dose
levels
of
256,
512,
1024,
or
2048
Fg/
mL
for
18
hours
exposure.
Cytotoxicity
was
apparent
at
2048
Fg/
mL.
Classification:
Acceptable
(
Nonguideline).
In
vitro
cytogenetics
in
human
lymphocytes.
Litton
Bionetics,
Inc.
Study
No.:
20990,
March
1984.
MRID
No.:
40415301
Cabinet
d Etudes
et
de
Recherches
en
Tox.
Study
No.:
658,
May
10,
1982.
MRID
No.:
00144051
No
evidence
of
induction
of
a
clastogenic
response
at
doses
of
125
2500
Fg/
mL
(
absence
of
metabolic
activation)
or
250
2500
Fg/
mL.
Classification:
Acceptable.
3.2
FQPA
Considerations
The
FQPA
Safety
Factor
Committee
evaluated
the
available
hazard
and
exposure
data
for
asulam
on
December
10th
,
2001
and
made
the
recommendation
for
the
FQPA
safety
factor
to
be
used
in
human
health
risk
assessments
(
as
required
by
Food
Quality
Protection
Act
of
August
3,
1996).
The
committee
concluded
that
the
FQPA
safety
factor
be
retained
(
10x)
in
assessing
the
risk
posed
by
this
chemical.
The
Committee
recommended
that
the
FQPA
safety
factor
be
retained
(
10x)
for
the
following
reasons:
There
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat;
and,
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring
and
this
is
considered
a
data
gap
for
asulam.
The
safety
factor
is
required
for
all
population
subgroups
when
assessing
chronic
dietary
exposure
since
the
evidence
for
increase
susceptibility
was
seen
in
the
two
generation
study,
and
the
results
from
the
comparative
thyroid
study,
may
provide
an
endpoint
for
chronic
risk
assessment.
15
3.3
Dose
Response
Assessment
On
November
13,
2001,
the
Health
Effects
Division
(
HED)
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
reviewed
the
recommendations
of
the
toxicology
reviewer
for
asulam
with
regard
to
the
acute
and
chronic
Reference
Doses
(
RfDs)
and
the
toxicological
endpoint
selection
for
use
as
appropriate
in
occupational/
residential
exposure
risks
assessments.
This
is
the
first
re
evaluation
after
a
1995
RED.
Acute
RfD:
No
appropriate
toxicological
endpoint
clearly
attributable
to
a
single
exposure
was
identified
including
the
oral
developmental
toxicity
studies
in
rats
and
rabbits.
Chronic
RfD:
NOAEL
of
36
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
observed
in
male
rats
at
180
mg/
kg/
day.
An
uncertainty
factor
of
100
was
applied
to
this
endpoint.
This
endpoint
is
of
the
appropriate
route
and
duration
of
exposure
and
applies
to
the
population
of
concern
(
general
population,
including
infants
and
children).
Classification
of
Carcinogenic
Potential:
On
November
12,
1987,
the
Carcinogenicity
Peer
Review
Committee
met
to
discuss
and
evaluate
the
weight
of
the
evidence
on
asulam
with
particular
reference
to
its
carcinogenic
potential
(
Peer
Review
of
Asulam
memo
date
2/
17/
88).
The
Committee
concluded
that
the
available
data
for
asulam
provided
limited
evidence
for
the
carcinogenicity
of
the
chemical
in
rats,
and
asulam
was
classified
as
a
Category
C
Carcinogen.
The
Committee
recommended
that
the
18
month
carcinogenicity
mouse
study
(
MRID
00081183;
unacceptable
guideline)
be
repeated
and
agreed
to
reevaluate
the
classification
when
a
new
mouse
study
on
asulam
was
submitted
and
reviewed.
A
new
mouse
study
(
MRID
#
423382
01;
discussed
previously)
was
submitted
by
the
registrant
and
reviewed.
The
committee
considered
the
new
mouse
study
to
be
acceptable.
The
dose
levels
tested
in
the
mouse
study
were
considered
to
be
adequate
for
carcinogenicity
testing.
The
high
dose
tested
was
higher
than
the
limit
dose
level
as
specified
under
Subpart
F
of
the
Pesticide
Assessment
Guideline
for
carcinogenicity
testing
in
mice.
The
treatment
did
not
alter
the
spontaneous
tumor
profile
for
this
strain
of
mouse.
The
Committee
concluded
that
the
new
mouse
study
did
not
impact
the
current
classification
of
asulam
as
a
Group
C,
possible
human
carcinogen,
not
requiring
a
quantitative
risk
assessment.
Short
Term
(
1
Day
1
Month)
Incidental
Oral
Exposure:
Since
there
are
no
residential
uses,
toxic
endpoints
were
not
selected.
Intermediate
Term
(
1
6
Months)
Incidental
Oral
Exposure:
Since
there
are
no
residential
uses,
toxic
endpoints
were
not
selected.
Dermal
Absorption
Factor:
100%.
There
are
no
dermal
absorption
studies
with
asulam.
Comparison
of
the
developmental
oral
rabbit
study
to
the
dermal
rabbit
study
is
not
appropriate.
The
dermal
rabbit
study
did
not
include
examination
of
the
thyroid,
the
target
organ.
16
Short
Term
Dermal
(
1
Day
1
Month)
Exposure:
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects,
and
possibly
protective
of
thyroid
effects.
A
dermal
absorption
study
was
not
available.
A
dermal
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Intermediate
Term
Dermal
(
1
6
Months)
Exposure:
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects,
and
possibly
protective
of
thyroid
effects.
A
dermal
absorption
study
was
not
available.
A
dermal
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Long
Term
Dermal
(
Longer
than
6
Months)
Exposure:
A
long
term
dermal
toxicity
study
was
not
available.
In
addition,
there
was
no
dermal
absorption
study.
The
combined
chronic
toxicity/
carcinogenicity
oral
study
in
the
rat
is
of
the
appropriate
duration
of
exposure.
An
inhalation
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Short
term
Inhalation
(
1
Day
1
Month)
Exposure:
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects,
and
possibly
protective
of
thyroid
effects.
An
inhalation
absorption
study
was
not
available.
An
inhalation
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Intermediate
term
Inhalation
(
1
6
Months)
Exposure:
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects,
and
possibly
protective
of
thyroid
effects.
An
inhalation
absorption
study
was
not
available.
An
inhalation
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Long
term
Inhalation
(
Longer
than
6
Months)
Exposure:
A
long
term
inhalation
toxicity
study
was
not
available.
In
addition,
there
was
no
inhalation
absorption
study.
The
combined
chronic
toxicity/
carcinogenicity
oral
study
in
the
rat
is
of
the
appropriate
duration
of
exposure.
An
inhalation
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
Margins
of
Exposure
for
Occupational/
Residential
Risk
Assessments:
A
margin
of
exposure
(
MOE)
of
100
is
adequate
for
dermal/
inhalation
occupational
exposure
risk
assessment.
The
acceptable
MOEs
for
non
occupational
and
dietary
exposures
will
be
determined
by
the
FQPA
SF
Committee.
Recommendation
for
Aggregate
Exposure
Risk
Assessments:
There
are
no
residential
uses
for
asulam.
The
chronic
aggregate
risk
assessment
is
therefore
limited
to
food
and
water.
17
The
specific
doses
and
endpoints
are
summarized
as
follows:
Table
5.
Summary
of
Toxicity
Endpoints
and
Doses
for
Risk
Assessment
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Acute
Dietary
An
appropriate
endpoint
attributable
to
a
single
dose
was
not
identified.
Acute
RfD
=
not
established
Chronic
Dietary
NOAEL
=
36
mg/
kg/
day
UF
=
100
FQPA
Safety
Factor
=
10
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncog
enicity
in
the
rat
Chronic
RfD
=
0.36
mg/
kg/
day
Chronic
PAD
=
0.036
mg/
kg/
day
Incidental
Oral,
Short
Term
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
Incidental
Oral,
Intermediate
Term
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
Dermal,
Short
Term
Oral
NOAELa
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
in
the
rat
Dermal,
Intermediate
Term
Oral
NOAELa
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
in
the
rat
Dermal,
Long
Term
Oral
NOAELa
=
36
mg/
kg/
day
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncog
enicity
in
the
rat
Inhalation,
Short
Term
Oral
NOAELb
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
in
the
rat
Inhalation,
Intermediate
Term
Oral
NOAELb
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
in
the
rat
Inhalation,
Long
Term
Oral
NOAELb
=
36
mg/
kg/
day
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncog
enicity
in
the
rat
aApply
100%
dermal
absorption
factor
for
route
to
route
extrapolation.
bAssume
100%
inhalation
absorption
factor
for
route
to
route
extrapolation.
3.4
Endocrine
Disruption
18
EPA
is
required
by
FQPA,
to
develop
a
screening
program
to
determine
whether
certain
substances
(
including
all
pesticide
active
and
other
ingredients)
"
may
have
an
effect
in
humans
that
is
similar
to
an
effect
produced
by
a
naturally
occurring
estrogen,
or
other
such
endocrine
effects
as
the
Administrator
may
designate."
Following
the
recommendations
of
its
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC),
EPA
determined
that
there
was
scientific
bases
for
including,
as
part
of
the
program,
the
androgen
and
thyroid
hormone
systems,
in
addition
to
the
estrogen
hormone
system.
EPA
also
adopted
EDSTAC s
recommendation
that
the
Program
include
evaluations
of
potential
effects
in
wildlife.
For
pesticide
chemicals,
EPA
will
use
FIFRA
and,
to
the
extent
that
effects
in
wildlife
may
help
determine
whether
a
substance
may
have
an
effect
in
humans,
FFDCA
authority
to
require
the
wildlife
evaluations.
As
the
science
develops
and
resources
allow,
screening
of
additional
hormone
systems
may
be
added
to
the
Endocrine
Disruptor
Screening
Program
(
EDSP).
When
the
appropriate
screening
and/
or
testing
protocols
being
considered
under
the
Agency s
EDSP
have
been
developed,
asulam
may
be
subjected
to
additional
screening
and/
or
testing
to
better
characterize
effects
related
to
endocrine
disruption.
4.0
Exposure
Assessment
and
Characterization
4.1
Summary
of
Registered
Uses
Asulam
(
methyl
4
sulfanilylcarbamate)
is
a
postemergent
systemic
carbamate
herbicide
marketed
under
the
trade
name
ASULOX
®
Herbicide
by
Aventis
CropScience.
ASULOX
®
contains
the
sodium
salt
of
asulam
and
is
registered
for
use
on
sugarcane
as
a
3.34
lb/
gal
soluble
concentrate/
liquid
(
SC/
L)
formulation.
This
formulation
may
be
applied
postemergence
as
a
band
or
broadcast
application
using
ground
or
aerial
equipment
or
as
a
spot
treatment.
Apart
from
its
food
use
on
sugarcane,
asulam
is
used
on
christmas
tree
plantations,
ornamentals,
turf
(
sod
farms
only)
and
non
cropland
uses.
Asulam
is
primarily
used
in
agriculture
with
key
markets
in
Florida
and
Louisiana.
Sugarcane
is
the
major
use
site
for
asulam
(
95%
of
the
market).
The
asulam
use
rate,
for
sugarcane,
ranges
from
2.5
to
3.34
lbs
a.
i./
A
and
can
applied
up
to
two
times
per
year.
For
all
other
uses,
it
can
be
applied
only
once.
The
average
rate
of
2.5
lbs
ai/
acre
is
the
typical
labeled
use
rate
for
Sugarcane.
Apart
from
its
use
on
sugarcane,
asulam
is
used
on
Christmas
tree
plantations,
ornamentals,
turf
(
Sod
Farms
Only)
and
non
cropland
uses
(
boundary
fences,
fencerows,
hedgerows,
lumberyards,
storage
areas
and
industrial
plant
sites,
and
warehouse
lots).
For
Christmas
trees
and
ornamentals,
the
label
use
rate
is
3.34
lbs
a.
i./
A
and
can
be
applied
once
per
year
as
a
postemergent
treatment.
For
turf,
the
label
use
rate
is
about
2
lbs.
a.
i./
A
and
can
be
applied
once
per
year.
For
non
cropland
uses,
the
label
use
rate
ranges
between
2.9
lbs
a.
i./
A
to
3.34
lbs
a.
i./
A
and
can
be
applied
once
per
year.
4.2
Dietary
Exposure/
Risk
Pathway
19
4.2.1
Residue
Profile
A
tolerance
is
established
for
negligible
residues
of
asulam
per
se
in/
on
sugarcane
at
0.1
ppm
[
40
CFR
§
180.360].
HED
has
recommended
that
the
tolerance
expression
be
revised
to
include
all
metabolites
containing
the
sulfanilamide
moiety.
An
adequate
enforcement
method
is
available
for
the
determination
of
combined
residues
of
asulam
and
all
metabolites
containing
the
sulfanilamide
moiety
in/
on
sugarcane.
The
qualitative
nature
of
the
residue
in
plants
is
adequately
understood
based
on
sugarcane
metabolism
studies.
The
terminal
residues
of
concern
are
free
and
conjugated
asulam,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
determined
as
a
common
moiety.
The
qualitative
nature
of
the
residue
in
animals
is
adequately
understood
based
on
acceptable
poultry
and
ruminant
metabolism
studies.
The
terminal
residues
of
concern
are
free
and
conjugated
asulam,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
determined
as
a
common
moiety.
4.2.2
Acute
Dietary
An
acute
dietary
risk
assessment
was
not
performed
since
there
was
no
acute
endpoint
identified
by
HIARC.
4.2.3
Chronic
Dietary
The
asulam
chronic
dietary
exposure
assessment
was
conducted
using
the
Dietary
Exposure
Evaluation
Model
(
DEEM
)
software
Version
7.73,
which
incorporates
consumption
data
from
USDA s
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII),
1989
1992.
The
1989
92
data
are
based
on
the
reported
consumption
of
more
than
10,000
individuals
over
three
consecutive
days,
and
therefore
represent
more
than
30,000
unique
person
days
of
data.
Foods
as
consumed
(
e.
g.,
apple
pie)
are
linked
to
raw
agricultural
commodities
and
their
food
forms
(
e.
g.,
apples
cooked/
canned
or
wheat
flour)
by
recipe
translation
files
internal
to
the
DEEM
software.
Consumption
data
are
averaged
for
the
entire
US
population
and
within
population
subgroups
for
chronic
exposure
assessment,
but
are
retained
as
individual
consumption
events
for
acute
exposure
assessment.
Anticipated
residues
were
calculated
using
field
trial
data.
No
monitoring
data
exist
for
asulam.
In
addition,
estimates
of
percent
crop
treated
(%
CT)
generated
by
BEAD
were
used
to
refine
the
assessment.
This
refined
Tier
2/
3
chronic
dietary
risk
assessment
was
conducted
for
all
supported
(
i.
e.,
currently
registered
and
proposed)
asulam
food
uses.
For
chronic
exposure
and
risk
assessment,
an
estimate
of
the
residue
level
in
each
food
or
food
form
(
e.
g.,
orange
or
orange
juice)
on
the
commodity
residue
list
is
multiplied
by
the
average
daily
consumption
estimate
for
that
food/
food
form.
The
resulting
residue
consumption
estimate
for
each
food/
food
form
is
summed
with
the
residue
consumption
estimates
for
all
other
food/
food
forms
on
the
commodity
residue
list
to
arrive
at
the
total
estimated
exposure.
Exposure
estimates
20
are
expressed
in
mg/
kg
body
weight/
day
and
as
a
percent
of
the
cPAD.
This
procedure
is
performed
for
each
population
subgroup.
HED
notes
that
there
is
a
degree
of
uncertainty
in
extrapolating
exposures
for
certain
population
subgroups
from
the
general
U.
S.
population
which
may
not
be
sufficiently
represented
in
the
consumption
surveys,
(
e.
g.,
nursing
and
non
nursing
infants
or
Hispanic
females).
Therefore,
risks
estimated
for
these
population
subgroups
were
included
in
representative
populations
having
sufficient
numbers
of
survey
respondents
(
e.
g.,
all
infants
or
females,
13
50
years).
Exposures
>
100%
of
the
cPAD
exceed
HED s
level
of
concern.
That
is,
estimated
exposures
above
this
level
are
of
concern,
while
estimated
exposures
at
or
below
this
level
are
not
of
concern.
The
DEEM
analyses
estimate
the
dietary
exposure
of
the
U.
S.
population
and
26
population
subgroups.
The
results
reported
in
Table
6
are
for
the
U.
S.
Population
(
total),
all
infants
(<
1
year
old),
children
1
6,
children
7
12,
females
13
50,
males
13
19,
males
20+,
and
seniors
55+
years
of
age.
The
results
for
the
other
population
subgroups
are
not
reported
in
Table
6.
This
is
because
the
numbers
of
respondents
in
the
other
subgroups
were
not
sufficient,
and
thus
the
exposure
estimates
for
these
subgroups
contained
higher
levels
of
uncertainty.
However,
the
respondents
in
these
subgroups
were
also
part
of
larger
subgroups
which
are
listed
in
Table
6.
For
example,
nursing
and
non
nursing
infants
are
included
in
all
infants.
The
subgroups
which
are
broken
down
by
region,
season,
and
ethnicity
are
also
not
included.
This
assessment
concludes
that
for
all
commodities,
the
chronic
risk
estimates
are
below
the
Agency s
level
of
concern
(<
100%
cPAD)
for
the
general
U.
S.
population
(<
1%
of
the
cPAD)
and
all
population
subgroups.
The
chronic
dietary
exposure
estimate
for
children
1
6
years
[
highest
exposed
population
subgroup]
is
1%
of
the
cPAD.
Table
6.
Results
of
Chronic
Dietary
Exposure
Analysis
Population
Subgroup
cPAD
(
mg/
kg/
day)
Exposure
(
mg/
kg/
day)
%
cPAD
U.
S.
Population
(
total)
0.036
0.000157
<
1%
All
Infants
(<
1
year)
0.036
0.000300
<
1%
Children
1
6
years
0.036
0.000449
1%
Children
7
12
years
0.036
0.000275
<
1%
Females
13
50
years
0.036
0.000107
<
1%
Males
13
19
years
0.036
0.000185
<
1%
Males
20+
years
0.036
0.000105
<
1%
Seniors
55+
years
0.036
0.000087
<
1%
4.2.4
Cancer
Dietary
A
cancer
dietary
risk
assessment
is
not
required
for
asulam.
4.3
Water
Exposure/
Risk
Pathway
21
The
Environmental
Fate
and
Effects
Division
(
EFED)
provided
a
drinking
water
assessment
using
simulation
models
to
estimate
the
potential
concentration
of
asulam
and
its
degradates,
sulfanilamide
and
sulfanilic
acid,
in
surface
water.
Sulfanilamide
is
a
major
soil
and
water
degradate
of
asulam
(
Reregsitration
Eligibility
Decision
(
RED)
September
1995).
EFED
used
the
FIRST
reservoir
model
to
calculate
estimated
environmental
concentrations
(
EECs)
in
surface
water.
A
prospective
groundwater
study
was
used
to
estimate
the
groundwater
EEC
for
residues
of
asulam
and
the
sulfanilamide
degradate.
Since
no
data
are
available
on
degradates,
FIRST
modeling
assumed
immediate
conversion
upon
application
to
very
persistent
and
mobile
degradates.
With
respect
to
the
exposure
in
surface
water,
conservative
Tier
I
(
FIRST)
modeling
indicated
that
EECs
in
surface
water
are
not
likely
to
exceed
an
average
concentration
of
6.6
ppb
for
asulam,
and
an
average
concentration
of
272
ppb
for
asulam
plus
the
degradates
(
sulfanilamide
and
sulfanilic
acid)
for
use
in
chronic
exposure
assessments.
Residues
of
asulam
and
sulfanilamide
in
ground
water
are
not
likely
to
exceed
a
maximum
of
154
ppb,
and
an
average
of
43
ppb.
These
EECs
represent
upper
bound
concentrations
for
asulam
residues
in
surface
water
and
groundwater
as
can
be
seen
by
a
comparison
with
monitoring
data
provided
in
the
synopsis
below.
In
a
separate
water
monitoring
study,
asulam
was
detected
in
public
drinking
water
sources
from
ground
and
surface
water.
At
the
request
of
EPA,
Rhone
Poulenc
conducted
a
drinking
water
monitoring
study
in
areas
of
high
asulam
use
in
Florida
and
Louisiana.
The
surface
water
study
was
designed
to
sample
raw
surface
water
in
up
to
15
community
water
systems
in
Florida
and
4
systems
in
Louisiana.
Samples
were
collected
monthly
for
one
year
and
analyzed
for
asulam
and
the
metabolite
sulfanilamide
at
a
detection
limit
of
1
ppb.
In
addition
to
surface
water
collection,
the
study
collected
samples
from
potable
wells
in
Florida
and
Louisiana
that
were
located
within
1,000
feet
of
an
asulam
treated
area.
Seven
of
the
ten
surface
water
community
systems
sampled
contained
traces
(<
1
ppb)
of
asulam
residues
during
May
through
June.
Four
of
the
community
systems
were
located
in
Louisiana
and
three
were
in
Florida.
A
total
of
28
drinking
water
wells
were
sampled
in
Florida.
Because
of
poor
water
quality
in
this
area
of
Florida,
many
of
the
wells
reportedly
use
some
type
of
treatment
system
prior
to
use.
Three
wells
contained
quantifiable
asulam
residues
up
to
1.92
ppb.
Ten
other
wells
contained
detectable
traces
(<
1
ppb).
Reportedly,
the
depth
of
the
well
and
distance
to
treated
area
did
not
have
any
statistically
significant
effects
on
the
concentrations
observed.
No
residues
were
detected
in
12
wells
sampled
in
the
"
sandier"
areas
of
Hendry
County.
Rhone
Poulenc
reported
that
there
was
less
intensive
use
of
asulam
in
this
area.
No
residues
were
detected
in
ground
water
samples
in
Louisiana.
4.4
Residential
and
Occupational
Exposure/
Risk
Pathway
Because
this
assessment
is
for
a
TRED,
occupational
handler
and
post
application
scenarios
will
not
be
assessed.
22
Potential
residential
exposures
are
not
anticipated
as
a
result
of
applications
of
asulam.
All
end
use
product
labels
contain
the
following
statements:
FOR
AGRICULTURAL
OR
COMMERCIAL
USE
ONLY
and
NOT
FOR
USE
BY
HOMEOWNERS .
Use
sites
include
sugarcane,
Christmas
tree
plantings,
turf
(
for
sod
only),
ornamentals
(
junipers
&
yews
only),
and
non
cropland
(
e.
g.
rights
of
way,
fence
rows,
etc.).
Sugarcane
represents
95
percent
of
asulam
utilization;
so
therefore,
the
remaining
five
percent
is
utilized
on
the
other
use
sites.
Based
on
the
registrants
total
estimate
of
235
245,000
gallons
of
asulam
sold
and
used
annually
in
the
US,
the
amount
used
annual
on
use
sites
other
than
sugarcane
is
approximately
12,000
gallons.
Of
these
use
sites,
no
residential
exposures
would
be
anticipated
from
the
Christmas
tree
plantings
and
non
cropland
sites.
The
use
on
turf
is
restricted
to
sod
farms,
and
the
application
to
the
sod
is
made
four
to
five
months
prior
to
the
sod
being
pulled
up
and
subsequently
sold.
Therefore,
no
residential
exposures
would
be
anticipated
from
the
turf/
sod
use.
The
registrant
stated
that
use
of
asulam
on
ornamentals
is
very
limited,
since
its
cost
is
high.
Use
of
asulam
on
ornamentals
in
a
residential
setting
would
not
be
expected.
In
summation,
residential
exposures
are
considered
unlikely.
Spray
drift
is
always
a
potential
source
of
exposure
to
the
public
or
near
spraying
operations.
This
is
particularly
the
case
with
aerial
application,
but,
to
a
lesser
extent,
could
also
be
a
potential
source
of
exposure
from
groundboom
application
methods.
The
Agency
has
been
working
with
the
Spray
Drift
Task
Force,
EPA
Regional
Offices
and
State
Lead
Agencies
for
pesticide
regulation
and
other
parties
to
develop
the
best
spray
drift
management
practices.
The
Agency
is
now
requiring
interim
mitigation
measures
for
aerial
applications
that
must
be
placed
on
product
labels/
labeling.
The
Agency
has
completed
its
evaluation
of
the
new
data
base
submitted
by
the
Spray
Drift
Task
Force,
a
membership
of
U.
S.
pesticide
registrants,
and
is
developing
a
policy
on
how
to
appropriately
apply
the
data
and
the
AgDRIFT
computer
model
to
its
risk
assessments
for
pesticides
applied
by
air,
orchard
airblast
and
ground
hydraulic
methods.
After
the
policy
is
in
place,
the
Agency
may
impose
further
refinements
in
spray
drift
management
practices
to
reduce
off
target
and
risks
associated
with
aerial
as
well
as
other
application
types
where
appropriate.
5.0
Aggregate
Risk
Assessments
and
Risk
Characterizations
Because
an
acute
toxicity
endpoint
was
not
identified
by
HIARC,
an
acute
aggregate
risk
assessment
is
not
required.
In
examining
aggregate
exposure,
HED
takes
into
account
the
available
and
reliable
information
concerning
exposures
from
pesticide
residues
in
food
and
other
exposures
including
drinking
water
and
non
occupational
exposures,
e.
g.,
exposure
to
pesticides
used
in
and
around
the
home
(
residential).
Risk
assessments
for
aggregate
exposure
consider
both
short,
intermediate
and
long
term
(
chronic)
exposure
scenarios
considering
the
toxic
effects
which
would
likely
be
associated
with
each
exposure
duration.
There
are
no
residential
uses
of
asulam.
Therefore,
the
considerations
for
aggregate
exposure
are
those
from
food
and
water.
Since
conservative
modeling
was
done
to
estimate
concentrations
in
drinking
water,
Drinking
Water
Levels
of
Comparison
(
DWLOCs)
were
calculated.
A
DWLOC
is
a
theoretical
upper
concentration
limit
for
a
pesticide
in
drinking
water
based
on
how
much
of
the
PAD
remains
once
exposures
in
food
and
in
the
home
have
been
estimated
and
subtracted.
For
asulam,
only
chronic
DWLOCs
were
calculated
since
an
acute
endpoint
was
not
selected.
HED
compares
DWLOCs
to
surface
water
and
groundwater
EECs.
23
If
the
EECs
for
residues
of
asulam
in
surface
water
and
groundwater
are
less
than
the
DWLOCs
for
residues
of
asulam,
HED
has
no
concern
for
aggregate
exposures
to
asulam
residues
in
food
and
drinking
water.
Upon
comparison
of
the
chronic
DWLOCs
(
1,254
ppb
for
males;
1,075
ppb
for
females;
355
ppb
for
children)
with
the
EECs
for
residues
of
asulam
in
surface
and
groundwater,
all
EECs
are
less
than
the
chronic
DWLOCs
for
all
populations.
Consequently,
HED
has
no
concerns
for
chronic
exposures
to
combined
residues
of
asulam
in
food
and
drinking
water,
regardless
of
the
drinking
water
source
(
surface
water
or
groundwater).
Table
7.
Chronic
DWLOCs
Compared
to
Surface
Water
and
Groundwater
EECs
Population
Subgroups
DWLOCs
(
ppb)
Surface
Water
EEC
(
ppb)
(
average
concentration)
Groundwater
EEC
(
ppb)
(
maximum/
average
concentration)
Adult
males
1254
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
Adult
females
1075
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
Children
(
1
to
6
years
old)
335
6.6
(
asulam)/
272
(
asulam
+
degradates)
154
(
maximum)/
43
(
average)
6.0
Cumulative
The
Food
Quality
Protection
Act
(
1996)
stipulates
that
when
determining
the
safety
of
a
pesticide
chemical,
EPA
shall
base
its
assessment
of
the
risk
posed
by
the
chemical
on,
among
other
things,
available
information
concerning
the
cumulative
effects
to
human
health
that
may
result
from
dietary,
residential,
or
other
non
occupational
exposure
to
other
substances
that
have
a
common
mechanism
of
toxicity.
The
reason
for
consideration
of
other
substances
is
due
to
the
possibility
that
low
level
exposures
to
multiple
chemical
substances
that
cause
a
common
toxic
effect
by
a
common
mechanism
could
lead
to
the
same
adverse
health
effect
as
would
a
higher
level
of
exposure
to
any
of
the
other
substances
individually.
A
person
exposed
to
a
pesticide
at
a
level
that
is
considered
safe
may
in
fact
experience
harm
if
that
person
is
also
exposed
to
other
substances
that
cause
a
common
toxic
effect
by
a
mechanism
common
with
that
of
the
subject
pesticide,
even
if
the
individual
exposure
levels
to
the
other
substances
are
also
considered
safe.
Although
asulam
had
been
included
in
the
list
of
potential
carbamates
for
cumulative
risk
assessment
of
carbamates
as
a
group,
it
will
not
be
included
in
the
carbamate
cumulative
assessment.
The
available
data
indicate
that
asulam
is
a
carbamate
herbicide
that
has
chemical
structure
and
biological
properties
that
are
considerably
different
from
those
of
the
carbamate
insecticides.
For
instance,
several
studies
on
asulam
(
e.
g.,
chronic
oral
dog,
combined
chronic
toxicity/
oncogenicity
dietary
rat)
demonstrate
the
lack
of
cholinesterase
inhibition
and
absence
of
clinical
signs
suggestive
24
of
neurotoxicity.
Acute
studies
reveal
a
low
toxicity
for
asulam
(
e.
g.,
no
deaths
and
clinical
signs
of
nonspecific
origin).
There
are
no
specific
mechanism
of
toxicity
studies
on
asulam.
Before
undertaking
any
cumulative
risk
assessment,
HED
will
follow
procedures
for
identifying
chemicals
that
have
a
common
mechanism
of
toxicity
as
set
forth
in
the
Guidance
for
Identifying
Pesticide
Chemicals
and
Other
Substances
that
Have
a
Common
Mechanism
of
Toxicity
(
64
FR
5795
5796,
February
5,
1999).
25
7.0
Tolerance
Reassessment
Recommendations
7.1
Tolerance
Reassessment
Recommendation
Table
8
summarizes
the
tolerance
reassessment
for
asulam.
Commodity
Table
8.
Tolerance
Reassessment
Summary
Current
Tolerance
(
ppm)
Tolerance
Reassessment
(
ppm)
Comment
Tolerance
listed
under
40
CFR
§
180.360
Sugarcane,
cane
0.1
1.0
Tolerances
to
be
Established
Under
40
CFR
§
180.360
Sugarcane,
molasses
30
Milk
0.05
Cattle,
meat
Cattle,
fat
Goat,
meat
Goat,
fat
Hog,
meat
Hog,
fat
Horse,
meat
Horse,
fat
Sheep,
meat
Sheep,
fat
0.05
Cattle,
meat
byproducts
Goat,
meat
byproducts
Hog,
meat
byproducts
Horse,
meat
byproducts
Sheep,
meat
byproducts
0.2
8.0
Data
Needs/
Label
Requirements
8.1Toxicology
Comparative
thyroid
rat
assay
in
adult
and
offspring.
21
day
Dermal
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
28
day
Inhalation
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
8.2
Product
and
Residue
Chemistry
26
Because
hydroquinone/
quinone
remains
a
chemical
of
toxicological
concern,
if
the
registrant
proposes
new
uses
for
this
chemical,
new
plant
metabolism
studies
m
ust
be
performed
(
relevant
to
the
proposed
new
uses),
aimed
specifically
at
determining
the
presence
and
concentration
of
radiolabeled
hydroquinone/
quinone.
The
registrant
should
also
determine
the
naturally
occurring
background
levels
of
hydroquinone/
quinone
and
arbutin
in
sugarcane.
The
Metabolism
Committee
will
reconsider
its
position
if
new
metabolism
studies
show
that
quinone/
hydroquinone/
arbutin
comprises
a
significant
portion
of
the
radiolabeled
residue.
HED
has
recommended
that
the
registrant
request
label
amendments
specifying
a
maximum
of
two
asulam
applications
per
year
to
sugarcane
at
a
maximum
single
application
rate
of
3.34
lbs.
a.
i./
A,
a
PHI
of
100
days
for
Louisiana,
a
PHI
of
140
days
for
the
remainder
of
the
US
mainland,
and
a
PHI
of
400
days
for
Hawaii.
If
the
regsitrant
requests
the
recommended
label
changes,
no
further
sugarcane
field
trial
data
are
required
for
asulam
at
this
time.
If
the
registrant
does
not
propose
the
recommended
label
changes,
existing
labels
must
be
supported
by
new
field
trials.
The
following
product
chemistry
data
guidelines
remain
unfulfilled
for
the
technical
asulam
sodium
salt:
GLN
830.6317
(
Storage
Stability)
and
830.6320
(
Corrosion
Characteristics).
Tolerance
Reassessment
1.
The
existing
tolerance
of
0.1
ppm
for
asulam
residues
on
sugar
cane
established
in
40
CFR
§
180.360
has
been
reassessed.
HED
recommends
the
tolerance
be
raised
to
1.0
ppm;
2.
HED
recommends
a
tolerance
of
30
ppm
for
asulam
residues
in
molasses
from
sugar
cane
be
established
in
40
CFR
§
180.360;
3.
HED
recommends
a
tolerance
of
0.05
ppm
for
asulam
residues
in
milk,
and
meat
and
fat
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360;
4.
HED
recommends
a
tolerance
of
0.2
ppm
for
asulam
residues
in
meat
byproducts
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360;
5.
Because
there
are
no
poultry
feed
items
associated
with
asulam's
use,
tolerances
on
poultry
tissues
and
eggs
are
not
warranted.
27
| epa | 2024-06-07T20:31:45.390858 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0002/content.txt"
} |
EPA-HQ-OPP-2002-0329-0003 | Supporting & Related Material | 2002-12-06T05:00:00 | null | DATE:
12/
05/
2001
MEMORANDUM
SUBJECT:
ASULAM
2nd
Report
of
the
Hazard
Identification
Assessment
Review
Committee.
FROM:
John
J.
Liccione,
Toxicologist.
Reregistration
Branch
3
Health
Effects
Division
(
7509C)
THROUGH:
Jess
Rowland,
Co
Chair
and
Elizabeth
Doyle,
Co
Chair
Hazard
Identification
Assessment
Review
Committee
Health
Effects
Division
(
7509C)
TO:
Jose
Morales,
Risk
Assessor
Reregistration
Branch
3
Health
Effects
Division
(
7509C)
PC
Code:
106901;
106902
On
November
13,
2001,
the
Health
Effects
Division
(
HED)
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
reviewed
the
recommendations
of
the
toxicology
reviewer
for
ASULAM
with
regard
to
the
acute
and
chronic
Reference
Doses
(
RfDs)
and
the
toxicological
endpoint
selection
for
use
as
appropriate
in
occupational/
residential
exposure
risks
assessments.
This
is
the
first
re
evaluation
after
a
1995
RED.
The
conclusions
drawn
at
this
meeting
are
presented
in
this
report.
Committee
Members
in
Attendance
Members
present
were:
Ayaad
Assaad,
William
Burnam,
Jonathan
Chen,
Paula
Deschamp,
Pamela
Hurley,
John
Liccione,
Sue
Makris,
David
Nixon,
Jess
Rowland,
and
Brenda
Tarplee.
Member(
s)
in
absentia:
Elizabeth
Doyle.
Data
evaluation
prepared
by:
John
Liccione,
Reregistration
Branch
3
Also
in
attendance
were:
Steve
Knizner,
RRB
3,
HED;
Cathy
Eiden,
RRB
3,
HED;
Barry
O Keefe,
RRB
3,
HED;
Jose
Morales,
RRB
3,
HED
Data
Evaluation
/
Report
Presentation
John
J.
Liccione
Toxicologist
2
1.
INTRODUCTION
In
a
previous
meeting
(
March
19,
1998),
the
Health
Effects
Division s
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
met
to
evaluate
the
toxicology
data
base
for
asulam
for
risk
assessment
purposes.
The
present
HIARC
meeting
(
November
13,
2001)
is
a
revisit
of
asulam
for
toxicological
endpoint
selection
for
use
in
occupational/
residential
exposure
risk
assessments.
In
addition,
the
potential
for
increased
susceptibility
of
infants
and
children
from
exposure
to
ASULAM
was
re
evaluated.
2.
HAZARD
IDENTIFICATION
2.1
Acute
Reference
Dose
(
RfD)
Study
Selected:
None
Dose
and
Endpoint
for
Establishing
RfD:
Not
applicable.
Comments
about
Study/
Endpoint/
Uncertainty
Factor:
No
appropriate
toxicological
endpoint
clearly
attributable
to
a
single
exposure
was
identified
including
the
oral
developmental
toxicity
studies
in
rats
and
rabbits.
Although
a
slight
to
moderate
increase
(
non
significant)
in
preimplantation
loss
was
observed
in
a
developmental
rat
study,
the
LOAEL
for
this
effect
was
1,500
mg/
kg/
day
and
the
NOAEL
was
1,000
mg/
kg/
day
(
limit
dose).
2.2
Chronic
Reference
Dose
(
RfD)
Study
Selected:
Combined
Chronic
Toxicity/
Oncogenicity
feeding
rat;
OPPTS
870.4300
[
§
83
5]
§
MRID
No.:
00098543
Executive
Summary:
In
a
two
year
combined
chronic
feeding/
carcinogenicity
study
(
MRID#
00098543),
CD
rats
(
50/
sex/
dose)
were
administered
asulam
(
97.5
99.9%)
at
dose
levels
of
0,
1,000
(
low
dose),
5,000
(
mid
dose)
or
25,000
ppm
(
high
dose).
These
dietary
levels
were
equivalent
to
0,
36,
180
and
953
mg/
kg/
day
in
males
and
0,
47,
243
and
1,280
mg/
kg/
day
in
females,
respectively.
An
additional
group
(
15/
sex/
dose)
was
administered
asulam
for
78
weeks.
Bodyweight
change
in
the
high
dose
animals
for
various
intervals
was
more
than
10%
lower
than
controls.
Mean
bodyweight
change
was
significantly
lower
than
controls
in
high
dose
females
from
week
0
52
and
in
the
mid
and
high
dose
females
from
weeks
6
52.
Mean
bodyweight
change
was
significantly
lower
in
the
high
dose
males
(
p<
0.01)
from
weeks
6
52.
Hyperplastic
changes
were
observed
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males
at
the
mid
and
high
dose
levels.
There
was
a
statistically
significant
increase
in
thyroid
gland
C
cell
carcinomas
in
both
the
low
3
and
mid
dose
males.
There
was
also
a
statistically
significant
increase
in
adrenal
medullary
pheochromocytomas
at
the
high
dose
in
males.
With
the
exception
of
a
non
dose
related
enlargement
of
the
pituitary
gland
in
female
rats
(
3/
15
controls;
7/
15
low
dose;
8/
15
mid
dose;
7/
15
high
dose),
no
unusual
toxicological
findings
occurred
in
the
animals
sacrificed
at
78
weeks.
The
LOAEL
is
5,000
ppm
(
180
mg/
kg/
day)
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
The
NOAEL
is
1,000
ppm
(
36
mg/
kg/
day).
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increase
in
tumor
incidence
in
males
when
compared
to
controls.
Therefore,
asulam
is
a
potential
oncogen
in
this
study.
Dosing
is
considered
adequate
to
assess
the
oncogenic
potential
of
asulam.
This
combined
chronic
toxicity/
carcinogenicity
study
in
the
rat
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
combined
chronic
toxicity/
carcinogenicity
study
(
83
5)
in
the
rat.
A
minor
study
deficiency
includes
the
lack
of
thyroid
weight
data.
Dose
and
Endpoint
for
Establishing
RfD:
NOAEL
of
36
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
observed
in
male
rats
at
180
mg/
kg/
day.
Uncertainty
Factor(
s):
100
Comments
about
Study/
Endpoint/
Uncertainty
Factor:
This
endpoint
is
of
the
appropriate
route
and
duration
of
exposure
and
applies
to
the
population
of
concern
(
general
population,
including
infants
and
children).
This
study
was
selected
by
the
RfD/
Peer
Review
committee
(
1993)
for
the
chronic
RfD.
Chronic
RfD
=
36
mg/
kg/
day
(
NOAEL)
=
0.36
mg/
kg/
day
100
(
UF)
2.3
Occupational/
Residential
Exposure
2.3.1
Short
Term
(
1
Day
1
Month)
Incidental
Oral
Exposure
Since
there
are
no
residential
uses,
toxic
endpoints
were
not
selected.
2.3.2
Intermediate
Term
(
1
6
Months)
Incidental
Oral
Exposure
4
Since
there
are
no
residential
uses,
toxic
endpoints
were
not
selected.
2.3.3
Dermal
Absorption
Dermal
Absorption
Factor:
100%
Comments
about
the
Factor:
There
are
no
dermal
absorption
studies
with
asulam.
Comparison
of
the
developmental
oral
rabbit
study
to
the
dermal
rabbit
study
is
not
appropriate.
The
dermal
rabbit
study
did
not
include
examination
of
the
thyroid,
the
target
organ.
2.3.4
Short
Term
Dermal
(
1
Day
1
Month)
Exposure
Study
Selected:
Two
Generation
Reproduction
Study
Guideline
#:
870.3800
MRID
No.:
00098540
Executive
Summary:
In
a
two
generation
reproduction
toxicity
study
(
MRID
00098540),
groups
of
12
male
and
24
female
Charles
River
CD
rats
were
administered
asulam
(
98.0
100.6
%
a.
i.)
in
the
diet
at
concentrations
of
0
(
control),
1,000,
5,000,
or
25,000
ppm
(
equivalent
to
approximately
50,
250,
and
1250
mg/
kg/
day,
respectively).
F0
animals
were
mated
after
being
on
diet
for
100
days.
Following
weaning,
F1
animals
(
16
males
and
32
females)
continued
treatment
for
a
further
120
days
prior
to
mating.
Systemic
effects
observed
at
the
high
dose
(
25,000
ppm)
included
decreased
body
weights
in
F0
males
and
F1
females,
increased
absolute
and/
or
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
(
at
age
31
but
not
at
terminal
necropsy).
The
LOAEL
for
systemic
toxicity
is
25,000
ppm
(
1250
mg/
kg/
day)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
The
NOAEL
is
5,000
ppm
(
250
mg/
kg/
day).
Significantly
fewer
mean
live
births
per
litter
were
observed
at
5,000
and
25,000
ppm
in
the
first
generation.
Also,
a
dose
response
relationship
was
evident.
Fertility
index
was
slightly
lower
in
F1
parents
at
5,000
and
25,000
ppm;
however,
the
decreases
were
not
statistically
significant
when
compared
to
controls
and
did
not
display
a
dose
response.
The
LOAEL
for
reproductive/
offspring
toxicity
is
5,000
ppm
(
250
mg/
kg/
day)
based
on
significant
decreases
in
mean
live
births
per
litter.
The
NOAEL
for
reproductive/
offspring
toxicity
is
1,000
ppm
(
50
mg/
kg/
day).
5
This
two
generation
reproduction
study
in
the
rat
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
reproduction
study
(
83
4)
in
rats.
Dose
and
Endpoint
for
Risk
Assessment:
Offspring
NOAEL
of
50
mg/
kg/
day,
based
on
significant
and
dose
related
decreases
in
mean
live
births
per
litter
in
the
first
generation
at
a
LOAEL
of
250
mg/
kg/
day.
Comments
about
Study/
Endpoint:.
Although
a
21
day
dermal
toxicity
study
(
NOAEL
=
1000
mg/
kg/
day)
in
the
rabbit
was
available,
the
study
did
not
include
examination
of
thyroid
weights
and
thyroid
pathology,
and
does
not
evaluate
offspring
toxicity.
A
number
of
toxicity
studies,
including
a
carcinogenicity
feeding
study
in
the
mouse
(
MRID#
00081183),
a
combined
chronic
toxicity/
carcinogenicity
rat
study
(
MRID#
00098543),
a
two
generation
rat
reproduction
study
(
MRID#
00098540),
a
3
month
oral
dog
study
(
MRID#
00081183),
a
6
month
oral
dog
study
(
MRID
#
00098536),
and
a
combined
chronic
toxicity/
carcinogenicity
rat
study
(
MRID#
00098543),
indicate
the
thyroid
as
a
target
organ.
Offspring
toxicity
was
noted
in
the
two
generation
reproduction
study
in
the
rat
(
discussed
above).
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects,
and
possibly
protective
of
thyroid
effects.
A
dermal
absorption
study
was
not
available.
A
dermal
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
2.3.5
Intermediate
Term
Dermal
(
1
6
Months)
Exposure
Study
Selected:
Two
Generation
Reproduction
Study
Guideline
#:
870.3800
MRID
No.:
00098540
Executive
Summary:
See
Short
term
Dermal
Exposure
Section.
Dose/
Endpoint
for
Risk
Assessment:
Offspring
NOAEL
of
50
mg/
kg/
day,
based
on
significant
and
dose
related
decreases
in
mean
live
births
per
litter
in
the
first
generation
at
a
LOAEL
of
250
mg/
kg/
day.
Comments
about
Study/
Endpoint:
Refer
to
Comments
about
Study/
Endpoint
for
Short
term
Dermal
Exposure
which
provides
a
rationale
for
not
selecting
the
21
day
dermal
toxicity
study
(
NOAEL
=
1000
mg/
kg/
day)
in
rabbits
for
risk
assessment.
The
3
month
oral
dog
study
(
which
examined
thyroid)
was
also
considered
for
possible
selection
for
this
exposure
scenario.
Although
the
study
was
classified
as
nonacceptable
guideline,
it
6
was
supported
by
the
findings
of
the
6
month
oral
dog
study.
The
results
of
the
two
studies
were
similar
(
i.
e.,
the
LOAEL
and
NOAEL
(
based
on
increased
thyroid
weights)
for
the
6
month
dog
study
were
300
mg/
kg/
day
and
60
mg/
kg/
day,
respectively,
while
the
LOAEL
and
NOAEL
(
also
based
on
increased
thyroid
weights)
for
the
3
month
dog
study
were
500
mg/
kg/
day
and
50
mg/
kg/
day,
respectively).
The
results
of
the
dog
studies
with
a
NOAEL
of
50
mg/
kg/
day
(
3
month
dog
study)
or
60
mg/
kg/
day
(
6
month
dog
study)
support
the
NOAEL
from
the
two
generation
reproduction
study.
The
two
generation
reproduction
study
is
selected
for
the
intermediate
term
dermal
exposure.
An
8
week
oral
range
finding
study
in
mice
(
MRID#
42110002)
was
also
available,
however,
the
thyroid
was
not
examined.
A
dermal
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
2.3.6
Long
Term
Dermal
(
Longer
than
6
Months)
Exposure
Study
Selected:
Combined
Chronic
Toxicity/
Oncogenicity
feeding
rat;
OPPTS
870.4300
[
§
83
5]
MRID
No.:
00098543
Executive
Summary:
See
Section
2.2
Chronic
Reference
Dose
(
RfD)
Dose
and
Endpoint
for
Risk
Assessment:
NOAEL
of
36
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
observed
in
male
rats
at
180
mg/
kg/
day.
Comments
about
Study/
Endpoint:
A
long
term
dermal
toxicity
study
was
not
available.
In
addition,
there
was
no
dermal
absorption
study.
The
combined
chronic
toxicity/
carcinogenicity
oral
study
in
the
rat
is
of
the
appropriate
duration
of
exposure.
A
dermal
absorption
factor
of
100%
will
be
used
for
route
to
route
extrapolation.
2.3.7
Short
term
Inhalation
(
1
Day
1
Month)
Exposure
Study
Selected:
Two
Generation
Reproduction
Study
Guideline
#:
870.3800
MRID:
00098540
Executive
Summary:
See
Short
term
Dermal
Dose/
Endpoint
for
Risk
Assessment:
Offspring
NOAEL
of
50
mg/
kg/
day,
based
on
significant
and
dose
related
decreases
in
mean
live
births
per
litter
in
the
first
generation
at
a
LOAEL
of
250
mg/
kg/
day.
Comments
about
Study/
Endpoint:
Although
a
1
month
inhalation
toxicity
study
in
rats
was
available
(
NOAEL
=
15.3
mg/
L),
thyroid
weights
and
thyroid
pathology
were
not
7
examined.
As
discussed
previously,
a
number
of
toxicity
studies,
including
carcinogenicity
feeding
study
in
the
mouse
(
MRID#
00081183),
a
combined
chronic
toxicity/
carcinogenicity
rat
study
(
MRID#
00098543),
a
two
generation
rat
reproduction
study
(
MRID#
00098540),
a
3
month
oral
dog
study
(
MRID#
00081183),
a
6
month
oral
dog
study
(
MRID
#
00098536),
and
a
combined
chronic
toxicity/
carcinogenicity
rat
study
(
MRID#
00098543),
indicate
the
thyroid
as
a
target
organ.
Offspring
toxicity
was
observed
in
the
two
generation
reproduction
study.
For
this
exposure
scenario,
the
two
generation
reproduction
study
in
the
rat
(
MRID#
00098540)
is
selected
for
risk
assessment
because
the
decreased
mean
live
births
per
litter
occurred
during
days
0
30,
which
is
the
appropriate
duration
of
exposure
for
this
risk
assessment.
It
is
also
protective
of
offspring/
reproductive
effects.
An
inhalation
absorption
factor
of
100%
(
default
value
assuming
equivalent
inhalation
and
oral
absorption)
will
be
used
for
route
to
route
extrapolation.
2.3.8
Intermediate
term
Inhalation
(
1
6
Months)
Exposure
Study
Selected:
Two
Generation
Reproduction
Study
Guideline
#:
870.3800
MRID:
00098540
Executive
Summary:
See
Short
term
Dermal
Dose/
Endpoint
for
Risk
Assessment:
Offspring
NOAEL
of
50
mg/
kg/
day,
based
on
significant
and
dose
related
decreases
in
mean
live
births
per
litter
in
the
first
generation
at
a
LOAEL
of
250
mg/
kg/
day.
Comments
about
Study/
Endpoint:
Refer
to
Comments
about
Study/
Endpoint
for
Short
term
Inhalation
Exposure
which
provides
a
rationale
for
not
selecting
the
one
month
inhalation
toxicity
study
in
rats
for
risk
assessment.
The
3
month
oral
dog
study
(
which
examined
thyroid)
was
also
considered
for
possible
selection
for
this
exposure
scenario.
Although
the
study
was
classified
as
nonacceptable
guideline,
it
was
supported
by
the
findings
of
the
6
month
oral
dog
study.
The
results
of
the
two
studies
were
similar
(
i.
e.,
based
on
increased
thyroid
weights,
the
LOAEL
and
NOAEL
for
the
6
month
dog
study
were
300
mg/
kg/
day
and
60
mg/
kg/
day,
respectively,
while
the
LOAEL
and
NOAEL
for
the
3
month
dog
study
were
500
mg/
kg/
day
and
50
mg/
kg/
day,
respectively.
The
results
of
the
dog
studies
with
a
NOAEL
of
50
mg/
kg/
day
(
3
month
dog
study)
or
60
mg/
kg/
day
(
6
month
dog
study)
support
the
NOAEL
from
the
two
generation
reproduction
study.
The
two
generation
reproduction
study
is
selected
for
the
intermediate
term
inhalation
exposure.
An
8
week
oral
range
finding
study
in
mice
(
MRID#
42110002)
was
also
available,
however,
the
thyroid
was
not
examined.
An
inhalation
absorption
factor
of
100%
(
default
value
assuming
equivalent
inhalation
and
oral
absorption)
will
be
used
for
route
to
route
extrapolation.
8
2.3.9
Long
term
Inhalation
(
Longer
than
6
Months)
Exposure
Study
Selected:
Combined
Chronic
Toxicity/
Oncogenicity
feeding
rat;
OPPTS
870.4300
[
§
83
5]
MRID:
00098543
Executive
Summary:
See
Section
2.2
Chronic
Reference
Dose
(
RfD)
Dose/
Endpoint
for
Risk
Assessment:
NOAEL
of
36
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
observed
in
male
rats
at
180
mg/
kg/
day.
Comments
about
Study/
Endpoint:
A
long
term
inhalation
toxicity
study
was
not
available.
The
combined
chronic
toxicity/
carcinogenicity
oral
study
in
the
rat
is
of
the
appropriate
duration
of
exposure.
An
inhalation
absorption
factor
of
100%
(
default
value
assuming
equivalent
inhalation
and
oral
aborption)
will
be
used
for
route
to
route
extrapolation.
2.3.10
Margins
of
Exposure
for
Occupational/
Residential
Risk
Assessments
A
margin
of
exposure
(
MOE)
of
100
is
adequate
for
dermal/
inhalation
occupational
exposure
risk
assessment.
The
acceptable
MOEs
for
non
occupational
and
dietary
exposures
will
be
determined
by
the
FQPA
SF
Committee.
2.4
Recommendation
for
Aggregate
Exposure
Risk
Assessments
There
are
no
residential
uses
for
asulam.
The
chronic
aggregate
risk
assessment
is
therefore
limited
to
food
and
water.
CLASSIFICATION
OF
CARCINOGENIC
POTENTIAL
3.1
Combined
Chronic
Toxicity/
Carcinogenicity
Study
in
Rats
MRID
No.
00098543
Executive
Summary:
In
a
two
year
combined
chronic
feeding/
carcinogenicity
study
(
MRID#
00098543),
CD
rats
(
50/
sex/
dose)
were
administered
asulam
(
97.5
99.9%)
at
dose
levels
of
0,
1,000
(
low
dose),
5,000
(
mid
dose)
or
25,000
ppm
(
high
dose).
These
dietary
levels
were
equivalent
to
0,
36,
180
and
953
mg/
kg/
day
in
males
and
0,
47,
243
and
1,280
mg/
kg/
day
in
females,
respectively.
An
additional
group
(
15/
sex/
dose)
was
administered
asulam
for
78
weeks.
Bodyweight
change
in
the
high
dose
animals
for
various
intervals
was
more
than
10%
lower
than
controls.
Mean
bodyweight
change
was
significantly
lower
than
controls
in
high
dose
females
from
week
0
52
and
in
the
mid
and
high
dose
females
from
weeks
6
52.
Mean
9
3
bodyweight
change
was
significantly
lower
in
the
high
dose
males
(
p<
0.01)
from
weeks
6
52.
Hyperplastic
changes
were
observed
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males
at
the
mid
and
high
dose
levels.
The
LOAEL
is
5,000
ppm
(
180
mg/
kg/
day)
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
The
NOAEL
is
1,000
ppm
(
36
mg/
kg/
day).
This
combined
chronic
toxicity/
carcinogenicity
study
in
the
rat
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
combined
chronic
toxicity/
carcinogenicity
study
(
83
5)
in
the
rat.
A
minor
study
deficiency
includes
the
lack
of
thyroid
weight
data.
Discussion
of
Tumor
Data:
There
was
a
statistically
significant
increase
in
thyroid
gland
C
cell
carcinomas
in
both
the
low
and
mid
dose
males.
There
was
also
a
statistically
significant
increase
in
adrenal
medullary
pheochromocytomas
at
the
high
dose
in
males.
With
the
exception
of
a
non
dose
related
enlargement
of
the
pituitary
gland
in
female
rats
(
3/
15
controls;
7/
15
low
dose;
8/
15
mid
dose;
7/
15
high
dose),
no
unusual
toxicological
findings
occurred
in
the
animals
sacrificed
at
78
weeks.
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increase
in
tumor
incidence
in
males
when
compared
to
controls.
Therefore,
asulam
is
a
potential
oncogen
in
this
study.
Adequacy
of
the
Dose
Levels
Tested:
Dosing
is
considered
adequate
to
assess
the
oncogenic
potential
of
asulam
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
3.2
Carcinogenicity
Study
in
Mice
Selected
Study:
Oncogenicity
study
in
mice
Guideline
#:
870.4300
MRID
No.:
42338201
Executive
Summary:
In
a
two
year
carcinogenicity
study
with
Charles
River
CD
1
mice
(
MRID#
42338201),
asulam
(
88%
a.
i.)
was
administered
in
the
diet
at
0,
500,
5,000
or
50,000
ppm.
Concentrations
were
corrected
for
88%
a.
i.
These
dietary
levels
were
equivalent
to
0,
74,
730
and
8,040
mg/
kg/
day
in
males
and
0,
95,
938
and
10,353
mg/
kg/
day
in
females,
respectively.
Mean
body
weights
of
the
high
dose
males
were
generally
less
than
6%
lower
than
control
values
during
the
first
24
weeks
of
treatment,
while
body
weights
of
females
were
less
than
6%
lower
than
control
values
throughout
the
study.
The
high
dose
males
displayed
a
reduction
(
greater
than
10%)
in
mean
body
weight
gain
when
compared
to
the
control
group
at
various
intervals.
Increased
mortality
was
observed
in
the
high
dose
females;
however,
the
number
of
high
dose
females
was
adequate
to
assess
the
carcinogenic
potential
of
asulam.
There
was
no
treatment
related
effect
on
food
consumption.
Hematologic
findings
in
the
high
dose
males
and
females
consisted
of
increased
leukocyte
counts,
decreased
erythrocyte
counts,
and
decreased
hematocrit
levels.
Organ
weight
changes
included
decreased
brain
weight
in
the
high
dose
10
females,
and
increased
spleen
weight
in
the
high
dose
males.
There
was
an
increased
incidence
of
brown
granular
pigment
deposits
in
the
livers
of
males
of
all
treatment
groups
and
high
dose
females.
Increased
incidences
of
brown
granular
pigment
deposits
were
also
noted
in
the
spleens
of
the
high
dose
rats
of
both
sexes.
The
brown
granular
pigment
deposit
was
not
identified,
and
is
therefore
of
uncertain
toxicological
significance.
There
was
no
increase
in
the
incidence
of
any
tumors.
The
LOAEL
is
50,000
ppm,
based
on
increased
spleen
weight
and
decreased
body
weight
gain
in
males,
and
decreased
brain
weight
and
survival
in
females.
The
NOAEL
was
5,000
ppm.
This
carcinogenicity
study
in
the
mouse
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
carcinogenicity
study
(
83
2b)
in
this
species.
One
limitation
of
the
study
is
the
lack
of
thyroid
weight
measurements.
Discussion
of
Tumor
Data:
Under
the
conditions
of
this
study,
there
was
no
evidence
of
carcinogenicity
of
asulam.
Adequacy
of
the
Dose
Levels
Tested:
Dosing
is
considered
adequate
to
assess
the
carcinogenic
potential
of
asulam
based
on
decreased
body
weight
gain,
spleen
and
brain
weight
changes,
and
decreased
survival.
3.3
Classification
of
Carcinogenic
Potential
On
November
12,
1987,
the
Carcinogenicity
Peer
Review
Committee
met
to
discuss
and
evaluate
the
weight
of
the
evidence
on
asulam
with
particular
reference
to
its
carcinogenic
potential
(
Peer
Review
of
Asulam
memo
date
2/
17/
88).
The
Committee
concluded
that
the
available
data
for
asulam
provided
limited
evidence
for
the
carcinogenicity
of
the
chemical
in
rats,
and
asulam
was
classified
as
a
Category
C
Carcinogen.
The
Committee
recommended
that
the
18
month
carcinogenicity
mouse
study
(
MRID
00081183;
unacceptable
guideline)
be
repeated
and
agreed
to
reevaluate
the
classification
when
a
new
mouse
study
on
asulam
was
submitted
and
reviewed.
A
new
mouse
study
(
MRID
#
423382
01;
discussed
previously)
was
submitted
by
the
registrant
and
reviewed.
The
committee
considered
the
new
mouse
study
to
be
acceptable.
The
dose
levels
tested
in
the
mouse
study
were
considered
to
be
adequate
for
carcinogenicity
testing.
The
high
dose
tested
was
higher
than
the
limit
dose
level
as
specified
under
Subpart
F
of
the
Pesticide
Assessment
Guideline
for
carcinogenicity
testing
in
mice.
The
treatment
did
not
alter
the
spontaneous
tumor
profile
for
this
strain
of
mouse.
The
Committee
concluded
that
the
new
mouse
study
did
not
impact
the
current
classification
of
asulam
as
a
Group
C,
possible
human
carcinogen.
11
4
MUTAGENICITY
CONCLUSION:
The
four
mutagenicity
studies
have
been
reviewed.
With
the
exception
of
MRID
No.
00082250
(
dominant
lethal
mutations
in
mice)
all
other
assays
were
found
to
be
Acceptable.
These
studies
satisfy
the
pre
1991
FIFRA
guideline
requirement
for
mutagenicity
studies
(
§
84
2);
no
further
testing
is
required
at
this
time.
Presented
below
are
the
citations
and
Executive
Summaries
for
the
reviewed
studies;
the
revised
Data
Evaluation
Records
(
DERs)
are
attached.
CITATION:
Hastings,
S.
E.
and
Huffman,
K.
W.
(
1975).
Dominant
Lethal
Study
of
Asulam
in
Mice;
Hess
&
Clark,
Div
of
Rhodia,
Ashland,
OH;
Study
Report
No.
SEH
75:
94,
Project
No.
CH
62;
dated:
August
29,
1975.
(
Unpublished)
MRID
NUMBER:
00082250.
EXECUTIVE
SUMMARY:
In
a
dominant
lethal
mutation
assay
(
MRID
No.
00082250),
groups
of
15
male
Carworth
CF
1
mice
received
dietary
administrations
of
1500
or
5000
ppm
Asulam
(
unspecified
purity)
for
45
days.
Fifteen
males
were
in
the
vehicle
control
group
and
10
males/
group
were
in
the
two
positive
control
groups.
After
treatment,
individual
males
were
mated
with
two
untreated
virgin
females
(
CD
1
mice)
for
1
week
and
remated
at
the
same
mating
ratio
of
males
to
females
(
1:
2)
for
a
second
week.
Females
were
sacrificed
13
days
after
the
mid
week
of
mating
and
uterine
contents
were
examined.
No
adverse
effects
were
seen
in
the
males
and
no
differences
in
the
percent
pregnancy,
number
of
implants
or
early
fetal
deaths
were
observed
in
the
females.
The
expected
response
was
induced
in
animals
administered
the
positive
control.
Means
and
standard
error
of
the
means
indicated
that
there
was
no
evidence
that
Asulam
induced
a
dominant
lethal
effect.
This
study
is
classified
as
Unacceptable
because
purity
information
on
the
test
material
has
not
been
provided.
It
does
not
satisfy
the
guideline
requirements
for
a
dominant
lethal
assay
(
84
2).
CITATION:
Ingham,
R.
(
1979).
Asulam
C3H/
10T1/
2
Cell
Transformation
Assay:
EG
&
G
Mason
Research
Institute,
Rockville,
MD;
Study
No.
596
249
8;
RES
3701;
dated:
October
5,
1979.
(
Unpublished)
MRID
NUMBER:
00098542.
EXECUTIVE
SUMMARY:
In
an
in
vitro
cell
transformation
assay
(
MRID
No.
00098542),
C3H/
10T1/
2
cells
were
exposed
to
Asulam
(
98.0
99.9%)
at
doses
of
256,
512,
1024
or
2048
µ
g/
mL
for
18
hours.
Surviving
cells
were
plated
for
8
days
to
determine
cloning
efficiency
(
CE);
Type
II
and
Type
III
foci
were
scored
35
days
after
treatment.
An
S9
activated
phase
of
testing
was
not
included.
The
test
material
was
delivered
to
the
test
system
in
acetone.
Cytotoxicity,
as
indicated
by
a
50
75%
reduction
in
the
CE,
was
apparent
at
2048
µ
g/
mL.
The
positive
control
induced
the
expected
increase
in
Type
II
transformed
foci.
There
was,
however,
no
evidence
that
Asulam
induced
morphological
transformation.
12
This
study
is
classified
as
Acceptable
(
Nonguideline).
CITATION:
Galloway,
S.
M.
and
Myhr,
B.
C.
(
1984).
Asulam:
Mutagenicity
Evaluation
of
Asulam
Technical
(
Dried)
in
an
In
Vitro
Cytogenetics
Assay
measuring
Chromosome
Aberration
Frequencies
in
Human
Lymphocytes;
Litton
Bionetics,
Inc.,
Kensington,
MD;
Study
No.
20990;
dated:
March
1984.
(
Unpublished)
MRID
NUMBER:
40415301.
EXECUTIVE
SUMMARY:
In
a
mammalian
cell
cytogenetic
assay
(
MRID
No.
40415301),
cultured
human
lymphocytes
were
exposed
to
Asulam
technical
(
97.5
99.8%)
at
doses
ranging
from
125
2500
µ
g/
mL
in
the
absence
of
metabolic
activation
or
to
S9
activated
doses
of
250
2500
µ
g/
mL
and
cells
were
harvested
48
hours
post
exposure.
The
S9
homogenate
was
derived
from
Aroclor
1254
induced
Sprague
Dawley
rat
livers
and
the
test
material
was
delivered
to
the
test
system
in
dimethyl
sulfoxide.
Doses
$
1000
µ
g/
mL
S9
were
cytotoxic.
No
cytotoxicity
was
seen
in
the
presence
of
S9
activation;
however,
results
from
the
preliminary
study
suggested
that
Asulam
was
tested
up
to
the
highest
subcytotoxic
concentration.
The
positive
controls
induced
the
expected
clastogenic
responses
with
or
without
S9
activation.
There
was,
however,
no
evidence
that
Asulam
technical
induced
a
clastogenic
response
either
in
the
presence
or
the
absence
of
S9
activation.
This
study
is
classified
as
Acceptable
(
Guideline)
and
satisfies
the
guideline
requirement
for
an
in
vitro
mammalian
cell
cytogenetic
assay
(
§
84
2).
CITATION:
Hoorn,
A.
J.
W.
(
1983).
Asulam:
Mutagenicity
Evaluation
of
Asulam
Technical
(
Dried)
in
the
Ames
Salmonella/
Microsome
Plate
Test
Preincubation
Method;
Litton
Bionetics,
Inc.,
Veenedaal,
The
Netherlands;
Study
No.
E
9177
dated:
October
1983.
(
Unpublished)
MRID
NUMBER:
40415302.
EXECUTIVE
SUMMARY:
In
a
microbial
reverse
gene
mutation
preincubation
assay
(
MRID
No.
40415302),
Salmonella
typhimurium
strains
TA1535,
TA1537,
TA98
and
TA100
were
exposed
to
seven
doses
of
Asulam
technical
(
97.5
99.87%)
ranging
from
0.9
2000
µ
g/
plate
in
both
the
presence
and
the
absence
of
S9
activation.
The
S9
fraction
was
derived
from
Aroclor
1254
induced
Sprague
Dawley
male
rat
livers
and
the
test
material
was
delivered
to
the
test
system
in
dimethyl
sulfoxide.
Cytotoxicity
was
evident
for
the
majority
of
strains
at
>
500
Fg/
plate
S9
or
at
>
1000
Fg/
plate
+
S9.
All
strains
responded
in
the
expected
manner
to
the
appropriate
positive
control.
There
was,
however,
no
evidence
that
Asulam
technical
induced
a
mutagenic
effect
in
any
strain.
This
study
is
classified
as
Acceptable
(
Guideline)
and
satisfies
the
guideline
requirements
for
a
bacterial
gene
mutation
assay
(
84
2).
13
5
FQPA
CONSIDERATIONS
5.1
Adequacy
of
the
Data
Base
The
following
acceptable
studies
are
available:
Developmental
toxicity
studies
in
the
rat
&
rabbit
Two
Generation
Reproduction
Study
5.2
Neurotoxicity
No
acute,
subchronic,
or
developmental
neurotoxicity
studies
have
been
conducted.
However,
there
is
no
evidence
of
neurotoxicity
in
the
available
acute,
subchronic,
chronic,
and
oncogenicity
studies.
In
the
March
31,
1998
HIARC
meeting,
the
HIARC
concluded:
The
data
and
information
provided
by
the
Registrant
demonstrate
that
Asulam,
being
a
carbamate
herbicide
rather
than
a
carbamate
insecticide,
has
chemical
structure
and
biological
properties
considerably
different
from
those
of
the
insecticides.
Several
studies
were
cited
to
illustrate
the
lack
of
cholinesterase
inhibition
and
the
absence
of
clinical
signs
suggestive
of
neurotoxicity.
Based
on
these
factors,
the
Agency
waived
the
requirements
for
acute,
subchronic,
and
developmental
neurotoxicity
studies
(
memorandum,
L.
Taylor
to
C.
Peterson,
dated
January
29,
1992.
5.3
Developmental
Toxicity
Rat
EXECUTIVE
SUMMARY:
In
a
developmental
toxicity
study
(
MRID
#
00098538),
asulam
(
98.0
99.9
%
a.
i.)
was
administered
to
23
27
pregnant
Charles
River
(
CD)
rats/
dose
by
oral
gavage
at
dose
levels
of
0,
500,
1,000,
or
1,500
mg/
kg/
day
from
days
5
through
17
of
gestation.
Mean
maternal
body
weight
gain
(
days
5
18)
was
9%
lower
in
the
high
dose
group
than
in
controls.
There
were
no
treatment
related
effects
on
other
maternal
parameters
including
mortality,
clinical
signs,
and
food
consumption.
A
slight
to
moderate
increase
(
not
statistically
significant)
in
preimplantation
loss
was
observed
in
the
high
dose
group
(
compared
to
controls).
The
slight
increase
in
postimplantation
loss
at
the
high
dose
(
1500
mg/
kg/
day)
was
not
statistically
significantly
different
from
control
values,
and
was
not
of
any
apparent
biological
significance.
The
maternal
LOAEL
is
1,500
mg/
kg/
day
based
on
body
weight
gain
decrement.
The
maternal
NOAEL
is
1,000
mg/
kg/
day.
The
developmental
LOAEL
is
1,500
mg/
kg/
day
based
on
slight
to
moderate
increase
in
preimplantation
loss.
The
developmental
NOAEL
is
1,000
mg/
kg/
day.
This
prenatal
developmental
toxicity
study
in
the
rat
is
Acceptable
Guideline,
and
does
satisfy
14
the
guideline
requirement
for
a
developmental
study
(
83
3)
in
the
rat.
The
highest
dose
tested
was
1,500
mg/
kg/
day.
COMMENTS:
In
a
memo
dated
May
24,
1994,
a
Toxicology
Branch
review
of
supplemental
data
to
clarify
the
mating
procedures
utilized
in
the
rat
developmental
study
concluded
that
the
study
was
acceptable.
Rabbit
EXECUTIVE
SUMMARY:
In
a
developmental
toxicity
study
(
MRID
#
00098539),
asulam
(
98.0
99.9
%
a.
i.)
was
administered
to
15
23
pregnant
New
Zealand
rabbits/
dose
by
oral
gavage
at
dose
levels
of
0,
60,
300,
or
750
mg/
kg/
day
from
days
5
through
20
of
gestation.
Rabbits
were
sacrificed
on
gestation
day
29.
Originally,
the
high
dose
selected
was
1,500
mg/
kg/
day.
However,
severe
maternal
toxicity
(
greater
than
20%
weight
loss,
mortality,
and
signs
of
starvation)
occurred
after
administration
of
the
1,500
mg/
kg/
day
dose
level.
All
animals
in
this
group
died
or
were
sacrificed
for
humane
reasons.
A
new
group
was
added
to
the
study
using
a
lower
dose
of
750
mg/
kg/
day.
Mean
maternal
body
weight
gain
was
markedly
reduced
(
35%)
in
the
750
mg/
kg/
day
group
than
in
controls
during
the
dosing
period
(
days
5
21).
In
addition,
mean
maternal
body
weight
gains
were
markedly
reduced
during
days
5
9,
5
13,
and
5
17.
During
the
postdosing
period,
mean
body
weight
of
rabbits
treated
with
750
mg/
kg/
day
were
comparable
to
those
of
controls,
and
rabbits
displayed
some
improvement
in
body
weight
gain.
Rabbits
given
750
mg/
kg/
day
exhibited
a
non
statistically
significant
decrease
in
food
consumption
at
several
intervals
during
dosing
(
days
5
9,
9
13,
13
17).
There
were
no
apparent
treatment
related
effects
on
mortality
or
clinical
signs.
The
maternal
LOAEL
is
750
mg/
kg/
day
based
on
decreased
body
weight
gain
during
the
dosing
period.
The
maternal
NOAEL
is
300
mg/
kg/
day.
There
were
no
apparent
treatment
related
effects
on
developmental
parameters
at
dose
levels
up
to
750
mg/
kg/
day.
The
developmental
NOAEL
is
750
mg/
kg/
day.
This
prenatal
developmental
toxicity
study
in
the
rabbit
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
developmental
study
(
83
3)
in
the
rabbit.
The
study
employed
an
adequate
number
of
animals,
and
the
doses
were
high
enough
to
challenge
the
animals.
5.4
Reproductive
Toxicity
Executive
Summary:
In
a
two
generation
reproduction
toxicity
study
(
MRID
00098540),
groups
of
12
male
and
24
female
Charles
River
CD
rats
were
administered
asulam
(
98.0
100.6
%
a.
i.)
in
the
diet
at
concentrations
of
0
(
control),
1,000,
5,000,
or
25,000
ppm
(
equivalent
to
approximately
50,
250,
and
1250
mg/
kg/
day,
respectively).
F0
animals
were
mated
after
being
on
diet
for
100
15
days.
Following
weaning,
F1
animals
(
16
males
and
32
females)
continued
treatment
for
a
further
120
days
prior
to
mating.
Systemic
effects
observed
at
the
high
dose
(
25,000
ppm)
included
decreased
body
weights
in
F0
males
and
F1
females,
increased
absolute
and/
or
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
(
at
age
31
but
not
at
terminal
necropsy).
The
LOAEL
for
systemic
toxicity
is
25,000
ppm
(
1250
mg/
kg/
day)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
The
NOAEL
is
5,000
ppm
(
250
mg/
kg/
day).
Significantly
fewer
mean
live
births
per
litter
were
observed
at
5,000
and
25,000
ppm
in
the
first
generation.
Also,
a
dose
response
relationship
was
evident.
Fertility
index
was
slightly
lower
in
F1
parents
at
5,000
and
25,000
ppm;
however,
the
decreases
were
not
statistically
significant
when
compared
to
controls
and
did
not
display
a
dose
response.
The
LOAEL
for
reproductive/
offspring
toxicity
is
5,000
ppm
(
250
mg/
kg/
day)
based
on
decreased
mean
live
births
per
litter.
The
NOAEL
is
1,000
ppm
(
50
mg/
kg/
day).
This
two
generation
reproduction
study
in
the
rat
is
Acceptable
Guideline,
and
does
satisfy
the
guideline
requirement
for
a
reproduction
study
(
83
4)
in
rats.
COMMENTS:
The
original
DER
identified
a
reproductive
NOEL
of
1000
ppm
based
on
fewer
live
births/
litter
at
5,000
and
25,000
ppm,
and
a
slightly
lower
fertility
index
in
F1
parents
at
5,000
and
25,000
ppm.
However,
a
previous
HIARC
committee
review
(
HED
DOC.
NO.
012556;
March
31,
1998)
disagreed
with
this
NOEL,
and
concluded
that
the
reproductive
NOEL
should
be
set
at
25000
ppm
(
1250
mg/
kg/
day)
based
on
the
following
reasons
regarding
fewer
live
births
per
litter
and
lower
fertility
index:
(
1)
The
observation
was
not
statistically
significant
between
treated
and
control
groups;
(
2)
There
was
no
dose
relationship;
(
3)
The
observations
were
not
seen
in
the
next
generation;
and
(
4)
There
was
no
developmental
effects
in
the
developmental
toxicity
study
in
rats
at
1000
mg/
kg/
day.
Also,
fewer
live
births
per
litter
was
not
seen
in
the
developmental
studies.
The
reviewer
notes
however
that
the
decreases
in
mean
numbers
of
live
pups
per
litter
from
birth
until
day
30
at
5,000
ppm
and
25,000
ppm
in
the
first
generation
were
statistically
significant
and
displayed
a
dose
response
relationship.
The
mean
numbers
of
live
pups
per
litter
from
birth
until
day
30
were
also
lower
in
the
5,000
ppm
and
25,000
ppm
groups
(
compared
to
control
group)
in
the
second
generation;
however,
statistical
significance
was
only
observed
for
the
5,000
ppm
group
at
day
0.
The
reviewer
considers
the
offspring
LOAEL
to
be
5,000
ppm.
In
a
memo
dated
May
24,
1994,
a
Toxicology
Branch
review
of
supplemental
information
on
the
dietary
concentrations,
stability,
and
homogeneity
of
the
test
material
utilized
in
the
study
concluded
that
the
supplemental
information
was
adequate
and
that
the
reproduction
study
was
16
acceptable.
Another
memo
(
7/
7/
87)
discusses
the
results
of
a
T
test
of
controls
vs.
low
dose
in
the
reproduction
study.
The
memo
concluded
that
there
was
no
significant
difference
in
the
average
litter
size
between
the
controls
and
low
dose
group
(
1000
ppm)
for
the
F0
and
F1
females
when
tested
by
the
one
sided
t
test.
5.5
Additional
Information
from
Literature
Sources
(
if
available)
No
relevant
literature
was
found.
5.6
Determination
of
Susceptibility
There
is
no
quantitative/
qualitative
evidence
of
increased
susceptibility
of
rat
or
rabbit
fetuses
following
in
utero
exposure
to
asulam
in
the
developmental
toxicity
studies
in
these
species.
However,
there
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat.
In
this
study,
the
decreased
mean
live
births
per
litter
(
offspring
NOAEL
=
50
mg/
kg/
day)
was
observed
at
lower
dose
levels
than
that
associated
with
parental/
systemic
toxicity
(
NOAEL
=
250
mg/
kg/
day).
5.7
Recommendation
for
a
Developmental
Neurotoxicity
Study
HIARC
concluded
that
a
developmental
neurotoxicity
study
was
not
needed.
However,
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring.
It
was
further
recommended
that
the
adult
study
should
include
interim
measures
(
e.
g.,
7,
14,
and
28
days).
HIARC
also
recommended
that
thyroid
parameters
selected
for
the
comparative
study
should
be
based
on
Agency
guidelines
(
under
current
development)
for
thyroid
toxicity
testing.
5.7.1
Evidence
that
suggest
requiring
a
Developmental
Neurotoxicity
study:
Asulam
is
listed
as
a
potential
endocrine
disruptor
on
EPA s
Endocrine
Disruptor
Screening
and
Testing
Advisory
Committee
(
EDSTAC)
list.
Increased
thyroid
weights
have
been
observed
in
rats,
mice
and
dogs
following
subchronic
and
chronic
exposures.
In
addition,
hyperplastic
changes
in
the
thyroid
follicular
cells
and
thyroid
gland
C
cell
carcinomas
were
observed
in
male
rats.
None
of
the
available
toxicity
studies
examined
potential
changes
in
thyroid
hormone
levels.
During
development,
thyroid
hormone
is
essential
for
growth,
brain
development
and
nervous
system
maturation.
Based
on
structure
activity
relationships
(
discussed
in
detail
below),
there
is
some
support
for
a
potential
hormonal
mechanism
of
thyroid
toxicity
associated
with
asulam.
No
chemical
specific
information
pertaining
to
the
potential
mechanism
by
which
asulam
causes
endocrine
effects
was
identified
in
the
available
database
(
pesticide
study
submissions
and
recent
literature
search).
However,
the
Toxicology
Branch
Peer
Review
Committee
on
November
12,
1987
identified
three
compounds
with
some
structural
similarity
to
asulam,
and
which
have
been
tested
for
oncogenic
effects
in
rodents.
These
compounds
included:
1)
oryzalin,
a
sulfanilamide
compound
that
was
17
classified
as
a
category
C
carcinogen
on
the
basis
of
producing
benign
thyroid,
skin
and
mammary
tumors
in
male
and
female
F344
rats;
2)
sulfamethoxazole,
a
sulfonamide
that
produced
thyroid
gland
hyperplasia,
nodules
and
adenomas
in
rats;
and
3)
sulphisoxazole,
another
sulfonamide
which
was
negative
for
oncogenicty
in
rats
and
mice.
In
the
case
of
oryzalin
and
sulfamethoxazole,
the
induction
of
thyroid
tumors
was
considered
to
be
due
to
indirect
anti
thyroid
effects
(
Oryzalin
Peer
Review
memorandum
of
3/
12/
86).
The
Committee
also
recognized
that
a
minor
sulfanilamide
metabolite
of
asulam,
4
acetylsulfanilamide,
was
detected
in
rat
urine.
There
was
no
toxicity
information
on
this
metabolite.
In
the
weight
of
evidence
evaluation
of
asulam,
the
Committee
noted
that
asulam
produced
two
types
of
endocrine
gland
tumors
in
male
Sprague
Dawley
CR
CD
rats.
These
included
thyroid
gland
C
cell
carcinomas
and
combined
C
cell
adenomas/
carcinomas,
and
benign
adrenal
gland
pheochromocytomas.
In
addition,
hyperplasia
was
observed
in
the
thyroids
and
adrenals
of
asulam
treated
male
rats.
The
Oryzalin
Peer
Review
memorandum
of
3/
12/
86
presented
a
discussion
of
structure
activity
considerations
for
oryzalin.
Oryzalin
is
a
parasubstituted
aniline
derivative
and
also
a
sulfanilamide
compound.
The
Peer
Review
Committee
considered
data
indicating
that
dietary
administration
of
another
para
substituted
aniline
derivative,
2,4
diaminoanisole
sulfate,
to
rats
increased
the
incidences
of
malignant
tumors
of
the
thyroid
gland
and
the
skin
in
both
sexes
at
5000
ppm.
In
B6C3F1
mice,
dietary
administration
of
2,4
diaminoanisole
sulfate
at
2400
ppm
induced
thyroid
tumors
in
each
sex.
In
addition,
data
on
two
sulfonamides,
sulfamethoxazole
and
sulphisoxazole,
were
considered.
Orally
administered
sulfamethoxazole
produced
thyroid
gland
hyperplasia
and
neoplasia
(
nodules
and
adenomas)
in
rats,
whereas
sulphisoxazole
was
negative
for
oncogenicity
in
rats
and
mice.
The
Oryzalin
Peer
Review
Committee
concluded
that
there
is
presumptive
evidence
to
believe
that
the
thyroid
gland
tumors
produced
by
oryzalin
in
male
and
female
rats
were
due
to
an
anti
thyroid
effect
of
the
compound.
In
addition,
the
Committee
noted
that
anti
thyroid
effects
have
previously
been
reported
for
para
substituted
aniline
derivatives
(
of
which
the
sulfonamides
make
up
the
greatest
number)
in
rats,
mice,
and
dogs.
The
Committee
further
stated
Although
no
biochemical
tests
were
performed
to
evaluate
an
effect
of
oryzalin
on
thyroid
function
in
the
data
available
for
review,
several
morphological
changes
were
observed
in
the
thyroid
gland
in
the
chronic
rat
bioassays
in
addition
to
the
tumors.
These
included:
(
a)
increased
thyroid
gland
weights
in
high
dose
(
2700
ppm)
males
in
one
of
the
two
chronic
studies;
(
b)
a
dose
related
increase
in
cystic
follicles
of
the
thyroid
in
males
(
controls,
3/
59,
low
dose,
5/
59,
mid
dose,
12/
57,
high
dose,
19/
56)
and
females
(
controls,
2/
55,
low
dose,
8/
59,
mid
dose,
13/
57,
high
dose,
15/
55),
and
(
c)
focal
follicular
hyperplasia,
particularly
at
the
high
dose
level,
in
males
and
females.
Furthermore,
on
the
basis
of
this
information,
the
panel
considered
that
oryzalin
might
act
to
cause
thyroid
tumors
by
inhibiting
the
formation
of
thyroxin,
resulting
in
positive
feedback
stimulation
of
the
pituitary
gland
to
18
release
TSH,
thereby
causing
thyroid
gland
hypertrophy
(
goiter)
and
the
ensuing
hyperplasia
and
tumor
formation.
Recent
data
further
support
the
anti
thyroidal
effects
of
sulfonamides.
Sulfamethazine,
the
most
widely
used
sulfonamide,
has
been
reported
to
cause
thyroid
follicular
adenomas
in
rats
and
mice.
Residues
of
this
sulfonamide
have
been
detected
in
milk
and
meat
products.
Sulfamethazine
has
also
been
reported
to
result
in
hypersensitivity
reactions,
including
hypothyroidism,
in
humans.
Doerge
and
Decker
(
1994)
provided
evidence
that
the
primary
mechanism
for
sulfamethazine
induced
hypothyroidism
is
via
the
reversible
inhibition
of
thyroid
peroxidase
mediated
thyroid
hormone
synthesis,
rather
than
the
formation
and
covalent
binding
of
reactive
N
oxygenated
metabolites.
The
subsequent
alterations
in
thyroid
hormone
levels
can
influence
the
pituitary
thyroid
feedback
system
that
regulates
thyroid
homeostasis.
The
feedback
system
responds
to
the
decreased
thyroid
hormone
levels
by
releasing
thyroid
stimulating
hormone.
Thyroid
stimulating
hormone
produces
a
generalized
growth
stimulus
to
the
thyroid
causing
an
increasing
nuclear
expression
of
genes
coding
for
proteins
associated
with
thyroid
hormone
synthesis.
Moreover,
thyroid
stimulating
hormone
is
thought
to
select
proliferative
cells,
resulting
in
clonal
expansion
of
a
transformed
phenotype.
The
postulated
mechanism
of
action
for
sulfamethazine
is
consistent
with
a
hormonal
mechanism
for
thyroid
carcinogenesis
mediated
by
thyroid
stimulating
hormone
(
Doerge
and
Decker
1994).
This
mechanism
is
considered
not
to
be
a
genotoxic
one.
In
the
two
generation
reproduction
rat
study,
increased
absolute
brain
weight
in
F1
males,
and
increased
relative
brain
weight
in
F1
females,
were
observed.
However,
no
brain
weight
changes
were
observed
in
the
F2
parents.
Decreased
brain
weight
was
observed
in
high
dose
females
in
a
2
year
carcinogenicity
study
(
MRID
42338201).
5.7.2
Evidence
that
do
not
support
a
need
for
a
Developmental
Neurotoxicity
study:
No
developmental
CNS
malformations
were
observed
in
the
developmental
toxicity
studies
with
asulam.
There
was
no
evidence
of
neurotoxicity
(
clinical
signs
or
pathology)
in
subchronic
and
chronic
toxicity
studies
in
the
rat,
dog,
or
mouse.
Note:
the
Agency
waived
the
requirements
for
acute,
subchronic,
and
developmental
neurotoxicity
studies
(
memorandum,
L.
Taylor
to
c.
Peterson,
dated
January
29,
1992).
19
6.0
HAZARD
CHARACTERIZATION
Asulam
is
a
post
emergent
systemic
herbicide
used
for
weed
control
on
sugarcane,
Christmas
tree
plantations,
ornamentals,
turf,
and
noncropland
uses.
Potential
residential
exposures
are
not
anticipated
as
a
result
of
applications
of
asulam.
Asulam
is
classified
as
Category
IV
for
acute
oral
toxicity,
acute
inhalation
toxicity
and
primary
dermal
irritation;
Category
III
for
acute
dermal
toxicity
and
primary
eye
irritation.
Asulam
is
a
nonsensitizer.
Several
studies
in
rodents
and
dogs
demonstrate
that
asulam
affects
the
endocrine
system,
in
particular,
the
thyroid.
The
Reference
Dose
(
RfD)
is
0.36
mg/
kg/
day
based
on
a
chronic
dietary
feeding
study
in
rats.
The
No
observed
Adverse
Effect
Level
(
NOAEL)
in
this
study
was
36
mg/
kg/
day,
based
on
thyroid
follicular
hyperplasia
at
180
and
953
mg/
kg/
day.
An
uncertainty
factor
of
100
was
used
to
account
for
interspecies
extrapolation
and
intraspecies
variability.
There
is
no
quantitative/
qualitative
evidence
of
increased
susceptibility
of
rat
or
rabbit
fetuses
following
in
utero
exposure
to
asulam
in
the
developmental
toxicity
studies
in
these
species.
However,
there
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat.
In
this
study,
the
significant
decreases
in
mean
live
births
per
litter
(
offspring
NOAEL
=
50
mg/
kg/
day)
was
observed
at
lower
dose
levels
associated
with
parental/
systemic
toxicity
(
NOAEL
=
250
mg/
kg/
day).
Asulam
was
not
mutagenic
in
the
studies
that
have
been
performed.
The
Agency
classified
asulam
as
a
Group
C,
possible
human
carcinogen,
based
on
thyroid
and
adrenal
tumors
in
the
rat
study.
The
Agency
has
decided
not
to
quantify
the
carcinogenic
risk
by
low
dose
extrapolation.
DATA
GAPS
Comparative
thyroid
rat
assay
in
adult
and
offspring
(
see
Section
5.7).
21
day
Dermal
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
28
day
Inhalation
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
20
ACUTE
TOXICITY
Acute
Toxicity
of
Asulam.
Guideline
No.
Study
Type
MRID
#(
S).
Results
Toxicity
Category
81
1
Acute
Oral
409605
01
LD50
=>
5000
mg/
kg
IV
81
2
Acute
Dermal
409605
01
LD50
=
>
4000
mg/
kg
III
81
3
Acute
Inhalation
409605
02
413616
01
LC50
=>
5
mg/
L
IV
81
4
Primary
Eye
Irritation
00098534
Mild
Irritation
III
81
5
Primary
Skin
Irritation
00098535
Not
an
Irritant
IV
81
6
Dermal
Sensitization
00098535
No
sensitization
NA
21
SUMMARY
OF
TOXICOLOGY
ENDPOINT
SELECTION
The
doses
and
toxicological
endpoints
selected
for
various
exposure
scenarios
are
summarized
below.
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Acute
Dietary
An
appropriate
endpoint
attributable
to
a
single
dose
was
not
identified.
Acute
RfD
=
not
established
Chronic
Dietary
NOAEL
=
36
mg/
kg/
day
UF
=
100
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncogenicity
in
the
rat
Chronic
RfD
=
0.36
mg/
kg/
day
Incidental
Oral,
Short
Term
Incidental
Oral,
Intermediate
Term
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
Dermal,
Short
Term
Dermal,
Intermediate
Term
Oral
NOAELa
=
50
mg/
kg/
day
Oral
NOAELa
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
Two
Generation
Reproduction
Study
22
Dermal,
Long
Term
Oral
NOAELa
=
36
mg/
kg/
day
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncogenicity
in
the
rat
Inhalation,
Short
Term
Inhalation,
Intermediate
Term
Oral
NOAELb
=
50
mg/
kg/
day
Oral
NOAELb
=
50
mg/
kg/
day
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
The
LOAEL
was
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Two
Generation
Reproduction
Study
Two
Generation
Reproduction
Study
Inhalation,
Long
Term
Oral
NOAELb
=
36
mg/
kg/
day
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncogenicity
in
the
rat
aApply
100%
dermal
absorption
factor
for
route
to
route
extrapolation.
bAssume
100%
inhalation
absorption
factor
for
route
to
route
extrapolation.
23
| epa | 2024-06-07T20:31:45.402984 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0003/content.txt"
} |
EPA-HQ-OPP-2002-0329-0004 | Supporting & Related Material | 2002-12-06T05:00:00 | null | TXR
NO.
0050454
February
5,
2002
MEMORANDUM
SUBJECT:
ASULAM
Report
of
the
FQPA
Safety
Factor
Committee
FROM:
Carol
Christensen,
Acting
Executive
Secretary
FQPA
Safety
Factor
Committee
Health
Effects
Division
(
7509C)
THROUGH:
Ed
Zager,
Chair
FQPA
Safety
Factor
Committee
Health
Effects
Division
(
7509C)
TO:
Jose
Morales
Reregistration
Branch
III
Health
Effects
Division
(
7509C)
PC
Code:
106901;
106902
The
FQPA
Safety
Factor
Committee
evaluated
the
available
hazard
and
exposure
data
for
asulam
on
December
10th
,
2001
and
made
the
recommendation
for
the
FQPA
safety
factor
to
be
used
in
human
health
risk
assessments
(
as
required
by
Food
Quality
Protection
Act
of
August
3,
1996).
The
committee
concluded
that
the
FQPA
safety
factor
be
retained
(
10x)
in
assessing
the
risk
posed
by
this
chemical.
I.
HAZARD
ASSESSMENT
(
Memorandum:
J.
Morales
to
C.
Christensen
dated
December
3rd
,
2001)
A.
Adequacy
of
the
Toxicology
Database
The
toxicology
data
base
for
asulam
is
complete
for
FQPA
assessment.
The
toxicology
database
for
asulam
was
reviewed
by
the
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
on
November
13th
,
2001.
Asulam
was
also
reviewed
by
the
Mechanism
of
Toxicity
Assessment
Review
Committee
(
MTARC)
on
September
27,
2001
to
consider
the
mechanism
of
thyroid
toxicity.
Prenatal
developmental
toxicity
studies
in
the
rat
and
rabbit
and
a
two
generation
reproduction
study
are
available
with
asulam.
The
HIARC
determined
that
a
developmental
neurotoxicity
(
DNT)
study
is
not
required.
However,
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring.
(
See
HIARC
Report
TXR
0050324)
B.
Determination
of
Susceptibility
No
quantitative
or
qualitative
evidence
of
increased
susceptibility
was
demonstrated
in
either
the
prenatal
developmental
toxicity
study
in
rats
or
in
the
prenatal
developmental
toxicity
study
in
rabbits.
There
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat.
II.
EXPOSURE
ASSESSMENTS
A.
Dietary
Food
Exposure
Considerations
(
Memorandum:
J.
Morales
to
C.
Christensen
on
December
3rd,
2001)
Asulam
(
methyl
4
sulfanilylcarbamate)
is
a
postemergent
systemic
carbamate
herbicide
marketed
under
the
trade
name
ASULOX
®
Herbicide
by
Aventis
CropScience.
Asulam
is
primarily
used
in
agriculture
with
key
markets
in
Florida
and
Louisiana.
ASULOX
®
contains
the
sodium
salt
of
asulam
and
is
registered
for
use
on
sugarcane
as
a
3.34
lb/
gal
soluble
concentrate/
liquid
(
SC/
L)
formulation.
This
formulation
may
be
applied
postemergence
as
a
band
or
broadcast
application
using
ground
or
aerial
equipment
or
as
a
spot
treatment.
The
asulam
use
rate,
for
sugarcane,
ranges
from
2.5
to
3.34
lbs
a.
i./
A
and
can
applied
up
to
two
times
per
year.
Tolerances
are
listed
at
40
CFR
180.360
and
range
from
0.05
30
ppm.
Apart
from
its
food
use
on
sugarcane,
asulam
is
used
on
Christmas
tree
plantations,
ornamentals,
turf
(
sod
farms
only)
and
non
cropland
uses.
The
qualitative
nature
of
the
residue
in
plants
is
adequately
understood
based
on
sugarcane
metabolism
studies.
The
terminal
residues
of
concern
are
free
and
conjugated
asulam,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
determined
as
a
common
moiety.
Hydroquinone/
quinone
remains
a
chemical
of
toxicological
concern.
However,
hydroquinones
are
naturally
occurring
in
plants.
Relative
to
naturally
occurring
hydroquinones,
hydroquinones
residues
from
asulam
use
on
sugar
is
2
insignificant
and
does
not
increase
risk.
No
new
metabolism
studies
are
needed
on
asulam
on
sugar
to
address
the
hydroquinone
issue
unless
the
registrant
requests
a
new
use
for
asulam.
Monitoring
data
are
not
available
for
this
crop
use.
Therefore,
anticipated
residues
will
be
generated
using
field
trial
data
and
percent
crop
treated
information
from
BEAD.
A
DEEM
Tier
II
dietary
exposure
analysis
will
be
performed.
The
Committee
recognizes
that
further
refinement
to
the
dietary
food
exposure
analyses
may
be
required
as
the
risk
assessment
is
developed.
Therefore,
provided
the
final
dietary
food
exposure
assessment
includes
the
metabolites
of
toxicological
concern
and
does
not
underestimate
the
potential
risk
for
infants
and
children,
the
safety
factor
recommendations
of
this
Committee
stand.
B.
Dietary
Drinking
Water
Exposure
Considerations
(
Correspondence:
J.
Morales
to
C.
Christensen
on
December
3rd,
2001)
The
fate
and
mobility
studies
are
generally
adequate
for
asulam.
Available
fate
data
suggests
the
chemical
is
moderately
persistent
and
mobile.
Degradates
of
toxicological
concern
include
sulfanilamide
and
sulfanilic
acid.
The
magnitude
of
individual
degradates
in
many
fate
studies
cannot
be
determined
from
available
data,
however,
from
an
aged
leaching
column
study,
the
sulfanilamide
degradate
appears
to
be
less
mobile
than
the
parent
asulam.
The
chemical
structures
of
sulfanilamide
and
sulfanilic
acid
are
similar
to
the
structure
of
the
parent
compound.
Runoff
to
surface
water
and
leaching
to
ground
water
are
expected
to
occur
at
relatively
high
levels
from
both
the
parent
and
degradates
of
concern.
The
Environmental
Fate
and
Effects
Division
(
EFED)
has
expressed
some
concerns
for
the
presence
of
asulam
and
its
metabolites
in
surface
and
ground
water.
EFED
assumed
immediate
conversion
of
asulam
upon
application
to
these
degradates
in
their
screening
level
modeling
with
FIRST
(
surface
water)
and
Sci
Grow
(
groundwater).
Their
modeling
exercise
further
assumed
these
compounds
to
be
very
persistent
and
very
mobile
in
water.
Therefore,
the
estimated
environmental
concentrations
(
EECs)
for
residues
of
asulam
reported
from
EFED
for
surface
and
ground
water
represent
upper
bound
concentrations
for
residues
of
asulam,
sulfanilamide
and
sulfanilic
acid
in
water.
Because
monitoring
data
exceeded
groundwater
model
estimates,
monitoring
data
were
used
for
ground
water
drinking
water
concentrations.
The
FQPA
Safety
Factor
Committee
recognizes
that
further
refinement
to
the
dietary
water
exposure
analyses
may
be
required
as
the
risk
assessment
is
developed.
Therefore,
provided
the
final
dietary
water
exposure
assessment
includes
all
metabolites
of
toxicological
concern
and
does
not
underestimate
the
potential
risk
for
infants
and
children,
the
safety
factor
recommendations
of
this
Committee
stand.
3
C.
Residential
Exposure
Considerations
There
are
no
residential
uses
registered
for
this
chemical.
SAFETY
FACTOR
RECOMMENDATION
AND
RATIONALE
A.
Recommendation
of
the
Factor
The
Committee
recommended
that
the
FQPA
safety
factor
be
retained
(
10x).
B.
Rationale
for
Retaining
the
FQPA
Safety
Factor
The
Committee
concluded
that
the
safety
factor
is
necessary
when
assessing
the
risk
posed
by
asulam
because:
1.
There
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat;
and,
2.
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring
and
this
is
considered
a
data
gap
for
asulam.
C.
Application
of
the
Safety
Factor
Population
Subgroups:
The
safety
factor
is
required
for
all
population
subgroups
when
assessing
chronic
dietary
exposure
since
the
evidence
for
increase
susceptibility
was
seen
in
the
two
generation
study,
and
the
results
from
the
comparative
thyroid
assay
may
provide
an
endpoint
for
chronic
risk
assessment.
4
| epa | 2024-06-07T20:31:45.410372 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0004/content.txt"
} |
EPA-HQ-OPP-2002-0329-0005 | Supporting & Related Material | 2002-12-06T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
October
12,
2001
MEMORANDUM
Subject:
EPA
Id
#.
Asulam.
Toxicology
Chapter
of
the
RED.
TXR
No.:
.
PC
Code
No.:
106901;
106902
DP
Barcode
No.:
Submission
No.:
From:
John
J.
Liccione
ReRegistraion
Branch
III
Health
Effects
Division
7509C
To:
Jose
Morales
Risk
Assessor
ReRegistration
Branch
III
Health
Effects
Division
7509C
Through:
Catherine
Eiden
Branch
Senior
Scientist
ReRegistration
Branch
III
Health
Effects
Division
7509C
OFFICE
OF
PREVENTION,
PESTICIDES,
AND
TOXIC
SUBSTANCES
Attached
is
the
Toxicology
Chapter
for
the
RED
for
asulam.
An
electronic
copy
is
available
in
the
LAN
or
in
the
IHAD
system.
1
EPA
Reviewer:
John
J.
Liccione
,
Date
ReRegistration
Branch
III
(
7509C)
Secondary
Reviewer:
Catherine
Eiden
,
Date
ReRegistration
Branch
III
(
7509C)
2
TABLE
OF
CONTENTS
1.0
HAZARD
CHARACTERIZATION
...........................................
4
2.0
REQUIREMENTS
........................................................
5
3.0
DATA
GAP(
S)
...........................................................
7
4.0
HAZARD
ASSESSMENT
..................................................
7
4.1
Acute
Toxicity........................................................
7
4.2
Subchronic
Toxicity
...................................................
8
4.3
Prenatal
Developmental
Toxicity
........................................
10
4.4
Reproductive
Toxicity.................................................
11
4.5
Chronic
Toxicity
.....................................................
12
4.6
Carcinogenicity
......................................................
13
4.7
Mutagenicity
........................................................
14
4.8
Neurotoxicity
.......................................................
15
4.9
Metabolism
.........................................................
15
4.10
Special/
Other
Studies
No
special
studies
pertaining
to
asulam
have
been
identified.
............
16
5.0
TOXICITY
ENDPOINT
SELECTION........................................
16
5.1
See
Section
9.2
for
Endpoint
Selection
Table.
..............................
16
5.2
Dermal
Absorption
...................................................
16
5.3
Classification
of
Carcinogenic
Potential...................................
16
6.0
FQPA
CONSIDERATIONS
................................................
17
6.1
Special
Sensitivity
to
Infants
and
Children.................................
17
6.2
Recommendation
for
a
Developmental
Neurotoxicity
Study
...................
17
7.0
OTHER
ISSUES
No
other
special
issues
have
been
identified.
...............................
17
8.0
REFERENCES
..........................................................
18
9.0
APPENDICES...........................................................
23
9.1
Toxicity
Profile
Summary
Tables
........................................
24
9.1.1
Acute
Toxicity
Table
.........................................
24
9.1.2
Subchronic,
Chronic
and
Other
Toxicity
Tables
....................
24
3
Asulam
(
December,
2001)
RED
Toxicology
Chapter
1.0
HAZARD
CHARACTERIZATION
The
acute
toxicity
of
asulam
is
low.
The
acute
oral
LD50
for
asulam
in
rats
exceeded
5000
mg/
kg.
The
acute
inhalation
LC50
was
greater
than
5
mg/
L
in
rats.
The
acute
dermal
LD50
for
asulam
in
rabbits
exceeded
4000
mg/
kg.
Application
of
technical
asulam
to
rabbit
eyes
produced
mild
chemosis,
irritation,
and
redness
which
cleared
by
day
seven
post
treatment.
Asulam
was
not
an
irritant
in
a
primary
skin
irrigation
study
in
rabbits.
It
did
not
cause
dermal
sensitization
in
guinea
pigs.
Reproductive
toxicity.
The
potential
reproductive
toxicity
of
asulam
was
examined
in
a
two
generation
reproduction
study
in
the
rat.
In
this
study,
significantly
fewer
mean
live
births
per
litter
were
observed
at
250
mg/
kg/
day
and
1250
mg/
kg/
day
in
the
first
generation;
the
LOAEL
for
offspring
toxicity
is
250
mg/
kg/
day.
A
dose
response
relationship
was
evident.
No
effects
on
mean
live
births
per
litter
were
observed
at
50
mg/
kg/
day,
the
NOAEL
for
offspring
toxicity.
The
LOAEL
for
parental
systemic
toxicity
is
1250
mg/
kg/
day
and
was
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
in
F1
males
and
F2
males
and
females;
increased
absolute
and
relative
liver
weights
in
F1
females;
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
The
NOAEL
for
parental
systemic
toxicity
is
250
mg/
kg/
day.
This
study
provided
evidence
for
a
quantitative
increase
susceptibility
of
the
rat
fetus.
Developmental
toxicity.
Asulam
has
been
evaluated
for
potential
developmental
effects
in
the
rat
and
the
rabbit.
In
the
developmental
study
in
the
rat,
a
slight
to
moderate
increase
in
preimplantation
loss
was
observed
at
the
high
dose
level
(
1,500
mg/
kg/
day);
the
developmental
NOAEL
was
1,000
mg/
kg/
day.
Decreased
maternal
body
weight
gain
was
noted
at
1,500
mg/
kg/
day
(
maternal
LOAEL),
but
not
at
1,000
mg/
kg/
day
(
maternal
NOAEL).
There
was
no
indication
of
treatment
related
effects
on
developmental
parameters
(
at
dose
levels
up
to
750
mg/
kg/
day)
in
a
developmental
toxicity
study
in
the
rabbit;
the
NOAEL
for
developmental
toxicity
is
750
mg/
kg/
day.
Decreased
maternal
body
weight
gain
was
observed
at
750
mg/
kg/
day
(
the
NOAEL
is
300
mg/
kg/
day).
Systemic
toxicity.
Subchronic
and
chronic
toxicity
studies
demonstrate
that
the
thyroid
gland
is
a
target
organ
for
asulam
in
the
rat
and
dog.
Thyroid
findings,
consisting
of
hyperplastic
changes
in
thyroid
follicular
cells
in
male
rats
(
LOAEL
=
180
mg/
kg/
day;
NOAEL
=
36
mg/
kg/
day),
were
reported
in
a
two
year
combined
chronic/
oncogenicity
feeding
study.
Thyroid
weights
were
not
monitored
in
the
study.
Other
toxicological
effects
included
adrenal
medullary
hyperplastic
alterations
in
male
rats,
and
decreased
body
weight
gains
in
male
and
female
rats.
The
chronic
RfD
for
asulam
is
derived
from
the
NOAEL
of
36
mg/
kg/
day,
based
on
thyroid
follicular
hyperplasia
at
180
and
953
mg/
kg/
day.
An
uncertainty
factor
of
100
was
used
to
account
for
interspecies
extrapolation
and
intraspecies
variability.
In
a
six
month
dog
study,
increased
thyroid
weights
(
elevated
absolute
weights
in
females
at
300
mg/
kg/
day
and
elevated
absolute
and
relative
weights
in
males
and
females
at
1500
mg/
kg/
day)
were
reported.
Similar
findings
were
noted
in
a
three
month
gavage
study
in
the
dog.
In
a
18
month
carcinogenicity
study
with
Carworth
CF
1
outbred
albino
mice,
decreased
4
Asulam
(
December,
2001)
RED
Toxicology
Chapter
absolute
and
relative
thyroid
weights
were
observed
in
females
administered
225
or
750
mg/
kg/
day
in
the
diets.
However,
this
study
was
classified
as
unacceptable.
No
pathological
effects
in
the
thyroid
were
reported
in
a
repeat
two
year
feeding
study
in
the
mouse;
the
strain
was
Charles
River
CD
1
mice.
However,
thyroid
weights
were
not
assessed
in
this
study.
Carcinogenicity.
A
combined
chronic
toxicity/
oncogenicity
study
in
the
rat
provided
limited
evidence
for
the
carcinogenicity
of
asulam
in
this
species.
There
was
a
statistically
significant
increase
in
thyroid
gland
C
cell
carcinomas
in
male
rats
fed
diets
containing
36
and
180
mg/
kg/
day
asulam.
There
was
also
a
statistically
significant
increase
in
adrenal
medullary
pheochromocytomas
in
males
administered
953
mg/
kg/
day
(
high
dose
tested).
In
a
two
year
feeding
study
in
the
mouse,
no
evidence
of
carcinogenicity
was
found.
Asulam
has
been
classified
as
a
Group
C
carcinogen
(
possible
human
carcinogen)
by
the
Agency.
The
Agency
decided
not
to
quantify
the
carcinogenic
risk
for
asulam.
Neurotoxicity.
No
neurotoxicity
studies
were
available
for
asulam.
There
was
no
evidence
of
neurotoxicity
(
clinical
signs,
cholinesterase
inhibition,
or
pathology)
in
subchronic
and
chronic
toxicity
studies
in
the
rat,
dog,
or
mouse.
Immunotoxicity.
None
of
the
available
data
on
asulam
suggest
an
immunotoxic
potential
for
this
chemical.
The
mutagenicity/
genetic
toxicity
data
base
is
considered
complete
and
there
is
no
concern
for
adverse
mutagenicity
effects.
Inhalation
toxicity.
Data
regarding
the
potential
inhalation
toxicity
of
asulam
are
limited
to
a
one
month
inhalation
and
an
acute
inhalation
study
in
the
rat.
No
effects
of
apparent
toxicological
significance
were
noted
in
rats
exposed
(
nose
only)
to
asulam
at
concentrations
up
to
15.3
mg/
L
for
4
hours
per
day,
5
days
per
week,
for
1
month.
However,
there
was
no
examination
of
thyroid
weights
or
thyroid
pathology.
Metabolism.
Metabolism
studies
in
the
rat
demonstrate
that
asulam
was
rapidly
eliminated,
primarily
in
the
urine,
following
administration
of
a
single
oral
or
intravenous
dose,
or
after
repeated
intravenous
doses
for
14
days.
No
unusual
localization
of
asulam
occurred
in
tissues.
Unchanged
parent
compound
was
identified
as
the
major
excretory
product,
with
acetylasulam
and
acetylsulphanilamide
as
minor
metabolites.
The
dermal
absorption
of
asulam
has
not
been
determined.
2.0
REQUIREMENTS
The
data
requirements
(
CFR
158.340)
for
the
several
uses
for
Asulam
are
in
Table
1.
Use
of
the
new
guideline
numbers
does
not
imply
that
the
new
(
1998)
guideline
protocols
were
used.
Most
studies
were
conducted
well
before
the
1998
guidelines
and
follow
earlier
guidelines.
Note:
The
data
gaps
and
additional
data
required
are
more
simply
presented
in
the
following
section
(
3.0
below).
5
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Table
1.
Test
Technical
Required
Satisfied
870.1100
Acute
Oral
Toxicity
...........................
870.1200
Acute
Dermal
Toxicity
........................
870.1300
Acute
Inhalation
Toxicity
......................
870.2400
Primary
Eye
Irritation
.........................
870.2500
Primary
Dermal
Irritation
......................
870.2600
Dermal
Sensitization
..........................
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
870.3100
Oral
Subchronic
(
rodent)
.......................
870.3150
Oral
Subchronic
(
nonrodent)
....................
870.3200
21
Day
Dermal
..............................
870.3250
90
Day
Dermal
..............................
870.3465
90
Day
Inhalation
............................
Yes
Yes
Yes
No
(
c)
(
a)
Yes
(
b)
N/
A
No
870.3700a
Developmental
Toxicity
(
rodent)
................
870.3700b
Developmental
Toxicity
(
nonrodent)
.............
870.3800
Reproduction
................................
Yes
Yes
Yes
Yes
Yes
Yes
870.4100a
Chronic
Toxicity
(
rodent)
......................
870.4100b
Chronic
Toxicity
(
nonrodent)
...................
870.4200a
Oncogenicity
(
rat)
............................
870.4200b
Oncogenicity
(
mouse)
.........................
870.4300
Chronic/
Oncogenicity
.........................
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
870.5100
Mutagenicity
Gene
Mutation
bacterial
..........
870.5300
Mutagenicity
Gene
Mutation
mammalian
.......
870.5xxx
Mutagenicity
Structural
Chromosomal
Aberrations
870.5xxx
Mutagenicity
Other
Genotoxic
Effects
...........
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
870.6100a
Acute
Delayed
Neurotox.
(
hen)
..................
870.6100b
90
Day
Neurotoxicity
(
hen)
....................
870.6200a
Acute
Neurotox.
Screening
Battery
(
rat)
...........
870.6200b
90
Day
Neuro.
Screening
Battery
(
rat)
............
870.6300
Develop.
Neuro
..............................
No
No
(
d)
(
d)
No
N/
A
N/
A
N/
A
870.7485
General
Metabolism
..........................
870.7600
Dermal
Penetration
...........................
Yes
No
Yes
N/
A
Special
Studies
for
Ocular
Effects
Acute
Oral
(
rat)
..............................
Subchronic
Oral
(
rat)
..........................
Six
month
Oral
(
dog)
.........................
No
No
No
N/
A
N/
A
N/
A
(
a)
Interim
data
from
the
chronic
toxicity
satisfy
this
requirement.
(
b)
A
21
day
dermal
toxicity
study
in
the
rat
was
available,
however,
the
study
did
not
include
an
examination
of
the
thyroid
gland,
the
target
organ
for
asulam.
The
HIARC
(
11/
13/
01)
determined
that
a
21
day
dermal
toxicity
study,
with
examination
of
thyroid
weight
and
pathology,
is
required.
(
c)
A
one
month
inhalation
toxicity
study
was
available;
however,
this
study
did
not
examine
the
thyroid
gland,
the
target
organ.
The
HIARC
(
11/
13/
01)
determined
that
a
28
day
inhalation
toxicity
study,
with
examination
of
thyroid
weight
and
pathology,
is
required.
HIARC
did
not
identify
a
need
for
a
90
day
inhalation
study.
6
Asulam
(
December,
2001)
RED
Toxicology
Chapter
(
d)
The
HIARC
determined
that
the
acute,
subchronic,
and
developmental
neurotoxicity
studies
were
not
required.
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring.
It
was
further
recommended
that
the
adult
study
should
include
interim
measures
(
e.
g.,
7,
14,
and
28
days).
The
HIARC
also
recommended
that
thyroid
parameters
selected
for
the
comparative
study
should
be
based
on
Agency
guidance
(
under
current
development)
for
thyroid
toxicity
testing.
3.0
DATA
GAP(
S)
On
November
13,
2001,
the
HIARC
identified
the
following
data
gaps:
Comparative
thyroid
rat
assay
in
adult
and
offspring.
It
was
further
recommended
that
the
adult
study
should
include
interim
measures
(
e.
g.,
7,
14,
and
28
days).
HIARC
also
recommended
that
thyroid
parameters
selected
for
the
comparative
study
should
be
based
on
Agency
guidelines
(
under
current
development)
for
thyroid
toxicity
testing.
21
day
Dermal
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
28
day
Inhalation
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
4.0
HAZARD
ASSESSMENT
4.1
Acute
Toxicity
Adequacy
of
data
base
for
acute
toxicity:
The
data
base
for
acute
toxicity
is
considered
complete.
The
acute
toxicity
data
on
asulam
is
summarized
below
in
Table
2.
Table
2.
Acute
Toxicity
of
asulam.
Study
Type
MRID
No.:
Result
81
1.
Acute
Oral
Toxicity
rat.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
260,
November
7,
1988
409605
01
LD50
>
5000
mg/
kg.
Toxicity
Category
IV
Classification:
Guideline
81
2.
Acute
Dermal
Toxicity
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
260,
November
8,
1988
409605
01
LD50
>
4000
mg/
kg.
Toxicity
Category
III
Classification:
Guideline
7
Asulam
(
December,
2001)
RED
Toxicology
Chapter
81
3.
Acute
Inhalation
Toxicity
rat.
Rhone
Poulenc
Ag
Co.,
Study
No.:
51
583,
November
7,
1988
409605
02
413616
01
LC50
>
5
mg/
L
Toxicity
Category
IV
Classification:
Minmum
81
4.
Primary
Ocular
Irritation
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
R.
Tox.
57,
June
1981
00098534
Some
chemosis,
redness,
and
irritation
were
noted,
but
eyes
were
clear
by
day
7.
Toxicity
Category
III
Classification:
Minimum
81
5.
Primary
Dermal
Irritation
rabbit.
Rhone
Poulenc
Ag
Co.,
Study
No.:
RES
2853,
March
1977
00098535
No
dermal
irritation
was
observed.
Toxicity
Category
III
Classification:
Minimum
81
6.
Dermal
Sensitization
guinea
pig.
Rhone
Poulenc
Ag
Co.,
Study
No.:
RES
2853,
March
1977
00098535
No
evidence
of
sensitization
in
the
Guinea
Pig.
Classification:
Minimum.
Subchronic
Toxicity
Adequacy
of
data
base
for
subchronic
toxicity:
No
subchronic
oral
toxicity
studies
in
the
rodent
per
se
were
identified
in
the
data
base
for
asulam.
However,
the
chronic
oral
studies
in
the
rodent
provided
frequent
monitoring
of
clinical
signs
and
interim
measurements
of
body
weights,
food
consumption,
hematology,
clinical
chemistry
and
urinalysis,
and
the
results
provided
insight
into
potential
subchronic
effects.
In
a
subchronic
oral
(
90
day)
study,
dogs
displayed
increased
thyroid
weights.
Although
the
study
was
classified
as
unacceptable
guideline ,
it
was
supported
by
the
findings
of
the
6
month
oral
dog
study.
The
results
of
the
two
studies
were
similar
(
i.
e.,
the
LOAEL
and
NOAEL
(
based
on
increased
thyroid
weights)
for
the
6
month
dog
study
were
300
mg/
kg/
day
and
60
mg/
kg/
day,
respectively,
while
the
LOAEL
and
NOAEL
(
also
based
on
increased
thyroid
weights)
for
the
3
month
dog
study
were
500
mg/
kg/
day
and
50
mg/
kg/
day,
respectively).
A
one
month
inhalation
toxicity
study
and
21
day
dermal
toxicity
study
were
available;
however,
neither
study
included
assessment
of
thyroid
weights
and
pathology.
The
data
base
for
subchronic
toxicity
is
considered
complete
for
oral
and
dermal
studies.
A
28
day
subchronic
inhalation
study
is
required,
one
that
includes
examination
of
thyroid
weights
and
thyroid
pathology.
870.3100
90
Day
Oral
Toxicity
Rat
Refer
to
the
chronic
toxicity
studies
below.
870.3150
90
Day
Oral
Toxicity
Dog
Executive
Summary.
In
a
subchronic
toxicity
study
(
MRID#
00056414),
asulam
(
purity
not
stated)
8
4.2
Asulam
(
December,
2001)
RED
Toxicology
Chapter
was
administered
to
beagle
dogs
(
3
dogs/
sex/
group)
by
gavage
at
dose
levels
of
0,
5,
50,
or
500
mg/
kg/
day
for
three
months.
All
but
one
dog
were
apparently
infected
with
ascarids.
An
increase
in
white
blood
cell
counts,
most
likely
reflecting
infection,
was
observed
in
all
control
and
treated
females,
and
in
the
low
and
high
dose
males,
toward
the
end
of
the
study.
In
addition,
diarrhea
was
present
in
all
dogs
during
the
last
3
weeks
of
the
study.
The
diarrhea
may
have
been
associated
with
ascarid
infection.
At
the
end
of
the
treatment
period,
mean
body
weights
of
treated
males
were
lower
than
those
of
controls,
while
mean
body
weights
of
treated
females
were
higher
than
controls.
Interpretation
of
the
body
weight
differences
is
complicated
by
the
differences
in
initial
body
weights
of
the
control
dogs
(
i.
e.,
control
male
body
weight
was
more
than
10%
greater,
while
control
female
body
weight
was
5
15%
lower,
than
those
of
treated
animals).
Overall
mean
body
weight
gains
(
day
0
91)
in
treated
dogs
were
for
the
most
part
higher
than
those
of
control
dogs.
Absolute
and
relative
thyroid
weights
were
elevated
in
both
high
dose
males
and
females.
There
were
no
apparent
treatment
related
effects
on
survival
or
pathology
findings.
The
LOAEL
is
500
mg/
kg/
day
based
on
increased
absolute
and
relative
(
to
body
weight)
thyroid
weights
in
male
and
female
dogs.
The
NOAEL
is
50
mg/
kg/
day.
Classification:
This
subchronic
study
in
the
dog
is
Unacceptable
Guideline,
and
does
not
satisfy
the
guideline
requirement
for
a
subchronic
nonrodent
study
(
82
1)
in
this
species.
No
information
on
purity
of
the
test
material,
no
food
consumption
data,
the
lack
of
individual
pathology
sheets,
no
information
on
the
care
and
feeding
of
the
dogs,
the
failure
to
randomize
animals
to
groups
on
the
basis
of
body
weights
so
that
initial
body
weights
were
comparable
between
groups,
and
no
rationale
provided
for
dose
selection.
Although
the
sample
size
was
less
than
guideline
requirements
(
i.
e.,
3
rather
than
4
dogs),
the
thyroid
weight
effects
observed
in
this
study
are
supported
by
a
six
month
dog
study
(
MRID
No.
00098536);
the
LOAEL
in
the
six
month
dog
study
was
300
mg/
kg/
day,
while
the
NOAEL
was
60
mg/
kg/
day.
870.3200
21/
28
Day
Dermal
Toxicity
Rat
Executive
Summary.
In
a
repeat
dose
dermal
toxicity
study
(
MRID
#
41076901),
asulam
(
88%
a.
i.)
was
applied
to
the
clipped
skin
of
10
New
Zealand
rabbits/
sex/
dose
at
dose
levels
of
0
(
carboxymethylcellulose
vehicle
control)
or
1,000
mg/
kg/
day
(
limit
dose),
once
daily
for
7
days/
week
during
a
21
day
period.
No
apparent
treatment
related
systemic
effects
were
observed
when
body
weight,
food
consumption,
clinical
pathology,
organ
weights,
ophthalmology,
urinalysis,
and
histopathology
were
examined.
The
NOAEL
is
greater
than
or
equal
to
1,000
mg/
kg/
day.
Local
skin
irritation,
which
was
slight
and
transient,
was
observed
in
a
small
number
of
treated
females.
Classification:
This
21
day
dermal
toxicity
study
is
classified
as
Acceptable
Guideline.
870.3465
90
Day
Inhalation
Rat
9
Asulam
(
December,
2001)
RED
Toxicology
Chapter
There
are
no
90
day
inhalation
toxicity
studies
available
on
asulam.
However,
a
one
month
inhalation
toxicity
study
(
MRID
#
00098537)
in
the
rat
was
available.
In
the
one
month
inhalation
study,
asulam
(
purity
not
stated)
was
administered
to
15
CD
rats/
sex/
group
by
nose
only
exposure
at
concentrations
of
0,
1.6,
3.9,
or
15.3
mg/
L
for
4
hours
per
day,
5
days
per
week,
for
4
weeks.
Control
rats
were
exposed
to
clean
air
only.
The
estimated
mass
median
diameter
of
the
particles
was
4.5
Fm.
No
effects
due
to
exposure
were
observed,
as
judged
by
survival,
clinical
signs,
body
weights,
food
consumption,
ophthalmoscopic
examinations,
hematology,
clinical
chemistry,
urinalysis,
and
pathology.
Although
several
significant
organ
weight
changes
(
i.
e.,
increased
absolute
and
relative
lung,
heart
and
adrenal
weights;
decreased
absolute
and
relative
spleen
weights;
increased
relative
pituitary
weights)
were
observed
in
high
dose
males
immediately
following
exposure,
these
changes
were
not
seen
in
the
high
dose
males
sacrificed
5
7
days
after
final
dosing
(
suggesting
reversibility
of
the
effects).
In
addition,
there
were
no
corresponding
histological
lesions
in
these
organs.
Females
sacrificed
5
7
days
after
final
dosing
displayed
increased
absolute
and
relative
liver
and
heart
weights.
However,
the
liver
and
heart
weight
alterations
were
not
accompanied
by
histological
findings.
The
organ
weight
changes
in
the
males
and
females
are
of
equivocal
toxicological
significance.
The
NOAEL
is
15.3
mg/
L.
This
study
is
limited
because
of
the
lack
of
thyroid
weight
measurements
and
pathological
examination
of
the
thyroid.
Prenatal
Developmental
Toxicity
Adequacy
of
data
base
for
prenatal
developmental
toxicity:
The
data
base
for
prenatal
developmental
toxicity
is
considered
complete.
870.3700a
Prenatal
Developmental
Toxicity
Study
Rat
Executive
Summary.
In
a
developmental
toxicity
study
(
MRID
#
00098538),
asulam
(
98.0
99.9
%
a.
i.)
was
administered
to
23
27
pregnant
Charles
River
(
CD)
rats/
dose
by
oral
gavage
at
dose
levels
of
0,
500,
1,000,
or
1,500
mg/
kg/
day
from
days
5
through
17
of
gestation.
Mean
maternal
body
weight
gain
(
days
5
18)
was
9%
lower
in
the
high
dose
group
than
in
controls.
There
were
no
treatment
related
effects
on
other
maternal
parameters
including
mortality,
clinical
signs,
and
food
consumption.
A
slight
to
moderate
increase
(
not
statistically
significant)
in
preimplantation
loss
was
observed
in
the
mid
and
high
dose
groups
(
compared
to
controls).
The
slight
increase
in
postimplantation
loss
at
the
high
dose
(
1500
mg/
kg/
day)
was
not
statistically
significantly
different
from
control
values,
and
was
not
of
any
apparent
biological
significance.
The
maternal
LOAEL
is
1,500
mg/
kg/
day
based
on
body
weight
gain
decrement.
The
maternal
NOAEL
is
1,000
mg/
kg/
day.
The
developmental
LOAEL
is
1,500
mg/
kg/
day
based
on
slight
to
moderate
increase
in
preimplantation
loss.
The
developmental
NOAEL
is
1,000
mg/
kg/
day.
Classification:
This
prenatal
developmental
toxicity
study
in
the
rat
is
Acceptable
Guideline.
870.3700b
Prenatal
Developmental
Toxicity
Study
Rabbit
10
4.3
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Executive
Summary.
In
a
developmental
toxicity
study
(
MRID
#
00098539),
asulam
(
98.0
99.9
%
a.
i.)
was
administered
to
15
23
pregnant
New
Zealand
rabbits/
dose
by
oral
gavage
at
dose
levels
of
0,
60,
300,
or
750
mg/
kg/
day
from
days
5
through
20
of
gestation.
Rabbits
were
sacrificed
on
gestation
day
29.
Originally,
the
high
dose
selected
was
1,500
mg/
kg/
day.
However,
severe
maternal
toxicity
(
greater
than
20%
weight
loss,
mortality,
and
signs
of
starvation)
occurred
after
administration
of
the
1,500
mg/
kg/
day
dose
level.
All
animals
in
this
group
died
or
were
sacrificed
for
humane
reasons.
A
new
group
was
added
to
the
study
using
a
lower
dose
of
750
mg/
kg/
day.
Mean
maternal
body
weight
gain
was
markedly
reduced
(
35%
but
not
statistically
significant)
in
the
750
mg/
kg/
day
group
than
in
controls
during
the
dosing
period
(
days
5
21).
In
addition,
mean
maternal
body
weight
gains
were
markedly
reduced
during
days
5
9,
5
13,
and
5
17.
During
the
postdosing
period,
mean
body
weights
of
rabbits
treated
with
750
mg/
kg/
day
were
comparable
to
those
of
controls,
and
rabbits
displayed
some
improvement
in
body
weight
gain.
Rabbits
given
750
mg/
kg/
day
exhibited
a
non
statistically
significant
decrease
in
food
consumption
at
several
intervals
during
dosing
(
days
5
9,
9
13,
13
17).
There
were
no
apparent
treatment
related
effects
on
mortality
or
clinical
signs.
The
maternal
LOAEL
is
750
mg/
kg/
day
based
on
decreased
body
weight
during
the
dosing
period.
The
maternal
NOAEL
is
300
mg/
kg/
day.
There
were
no
apparent
treatment
related
effects
on
developmental
parameters
at
dose
levels
up
to
750
mg/
kg/
day.
The
developmental
NOAEL
is
750
mg/
kg/
day.
Classification:
This
prenatal
developmental
toxicity
study
in
the
rabbit
is
Acceptable
Guideline.
Reproductive
Toxicity
Adequacy
of
data
base
for
Reproductive
Toxicity:
The
data
base
for
reproductive
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
870.3800
Reproduction
and
Fertility
Effects
Rat
Executive
Summary.
In
a
two
generation
reproduction
toxicity
study
(
MRID
00098540),
groups
of
12
male
and
24
female
Charles
River
CD
rats
were
administered
asulam
(
98.0
100.6
%
a.
i.)
in
the
diet
at
concentrations
of
0
(
control),
1,000,
5,000,
or
25,000
ppm
(
equivalent
to
approximately
50,
250,
and
1250
mg/
kg/
day,
respectively).
F0
animals
were
mated
after
being
on
diet
for
100
days.
Following
weaning,
F1
animals
(
16
males
and
32
females)
continued
treatment
for
a
further
120
days
prior
to
mating.
Systemic
effects
observed
at
the
high
dose
(
25,000
ppm)
included
decreased
body
weights
in
F0
males
and
F1
females,
increased
absolute
and/
or
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
(
at
age
31
but
not
at
terminal
necropsy).
The
LOAEL
for
11
4.4
Asulam
(
December,
2001)
RED
Toxicology
Chapter
systemic
toxicity
is
25,000
ppm
(
1250
mg/
kg/
day)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
The
NOAEL
is
5,000
ppm
(
250
mg/
kg/
day).
Significantly
fewer
mean
live
births
per
litter
were
observed
at
5,000
and
25,000
ppm
in
the
first
generation.
Also,
a
dose
response
relationship
was
evident.
Fertility
index
was
slightly
lower
in
F1
parents
at
5,000
and
25,000
ppm;
however,
the
decreases
were
not
statistically
significant
when
compared
to
controls
and
did
not
display
a
dose
response.
The
LOAEL
for
reproductive/
offspring
toxicity
is
5,000
ppm
(
250
mg/
kg/
day)
based
on
decreased
mean
live
births
per
litter.
The
NOAEL
is
1,000
ppm
(
50
mg/
kg/
day).
Classification:
This
two
generation
reproduction
study
in
the
rat
is
Acceptable
Guideline
Chronic
Toxicity
Adequacy
of
data
base
for
chronic
toxicity:
The
data
base
for
chronic
toxicity
is
considered
complete.
No
additional
studies
are
required
at
this
time.
870.4100a
(
870.4300)
Chronic
Toxicity
Rat
Refer
to
the
Combined
Chronic
Feeding/
Carcinogenicity
study
below.
870.4100b
Chronic
Toxicity
Dog
Executive
Summary.
In
a
six
month
toxicity
study
(
MRID
#
40977601),
asulam
(
98.0
100.6%
a.
i.)
was
administered
to
6
beagle
dogs/
sex/
dose
by
oral
gavage
at
dose
levels
of
0,
60,
300,
or
1,500
mg/
kg/
day.
Doses
were
selected
on
the
basis
of
the
results
of
preliminary
acute,
subacute,
and
subchronic
studies.
There
was
no
apparent
relationship
between
test
material
administration
and
mortality.
Treatment
related
findings
included
reductions
in
body
weight
gains
and
food
consumption
in
the
high
dose
males
and
females;
increased
frequency
of
emesis
and
diarrhea
in
the
high
dose
males
and
females;
increased
absolute
thyroid
weights
in
the
mid
and
high
dose
females
and
in
the
high
dose
males;
increased
relative
(
to
body
weight)
thyroid
weights
in
the
high
dose
males
and
females;
decreased
absolute
testes
and
lung
weights
in
the
high
dose
males;
decreased
relative
testes
weights
in
the
high
dose
males;
and
increased
relative
kidney
weights
in
the
high
dose
males.
No
histopathological
effects
of
toxicological
significance
were
observed.
There
were
no
apparent
effects
on
prothrombin
time,
kaolin
partial
thromboplastin
time
or
platelet
counts
in
males.
Platelet
counts
were
slightly
decreased
in
treated
females;
however,
the
decreases
were
not
dose
related
at
most
intervals
and
control
values
appeared
to
be
slightly
elevated.
Platelet
count
in
the
high
dose
females
was
significantly
lower
at
the
26
week
interval
only.
Plasma
and
brain
cholinesterase
activities
were
not
affected
by
treatment
in
either
sex.
The
LOAEL
is
300
mg/
kg/
day,
based
on
significant
(
p
<
0.05)
increases
in
absolute
thyroid
weights
in
females.
Absolute
and
relative
thyroid
weights
were
elevated
at
the
high
dose
(
1500
mg/
kg/
day)
in
both
males
and
females.
The
increased
absolute
thyroid
weights
in
the
mid
and
high
dose
females
appeared
dose
related.
Although
histological
effects
in
the
12
4.5
Asulam
(
December,
2001)
RED
Toxicology
Chapter
thyroid
were
not
observed
in
the
dog
study,
the
duration
of
the
study
was
6
months,
which
is
less
than
recommended
by
guidelines
(
i.
e.,
12
months).
The
NOAEL
is
60
mg/
kg/
day.
Classification:
This
chronic
oral
study
in
the
dog
is
Acceptable
Nonguideline.
4.6
Carcinogenicity
Adequacy
of
data
base
for
Carcinogenicity:
The
carcinogenicity
data
base
for
asulam
is
considered
complete.
There
is
one
acceptable
combined
chronic
toxicity/
oncogenicity
dietary
study
in
the
rat,
and
one
acceptable
oncogenicity
dietary
study
in
the
mouse.
870.4200a
Carcinogenicity
Study
rat
Executive
Summary.
In
a
two
year
combined
chronic
feeding/
carcinogenicity
study
(
MRID#
00098543),
CD
rats
(
50/
sex/
dose)
were
administered
asulam
(
97.5
99.9%)
at
dose
levels
of
0,
1,000
(
low
dose),
5,000
(
mid
dose)
or
25,000
ppm
(
high
dose).
These
dietary
levels
were
equivalent
to
0,
36,
180
and
953
mg/
kg/
day
in
males
and
0,
47,
243
and
1,280
mg/
kg/
day
in
females,
respectively.
An
additional
group
(
15/
sex/
dose)
was
administered
asulam
for
78
weeks.
Bodyweight
change
in
the
high
dose
animals
for
various
intervals
was
more
than
10%
lower
than
controls.
Mean
bodyweight
change
was
significantly
lower
than
controls
in
high
dose
females
from
week
0
52
and
in
the
mid
and
high
dose
females
from
weeks
6
52.
Mean
bodyweight
change
was
significantly
lower
in
the
high
dose
males
(
p<
0.01)
from
weeks
6
52.
Hyperplastic
changes
were
observed
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males
at
the
mid
and
high
dose
levels.
There
was
a
statistically
significant
increase
in
thyroid
gland
C
cell
carcinomas
in
both
the
low
and
mid
dose
males.
There
was
also
a
statistically
significant
increase
in
adrenal
medullary
pheochromocytomas
at
the
high
dose
in
males.
With
the
exception
of
a
non
dose
related
enlargement
of
the
pituitary
gland
in
female
rats
(
3/
15
controls;
7/
15
low
dose;
8/
15
mid
dose;
7/
15
high
dose),
no
unusual
toxicological
findings
occurred
in
the
animals
sacrificed
at
78
weeks.
The
LOAEL
is
5,000
ppm
(
180
mg/
kg/
day)
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
The
NOAEL
is
1,000
ppm
(
36
mg/
kg/
day).
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increase
in
tumor
incidence
in
males
when
compared
to
controls.
Therefore,
asulam
is
a
potential
oncogen
in
this
study.
Dosing
is
considered
adequate
to
assess
the
oncogenic
potential
of
asulam.
Classification:
This
combined
chronic
toxicity/
carcinogenicity
study
in
the
rat
is
Acceptable
Guideline.
870.4200b
Carcinogenicity
(
feeding)
Mouse
13
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Executive
Summary.
In
a
two
year
carcinogenicity
study
with
Charles
River
CD
1
mice
(
MRID#
42338201),
asulam
(
88%
a.
i.)
was
administered
in
the
diet
at
0,
500,
5,000
or
50,000
ppm.
Concentrations
were
corrected
for
88%
a.
i.
These
dietary
levels
were
equivalent
to
0,
74,
730
and
8,040
mg/
kg/
day
in
males
and
0,
95,
938
and
10,353
mg/
kg/
day
in
females,
respectively.
Mean
body
weights
of
the
high
dose
males
were
generally
less
than
6%
lower
than
control
values
during
the
first
24
weeks
of
treatment,
while
body
weights
of
females
were
less
than
6%
lower
than
control
values
throughout
the
study.
The
high
dose
males
displayed
a
reduction
(
greater
than
10%)
in
mean
body
weight
gain
when
compared
to
the
control
group
at
various
intervals.
Increased
mortality
was
observed
in
the
high
dose
females;
however,
the
number
of
high
dose
females
was
adequate
to
assess
the
carcinogenic
potential
of
asulam.
There
was
no
treatment
related
effect
on
food
consumption.
Hematologic
findings
in
the
high
dose
males
and
females
consisted
of
increased
leukocyte
counts,
decreased
erythrocyte
counts,
and
decreased
hematocrit
levels.
Organ
weight
changes
included
decreased
brain
weight
in
the
high
dose
females,
and
increased
spleen
weight
in
the
high
dose
males.
There
was
an
increased
incidence
of
brown
granular
pigment
deposits
in
the
livers
of
males
of
all
treatment
groups
and
high
dose
females.
Increased
incidences
of
brown
granular
pigment
deposits
were
also
noted
in
the
spleens
of
the
high
dose
rats
of
both
sexes.
The
brown
granular
pigment
deposit
was
not
identified,
and
is
therefore
of
uncertain
toxicological
significance.
There
was
no
increase
in
the
incidence
of
any
tumors.
The
LOAEL
is
50,000
ppm,
based
on
increased
spleen
weight
and
decreased
body
weight
gain
in
males,
and
decreased
brain
weight
and
survival
in
females.
The
NOAEL
was
5,000
ppm.
Under
the
conditions
of
this
study,
there
was
no
evidence
of
carcinogenicity
of
asulam.
Dosing
is
considered
adequate
to
assess
the
carcinogenic
potential
of
asulam
based
on
decreased
body
weight
gain,
spleen
and
brain
weight
changes,
and
decreased
survival.
Classification:
This
carcinogenicity
study
in
the
mouse
is
Acceptable
Guideline
4.7
Mutagenicity
Adequacy
of
data
base
for
Mutagenicity:
With
the
exception
of
the
dominant
lethal
mutation
assay
in
mice,
all
other
mutagenicity
assays
were
found
to
be
acceptable.
These
studies
satistfy
the
pre
1991
guideline
requirements
for
mutagenicity
studies;
no
further
testing
is
required
at
this
time.
The
data
indicate
that
there
is
no
mutagenicity/
genetic
toxicity
concern.
The
following
table
summarizes
the
mutagenicity/
genetic
toxicity
data
base.
Study
Results
Bacterial
mutagenicity
(
Ames
test)
Salmonella
typhimurium.
Litton
Bionetics,
Inc.,
Study
No.:
E
9177,
1983.
MRID
No.:
40415302
Not
mutagenic
with
and
without
metabolic
activation
at
doses
up
to
2000
Fg/
plate.
Classification:
Acceptable
Guideline
14
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Study
Results
Dominant
lethal
Mouse
Hess
&
Clark
(
Div.
of
Rhodia),
Study
No.:
SEH
75,
1975
MRID
No.:
00082250
No
evidence
of
induction
of
dominant
lethal
effect
at
dietary
concentrations
of
1500
or
5000
ppm.
Classification:
Unacceptable
because
purity
information
on
the
test
material
was
not
provided.
In
vitro
cell
transformation
assay
in
C3H/
10T1/
2
cells.
Mason
Research
Institute.
Study
No.:
596
249
8,
October
1979.
MRID
No.:
00098542
No
evidence
of
induction
of
morphological
transformation
at
dose
levels
of
256,
512,
1024,
or
2048
Fg/
mL
for
18
hours
exposure.
Cytotoxicity
was
apparent
at
2048
Fg/
mL.
Classification:
Acceptable
(
Nonguideline).
In
vitro
cytogenetics
in
human
lymphocytes.
Litton
Bionetics,
Inc.
Study
No.:
20990,
March
1984.
MRID
No.:
40415301
Cabinet
d Etudes
et
de
Recherches
en
Tox.
Study
No.:
658,
May
10,
1982.
MRID
No.:
00144051
No
evidence
of
induction
of
a
clastogenic
response
at
doses
of
125
2500
Fg/
mL
(
absence
of
metabolic
activation)
or
250
2500
Fg/
mL.
Classification:
Acceptable.
4.8
Neurotoxicity
Adequacy
of
data
base
for
Neurotoxicity:
There
are
no
series
81
8,
82
7
or
83
6
acute,
subchronic
or
developmental
neurotoxicity
studies
available.
The
HIARC
(
November
13,
2001)
determined
that
these
neurotoxicity
studies
are
not
required.
870.6100
Delayed
Neurotoxicity
Study
Hen
Asulam
is
not
an
organophosphate
insecticide
and
this
type
of
study
is
not
required.
870.6200
Acute
Neurotoxicity
Screening
Battery
As
per
the
November
13,
2001
HIARC
recommendations,
this
study
is
not
required.
870.6200
Subchronic
Neurotoxicity
Screening
Battery
As
per
the
November
13,
2001
HIARC
recommendations,
this
study
is
not
required.
870.6300
Developmental
Neurotoxicity
Study
As
per
the
November
13,
2001
HIARC
recommendations,
this
study
is
not
required.
4.9
Metabolism
Adequacy
of
data
base
for
metabolism:
The
data
base
for
metabolism
is
considered
to
be
complete.
No
additional
studies
are
required
at
this
time.
The
urinary
route
is
the
predominant
route
of
elimination
in
the
rat.
870.7485
Metabolism
Rat
15
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Executive
Summary:
Metabolism
studies
were
conducted
in
male
and
female
Sprague
Dawley
rats
(
MRID
41345601).
The
tests
used
a
single
oral
or
i.
v.
dose,
or
repeated
oral
doses
for
14
days.
The
pharmacokinetics
of
asulam
were
similar
after
all
dose
regimens
in
both
sexes.
Peak
blood
levels
were
attained
at
0.5
hours.
No
unusual
localization
of
asulam
occurred
in
tissues
and
all
tissue
levels
were
low
at
72
hours.
Asulam
was
rapidly
eliminated,
mostly
within
24
hours.
Most
of
the
administered
dose
(
76.5%
to
101.5%)
was
eliminated
in
the
urine,
and
1.4%
to
25.3%
of
the
dose
in
feces.
The
major
excretory
product
was
unchanged
parent
compound
(
70%
to
80%),
with
acetylasulam
(
3%
to
8%)
and
acetylsulphanilamide
(<
3%)
being
the
two
major
metabolites.
Overall
Conclusion.
The
metabolism
of
asulam
in
rats
is
considered
to
be
demonstrated
and
no
additional
data
are
required
at
this
time.
Classification.
4.10
Special/
Other
Studies
No
special
studies
pertaining
to
asulam
have
been
identified.
5.0
TOXICITY
ENDPOINT
SELECTION
5.1
See
Section
9.2
for
Endpoint
Selection
Table.
5.2
Dermal
Absorption
Dermal
Absorption
Factor:
100%.
There
are
no
dermal
absorption
studies
with
asulam.
HIARC
(
11/
13/
01)
concluded
that
a
comparison
of
the
developmental
oral
rabbit
study
to
the
dermal
rabbit
study
is
not
appropriate.
The
dermal
rabbit
study
did
not
include
examination
of
the
thyroid,
the
target
organ.
870.7600
Dermal
Absorption
Rat
No
dermal
absorption
studies
with
asulam
are
available.
5.3
Classification
of
Carcinogenic
Potential
5.3.1
On
November
12,
1987
the
HED
Carcinogenicity
Peer
Review
Committee
classified
asulam
as
Group
C,
a
possible
human
carcinogen,
based
on
thyroid
and
adrenal
tumors
in
the
rat
sutdy
(
MRID
00098543).
They
also
recommended
that
the
mouse
study
be
repeated
and
agreed
to
reconsider
the
cancer
classification
upon
receipt
and
evaluation
of
the
new
mouse
study.
On
September
22,
1994
the
HED
RfD
peer
Review
committee
met
to
review
the
new
mouse
study
(
MRID
42338201).
The
committee
concluded
that
the
findings
of
the
new
mouse
study
have
no
impact
on
the
current
classification
of
the
chemical
as
a
Group
C,
possible
human
carcinogen,
They
determined
that
a
low
dose
linear
extrapolation
risk
model
was
not
appropriate
for
asulam.
5.3.2
Classification
of
Carcinogenic
Potential
16
Asulam
(
December,
2001)
RED
Toxicology
Chapter
The
Agency
has
classified
asulam
as
Group
C,
possible
human
carcinogen.
5.3.3
Quantification
of
Carcinogenic
Potential
Not
applicable.
6.0
FQPA
CONSIDERATIONS
6.1
Special
Sensitivity
to
Infants
and
Children
The
HIARC
concluded
that
there
is
no
quantitative/
qualitative
evidence
of
increased
susceptibility
of
rat
or
rabbit
fetuses
following
in
utero
exposure
to
asulam
in
the
developmental
toxicity
studies
in
these
species.
However,
there
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat.
In
this
study,
the
decreased
mean
live
births
per
litter
(
offspring
NOAEL
=
50
mg/
kg/
day)
was
observed
at
lower
dose
levels
than
that
associated
with
parental/
systemic
toxicity
(
NOAEL
=
250
mg/
kg/
day).
6.2
Recommendation
for
a
Developmental
Neurotoxicity
Study
The
HIARC
concluded
that
a
developmental
neurotoxicity
study
was
not
needed.
However,
HIARC
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring.
It
was
further
recommended
that
the
adult
study
should
include
interim
measures
(
e.
g.,
7,
14,
and
28
days).
HIARC
also
recommended
that
thyroid
parameters
selected
for
the
comparative
study
should
be
based
on
Agency
guidelines
(
under
current
development)
for
thyroid
toxicity
testing.
7.0
OTHER
ISSUES
No
other
special
issues
have
been
identified.
17
Asulam
(
December,
2001)
RED
Toxicology
Chapter
8.0
REFERENCES
in
MRID
order
00056414
Farr,
M.
J.;
Heath,
S.
A.
B.;
Rivett,
K.
F.;
et
al.
(
1968)
Herbicides:
Asulam:
Chronic
Oral
Toxicity
in
the
Dog:
PRG/
180.
(
Unpublished
study
received
Jun
11,
1972
under
2G1200;
prepared
by
May
&
Baker,
Ltd.,
submitted
by
Rhodia,
Inc.,
New
Brunswick,
N.
J.;
CDL:
091017
Q).
00081183
Hastings,
S.
E.;
Winbigler,
J.
C.;
Page,
J.
G.;
et
al.
(
1978)
Eighteen
Month
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Study
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Technical
in
Mice:
Report
No.
SEH
77:
1.
(
Unpublished
study
received
Apr
12,
1979
under
359
662;
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
238026
A;
238027;
238028).
00082250
Hastings,
S.
E.;
Huffman,
K.
W.
(
1975)
Dominant
Lethal
Study
of
Asulam
in
Mice:
Report
No.
SEH
75:
94.
(
Unpublished
study
re
ceived
Dec
17,
1975
under
6F1717;
submitted
by
Rhodia,
Inc.,
New
Brunswick,
N.
J.;
CDL:
098085
E).
00083453
Hastings,
S.
E.;
Huffman,
K.
W.
(
1975)
Dominant
Lethal
Study
of
Asulam
in
Mice:
Report
No.
SEH
75:
94.
(
Unpublished
study
re
ceived
on
unknown
date
under
6F1716;
submitted
by
Rhodia,
Inc.,
New
Brunswick,
N.
J.;
CDL:
097998
J).
00098533
Brentnall,
D.
W.
(
1977)
Asulam:
Acute
Inhalation
Toxicity
of
the
Dry
Powder
in
Rats:
RES.
No.
2938.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
Eng
land,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junc
tion,
N.
J.;
CDL:
070776
C)
00098534
Ward,
R.
J.
(
1981)
Asulam
(
Technical
Grade):
Primary
Eye
Irrita
tion
Study
in
the
Rabbit:
Report
Ref.
R.
Tox.
57.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
D)
00098535
Dale,
E.
A.;
Grimmett,
J.
E.
(
1977)
Asulam:
Tests
for
Primary
Skin
Irritation
in
Rabbits
and
Skin
Sensitization
in
Guinea
Pigs:
RES/
2853.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
E)
00098536
Dale,
E.
A.;
Ingham,
B.;
Woolf,
N.;
et
al.
(
1979)
Asulam:
Six
Month
Oral
Toxicity
Study
in
Beagles:
Report
Ref.
RES
3699.
(
Unpub
lished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
18
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
F)
00098537
Brentnall,
D.
W.;
Farr,
M.
J.;
Woolf,
N.
(
1977)
Asulam:
1
Month
Inhalation
Toxicity
of
the
Dry
Powder
in
Rats:
RES/
3014.
(
Un
published
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
G)
00098538
Copping,
G.
P.
(
1981)
Asulam:
Teratogenicity
Study
by
the
Oral
Route
in
the
Rat:
Report
Ref.
R.
Tox.
11.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Mon
mouth
Junction,
N.
J.;
CDL:
070776
H)
00098539
Copping,
G.
P.
(
1981)
Asulam:
Teratogenicity
Study
by
the
Oral
Route
in
the
Rabbit:
Report
Ref.
R.
Tox.
37.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Mon
mouth
Junction,
N.
J.;
CDL:
070776
I)
00098540
Brentnall,
D.
W.;
Woolf,
N.
(
1981)
Asulam:
Two
Generation
Repro
duction
Study
in
the
Rat:
Report
Ref.
R.
Tox.
34.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
May
&
Baker,
Ltd.,
England,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
J)
00098541
McGregor,
D.
B.;
Crichton,
C.
(
1977)
Mutagenicity
Testing
of
Asulam,
M
&
B
9057:
Report
No.
807.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
Inveresk
Research
International,
Scotland,
submitted
by
Rhone
Poulenc
Chemical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070776
K).
00098543
Hunter,
B.;
Barnard,
A.
V.;
Street,
A.
E.;
et
al.
(
1981)
Asulam:
Tox
icity
and
Tumorigenicity
in
Prolonged
Dietary
Administration
to
Rats:
HRC
Report
No.
M
&
B
95/
80554.
Final
rept.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
prepared
by
Hunting
don
Research
Centre,
England,
submitted
by
Rhone
Poulenc
Chem
ical
Co.,
Monmouth
Junction,
N.
J.;
CDL:
070777
A).
00108811
Rhone
Poulenc
Chemical
Company
(
1981?)
Animal:
Metabolism
Studies
with
Asulam|.
(
Unpublished
study
received
Apr
16,
1982
under
359
662;
CDL:
070778
C).
40415301
Galloway,
S.;
Myhr,
B.
(
1984)
Asulum:
Mutagenicity
Evaluation
of
Asulum
Technical
(
Dried)
in
an
in
vitro
Cytogenetic
Assay
Meas
uring
Chromosome
Aberration
Frequencies
in
Human
Lymphocytes:
LBI
Proj.
No.
20990.
Unpublished
study
prepared
by
Litton
Bio
netics,
Inc.
24
p.
19
Asulam
(
December,
2001)
RED
Toxicology
Chapter
40415302
Hoorn,
A.
(
1983)
Asulum:
Mutagenicity
Evaluation
of
Asulam
Techni
cal
in
the
Ames
Salmonella/
Microsome
Plate
Test
Preincubation
Method:
Genetics
Assay
No.
E
9177.
Unpublished
study
prepared
by
Litton
Bionetics,
Inc.
22
p.
40960501
Myers,
R.;
Christopher,
S.
(
1988)
Asulam
Sodium
Salt:
Acute
Peroral
(
Rat)
and
Percutaneous
(
Rabbit)
Toxicity
Studies:
Laboratory
Project
ID
51
620.
Unpublished
study
prepared
by
Union
Carbide
Bushy
Run
Research
Center.
16
p.
40960502
Nachreiner,
D.;
Klonne,
D.
(
1988)
Asulam
(
Sodium
Salt):
Acute
Dust
Aerosol
Inhalation
Toxicity
Test
in
Rats:
Laboratory
Project
ID
51
583.
Unpublished
study
prepared
by
Union
Carbide
Bushy
Run
Research
Center.
28
p.
40977601
Dale,
E.;
Ingham,
B.;
Woolf,
N.;
et
al
(
1980)
Asulum:
Six
Month
Oral
Toxicity
Study
in
Beagles:
Supplemental
Raw
Data:
Proj.
ID
RES/
3699.
Unpublished
study
prepared
by
Rhone
Poulenc
Ag
Co.
207
p.
41361601
Nachreiner,
D.;
Klonne,
D.
(
1988)
Asulam
(
Sodium
Salt):
Acute
Dust
Aerosol
Inhalation
Toxicity
Test
in
Rats:
Lab
Project
Number:
51
583.
Unpublished
study
prepared
by
Bushy
Run
Research
Cent
er.
28
p.
42110001
Cummins,
H.
(
1987)
FR
1398/
1:
Acute
Oral
Toxicity
Study
in
the
Rat:
Lab
Project
Number:
87/
MBL071/
011.
Unpublished
study
prepared
by
Life
Science
Research
Ltd.
20
p.
42110002
Blair,
M.
(
1989)
Eight
Week
Range
Finding
Dietary
Toxicity
Study
in
Mice:
Lab
Project
Number:
347
033.
Unpublished
study
prepared
by
International
Research
and
Development
Corp.
182
p.
42338201
Blair,
M.
(
1992)
Two
Year
Dietary
Oncogenicity
Study
in
Mice:
Asulam
Sodium
Salt:
Lab
Project
Number:
347
036.
Unpublished
study
prepared
by
International
Research
and
Development
Corp.
2959
p.
43185701
Godward,
P.
(
1980)
Asulam
Content
of
Fortified
Rat
Diets
Used
in
a
Reproduction
Study:
Lab
Project
Number:
AR/
1715.
Unpublished
study
prepared
by
May
&
Baker
Ltd.
28
p.
20
Asulam
(
December,
2001)
RED
Toxicology
Chapter
43185702
Copping,
G.
(
1981)
Mating
Records
and
Randomization
Procedures
for
the
Asulam:
Teratogenicity
Study
by
the
Oral
Route
in
the
Rat
(
MRID
00098538):
Supplement:
Lab
Project
Number:
R/
TOX/
11:
39361.
Unpublished
study
prepared
by
May
&
Baker
Ltd.
8
p.
44052001
Brentnall,
D.;
Woolf,
N.
(
1981)
Asulam:
Two
Generation
Reproduction
Study
in
the
Rat:
Replacement
of
MRID
98540:
Lab
Project
Number:
R.
TOX.
34.
Unpublished
study
prepared
by
May
&
Baker,
Ltd.
and
Middlesex
Hospital
Medical
School.
206
p.
21
Asulam
(
December,
2001)
RED
Toxicology
Chapter
22
Asulam
(
December,
2001)
RED
Toxicology
Chapter
9.0APPENDICES
Tables
for
Use
in
Risk
Assessment
23
Asulam
(
December,
2001)
RED
Toxicology
Chapter
9.1
Toxicity
Profile
Summary
Tables
9.1.1
Acute
Toxicity
Table
See
Section
4.1
9.1.2
Subchronic,
Chronic
and
Other
Toxicity
Tables
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.3100
90
Day
oral
toxicity
in
rodents
See
combined
chronic
feeding
and
carcinogenicity
study.
See
combined
chronic
feeding
and
carcinogenicity
study.
870.3150
90
Day
oral
toxicity
in
nonrodents
00056414
(
1968)/
Unacceptable/
Guideline/
0,
5,
50
or
500
mg/
kg/
day.
LOAEL
=
500
mg/
kg/
day,
based
on
increased
absolute
and
relative
thyroid
weights
in
male
and
female
dogs.
NOAEL
=
50
g/
kg/
day
870.3200
21
Day
dermal
toxicity
in
rabbits
41076901
(
1989)
Acceptable/
Guideline/
0
or
1000
mg/
kg/
day.
NOAEL
=
1000
g/
kg/
day
870.3250
90
Day
dermal
toxicity
No
study.
No
study.
870.3465
90
Day
inhalation
toxicity
No
study.
No
study
870.3700a
Prenatal
developmental
in
rodents
00098538/(
1981)/
Accept
able/
guideline/
0,
500,
1,000,
or
1,500
mg/
kg/
day
Maternal
l
LOAEL
=
1,500
mg/
kg/
day
based
on
body
weight
gain
decrement.
aternal
Maternal
NOAEL
=
1,000
mg/
kg/
day.
Developmental
LOAEL
=
1,500
mg/
kg/
day
based
on
slight
to
moderate
increase
in
preimplantation
loss.
Developmental
NOAEL
=
1,000
mg/
kg/
day.
870.3700b
Prenatal
developmental
in
rabbits
00098539/
1981/
Acceptable/
Guideline/
0,
60,
300,
or
750
mg/
kg/
day
Maternal
LOAEL
=
750
mg/
kg/
day
based
on
decreased
body
weight
during
the
dosing
period.
Maternal
NOAEL
=
300
mg/
kg/
day.
Developmental
NOAEL
=
750
mg/
kg/
day.
m
m
The
m
24
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.3800
Reproduction
and
fertility
effects
00098540/
1981/
Acceptable/
0,
50,
250
or
1250
mg/
kg/
day.
Parental/
Systemic
LOAEL
=
1250
g/
kg/
day
(
HDT)
based
on
decreased
body
weights
(
F0
males,
F1
females)
and
organ
weight
effects
(
increased
absolute
and
relative
thyroid
weights
in
F1
males
and
F2
males
and
females,
increased
absolute
and
relative
liver
weights
in
F1
females,
and
increased
ovarian
weights
in
F1
females
at
31
days
old
but
not
at
terminal
necropsy).
Parental/
Systemic
NOAEL
=
250
mg/
kg/
day.
Reproductive/
Offspring
LOAEL
=
250
mg/
kg/
day
based
on
decreased
mean
live
births
per
litter.
Reproductive/
Offspring
NOAEL
=
50
mg/
kg/
day.
870.4100a
Chronic
toxicity
rodents
See
combined
chronic
feeding
and
carcinogenicity
study.
See
combined
chronic
feeding
and
carcinogenicity
study.
870.4100b
Chronic
toxicity
dogs
00098536/
1979/
Acceptable/
Nonguideline
/
0,
60,
300,
or
1,500
mg/
kg/
day.
LOAEL
=
g/
kg/
day,
based
on
significant
(
p
<
0.05)
increases
in
absolute
thyroid
weights
in
females.
roid
weights
were
elevated
at
the
high
dose
(
1500
mg/
kg/
day)
in
both
males
and
females.
roid
weights
in
the
mid
and
high
dose
females
appeared
dose
related.
NOAEL
=
60
mg/
kg/
day.
870.4200
Combined
Chronic
Feeding
and
Carcinogenicity
rats
00098543/
1981/
Acceptab
le
Guideline/
0,
36,
180
and
953
mg/
kg/
day
in
males
and
0,
47,
243
and
1,280
mg/
kg/
day
in
females.
LOAEL
=
180
mg/
kg/
day,
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
NOAEL
=
36
mg/
kg/
day.
Under
the
conditions
of
this
study,
there
was
evidence
of
an
increase
in
tumor
incidence
in
males
when
compared
to
controls.
Therefore,
asulam
is
a
potential
oncogen
in
this
study.
870.4300
Carcinogenicity
mice
42338201/
1982/
Acceptable/
Guideline/
0,
74,
730
and
8,040
mg/
kg/
day
in
males
and
0,
95,
938
and
10,353
mg/
kg/
day
in
females
LOAEL
=
8,040
mg/
kg/
day
in
males,
and
10,353
mg/
kg/
day
in
females,
based
on
increased
spleen
weight
and
decreased
body
weight
gain
in
males,
and
decreased
brain
weight
and
survival
in
females.
NOAEL
=
730
mg/
kg/
day
in
males
and
938
mg/
kg/
day
in
females.
Under
the
conditions
of
this
study,
there
was
no
evidence
of
carcinogenicity
of
asulam.
m
300
m
Absolute
and
relative
thy
The
increased
absolute
thy
25
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.4300
Carcinogenicity
mice
00081183/
1978/
Unacceptable/
Guideline/
0,
225,
and
750
mg/
kg/
day.
LOAEL
=
225
mg/
kg/
day,
based
on
enlargement
of
the
spleen
in
females,
decreased
absolute
and
relative
thyroid
weights
in
females,
intestinal
calcification
in
males
and
females,
and
a
dose
related
increase
in
the
incidence
of
mild
skin/
subcutis
hyperkeratosis
in
males.
NOAEL
was
not
achieved.
Under
the
conditions
of
this
study,
there
was
no
definitive
evidence
of
carcinogenicity
of
asulam.
One
Month
Inhalation
study
in
the
rat
00098537/
1977/
Accept
able
Nonguideline/
nose
only
exposure
at
concentrations
of
0,
1.6,
3.9,
or
15.3
mg/
L
for
4
hours
per
day,
5
days
per
week,
for
4
weeks.
NOAEL
=
15.3
mg/
L
(
HDT).
Oral
Range
Finding
in
mice
42110002/
1989/
Accept
able
Nonguideline/
0,
512,
1,673,
5,103,
and
9,022
mg/
kg/
day
for
males,
and
0,
675,
2,263,
6,835,
and
10,828
mg/
kg/
day
for
females
LOAEL
=
9,022
mg/
kg/
day
based
on
decreased
body
weight
and
body
weight
gain
in
males.
NOAEL
is
5,103
mg/
kg/
day.
Gene
Mutation
870.
A
table
presenting
the
mutagenicity
data
base
is
already
included
under
section
4.7.
870.6200a
Acute
neurotoxicity
screening
battery
No
study.
No
study
870.6200b
Subchronic
neurotoxicity
screening
battery
No
study.
No
study.
870.6300
Developmental
neurotoxicity
Not
required.
26
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Guideline
No./
Study
Type
MRID
No.
(
year)/
Classification
/
Doses
Results
870.7485
Metabolism
and
pharmaco
kinetics
41345601
(
1989)
Metabolism
studies
in
the
rat
demonstrate
that
asulam
was
rapidly
eliminated,
primarily
in
the
urine,
following
administration
of
a
single
oral
or
intravenous
dose,
or
after
repeated
intravenous
doses
for
14
days.
No
unusual
localization
of
asulam
occurred
in
tissues.
Unchanged
parent
compound
was
identified
as
the
major
excretory
product,
with
acetylasulam
and
acetylsulphanilamide
as
minor
metabolites.
870.7600
Dermal
absorpt
ion
No
Study.
No
Study.
27
9.2
Summary
of
Toxicological
Dose
and
Endpoints
for
Asulam
for
Use
in
Human
Risk
Assessment1
Exposure
Scenario
Dose
Used
in
Risk
Assessment,
UF
FQPA
SF
and
Endpoint
for
Risk
Assessment
Study
and
Toxicological
Effects
Acute
Dietary
No
appropriate
study
for
a
single
dose
risk
assessment.
Chronic
Dietary
all
populations
NOAEL=
36
mg/
kg/
day
UF
=
100
Chronic
RfD
=
0.36
mg/
kg/
day
FQPA
SF
=
cPAD
=
chr
RfD
FQPA
SF
=
mg/
kg/
day
Combined
Chronic
Toxicity/
Oncogenicity
study
(
MRID
No.:
00098543).
LOAEL
=
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
the
thyroid
follicular
cells
of
males.
Short
Term
Oral
(
1
30
days)
(
Residential)
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
Intermediate
Term
Oral
(
30
days
to
six
months)
(
Residential)
A
toxicity
endpoint
was
not
selected
because
there
are
no
residential
uses.
Short
Term
Dermal
(
1
30
days)
(
Occupational)
Oral
study
NOAEL=
50
mg/
kg/
day
LOC
for
MOE
=
100
(
Occupational)
Two
Generation
Reproduction
Study
(
MRID
No.:
00098540).
LOAEL
=
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Intermediate
Term
Dermal
(
30
days
to
six
months)
(
Occupational)
Oral
study
NOAEL=
50
mg/
kg/
day
LOC
for
MOE
=
100
(
Occupational)
Two
Generation
Reproduction
Study
(
MRID
No.:
00098540).
LOAEL
=
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Long
Term
Dermal
(
several
months
lifetime)
(
Occupational)
NOAEL=
36
mg/
kg/
day
LOC
for
MOE
=
100
(
Occupational)
Combined
Chronic
Toxicity/
Oncogenicity
study
(
MRID
No.:
00098543).
LOAEL
=
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
the
thyroid
follicular
cells
of
males.
Asulam
(
December,
2001)
RED
Toxicology
Chapter
28
Asulam
(
December,
2001)
RED
Toxicology
Chapter
Exposure
Scenario
Dose
Used
in
Risk
Assessment,
UF
FQPA
SF
and
Endpoint
for
Risk
Assessment
Study
and
Toxicological
Effects
Short
Term
Inhalation
(
1
30
days)
(
Occupational)
Oral
study
NOAEL=
50
mg/
kg/
day
(
inhalation
absorption
rate
=
100%)
LOC
for
MOE
=
100
(
Occupational)
Two
Generation
Reproduction
Study
(
MRID
No.:
00098540).
LOAEL
=
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Intermediate
Term
Inhalation
(
30
days
to
six
months)
(
Occupational)
Oral
study
NOAEL=
50
mg/
kg/
day
LOC
for
MOE
=
100
(
Occupational)
Two
Generation
Reproduction
Study
(
MRID
No.:
00098540).
LOAEL
=
250
mg/
kg/
day
based
on
significant
decreases
in
mean
live
births
per
litter.
Long
Term
Inhalation
(
several
months
lifetime)
(
Occupational)
NOAEL=
36
mg/
kg/
day
LOC
for
MOE
=
100
(
Occupational)
Combined
Chronic
Toxicity/
Oncogenicity
study
(
MRID
No.:
00098543).
LOAEL
=
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
the
thyroid
follicular
cells
of
males.
Cancer
Classified
as
a
Group
C
carcinogen
(
possible
human
carcinogen).
No
quantification
of
carcinogenic
risk.
Not
Applicable
Not
Applicable
1
UF
=
uncertainty
factor,
FQPA
SF
=
FQPA
safety
factor,
NOAEL
=
no
observed
adverse
effect
level,
LOAEL
=
lowest
observed
adverse
effect
level,
PAD
=
population
adjusted
dose
(
a
=
acute,
c
=
chronic)
RfD
=
reference
dose,
LOC
=
level
of
concern,
MOE
=
margin
of
exposure
29
| epa | 2024-06-07T20:31:45.413847 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0005/content.txt"
} |
EPA-HQ-OPP-2002-0329-0006 | Supporting & Related Material | 2002-12-06T05:00:00 | null | MEMORANDUM
Subject:
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Tolerance
Reassessment
Eligibility
Decision
Document.
Product
and
Residue
Chemistry
Chapter.
DP
Barcode
D278884.
From:
José
J.
Morales,
Chemist
Reregistration
Branch
III
Health
Effects
Division
(
7509C)
Through:
Catherine
Eiden,
Branch
Senior
Scientist
Reregistration
Branch
III
Health
Effects
Division
(
7509C)
To:
Demson
Fuller,
Chemical
Review
Manager
Reregistration
Branch
I
Special
Review
and
Reregistration
Division
(
7508W)
SRRD
has
requested
that
HED
conduct
a
Tolerance
Reassessment
Eligibility
Decision
Document
for
asulam.
The
Asulam
Reregistration
Standard
Guidance
Document
was
issued
12/
87
and
was
based
on
the
Asulam
Reregistration
Standard
Science
Chapter
dated
8/
28/
87.
The
Asulam
Product
and
Residue
Reregistration
Standard
Update
was
completed
1/
15/
91.
The
Product
Chemistry
Chapter
and
the
Residue
Chemistry
Chapter
for
the
Asulam
Reregistration
Eligibility
Document
(
RED)
were
completed
on
04/
16/
94
(
DP
Barcodes
D193175
and
D198030;
CBRS
Nos.
12299
and
13041).
A
revision
to
the
chronic
anticipated
residues
(
Table
C)
was
subsequently
made
(
S.
Funk,
DP
Barcode
D208551,
CBRS
No.
14623,
12/
06/
94).
The
Metabolism
Committee
met
on
12/
13/
94
and
decided
that
the
metabolite
quinone/
hydroquinone
need
not
be
considered
further
in
risk
assessments
(
S.
Funk,
01/
18/
95
Memorandum
of
Committee
Meeting).
The
Residue
Chemistry
Chapter
was
revised
(
1/
24/
95,
D198030,
S.
Funk)
to
incorporate
the
deletion
of
quinone/
hydroquinone
from
the
residue
of
concern,
the
revised
anticipated
residues,
and
the
review
of
a
registrant
submission
on
storage
stability
received
after
the
original
Chapter
date
(
04/
94).
A
tolerance
is
established
for
negligible
residues
of
asulam
per
se
in/
on
sugarcane
at
0.1
ppm
[
40
CFR
§
180.360].
HED
has
recommended
that
the
tolerance
expression
be
revised
to
include
all
metabolites
containing
the
sulfanilamide
moiety.
An
adequate
enforcement
method
is
available
for
the
determination
of
combined
residues
of
asulam
and
all
metabolites
containing
the
sulfanilamide
moiety
in/
on
sugarcane.
Conclusion
All
residue
chemistry
deficiencies
noted
in
the
1/
24/
95
Residue
Chemistry
Chapter
of
the
Asulam
RED
have
been
adequately
addressed.
Sufficient
data
are
now
available
to
reassess
all
tolerances
associated
with
asulam
use
listed
in
40
CFR
§
180.360.
Some
product
chemistry
deficiencies
remain
outstanding,
but
they
do
not
impact
the
tolerance
reassessment
decision.
Background
Asulam
(
methyl
4
sulfanilylcarbamate)
is
a
postemergent
systemic
carbamate
herbicide
marketed
under
the
trade
name
ASULOX
®
Herbicide
by
Aventis
CropScience.
ASULOX
®
contains
the
sodium
salt
of
asulam
and
is
registered
for
use
on
sugarcane
as
a
3.34
lb/
gal
soluble
concentrate/
liquid
(
SC/
L)
formulation.
This
formulation
may
be
applied
postemergence
as
a
band
or
broadcast
application
using
ground
or
aerial
equipment
or
as
a
spot
treatment.
Apart
from
ITS
food
use
on
sugarcane,
asulam
is
used
on
christmas
tree
plantations,
ornamentals,
turf
(
sod
farms
only)
and
non
cropland
uses.
Asulam
is
primarily
used
in
agriculture
with
key
markets
in
Florida
and
Louisiana.
Sugarcane
is
the
major
use
site
for
asulam
(
95%
of
the
market).
The
asulam
use
rate,
for
sugarcane,
ranges
from
2.5
to
3.34
lbs
a.
i./
A
and
can
applied
up
to
two
times
per
year.
For
all
other
uses,
it
can
be
applied
only
once.
The
average
rate
of
2.5
lbs
ai/
acre
is
the
typical
labeled
use
rate
for
Sugarcane.
Apart
from
its
use
on
sugarcane,
asulam
is
used
on
Christmas
tree
plantations,
ornamentals,
turf
(
Sod
Farms
Only)
and
non
cropland
uses
(
boundary
fences,
fencerows,
hedgerows,
lumberyards,
storage
areas
and
industrial
plant
sites,
and
warehouse
lots).
For
Christmas
trees
and
ornamentals,
the
label
use
rate
is
3.34
lbs
a.
i./
A
and
can
be
applied
once
per
year
as
a
postemergent
treatment.
For
turf,
the
label
use
rate
is
about
2
lbs.
a.
i./
A
and
can
be
applied
once
per
year.
For
non
cropland
uses,
the
label
use
rate
ranges
between
2.9
lbs
a.
i./
A
to
3.34
lbs
a.
i./
A
and
can
be
applied
once
per
year.
Detailed
Considerations
The
following
deficiencies
were
noted
in
the
1/
24/
95
HED
Residue
Chemistry
Chapter:
GLN
860.1200:
Directions
for
Use
The
registrant
must
submit
label
amendment
requests
for
the
use
of
asulam
on
sugarcane.
The
amendments
must
include
lower
maximum
application
rates
and/
or
longer
PHIs,
must
be
region
specific,
and
must
be
supported
by
new
field
trials.
2
GLN
860.1300:
Nature
of
the
Residue
Plants
The
HED
Metabolism
Committee
has
determined
that
the
presence
or
absence
of
radiolabeled
quinone
and/
or
hydroquinone
must
be
determined
by
a
new
sugarcane
metabolism
study.
It
was
also
concluded
that
determination
of
asulam,
free
and
conjugated,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
as
a
common
moiety
is
acceptable.
GLN
860.1500:
Crop
Field
Trials
New
field
trials
are
required
for
sugarcane
using
modified
PHIs
and
application
rates;
current
data
show
an
overtolerance
situation
for
the
combined
residue
of
asulam
and
its
sulfanilamide
containing
metabolites.
GLN
860.1850:
Confined
Accumulation
in
Rotational
Crops
A
confined
rotational
crop
study
is
required.
A
preliminary
report
was
submitted
(
MRID
41857701),
but
contained
no
details
on
the
isolation
and
characterization/
identification
of
the
radiolabeled
residues.
A
plantback
interval
of
at
least
6
months
is
required.
These
deficiencies
have
been
addressed
in
the
following
reviews:
The
HED
Metabolism
Committee
Meeting
Held
on
December
13,
1994:
Quinone/
Hydroquinone
Metabolite
of
Asulam
(
S.
Funk,
1/
24/
95,
DP
Barcode
none).
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Sugarcane
Field
Trials
(
S.
Funk,
DP
Barcode
D219787,
2/
23/
96).
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
RPAC
Response
to
the
Reregistration
Eligibility
Decision
Document.
MRID
43902500
(
Product
Chemistry).
MRID
43902501
(
Confined
Rotational
Crop).
S.
Funk,
DP
Barcode
D223175,
5/
14/
96.
The
following
deficiencies
remain
outstanding:
1.
The
registrant
proposes
a
tolerance
for
asulam
residue
in/
on
cane
of
0.5
ppm,
resulting
from
2
applications,
each
3.34
lbs.
a.
i./
Acre,
with
a
100
day
PHI.
The
data
do
not
support
this
tolerance.
For
the
proposed
use
pattern,
the
maximum
residue,
corrected
for
loss
in
storage,
is
0.71
ppm.
A
tolerance
of
1.0
ppm
is
appropriate
for
residues
of
asulam
and
the
sulfanilamide
containing
metabolites
in/
on
sugarcane.
This
replaces
the
original
tolerance
of
0.1
ppm
or
the
reevaluated
tolerance
of
15
ppm
from
the
Reregistration
Eligibility
Decision
Document
(
S.
Funk,
1/
24/
95,
D198030).
2.
HED
recommends
that
the
registrant
request
label
amendments
specifying
a
maximum
of
two
asulam
applications
per
year
to
sugarcane
at
a
maximum
single
application
rate
of
3
3.34
lbs.
a.
i./
A,
a
PHI
of
100
days
for
Louisiana,
a
PHI
of
140
days
for
the
remainder
of
the
US
mainland,
and
a
PHI
of
400
days
for
Hawaii.
If
the
registrant
requests
the
suggested
label
changes,
no
further
sugarcane
field
trial
data
are
required
for
asulam
at
this
time.
No
plantback
restrictions
are
required
on
the
label.
3.
Based
on
the
highest
average
field
trial
residue
and
the
concentration
factor
from
processing,
a
tolerance
of
30
ppm
is
needed
for
asulam
and
sulfanilamide
containing
metabolite
residues
in
molasses.
4.
The
decrease
in
the
sugarcane
tolerance
for
asulam
and
its
sulfanilamide
containing
metabolites
from
the
reevaluated
15
ppm
to
1
ppm
does
not
alter
the
previous
conclusion
that
residues
of
asulam
and
the
sulfanilamide
containing
metabolites
are
anticipated
in
ruminant
commodities
from
a
diet
containing
10%
molasses.
Animal
commodity
tolerances
should
be
proposed,
0.05
ppm
for
ruminant
milk
and
meat
and
fat
and
0.2
ppm
for
ruminant
meat
byproducts.
There
are
no
significant
poultry
feed
items;
poultry
commodity
tolerances
are
not
needed.
5.
Due
to
the
small
incremental
upper
bound
risk
from
hydroquinone/
quinone
on
sugarcane
from
the
use
of
asulam
when
compared
to
natural
background
levels
of
quinone/
hydroquinone
on
other
commodities,
no
further
risk
assessment
will
be
required
for
the
asulam
metabolite
hydroquinone/
quinone.
6.
Because
hydroquinone/
quinone
remains
a
chemical
of
toxicological
concern,
if
the
registrant
proposes
new
uses
for
this
chemical,
new
plant
metabolism
studies
must
be
performed
(
relevant
to
the
proposed
new
uses),
aimed
specifically
at
determining
the
presence
and
concentration
of
radiolabeled
hydroquinone/
quinone.
The
registrant
should
also
determine
the
naturally
occurring
background
levels
of
hydroquinone/
quinone
and
arbutin
in
sugarcane.
The
Metabolism
Committee
will
reconsider
its
position
if
new
metabolism
studies
show
that
quinone/
hydroquinone/
arbutin
comprises
a
significant
portion
of
the
radiolabeled
residue.
7.
The
following
product
chemistry
data
guidelines
remain
unfulfilled
for
the
technical
asulam
sodium
salt:
GLN
830.6317
(
Storage
Stability)
and
830.6320
(
Corrosion
Characteristics).
The
tolerance
reassessment
is
shown
in
Table
1.
4
Commodity
Table
1.
Tolerance
Reassessment
Summary
Current
Tolerance
(
ppm)
Tolerance
Reassessment
(
ppm)
Comment
Tolerance
listed
under
40
CFR
§
180.360
Sugarcane
0.1
1.0
Tolerances
to
be
Established
Under
40
CFR
§
180.360
Molasses
30
Milk
0.05
Meat
and
Fat
of
Cattle,
Goat,
Hogs,
Horses,
Sheep
0.05
Meat
byproducts
of
Cattle,
Goat,
Hogs,
Horses,
Sheep
0.2
Attachments:
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Update
to
Residue
Chemistry
Chapter
for
the
Reregistration
Eligibility
Decision
Document
(
S.
Funk,
1/
24/
95,
DP
Barcode
D198030).
The
HED
Metabolism
Committee
Meeting
Held
on
December
13,
1994:
Quinone/
Hydroquinone
Metabolite
of
Asulam
(
S.
Funk,
1/
24/
95,
DP
Barcode
none).
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Sugarcane
Field
Trials
(
S.
Funk,
DP
Barcode
D219787,
2/
23/
96).
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
RPAC
Response
to
the
Reregistration
Eligibility
Decision
Document.
MRID
43902500
(
Product
Chemistry).
MRID
43902501
(
Confined
Rotational
Crop).
S.
Funk,
DP
Barcode
D223175,
5/
14/
96.
5
| epa | 2024-06-07T20:31:45.421758 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0006/content.txt"
} |
EPA-HQ-OPP-2002-0329-0007 | Supporting & Related Material | 2002-12-06T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
MEMORANDUM
DATE:
December
18,
2001
SUBJECT:
Asulam.
Chronic
Dietary
Exposure
Assessment
for
the
Tolerance
Reassessment
Eligibility
Decision
Document
(
TRED);
PC
codes
106901;
DP
Barcode
D279592.
FROM:
José
J.
Morales,
Chemist
Reregistration
Branch
III
Health
Effects
Division
(
7509C)
THROUGH:
Catherine
Eiden,
Branch
Senior
Scientist
Reregistration
Branch
III
Health
Effects
Division
(
7509C)
and
Chemistry
Science
Advisory
Council
(
Chem
SAC)
Health
Effects
Division
(
7509C)
and
Jennifer
Tyler
Sherrie
Kinard
Dietary
Exposure
Science
Advisory
Council
(
DESAC)
Health
Effects
Division
(
7509C)
TO:
Demson
Fuller,
Chemical
Review
Manager
Reregistration
Branch
I
Special
Review
and
Reregistration
Division
(
7508C)
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
1
EPA
Reviewer:
,
Date
STUDY
TYPE:
Asulam.
Chronic
Dietary
Exposure
Assessment
for
the
Tolerance
Reassessment
Eligibility
Decision
Document
(
TRED).
ACTIVE
INGREDIENT:
Sodium
Asulam
SYNONYMS:
Asulox
®
RESIDUE
OF
CONCERN:
The
qualitative
nature
of
the
residue
in
plants
is
adequately
understood
based
on
sugarcane
metabolism
studies.
The
terminal
residues
of
concern
are
free
and
conjugated
asulam,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
determined
as
a
common
moiety.
The
qualitative
nature
of
the
residue
in
animals
is
adequately
understood
based
on
acceptable
poultry
and
ruminant
metabolism
studies.
The
terminal
residues
of
concern
are
free
and
conjugated
asulam,
sulfanilamide,
N4
acetylasulam,
and
N4
acetylsulfanilamide
determined
as
a
common
moiety.
Executive
Summary
A
chronic
dietary
exposure
assessment
was
requested
to
determine
the
dietary
exposure
estimates
associated
with
the
use
of
asulam
in/
on
sugarcane
to
support
the
Tolerance
Reassessment
Eligibility
Document.
Sugarcane
is
the
only
registered
use
for
this
chemical.
Anticipated
residues
were
calculated
using
field
trial
data.
No
monitoring
data
exist
for
asulam.
In
addition,
estimates
of
percent
crop
treated
(%
CT)
generated
by
BEAD
were
used
to
refine
the
assessment.
Risk
estimates
were
generated
for
chronic
(
longer
term)
dietary
exposure
using
the
most
recent
version
of
the
Dietary
Exposure
Evaluation
Model
(
DEEM
,
Version
7.73),
and
toxicological
doses
and
endpoints
selected
by
the
HED
Hazard
Identification
Assessment
Review
Committee
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
2
(
HIARC)
for
asulam
risk
assessments.
The
committee
did
not
select
an
acute
dietary
endpoint
for
asulam.
A
refined
Tier
2/
3
chronic
dietary
risk
assessment
was
conducted
for
all
supported
(
i.
e.,
currently
registered
and
proposed)
asulam
food
uses.
Dietary
risk
estimates
are
provided
for
the
general
U.
S.
population
and
various
population
subgroups.
This
assessment
concludes
that
for
all
commodities,
the
chronic
risk
estimates
are
below
the
Agency's
level
of
concern
(<
100%
cPAD1)
for
the
general
U.
S.
population
(<
1%
of
the
cPAD)
and
all
population
subgroups.
The
chronic
dietary
exposure
estimate
for
children
1
6
years
[
highest
exposed
population
subgroup]
is
1%
of
the
cPAD.
I.
Introduction
Exposure
to
pesticides
can
occur
through
food,
water,
residential
and
occupational
means.
Risk
assessment
incorporates
both
exposure
and
toxicity
of
a
given
pesticide.
The
risk
is
expressed
as
a
percentage
of
a
dose
that
could
be
expressed
as
a
daily
or
a
long
term
dose,
to
pose
no
unreasonable
adverse
effects.
This
is
called
the
population
adjusted
dose
(
PAD),
and
is
expressed
as
%
PAD.
References
are
available
on
the
EPA/
pesticides
web
site
which
discuss
the
acute
and
chronic
risk
assessments
in
more
detail:
"
Available
Information
on
Assessing
Exposure
from
Pesticides,
A
User's
Guide",
6/
21/
2000,
web
link:
http://
www.
epa.
gov/
fedrgstr/
EPA
PEST/
2000/
July/
Day
12/
6061.
pdf
;
or
see
SOP
99.6,
8/
20/
99.
The
purpose
of
this
memorandum
is
to
summarize
the
results
of
the
dietary
risk
assessment
for
the
general
U.
S.
population
and
various
population
subgroups
resulting
from
exposure
to
asulam
through
food.
This
risk
assessment
is
the
first
dietary
risk
analysis
that
has
been
conducted
for
asulam
under
FQPA.
A
previous
chronic
dietary
risk
assessment
was
done
by
the
former
Science
Analysis
Branch
in
HED
using
DRES
(
E.
Doyle,
1/
3/
95,
no
DP
Barcode).
II.
Toxicological
Information
In
a
previous
meeting
(
March
19,
1998),
the
Health
Effects
Division's
Hazard
Identification
Assessment
Review
Committee
(
HIARC)
met
to
evaluate
the
toxicology
data
base
for
asulam
and
to
select
doses
and
endpoints
for
the
human
health
risk
assessment.
The
HIARC
met
again
on
November
13,
2001
for
a
revisit
of
asulam
for
toxicological
endpoint
selection
for
use
in
occupational/
residential
exposure
risk
assessments.
In
addition,
the
potential
for
increased
susceptibility
of
infants
and
children
from
exposure
to
asulam
was
re
evaluated.
The
FQPA
Safety
Factor
Committee
met
on
12/
10/
01
to
evaluate
both
the
hazard
and
exposure
databases
and
recommended
that
the
10x
FQPA
Safety
Factor
for
asulam
be
retained.
A
summary
of
the
doses
and
endpoints
relevant
to
dietary
exposure
assessment
are
presented
in
Table
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
3
I.
Table
I.
Summary
of
Toxicological
Dose
and
Endpoints
for
Asulam
for
Use
in
Dietary
Exposure
Assessment
Exposure
Scenario
Dose
Used
in
Risk
Assessment,
UF
FQPA
SF*
and
Endpoint
for
Risk
Assessment
Study
and
Toxicological
Effects
Acute
Dietary
An
appropriate
endpoint
attributable
to
a
single
dose
was
not
identified.
Chronic
Dietary
all
populations
NOAEL=
[
36
]
mg/
kg/
day
UF
=
[
100
]
Chronic
RfD
=
[
0.36
]
mg/
kg/
day
FQPA
SF
=
[
10x
]
cPAD
=
chronic
RfD
/
FQPA
SF
=
[
0.036
]
mg/
kg/
day
Combined
Chronic
Toxicity/
Oncogenicity
in
the
rat.
The
LOAEL
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Cancer
The
Carcinogenicity
Peer
Review
Committee
classified
asulam
as
a
"
Group
C,"
possible
human
carcinogen.
III.
Residue
Information
Asulam
Use:
A
tolerance
is
established
for
negligible
residues
of
asulam
per
se
in/
on
sugarcane
at
0.1
ppm
[
40
CFR
§
180.360].
HED
has
recommended
that
the
tolerance
expression
be
revised
to
include
all
metabolites
containing
the
sulfanilamide
moiety.
An
adequate
enforcement
method
is
available
for
the
determination
of
combined
residues
of
asulam
and
all
metabolites
containing
the
sulfanilamide
moiety
in/
on
sugarcane.
HED's
recommendations
as
to
tolerance
reassessment
are
summarized
below:
Tolerance
Reassessment
for
Asulam
1.
The
existing
tolerance
of
0.1
ppm
for
asulam
residues
on
sugar
cane
established
in
40
CFR
§
180.360
has
been
reassessed.
HED
recommends
the
tolerance
be
raised
to
1.0
ppm;
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
4
2.
HED
recommends
a
tolerance
of
30
ppm
for
asulam
residues
in
molasses
from
sugar
cane
be
established
in
40
CFR
§
180.360;
3.
HED
recommends
a
tolerance
of
0.05
ppm
for
asulam
residues
in
milk,
and
meat
and
fat
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360;
4.
HED
recommends
a
tolerance
of
0.2
ppm
for
asulam
residues
in
meat
byproducts
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360;
5.
Because
there
are
no
poultry
feed
items
associated
with
asulam's
use,
tolerances
on
poultry
tissues
and
eggs
are
not
warranted.
Chronic
Assessment:
There
are
no
available
monitoring
data
for
asulam.
Residue
data
were
reviewed
in
the
following
document:
"
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Sugarcane
Field
Trials.
CBRS
No.
16299.
DP
Barcode
D219787.
S.
Funk.
2/
22/
96."
The
highest
residue
found
for
a
use
pattern
of
2
X
3.34
lbs.
a.
i./
A
and
a
100
day
PHI
is
0.213
ppm.
Correction
for
loss
in
storage
gives
a
residue
value
of
0.71
ppm.
Thus,
an
appropriate
tolerance
for
the
combined
residue
of
asulam
and
sulfanilamide
containing
metabolites
in/
on
sugarcane
is
1
ppm.
Asulam
residues
concentrate
in
blackstrap
molasses
by
a
factor
of
about
48X
(
S.
Funk,
CBRS
None,
DP
Barcode
None,
01/
21/
95).
Molasses
is
considered
to
be
ready
to
eat
as
an
animal
feed
item.
Therefore,
a
tolerance
of
30
ppm
(
48
X
0.167
HAFT
ppm
/
0.30)
would
be
appropriate
for
asulam
residues
in
molasses
[
the
highest
average
field
trial
residue
(
2
X
3.34
lbs.
a.
i./
A,
100
day
PHI)
is
0.167
ppm,
and
this
value
is
corrected
for
70%
loss
in
storage].
Table
II
(
09/
95)
lists
"
molasses"
as
a
processed
commodity,
and
"
molasses"
encompasses
both
blackstrap
and
human
food
molasses.
Most
molasses
mixtures
are
prepared
from
A
strike
sugar
and
would
be
expected
to
contain
pesticide
residue
equal
or
less
in
concentration
than
those
of
refined
sugar.
Because
Table
II
does
not
distinguish
animal
feed
blackstrap
from
human
molasses,
the
chronic
residue
value
calculated
for
blackstrap
should
be
used
in
dietary
exposure
analysis
for
human
molasses.
Sugarcane
and
sugarcane
molasses
are
considered
blended
commodities
(
HED
SOP
99.6,
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
5
8/
20/
99).
The
anticipated
residues
for
chronic
dietary
risk
assessment
are
presented
in
Table
II.
Table
II.
Asulam
Anticipated
Residues
for
Chronic
Dietary
Risk
Assessment
Commodity
Asulam
and
Sulfanilamide
Containing
Metabolites
Existing
Tolerance
(
ppm)
Revised
Tolerance
(
ppm)
Chronic
Anticipated
Residue
(
ppm)
Sugar3
0.1
1
0.51
Molasses
None
30
242,4
1
The
average
of
the
average
residues
for
mainland
trials,
corrected
for
70%
loss,
or
0.126
/
0.30
=
0.42.
Percent
crop
treated
(
42%)
was
not
incorporated
in
the
calculations.
2
The
chronic
anticipated
residue
for
sugar
(
0.5
ppm)
multiplied
by
the
concentration
factor
for
processing
from
cane
to
blackstrap,
48,
or
48
X
0.5
=
24,
and
rounded
to
two
significant
figures.
Percent
crop
treated
(
42%)
was
not
incorporated
in
the
calculations.
3
No
significant
concentration
(
1
1.3X)
occurred
in
processing
cane
into
refined
sugar.
4
The
highest
average
field
trial
result
(
HAFT)
multiplied
by
the
48X
concentration
factor
for
the
conversion
of
cane
to
blackstrap
molasses.
Blackstrap
molasses,
defined
as
the
final
strike
residue
or
C
molasses
from
conventional
sugarcane
processing,
is
not
a
significant
human
food
item.
However,
these
values
should
be
used
for
human
molasses,
prepared
from
A
strike
sugar.
Animal
Commodity
Tolerances
The
reassessed
tolerance
of
1
ppm
for
asulam
in
sugarcane
yields
a
maximum
ruminant
diet
of
4
ppm
asulam,
resulting
from
ingestion
of
molasses
(
10%
diet,
tolerance
30
ppm,
75%
dry
matter).
Based
on
the
5
ppm
feeding
study
level
(
See
Table
III
below)
and
the
results
of
the
animal
metabolism
study,
the
anticipated
residues
in
animal
commodities
are
summarized,
as
follows
in
Table
IV:
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
6
Table
III.
Asulam
Residues
from
Feeding
Study
Commodity
Asulam
and
Sulfanilamide
Containing
Metabolites
5
ppm
Diet
(
1.2X)
50
ppm
Diet
(
12X)
20
ppm
Radiolabeled2
(
7
days)
Milk1
<
0.025
0.11
0.021
Fat
<
0.05
<
0.05
<
0.005
Kidney
0.12
0.34
0.162
Liver
<
0.05
0.08
0.090
Muscle
<
0.05
<
0.05
<
0.005
1
The
residue
plateaued
in
milk
on
day
13.
2
TRR,
including
all
radiolabeled
residue.
Table
IV.
Asulam
Anticipated
Residues
for
Animal
Commodities
Commodity
Asulam
and
Sulfanilamide
Containing
Metabolites
Initial
Tolerance
(
ppm)
Reassesse
d
Tolerance
(
ppm)
Anticipated
Residue1
(
ppm)
Milk
None
0.05
0.025
Cattle,
meat
None
0.05
0.05
Cattle,
mbyp
None
0.2
0.12
Cattle,
fat
None
0.05
0.05
Goats,
meat
None
0.05
0.05
Goats,
mbyp
None
0.2
0.12
Goats,
fat
None
0.05
0.05
Hogs,
meat
None
0.05
0.05
Hogs,
mbyp
None
0.2
0.12
Hogs,
fat
None
0.05
0.05
Horses,
meat
None
0.05
0.05
Horses,
mbyp
None
0.2
0.12
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
7
Horses,
fat
None
0.05
0.05
Sheep,
meat
None
0.05
0.05
Sheep,
mbyp
None
0.2
0.12
Sheep,
fat
None
0.05
0.05
1
Anticipated
residue
for
determination
of
human
dietary
risk.
Percent
crop
treated
(
42%)
was
not
incorporated
in
the
calculations.
Percent
Crop
Treated
Information:
Based
on
pesticide
usage
information
mainly
for
1992
through
2000
for
agriculture
and
1994
through
1999
for
non
agriculture,
total
annual
domestic
usage
of
sodium
asulam
is
approximately
1.3
million
pounds
active
ingredient
(
a.
i.)
allocated
by
site
mainly
to
sugarcane
(
95%),
lawn
care
operators
and
sod
farms
(
2%
each)
and
institutional
turf
(
1%).
The
average
percent
crop
treated
for
sugarcane,
the
only
registered
agricultural
crop,
is
about
42%.
States
of
most
usage
are
Florida,
Louisiana
and
Texas
(
A.
Halvorson,
7/
25/
01).
This
information
was
incorporated
into
the
dietary
assessment.
IV.
DEEM
Program
and
Consumption
Information
Asulam
chronic
dietary
exposure
assessment
was
conducted
using
the
Dietary
Exposure
Evaluation
Model
(
DEEM
)
software
Version
7.73,
which
incorporates
consumption
data
from
USDA's
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII),
1989
1992.
The
1989
92
data
are
based
on
the
reported
consumption
of
more
than
10,000
individuals
over
three
consecutive
days,
and
therefore
represent
more
than
30,000
unique
"
person
days"
of
data.
Foods
"
as
consumed"
(
e.
g.,
apple
pie)
are
linked
to
raw
agricultural
commodities
and
their
food
forms
(
e.
g.,
apples
cooked/
canned
or
wheat
flour)
by
recipe
translation
files
internal
to
the
DEEM
software.
Consumption
data
are
averaged
for
the
entire
US
population
and
within
population
subgroups
for
chronic
exposure
assessment,
but
are
retained
as
individual
consumption
events
for
acute
exposure
assessment.
For
chronic
exposure
and
risk
assessment,
an
estimate
of
the
residue
level
in
each
food
or
food
form
(
e.
g.,
orange
or
orange
juice)
on
the
commodity
residue
list
is
multiplied
by
the
average
daily
consumption
estimate
for
that
food/
food
form.
The
resulting
residue
consumption
estimate
for
each
food/
food
form
is
summed
with
the
residue
consumption
estimates
for
all
other
food/
food
forms
on
the
commodity
residue
list
to
arrive
at
the
total
estimated
exposure.
Exposure
estimates
are
expressed
in
mg/
kg
body
weight/
day
and
as
a
percent
of
the
cPAD.
This
procedure
is
performed
for
each
population
subgroup.
HED
notes
that
there
is
a
degree
of
uncertainty
in
extrapolating
exposures
for
certain
population
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
8
subgroups
from
the
general
U.
S.
population
which
may
not
be
sufficiently
represented
in
the
consumption
surveys,
(
e.
g.,
nursing
and
non
nursing
infants
or
Hispanic
females).
Therefore,
risks
estimated
for
these
population
subgroups
were
included
in
representative
populations
having
sufficient
numbers
of
survey
respondents
(
e.
g.,
all
infants
or
females,
13
50
years).
V.
Results/
Discussion
Exposures
>
100%
of
the
cPAD
exceed
HED's
level
of
concern.
That
is,
estimated
exposures
above
this
level
are
of
concern,
while
estimated
exposures
at
or
below
this
level
are
not
of
concern.
The
DEEM
analyses
estimate
the
dietary
exposure
of
the
U.
S.
population
and
26
population
subgroups.
The
results
reported
in
Table
V
are
for
the
U.
S.
Population
(
total),
all
infants
(<
1
year
old),
children
1
6,
children
7
12,
females
13
50,
males
13
19,
males
20+,
and
seniors
55+
years
of
age.
The
results
for
the
other
population
subgroups
are
not
reported
in
Table
V.
This
is
because
the
numbers
of
respondents
in
the
other
subgroups
were
not
sufficient,
and
thus
the
exposure
estimates
for
these
subgroups
contained
higher
levels
of
uncertainty.
However,
the
respondents
in
these
subgroups
were
also
part
of
larger
subgroups
which
are
listed
in
Table
V.
For
example,
nursing
and
non
nursing
infants
are
included
in
all
infants.
The
subgroups
which
are
broken
down
by
region,
season,
and
ethnicity
are
also
not
included.
Chronic
Dietary
Exposure
Analysis
Table
V.
Results
of
Chronic
Dietary
Exposure
Analysis
Population
Subgroup
cPAD
(
mg/
kg/
day)
Exposure
(
mg/
kg/
day)
%
cPAD
U.
S.
Population
(
total)
0.036
0.000157
<
1%
All
Infants
(<
1
year)
0.036
0.000300
<
1%
Children
1
6
years
0.036
0.000449
1%
Children
7
12
years
0.036
0.000275
<
1%
Females
13
50
years
0.036
0.000107
<
1%
Males
13
19
years
0.036
0.000185
<
1%
Males
20+
years
0.036
0.000105
<
1%
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
Population
Subgroup
cPAD
(
mg/
kg/
day)
Exposure
(
mg/
kg/
day)
%
cPAD
9
Seniors
55+
years
0.036
0.000087
<
1%
VI.
Discussion
of
Uncertainties
This
tier
2/
3
dietary
risk
assessment
is
the
most
refined
to
date
for
asulam.
However,
there
are
some
uncertainties
associated
with
this
assessment
as
follows:
C
Residue
Issues
No
available
residue
data
exist
for
asulam.
The
anticipated
residues
were
calculated
using
field
trial
data.
The
anticipated
residues
were
adjusted
by
percent
crop
treated
data
provided
by
BEAD.
Tolerances
for
this
chemical
were
based
on
quantifiable
residues
found
in
the
field
trials.
Also,
the
residue
values
from
the
field
trials
were
adjusted
for
70%
loss
in
storage.
This
would
tend
to
overestimate
the
exposure
of
asulam
in
sugarcane.
Use
of
molassess
AR
in
the
assessment:
the
molassess
AR
is
based
on
residues
expected
in
the
animal
feed
"
black
strap"
molassess.
These
residues
are
expected
to
overestimate
residues
in
human
food
molassess.
C
Processing
Factors
DEEM
default
processing
factors
for
dry
beef
were
used.
C
DEEM
Uncertainties
HED
notes
that
there
is
a
degree
of
uncertainty
in
extrapolating
exposures
for
certain
population
subgroups
which
may
not
be
sufficiently
represented
in
the
consumption
surveys,
(
e.
g.,
nursing
and
non
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
10
nursing
infants
or
Hispanic
females).
Therefore,
risks
estimated
for
these
subpopulations
were
included
in
representative
populations
having
sufficient
numbers
of
survey
respondents
(
e.
g.,
all
infants
or
females,
13
50
years).
VII.
Conclusions
A
Tier
2/
3
chronic
dietary
risk
assessment
was
conducted
for
all
supported
asulam
food
uses.
Dietary
risk
estimates
are
provided
for
the
general
U.
S.
population
and
various
population
subgroups.
This
assessment
concludes
that
for
all
supported
registered
commodities,
the
chronic
risk
estimates
are
below
the
Agency's
level
of
concern
(<
100%
cPAD)
for
the
general
U.
S.
population
(<
1%
of
the
cPAD)
and
all
population
subgroups.
The
chronic
dietary
exposure
estimate
for
children
1
6
years
(
the
highest
exposed
population
subgroup)
is
1.2%
of
the
cPAD.
Table
VI.
Summary
of
Dietary
Exposure
and
Risk
for
Asulam
Population
Subgroup**
Chronic
Dietary
Dietary
Exposure
(
mg/
kg/
day)
%
cPAD
U.
S.
Population
(
total)
0.000157
<
1%
All
Infants
(<
1
year)
0.000300
<
1%
Children
1
6
years
0.000449
1%
Children
7
12
years
0.000275
<
1%
Females
13
50
0.000107
<
1%
Males
13
19
0.000185
<
1%
Males
20+
years
0.000105
<
1%
Seniors
55+
0.000087
<
1%
cc:
Jose
Morales
(
RRB3),
RRB3
Reading
File
RDI:
C.
Eiden
(
12/
18/
01);
J.
Tyler
(
12/
18/
01);
S.
Kinard
(
12/
17/
01)
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
11
VIII.
Attachments
U.
S.
Environmental
Protection
Agency
Ver.
DEEM
Chronic
analysis
for
ASULAM
1989
92
Residue
file:
C:\
My
DEEM\
Asulam\
chronic.
RS7
Adjust.
#
2
Analysis
Date
12
10
2001
Residue
file
dated:
12
10
2001/
15:
36:
Reference
dose
(
RfD)
=
0.036
mg/
kg
bw/
day
Comment:
Chronic
Run
for
the
TRED
Food
Crop
RESIDUE
Adj.
Factors
Comment
Code
Grp
Food
Name
(
ppm)
#
1
#
2
283
O
Sugar
cane
0.500000
1.000
0.420
284
O
Sugar
cane/
molasses
13
Baked
24.000000
1.000
0.420
98
Refined
24.000000
1.000
0.420
318
D
Milk
nonfat
solids
0.025000
1.000
0.420
319
D
Milk
fat
solids
0.025000
1.000
0.420
321
M
Beef
meat
byproducts
0.120000
1.000
0.420
322
M
Beef
other
organ
meats
0.120000
1.000
0.420
323
M
Beef
dried
0.050000
1.920
0.420
324
M
Beef
fat
w/
o
bones
0.050000
1.000
0.420
325
M
Beef
kidney
0.120000
1.000
0.420
326
M
Beef
liver
0.120000
1.000
0.420
327
M
Beef
lean
(
fat/
free)
w/
o
bones
0.050000
1.000
0.420
328
M
Goat
meat
byproducts
0.120000
1.000
0.420
329
M
Goat
other
organ
meats
0.120000
1.000
0.420
330
M
Goat
fat
w/
o
bone
0.050000
1.000
0.420
331
M
Goat
kidney
0.120000
1.000
0.420
332
M
Goat
liver
0.120000
1.000
0.420
333
M
Goat
lean
(
fat/
free)
w/
o
bone
0.050000
1.000
0.420
334
M
Horsemeat
0.050000
1.000
0.420
335
M
Rabbit
0.050000
1.000
0.420
336
M
Sheep
meat
byproducts
0.120000
1.000
0.420
337
M
Sheep
other
organ
meats
0.120000
1.000
0.420
338
M
Sheep
fat
w/
o
bone
0.050000
1.000
0.420
339
M
Sheep
kidney
0.120000
1.000
0.420
340
M
Sheep
liver
0.120000
1.000
0.420
341
M
Sheep
lean
(
fat
free)
w/
o
bone
0.050000
1.000
0.420
342
M
Pork
meat
byproducts
0.120000
1.000
0.420
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
12
343
M
Pork
other
organ
meats
0.120000
1.000
0.420
344
M
Pork
fat
w/
o
bone
0.050000
1.000
0.420
345
M
Pork
kidney
0.120000
1.000
0.420
346
M
Pork
liver
0.120000
1.000
0.420
347
M
Pork
lean
(
fat
free)
w/
o
bone
0.050000
1.000
0.420
398
D
Milk
based
water
0.025000
1.000
0.420
424
M
Veal
fat
w/
o
bones
0.050000
1.000
0.420
425
M
Veal
lean
(
fat
free)
w/
o
bones
0.050000
1.000
0.420
426
M
Veal
kidney
0.120000
1.000
0.420
427
M
Veal
liver
0.120000
1.000
0.420
428
M
Veal
other
organ
meats
0.120000
1.000
0.420
429
M
Veal
dried
0.050000
1.920
0.420
430
M
Veal
meat
byproducts
0.120000
1.000
0.420
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
13
U.
S.
Environmental
Protection
Agency
Ver.
DEEM
Chronic
analysis
for
ASULAM
(
1989
92
Residue
file
name:
C:\
My
DEEM\
Asulam\
chronic.
RS7
Adjustment
factor
#
2
used.
Analysis
Date
12
10
2001/
15:
41:
38
Residue
file
dated:
12
10
2001/
15:
36:
16/
8
Reference
dose
(
RfD,
Chronic)
=
.036
mg/
kg
bw/
day
COMMENT
1:
Chronic
Run
for
the
TRED
==============================================================================
=
Total
exposure
by
population
subgroup
Total
Exposure
Population
mg/
kg
Percent
of
Subgroup
body
wt/
day
Rfd
U.
S.
Population
(
total)
0.000157
0.4%
U.
S.
Population
(
spring
season)
0.000156
0.4%
U.
S.
Population
(
summer
season)
0.000160
0.4%
U.
S.
Population
(
autumn
season)
0.000161
0.4%
U.
S.
Population
(
winter
season)
0.000152
0.4%
Northeast
region
0.000153
0.4%
Midwest
region
0.000170
0.5%
Southern
region
0.000155
0.4%
Western
region
0.000150
0.4%
Hispanics
0.000173
0.5%
Non
hispanic
whites
0.000156
0.4%
Non
hispanic
blacks
0.000156
0.4%
Non
hisp/
non
white/
non
black
0.000158
0.4%
All
infants
(<
1
year)
0.000300
0.8%
Nursing
infants
0.000075
0.2%
Non
nursing
infants
0.000394
1.1%
Children
1
6
yrs
0.000449
1.2%
Children
7
12
yrs
0.000275
0.8%
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
14
Females
13
19
(
not
preg
or
nursing)
0.000147
0.4%
Females
20+
(
not
preg
or
nursing)
0.000092
0.3%
Females
13
50
yrs
0.000107
0.3%
Females
13+
(
preg/
not
nursing)
0.000130
0.4%
Females
13+
(
nursing)
0.000120
0.3%
Males
13
19
yrs
0.000185
0.5%
Males
20+
yrs
0.000105
0.3%
Seniors
55+
0.000087
0.2%
Pacific
Region
0.000144
0.4%
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
15
Quantitative
Usage
Analysis
for
Sodium
Asulam
Case
No.
265
PC
Code
No.
106902
Date:
7
25
01
Analyst:
Alan
Halvorson
Based
on
pesticide
usage
information
mainly
for
1992
through
2000
for
agriculture
and
1994
through
1999
for
non
agriculture,
total
annual
domestic
usage
of
sodium
asulam
is
approximately
1.3
million
pounds
active
ingredient
(
a.
i.)
allocated
by
site
mainly
to
sugarcane
(
95%),
lawn
care
operators
and
sod
farms
(
2%
each)
and
institutional
turf
(
1%).
The
average
percent
crop
treated
for
sugarcane,
the
only
registered
agricultural
crop,
is
about
42%,
while
its
average
use
rate
per
acre
is
2.5
pounds
a.
i.
per
application
and
3.0
pounds
a.
i.
per
year.
States
of
most
usage
are
Florida,
Louisiana
and
Texas.
Sodium
Asulam
Case
#:
265
AI
#:
106902
EPA
QUANTITATIVE
USAGE
ANALYSIS
Analyst:
Alan
Halvorson
7
25
01
Acres
Acres
Treated
(
000)
%
Crop
Treated
Lb
AI
Appl'd
(
000)
Avg
Applic
Rates/
Acre
States
of
Most
Usage
(
000)
(%
of
total
lb
ai
Site
Grown
Est
Est
Est
lb
ai/
#
appl/
lb
ai/
used
by
these
states)
Avg
Max
Avg
Max
Avg
Max
year
year
appl
Sugarcane
939
398
498
42%
53%
1,211
1,513
3.04
1.2
2.46
FL
LA
TX
100%
Lawn
Care
Operators(*)
26
40
FL
100%
Sod
Farms
21
32
FL
(
most)
Institutional
Turf(**)
17
25
Ornamentals
3
4
FL
TX
Golf
Courses
2
3
FL
GA
TOTAL
1,280
1,600
FL
LA
97%
NOTES
ON
TABLE
DATA
Usage
data
primarily
cover
1992
2000
for
agriculture
and
1994
1999
for
non
agriculture.
Calculations
of
the
above
numbers
may
not
appear
to
agree
with
each
other
because
they
are
displayed
as
rounded.
[
D279592]
~
DRAFT
~
[
Asulam
/
106901]
16
A
dash()
indicates
that
information
is
not
readily
available
or
is
not
applicable.
CROP/
SITE
GROUPS
AND
DEFINITIONS
(*)
Lawn
care
operators
make
applications
to
commercial,
not
residential,
turf.
(**)
Institutional
turf
consists
of
maintained
turf
of
educational
facilities,
cemeteries
and
parks.
DATA
SOURCES
US
EPA,
proprietary
data,
1994
2000.
NCFAP,
circa
1992.
cc:
Include
typical
reviewer
information
here.
Include
one
copy
for
(
HED
Staff/
CEB1),
where
staff
=
Mohsen
Sahafeyen
or
LaShonia
Richardson).
Include
names
of
secondary
reviewers
and
review
dates.
| epa | 2024-06-07T20:31:45.425227 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0007/content.txt"
} |
EPA-HQ-OPP-2002-0329-0008 | Supporting & Related Material | 2002-12-06T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES,
AND
TOXIC
SUBSTANCES
PC
Code:
106901
DP
BARCODE:
D279761
MEMORANDUM
January
3,
2002
SUBJECT:
Asulam:
Revised
Tier
I
Drinking
Water
EECs
for
Use
in
the
Human
Health
Risk
Assessment.
TO:
Jose
Morales
Catherine
Eiden
Health
Effects
Division
(
7509C)
FROM:
Norman
Birchfield
ERB4/
EFED
(
7507C)
THRU:
Dirk
Young
Betsy
Behl,
Chief
ERB4/
EFED
(
7507C)
This
memo
is
a
revision
to
the
previous
Tier
I
estimated
environmental
concentrations
(
EECs)
for
asulam
in
surface
water
and
in
ground
water
for
use
in
the
human
health
risk
assessments
(
memo
from
Dirk
Young
to
T.
Truesdale
January
23,
2001,
DP
Barcode
D272000).
This
revision
is
required
to
1)
Update
surface
water
modeling
using
the
FIRST
reservoir
model
2)
Provide
an
upper
bound
estimate
for
EECs
on
degradates
in
surface
and
ground
water
3)
Estimate
longer
term
ground
water
concentrations
The
EECs
are
summarized
in
Table
1.
EFED
used
FIRST
to
calculate
the
surface
water
EECs
and
used
a
prospective
groundwater
study
to
estimate
the
groundwater
EEC.
For
the
surface
water
assessment,
the
application
rate
for
sugarcane
was
used,
which
represents
the
highest
labeled
rate
for
any
crop.
A
summary
of
the
model
input
parameters
is
given
in
Table
2.
All
parameters
for
asulam
were
taken
according
to
standard
EFED
practice.
Since
no
data
is
available
on
degradates
FIRST
modeling
assumed
immediate
conversion
upon
application
to
very
persistent
and
mobile
degradates.
The
FIRST
output
file
is
located
in
Attachment
1.
For
estimated
groundwater
exposure,
the
highest
observed
concentration
in
the
prospective
groundwater
(
PGW)
study
for
turf
(
MRID
42224701)
was
used.
Three
PGW
studies
(
Florida
turf,
Louisiana
sugarcane,
and
Florida
sugarcane)
were
previously
reviewed
in
a
1994
memo
(
1).
In
the
study
associated
with
asulam
use
on
Florida
turf,
asulam
and
the
sulfanilamide
were
detected
in
shallow
wells
at
a
combined
concentration
of
59
ppb.
The
average
concentration
of
combined
residues
over
the
14
month
sampling
period
was
14.0
ppb.
The
above
values
are
not
corrected
for
incomplete
recovery.
The
average
spike
recoveries
for
asulam
and
the
sulfanilamide
degradate
were
39.4%
and
38.3%,
respectively.
After
correcting
for
recovery
the
values
are
154
ppb
(
peak)
and
37
ppb
(
14
month
average).
The
recommended
EEC
for
groundwater
is
154
ppb
based
on
the
peak
value
(
Table
1).
The
low
spike
recoveries
indicate
problems
with
the
analytical
method.
The
site
and
conditions
monitored
compensates
somewhat
for
the
uncertainty
in
the
analytical
method.
The
monitoring
scenario
is
a
highly
vulnerable
situation
with
sandy
soil
and
shallow
ground
water
(
2.14
m).
Wells
of
this
type
are
not
generally
expected
to
be
used
for
drinking
water
purposes,
although
many
wells
in
Florida
less
than
17
m
deep
are
used
for
drinking
water.
In
a
separate
water
monitoring
study
asulam
was
detected
in
public
drinking
water
sources
from
ground
and
surface
water.
At
the
request
of
EPA,
Rhone
Poulenc
conducted
a
drinking
water
monitoring
study
in
areas
of
high
asulam
use
in
Florida
and
Louisiana.
The
surface
water
study
was
designed
to
sample
raw
surface
water
in
up
to
15
community
water
systems
in
Florida
and
4
systems
in
Louisiana.
Samples
were
collected
monthly
for
one
year
and
analyzed
for
asulam
and
the
metabolite
sulfanilamide
at
a
detection
limit
of
1
ppb.
In
addition
to
surface
water
collection,
the
study
collected
samples
from
potable
wells
in
Florida
and
Louisiana
that
were
located
within
1,000
feet
of
an
asulam
treated
area.
Seven
of
the
ten
surface
water
community
systems
sampled
contained
traces
(<
1
ppb)
of
asulam
residues
during
May
through
June.
Four
of
the
community
systems
were
located
in
Louisiana
and
three
were
in
Florida.
A
total
of
28
drinking
water
wells
were
sampled
in
Florida.
Because
of
poor
water
quality
in
this
area
of
Florida,
many
of
the
wells
reportedly
use
some
type
of
treatment
system
prior
to
use.
Three
wells
contained
quantifiable
asulam
residues
up
to
1.92
ppb.
[
Note
that
these
asulam
concentration
are
considerably
greater
than
the
SCIGROW
prediction
of
0.95
ppb
(
see
Attachment
2).]
Ten
other
wells
contained
detectable
traces
(<
1
ppb).
Reportedly,
the
depth
of
the
well
and
distance
to
treated
area
did
not
have
any
statistically
significant
effects
on
the
concentrations
observed.
No
residues
were
detected
in
12
wells
sampled
in
the
"
sandier"
areas
of
Hendry
County.
Rhone
Poulenc
reported
that
there
was
less
intensive
use
of
asulam
in
this
area.
No
residues
were
detected
in
ground
water
samples
in
Louisiana.
2
Table
1.
Tier
I
EECs
for
Drinking
Water
Surface
Water
Surface
Water
Ground
Water
Peak
EEC
Chronic
EEC1
EEC
Asulam
305
µ
g/
L
6.6
µ
g/
L
Asulam
+
380
µ
g/
L
2
272
µ
g/
L
2
154
µ
g/
L3
degradates
1
Based
on
56
day
average
immediately
following
pesticide
input
to
water
body.
2
Based
on
FIRST
modeling
with
upper
bound
assumptions
on
mobility
and
persistence.
3
From
groundwater
study,
see
reference
1.
This
concentration
is
representative
of
asulam
and
the
sulfnilamide
degradate.
Table
2.
FIRST
environmental
fate
input
parameters
chemical
asulam
asulam
+
degradates
Solubility
4000
mg
L
1
10,000
mg
L
1
Hydrolysis
aqueous
photolysis
half
life
(
near
surface)
stable
0.0625
days
stable
stable
aerobic
soil
metabolism
half
life
28
days
(
highest
available
value)
stable
aerobic
aquatic
metabolism
half
life
105
days
(
single
value)
stable
soil
organic
carbon
partitioning
(
Koc)
18
L
kg
1
(
lowest
available
value)
1
L
kg
1
crop
sugarcane
sugarcane
application
rate
3.624
lb
a.
i.
acre
1
*
3.624
lb
a.
i.
acre
1
*
number
of
applications
1
per
season
1
per
season
application
method
aerial
granular
(
no
drift)
*
highest
labeled
rate;
information
supplied
by
BEAD.
REFERENCES
1.
Memo
to
Linda
Propst,
from
Elizabeth
Behl,
Environmental
Fate
and
Ground
Water
Branch
Review
Action,
Review
of
small
scale
prospective
groundwater
monitoring
study
results.
Feb
2,
1994.
DPBarcodes:
D162492,
D175842,
D180962,
D181508,
D185103,
D190979,
D190980.
3
ATTACHMENT
1:
FIRST
Files
RUN
No.
1
FOR
asulam
ON
sugarcane
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
%
CROPPED
INCORP
ONE(
MULT)
INTERVAL
Koc
(
PPM
)
(%
DRIFT)
AREA
(
IN)
3.624(
3.624)
1
1
18.0
4000.0
AERIAL(
16.0)
87.0
.0
FIELD
AND
RESERVOIR
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
RESERVOIR)
(
RES.
EFF)
(
RESER.)
(
RESER.)
28.00
2
N/
A
.06
7.75
105.00
7.22
UNTREATED
WATER
CONC
(
MICROGRAMS/
LITER
(
PPB))
Ver
1.0
MAY
16,
2001
PEAK
DAY
(
ACUTE)
ANNUAL
AVERAGE
(
CHRONIC)
CONCENTRATION
CONCENTRATION
305.275
6.605
RUN
No.
1
FOR
asulam
residues
ON
sugarcane
*
INPUT
VALUES
*
RATE
(#/
AC)
No.
APPS
&
SOIL
SOLUBIL
APPL
TYPE
%
CROPPED
INCORP
ONE(
MULT)
INTERVAL
Koc
(
PPM
)
(%
DRIFT)
AREA
(
IN)
3.624(
3.624)
1
1
1.010000.0
GRANUL(
.0)
100.0
.0
FIELD
AND
RESERVOIR
HALFLIFE
VALUES
(
DAYS)
METABOLIC
DAYS
UNTIL
HYDROLYSIS
PHOTOLYSIS
METABOLIC
COMBINED
(
FIELD)
RAIN/
RUNOFF
(
RESERVOIR)
(
RES.
EFF)
(
RESER.)
(
RESER.)
.00
2
N/
A
.00.
00
.00
.00
UNTREATED
WATER
CONC
(
MICROGRAMS/
LITER
(
PPB))
Ver
1.0
MAY
16,
2001
PEAK
DAY
(
ACUTE)
ANNUAL
AVERAGE
(
CHRONIC)
CONCENTRATION
CONCENTRATION
379.819
272.174
4
ATTACHMENT
2:
SCIGROW
File
RUN
No.
1
FOR
asulam
INPUT
VALUES
APPL
(#/
AC)
APPL.
URATE
SOIL
SOIL
AEROBIC
RATE
NO.
(#/
AC/
YR)
KOC
METABOLISM
(
DAYS)
3.624
1
3.624
63.0
23.0
GROUND
WATER
SCREENING
CONCENTRATIONS
IN
PPB
.950323
A=
18.000
B=
68.000
C=
1.255
D=
1.833
RILP=
2.721
F=
.
581
G=
.262
URATE=
3.624
GWSC=
.950323
5
| epa | 2024-06-07T20:31:45.430473 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0008/content.txt"
} |
EPA-HQ-OPP-2002-0329-0009 | Supporting & Related Material | 2002-12-06T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES,
AND
TOXIC
SUBSTANCES
PC
Code:
106901
DP
BARCODE:
D282962
MEMORANDUM
July
24,
2002
SUBJECT:
Asulam:
Response
to
Registrant
Comments
on
Drinking
Exposure
Estimates.
TO:
Demson
Fuller
Special
Review
and
Reregistration
Division
(
7508C)
FROM:
Norman
Birchfield,
Ph.
D.
Biologist
Environmental
Risk
Branch
4
Environmental
Fate
and
Effects
Division
(
7507C)
THRU:
Betsy
Behl,
Chief
Environmental
Risk
Branch
4
Environmental
Fate
and
Effects
Division
(
7507C)
Aventis
has
submitted
brief
comments
titled
Asulam:
Revised
Tier
1
Drinking
Water
EECs
for
use
in
the
Human
Health
Risk
[
Asessment]
on
the
drinking
water
assessment
conducted
for
asulam
(
January
3,
2002,
D279761).
EFED
has
reviewed
the
Aventis
comments
a
determined
that
no
change
is
necessary
in
the
current
drinking
water
assessment.
EFED
has
identified
environmental
fate
studies
necessary
to
confirm
the
conclusions
of
the
drinking
water
assessment.
Aventis
disagrees
with
the
proposed
drinking
water
exposure
values
determined
by
EFED
through
analysis
of
groundwater
monitoring
data
and
FIRST
surface
water
modeling:
Groundwater:
Aventis
states
that
detections
of
asulam
in
groundwater
outside
the
application
area
were
a
result
of
contamination
from
applications
of
asulam
applied
around
the
wells
to
prevent
weeds
from
growing
up
around
the
wells
(
a
use
not
registered
for
asulam)
and
from
contamination
resulting
from
alleged
spills
at
mixer
loader
sites.
Neither
of
these
scenarios
proposed
to
result
in
the
groundwater
contamination
levels
described
in
the
January
3,
2002
drinking
water
assessment
were
documented
and
appear
to
be
speculation.
The
registrant
also
states
that
the
analytical
results
on
asulam
concentrations
in
groundwater
do
not
need
to
be
corrected
for
incomplete
recovery
but
fails
to
state
why.
EFED
maintains
that
the
groundwater
concentrations
presented
in
the
January
3,
2002
drinking
water
assessment
reflects
the
current
understanding
of
the
environmental
fate
and
behavior
of
asulam.
Surface
Water:
Aventis
states
that
the
surface
water
monitoring
study
conducted
in
Florida
and
Louisiana
provides
a
more
accurate
estimates
of
drinking
water
exposure
and
that
EFED s
FIRST
model
estimates
are
more
than
100
times
higher
than
monitoring
results.
The
FIRST
model
is
intended
to
estimate
conservative
acute
and
chronic
drinking
water
concentrations.
FIRST
estimated
concentrations
are
unlikely
to
be
measured
in
a
small
scale
monitoring
study
because
they
would
not
occur
often
and
or
be
widespread.
Monitoring
studies
such
as
that
conducted
by
the
registrant
are
useful
for
characterizing
exposure,
however,
due
to
the
monthly
sampling
frequency,
small
number
of
sampling
locations,
and
short
study
duration,
these
studies
are
not
normally
adequate
to
provide
a
conservative
estimate
of
exposure
via
drinking
water.
EFED
maintains
that
the
FIRST
estimates
provided
in
the
January
3,
2002
drinking
water
assessment
are
presently
the
most
reliable
conservative
estimates
of
exposure
to
asulam
via
drinking
water
derived
from
surface
water.
In
reviewing
the
data
set
for
asulam,
a
number
of
deficiencies
were
noted.
The
following
studies
are
requested
to
confirm
fate
parameters
used
to
estimate
drinking
water
exposures:
162
1
(
835.4100)
Aerobic
Soil
Metabolism
(
three
soils)
162
2
(
835.4200)
Anaerobic
Soil
Metabolism
162
3
(
835.4400)
Anaerobic
Aquatic
Metabolism
162
4
(
835.4300)
Aerobic
Aquatic
Metabolism
Previously
conducted
studies
did
not
adequately
identify
major
asulam
degradates.
Page
2
of
2
| epa | 2024-06-07T20:31:45.433536 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0009/content.txt"
} |
EPA-HQ-OPP-2002-0329-0010 | Supporting & Related Material | 2002-12-09T05:00:00 | null | UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
August
2,
2002
CERTIFIED
MAIL
Dear
Registrant:
This
is
to
inform
you
that
the
Environmental
Protection
Agency
(
hereafter
referred
to
as
EPA
or
the
Agency)
has
completed
its
tolerance
reassessment
decision
for
Asulam.
This
letter,
signed
on
August
2,
2002,
and
the
attached
Overview
document
serve
as
EPA s
Report
of
the
Food
Quality
Protection
Act
(
FQPA)
Tolerance
Reassessment
Progress
and
Risk
Management
Decision
(
TRED)
for
Asulam.
A
Notice
of
Availability
soliciting
public
comment
for
a
30
day
period
will
be
published
in
the
Federal
Register
(
FR)
shortly.
FFDCA,
as
amended,
requires
EPA
to
reassess
all
the
tolerances
that
were
in
effect
for
registered
chemicals
on
or
before
the
date
of
the
enactment
of
FQPA
in
August
of
1996
against
the
new
safety
standard
adopted
in
the
FQPA.
In
reassessing
these
tolerances,
the
Agency
must
consider,
among
other
things,
aggregate
risks
from
non
occupational
sources
of
pesticide
exposure,
whether
there
is
increased
susceptibility
to
infants
and
children,
and
the
cumulative
effects
of
pesticides
with
a
common
mechanism
of
toxicity.
The
tolerances
are
considered
reassessed
once
the
safety
finding
has
been
made
or
a
modification
or
revocation
occurs.
A
reregistration
eligibility
decision
(
RED)
for
asulam
was
completed
in
September
1995
prior
to
FQPA
enactment.
Therefore,
it
needed
to
be
updated
to
reassess
the
tolerances
under
the
FQPA
standard.
The
Agency
has
evaluated
the
dietary
risks
associated
with
asulam
and
has
determined
that
there
is
a
reasonable
certainty
that
no
harm
to
any
population
subgroup
will
result
from
aggregate
exposure
to
asulam
when
considering
dietary
exposure
and
all
other
non
occupational
sources
of
pesticide
exposure
for
which
there
is
reliable
information.
Therefore,
no
mitigation
measures
are
needed,
and
the
tolerances
established
for
residues
of
asulam
are
now
considered
reassessed
as
safe
under
section
408(
q)
of
the
FFDCA.
FQPA
requires
that
EPA
consider
available
information
concerning
the
cumulative
effects
of
a
particular
pesticide s
residues
and
other
substances
that
have
a
common
mechanism
of
toxicity.
The
reason
for
consideration
of
other
substances
is
due
to
the
possibility
that
low
level
exposures
to
multiple
chemical
substances
that
cause
a
common
toxic
effect
by
a
common
mechanism
could
lead
to
the
same
adverse
health
effect,
as
would
a
higher
level
of
exposure
to
any
of
the
other
substances
individually.
EPA
did
not
perform
a
cumulative
risk
assessment
as
part
of
this
review
of
asulam
because
the
Agency
has
not
determined
that
there
are
any
other
chemical
substances
that
have
a
mechanism
of
toxicity
in
common
with
asulam.
If
EPA
identifies
other
substances
that
share
a
common
mechanism,
then
a
cumulative
risk
assessment
will
be
conducted
that
includes
asulam
once
EPA s
final
framework
for
conducting
cumulative
risk
assessments
is
available.
Further,
EPA
is
in
the
process
of
developing
criteria
for
characterizing
and
testing
endocrine
disrupting
chemicals
and
plans
to
implement
an
Endocrine
Disruptor
Screening
Program.
Asulam
will
be
reevaluated
at
that
time
and
additional
studies
may
be
required.
The
Agency s
human
health
findings
for
the
pesticide
asulam
were
discussed
in
a
closure
conference
call
on
July
25,
2002,
and
are
summarized
in
the
attached,
Overview
of
Asulam
Risk
Assessment.
The
risk
assessment
and
other
documents
pertaining
to
the
asulam
tolerance
reassessment
decision
are
listed
at
the
end
of
this
document
and
are
available
on
the
Internet
at
http://
www.
epa.
gov/
pesticides/
reregistration/
status.
htm
and
in
the
public
docket
for
viewing.
Tolerances
are
established
for
residues
of
asulam
in/
on
raw
agricultural
commodities
as
defined
in
40
CFR
180.180.360.
The
Agency
recommends
that
the
tolerance
expression
be
revised
to
include
all
metabolites
containing
the
sulfanilamide
moiety.
An
adequate
enforcement
method
is
available
for
the
determination
of
combined
residues
of
asulam
and
all
metabolites
containing
the
sulfanilamide
moiety
in/
on
sugarcane.
Additional
data
are
required
at
this
time.
The
registrant
must
submit
label
amendment
requests
for
the
use
of
asulam
on
sugarcane.
The
amendments
must
include
lower
maximum
application
rates
and
longer
PHIs,
and
must
be
region
specific,
as
given
below.
If
the
registrant
request
the
suggested
label
changes,
no
further
sugarcane
field
trial
data
are
required
for
asulam
at
this
time.
No
plantback
restrictions
are
required
on
the
label.
The
Agency
recommends
that
the
registrant
request
label
amendments
specifying
a
maximum
of
two
asulam
applications
per
year
to
sugarcane
at
a
maximum
single
application
rate
of
3.34
lbs.
a.
i./
A,
a
PHI
of
100
days
for
Louisiana,
a
PHI
of
140
days
for
the
remainder
of
the
US
mainland,
and
a
PHI
of
400
days
for
Hawaii.
If
the
registrant
does
not
propose
the
recommended
label
changes,
existing
labels
must
be
supported
by
new
field
trials.
In
addition,
the
following
product
chemistry
data
guidelines
remain
unfulfilled
for
the
technical
sodium
salt:
GLN
830.6317
(
Storage
Stability)
and
830.6320
(
Corrosion
Characteristics).
The
following
tolerances
have
been
reassessed:
The
registrant
proposes
for
asulam
residue
in/
on
cane
of
0.05
ppm,
resulting
from
2
applications,
each
3.34
lbs.
a.
i./
Acre,
with
a
100
day
PHI.
The
data
do
not
support
this
tolerance.
For
the
proposed
use
pattern,
the
maximum
residue,
corrected
for
loss
in
storage,
is
0.71
pp.
A
tolerance
of
1.0
ppm
is
appropriate
for
residues
of
asulam
and
the
sulfanilamide
containing
metabolites
in/
on
sugarcane.
This
replaces
the
current
tolerance
of
0.1
ppm.
Based
on
the
highest
average
field
trial
residue
and
the
concentration
factor
from
processing,
a
tolerance
of
30
ppm
is
needed
for
asulam
and
sulfanilamide
containing
metabolite
residues
in
molassess.
The
decrease
in
the
sugarcane
tolerance
for
asulam
and
its
sulfanilamide
containing
metabolites
from
the
reevaluated
15
ppm
to
1
ppm
does
not
alter
the
previous
conclusion
that
residues
of
asulam
and
the
sulfanilamide
containing
metabolites
are
anticipated
in
ruminant
commodities
from
a
diet
containing
10%
molasses.
Animal
commodity
tolerances
should
be
proposed,
0.05
ppm
for
ruminant
milk
and
meat
and
fat
and
0.2
ppm
for
ruminant
meat
byproducts.
There
are
no
significant
poultry
feed
items;
poultry
commodity
tolerances
are
not
needed.
TOLERANCE
REASSESSMENT
SUMMARY
Commodity
Current
Tolerance
(
ppm)
Tolerance
Reassessment
(
ppm)
Comment
Tolerances
listed
under
40
CFR
§
180.360
Sugarcane,
cane
0.1
1.0
Tolerances
to
be
Established
Under
40
CFR
§
180.360
Sugarcane,
molasses
30
Milk
0.05
Cattle,
meat
Cattle,
fat
Goat,
meat
Goat,
fat
Hog,
meat
Hog,
fat
Horse,
meat
Horse,
fat
Sheep,
meat
Sheep,
fat
.
05
Cattle,
meat
byproducts
Goat,
meat
byproducts
Hog,
meat
byproducts
Horse,
meat
byproducts
Sheep,
meat
byproducts
.
2
0
0
This
document
also
contains
a
generic
Data
Call
In
(
DCI)
that
outlines
further
data
requirements
for
this
chemical.
Note
that
registrants
of
asulam
must
respond
to
DCIs
issued
by
the
Agency
within
90
days
of
receipt
of
this
letter.
If
you
have
questions
on
this
document,
please
contact
the
Chemical
Review
Manager,
Demson
Fuller
,
at
(
703)
308
8062.
Sincerely,
Lois
A.
Rossi,
Director
Special
Review
and
Reregistration
Division
Attachments:
List
of
Supporting
Documents
Overview
of
Asulam
Risk
Assessment
Generic
Data
Call
In
(
DCI)
List
of
Documents
Supporting
the
Asulam
Reassessment
Decision
The
Tolerance
Reassessment
Decision
for
asulam
is
based
on
the
revised
human
health
risk
findings,
disciplinary
chapters,
and
other
supporting
documentation
as
follows:
Asulam.
HED
Human
Health
Assessment
for
the
tolerance
Reassessment
Eligibility
Decision
(
TRED).
Chemical
No.
106901/
02.
No
MRID
#.
DP
Barcode
No.
D276505.
Jose
Morales
(
February
28,
2002)
Asulam
2nd
Report
of
the
Hazard
Identification
Assessment
Review
Committee.
John
Liccione
(
December
5,
2001)
Asulam
Report
of
the
FQPA
Safety
Factor
Committee.
Carol
Christensen
(
February
5,
2002)
Asulam.
Toxicology
Chapter
of
the
RED.
John
Liccione
(
October
12,
2001)
Asulam
(
List
A,
Case
0265,
Chemical
106901/
02).
Tolerance
Reassessment
Eligibility
Decision
Document.
Product
and
Residue
Chemistry
Chapter.
DP
Barcode
D278884.
Jose
Morales
(
December
6,
2001)
Asulam.
Chronic
Dietary
Exposure
Assessment
for
the
Tolerance
Reasssement
Eligibility
Decision
Document
(
TRED),
PC
Codes
106901/
02;
DP
Barcode
D279592.
Jose
Morales
(
December
18,
2001)
Asulam:
Revised
Tier
I
Drinking
Water
EECs
for
Use
in
the
Human
Health
Risk
Assessment.
Jose
Morales
(
January
3,
2002)
Quantitative
Usuage
Analysis
for
Asulam.
Alan
Halvorson
(
July
25,
2001)
Generic
Data
Call
In
[
place
holder
to
be
generated]
| epa | 2024-06-07T20:31:45.435885 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0010/content.txt"
} |
EPA-HQ-OPP-2002-0329-0011 | Supporting & Related Material | 2002-12-09T05:00:00 | null | OVERVIEW
OF
ASULAM
RISK
ASSESSMENT
Introduction
August
2,
2002
The
Agency
has
completed
its
review
and
announces
the
tolerance
reassessment
decision
for
asulam.
This
decision
also
releases
to
the
public
the
human
health
assessment,
as
presented
fully
in
the
document
entitled
Asulam:
HED
Human
Health
Assessment
for
the
Tolerance
Reassessment
Eligibility
Decision
(
TRED)
dated
February
28,
2002,
and
related
documents
supporting
this
decision.
The
purpose
of
this
overview
is
to
assist
the
reader
by
identifying
the
key
features
and
findings
of
this
risk
reassessment
in
order
to
better
understand
the
conclusions
reached
in
the
tolerance
reassessment.
This
overview
was
developed
in
response
to
comments
and
requests
from
the
public,
which
indicated
that
the
risk
assessments
(
and
other
like
documents)
were
difficult
to
understand,
that
they
were
too
lengthy,
and
that
it
was
not
easy
to
compare
the
assessments
for
different
chemicals
due
to
the
use
of
different
formats.
FFDCA
requires
the
Agency
to
review
all
the
tolerances
for
registered
chemicals
in
effect
on
or
before
the
date
of
the
enactment
of
FQPA.
In
reviewing
these
tolerances,
the
Agency
must
consider,
among
other
things,
aggregate
risks
from
non
occupational
sources
of
pesticide
exposure,
whether
there
is
increased
susceptibility
to
infants
and
children,
and
the
cumulative
effects
of
pesticides
with
a
common
mechanism
of
toxicity.
The
tolerances
are
considered
reassessed
once
the
safety
finding
has
been
made
or
a
tolerance
revocation
occurs.
A
reregistration
eligibility
decision
(
RED)
for
asulam
was
completed
in
September
1995,
prior
to
FQPA
enactment;
therefore
it
needed
to
be
updated
to
consider
the
provisions
of
the
Act.
FQPA
requires
that
the
Agency,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
consider
available
information
concerning
the
cumulative
effects
of
the
particular
pesticide s
residues
and
other
substances
that
have
a
common
mechanism
of
toxicity.
The
Agency
does
not,
at
this
time,
have
sufficient
reliable
information
available
to
determine
whether
asulam
has
a
common
mechanism
of
toxicity
with
other
substances.
Therefore,
for
the
purposes
of
this
risk
assessment,
the
Agency
has
not
assumed
that
asulam
has
a
common
mechanism
of
toxicity
with
other
substances.
If
EPA
identifies
other
substances
that
share
a
common
mechanism
of
toxicity
with
asulam,
a
cumulative
risk
assessment
for
those
substances
will
be
performed.
The
risk
assessment
and
documents
pertaining
to
the
Agency s
report
on
FQPA
tolerance
reassessment
progress
and
decision
for
asulam
are
available
on
the
Internet
at
http://
www.
epa.
gov/
pesticides/
reregistration/
status.
htm
and
in
the
public
docket.
Because
the
risks
posed
by
the
use
of
asulam
are
low
and
not
of
concern
to
the
Agency,
the
normal
process
of
meeting
stakeholders
(
i.
e.,
growers,
extension
offices,
environmental
and
commodity
groups,
and
other
government
offices)
to
discuss
risks
of
concern
and
solicit
input
on
risk
mitigation
strategies
was
not
necessary
for
this
chemical.
Rather,
the
Agency s
report
on
FQPA
tolerance
reassessment
progress
and
interim
risk
management
decision
for
asulam
will
be
announced
in
the
Federal
Register.
Since
there
are
no
risk
concerns
for
asulam
alone,
no
further
actions
are
warranted
at
this
time
pending
a
determination
of
whether
a
cumulative
risk
assessment
for
asulam
may
be
needed
and
is
completed.
Risks
summarized
in
this
document
are
those
that
result
only
from
the
use
of
asulam.
The
Food
Quality
Protection
Act
(
FQPA)
requires
that
the
Agency
consider
available
information
concerning
the
cumulative
effects
of
a
particular
pesticide s
residues
and
other
substances
that
have
a
common
mechanism
of
toxicity.
Since
it
is
possible
that
this
chemical
and
other
substances
could
share
a
common
mechanism
of
toxicological
action,
adverse
health
effects
and
cumulative
low
level
exposures,
this
review
needs
to
consider
this
potential
interaction..
The
Agency
did
not
perform
a
cumulative
risk
assessment
as
part
of
this
tolerance
reassessment
of
asulam
because
the
Agency
has
not
yet
initiated
a
review
to
determine
if
there
are
any
other
chemical
substances
that
have
a
mechanism
of
toxicity
common
with
that
of
asulam.
If
the
Agency
identifies
other
substances
that
share
a
common
mechanism
of
toxicity
with
asulam,
then
a
cumulative
risk
assessment
will
be
conducted
that
includes
asulam
once
the
final
framework
the
Agency
will
use
for
conducting
cumulative
risk
assessments
is
available.
Asulam s
potential
contribution
to
cumulative
risk
be
reevaluated
at
that
time
and
additional
studies
may
be
required.
Use
Profile
Herbicide:
Asulam
(
methyl
sulfanilylcarbamate)
is
a
selective
postemergent
systemic
carbamate
herbicide
registered
for
sugarcane,
Christmas
tree
plantations,
ornamentals,
turf
(
use
for
sod
farms
only)
and
non
cropland
uses
(
boundary
fences,
fencerows,
hedgerows,
lumberyards,
storage
areas
and
industrial
facilities,
and
warehouse
lots).
There
are
no
residential
uses
for
asulam
products.
Targeted
Weeds:
western
brackenfern,
marestail,
horseweed,
alexandergrass,
barnyardgrass,
broadleaf
panicum,
bullgrass,
crabgrass,
foxtail,
goosegrass,
itchgrass,
johnsongrass,
paragrass,
and
sandbur.
Formulations:
The
only
end
use
formulation
of
asulam
is
the
sodium
salt
of
asulam
(
sodium
salt
of
methyl
sulfanilylcarbamate)
which
is
formulated
as
soluble
concentrate/
liquid
(
36.2%
a.
i.).
Methods
of
Application:
Apply
to
sugarcane
as
broadcast,
band,
or
spot
treatment
with
ground
equipment
or
broadcast
by
air
at
3.34
pounds
active
ingredient/
acre
(
lb
ai/
A).
Apply
to
Christmas
trees
as
a
delayed
dormant
spray
with
air
or
ground
equipment
at
3.34
lb
ai/
A.
Apply
to
ornamental
and/
or
shade
trees
or
ornamental
woody
shrubs
and
vines
as
a
postemergence
ground
broadcast
at
3.34
lb
ai/
A.
Apply
to
ornamental
lawns
and
turf
as
a
postemergence
spray
with
ground
equipment
at
2.088
lb
ai/
A.
Apply
to
industrial
areas
(
outdoor),
nonagricultural
rights
of
way/
fencerows,
or
nonagricultural
uncultivated
areas
when
needed
as
spray
with
ground
equipment
at
3.34
lb
ai/
A.
2
Use
Summary:
Based
on
pesticide
usage
information
mainly
for
1992
through
2000
for
agriculture
and
1994
through
1999
for
non
agriculture,
total
annual
domestic
usage
of
sodium
asulam
is
approximately
1.3
million
pounds
active
ingredient
allocated
by
site
mainly
to
sugarcane
(
95%),
lawn
care
operators
and
sod
farms
(
2%
each)
and
institutional
turf
(
1%).
The
average
percent
crop
treated
for
sugarcane,
the
only
registered
agricultural
crop,
is
about
42%,
while
its
average
use
rate
per
acre
is
2.5
pounds
a.
i.
per
application
and
3.0
pounds
a.
i.
per
year.
Generally,
asulam
is
applied
once
per
season
with
a
follow
up
spot
application
to
clean
up
field
ends.
States
with
the
most
usage
are
Florida,
Louisiana,
and
Texas.
Registrant:
Aventis
CropScience
Classification:
General
Use
Table
1.
Asulam
Usage
Crop
Acres
Grown
(
000)
Acres
Treated
(
000)
Avg
Max
Sugarcane
939
398
498
Lawn
Care
Operators1
Sod
Farms
Institutional
Turf2
Ornamentals
Golf
Courses
TOTALS
COLUMN
HEADINGS
%
Crop
Treated
Lbs
A.
I.
Applied
(
000)
States
of
Most
Usage
(%
of
lbs
a.
i.
Used)
Avg
Max
Avg
Max
42%
53%
1,211
1,513
FL
LA
TX
(
100%)
26
40
FL
100%
21
32
FL
(
most)
17
25
3
4
FL
TX
2
3
FL
GA
1,280
1,600
FL
LA
(
97%)
Avg
=
Weighted
average
in
which
the
most
recent
years
and
more
reliable
data
are
weighted
more
heavily.
Max
=
Estimated
maximum,
which
is
estimated
from
available
data.
1
Lawn
Care
operators
make
applications
to
commercial,
not
residential,
turf
2
Institutional
turf
consists
of
maintained
turf
of
educational
facilities,
cemeteries,
and
parks.
Human
Health
Risk
Assessment
Hazard
The
acute
toxicity
of
asulam
is
low.
The
acute
oral
LD50
for
asulam
in
rats
exceeded
5000
mg/
kg.
The
acute
inhalation
LC50
was
greater
than
5
mg/
L
in
rats.
The
acute
dermal
LD50
for
asulam
in
rabbits
exceeded
4000
mg/
kg.
Application
of
technical
asulam
to
rabbit
eyes
produced
mild
chemosis,
irritation,
and
redness
which
cleared
by
day
seven
post
treatment.
Asulam
was
not
an
irritant
in
a
primary
skin
irritation
study
in
rabbits.
It
did
not
cause
dermal
sensitization
in
guinea
pigs.
3
Acute
Dietary
(
Food)
Risk
Acute
dietary
risk
is
estimated
based
on
may
be
eaten
in
one
day.
Acute
dietary
exposure
that
is
less
than
100%
of
the
acute
Population
Adjusted
Dose
(
aPAD)
does
not
exceed
the
Agency s
level
of
concern.
The
aPAD
is
the
reference
dose
(
RfD)
adjusted
for
the
FQPA
Safety
Factor.
The
acute
RfD
is
the
dose
at
which
an
individual
could
be
exposed
in
a
single
day
with
no
adverse
health
effects
expected.
An
acute
dietary
risk
assessment
was
not
conducted
for
asulam
because
no
appropriate
toxicological
endpoint
clearly
attributable
to
a
single
exposure
was
identified.
Therefore,
an
acute
reference
dose
(
aRfD)
was
not
established.
Chronic
Dietary
(
Food)
Risk
Chronic
dietary
risk
is
calculated
by
using
the
average
consumption
values
for
food
and
average
residue
values
on
those
foods
over
a
lifetime
or
the
duration
of
exposure
assessed
(
i.
e.,
1
year
for
infants,
6
years
for
children
ages
1
6
years
and
37
years
for
females
of
childbearing
age
13
50
years
old.).
Chronic
dietary
exposure
that
is
less
than
100%
of
the
chronic
Population
Adjusted
Dose
(
cPAD)
does
not
exceed
the
Agency s
level
of
concern.
The
cPAD
is
the
chronic
reference
dose
(
cRfD)
adjusted
for
the
FQPA
Safety
Factor.
The
chronic
RfD
is
the
dose
at
which
an
individual
could
be
exposed
over
the
course
of
a
lifetime
with
no
adverse
health
effects
expected.
The
chronic
dietary
assessment
for
asulam
and
its
degradate
sulfanilamide
was
conducted
using
a
Tier
II
analysis
which
assumes
anticipated
residues
from
field
trial
data
and
includes
percent
crop
treated
estimates.
No
monitoring
data
exist
for
asulam.
The
chronic
dietary
exposure
analysis
is
conducted
using
the
Dietary
Exposure
Evaluation
Model
(
DEEM
)
.
A
three
day
average
of
consumption
for
each
subpopulation
is
combined
with
tolerance
residues
in
commodities
to
determine
average
exposures
in
mg/
kg/
day.
The
toxicity
endpoint
for
the
chronic
dietary
was
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
thyroid
follicular
cells
on
males
in
a
rat
study
(
NOAEL=
36
mg/
kg/
day).
The
effects
were
observed
at
180
mg/
kg/
day
(
LOAEL).
The
uncertainty
factor
is
1000x;
10x
for
individual
variability
and
10x
for
intraspecies
extrapolation.
An
additional
10x
was
added
due
to
increased
susceptibility
in
offspring/
fetuses
based
on
evidence
of
mean
live
births
per
litter.
The
FQPA
Safety
Factor
was
retained
because
(
i)
there
was
evidence
of
quantitative
susceptibility
in
a
two
generation
reproduction
study
in
the
rat;
and,
(
ii)
the
Agency
does
not
have
data
that
includes
an
examination
of
the
thyroid
gland;
therefore,
the
Agency
recommended
the
requirement
for
a
comparative
thyroid
rat
assay
in
adults
and
offspring
to
examine
thyroid
weight
and
pathology.
A
chronic
Reference
Dose
(
cRfD)
of
0.36
mg/
kg/
day
was
established
based
on
the
NOAEL
of
36
mg/
kg/
day,
and
a
100X
uncertainty
factor
for
interspecies
extrapolation,
4
and
intraspecies
variability.
An
additional
safety
factor
of
10X
was
applied
to
the
cRfD
to
account
for
quantitative
increased
susceptibility
in
offspring/
fetuses
resulting
in
a
chronic
Population
Adjusted
Dose
(
cPAD)
of
0.036
mg/
kg/
day.
Chronic
dietary
(
food)
risks
for
asulam
and
its
degradate
are
below
the
Agency s
level
of
concern
for
the
general
U.
S.
population
and
all
population
subgroups
(<
1%
of
the
cPAD).
Table
2.
Summary
of
Toxicity
Endpoints
and
Doses
for
Risk
Assessment
EXPOSURE
SCENARIO
DOSE
(
mg/
kg/
day)
ENDPOINT
STUDY
Acute
Dietary
An
appropriate
endpoint
attributable
to
a
single
dose
was
not
identified.
Acute
RfD
=
not
established
Chronic
Dietary
NOAEL1
=
36
mg/
kg/
day
UF
=
100
FQPA
Safety
Factor
=
10
The
LOAEL2
was
180
mg/
kg/
day
based
on
hyperplastic
changes
in
the
adrenal
medulla
and
in
thyroid
follicular
cells
of
males.
Combined
Chronic
Toxicity/
Oncog
enicity
in
the
rat
Chronic
RfD
=
0.36
mg/
kg/
day
Chronic
PAD
=
0.036
mg/
kg/
day
NOAEL1
=
no
observed
adverse
effect
level.
LOAEL2
=
lowest
observed
adverse
effect
level.
Table
3.
Results
of
Chronic
Dietary
Exposure
Analysis
Population
Subgroup
cPAD
(
mg/
kg/
day)
Exposure
(
mg/
kg/
day)
%
cPAD
U.
S.
Population
(
total)
0.036
0.000157
<
1%
All
Infants
(<
1
year)
0.036
0.000300
<
1%
Children
1
6
years
0.036
0.000449
1%
Children
7
12
years
0.036
0.000275
<
1%
Females
13
50
years
0.036
0.000107
<
1%
Males
13
19
years
0.036
0.000185
<
1%
Males
20+
years
0.036
0.000105
<
1%
Seniors
55+
years
0.036
0.000087
<
1%
Cancer
Dietary
(
Food)
Risk
EPA
previously
classified
Asulam
as
a
Group
C,
possible
human
carcinogen,
based
on
available
studies
in
rats
and
mice.
Based
on
the
weight
of
evidence
of
all
available
data,
a
quantitative
estimation
of
cancer
risk
to
humans
was
not
performed.
A
recent
re
evaluation
of
the
data
(
including
a
second
mouse
study)
reaffirmed
the
Agency's
previous
conclusion
that
a
quantitative
estimation
of
cancer
risk
to
humans
is
not
appropriate.
5
Drinking
Water
Dietary
Risk
Drinking
water
exposure
to
pesticides
can
occur
through
surface
and/
or
ground
water
contamination.
EPA
considers
acute
(
one
day)
and
chronic
(
lifetime)
drinking
water
risks
and
uses
either
modeling
or
actual
monitoring
data,
if
available,
to
estimate
those
risks.
Modeling
is
carried
out
in
tiers
of
further
refinement,
and
is
designed
to
provide
a
high
end
estimate
of
exposure.
To
determine
the
maximum
allowable
contribution
from
water
allowed
in
the
diet,
EPA
first
looks
at
how
much
of
the
overall
allowable
risk
is
contributed
by
food
and
then
determines
a
Drinking
Water
Level
of
Comparison
(
DWLOC)
to
ascertain
whether
modeled
or
monitored
Estimated
Environmental
Concentrations
(
EECs)
exceed
this
level.
EECs
that
are
above
the
corresponding
DWLOC
are
of
concern
to
the
Agency.
Based
on
environmental
fate
data,
asulam
is
very
mobile
and
has
a
strong
potential
to
leach
into
ground
water
or
move
offsite
into
surface
water.
Sulfanilamide
is
a
major
soil
and
water
degradate
of
asulam.
Since
there
are
no
residential
uses
associated
with
asulam,
only
dietary
exposure
from
food
is
considered
for
purposes
of
calculating
the
DWLOC.
A
drinking
water
assessment
for
asulam
involved
analysis
of
FIRST
(
Tier
I
surface
water)
computer
modeling
to
estimate
surface
water
concentrations.
Estimated
drinking
water
concentrations
for
ground
water
are
based
on
a
groundwater
study
that
sampled
potable
wells
in
Florida
and
Louisiana
that
were
located
within
1,000
feet
of
an
asulam
treated
area.
The
monitoring
study
was
compared
to
SCI
GROW
(
Tier
I
ground
water)
modeling
which
had
lower
detectable
traces
of
asulam
residues.
This
assessment
includes
concentrations
of
parent
asulam
and
the
degradate
sulfanilamide.
For
chronic
risk,
potential
exposure
to
asulam
(
combined
with
sulfanilamide)
from
drinking
water
derived
from
surface
water
results
in
a
chronic
EEC
of
272
ppb,
and
for
groundwater
the
chronic
EEC
is
154
ppb.
Upon
comparison
of
the
chronic
DWLOCs
(
1,254
ppb
for
males;
1,075
ppb
for
females;
and
355
ppb
for
children)
with
the
EECs
for
residues
in
surface
and
groundwater,
all
EECs
are
less
than
the
chronic
DWLOCs
for
all
populations.
Therefore,
the
Agency
is
not
concerned
with
potential
chronic
exposure
to
asulam
through
surface
and
groundwater.
Table
4.
Drinking
Water
DWLOC
and
EEC
Comparisons
Population
Subgroup
EECs
(
ppb)
Chronic
Ground
Water
Surface
Water
Adult
males
1254
154
272Adult
Females
1075
Children
(
1
6
years)
335
6
Residential
Risk
Potential
residential
exposures
are
not
anticipated
as
a
result
of
applications
of
asulam.
Use
sites
include
Christmas
tree
plantings,
turf
(
for
sod
only),
ornamentals
(
junipers
&
yews
only),
and
non
cropland
(
e.
g.
rights
of
way,
fence
rows,
etc.).
The
amount
of
asulam
used
annually
on
use
sites
other
than
sugarcane
is
approximately
12,000
gallons.
Of
these
use
sites,
no
residential
exposures
would
be
anticipated
from
the
Christmas
tree
plantings
and
non
cropland
sites.
The
use
on
turf
is
restricted
to
sod
farms,
and
the
application
to
the
sod
is
made
four
to
five
months
prior
to
the
sod
being
pulled
up
and
subsequently
sold.
Therefore,
no
residential
exposures
would
be
anticipated
from
the
turf/
sod
use.
The
registrant
stated
that
use
of
asulam
on
ornamentals
is
very
limited,
since
its
cost
is
high.
Use
of
asulam
on
ornamentals
in
a
residential
setting
would
not
be
expected.
Aggregate
Risk
In
examining
aggregate
exposure,
EPA
takes
into
account
the
available
and
reliable
information
concerning
exposures
from
pesticide
residues
in
food
and
other
exposures
including
drinking
water
and
non
occupational
exposures,
e.
g.,
exposure
to
pesticides
used
in
and
around
the
home
(
residential).
The
aggregate
risk
assessment
for
asulam
considered
only
chronic
exposures
since
acute
dietary
and
water
exposures
are
not
expected
to
be
toxicologically
significant.
There
are
no
residential
uses
of
asulam.
Therefore,
the
considerations
for
aggregate
exposure
are
those
from
food
and
water.
Combining
both
the
chronic
dietary
(
food)
risk
estimates
with
the
surface
and
ground
water
estimated
concentrations
(
drinking
water)
for
asulam,
the
chronic
aggregate
(
food
+
drinking
water)
are
below
EPA
levels
of
concern.
Chronic
dietary
risks
estimates
for
all
populations
are
less
than
100%
of
the
cPAD.
Upon
comparison
of
the
chronic
DWLOCs
with
the
EECs
for
residues
of
asulam
in
surface
and
groundwater,
all
EECs
are
less
than
the
chronic
DWLOCs
for
all
populations.
Occupational
and
Ecological
Risk
Because
asulam
is
under
review
for
tolerance
reassessment
only,
no
occupational
or
ecological
risk
assessment
was
conducted
for
this
TRED.
Occupational
and
ecological
risk
management
decisions
were
made
as
part
of
the
1995
Asulam
RED
and
have
been
implemented.
Tolerance
Reassessment
Summary
Sufficient
data
are
now
available
to
reassess
all
tolerances
associated
with
asulam
use
listed
in
40
CFR
§
180.360.
The
Agency
recommends
that
the
tolerance
expression
be
revised
to
include
all
metabolites
containing
the
sulfanilamide
moiety.
Some
product
chemistry
deficiencies
remain
outstanding,
but
they
do
not
impact
the
tolerance
reassessment
eligibility
decision.
However,
the
registrant
needs
to
resolve
all
outstanding
deficiencies
as
listed
below.
The
existing
tolerance
of
0.1
ppm
for
asulam
residues
on
sugar
cane
established
in
40
CFR
§
180.360
has
been
reassessed.
The
Agency
recommends
the
tolerance
be
raised
to
7
1.0
ppm.
EPA
recommends
a
tolerance
of
30
ppm
for
asulam
residues
in
molasses
from
sugarcane
be
established
in
40
CFR
§
180.360.
Based
on
diets
containing
10%
molasses
in
feed,
EPA
recommends
a
tolerance
of
0.05
ppm
for
asulam
residues
in
milk,
meat,
and
fat
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360.
Based
on
diets
containing
10%
molasses
in
feed,
EPA
recommends
a
tolerance
of
0.2
ppm
for
asulam
residues
in
meat
byproducts
from
cattle,
goats,
hogs,
horses,
and
sheep
be
established
in
40
CFR
§
180.360.
Table
5.
Tolerance
Reassessment
Summary
Commodity
Current
Tolerance
(
ppm)
Tolerance
Reassessment
(
ppm)
Comment
Tolerances
listed
under
40
CFR
§
180.360
Sugarcane,
cane
0.1
1.0
Tolerances
to
be
Established
Under
40
CFR
§
180.360
Sugarcane,
molasses
30
Milk
0.05
Cattle,
meat
Cattle,
fat
Goat,
meat
Goat,
fat
Hog,
meat
Hog,
fat
Horse,
meat
Horse,
fat
Sheep,
meat
Sheep,
fat
.
05
Cattle,
meat
byproducts
Goat,
meat
byproducts
Hog,
meat
byproducts
Horse,
meat
byproducts
Sheep,
meat
byproducts
.
2
0
0
8
Summary
of
Pending
Data
The
following
deficiencies
were
noted
and
remain
outstanding:
GLN
860.1200:
Directions
for
Use
GLN
830.6317:
Storage
Stability
GLN
830.6320:
Corrosion
Characteristics
GLN
870.3200:
21
day
Dermal
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology
No
GLN:
28
day
Inhalation
Study
in
Rats
with
examination
of
thyroid
weight
and
pathology.
The
guidelines
for
this
study
are
under
development.
No
GLN:
Comparative
thyroid
rat
assay
in
adult
and
offspring.
The
adult
study
should
include
interim
measures
(
e.
g.,
7,14,
and
28
days).
The
thyroid
parameters
selected
for
the
comparative
study
should
be
based
on
Agency
guidelines
(
under
current
development)
for
thyroid
testing.
9
| epa | 2024-06-07T20:31:45.439847 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0329-0011/content.txt"
} |
EPA-HQ-OPP-2002-0332-0001 | Notice | 2002-12-06T05:00:00 | Pesticide Products; Registraiton Applicaitons | 72671
Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
ERP
No.
F
FHW
G40167
LA
LA
1
Improvements
Project,
Golden
Meadow
to
Port
Fourchon
Highway
Construction,
Funding,
U.
S.
Army
COE
Section
10
and
404,
NPDES
and
U.
S.
Coast
Guard
Bridge
Permits
Issuance,
Lafoufche
Parish,
LA.
Summary:
EPA
has
no
objection
to
the
selection
and
implementation
of
the
preferred
alternative.
ERP
No.
F
IBR
K61154
AZ
Reach
11
Recreation
Master
Plan,
Central
Arizona
Project
(
CAP)
Canal,
Between
Cave
Creek
and
Scottsdale
Roads
for
Recreational
Purposes
and
a
Flood
Detention
Basin,
City
of
Phoenix,
Maricopa
County,
AZ.
Summary:
EPA
found
that
the
Final
EIS
adequately
addresses
the
issues
raised
in
our
comment
letter
on
the
Draft
EIS.
ERP
No.
FA
FRC
L05208
WA
Rocky
Creek
Hydroelectric
Project,
(
FERC
No.
10311
002)
Construction
and
Operation
of
a
8.3
Megawatt
(
Mw)
Project,
License
Application,
Rocky
Creek,
Skagit
County,
WA.
Summary:
EPA
continues
to
have
environmental
objections
to
the
proposed
project
because
it
would:
(
1)
Pose
a
high
risk
of
landslides
that
could
significantly
impact
aquatic
and
terrestrial
habitat
and
water
quality,
(
2)
degrade
water
quality
in
Martin
Creek,
designated
an
``
extraordinary''
water
body
by
the
State
of
Washington
and
(
3)
undermine
the
environmental
and
biological
protection
provisions
of
the
State
of
Washington
Habitat
Conservation
Plan.
Dated:
December
3,
2002.
B.
Katherine
Biggs,
Associate
Director,
NEPA
Compliance
Division,
Office
of
Federal
Activities.
[
FR
Doc.
02
30949
Filed
12
5
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0332;
FRL
7282
6]
Pesticide
Products;
Registration
Applications
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
receipt
of
applications
to
register
pesticide
products
containing
new
active
ingredients
not
included
in
any
previously
registered
products
pursuant
to
the
provisions
of
section
3(
c)(
4)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended.
DATES:
Written
comments,
identified
by
the
docket
ID
number
OPP
2002
0332,
must
be
received
on
or
before
January
6,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Richard
Keigwin,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
7618;
e
mail
address:
keigwin.
richard@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
111)
Animal
production
(
NAICS
112)
Food
manufacturing
(
NAICS
311)
Pesticide
manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0332.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
VerDate
0ct<
31>
2002
13:
52
Dec
05,
2002
Jkt
200001
PO
00000
Frm
00039
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
06DEN1.
SGM
06DEN1
72672
Federal
Register
/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
Docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0332
The
system
is
an``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0332.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency
(
7502C),
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC,
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0332.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall#
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.,
Attention:
Docket
ID
Number
OPP
2002
0332.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Offer
alternative
ways
to
improve
the
registration
activity.
7.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
8.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
Registration
Applications
EPA
received
applications
as
follows
to
register
pesticide
products
containing
active
ingredients
not
included
in
any
previously
registered
products
pursuant
to
the
provision
of
section
3(
c)(
4)
of
FIFRA.
Notice
of
receipt
of
these
applications
does
not
imply
a
decision
by
the
Agency
on
the
applications.
Products
Containing
Active
Ingredients
not
Included
in
any
Previously
Registered
Products
1.
File
Symbol:
352
ANL.
Applicant:
E.
I.
du
Pont
de
Nemours
and
Company.
Product
Name:
DuPont
Famoxadone
(
DPX
JE874)
Technical
Fungicide.
Fungicide.
Active
ingredient:
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/
Vol.
67,
No.
235
/
Friday,
December
6,
2002
/
Notices
Famoxadone
at
97.8%.
Proposed
classification/
Use:
None.
For
the
manufacture
of
fungicides
only.
2.
File
Symbol:
352
ANU.
Applicant:
E.
I.
du
Pont
de
Nemours
and
Company.
Product
Name:
DPX
KP481
50DF
Fungicide.
Fungicide.
Active
ingredients:
Famoxadone
at
25%
and
Cymoxanil
at
25%.
Proposed
classification/
Use:
None.
For
control
of
downy
mildew
in
cucurbits
and
lettuce
and
for
the
control
of
early
blight
and
late
blight
in
potatoes
and
fruiting
vegetables.
3.
File
Symbol:
3125
LLN.
Applicant:
Bayer
CropScience,
2
T.
W.
Alexander
Drive,
Research
Triangle
Park,
NC
27709.
Product
Name:
KWG
4168
300
CS.
Fungicide.
Active
ingredient:
Spiroxamine
at
30.9%.
Proposed
classification/
Use:
None.
For
control
of
powdery
mildew
on
grapes.
4.
File
Symbol:
3125
LLR.
Applicant:
Bayer
CropScience.
Product
Name:
Spiroxamine
Technical.
Fungicide.
Active
ingredient:
Spiroxamine
at
96.6%.
Proposed
classification/
Use:
None.
For
use
in
the
manufacture
of
fungicides.
5.
File
Symbol:
7969
ROA.
Applicant:
BASF
Corporation,
P.
O.
Box
13528,
Research
Triangle
Park,
NC
27709
3528.
Product
Name:
BAS510
02F
Turf
Fungicide.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
70.0%.
Proposed
classification/
Use:
None.
For
disease
control
on
golf
course
turfgrass.
6.
File
Symbol:
7969
ROI.
Applicant:
BASF
Corporation.
Product
Name:
BAS510
F
Manufacturing
Use
Product.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
99.0%.
Proposed
classification/
Use:
None.
For
use
in
fungicide
formulations.
7.
File
Symbol:
7969
ROO.
Applicant:
BASF
Corporation.
Product
Name:
BAS516
02
F
Crop
Fungicide.
Fungicide.
Active
ingredients:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
25.2%
and
pyraclostrobin
at
12.8%.
Proposed
classification/
Use:
None.
For
use
on
berries,
bulb
vegetables,
grapes,
carrots,
pistachio,
tree
nuts,
stone
fruits,
and
strawberries.
8.
File
Symbol:
7969
ROT.
Applicant:
BASF
Corporation.
Product
Name:
BAS510
02
F
Crop
Fungicide.
Fungicide.
Active
ingredient:
3
Pyridinecarboxamide,
2
chloro
N(
4'
chloro(
1,1'
biphenyl)
2
yl)
at
70.0%.
Proposed
classification/
Use:
None.
For
use
on
berries,
dry
and
succulent
beans,
bulb
vegetables,
canola,
carrots,
fruiting
vegetables,
grapes,
lettuce,
peanuts,
pistachio,
potatoes,
tree
nuts,
stone
fruits,
and
strawberries.
9.
File
Symbol:
11656
OI.
Applicant:
Western
Farm
Services,
Inc.,
P.
O.
Box
1168,
Fresno,
CA
93715.
Product
Name:
Bud
Break
Plant
Growth
Regulator.
Plant
Growth
Regulator.
Active
ingredients:
Ammonium
nitrate
at
36.0%
and
Calcium
nitrate
at
31.0%.
Proposed
classification/
Use:
None.
For
agricultural
use
only.
10.
File
Symbol:
62719
GTG.
Applicant:
Dow
AgroSciences
LLC,
9330
Zionsville
Road,
Indianapolis,
IN
46268
1054.
Product
Name:
Quinoxyfen
Technical.
Fungicide.
Active
ingredient:
Quinoxyfen
at
97.7%.
Proposed
classification/
Use:
None.
For
manufacturing
use
only.
11.
File
Symbol:
62719
GTL.
Applicant:
Product
Name:
Quintec.
Fungicide.
Active
ingredient:
Quinoxyfen
at
22.58%.
Proposed
classification/
Use:
None.
A
protectant
fungicide
for
the
control
of
powdery
mildew
on
grapes
and
hops.
12.
File
Symbol:
62719
GTU.
Applicant:
Dow
AgroSciences
LLC.
Product
Name:
Quinoxyfen
Manufacturing
Use
Concentrate.
Fungicide.
Active
ingredient:
Quinoxyfen
at
53.5%.
Proposed
classification/
Use:
None.
For
manufacturing
use
only.
List
of
Subjects
Environmental
protection,
Pesticides
and
pest.
Dated:
November
26,
2002.
Peter
Caulkins,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
30945
Filed
12
5
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0316;
FRL
7281
5]
Notice
of
Receipt
of
Requests
for
Amendments
to
Delete
Uses
in
Certain
Pesticide
Registrations
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
accordance
with
section
6(
f)(
1)
of
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA),
as
amended,
EPA
is
issuing
a
notice
of
receipt
of
request
for
amendments
by
registrants
to
delete
uses
in
certain
pesticide
registrations.
Section
6(
f)(
1)
of
FIFRA
provides
that
a
registrant
of
a
pesticide
product
may
at
any
time
request
that
any
of
its
pesticide
registrations
be
amended
to
delete
one
or
more
uses.
FIFRA
further
provides
that,
before
acting
on
the
request,
EPA
must
publish
a
notice
of
receipt
of
any
request
on
the
Federal
Register.
DATES:
The
deletions
are
effective
on
June
4,
2003,
or
on
January
6,
2003
for
product
registration
019713
00263,
unless
the
Agency
receives
a
withdrawal
request
on
or
before
dates
given
above.
The
30
day
comment
period
applies
to
product
registration
019713
00263
only.
Users
of
these
products
who
desire
continued
use
on
crops
or
sites
being
deleted
should
contact
the
applicable
registrant
on
or
before
dates
given
above.
ADDRESSES:
Withdrawal
requests
may
be
submitted
by
mail,
electronically,
or
in
person.
Please
follow
the
detailed
instructions
for
each
method
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
To
ensure
proper
receipt
by
EPA,
it
is
imperative
that
you
identify
docket
ID
number
OPP
2002
0316
in
the
subject
line
on
the
first
page
of
your
response.
FOR
FURTHER
INFORMATION
CONTACT:
By
mail:
James
A.
Hollins,
Office
of
Pesticide
Programs
(
7502C),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5761;
e
mail
address:
hollins.
james@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
Although
this
action
may
be
of
particular
interest
to
persons
who
produce
or
use
pesticides,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
information
in
this
notice,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0316.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
VerDate
0ct<
31>
2002
17:
30
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05,
2002
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00000
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| epa | 2024-06-07T20:31:45.444624 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0332-0001/content.txt"
} |
EPA-HQ-OPP-2002-0334-0001 | Notice | 2002-12-16T05:00:00 | Exposure Modeling Work Group; Notice of Public Meeting | 77059
Federal
Register
/
Vol.
67,
No.
241
/
Monday,
December
16,
2002
/
Notices
DEPARTMENT
OF
ENERGY
Federal
Energy
Regulatory
Commission
[
Project
No.
2852
015]
New
York
State
Electric
&
Gas
Corporation,
New
York;
Notice
of
Availability
of
Environmental
Assessment
December
11,
2002.
In
accordance
with
the
National
Environmental
Policy
Act
of
1969,
as
amended,
and
the
Federal
Energy
Regulatory
Commission's
(
Commission)
regulations,
18
CFR
part
380
(
Order
No.
486,
52
FR
47897),
the
Office
of
Energy
projects
staff
have
reviewed
the
application
for
a
nonpower
license
for
the
Keuka
Hydroelectric
Project,
located
between
Waneta
Lake
and
Lamoka
Lake
impoundments,
and
Keuka
Lake
in
Steuben
and
Schuyler
Counties,
New
York
and
have
prepared
an
Environmental
Assessment
(
EA)
for
the
project.
The
EA
contains
the
staff's
analysis
of
the
potential
environmental
effects
of
the
proposed
action
by
the
applicant,
the
proposed
action
with
additional
staff
recommended
measures,
and
no
action.
A
copy
of
the
EA
is
available
for
review
in
the
public
Reference
Branch,
Room
2
A,
of
the
Commission's
office
at
888
First
Street,
NE.,
Washington,
DC
20426.
The
EA
may
also
be
viewed
on
the
web
at
http://
www.
ferc.
gov
using
the
``
FERRIS''
link.
Enter
the
docket
number
excluding
the
last
three
digits
in
the
docket
number
field
to
access
the
document.
For
assistance,
please
contact
FERC
Online
Support
at
FERCOnlineSupport@
ferc.
gov
or
tollfree
at
(
866)
208
3676,
or
for
TTY,
contact
(
202)
502
8659.
Any
comments
should
be
filed
within
30
days
from
the
date
of
this
notice
and
addressed
to
Magalie
R.
Salas,
Secretary,
Federal
Energy
Regulatory
Commission,
888
First
Street,
NE.,
Washington,
DC
20426.
Please
affix
``
Keuka
Hydroelectric
Project,
FERC
No.
2852
015''
to
all
comments.
Comments
may
be
filed
electronically
via
the
Internet
in
lieu
of
paper;
see
18
CFR
385.2001(
a)(
1)(
iii)
and
the
instructions
on
the
Commission's
Web
site
under
the
``
e
Filing''
link.
The
Commission
strongly
encourages
electronic
filings.
For
further
information,
contact
Patti
Leppert
at
(
202)
502
6034
or
by
E
mail
at
patricia.
leppert@
ferc.
gov.
Magalie
R.
Salas,
Secretary.
[
FR
Doc.
02
31597
Filed
12
13
02;
8:
45
am]
BILLING
CODE
6717
01
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0334;
FRL
7283
5]
Exposure
Modeling
Work
Group;
Notice
of
Public
Meeting
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
The
Exposure
Modeling
Work
Group
(
EMWG)
will
hold
a
1
day
meeting
on
December
17,
2002.
This
notice
announces
the
location
and
time
for
the
meeting
and
sets
forth
the
tentative
agenda
topics.
DATES:
The
meeting
will
be
held
on
Tuesday,
December
17,
2002,
from
9
a.
m.
to
3
p.
m.
ADDRESSES:
The
meeting
will
be
held
at
the
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Crystal
Mall
#
2,
Room
311,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
FOR
FURTHER
INFORMATION
CONTACT:
Michael
R.
Barrett,
Environmental
Fate
and
Effects
Division
(
7507C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
6391;
fax
number:
(
703)
308
6309;
email
address:
barrett.
michael@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general,
and
may
be
of
particular
interest
to
those
persons
who
are
or
may
be
required
to
conduct
testing
of
chemical
substances
under
the
Toxic
Substances
Control
Act
(
TSCA),
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
or
the
Federal
Insecticide,
Fungicide,
and
Rodenticide
Act
(
FIFRA).
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0334.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crstal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
The
Exposure
Modeling
Workgroup
meets
on
a
roughly
quarterly
interval
to
discuss
current
issues
in
modeling
pesticide
fate,
transport,
and
exposure
to
pesticides
in
support
of
risk
assessments
in
a
regulatory
context.
III.
How
Can
I
Request
to
Participate
in
this
Meeting?
You
may
submit
a
request
to
participate
in
this
meeting
to
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
IV.
Tentative
Agenda
This
unit
provides
tentative
agenda
topics
for
the
1
day
meeting.
1.
Welcome
and
introductions.
2.
Old
action
items.
3.
Brief
Updates
EPA's
pesticide
root
zone
model/
exposure
analysis
modeling
system
(
PRZM/
EXAMS)
model.
Spray
drift
task
force
progress.
Rice
modeling.
European
union
activities.
United
States
Department
of
Agriculture
(
USDA)
agricultural
research
service
activities.
VerDate
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31>
2002
15:
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13,
2002
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00000
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00030
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4703
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4703
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FR\
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16DEN1.
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Federal
Register
/
Vol.
67,
No.
241
/
Monday,
December
16,
2002
/
Notices
Environmental
fate
data
base.
New
meteorological
files.
Turf
umbrella.
WARP
model.
4.
Major
Topics
EFED
water
quality
priorities
for
FY
2003
themes
for
2003.
European
Union
activities:
FOCUS
ground
water
and
surface
water
assessment
methods,
mitigation
measures
and
processes
for
refining
risk
assessments.
Prospective
ground
water
data
base
data
reporting
and
formatting
issues.
USDA
research
service
efforts
to
address
needs
of
regulators
in
their
pesticide
mitigation
and
modeling
research,
results
of
recent
workshop.
List
of
Subjects
Environmental
protection,
Pesticides
and
pests.
Dated:
December
10,
2002.
Steven
Bradbury,
Director,
Environmental
Fate
and
Effects
Division,
Office
of
Pesticide
Programs.
[
FR
Doc.
02
31613
Filed
12
12
02;
9:
03
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPPT
2002
0072;
FRL
7284
9]
Certain
New
Chemicals;
Receipt
and
Status
Information
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
Section
5
of
the
Toxic
Substances
Control
Act
(
TSCA)
requires
any
person
who
intends
to
manufacture
(
defined
by
statute
to
include
import)
a
new
chemical
(
i.
e.,
a
chemical
not
on
the
TSCA
Inventory)
to
notify
EPA
and
comply
with
the
statutory
provisions
pertaining
to
the
manufacture
of
new
chemicals.
Under
sections
5(
d)(
2)
and
5(
d)(
3)
of
TSCA,
EPA
is
required
to
publish
a
notice
of
receipt
of
a
premanufacture
notice
(
PMN)
or
an
application
for
a
test
marketing
exemption
(
TME),
and
to
publish
periodic
status
reports
on
the
chemicals
under
review
and
the
receipt
of
notices
of
commencement
to
manufacture
those
chemicals.
This
status
report,
which
covers
the
period
from
November
2,
2002
to
November
19,
2002,
consists
of
the
PMNs
pending
or
expired,
and
the
notices
of
commencement
to
manufacture
a
new
chemical
that
the
Agency
has
received
under
TSCA
section
5
during
this
time
period.
DATES:
Comments
identified
by
the
docket
ID
number
OPPT
2002
0072
and
the
specific
PMN
number
or
TME
number,
must
be
received
on
or
before
January
15,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division,
Office
of
Pollution
Prevention
and
Toxics
(
7408M),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
202)
554
1404;
e
mail
address:
TSCAHotline
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
As
such,
the
Agency
has
not
attempted
to
describe
the
specific
entities
that
this
action
may
apply
to.
Although
others
may
be
affected,
this
action
applies
directly
to
the
submitter
of
the
premanufacture
notices
addressed
in
the
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPPT
2002
0072.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
EPA
Docket
Center,
Rm.
B102
Reading
Room,
EPA
West,
1301
Constitution
Ave.,
NW.,
Washington,
DC.
The
EPA
Docket
Center
is
open
from
8:
30
a.
m.
to
4:
30
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
EPA
Docket
Center
Reading
Room
telephone
number
is
(
202)
566
1744
and
the
telephone
number
for
the
OPPT
Docket,
which
is
located
in
EPA
Docket
Center,
is
(
202)
566
0280.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
VerDate
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15:
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| epa | 2024-06-07T20:31:45.449421 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0334-0001/content.txt"
} |
EPA-HQ-OPP-2002-0342-0001 | Notice | 2002-12-23T05:00:00 | Imazamox; Notice of Filing a Pesticide Petition to Establish a Tolerance for a Certain Pesticide
Chemical in or on Food | 78229
Federal
Register
/
Vol.
67,
No.
246
/
Monday,
December
23,
2002
/
Notices
SIP,
the
order
requires
EPA
Region
8
to
review
the
SIP
itself
to
determine
whether
emissions
exception
provisions
are
contrary
to
EPA
policy.
Finally,
the
Administrator's
order
denies
the
petition's
claim
that
``
new
information''
about
smoke
filling
the
town
of
Buffalo,
Wyoming,
and
the
source's
compliance
history
show
a
need
for
continuous
monitoring.
The
petitioner's
request
is
denied
because
the
issue
of
monitoring
has
been
adequately
addressed
above,
and
petitioners
failed
to
demonstrate
that
any
applicable
requirement
is
missing
from
the
permit
or
that
the
permit
otherwise
fails
to
comply
with
the
requirements
of
the
regulation.
Additional
explanation
for
the
Administrator's
decision
can
be
found
in
the
order.
Patricia
D.
Hull,
Acting
Regional
Administrator,
Region
8.
[
FR
Doc.
02
32261
Filed
12
20
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0342;
FRL
7284
5]
Imazamox;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
a
pesticide
petition
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0342,
must
be
received
on
or
before
January
22,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Shaja
R.
Brothers,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
308
3194;
e
mail
address:
brothers.
shaja@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0342.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
roviding
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
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15:
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2002
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Federal
Register
/
Vol.
67,
No.
246
/
Monday,
December
23,
2002
/
Notices
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0342
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0342.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0342.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
Number
OPP
2002
0342.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
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67,
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246
/
Monday,
December
23,
2002
/
Notices
Dated:
December
12,
2002.
Peter
Caulkins,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petition
The
petitioner
summary
of
the
pesticide
petition
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petition
was
prepared
by
the
petitioner
and
represents
the
view
of
the
petitioner.
The
petition
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
Interregional
Research
Project
Number
4
and
BASF
Corporation
PP
2E6472
EPA
has
received
a
pesticide
petition
(
2E6472)
from
Interregional
Research
Project
Number
4
(
IR
4),
681
U.
S.
Highway
#
1
South,
North
Brunswick,
NJ
08902
3390
proposing,
pursuant
to
section
408(
d)
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
part
180.
Subpart
D
by
establishing
an
exemption
from
the
requirement
of
a
tolerance
for
imazamox,( )
2
4,5
dihydro
4
methyl
4(
1
methylethyl)
5
oxo
1H
imidazol
2
yl
5
(
methoxymethyl)
3
pyridinecarboxylic
acid
in
or
on
all
raw
and
processed
agricultural
commodities.
EPA
has
determined
that
the
petition
contains
data
or
information
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
This
notice
includes
a
summary
of
the
petition
prepared
by
BASF
Corporation,
Research
Triangle
Park,
27709.
A.
Residue
Chemistry
1.
Plant
metabolism.
EPA
has
concluded
that
the
nature
of
the
residue
is
adequately
understood
and
the
residues
of
concern
are
the
parent
imazamox
only.
2.
Analytical
method.
Since
imazamox
and
its
metabolic
degradates
are
not
of
toxicological
concern,
analytical
methods
are
not
applicable.
3.
Magnitude
of
residues.
Since
imazamox
and
its
metabolic
degradates
are
not
of
toxicological
concern,
and
this
petition
is
a
request
for
an
exemption
from
a
tolerance,
the
magnitude
of
residues
is
not
applicable.
B.
Toxicological
Profile
1.
Acute
toxicity.
Imazamox
technical
is
considered
to
be
nontoxic
(
toxicity
category
IV)
to
the
rat
by
the
oral
route
of
exposure.
In
the
acute
oral
toxicity
study
in
rats,
the
lethal
dose
LD50
value
of
imazamox
technical
was
greater
than
5,000
milligram/
kilogram
body
weight
(
mg/
kg
bwt)
for
males
and
females.
The
results
from
the
acute
dermal
toxicity
study
in
rabbits
indicate
that
imazamox
is
slightly
toxic
(
toxicity
category
III)
to
rabbits
by
the
dermal
exposure.
The
dermal
LD50
value
of
imazamox
technical
was
greater
than
4,000
mg/
kg
bwt
for
both
male
and
female
rabbits.
Imazamox
technical
is
considered
to
be
nontoxic
(
toxicity
category
IV)
to
the
rat
by
the
respiratory
route
of
exposure.
The
4
hour
lethal
concentration
LC50
value
was
greater
than
6.3
milligrams/
Liter
(
mg/
L)
(
analytical)
for
both
males
and
females.
Imazamox
technical
was
shown
to
be
non
irritating
to
slightly
irritating
to
rabbit
skin
(
toxicity
category
IV).
Based
on
the
results
of
a
dermal
sensitization
study
(
Buehler),
imazamox
technical
is
not
considered
a
sensitizer
in
guinea
pigs.
2.
Genotoxicity.
Imazamox
technical
was
tested
in
the
following
four
assays
measuring
several
different
endpoints
of
potential
genotoxicity.
Collective
results
from
these
studies
indicate
that
imazamox
does
not
pose
a
mutagenic
or
genotoxic
risk.
i.
Bacterial
mutagenicity
assay
negative.
ii.
In
vitro
structural
chromosomal
aberration
assay
negative.
iii.
In
vitro
chinese
hampster
ovary/
hypoxanthine
guanine
phophoribosyl
transferase
(
CHO/
HGPRT)
assay
negative.
iv.
In
vivo
micronucleus
aberration
assay
negative.
3.
Reproductive
and
developmental
toxicity.
The
development
toxicity
study
in
rats
conducted
with
imazamox
technical
showed
no
evidence
of
teratogenic
effects
in
fetuses
and
no
evidence
of
developmental
toxicity.
Thus,
imazamox
is
neither
a
developmental
toxicant
nor
a
teratogen
in
the
rat.
The
results
from
this
study
supported
a
no
observed
adverse
effect
level
(
NOAEL)
for
developmental
toxicity
of
1,000
mg/
kg
bwt/
day,
the
highest
dose
tested
(
HDT)
and
limit
dose.
The
NOAEL
for
maternal
toxicity
was
500
mg/
kg
bwt/
day,
based
on
reduced
mean
body
weights,
weight
gains
and
food
consumption
at
1,000
mg/
kg
bwt/
day.
Results
from
a
developmental
toxicity
study
in
rabbits
conducted
with
imazamox
technical
also
indicated
no
evidence
of
teratogenicity
or
developmental
toxicity.
Thus,
imazamox
technical
is
neither
a
developmental
toxicant
nor
a
teratogen
in
the
rabbit.
In
the
rabbit
developmental
toxicity
study,
the
NOAEL
for
maternal
toxicity
was
300
mg/
kg
bwt/
day,
based
on
decreased
food
consumption
at
600
mg/
kg
bwt/
day,
the
next
HDT.
The
NOAEL
for
developmental
toxicity
was
900
mg/
kg
bwt/
day,
the
HDT.
The
results
from
the
2
generation
reproduction
toxicity
study
in
rats
with
imazamox
technical
support
a
NOAEL
for
parental
and
reproductive
toxicity
of
20,000
parts
per
million
(
ppm)
(
or
approximately
1,639
mg/
kg
bwt/
day,
calculated
from
the
food
consumption
data),
the
highest
concentration
tested
(
HCT).
The
NOAEL
for
growth
and
development
of
offspring
is
also
20,000
ppm
(
or
approximately
1,639
mg/
kg
bwt/
day).
Results
from
the
reproduction
study
and
the
developmental
toxicity
studies
conducted
with
imazamox
technical
show
no
increased
sensitivity
to
developing
offspring
as
compared
to
parental
animals,
because
the
NOAELs
for
growth
and
development
of
offspring
were
equal
to
or
greater
than
the
NOAELs
for
parental
or
maternal
toxicity.
4.
Subchronic
toxicity.
No
treatmentrelated
adverse
effects
were
noted
in
subchronic
toxicity
studies
at
the
HDT.
A
short
term
(
28
day)
dermal
study
in
rabbits
was
conducted
with
imazamox
technical.
No
dermal
irritation
or
systemic
toxicity
was
observed
at
dose
levels
up
to
and
including
1,000
mg/
kg
bwt/
day
HDT,
supporting
a
NOAEL
of
1,000
mg/
kg
bwt/
day.
In
a
subchronic
(
13
week)
dietary
toxicity
study
in
rats
with
imazamox
technical,
no
signs
of
systemic
toxicity
were
noted,
supporting
a
NOAEL
of
20,000
ppm
(
or
approximately
1,661
mg/
kg
bwt/
day,
calculated
from
food
consumption
data),
the
HCT.
In
a
subchronic
(
90
day)
dietary
toxicity
study
in
dogs
with
imazamox
technical,
no
signs
of
systemic
toxicity
were
noted,
supporting
a
NOAEL
of
40,000
ppm
(
or
approximately
1,368
mg/
kg
bwt/
day,
calculated
from
the
food
consumption
data),
the
HCT.
5.
Chronic
toxicity.
The
low
order
of
mammalian
toxicity
of
imazamox
technical
is
also
evident
from
the
chronic
dietary
toxicity
studies.
These
studies
showed
no
increased
mortalities
or
clinical
signs
of
toxicity
attributed
to
imazamox
treatment.
Moreover,
there
were
no
treatment
related
effects
on
food
consumption,
body
weights,
organ
weights,
or
hematology,
clinical
chemistry,
urinalysis
or
ophthalmologic
parameters.
There
was
no
gross
or
microscopic
evidence
of
treatmentrelated
lesions
or
carcinogenicity
in
the
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23,
2002
/
Notices
three
chronic
studies
conducted
in
dogs,
mice
or
rats.
A
1
year
dietary
study
was
conducted
with
imazamox
technical
in
dogs
at
dietary
concentrations
of
0,
1,000,
10,000,
and
40,000
ppm.
The
NOAEL
for
this
study
was
40,000
ppm
(
or
approximately
1,165
mg/
kg
bwt/
day,
based
on
food
consumption),
the
HCT.
A
chronic
feeding/
carcinogenicity
study
was
conducted
with
imazamox
technical
in
male
and
female
rats
at
dietary
concentrations
of
0,
1,000,
10,000,
and
20,000
ppm.
The
NOAEL
for
systemic
toxicity
and
carcinogenicity
was
20,000
ppm
(
or
approximately
1,167
mg/
kg
bwt/
day,
based
on
food
consumption)
the
HCT.
A
chronic
feeding/
carcinogenicity
study
was
conducted
with
imazamox
technical
in
male
and
female
mice
at
dietary
concentration
of
500,
3,500,
and
7,000
ppm.
The
NOAEL
for
systemic
toxicity
and
carcinogenicity
was
7,000
ppm
(
or
approximately
1,201
mg/
kg
bwt/
day,
based
on
food
consumption),
the
HCT.
6.
Animal
metabolism.
The
qualitative
nature
of
the
residues
of
imazamox
and
its
metabolites
CL
263284
and
CL
263284'
s
carboxylate
AC
312622
in
animals
is
adequately
understood.
Based
on
metabolism
studies
with
goats,
hens
and
rats,
there
is
no
reasonable
expectation
that
measurable
imazamoxrelated
residues
will
occur
in
meat,
milk,
poultry
or
eggs
from
the
proposed
use.
7.
Metabolite
toxicology.
No
toxicologically
significant
metabolites
were
detected
in
plant
or
animal
metabolism
studies
for
soybeans
or
the
rest
of
the
crops
in
the
legume
vegetable
crop
grouping
(
6)
or
canola.
Therefore,
no
metabolites
need
to
be
regulated
in
these
crops.
The
plant
metabolism
study
in
wheat
indicated
very
low
residues
of
concern.
A
very
small
amount
of
the
metabolite
CL
263284
was
found
in
the
wheat
grain.
The
plant
metabolism
in
alfalfa
indicated
very
low
residues
in
the
alfalfa
seed.
However,
the
parent
imazamox
underwent
metabolism
to
the
metabolite
CL
263284
(
the
same
metabolite
seen
in
wheat).
This
metabolite
was
captured
by
a
glucose
molecule
to
form
the
glucose
conjugate
CL
189215
and
the
hydroxymethyl
AC
263284
was
also
further
oxidized
to
the
carboxylate
metabolite
CL
312622.
Both
metabolites,
CL
263284
and
CL
312622
were
present
in
the
rat
metabolism
study.
No
additional
toxicologically
significant
metabolites
were
detected
in
any
plant
or
animal
studies.
8.
Endocrine
disruption.
Collective
organ
weight
data
and
histopathological
findings
from
the
2
generation
rat
reproductive
study,
as
well
as
from
the
sub
chronic
and
chronic
toxicity
studies
conducted
in
two
or
more
animal
species,
demonstrate
no
apparent
estrogenic
effects
or
effects
on
the
endocrine
system.
There
is
no
information
available
that
suggests
that
imazamox
would
be
associated
with
endocrine
effects.
C.
Aggregate
Exposure
1.
Dietary
exposure
i.
Food.
Residues
of
imazamox
and
its
metabolic
degradates
are
not
of
toxicological
concern.
Therefore,
dietary
exposure
through
he
food
is
not
a
concern.
ii.
Drinking
water.
Residues
of
imazamox
and
its
metabolic
degradates
are
not
of
toxicological
concern.
Therefore,
dietary
exposure
through
water
is
not
a
concern.
2.
Non
dietary
exposure.
There
is
no
available
information
quantifying
nondietary
exposure
to
imazamox.
However,
based
on
the
physical
and
chemical
characteristics
of
the
compound,
the
proposed
use
pattern
and
available
information
concerning
its
environmental
fate,
non
dietary
exposure
is
not
expected.
D.
Cumulative
Effects
Because
of
the
low
toxicity
of
imazamox
and
its
metabolic
degradates,
there
is
no
concern
regarding
the
potential
for
cumulative
effects
of
imazamox
and
its
degradates
with
other
substances
with
a
common
mode
of
action.
Imazamox
belongs
to
the
imidazolinone
class
of
chemistry.
The
herbicidal
activity
of
the
imidazolinones
is
due
to
the
inhibition
of
acetohydroxy
acid
synthase
(
AHAS),
an
enzyme
only
found
in
plants.
AHAS
is
part
of
the
biosynthetic
pathway
leading
to
the
formation
of
branched
chain
amino
acids.
Animals
lack
AHAS
and
this
biosynthetic
pathway.
This
lack
of
AHAS
contributes
to
the
low
toxicity
of
imazamox
in
mammals.
We
are
aware
of
no
information
to
indicate
or
suggest
that
imazamox
has
any
toxic
effects
on
mammals
that
would
be
cumulative
with
those
of
any
other
chemical.
Since
imazamox
is
relatively
non
toxic,
cumulative
effects
of
residues
of
imazamox
and
other
chemicals
are
not
anticipated.
Therefore,
for
the
purposes
of
this
tolerance
petition,
no
assumption
has
been
made
with
regard
to
cumulative
exposure
with
other
chemicals
having
a
common
mode
of
herbicidal
action.
E.
Safety
Determination
1.
U.
S.
population.
Because
imazamox
and
its
degradates
are
not
of
toxicological
concern
and
there
is
low
exposure
to
imazamox
and
its
degradates,
this
exemption
from
the
requirement
of
a
tolerance
in
or
on
all
raw
agricultural
commodities
will
not
pose
a
dietary
risk
under
reasonably
foreseeable
circumstances.
2.
Infants
and
children.
Likewise,
because
imazamox
and
its
degradates
are
not
of
toxicological
concern
and
there
is
low
exposure
to
imazamox
and
its
degradates,
this
exemption
from
the
requirement
of
a
tolerance
in
or
on
all
raw
agricultural
commodities
will
not
pose
a
dietary
risk
under
reasonably
foreseeable
circumstances
to
the
U.
S.
population
sub
group
of
infants
and
children.
F.
International
Tolerances
There
is
no
Codex
maximum
residue
level
established
for
residues
of
imazamox
on
any
crops.
FR
Doc.
02
32260
Filed
12
20
02;
8:
45
a.
m.]
BILLING
CODE
6560
50
S
FARM
CREDIT
ADMINISTRATION
Farm
Credit
Administration
Board;
Special
Meeting
AGENCY:
Farm
Credit
Administration.
SUMMARY:
Notice
is
hereby
given,
pursuant
to
the
Government
in
the
Sunshine
Act
(
5
U.
S.
C.
552b(
e)(
3)),
of
the
special
meeting
of
the
Farm
Credit
Administration
Board
(
Board).
DATE
AND
TIME:
The
special
meeting
of
the
Board
will
be
held
at
the
offices
of
the
Farm
Credit
Administration
in
McLean,
Virginia,
on
December
20,
2002,
from
9
a.
m.
until
such
time
as
the
Board
concludes
its
business.
FOR
FURTHER
INFORMATION
CONTACT:
Jeanette
C.
Brinkley,
Acting
Secretary
to
the
Farm
Credit
Administration
Board,
(
703)
883
4009,
TTY
(
703)
883
4056.
ADDRESSES:
Farm
Credit
Administration,
1501
Farm
Credit
Drive,
McLean,
Virginia
22102
5090.
SUPPLEMENTARY
INFORMATION:
This
meeting
of
the
Board
will
be
open
to
the
public
(
limited
space
available).
In
order
to
increase
the
accessibility
to
Board
meetings,
persons
requiring
assistance
should
make
arrangements
in
advance.
The
matters
to
be
considered
at
the
meeting
are:
Open
Session
A.
Approval
of
Minutes
November
7,
2002
(
Open
and
Closed)
B.
Reports
FCS
Building
Association's
Quarterly
Report
Federal
Farm
Credit
Banks
Funding
Corporation
Update
C.
New
Business
Regulations
Proposed
Rule
Disclosure
of
Effective
Interest
Rates
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15:
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| epa | 2024-06-07T20:31:45.453127 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0342-0001/content.txt"
} |
EPA-HQ-OPP-2002-0343-0001 | Notice | 2002-12-31T05:00:00 | Prosulfuron; Notice of Filing Pesticide Petitions to Establish Tolerances for a Certain
Pesticide Chemical in or on Food | 79914
Federal
Register
/
Vol.
67,
No.
251
/
Tuesday,
December
31,
2002
/
Notices
conference
meeting.
See
below
for
time
limitations
on
public
comments.
Members
of
the
public
desiring
additional
information
about
the
meeting
locations
must
contact
Ms.
Zisa
Lubarov
Walton,
EPA
Science
Advisory
Board
(
1400A),
Suite
6450FF,
U.
S.
EPA,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460;
telephone/
voice
mail
at
(
202)
564
4533;
fax
at
(
202)
501
0582;
or
via
e
mail
at
lubarovwalton
zisa@
epa.
gov.
A
copy
of
the
draft
agenda,
and
other
information
for
the
review
for
each
meeting,
will
be
posted
on
the
SAB
Web
site
(
www.
epa.
gov/
SAB/
whatsnew.
htm)
approximately
10
days
before
that
meeting.
(
a)
Availability
of
Review
Materials
Materials
that
are
the
subject
of
this
review
are
available
from
Ms.
Laura
Miner
Nordstrom,
Office
of
the
Chief
Financial
Officer
or
from
Mr.
Kevin
Teichman,
Office
of
Research
and
Development.
Ms.
Laura
Miner
Nordstrom
can
be
reached
on
(
202)
564
1601
or
by
e
mail
at
Miner
Nordstrom.
Laura@
epa.
gov
and
Mr.
Teichman
can
be
reached
on
(
202)
564
6705
or
via
e
mail
on
teichman.
kevin@
epa.
gov.
(
b)
Meeting
Access
Individuals
requiring
special
accommodation
at
this
meeting,
including
wheelchair
access
to
the
conference
room,
should
contact
Mr.
Miller
at
least
five
business
days
prior
to
the
meeting
so
that
appropriate
arrangements
can
be
made.
(
c)
General
Information
Additional
information
concerning
the
Science
Advisory
Board,
its
structure,
function,
and
composition,
may
be
found
on
the
SAB
Web
site
(
http://
www.
epa.
gov/
sab)
and
in
the
Science
Advisory
Board
FY2001
Annual
Staff
Report
which
is
available
from
the
SAB
Publications
Staff
at
(
202)
564
4533
or
via
fax
at
(
202)
501
0256.
4.
Providing
Oral
or
Written
Comments
at
SAB
Meetings
It
is
the
policy
of
the
EPA
Science
Advisory
Board
to
accept
written
public
comments
of
any
length,
and
to
accommodate
oral
public
comments
whenever
possible.
The
EPA
Science
Advisory
Board
expects
that
public
statements
presented
at
its
meetings
will
not
be
repetitive
of
previously
submitted
oral
or
written
statements.
Oral
Comments:
In
general,
each
individual
or
group
requesting
an
oral
presentation
at
a
face
to
face
meeting
will
be
limited
to
a
total
time
of
ten
minutes
(
unless
otherwise
indicated).
For
teleconference
meetings,
opportunities
for
oral
comment
will
usually
be
limited
to
no
more
than
three
minutes
per
speaker
and
no
more
than
fifteen
minutes
total.
Deadlines
for
getting
on
the
public
speaker
list
for
a
meeting
are
given
above.
Speakers
should
bring
at
least
35
copies
of
their
comments
and
presentation
slides
for
distribution
to
the
reviewers
and
public
at
the
meeting.
Written
Comments:
Although
the
SAB
accepts
written
comments
until
the
date
of
the
meeting
(
unless
otherwise
stated),
written
comments
should
be
received
in
the
SAB
Staff
Office
at
least
one
week
prior
to
the
meeting
date
so
that
the
comments
may
be
made
available
to
the
review
panel
for
their
consideration.
Comments
should
be
supplied
to
the
appropriate
DFO
at
the
address/
contact
information
noted
above
in
the
following
formats:
one
hard
copy
with
original
signature,
and
one
electronic
copy
via
e
mail
(
acceptable
file
format:
Adobe
Acrobat,
WordPerfect,
Word,
or
Rich
Text
files
(
in
IBM
PC/
Windows
95/
98
format).
Those
providing
written
comments
and
who
attend
the
meeting
are
also
asked
to
bring
35
copies
of
their
comments
for
public
distribution.
Dated:
December
24,
2002.
Robert
Flaak,
Acting
Director,
EPA
Science
Advisory
Board
Staff
Office.
[
FR
Doc.
02
32987
Filed
12
30
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0343;
FRL
7284
7]
Prosulfuron;
Notice
of
Filing
Pesticide
Petitions
to
Establish
Tolerances
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
pesticide
petitions
proposing
the
establishment
of
regulations
for
residues
of
prosulfuron
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0343,
must
be
received
on
or
before
January
30,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Jim
Tompkins,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
5697;
e
mail
address:
tompkins.
jim@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
code
111)
Animal
production
(
NAICS
code
112)
Food
manufacturing
(
NAICS
code
311)
Pesticide
manufacturing
(
NAICS
code
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
this
unit
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0343.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
VerDate
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16:
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79915
Federal
Register
/
Vol.
67,
No.
251
/
Tuesday,
December
31,
2002
/
Notices
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0343.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0343.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0343.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
Number
OPP
2002
0343.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
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Notices
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
December
20,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petitions
The
petitioner's
summary
of
the
pesticide
petitions
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petitions
was
prepared
by
the
petitioner
and
represents
the
view
of
the
petitioner.
The
petitions
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
EPA
has
received
pesticide
petitions
(
PP
5F4469)
and
(
PP
4F4336),
from
Syngenta
Crop
Protection,
Inc.,
P.
O.
Box
18300,
Greensboro,
NC
27419
8300
proposing,
pursuant
to
section
408(
d)
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
part
180
by
establishing
a
tolerance
for
residues
of
prosulfuron,
1(
4
methoxy
6
methyl
triazin
2
yl)
3
[
2(
3,3,3
trifluoropropyl)
phenylsulfonyl]
urea
in
or
on
the
raw
agricultural
commodities,
cereal
grains
group
(
except
rice
and
wild
rice)
grain
at
0.01
parts
per
million
(
ppm),
cereal
grains
group
(
except
rice
and
wild
rice)
forage
at
0.10
ppm,
cereal
grains
group
(
except
rice
and
wild
rice)
fodder
at
0.01
ppm,
cereal
grains
group
(
except
rice
and
wild
rice)
straw
at
0.02
ppm,
cereal
grains
group
(
except
rice
and
wild
rice)
hay
at
0.20
ppm,
milk
at
0.01
ppm,
meat,
fat,
kidney,
liver,
and
meat
byproducts
of
cattle,
goats,
hogs,
horses,
and
sheep
at
0.05
ppm.
EPA
has
determined
that
the
petition
contains
data
or
information
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
This
is
a
revised
notice
of
filing
to
amend
a
previous
notice
of
filing
published
in
the
Federal
Register
of
August
25,
1999
(
FR
64
46382)
(
FRL
6093
7),
to
propose
permanent
tolerances,
instead
of
the
current
timelimited
tolerances
for
prosulfuron.
A.
Residue
Chemistry
1.
Plant
metabolism.
The
nature
of
the
residue
of
prosulfuron
in
corn
is
adequately
understood.
Significant
pathways
involve
oxidation
of
the
phenyl
ring
to
give
5
hydroxy
prosulfuron,
which
is
followed
by
sugar
conjugation.
Hydrolytic
cleavage
of
the
sulfonylurea
bridge
occurs
for
both
prosulfuron
and
5
hydroxy
prosulfuron,
yielding
the
corresponding
sulfonamide
and
triazine
amine
moieties.
The
sulfonamide
metabolites
are
subsequently
conjugated
with
sugars.
Demethylation
of
the
triazine
amine
results
in
the
formation
of
the
corresponding
hydroxy
triazine,
which
is
further
hydrolyzed
at
the
amino
group
to
form
the
dihydroxy
triazine.
2.
Analytical
method.
Adequate
analytical
methods
exist
for
the
detection
and
measurement
of
residue
levels
of
prosulfuron
in
or
on
raw
and
processed
commodities
of
cereal
grains,
and
for
meat,
milk
and
eggs.
The
limit
of
quantitation
(
LOQ)
is
0.01
ppm
for
crop
commodities,
processed
fractions
and
milk,
and
0.05
ppm
for
meat
and
eggs.
The
method
is
based
on
commodity
specific
cleanup
procedures
followed
by
determination
by
high
performance
liquid
chromatography
with
ultraviolet
(
UV)
detection.
3.
Magnitude
of
residues.
Complete,
full
geography
residue
programs,
including
processing,
have
been
conducted
on
corn,
wheat
and
grain
sorghum.
A
three
level
dairy
animal
feeding
study
to
determine
the
transfer
of
residues
of
prosulfuron
from
animal
feed
commodities
to
meat
and
milk
has
also
been
conducted.
B.
Toxicological
Profile
1.
Acute
toxicity.
EPA
has
set
an
acute
reference
dose
of
0.1
milligram/
kilogram/
day
(
mg/
kg/
day)
based
upon
a
no
observed
adverse
effect
level
(
NOAEL)
of
10
mg/
kg/
day
from
the
rat
acute
neurotoxicity
study
(
lowest
observed
adverse
effect
level
(
LOAEL)
of
250
mg/
kg/
day
due
to
reduced
motor
activity
and
body
temperature
in
males
and
impaired
righting
reflex
in
females)
and
a
100
fold
uncertainty
factor
(
UF).
2.
Genotoxicty.
Prosulfuron
was
negative
for
mutagenic/
genotoxic
effects
when
tested
in
a
bacterial
reverse
gene
mutation
assay
with
and
without
metabolic
activation
using
different
S.
typhimurium
and
E.
coli
stains;
in
a
mammalian
gene
mutation
study
using
V79
cells;
in
an
in
vitro
mammalian
cytogenetic
test
using
Chinese
hamster
ovary
(
CHO)
cells
with
and
without
metabolic
activation;
in
a
micronucleus
test
in
mice;
and
in
a
DNA
repair
using
freshly
isolated
rat
liver
hepatocytes.
3.
Reproductive
and
developmental
toxicity.
The
data
base
on
prosulfuron
relative
to
prenatal
and
postnatal
effects
for
children
is
considered
to
be
essentially
complete
with
no
data
gaps.
The
developmental
and
reproductive
toxicity
data
do
not
indicate
increase
susceptibility
of
rats
or
rabbits
to
in
utero
and/
or
postnatal
exposure
to
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prosulfuron.
In
a
rat
teratology
study,
evidence
of
maternal
toxicity
(
decreased
body
weight
gain
and
reduced
food
consumption)
and
developmental
toxicity
(
increased
incidence
of
skeletal
variations
that
was
not
significantly
different
from
the
historical
control)
was
found
at
the
maximum
tolerated
dose
of
400
mg/
kg.
There
was
no
evidence
of
teratogenicity
at
any
dose,
and
the
maternal
and
developmental
NOAELs
were
established
at
200
mg/
kg.
In
a
rabbit
teratology
study,
maternal
toxicity
(
decreased
body
weight
gain
and
reduced
food
consumption)
was
observed
in
the
100
mg/
kg
dose
group.
There
was
no
evidence
of
teratogenicity
at
any
dose.
Since
a
range
finding
rabbit
teratology
study
had
seen
additional
clinical
findings
and
fetotoxicity
at
maternally
toxic
doses
(
150
mg/
kg)
but
not
in
the
definitive
study
at
up
to
100
mg/
kg,
a
second
rabbit
teratology
study
was
conducted
at
doses
of
0,
20,
100,
and
200
mg/
kg/
day.
Maternal
toxicity
was
observed
at
200
mg/
kg.
The
developmental
NOAEL
was
100
mg/
kg
and
the
maternal
NOAEL
was
20
mg/
kg
in
this
study.
There
was
no
evidence
of
teratogenicity
at
any
dose.
A
rat
multigenerational
reproduction
study
indicated
reproductive
and
systemic
NOAELs
of
13.3
mg/
kg/
day
based
on
decreased
mean
body
weights
and
body
weight
gain
observed
at
136
mg/
kg/
day
for
both
pups
and
parental
animals.
No
treatment
related
effects
on
reproductive
performance
(
i.
e.,
to
produce,
deliver
or
raise
litters),
litter
sizes,
viability
of
pups,
and
necropsy
findings
in
parental
animals
and
offspring
were
noted
up
to
the
highest
dose
level.
4.
Subchronic
toxicity.
The
liver
was
identified
as
a
target
organ
at
high
doses
in
the
rat,
mouse,
and
dog
as
indicated
by
slightly
increased
liver
enzymes
and
liver
weights.
No
histomorphologic
correlates
of
liver
damage
was
noted
in
the
90
day
studies
except
in
the
mouse
study
where
centrilobular
hypertrophy
was
found
in
males
at
feeding
levels
1,750
ppm
and
in
females
at
levels
3,500
ppm.
In
general,
NOAELs
for
target
organ
effects
were
established
at
doses
that
were
much
higher
than
overall
study
NOAELs,
which
were
based
on
other
indicators
of
toxicity
such
body
weight
gain.
5.
Chronic
toxicity.
In
the
1
year
dog
chronic
dosing
study,
the
NOAEL
was
1.84
mg/
kg/
day
based
on
hematologic
and
clinical
chemistry
effects
and
incidence
of
lipofuscin
accumulation
in
the
liver
at
18.6
mg/
kg/
day.
In
the
18
month
mouse
carcinogenicity
study,
there
was
no
evidence
of
carcinogenic
effects
up
to
the
highest
dose
tested
(
HDT)
of
1,062
mg/
kg/
day.
The
NOAEL
was
1.71
mg/
kg/
day
in
males,
and
100
mg/
kg/
day
in
females
based
on
increased
incidence/
severity
of
centrilobular
hepatocellular
hypertrophy.
A
2
year
chronic
feeding/
carcinogenicity
study
in
rats
indicated
systemic
NOAEL
of
7.9
mg/
kg/
day
was
based
on
decreased
body
weight
and
body
weight
gain,
hematopoietic
effects
(
males),
and
possibly
increased
serum
GGT
and
decreased
liver,
kidney,
and
adrenal
weights
(
females)
at
79.9
mg/
kg/
day.
There
was
uncertain
evidence
of
carcinogenicity
with
slight
increases
in
the
incidence
of
mammary
gland
adenocarcinomas
in
females
at
95.7
and
205.8
mg/
kg/
day,
slight
increase
in
incidence
of
benign
testicular
interstitial
cell
tumors
at
79.9
and
160.9
mg/
kg/
day
(
significant
trend
only).
Considering
the
weight
of
the
evidence,
the
EPA
Reference
Dose
Committee
previously
concluded
that
the
chemical
should
be
classified
as
a
Group
D
carcinogen
(
inadequate
evidence),
not
classifiable
as
to
human
carcinogenicity.
The
HIARC
(
meeting
December
2,
1999)
accepted
the
previous
conclusions
and
updated
the
cancer
classification
to
the
new
classification:
``
data
are
inadeqate,''
with
no
new
studies
required.
EPA
has
set
a
chronic
reference
dose
of
0.02
mg/
kg
based
on
a
NOAEL
of
1.84
mg/
kg
in
a
dog
feeding
study
and
a
100
fold
UF.
6.
Animal
metabolism.
The
metabolic
pathways
in
the
rat,
goat,
and
hen
are
similar
and
are
adequately
understood.
Prosulfuron
is
rapidly
absorbed
from
the
gastrointestinal
(
GI)
tract
of
rats
and
is
rapidly
excreted.
Approximately
90%
of
the
administered
dose
is
excreted
during
the
first
48
hours,
predominately
via
urine.
Tissue
residues
are
low.
Prosulfuron
is
metabolized
primarily
via
hydroxylation
at
side
chain
and
phenyl
ring
positions
and
O
demethylation
of
the
triazyl
methoxy
group.
Minor
pathways
include
unsaturation
of
the
trifluoropropyl
side
chain,
hydrolysis
of
the
phenylsulfonylurea
bridge
and
oxidative/
hydrolytic
cleavage
of
the
triazine
ring
system.
In
the
goat,
the
orally
administered
prosulfuron
is
quickly
eliminated
primarily
via
the
urine
as
prosulfuron.
The
metabolism
of
prosulfuron
in
the
goat
follows
a
similar
pathway
as
observed
in
the
rat
although
not
as
extensive.
The
majority
of
the
residues
were
accounted
for
as
prosulfuron,
the
triazine
amine,
which
results
from
bridge
hydrolysis
(
CGA
150829)
and
the
triazinyl
hydroxymethyl
metabolite
(
CGA
273437).
In
the
hen,
metabolism
is
similar
to
that
observed
in
the
rat
and
goat.
The
major
residues
found
in
edible
tissues
and
eggs
were
prosulfuron,
the
triazine
amine
(
CGA
150829),
and
the
sulfonamide
(
CGA
159902)
which
results
from
hydrolysis
of
the
sulfonylurea
bridge.
7.
Metabolite
toxicology.
Metabolic
pathways
of
prosulfuron
in
plants
and
animals
are
comparable
and
no
detectable
residues
are
found
in
or
on
crops.
All
relevant
plant
metabolites
are
observed
in
the
animals
and
are
thus
toxicologically
covered.
The
remaining
plant
metabolites
are
toxicologically
insignificant.
Therefore,
parent
prosulfuron
is
the
appropriate
compound
for
the
tolerance
expression
and
analytical
monitoring.
8.
Endocrine
disruption.
Prosulfuron
does
not
belong
to
a
class
of
chemicals
known
for
having
significant
adverse
effects
on
the
endocrine
system.
Developmental
toxicity
studies
in
rats
and
rabbits
and
reproduction
study
in
rats
gave
no
indication
that
prosulfuron
might
have
any
effects
on
endocrine
function
related
to
development
and
reproduction.
The
subchronic
and
chronic
studies
also
showed
no
evidence
of
a
long
term
effect
related
to
the
endocrine
system.
C.
Aggregate
Exposure
1.
Dietary
exposure.
Acute
and
chronic
dietary
exposure
assessments
were
conducted
for
prosulfuron
using
tolerance
values
published
in
40
CFR
180.481.
In
both
assessments
it
was
assumed
that
100%
of
all
corn
and
cereal
grains
were
treated
with
prosulfuron
(
100%
market
share).
The
exposure
analyses
was
conducted
using
food
consumption
data
from
USDA's
1994
1996
Continuing
Survey
of
Intake
by
Individuals
(
CSFII)
and
Novigen
Sciences,
Inc.
Dietary
Exposure
Evaluation
Model
(
DEEM).
i.
Food.
Chronic
exposure
was
compared
to
a
RfD
of
0.02
mg/
kg
based
on
a
NOAEL
of
1.84
mg/
kg
in
a
dog
feeding
study
and
a
100
fold
UF.
This
exposure
analysis
showed
that
the
U.
S.
population
had
an
exposure
of
less
than
1%
of
the
chronic
RfD.
The
most
sensitive
subpopulation
was
children
(
1
6
years
old)
with
a
chronic
exposure
of
2.4%.
Acute
exposure
was
compared
to
an
acute
RfD
of
0.1
mg/
kg,
which
was
based
on
a
NOAEL
of
10
mg/
kg
from
an
acute
neurotoxicity
study
in
the
rat
and
a
100
fold
UF.
The
most
sensitive
subpopulation
was
all
infants
with
an
exposure
of
2.2%
of
the
acute
RfD.
The
U.
S.
population
showed
an
exposure
of
1.5%
of
the
RfD.
These
results
show
that
there
is
more
than
a
reasonable
certainty
of
no
harm,
through
exposure
to
prosulfuron
residues
in
the
diet.
ii.
Drinking
water.
For
estimated
surface
water
concentrations
using
generic
expected
environmental
concentration
(
GENEEC),
the
peak
day
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Federal
Register
/
Vol.
67,
No.
251
/
Tuesday,
December
31,
2002
/
Notices
0
estimate,
1.86
parts
per
billion
(
ppb),
was
used
in
the
acute
exposure
analysis
and
the
corrected
56
day
drinking
water
concentration
of
0.4667
ppb
was
used
in
the
chronic
exposure
analysis.
The
SCIGROW
estimated
ground
water
concentration
for
the
prosulfuron
uses
of
0.406585
ppb
contributed
little
to
the
overall
exposure.
The
acute
drinking
water
levels
of
concern
(
DWLOC)
for
prosulfuron
were
based
on
the
acute
RfD,
a
margin
of
exposure
(
MOE),
the
99.9th
percentile
of
the
acute
dietary
exposure
for
U.
S.
population
subgroups
and
the
body
weight
daily
water
consumption
of
each
respective
subgroup.
The
calculated
acute
DWLOC
values
for
the
population
subgroups
ranged
from
978
3447
ppb.
The
estimated
ground
water
concentration
(
0.406585
ppb)
and
the
peak
day
0
surface
water
concentration
(
1.86
ppb)
of
prosulfuron
did
not
exceed
the
acute
DWLOC
values.
The
chronic
(
noncancer
DWLOC
for
prosulfuron
were
based
on
the
chronic
RfD,
any
estimated
residential
exposure,
the
chronic
dietary
exposure
for
select
U.
S.
population
subgroups
and
the
body
weight
daily
water
consumption
of
each
respective
subgroup.
The
calculated
chronic
DWLOC
values
for
the
population
subgroups
ranged
from
197
694.
The
estimated
ground
water
concentration
(
0.406585
ppb)
and
the
corrected
average
56
day
surface
water
concentration
(
0.4667
ppb)
of
prosulfuron
did
not
exceed
the
chronic
DWLOC
values.
Therefore,
there
is
reasonable
certainty
that
the
residues
of
prosulfuron
in
the
drinking
water
would
not
result
in
unacceptable
levels
of
acute
or
chronic
aggregate
human
health
risk,
and
that
such
exposure
would
not
exceed
the
exposure
allowable
by
the
risk
cup.
Nondietary
exposure.
Nondietary
exposure
to
prosulfuron
is
considered
negligible
as
the
chemical
is
registered
for
agricultural
use
only.
For
workers
handling
this
chemical,
acceptable
MOE
(
in
the
range
of
thousands)
have
been
obtained
for
both
acute
and
chronic
scenarios.
D.
Cumulative
Effects
Consideration
of
a
common
mechanism
of
toxicity
is
not
appropriate
at
this
time
since
there
is
no
information
to
indicate
that
toxic
effects
produced
by
prosulfuron
would
be
cumulative
with
those
of
any
other
types
of
chemicals.
E.
Safety
Determination
1.
U.
S.
population.
The
calculation
shows
that
less
than
1%
of
the
RfD
will
be
utilized
for
the
U.
S.
population
based
on
chronic
toxicity
endpoints.
EPA
generally
has
no
concern
for
exposures
below
100%
of
the
RfD
because
the
RfD
represents
the
level
at
or
below
which
daily
aggregate
dietary
exposure
over
a
lifetime
will
not
pose
appreciable
risks
to
human
health.
It
is
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
prosulfuron
residue.
2.
Infants
and
children.
The
calculated
percent
of
the
RfD
that
will
be
utilized
by
aggregate
exposure
to
residues
of
prosulfuron
is
only
2.4%
for
children
(
1
to
6
years
old),
the
most
impacted
subpopulation.
There
were
no
adverse
reproductive
or
developmental
effects
indicated
in
the
prosulfuron
toxicity
data
base,
which
is
considered
to
be
essentially
complete
with
no
data
gaps.
It
is
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
prosulfuron
residues.
F.
International
Tolerances
No
codex
MRLs
have
been
established
for
residues
of
prosulfuron.
[
FR
Doc.
02
32988
Filed
12
30
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0349;
FRL
7285
6]
Flumioxazin;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
pesticide
petitions
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0349,
must
be
received
on
or
before
January
30,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Joanne
I.
Miller,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
6224;
e
mail
address:
Miller.
Joanne@
epamail.
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
111)
Animal
production
(
NAICS
112)
Food
manufacturing
(
NAICS
311)
Pesticide
manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0349.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
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| epa | 2024-06-07T20:31:45.459441 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0343-0001/content.txt"
} |
EPA-HQ-OPP-2002-0346-0002 | Supporting & Related Material | 2002-12-03T05:00:00 | null | Page
1
of
9
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
February
14,
2002
MEMORANDUM
SUBJECT:
Propionic
Acid.
HED
Science
Assessment
for
Tolerance
Reassessment
Eligibility
Decision.
PC
Code
077702.
DP
Barcode
D279285.
FROM:
Christina
Jarvis,
Environmental
Protection
Specialist
Reregistration
Branch
II
Health
Effects
Division
(
7509C)
THROUGH:
Alan
Nielsen,
Branch
Senior
Scientist
Reregistration
Branch
II
Health
Effects
Division
(
7509C)
TO:
Joseph
Nevola,
Chemical
Review
Manager
Special
Review
Branch
Special
Review
and
Reregistration
Division
(
7508W)
Attached
is
the
tolerance
reassessment
decision
document
for
propionic
acid,
prepared
by
the
Health
Effects
Division
(
HED).
This
decision
document
updates
the
tolerance
exemptions
for
propionic
acid
issued
by
the
EPA
in
May,
1984,
based
on
a
review
of
the
toxicology
database
and
available
information
on
propionic
acid.
In
summary,
HED
concludes
that
propionic
acid
and
its
sodium
and
calcium
salts
are
exempt
from
all
tolerance
requirements
when
used
as
an
active
ingredient
and/
or
as
inert
ingredients.
Furthermore,
a
FQPA
safety
factor
analysis
is
not
required
for
propionic
acid.
Page
2
of
9
1.0
EXECUTIVE
SUMMARY
1.1
Background
Information
and
Statement
of
Purpose
The
Reregistration
Eligibility
Decision
(
RED)
Document
for
propionic
acid
(
PC
Code
077702)
was
completed
in
September
1991
and
concluded
that
all
products
containing
propionic
acid
as
the
active
ingredient
were
eligible
for
reregistration.
However,
since
the
RED
was
issued
prior
to
the
passage
of
the
Food
Quality
Protection
Act
(
FQPA)
of
1996,
a
tolerance
reassessment
eligibility
decision,
or
TRED,
is
now
required
by
the
Agency
for
propionic
acid.
This
document
addresses
possible
exposures
to
residues
of
propionic
acid
in
food,
drinking
water,
and
from
residential
sources
as
pursuant
to
FQPA,
and
makes
a
conclusion
on
the
tolerance
reassessment
of
propionic
acid.
1.2
Regulatory
History
Active
Ingredient
Status
Propionic
acid
was
first
registered
for
pesticidal
use
in
the
early
1970'
s.
As
an
active
ingredient,
it
is
formulated
into
products
that
control
fungi
and
bacteria
in
stored
grains,
hay,
storage
areas
for
silage
and
grains,
poultry
litter,
and
poultry
and
livestock
drinking
water.
Calcium
and
sodium
propionate
(
salts
of
propionic
acid)
are
not
currently
registered
for
use
as
pesticide
active
ingredients.
The
tolerance
exemptions
that
were
established
for
calcium
and
sodium
propionate
in
40
CFR
180.2(
a)
and
40
CFR
180.1015
have
been
revoked.
Inert
Status
Propionic
acid,
calcium
propionate,
and
sodium
propionate
may
be
found
as
inert
ingredients
in
various
pesticide
formulations.
An
inert
ingredient
is
defined
by
the
Agency
as
"
any
ingredient
in
the
product
that
is
not
intended
to
affect
a
target
pest."
The
law
does
not
require
inert
ingredients,
or
"
other
ingredients,"
to
be
identified
by
name
and
percentage
on
the
label,
but
the
total
percentage
of
such
ingredients
must
be
declared.
Propionic
acid
and
sodium
propionate
are
both
identified
on
the
Agency's
"
List
4B"
of
inert
ingredients.
Inert
ingredients
listed
on
List
4B
have
sufficient
data
to
substantiate
they
can
be
used
safely
in
pesticide
products.
When
an
inert
reaches
List
4B,
no
further
regulatory
action
is
anticipated.
Calcium
propionate
is
identified
on
the
Agency's
"
List
3"
of
inert
ingredients,
meaning
that
it
is
of
"
unknown
toxicity."
While
the
Agency
has
reclassified
many
List
3
inerts
as
List
4B
inerts,
it
is
uncertain
whether
or
not
calcium
propionate
is
one
of
these
inerts.
The
Office
of
Pesticide
Program's
Inerts
Workgroup
recommends
that
calcium
propionate
be
classified
as
a
List
4B
inert
ingredient.
Page
3
of
9
Affirmation
as
GRAS
In
May
1984,
propionic
acid,
calcium
propionate,
and
sodium
propionate
were
affirmed
as
Generally
Recognized
As
Safe
(
GRAS)
by
the
Food
and
Drug
Administration
(
FDA)
for
use
as
direct
food
additives
(
i.
e.,
as
chemical
preservatives
and
antimicrobial
agents
in
food).
The
specifications
for
the
affirmation
of
propionic
acid,
calcium
propionate,
and
sodium
propionate
as
GRAS
chemicals
are
listed
in
21
CFR
184.1081,
184.1221,
and
184.1784,
respectively,
and
can
be
summarized
as
follows:
"
The
ingredient
is
used
in
food
with
no
limitation
other
than
current
good
manufacturing
practice."
Tolerance
Exemptions
The
following
tolerance
exemptions
for
propionic
acid
are
listed
in
40
CFR
180.1023:
1.
Residues
in/
on
the
following
raw
agricultural
commodities
following
postharvest
application
(
as
a
fungicide):
alfalfa,
barley
grain,
Bermuda
grass,
bluegrass,
brome
grass,
clover,
corn
grain,
cowpea
hay,
fescue,
lespedeza,
lupines,
oat
grain,
orchard
grass,
peanut
hay,
peavine
hay,
rye
grass,
sorghum
grain,
soybean
hay,
sudan
grass,
timothy,
vetch,
and
wheat
grain.
2.
Residues
in/
on
meat
and
meat
byproducts
of
cattle,
sheep,
hogs,
goats,
horses,
and
poultry,
milk,
and
eggs
when
applied
as
a
bactericide/
fungicide
to
livestock
drinking
water,
poultry
litter,
and
storage
areas
for
silage
and
grain.
3.
Residues
in/
on
the
following
raw
agricultural
commodities
following
postharvest
application
(
as
a
fungicide):
cottonseed,
peanuts,
rice
grain,
and
soybeans.
Propionic
acid
is
also
exempt
from
the
requirement
for
a
tolerance
when
used
in
accordance
with
good
agricultural
practice
as
inert
(
or
occasionally
active)
ingredients
in
pesticide
formulations
applied
to
growing
crops
or
to
raw
agricultural
commodities
after
harvest
as
described
in
40
CFR
180.1001(
c).
1.3
Use
Profile
Active
Ingredient
Uses
Propionic
acid
is
a
fungicide
and
bactericide
registered
to
control
fungi
and
bacteria
in
stored
grains,
hay,
grain
storage
areas,
poultry
litter,
and
drinking
water
for
livestock
and
poultry.
A
search
of
REFS
on
11/
07/
01
shows
propionic
acid
is
formulated
as
a
soluble
concentrate
(
10
percent
a.
i.
to
70.5
percent
a.
i.),
ready
to
use
solution
(
39.2
percent
a.
i.
to
100
percent
a.
i.),
and
as
a
granular
(
one
formulation;
15
percent
a.
i.).
The
Agency
notes
that
REFS
incorrectly
lists
Page
4
of
9
EPA
Reg.
No.
53824
2
(
P
7
Grain
Preservative)
as
a
granular
formulation.
A
review
of
the
P
7
Grain
Preservative
label
shows
that
it
is
actually
a
liquid.
The
are
currently
17
active
products
containing
propionic
acid.
Labels
state
that
propionic
acid
may
be
applied
using
a
low
pressure
spray
system
equipped
with
adequately
arranged
and
calibrated
nozzles
to
provide
the
desired
coverage
to
grain
as
it
is
moved
into
storage,
or
to
hay
just
prior
to
baling
and
stacking.
For
use
on
poultry
litter,
it
is
diluted
with
water
and
applied
to
the
surface
of
the
litter
as
a
spray.
For
grain
storage
areas
(
silos),
it
is
diluted
with
water
and
applied
to
the
surfaces
of
the
storage
areas
as
a
spray.
Propionic
acid
is
poured
directly
into
drinking
water
for
livestock
and
poultry.
Other
application
methods
may
include
low
and
high
pressure
hand
wands,
and
a
backpack
sprayer.
Application
rates
of
propionic
acid
depend
on
the
moisture
content
of
the
grain
at
the
time
it
is
placed
in
storage,
and
also
vary
depending
on
whether
the
grains
are
in
"
open"
storage
or
"
closed"
storage.
A
review
of
the
17
current
propionic
acid
labels
shows
that
application
rates
range
from
1.25
lb
ai/
gallon
(
approximately
6
lbs.
ai/
ton
of
grain)
to
8.28
lb
ai/
gallon
(
approximately
31
lbs.
ai/
ton
of
grain).
Other
Uses
(
including
use
as
a
direct
food
additive)
Naturally
occurring
propionic
acid
is
consumed
by
humans
in
animal
and
dairy
products,
such
as
butter
and
cheese
(
swiss
cheese
may
contain
as
much
as
one
percent
propionic
acid).
Propionic
acid
and
its
salts
are
also
consumed
as
added
ingredients
in
other
foods.
For
example,
propionic
acid
and
its
salts
may
be
used
as
chemical
preservatives
in
jams,
jellies,
and
jelly
filled
baked
goods,
and
as
antimicrobial
agents
in
cheese
and
bread.
When
used
as
a
direct
food
additive,
propionic
acid
and
its
salts
are
"
generally
recognized
as
safe"
for
human
consumption
(
21
CFR
184.1081,
184.1221,
and
184.1784).
Propionic
acid
is
also
a
normal
component
of
metabolism
in
the
human
body.
Page
5
of
9
2.0
PHYSICAL/
CHEMICAL
PROPERTIES
SUMMARY
Chemical
Name:
Propionic
Acid
Chemical
Structure:
Empirical
Formula:
CH
3
CH
2
COOH
Molecular
Weight:
74.08
Boiling
Point
(
oC):
140.7
Melting
Point
(
oC):
21.5
Vapor
Pressure:
3
mm
Hg
at
20oC
P
ow:
2.1
CAS
Number:
79
09
4
PC
Code:
077702
Propionic
acid
is
a
colorless,
oily
liquid
at
room
temperature
with
a
rancid,
pungent
odor.
It
is
completely
soluble
in
water,
ethanol,
chloroform,
and
diethyl
ether.
Propionic
acid
occurs
naturally
in
animals
and
in
dairy
products
in
small
amounts.
3.0
HAZARD
CHARACTERIZATION
At
the
time
that
the
propionic
acid
RED
was
completed
in
1991,
the
toxicological
database
was
determined
to
be
adequate
for
the
purposes
of
supporting
reregistration
eligibility,
and
no
further
toxicity
data
on
propionic
acid
were
required
by
the
Agency.
A
comprehensive
open
literature
search,
conducted
from
1991
(
the
date
of
the
RED)
to
the
present
and
including
databases
such
as
Medline
and
Toxline,
has
not
revealed
any
new
studies
on
propionic
acid
that
would
alter
the
toxicological
conclusions
of
the
RED.
A
search
of
the
Pesticide
Data
Management
System
(
PDMS)
conducted
in
April,
2001
has
also
not
revealed
any
new
toxicity
studies
that
would
have
a
significant
impact
on
the
toxicological
findings
for
propionic
acid.
Therefore,
the
Agency
concludes
that
the
toxicology
determinations
made
in
the
propionic
acid
RED
(
September
1991)
are
still
valid.
A
summary
of
these
toxicology
findings
is
presented
below:
3.1.
Hazard
Profile
3.1.1
Acute
Toxicity
Technical
propionic
acid
is
of
moderate
to
low
acute
toxicity
via
the
oral,
dermal,
and
inhalation
routes
of
exposure
(
toxicity
category
of
III),
and
is
not
a
skin
sensitizer.
However,
propionic
acid
is
acutely
toxic
in
eye
and
dermal
irritation
tests
(
toxicity
category
1).
Page
6
of
9
3.1.2
Subchronic
Toxicity
No
subchronic
toxicity
data
are
available
on
propionic
acid
itself;
however,
data
on
calcium
and
sodium
propionate
can
be
used
to
assess
subchronic
toxicity.
Rats
fed
calcium
or
sodium
propionate
at
one
percent
of
the
diet
(
equivalent
to
750
mg/
kg/
day
of
propionic
acid)
for
four
weeks
followed
by
three
percent
(
equivalent
to
1200
mg/
kg/
day
of
propionic
acid)
for
three
weeks
showed
no
changes
in
weight
gain
compared
to
the
controls.
Rats
fed
five
percent
propionic
acid
in
the
diet
(
approximately
5000
mg/
kg
body
weight)
for
110
days
developed
lesions
of
the
forestomach.
Propionic
acid
was
given
in
the
feed
to
dogs
at
220,
735,
or
2066
mg/
kg/
day
for
90
days.
The
high
dose
dogs
showed
reduced
food
consumption,
increased
incidence
of
epithelial
hyperplasia
in
the
esophagus,
and
increased
nitrite
in
the
urine.
These
effects
were
no
longer
present
in
dogs
held
for
a
six
week
recovery
period.
A
limited
study
with
calcium
propionate
in
dogs
for
90
days
showed
vomiting
and
diarrhea
in
animals
fed
2523
mg/
kg/
day.
It
is
noted
that
when
a
human
adult
male
was
fed
6.0
grams
sodium
propionate
a
day,
the
only
effect
noted
was
slightly
alkaline
urine.
3.1.3
Chronic
Toxicity,
Reproduction,
and
Teratology
Twenty
male
rats
per
group
were
fed
four
percent
propionic
acid
in
the
diet
for
two
years.
The
highest
dose
animals
had
hyperplasia
and
hyperplastic
ulcers
in
the
forestomach.
Available
data
on
calcium
and
sodium
propionate
indicate
the
following:
°
Rats
fed
bread
containing
sodium
propionate
(
4000
mg/
kg/
day)
for
a
year
showed
no
adverse
effects,
nor
did
rats
fed
a
similar
diet
for
32
weeks,
other
than
an
initial
depression
of
growth.
°
No
maternal
or
fetal
effects
were
seen
upon
feeding
calcium
propionate
to
pregnant
animals
at
rates
up
to
300
mg/
kg/
day
for
rats
and
mice,
or
up
to
400
mg/
kg/
day
for
hamsters
and
rabbits.
°
No
teratogenicity
was
found
in
developing
chick
embryos
when
up
to
100
mg/
kg
calcium
propionate
was
injected
into
the
yolk
or
air
cell,
although
there
was
increased
mortality
at
5
and
10
mg/
kg.
3.1.4
Mutagenicity
Propionic
acid
gave
negative
results
in
mutagencity
assays
in
five
strains
of
S.
typhimurium
and
one
strain
of
S.
cerevisiae,
with
and
without
activation.
Additional
data
on
calcium
and
sodium
propionate
indicated
that
both
tested
negative
for
mutagenicity
in
S.
typhimurium
and
S.
cerevisiae.
3.1.5
Metabolism
Page
7
of
9
Propionic
acid
is
rapidly
absorbed
from
the
mammalian
gastrointestinal
tract.
Propionic
acid
is
a
normal
intermediary
metabolite
in
the
body.
It
is
utilized
by
most
organs
and
tissues,
and
can
be
metabolized
to
glucose,
carbohydrates,
amino
acids,
and
lipids.
It
is
produced
in
large
quantities
in
ruminants,
and
is
one
of
the
metabolic
products
from
the
breakdown
of
several
amino
acids
in
nonruminants.
Propionic
acid
is
formed
in
the
oxidation
of
fatty
acids
and
from
the
side
chain
of
cholesterol.
3.2
FQPA
Considerations
Based
on
a
review
of
available
toxicology
data,
and
based
on
general
knowledge
of
propionic
acid,
HED
concludes
that
a
FQPA
safety
factor
analysis
for
propionic
acid
is
not
required.
Propionic
acid
is
of
very
low
acute
toxicity
via
the
oral,
dermal,
and
inhalation
routes
of
exposure.
The
toxicology
database
is
complete,
and
no
data
gaps
have
been
identified.
There
are
no
indications
of
special
sensitivity
of
infants
or
children
resulting
from
exposure
to
propionic
acid.
HED's
review
of
propionic
acid
reaffirms
the
FDA
GRAS
designation.
3.3
Dose
Response
Assessment
Toxicity
endpoints
for
use
in
risk
assessment
have
not
been
established
for
propionic
acid,
due
to
its
low
toxicity.
4.0
EXPOSURE
ASSESSMENT
4.1
Dietary
Exposure
Products
containing
propionic
acid
are
registered
for
use
as
fungicides
and
bactericides
on
stored
grains,
hay,
grain
storage
areas,
poultry
litter,
and
drinking
water
for
livestock
and
poultry.
Propionic
acid
is
exempt
from
tolerances
following
postharvest
application
(
as
a
fungicide)
on
the
following:
alfalfa,
barley
grain,
Bermuda
grass,
bluegrass,
brome
grass,
clover,
corn
grain,
cottonseed,
cowpea
hay,
fescue,
lespedeza,
lupines,
oat
grain,
orchard
grass,
peanuts,
peanut
hay,
peavine
hay,
rice
grain,
rye
grass,
sorghum
grain,
soybean
hay,
soybeans,
sudan
grass,
timothy,
vetch,
and
wheat
grain.
Tolerance
exemptions
are
also
in
place
for
residues
of
propionic
acid
in/
on
meat
and
meat
byproducts
of
cattle,
sheep,
hogs,
goats,
horses,
and
poultry,
milk,
and
eggs
when
applied
as
a
bactericide/
fungicide
to
livestock.
Propionic
acid
and
its
salts
are
also
added
directly
to
food
as
chemical
preservatives
and
antimicrobial
agents.
For
example,
propionic
acid
and
its
salts
may
be
added
to
jam
and
jellyfilled
baked
goods
(
such
as
doughnuts),
pizza
crust,
various
cheeses,
and
breads.
The
use
of
propionic
acid,
calcium
propionate,
and
sodium
propionate
as
direct
food
additives
is
affirmed
by
the
FDA
as
"
generally
recognized
as
safe."
Dairy
products
(
such
as
milk
and
cheese)
may
also
contain
propionic
acid
as
a
naturally
occurring
component.
Since
residues
from
the
pesticidal
use
of
propionic
acid
are
considered
negligible,
the
likelihood
of
Page
8
of
9
any
significant
dietary
exposure
to
humans
is
very
low.
Potential
exposure
and
risk
from
the
use
of
propionic
acid
as
a
direct
food
additive
is
also
considered
to
be
very
low.
This
conclusion
is
strengthened
by
the
presence
of
propionic
acid
as
a
normal
component
of
metabolism
in
the
human
body,
and
because
propionic
acid
is
a
naturally
occurring
component
in
dairy
products
such
as
butter
and
cheese.
When
considered
together,
these
facts
all
support
HED's
conclusion
that
dietary
exposure
and
dietary
risk
to
propionic
acid
is
extremely
low.
A
dietary
risk
assessment
has
not
been
conducted
and
is
not
required.
4.2
Drinking
Water
Exposure
Environmental
fate
data
requirements
for
propionic
acid
have
been
waived
based
on
its
labeled
use
pattern.
Information
on
environmental
fate
was
found
in
previous
reviews
conducted
by
the
Environmental
Fate
and
Effects
Division
(
EFED)
and
in
open
literature.
In
summary,
biodegradation
of
propionic
acid
is
likely
to
be
the
most
important
degradation
pathway
in
aerobic
soil
and
water.
Propionic
acid
is
used
as
a
carbon
source
by
microbes
which
rapidly
mineralize
to
the
metabolic
products
of
carbon
dioxide
and
water.
Propionic
acid
is
expected
to
be
highly
mobile
in
soil.
EFED
has
conducted
a
review
of
propionic
acid
(
both
as
an
active
ingredient
and
as
an
inert
ingredient)
to
determine
potential
concentrations
in
drinking
water.
Based
on
its
review,
EFED
has
concluded
that
propionic
acid
drinking
water
concentrations
as
a
result
of
its
use
as
an
active
ingredient
are
expected
to
be
negligible.
EFED
believes
that
propionic
acid
exposures
in
drinking
water
will
be
driven
more
by
its
use
as
an
inert
ingredient
than
by
its
use
as
an
active
ingredient.
Concentrations
of
propionic
acid
in
drinking
water,
when
applied
as
an
inert
ingredient,
were
calculated
using
screening
level
modeling
(
FIRST
and
SCI
GROW).
Estimated
concentrations
are
as
follows:
92
ppb
(
acute)
and
6
ppb
(
chronic)
in
surface
water,
and
1.3
ppb
(
acute
and
chronic)
in
ground
water.
It
is
important
to
note
that
these
these
concentrations
are
based
on
a
number
of
uncertainties,
such
as
an
assumed
maximum
application
rate
of
1
lb
ai/
acre
and
limited
fate
data.
Since
HED
does
not
have
any
information
on
what
products
are
formulated
with
propionic
acid
as
an
inert
ingredient,
or
the
actual
rate
at
which
propionic
acid
is
applied
as
an
inert
ingredient.
Therefore,
no
further
analysis
has
been
conducted.
4.3
Non
Occupational
(
Residential)
Exposure
Propionic
acid
is
not
registered
for
any
non
occupational
(
residential)
uses.
Post
application
exposure
of
homeowners
to
residues
of
propionic
acid
is
also
not
expected
to
occur,
as
propionic
acid
is
used
mainly
on
stored
grains
and
in
grain
storage
areas.
Due
to
the
use
pattern
of
propionic
acid,
exposure
from
spray
drift
is
also
not
expected
to
be
of
concern.
Therefore,
nonoccupational
exposure
was
not
considered
in
this
tolerance
reassessment.
Page
9
of
9
5.0
CONCLUSIONS
Based
on
its
low
toxicity,
limited
use
pattern,
and
affirmation
as
a
GRAS
chemical
when
used
as
a
food
additive,
propionic
acid
is
not
expected
to
result
in
any
adverse
health
effects
via
the
food,
drinking
water,
or
residential
exposure
pathways.
There
is
a
possibility
of
eye
and
skin
irritation
to
occupational
handlers;
this
was
mitigated
through
the
reregistration
process,
on
a
product
byproduct
basis,
by
the
requirement
for
personal
protective
equipment
on
existing
propionic
acid
labels.
A
review
of
the
toxicology
database,
with
an
emphasis
on
sensitivity
of
infants
and
children,
shows
no
significant
findings
since
the
date
of
the
original
propionic
acid
RED
from
1991.
HED
concludes
that
a
FQPA
safety
factor
analysis
is
not
required
for
propionic
acid.
Propionic
acid,
calcium
propionate,
and
sodium
propionate
will
be
exempt
from
all
tolerance
requirements.
The
Agency
notes
that
propionic
acid
and
its
calcium
and
sodium
salts
are
included
on
the
Agency's
list
of
chemicals
included
in
the
High
Production
Volume
(
HPV)
Challenge
Program.
HPV
chemicals
are
those
that
are
manufactured
or
imported
into
the
United
States
in
volumes
greater
than
one
million
pounds
per
year.
There
are
approximately
3,000
HPV
chemicals
that
are
produced
or
imported
into
the
United
States.
The
HPV
Challenge
Program
is
a
voluntary
partnership
between
industry,
environmental
groups,
and
the
EPA
which
invites
chemical
manufacturers
and
importers
to
provide
basic
hazard
data
on
the
HPV
chemicals
they
produce/
import.
The
goal
of
this
program
is
to
facilitate
the
public's
right
to
know
about
the
potential
hazards
of
chemicals
found
in
their
environment,
their
homes,
their
workplace,
and
in
consumer
products.
The
Agency
has
received
at
least
one
full
commitment
from
a
company
or
consortium
to
sponsor
propionic
acid
and
its
calcium
salt
as
part
of
the
Agency's
HPV
Challenge
Program.
The
sodium
salt
is
not
currently
being
sponsored;
however,
it
is
within
the
scope
of
the
HPV
Challenge
Program
and
is
currently
available
for
sponsorship.
Based
on
toxicity
data
already
submitted
on
propionic
acid,
and
the
completeness
of
the
propionic
acid
toxicity
data
base
(
including
subchronic,
chronic,
reproduction,
teratology,
and
mutagenicity
studies),
the
Agency
feels
confident
in
proceeding
with
this
tolerance
reassessment
decision.
Any
submission
of
data
by
current
or
future
sponsors
of
propionic
acid
and
its
sodium
and
calcium
salts
as
part
of
the
HPV
Challenge
Program
may,
in
the
future,
be
used
by
the
Office
of
Pesticide
Programs
to
revise
or
update
their
tolerance
reassessment
decision
for
propionic
acid
and
its
sodium
and
calcium
salts
as
deemed
necessary
and
appropriate.
| epa | 2024-06-07T20:31:45.514505 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0346-0002/content.txt"
} |
EPA-HQ-OPP-2002-0346-0003 | Supporting & Related Material | 2002-12-03T05:00:00 | null | Page
1
of
8
UNITED
STATES
ENVIRONMENTAL
PROTECTION
AGENCY
WASHINGTON,
D.
C.
20460
OFFICE
OF
PREVENTION,
PESTICIDES
AND
TOXIC
SUBSTANCES
April
8,
2002
MEMORANDUM
FROM:
Kathryn
Boyle,
CoChair
IIFG
and
Kerry
Leifer,
CoChair
IIFG
TO:
Robert
Forrest,
Chief
Minor
Use,
Inerts,
and
Emergency
Response
Branch
SUBJECT:
November
27,
2001,
Meeting
of
the
IIFG
Decision
Memo
Please
find
attached
the
Inert
Ingredient
Focus
Group
recommendations
for
the
inert
and
active
ingredient
propionic
acid
and
its
calcium
and
sodium
salts.
Page
2
of
8
INERT
INGREDIENT
FOCUS
GROUP
DECISION
DOCUMENT
for
Propionic
Acid
and
its
Calcium
and
Sodium
Salts
Petition
No.:
6F4770
Tolerance
Reassessments?:
yes
Chemical
Name(
s):
propionic
acid
propionic
acid,
sodium
salt
propionic
acid,
calcium
salt
CAS
Index
Name:
propanoic
acid
Chemical
Category/
Group:
organic
acid
and
salts
CAS
Reg.
No.:
propionic
acid
(
79
09
4)
propionic
acid,
sodium
salt
(
137
40
6)
propionic
acid,
calcium
salt
(
4075
81
9)
PC
Code:
propionic
acid
(
active:
077702,
inert:
900316)
propionic
acid,
sodium
salt
(
877703)
propionic
acid,
calcium
salt
(
877701)
HPV
Chemical:
yes
(
acid
and
calcium
salt)
Data
Posted:
no
Use
Pattern
(
pesticidal):
As
an
active
ingredient,
propionic
acid
is
used
to
control
fungi
and
bacteria
in
stored
grains,
hay,
grain
storage
areas,
poultry
litter,
and
drinking
water
for
livestock
and
poultry.
Propionic
acid
is
also
used
in
food
contact
surface
sanitizing
solutions.
The
current
petition
is
requesting
use
on
sugarbeets,
potatoes,
and
sweet
potatoes.
Use
Pattern
(
non
pesticidal):
Propionic
acid
and
its
sodium
and
calcium
salts
are
affirmed
GRAS
direct
food
additives
(
21
CFR
184.1081,
184.1221,
184.1784)
used
as
food
and
feed
preservatives.
Introduction:
Page
3
of
8
The
meeting
of
the
Inert
Ingredient
Focus
Group
to
discuss
propionic
acid
was
held
on
November
27,
2001.
Focus
Group
members
in
attendance
were:
Kathryn
Boyle
(
RD),
Kerry
Leifer
(
RD),
Robert
Forrest
(
RD),
Mark
Perry
(
SRRD),
Pauline
Wagner
(
HED),
Tom
Brennan
(
HED)
and
Sid
Abel
(
EFED).
The
presenters
were:
Michele
Mahoney
(
EFED)
and
Christina
Jarvis
(
HED).
The
Executive
Secretaries
were
Steve
Schaible
(
RD)
and
Jeanie
McAndrew
(
RD).
Also
in
attendance
was
Stephen
Dapson
(
HED).
This
meeting
addressed
the
available
human
health
effects
and
ecological
information
on
propionic
acid
(
and
its
calcium
and
sodium
salts),
considering
both
active
and
inert
uses,
to
determine
if
the
tolerance
exemptions
established
prior
to
the
passage
of
FQPA
could
continue
to
be
supported
[
refer
to
40CFR
180.1001(
c)
and
180.1023].
The
List
classification
of
propionic
acid
and
its
salts
was
also
discussed.
Calcium
and
sodium
propionate
are
not
currently
registered
pesticide
active
ingredients,
and
tolerance
exemptions
that
were
established
for
calcium
and
sodium
propionate
[
40
CFR
180.2(
a)
and
40
CFR
180.1015]
have
been
revoked.
For
the
purposes
of
this
evaluation
however,
these
sodium
and
calcium
salts
are
considered
representative
of
the
acid
form.
Propionic
acid
occurs
naturally
in
animal
and
dairy
products,
such
as
butter
and
cheese.
Propionic
acid
and
its
salts
are
also
consumed
as
added
ingredients
in
jams,
jellies,
and
jelly
filled
baked
goods,
and
as
antimicrobial
agents
in
cheese
and
bread.
Propionic
acid,
calcium
propionate,
and
sodium
propionate
have
been
affirmed
as
Generally
Recognized
As
Safe
(
GRAS)
by
the
Food
and
Drug
Administration
(
FDA)
for
use
as
a
direct
food
additive.
This
GRAS
finding
specifies
that
"
The
ingredient
is
used
in
food
with
no
limitation
other
than
current
good
manufacturing
practice."
As
indicated
above,
data
from
the
HPV
Challenge
Program
is
available
for
propionic
acid
and
its
sodium/
calcium
salts.
HPV
data
for
propionic
acid
include
acute
toxicity,
mutagenicity,
ecotoxicity,
and
environmental
fate.
For
the
sodium
salt,
acute
toxicity,
mutagenicity,
and
ecotoxicity
data
are
available;
and
for
the
calcium
salt,
acute
toxicity,
developmental/
reproductive
toxicity,
and
mutagenicity
data
have
been
provided.
HPV
data
on
two
propionic
acid
derivatives
were
also
considered
in
this
evaluation.
Additional
data
received
through
the
HPV
Challenge
Program
on
propionic
acid
and
its
sodium
and
calcium
salts
may
have
potential
impacts
on
the
Agency's
tolerance
reassessment
decision
for
these
chemicals.
The
Agency
may
revise
or
update
their
tolerance
decision
for
propionic
acid
and
its
sodium
and
calcium
salts
as
considered
appropriate
by
any
incoming
data
generated
as
part
of
this
program.
1.
Physical/
Chemical
Properties:
Propionic
Acid
Parameter
Test
Results
physical
form:
liquid
molecular
weight:
74.08
solubility
(
water):
determined
to
be
completely
soluble
Page
4
of
8
vapor
pressure:
3
mm
Hg
@
20
oC
melting
point:
21.5
oC
boiling
point:
140.7
oC
2.
Toxicological
Profile:
The
toxicological
database
for
propionic
acid
was
determined
to
be
adequate
for
reregistration
eligibility
at
the
time
the
RED
was
completed
(
9/
91).
A
comprehensive
search
of
the
open
literature
from
1991
forward
and
a
search
for
in
house
toxicological
data,
failed
to
reveal
new
information
on
propionic
acid
which
would
compromise
the
toxicological
findings
in
the
RED
document.
Therefore,
the
toxicological
findings/
data
from
the
propionic
acid
RED
(
which
also
addresses
the
calcium
and
sodium
salts)
have
been
used
for
the
current
evaluation.
Acute
Toxicity:
Technical
propionic
acid
is
of
moderate
to
low
acute
toxicity
via
the
oral,
dermal,
and
inhalation
routes
of
exposure
(
toxicity
category
of
III),
and
is
not
a
skin
sensitizer.
However,
propionic
acid
is
acutely
toxic
in
eye
and
dermal
irritation
tests
(
toxicity
category
1).
Subchronic
Toxicity:
No
subchronic
toxicity
data
are
available
on
propionic
acid
itself,
however,
data
on
calcium
and
sodium
propionate
can
be
used
to
assess
subchronic
toxicity.
Rats
fed
calcium
or
sodium
propionate
at
one
percent
of
the
diet
(
equivalent
to
750
mg/
kg/
day
of
propionic
acid)
for
four
weeks
followed
by
three
percent
(
equivalent
to
1200
mg/
kg/
day
of
propionic
acid)
for
three
weeks
showed
no
changes
in
weight
gain
compared
to
the
controls.
Rats
fed
five
percent
propionic
acid
in
the
diet
(
approximately
5000
mg/
kg
body
weight)
for
110
days
developed
lesions
of
the
forestomach.
Propionic
acid
was
given
in
the
feed
to
dogs
at
220,
735,
or
2066
mg/
kg/
day
for
90
days.
The
high
dose
dogs
showed
reduced
food
consumption,
increased
incidence
of
epithelial
hyperplasia
in
the
esophagus,
and
increased
nitrite
in
the
urine.
These
effects
were
no
longer
present
in
dogs
held
for
a
six
week
recovery
period.
A
limited
study
with
calcium
propionate
in
dogs
for
90
days
showed
vomiting
and
diarrhea
in
animals
fed
2523
mg/
kg/
day.
A
human
adult
male
was
fed
6.0
grams
sodium
propionate
a
day,
with
slightly
alkaline
urine
as
the
only
effect.
Chronic
Toxicity:
Twenty
male
rats
per
group
were
fed
four
percent
propionic
acid
in
the
diet
for
two
years.
The
highest
dose
animals
had
hyperplasia
and
hyperplastic
ulcers
in
the
forestomach.
Available
data
on
calcium
and
sodium
propionate
indicate
the
following:
Rats
fed
bread
containing
sodium
propionate
(
4000
mg/
kg/
day)
for
a
year
showed
no
adverse
effects,
nor
did
rats
fed
a
similar
diet
for
32
weeks,
other
than
an
initial
depression
of
growth.
Reproduction,
and
Teratology:
Page
5
of
8
No
maternal
or
fetal
effects
were
seen
upon
feeding
calcium
propionate
to
pregnant
animals
at
rates
up
to
300
mg/
kg/
day
for
rats
and
mice,
or
up
to
400
mg/
kg/
day
for
hamsters
and
rabbits.
No
teratogenicity
was
found
in
developing
chick
embryos
when
up
to
100
mg/
kg
calcium
propionate
was
injected
into
the
yolk
or
air
cell,
although
there
was
increased
mortality
at
5
and
10
mg/
kg.
Mutagenicity:
Propionic
acid
gave
negative
results
in
mutagencity
assays
in
five
strains
of
S.
typhimurium
and
one
strain
of
S.
cerevisiae,
with
and
without
activation.
Additional
data
on
calcium
and
sodium
propionate
indicated
that
both
tested
negative
for
mutagenicity
in
S.
typhimurium
and
S.
cerevisiae.
Metabolism:
Propionic
acid
is
rapidly
absorbed
from
the
mammalian
gastrointestinal
tract.
Propionic
acid
is
a
normal
intermediary
metabolite
in
the
body.
It
is
utilized
by
most
organs
and
tissues,
and
can
be
metabolized
to
glucose,
carbohydrates,
amino
acids,
and
lipids.
It
is
produced
in
large
quantities
in
ruminants,
and
is
one
of
the
metabolic
products
from
the
breakdown
of
several
amino
acids
in
nonruminants.
Propionic
acid
is
formed
in
the
oxidation
of
fatty
acids
and
from
the
side
chain
of
cholesterol.
1.
Hazard
Characterization:
Propionic
acid,
calcium
propionate
and
sodium
propionate
have
FDA
affirmed
GRAS
status
as
a
direct
food
additive.
Neither
propionic
acid
nor
its
salts
are
expected
to
result
in
any
adverse
health
effects
via
the
food,
drinking
water,
or
residential
exposure
pathways.
2.
Type
of
risk
assessment:
qualitative
3.
Sensitivity
of
Infants
and
Children:
These
chemicals
have
low
toxic
potential.
In
addition,
humans
of
all
ages
are
highly
exposed
to
them
from
natural
sources.
At
this
time,
there
is
no
concern
for
potential
sensitivity
to
infants
and
children.
A
safety
factor
analysis
has
not
been
used
to
assess
the
risk.
For
the
same
reasons
the
additional
tenfold
safety
factor
is
unnecessary.
4.
Fate
Assessment:
Biodegradation
of
propionic
acid
is
expected
to
be
the
most
important
degradation
pathway
in
aerobic
soil
and
water.
Data
indicate
that
propionic
acid
degrades
in
an
anaerobic
aquatic
system
with
a
half
life
of
21
days.
Although
data
are
not
available,
EFED
expects
that
the
half
life
in
aerobic
environments
will
be
much
lower
than
21
days
since
biodegradation
of
propionic
acid
occurs
rapidly
under
aerobic
conditions.
Based
on
an
estimated
K
oc
value
of
1.2
(
Syracuse
Research
Corporation,
SRC,
structure
estimation
method
using
molecular
connectivity
indices),
propionic
acid
is
expected
to
be
highly
mobile
in
soil.
Page
6
of
8
5.
Ecotoxicity
Assessment:
Aquatic
Organisms:
The
toxicity
data
indicate
that
propionic
acid
is
slightly
toxic
to
aquatic
organisms.
Toxicity
data
are
not
available
to
assess
chronic
risk
to
freshwater
organisms
or
acute
and
chronic
risks
to
estuarine/
marine
organisms.
Acute
Toxicity
of
Propionic
Acid
to
Freshwater
Aquatic
Organisms
(
based
on
application
rate
of
1
lb
ai/
A)
Organism
Exposure
Type
Most
Sensitive
Species
Toxicity
(
ppm)
EEC
(
ppm)
1
Risk
Quotient
(
EEC/
Toxicity)
Freshwater
Fish
Acute
Rainbow
trout
LC50=
51
0.06
<
0.05
Freshwater
Invertebrates
Acute
Daphnia
magna
EC50=
22.7
0.06
<
0.05
1
Maximum
EEC
generated
using
the
GENEEC
2.0
model.
Terrestrial
Organisms:
The
toxicity
data
indicate
that
propionic
acid
is
practically
non
toxic
to
birds
and
mammals.
EFED
does
not
expect
risk
to
birds
and
mammals
on
an
acute
basis
at
application
rates
20.7
and
5.7
lb
ai/
A,
respectively.
Chronic
risks
to
terrestrial
organisms
could
not
be
determined
because
toxicity
data
are
not
available.
Acute
Toxicity
of
Propionic
Acid
to
Terrestrial
Wildlife
Animal
Group
Exposure
Type
Most
Sensitive
Species
Toxicity
(
mg/
kg)
EEC
(
ppm)
1
Risk
Quotient
Birds
Acute
Mallard
LD
50
>
10000
240
<
0.1
Mammals
Acute
Rat2
LD
50
=
2600
240
<
0.1
1
The
highest
terrestrial
residue
anticipated.
RQs
were
calculated
using
ELLFate
2
Accession
No.
091024
6.
Exposure
Assessments
Presentation
of
Dietary
(
food)
Exposure
Assessment:
Dietary
exposure
and
dietary
risk
to
propionic
acid
is
extremely
low.
A
dietary
risk
assessment
has
not
been
conducted
and
is
not
required.
Presentation
of
Drinking
Water
Exposure
Assessment:
As
with
most
acids,
propionic
acid
would
be
expected
to
be
mobile.
Biodegradation
should
be
rapid
under
aerobic
conditions.
Modeling
was
performed
to
estimate
the
possible
water
concentrations.
Page
7
of
8
Assumptions:
1
lb/
Acre
Modeling
Used:
FIRST,
SCIGROW
2
FIRST
TIER
I
Concentration
(
ppb)
of
propionic
acid
in
surface
water
Method
of
Application
Application
Rate
(
lbs
ai/
A)
Peak
(
Acute)
(
ppb)
Annual
Average
(
Chronic)
(
ppb)
Aerial
1
92
6
Groundwater
Screening
Concentrations
for
Propionic
Acid
using
SCIGROW
2
Application
Rate
(
lbs
ai/
A)
Groundwater
Screening
Concentration
(
ppb)
a
1
1.3
a
These
concentrations
are
the
screening
concentrations
for
acute,
chronic,
and
cancer
risks.
Given
the
lower
toxicity
profile
of
propionic
acid,
no
adverse
effects
as
a
result
of
exposure
through
drinking
water
are
expected
from
either
the
active
or
inert
ingredient
uses.
A
drinking
water
risk
assessment
is
not
required.
Currently
there
are
no
active
ingredient
registrations
for
residential
uses.
However,
the
potential
for
use
in
residential
products
as
an
inert
ingredient
does
exist.
Given
the
lower
toxicity
of
propionic
acid,
and
that
its
uses
generally
are
related
to
agricultural
and
dietary
(
food)
uses,
adverse
effects
as
a
result
of
any
residential
uses
are
not
expected.
7.
Cumulative
Exposure:
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
"
available
information"
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
"
other
substances
that
have
a
common
mechanism
of
toxicity."
EPA
does
not
have,
at
this
time,
data
available
to
determine
whether
propionic
acid
and
its
salts
have
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
8.
Summary
of
Exposure/
Risk
Characterization:
Based
on
its
low
toxicity,
and
affirmation
as
a
GRAS
chemical
when
used
as
a
direct
food
additive,
propionic
acid
is
not
expected
to
result
in
any
adverse
health
effects
via
the
food,
drinking
water,
or
residential
exposure
pathways.
Page
8
of
8
9.
Qualitative
Evaluation
of
Worker
Risks:
The
possibility
of
eye
and
skin
irritation
to
occupational
handlers
is
addressed
on
a
product
specific
basis.
10.
IIFG
Recommendations:
By
consensus
there
were
no
objections
to
the
following:
°
The
petition
may
be
granted.
The
inert
and
active
uses
should
be
harmonized.
°
The
tolerance
exemptions
for
propionic
acid
under
40CFR
180.1001(
c)
and
180.1023
are
reassessed.
°
The
tolerance
exemption
for
sodium
propionate
under
40CFR
180.1001(
c)
is
reassessed.
°
A
tolerance
exemption
for
calcium
propionate
may
be
established.
°
Propionic
acid,
sodium
propionate
and
calcium
propionate
are
to
be
reclassified
as
List
4B.
Attachments:
(
1)
EFED
review
(
2)
HED
review
| epa | 2024-06-07T20:31:45.527221 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0346-0003/content.txt"
} |
EPA-HQ-OPP-2002-0347-0001 | Rule | 2002-12-04T05:00:00 | Pyrithiobac Sodium (sodium 2-chloro-6-(4,6-dimethoxyprimidin-2-yl) thio benzoate); Pesticide
Tolerance | 72104
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Rules
and
Regulations
physically
appear
as
illustrated
in
§
1200.2,
with
no
alterations.
(
e)
Only
use
the
official
seal
for
the
time
period
designated
in
the
approval
letter
(
example:
for
the
duration
of
a
conference
or
exhibit).
Subpart
D
Penalties
for
Misuse
of
NARA
Seals
§
1200.16
Will
I
be
penalized
for
misusing
the
official
seals?
(
a)
If
you
falsely
make,
forge,
counterfeit,
mutilate,
or
alter
official
seals,
replicas,
reproductions
or
embossing
seals,
or
knowingly
use
or
possess
with
fraudulent
intent
any
altered
seal,
you
are
subject
to
penalties
under
18
U.
S.
C.
506.
(
b)
If
you
use
the
official
seals,
replicas,
reproductions,
or
embossing
seals
in
a
manner
inconsistent
with
the
provisions
of
this
part,
you
are
subject
to
penalties
under
18
U.
S.
C.
1017
and
to
other
provisions
of
law
as
applicable.
Dated:
November
26,
2002.
John
W.
Carlin,
Archivist
of
the
United
States.
[
FR
Doc.
02
30766
Filed
12
3
02;
8:
45
am]
BILLING
CODE
7515
01
P
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
180
[
OPP
2002
0005;
FRL
7279
5]
Pyrithiobac
Sodium
(
sodium
2
chloro
6[(
4,6
dimethoxypyrimidin
2
yl)
thio]
benzoate);
Pesticide
Tolerance
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Final
rule.
SUMMARY:
This
regulation
establishes
a
tolerance
for
residues
of
pyrithiobac
sodium
(
sodium
2
chloro
6[(
4,6
dimethoxypyrimidin
2
yl)
thio]
benzoate)
in
or
on
cotton,
undelinted
seed
and
cotton
gin
byproducts.
DuPont
Agricultural
Products,
Wilmington,
DE
requested
this
tolerance
under
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
as
amended
by
the
Food
Quality
Protection
Act
(
FQPA)
of
1996.
DATES:
This
regulation
is
effective
December
4,
2002.
Objections
and
requests
for
hearings,
identified
by
docket
ID
number
OPP
2002
0005,
must
be
received
on
or
before
February
3,
2003.
ADDRESSES:
Written
objections
and
hearing
requests
may
be
submitted
by
mail,
in
person,
or
by
courier.
Please
follow
the
detailed
instructions
for
each
method
as
provided
in
Unit
VI.
of
the
SUPPLEMENTARY
INFORMATION.
To
ensure
proper
receipt
by
EPA,
your
objections
and
hearing
requests
must
identify
docket
ID
number
OPP
2002
0005
in
the
subject
line
on
the
first
page
of
your
response.
FOR
FURTHER
INFORMATION
CONTACT:
By
mail:
James
A.
Tompkins,
Product
Manager
(
PM)
25,
Registration
Division
7505C,
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(
703)
305
5697;
e
mail
address:
tompkins.
jim@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Categories
NAICS
codes
Examples
of
potentially
affected
entities
Industry
111
Crop
production
112
Animal
production
311
Food
manufacturing
32532
Pesticide
manufacturing
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Additional
Information,
Including
Copies
of
this
Document
and
Other
Related
Documents?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0005.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
A
frequently
updated
electronic
version
of
40
CFR
part
180
is
available
at
http://
www.
access.
gpo.
gov/
nara/
cfr/
cfrhtml_
00/
Title_
40/
4
0cfr180_
00.
html,
a
beta
site
currently
under
development.
To
access
the
OPPTS
Harmonized
Guidelines
referenced
in
this
document,
go
directly
to
the
guidelines
at
http://
www.
epa.
gov/
opptsfrs/
home/
guidelin.
htm.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
II.
Background
and
Statutory
Findings
In
the
Federal
Register
of
September
24,
1997
(
62
FR
49979)
(
FRL
5745
8),
EPA
issued
a
notice
pursuant
to
section
408
of
the
FFDCA,
21
U.
S.
C.
346a,
as
amended
by
the
FQPA
of
1996
(
Public
Law
104
170),
announcing
the
filing
of
a
pesticide
petition
PP
4F4391
by
DuPont
Agricultural
Products,
Wilmington,
DE.
This
notice
included
a
summary
of
the
petition
prepared
by
DuPont
Agricultural
Products,
the
registrant.
There
were
no
comments
received
in
response
to
the
notice
of
filing.
The
petition
requested
that
40
CFR
180.487
be
amended
by
establishing
a
tolerance
for
residues
of
the
herbicide
pyrithiobac
sodium,
(
sodium
2
chloro
6
[(
4,6
dimethoxypyrimidin
2
yl)
thio]
benzoate),
in
or
on
cotton,
undelinted
seed
at
0.02
parts
per
million
(
ppm)
and
cotton
gin
byproducts
at
0.1
ppm.
The
Registrant
subsequently
amended
the
petition
by
VerDate
0ct<
31>
2002
14:
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Dec
03,
2002
Jkt
200001
PO
00000
Frm
00014
Fmt
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E:\
FR\
FM\
04DER1.
SGM
04DER1
72105
Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Rules
and
Regulations
increasing
the
tolerance
request
for
cotton
gin
byproducts
to
0.15
ppm.
Section
408(
b)(
2)(
A)(
i)
of
the
FFDCA
allows
EPA
to
establish
a
tolerance
(
the
legal
limit
for
a
pesticide
chemical
residue
in
or
on
a
food)
only
if
EPA
determines
that
the
tolerance
is
``
safe.''
Section
408(
b)(
2)(
A)(
ii)
of
the
FFDCA
defines
``
safe''
to
mean
that
``
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
the
pesticide
chemical
residue,
including
all
anticipated
dietary
exposures
and
all
other
exposures
for
which
there
is
reliable
information.''
This
includes
exposure
through
drinking
water
and
in
residential
settings,
but
does
not
include
occupational
exposure.
Section
408(
b)(
2)(
C)
of
the
FFDCA
requires
EPA
to
give
special
consideration
to
exposure
of
infants
and
children
to
the
pesticide
chemical
residue
in
establishing
a
tolerance
and
to
``
ensure
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
the
pesticide
chemical
residue.
.
.
.''
EPA
performs
a
number
of
analyses
to
determine
the
risks
from
aggregate
exposure
to
pesticide
residues.
For
further
discussion
of
the
regulatory
requirements
of
section
408
and
a
complete
description
of
the
risk
assessment
process,
see
the
final
rule
on
Bifenthrin
Pesticide
Tolerances
November
26,
1997,
(
62
FR
62961)
(
FRL
5754
7).
III.
Aggregate
Risk
Assessment
and
Determination
of
Safety
Consistent
with
section
408(
b)(
2)(
D),
EPA
has
reviewed
the
available
scientific
data
and
other
relevant
information
in
support
of
this
action.
EPA
has
sufficient
data
to
assess
the
hazards
of
and
to
make
a
determination
on
aggregate
exposure,
consistent
with
section
408(
b)(
2),
for
a
tolerance
for
residues
of
pyrithiobac
sodium
on
cotton,
undelinted
seed
at
0.02
ppm
and
cotton
gin
byproducts
at
0.15
ppm.
EPA's
assessment
of
exposures
and
risks
associated
with
establishing
the
tolerance
follows.
A.
Toxicological
Profile
EPA
has
evaluated
the
available
toxicity
data
and
considered
its
validity,
completeness,
and
reliability
as
well
as
the
relationship
of
the
results
of
the
studies
to
human
risk.
EPA
has
also
considered
available
information
concerning
the
variability
of
the
sensitivities
of
major
identifiable
subgroups
of
consumers,
including
infants
and
children.
The
nature
of
the
toxic
effects
caused
by
pyrithiobac
sodium
are
discussed
below.
This
discussion
refers
to
the
no
observed
effect
level
(
NOEL)
and
the
lowest
observed
effect
level
(
LOEL)
from
the
toxicity
studies
reviewed
rather
than
the
no
observed
adverse
effect
level
(
NOAEL)
and
the
lowest
observed
adverse
effect
level
(
LOAEL)
because
the
toxicity
studies
for
pyrithiobac
sodium
were
reviewed
prior
to
adoption
in
1998
of
the
NOAEL/
LOAEL
terminology
by
EPA's
Office
of
Pesticide
Programs
(
OPP)
and
its
Health
Effects
Division
(
HED).
At
the
time
of
the
switch
to
the
revised
terminology,
HED
noted
that
the
new
terminology
was
unlikely
to
have
any
substantive
effect
on
its
hazard
evaluations:
``
In
a
practical
sense,
the
terms
NOEL
and
NOAEL
have
been
used
interchangeably
in
OPP.
As
a
general
rule,
OPP
would
consider
as
appropriate
for
hazard
identification
and
risk
assessment
only
those
effects
which
are
adverse
or
potentially
adverse.
This
inclusion
of
the
term
NOAEL
should
not
change
any
of
our
hazard
endpoints
for
regulation
but
add
to
the
quality
of
the
risk
assessment.''
HED
Standard
Operating
Procedure
(
SOP)
98.3
1.
A
rat
acute
oral
study
with
a
LD50
of
3,300
milligrams/
kilogram
(
mg/
kg)
for
males
and
a
LD50
of
3,200
mg/
kg
for
females.
2.
A
90
day
rat
feeding
study
with
a
NOAEL
of
50
parts
per
million
(
ppm)
(
3.25
mg/
kg/
day
for
males
and
4.14
mg/
kg/
day
for
females)
and
a
LOAEL
of
500
ppm
(
31.8
mg/
kg/
day
for
males
and
40.5
mg/
kg/
day
for
females
based
on
decrease
body
weight
gains
and
increased
rate
of
hepatic
beta
oxidation
in
males.
3.
A
90
day
mouse
feeding
study
with
a
NOAEL
of
500
ppm
(
83.1
mg/
kg/
day
for
males
and
112
mg/
kg/
day
for
females)
and
a
LOAEL
of
1,500
ppm
(
263
mg/
kg/
day
for
males
and
384
mg/
kg/
day
for
females)
based
on
increased
liver
weight
and
an
increased
incidence
of
hepatocellular
hypertrophy
in
males
and
decreased
neutrophil
count
in
females.
4.
A
3
month
dog
feeding
study
with
a
NOAEL
of
5,000
ppm
(
165
mg/
kg/
day)
and
a
LOAEL
of
20,000
ppm
(
626
mg/
kg/
day),
based
on
decrease
red
blood
cell
count,
hemoglobin,
and
hematocrit
in
females
and
increased
liver
weight
in
both
sexes.
5.
A
21
day
rat
dermal
study
with
a
Dermal
Irritation
NOAEL
of
50
mg/
kg/
day
and,
a
Dermal
Irritation
LOAEL
of
500
mg/
kg/
day
based
on
increased
incidence
of
erythema
and
edema,
and
with
a
Systemic
Dermal
NOAEL
of
500
mg/
kg/
day
and
a
Systemic
Dermal
LOAEL
of
1,200
mg/
kg/
day
based
on
body
weight
gain
inhibition.
6.
A
90
day
rat
neurotoxicity
screening
battery
with
a
Systemic
NOAEL
of
7,000
ppm
(
466
mg/
kg/
day
for
males
and
588
mg/
kg/
day
for
females)
and
a
Systemic
LOAEL
of
20,000
ppm
(
1,376
mg/
kg/
day
for
males
and
1,609
mg/
kg/
day
for
females),
based
on
deceased
hind
grip
strength
and
increased
foot
spay
in
males,
and
a
Neurotoxicity
NOAEL
of
20,000
ppm
highest
dose
tested
(
HDT).
7.
A
78
week
dietary
carcinogenicity
study
in
mice
with
a
NOAEL
of
1,500
ppm
217
mg/
kg/
day
(
males)
and
319
mg/
kg/
day
(
females)
and
a
LOAEL
of
5,000
ppm
745
mg/
kg/
day
(
males)
and
1,101
mg/
kg/
day
(
females)
based
on
decreased
body
weight
gain
in
both
sexes,
treatment
related
increase
in
the
incidence
of
foci/
focus
of
hepatocellular
alternation
in
males,
and
increased
incidence
of
glomerulonephropathy
(
murine)
in
both
sexes,
and
an
increased
incidence
of
infarct
in
the
kidney
and
keratopathy
of
the
eyes.
There
was
evidence
of
carcinogenicity
based
on
significant
differences
in
the
pair
wise
comparisons
of
hepatocellular
adenomas
and
combined
adenoma/
carcinoma
in
the
150
ppm
and
1,500
ppm
dose
groups
(
but
not
at
the
high
dose
of
5,000
ppm)
with
the
controls.
The
carcinogenic
effects
observed
are
discussed
below.
8.
A
23
month
rat
chronic
toxicity/
carcinogenicity
study
with
a
Systemic
NOAEL
of
1,500
ppm
(
58.7
mg/
kg/
day)
for
males
and
5,000
ppm
(
278
mg/
kg/
day)
for
females,
and
with
a
Systemic
LOAEL
of
5,000
ppm
(
200
mg/
kg/
day)
for
males
and
15,000
ppm
(
918
mg/
kg/
day)
for
females,
based
on
deceased
body
weight,
body
weight
gain
and
food
efficiency
for
females,
the
increased
incidence
of
eye
lesions
in
both
sexes,
mild
changes
in
hematology
and
urinalysis
in
both
sexes,
clinical
signs
suggestive
of
urinary
tract
dysfunction
in
males
and
females,
increased
incidence
of
focal
cystic
degeneration
in
the
liver
in
males,
increased
rate
of
hepatic
peroxisomal
beta
oxidation
in
males
and
an
increased
incidence
of
inflammatory
and
degenerative
lesions
in
the
kidney
in
females.
There
was
evidence
of
carcinogenicity
based
on
significant
dose
related
increasing
trend
in
kidney
tubular
combined
adenoma/
carcinoma
in
male
rats
and
a
significant
dose
related
increasing
trend
in
kidney
tubular
bilateral
and/
or
unilateral
adenomas
in
females.
The
carcinogenic
effects
observed
are
discussed
further
below.
9.
A
1
year
dog
chronic
toxicity
study
with
a
NOAEL
of
5,000
ppm
(
143
mg/
kg/
day
for
males
and
166
mg/
kg/
day
for
females)
and
a
LOAEL
of
20,000
ppm
(
580
mg/
kg/
day
for
males
and
647
mg/
kg/
day
for
females)
based
on
decreases
in
body
weight
gain,
increase
thyroid
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Federal
Register
/
Vol.
67,
No.
233
/
Wednesday,
December
4,
2002
/
Rules
and
Regulations
and
liver
weights,
and
microscopic
findings
in
the
liver
and
kidneys.
10.
A
2
generation
reproduction
study
in
rats
with
a
NOAEL
for
maternal
toxicity
of
1,500
ppm
(
103
mg/
kg/
day)
and
a
maternal
LOAEL
of
7,500
ppm
(
508
mg/
kg/
day),
based
on
decreased
body
weight,
body
weight
gain
and
food
efficiency.
The
NOAEL
for
paternal
toxicity
is
1,500
ppm
(
86
mg/
kg/
day),
while
the
LOAEL
is
7,500
ppm
(
439
mg/
kg/
day),
based
on
decreased
body
weight,
body
weight
gain
and
food
efficiency.
The
NOAEL
for
reproductive
effects
can
be
set
at
7,500
ppm
(
508
mg/
kg/
day),
the
LOAEL
at
20,000
ppm
(
1,551
mg/
kg/
day),
based
on
decreased
pup
body
weight.
The
NOAEL
for
effects
on
offspring
is
7,500
ppm
(
508
mg/
kg/
day),
and
the
LOAEL
at
20,000
ppm
(
1,551
mg/
kg/
day),
based
on
decreased
pup
body
weight.
11.
A
13
day
dosing
(
gestation
days
7
19)
developmental
toxicity
study
in
rabbits
with
a
maternal
NOAEL
of
300
mg/
kg
and
a
maternal
LOAEL
of
1,000
mg/
kg
based
on
deaths,
decreased
body
weight
gain
and
feed
consumption,
and
an
increase
in
early
resorptions.
There
is
developmental
toxicity
observed
at
1,000
mg/
kg
based
on
decreased
fetal
body
weights.
12.
A
10
day
dosing
(
gestation
days
7
16)
developmental
toxicity
study
in
rats
wth
a
maternal
NOAEL
of
200
mg/
kg
and
maternal
LOAEL
of
600
mg/
kg
due
to
increased
incidence
of
peritoneal
staining.
The
developmental
NOAEL
is
600
mg/
kg
and
the
developmental
LOAEL
is
1,800
mg/
kg
based
on
the
increased
incidence
of
skeletal
variations.
13.
No
evidence
of
gene
mutation
was
observed
in
a
test
for
induction
of
forward
mutations
at
the
hypoxanthine
guanine
phophoribosyl
transferase
(
HGPRT)
locus
in
Chinese
hamster
ovary
cells.
No
evidence
was
observed
for
inducing
reverse
gene
mutation
in
two
independent
assays
with
Salmonella
typhimurium
with
and
without
mammalian
metabolic
activation.
Pyrithiobac
sodium
was
negative
for
the
induction
of
micronuclei
in
the
bone
marrow
cells
of
mice,
and
negative
for
induction
of
unscheduled
DNA
synthesis
in
rat
primary
hepatocytes.
Pyrithiobac
sodium
was
positive
for
inducing
chromosome
aberrations
assay
in
human
lymphocytes.
14.
A
rat
metabolism
study
showed
that
radio
labeled
pyrithiobac
sodium
is
excreted
in
urine
and
feces
with
>
90%
being
eliminated
within
48
hours.
A
sex
difference
was
observed
in
the
excretion
and
biotransformation.
Females
excreted
a
greater
amount
of
the
radiolabel
in
the
urine
than
males
following
all
regimens,
with
a
corresponding
lower
amount
being
eliminated
in
the
feces
compared
to
the
males.
B.
Toxicological
Endpoints
The
dose
at
which
the
NOAEL
from
the
toxicology
study
identified
as
appropriate
for
use
in
risk
assessment
is
used
to
estimate
the
toxicological
level
of
concern
(
LOC).
However,
the
LOAEL
at
which
effects
of
concern
are
identified
is
sometimes
used
for
risk
assessment
if
no
NOAEL
was
achieved
in
the
toxicology
study
selected.
An
uncertainty
factor
(
UF)
is
applied
to
reflect
uncertainties
inherent
in
the
extrapolation
from
laboratory
animal
data
to
humans
and
in
the
variations
in
sensitivity
among
members
of
the
human
population
as
well
as
other
unknowns.
An
UF
of
100
is
routinely
used,
10X
to
account
for
interspecies
differences
and
10X
for
intra
species
differences.
For
dietary
risk
assessment
(
other
than
cancer)
the
Agency
uses
the
UF
to
calculate
an
acute
or
chronic
reference
dose
(
acute
RfD
or
chronic
RfD)
where
the
RfD
is
equal
to
the
NOAEL
divided
by
the
appropriate
UF
(
RfD
=
NOAEL/
UF).
Where
an
additional
safety
factor
is
retained
due
to
concerns
unique
to
the
FQPA,
this
additional
factor
is
applied
to
the
RfD
by
dividing
the
RfD
by
such
additional
factor.
The
acute
or
chronic
Population
Adjusted
Dose
(
aPAD
or
cPAD)
is
a
modification
of
the
RfD
to
accommodate
this
type
of
FQPA
Safety
Factor.
For
non
dietary
risk
assessments
(
other
than
cancer)
the
UF
is
used
to
determine
the
LOC.
For
example,
when
100
is
the
appropriate
UF
(
10X
to
account
for
interspecies
differences
and
10X
for
intraspecies
differences)
the
LOC
is
100.
To
estimate
risk,
a
ratio
of
the
NOAEL
to
exposures
(
margin
of
exposure
(
MOE)
=
NOEL/
exposure)
is
calculated
and
compared
to
the
LOC.
The
linear
default
risk
methodology
(
Q*)
is
the
primary
method
currently
used
by
the
Agency
to
quantify
carcinogenic
risk.
The
Q*
approach
assumes
that
any
amount
of
exposure
will
lead
to
some
degree
of
cancer
risk.
A
Q*
is
calculated
and
used
to
estimate
risk
which
represents
a
probability
of
occurrence
of
additional
cancer
cases
(
e.
g.,
risk
is
expressed
as
1
x
106
or
one
in
a
million).
Under
certain
specific
circumstances,
MOE
calculations
will
be
used
for
the
carcinogenic
risk
assessment.
In
this
non
linear
approach,
a
``
point
of
departure''
is
identified
below
which
carcinogenic
effects
are
not
expected.
The
point
of
departure
is
typically
a
NOAEL
based
on
an
endpoint
related
to
cancer
effects
though
it
may
be
a
different
value
derived
from
the
dose
response
curve.
To
estimate
risk,
a
ratio
of
the
point
of
departure
to
exposure
(
MOEcancer
=
point
of
departure/
exposures)
is
calculated.
A
summary
of
the
toxicological
endpoints
for
pyrithiobac
sodium
used
for
human
risk
assessment
is
as
follows:
1.
Acute
toxicity.
EPA
has
concluded
that
no
endpoint
exists
to
suggest
any
evidence
of
significant
toxicity
from
1
day
or
single
event
exposure.
2.
Short
term
and
intermediate
term
toxicity.
EPA
has
concluded
that
available
evidence
does
not
indicate
any
evidence
of
significant
toxicity
from
short
term
and
intermediate
term
exposure.
3.
Chronic
toxicity.
EPA
has
established
the
RfD
for
pyrithiobac
sodium
at
0.587
mg/
kg/
day.
This
RfD
is
based
on
the
systemic
NOAEL
of
58.7
mg/
kg/
day
for
males
in
the
rat
chronic
feeding
study
with
a
100
fold
safety
factor
to
account
for
interspecies
extrapolation
and
intraspecies
variability.
4.
Carcinogenicity.
EPA
has
concluded
that
the
available
data
provide
limited
evidence
of
the
carcinogenicity
of
pyrithiobac
sodium
in
mice
and
rats
and
has
classified
pyrithiobac
sodium
as
a
Group
C
(
possible
human
carcinogen
with
limited
evidence
of
carcinogenicity
in
animals)
in
accordance
with
Agency
guidelines,
published
in
the
Federal
Register
of
(
September
24,
1986,
51
FR
33992)
and
recommended
that
for
the
purpose
of
risk
characterization
a
low
dose
extrapolation
model
should
be
applied
to
the
experimental
animal
tumor
data
for
quantification
for
human
risk
(
Q1*).
This
decision
was
based
on
liver
adenomas,
carcinomas
and
combined
adenoma/
carcinomas
in
the
male
mouse
and
rare
kidney
tubular
adenomas,
carcinomas
and
combined
adenoma/
carcinomas
in
male
rats.
The
unit
risk,
Q1*
(
mg/
kg/
day)
1,
of
pyrithiobac
sodium
is
1.05
x
10
3
(
mg/
kg/
day)
1
in
human
equivalents
based
on
male
kidney
tumors.
C.
Exposure
Assessment
1.
Dietary
exposure
from
food
and
feed
uses.
Permanent
tolerances
have
been
requested
to
replace
the
time
limited
tolerance
in/
on
cottonseed
40
CFR
180.487
at
0.02
ppm,
and
a
new
tolerance
for
the
residues
of
pyrithiobac
sodium,
in
or
on
cotton
gin
byproducts
at
0.1
ppm.
The
requested
tolerance
for
cotton
gin
byproducts
has
been
amended
to
0.15
ppm
based
on
the
results
of
the
submitted
field
residue
trials,
and
cottonseed
was
changed
to
cotton,
undelinted
seed.
Processing
studies
for
cotton
have
shown
that
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pyrithiobac
sodium
does
not
concentrate
in
cottonseed
processed
food/
feed
commodities.
No
requested
tolerances
were
necessary
for
meat,
milk,
and
eggs
because
detectible
residues
are
not
expected
in
these
commodities
from
this
use
on
cotton.
Risk
assessments
were
conducted
by
EPA
to
assess
dietary
exposures
from
pyrithiobac
sodium
in
food
as
follows:
i.
Acute
exposure.
Acute
dietary
risk
assessments
are
performed
for
a
fooduse
pesticide
if
a
toxicological
study
has
indicated
the
possibility
of
an
effect
of
concern
occurring
as
a
result
of
a
1
day
or
single
exposure.
EPA
has
concluded
that
no
endpoint
exists
to
suggest
any
evidence
of
significant
toxicity
from
one
day
or
single
event
exposure;
therefore,
an
acute
exposure
assessment
is
not
applicable.
ii.
Chronic
exposure.
In
conducting
this
chronic
dietary
risk
assessment
the
Dietary
Exposure
Evaluation
Model
(
DEEMTM
analysis
evaluated
the
individual
food
consumption
as
reported
by
respondents
in
the
Department
of
Argiculture
(
USDA)
1989
1992
nationwide
Continuing
Surveys
of
Food
Intake
by
Individuals
(
CSFII)
and
accumulated
exposure
to
the
chemical
for
each
commodity.
EPA
assumed
that
all
commodities
for
which
tolerances
exist
and
all
cotton
food
commodities
had
pyrithiobac
sodium
residues
at
the
appropriate
tolerance
level.
iii.
Cancer.
The
cancer
exposure
assessment
relied
upon
the
same
data
and
assumptions
as
the
chronic
exposure
assessment.
iv.
Anticipated
residue
and
percent
crop
treated
(
PCT)
information.
Tolerance
level
residues
and
treatment
of
100%
of
the
crop
was
assumed.
Anticipated
residues
and
PCT
information
was
not
used.
2.
Dietary
exposure
from
drinking
water.
The
Agency
lacks
sufficient
monitoring
exposure
data
to
complete
a
comprehensive
dietary
exposure
analysis
and
risk
assessment
for
pyrithiobac
sodium
in
drinking
water.
Because
the
Agency
does
not
have
comprehensive
monitoring
data,
drinking
water
concentration
estimates
are
made
by
reliance
on
simulation
or
modeling
taking
into
account
data
on
the
physical
characteristics
of
pyrithiobac
sodium.
The
Agency
uses
the
GENEEC
or
the
PRZM/
EXAMS
to
estimate
pesticide
concentrations
in
surface
water
and
SCIGROW
which
predicts
pesticide
concentrations
in
ground
water.
In
general,
EPA
will
use
GENEEC
(
a
tier
1
model)
before
using
PRZM/
EXAMS
(
a
tier
2
model)
for
a
screening
level
assessment
for
surface
water.
The
GENEEC
model
is
a
subset
of
the
PRZM/
EXAMS
model
that
uses
a
specific
highend
runoff
scenario
for
pesticides.
GENEEC
incorporates
a
farm
pond
scenario,
while
PRZM/
EXAMS
incorporate
an
index
reservoir
environment
in
place
of
the
previous
pond
scenario.
The
PRZM/
EXAMS
model
includes
a
percent
crop
(
PC)
area
factor
as
an
adjustment
to
account
for
the
maximum
PC
coverage
within
a
watershed
or
drainage
basin.
None
of
these
models
include
consideration
of
the
impact
processing
(
mixing,
dilution,
or
treatment)
of
raw
water
for
distribution
as
drinking
water
would
likely
have
on
the
removal
of
pesticides
from
the
source
water.
The
primary
use
of
these
models
by
the
Agency
at
this
stage
is
to
provide
a
coarse
screen
for
sorting
out
pesticides
for
which
it
is
highly
unlikely
that
drinking
water
concentrations
would
ever
exceed
human
health
levels
of
concern.
Since
the
models
used
are
considered
to
be
screening
tools
in
the
risk
assessment
process,
the
Agency
does
not
use
estimated
environmental
concentrations
(
EECs)
from
these
models
to
quantify
drinking
water
exposure
and
risk
as
a
%
RfD
or
%
PAD.
Instead
drinking
water
levels
of
comparison
(
DWLOCs)
are
calculated
and
used
as
a
point
of
comparison
against
the
model
estimates
of
a
pesticide's
concentration
in
water.
DWLOCs
are
theoretical
upper
limits
on
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food,
and
from
residential
uses.
Since
DWLOCs
address
total
aggregate
exposure
to
pyrithiobac
sodium
they
are
further
discussed
in
the
aggregate
risk
sections
in
Unit
E.
Based
on
the
GENEEC
and
SCI
GROW
models
the
EECs
of
pyrithiobac
sodium
for
chronic
exposures
are
estimated
to
be
7.76
parts
per
billion
(
ppb)
for
surface
water
and
0.778
ppb
for
ground
water.
3.
From
non
dietary
exposure.
The
term
``
residential
exposure''
is
used
in
this
document
to
refer
to
nonoccupational
non
dietary
exposure
(
e.
g.,
for
lawn
and
garden
pest
control,
indoor
pest
control,
termiticides,
and
flea
and
tick
control
on
pets).
Pyrithiobac
sodium
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
4.
Cumulative
exposure
to
substances
with
a
common
mechanism
of
toxicity.
Section
408(
b)(
2)(
D)(
v)
requires
that,
when
considering
whether
to
establish,
modify,
or
revoke
a
tolerance,
the
Agency
consider
``
available
information''
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
``
other
substances
that
have
a
common
mechanism
of
toxicity.''
EPA
does
not
have,
at
this
time,
available
data
to
determine
whether
pyrithiobac
sodium
has
a
common
mechanism
of
toxicity
with
other
substances
or
how
to
include
this
pesticide
in
a
cumulative
risk
assessment.
Unlike
other
pesticides
for
which
EPA
has
followed
a
cumulative
risk
approach
based
on
a
common
mechanism
of
toxicity,
pyrithiobac
sodium
does
not
appear
to
produce
a
toxic
metabolite
produced
by
other
substances.
For
the
purposes
of
this
tolerance
action,
therefore,
EPA
has
not
assumed
that
pyrithiobac
sodium
has
a
common
mechanism
of
toxicity
with
other
substances.
For
information
regarding
EPA's
efforts
to
determine
which
chemicals
have
a
common
mechanism
of
toxicity
and
to
evaluate
the
cumulative
effects
of
such
chemicals,
see
the
final
rule
for
Bifenthrin
Pesticide
Tolerances
(
November
26,
1997,
62
FR
62961).
D.
Safety
Factor
for
Infants
and
Children
1.
In
general.
FFDCA
section
408
provides
that
EPA
shall
apply
an
additional
tenfold
margin
of
safety
for
infants
and
children
in
the
case
of
threshold
effects
to
account
for
pre
natal
and
post
natal
toxicity
and
the
completeness
of
the
data
base
on
toxicity
and
exposure
unless
EPA
determines
that
a
different
margin
of
safety
will
be
safe
for
infants
and
children.
Margins
of
safety
are
incorporated
into
EPA
risk
assessments
either
directly
through
use
of
a
MOE
analysis
or
through
using
uncertainty
(
safety)
factors
in
calculating
a
dose
level
that
poses
no
appreciable
risk
to
humans.
2.
Pre
natal
and
post
natal
sensitivity.
In
a
preliminary
review,
EPA
concluded
that
data
do
not
indicate
that
there
is
a
significant
potential
for
reproductive
or
developmental
effects
from
pyrithiobac
sodium
as
tested.
3.
Conclusion.
There
is
a
complete
toxicity
data
base
for
pyrithiobac
sodium
and
exposure
data
are
complete
or
are
estimated
based
on
data
that
reasonably
accounts
for
potential
exposures.
Pyrithiobac
sodium
has
not
been
formally
reviewed
by
the
Agency
regarding
the
need
to
retain
the
additional
10X
safety
factor
for
the
protection
of
infants
and
children.
Thus,
despite
the
completeness
of
the
database
and
the
lack
of
any
indication
of
significant
potential
for
reproductive
or
developmental
effects,
EPA
has
retained
the
additional
10X
safety
factor
until
a
full
review
can
be
completed.
Retention
of
the
additional
safety
factor
yields
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2002
/
Rules
and
Regulations
cPAD
for
pyrithiobac
sodium
of
0.0587
mg/
kg/
day.
E.
Aggregate
Risks
and
Determination
of
Safety
To
estimate
total
aggregate
exposure
to
a
pesticide
from
food,
drinking
water,
and
residential
uses,
the
Agency
calculates
DWLOCs
which
are
used
as
a
point
of
comparison
against
the
model
estimates
of
a
pesticide's
concentration
in
water
(
EECs).
DWLOC
values
are
not
regulatory
standards
for
drinking
water.
DWLOCs
are
theoretical
upper
limits
on
a
pesticide's
concentration
in
drinking
water
in
light
of
total
aggregate
exposure
to
a
pesticide
in
food
and
residential
uses.
In
calculating
a
DWLOC,
the
Agency
determines
how
much
of
the
acceptable
exposure
(
i.
e.,
the
PAD)
is
available
for
exposure
through
drinking
water
e.
g.,
allowable
chronic
water
exposure
(
mg/
kg/
day)
=
cPAD
(
average
food
+
residential
exposure).
This
allowable
exposure
through
drinking
water
is
used
to
calculate
a
DWLOC.
A
DWLOC
will
vary
depending
on
the
toxic
endpoint,
drinking
water
consumption,
and
body
weights.
Default
body
weights
and
consumption
values
as
used
by
EPA
Office
of
Water
are
used
to
calculate
DWLOCs:
2L/
70
kg
(
adult
male),
2L/
60
kg
(
adult
female),
and
1L/
10
kg
(
child).
Default
body
weights
and
drinking
water
consumption
values
vary
on
an
individual
basis.
This
variation
will
be
taken
into
account
in
more
refined
screening
level
and
quantitative
drinking
water
exposure
assessments.
Different
populations
will
have
different
DWLOCs.
Generally,
a
DWLOC
is
calculated
for
each
type
of
risk
assessment
used:
acute,
short
term,
intermediate
term,
chronic,
and
cancer.
When
EECs
for
surface
water
and
ground
water
are
less
than
the
calculated
DWLOCs,
EPA
concludes
with
reasonable
certainty
that
exposures
to
the
pesticide
in
drinking
water
(
when
considered
along
with
other
sources
of
exposure
for
which
EPA
has
reliable
data)
would
not
result
in
unacceptable
levels
of
aggregate
human
health
risk
at
this
time.
Because
OPP
considers
the
aggregate
risk
resulting
from
multiple
exposure
pathways
associated
with
a
pesticide's
uses,
levels
of
comparison
in
drinking
water
may
vary
as
those
uses
change.
If
new
uses
are
added
in
the
future,
EPA
will
reassess
the
potential
impacts
of
residues
of
the
pesticide
in
drinking
water
as
a
part
of
the
aggregate
risk
assessment
process.
Pyrithiobac
sodium
is
not
registered
for
use
on
any
sites
that
would
result
in
residential
exposure.
Therefore,
the
aggregate
risk
is
the
sum
of
the
risk
from
food
and
water.
1.
Acute
risk.
EPA
has
concluded
that
no
endpoint
exists
to
suggest
any
evidence
of
significant
toxicity
from
acute
exposures
from
the
use
of
pyrithiobac
sodium
on
cotton.
2.
Chronic
risk.
Using
the
exposure
assumptions
described
in
this
unit
for
chronic
exposure,
EPA
has
concluded
that
exposure
to
pyrithiobac
sodium
from
food
and
water
will
utilize
less
than
0.2%
of
the
cPAD
for
the
U.
S.
population,
and
less
than
0.2%
of
the
cPAD
for
children
1
to
6
years
at
greatest
exposure
to
both
food
and
water.
There
are
no
residential
uses
for
pyrithiobac
sodium
that
result
in
chronic
residential
exposure
to
pyrithiobac
sodium.
EPA
generally
has
no
concern
for
exposures
below
100%
of
the
cPAD
because
the
cPAD
represents
the
level
at
or
below
which
aggregate
dietary
exposure
over
a
lifetime
will
not
pose
appreciable
risks
to
human
health.
Due
to
the
low
exposure
for
the
U.
S.
population
(
less
than
0.2%)
and
for
children
1
to
6
years
(
less
than
0.2%)
for
both
food
and
water,
the
calculated
DWLOC
is
approximately
equal
to
the
cPAD.
3.
Short
term
risk.
EPA
has
concluded
that
no
endpoint
exists
to
suggest
any
evidence
of
significant
toxicity
from
short
term
exposures
from
the
use
of
pyrithiobac
sodium
on
cotton.
4.
Intermediate
term
risk.
EPA
has
concluded
that
no
endpoint
exists
to
suggest
any
evidence
of
significant
toxicity
from
intermediate
term
exposures
from
the
use
of
pyrithiobac
sodium
on
cotton.
5.
Aggregate
cancer
risk
for
U.
S.
population.
Based
on
the
upper
bound
potency
factor
(
Q*
1)
of
1.05
x
10
3
(
mg/
kg/
day)
1,
the
aggregate
upper
bound
lifetime
cancer
risk
from
the
use
of
pyrithiobac
sodium
on
cotton
from
worst
case
estimates
of
residues
in
food
and
drinking
water
is
2.3
x
10
7.
6.
Determination
of
safety.
Based
on
these
risk
assessments,
EPA
concludes
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
general
population,
and
to
infants
and
children
from
aggregate
exposure
to
pyrithiobac
sodium
residues.
IV.
Other
Considerations
A.
Analytical
Enforcement
Methodology
Adequate
enforcement
methodology
high
performance
liquid
chromotography
using
ultra
violent
detection
(
HPLC
UV)
with
column
switching)
is
available
to
enforce
the
tolerance
expression.
The
method
may
be
requested
from:
Paul
Golden,
U.
S.
Environmental
Protection
Agency,
Office
of
Pesticide
Programs,
BEAD,
ACB,
Environmental
Science
Center,
701
Mapes
Road
Fort
Meade,
MD
20755
5350;
Telephone
(
410)
305
2960.
B.
International
Residue
Limits
There
are
no
established
Codex
maximum
residue
levels
(
MRLs)
for
pyrithiobac
sodium
on
cottonseed.
An
established
Mexican
tolerance
for
pyrithiobac
sodium
on
cottonseed
is
identical
to
the
U.
S.
tolerance.
Compatibility
of
tolerance
levels
is
not
an
issue
at
this
time.
C.
Conditions
There
are
no
conditions.
Adequate
residue
data
has
been
submitted
to
support
the
tolerances
established
in
this
Federal
Register
Notice.
V.
Conclusion
Therefore,
the
tolerance
is
established
for
residues
of
pyrithiobac
sodium,
(
sodium
2
chloro
6[(
4,6
dimethoxypyrimidin
2
yl)
thio]
benzoate),
in
or
on
cotton,
undelinted
seed
at
0.02
ppm
and
cotton
gin
byproducts
at
0.15
ppm.
VI.
Objections
and
Hearing
Requests
Under
section
408(
g)
of
the
FFDCA,
as
amended
by
the
FQPA,
any
person
may
file
an
objection
to
any
aspect
of
this
regulation
and
may
also
request
a
hearing
on
those
objections.
The
EPA
procedural
regulations
which
govern
the
submission
of
objections
and
requests
for
hearings
appear
in
40
CFR
part
178.
Although
the
procedures
in
those
regulations
require
some
modification
to
reflect
the
amendments
made
to
the
FFDCA
by
the
FQPA
of
1996,
EPA
will
continue
to
use
those
procedures,
with
appropriate
adjustments,
until
the
necessary
modifications
can
be
made.
The
new
section
408(
g)
provides
essentially
the
same
process
for
persons
to
``
object''
to
a
regulation
for
an
exemption
from
the
requirement
of
a
tolerance
issued
by
EPA
under
new
section
408(
d),
as
was
provided
in
the
old
FFDCA
sections
408
and
409.
However,
the
period
for
filing
objections
is
now
60
days,
rather
than
30
days.
A.
What
Do
I
Need
to
Do
to
File
an
Objection
or
Request
a
Hearing?
You
must
file
your
objection
or
request
a
hearing
on
this
regulation
in
accordance
with
the
instructions
provided
in
this
unit
and
in
40
CFR
part
178.
To
ensure
proper
receipt
by
EPA,
you
must
identify
docket
ID
number
OPP
2002
0005
in
the
subject
line
on
the
first
page
of
your
submission.
All
requests
must
be
in
writing,
and
must
be
mailed
or
delivered
to
the
Hearing
Clerk
on
or
before
February
3,
2003.
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/
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67,
No.
233
/
Wednesday,
December
4,
2002
/
Rules
and
Regulations
1.
Filing
the
request.
Your
objection
must
specify
the
specific
provisions
in
the
regulation
that
you
object
to,
and
the
grounds
for
the
objections
(
40
CFR
178.25).
If
a
hearing
is
requested,
the
objections
must
include
a
statement
of
the
factual
issues(
s)
on
which
a
hearing
is
requested,
the
requestor's
contentions
on
such
issues,
and
a
summary
of
any
evidence
relied
upon
by
the
objector
(
40
CFR
178.27).
Information
submitted
in
connection
with
an
objection
or
hearing
request
may
be
claimed
confidential
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
A
copy
of
the
information
that
does
not
contain
CBI
must
be
submitted
for
inclusion
in
the
public
record.
Information
not
marked
confidential
may
be
disclosed
publicly
by
EPA
without
prior
notice.
Mail
your
written
request
to:
Office
of
the
Hearing
Clerk
(
1900),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460.
You
may
also
deliver
your
request
to
the
Office
of
the
Hearing
Clerk
in
Rm.
C400,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC
20460.
The
Office
of
the
Hearing
Clerk
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Office
of
the
Hearing
Clerk
is
(
202)
260
4865.
2.
Tolerance
fee
payment.
If
you
file
an
objection
or
request
a
hearing,
you
must
also
pay
the
fee
prescribed
by
40
CFR
180.33(
i)
or
request
a
waiver
of
that
fee
pursuant
to
40
CFR
180.33(
m).
You
must
mail
the
fee
to:
EPA
Headquarters
Accounting
Operations
Branch,
Office
of
Pesticide
Programs,
P.
O.
Box
360277M,
Pittsburgh,
PA
15251.
Please
identify
the
fee
submission
by
labeling
it
``
Tolerance
Petition
Fees.''
EPA
is
authorized
to
waive
any
fee
requirement
``
when
in
the
judgement
of
the
Administrator
such
a
waiver
or
refund
is
equitable
and
not
contrary
to
the
purpose
of
this
subsection.''
For
additional
information
regarding
the
waiver
of
these
fees,
you
may
contact
James
Tompkins
by
phone
at
(
703)
305
5697,
by
e
mail
at
tompkins.
jim@
epa.
gov,
or
by
mailing
a
request
for
information
to
Mr.
Tompkins
at
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460.
If
you
would
like
to
request
a
waiver
of
the
tolerance
objection
fees,
you
must
mail
your
request
for
such
a
waiver
to:
James
Hollins,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460.
3.
Copies
for
the
Docket.
In
addition
to
filing
an
objection
or
hearing
request
with
the
Hearing
Clerk
as
described
in
Unit
VI.
A.,
you
should
also
send
a
copy
of
your
request
to
the
PIRIB
for
its
inclusion
in
the
official
record
that
is
described
in
Unit
I.
B.
2.
Mail
your
copies,
identified
by
docket
ID
number
OPP
2002
0005,
to:
Public
Information
and
Records
Integrity
Branch,
Information
Resources
and
Services
Division
(
7502C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460.
In
person
or
by
courier,
bring
a
copy
to
the
location
of
the
PIRIB
described
in
Unit
I.
B.
2.
You
may
also
send
an
electronic
copy
of
your
request
via
e
mail
to:
oppdocket
epa.
gov.
Please
use
an
ASCII
file
format
and
avoid
the
use
of
special
characters
and
any
form
of
encryption.
Copies
of
electronic
objections
and
hearing
requests
will
also
be
accepted
on
disks
in
WordPerfect
6.1/
8.0
or
ASCII
file
format.
Do
not
include
any
CBI
in
your
electronic
copy.
You
may
also
submit
an
electronic
copy
of
your
request
at
many
Federal
Depository
Libraries.
B.
When
Will
the
Agency
Grant
a
Request
for
a
Hearing?
A
request
for
a
hearing
will
be
granted
if
the
Administrator
determines
that
the
material
submitted
shows
the
following:
There
is
a
genuine
and
substantial
issue
of
fact;
there
is
a
reasonable
possibility
that
available
evidence
identified
by
the
requestor
would,
if
established
resolve
one
or
more
of
such
issues
in
favor
of
the
requestor,
taking
into
account
uncontested
claims
or
facts
to
the
contrary;
and
resolution
of
the
factual
issues(
s)
in
the
manner
sought
by
the
requestor
would
be
adequate
to
justify
the
action
requested
(
40
CFR
178.32).
VII.
Regulatory
Assessment
Requirements
This
final
rule
establishes
a
tolerance
under
FFDCA
section
408(
d)
in
response
to
a
petition
submitted
to
the
Agency.
The
Office
of
Management
and
Budget
(
OMB)
has
exempted
these
types
of
actions
from
review
under
Executive
Order
12866,
entitledRegulatory
Planning
and
Review
(
58
FR
51735,
October
4,
1993).
Because
this
rule
has
been
exempted
from
review
under
Executive
Order
12866
due
to
its
lack
of
significance,
this
rule
is
not
subject
to
Executive
Order
13211,
Actions
Concerning
Regulations
That
Significantly
Affect
Energy
Supply,
Distribution,
or
Use
(
66
FR
28355,
May
22,
2001).
This
final
rule
does
not
contain
any
information
collections
subject
to
OMB
approval
under
the
Paperwork
Reduction
Act
(
PRA),
44
U.
S.
C.
3501
et
seq.,
or
impose
any
enforceable
duty
or
contain
any
unfunded
mandate
as
described
under
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(
UMRA)
(
Public
Law
104
4).
Nor
does
it
require
any
special
considerations
under
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(
59
FR
7629,
February
16,
1994);
or
OMB
review
or
any
Agency
action
under
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(
62
FR
19885,
April
23,
1997).
This
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(
NTTAA),
Public
Law
104
113,
section
12(
d)
(
15
U.
S.
C.
272
note).
Since
tolerances
and
exemptions
that
are
established
on
the
basis
of
a
petition
under
FFDCA
section
408(
d),
such
as
the
tolerance
in
this
final
rule,
do
not
require
the
issuance
of
a
proposed
rule,
the
requirements
of
the
Regulatory
Flexibility
Act
(
RFA)
(
5
U.
S.
C.
601
et
seq.)
do
not
apply.
In
addition,
the
Agency
has
determined
that
this
action
will
not
have
a
substantial
direct
effect
on
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132,
entitled
Federalism
(
64
FR
43255,
August
10,
1999).
Executive
Order
13132
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.''
``
Policies
that
have
federalism
implications''
is
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.''
This
final
rule
directly
regulates
growers,
food
processors,
food
handlers
and
food
retailers,
not
States.
This
action
does
not
alter
the
relationships
or
distribution
of
power
and
responsibilities
established
by
Congress
in
the
preemption
provisions
of
FFDCA
section
408(
n)(
4).
For
these
same
reasons,
the
Agency
has
determined
that
this
rule
does
not
have
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4,
2002
/
Rules
and
Regulations
any
``
tribal
implications''
as
described
in
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(
65
FR
67249,
November
6,
2000).
Executive
Order
13175,
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
tribal
officials
in
the
development
of
regulatory
policies
that
have
tribal
implications.''
``
Policies
that
have
tribal
implications''
is
defined
in
the
Executive
order
to
include
regulations
that
have
``
substantial
direct
effects
on
one
or
more
Indian
tribes,
on
the
relationship
between
the
Federal
Government
and
the
Indian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes.''
This
rule
will
not
have
substantial
direct
effects
on
tribal
governments,
on
the
relationship
between
the
Federal
Government
andIndian
tribes,
or
on
the
distribution
of
power
and
responsibilities
between
the
Federal
Government
and
Indian
tribes,
as
specified
in
Executive
Order
13175.
Thus,
Executive
Order
13175
does
not
apply
to
this
rule.
VIII.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
to
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
this
final
rule
in
the
Federal
Register.
This
final
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
180
Environmental
protection,
Administrative
practice
and
procedure,
Agricultural
commodities,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
November
8,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Therefore,
40
CFR
chapter
I
is
amended
as
follows:
PART
180
[
AMENDED]
1.
The
authority
citation
for
part
180
continues
to
read
as
follows:
Authority:
21
U.
S.
C.
321(
q),
346(
a)
and
374.
2.
Section
180.487
paragraph
(
a)
is
revised
to
read
as
follows:
§
180.487
Pyrithiobac
sodium;
tolerances
for
residues.
(
a)
General.
Tolerances
are
established
for
residues
of
the
herbicide,
pyrithiobac
sodium,
(
sodium
2
chloro
6
[(
4,6
dimethoxypyrimidin
2
yl)
thio]
benzoate),
resulting
from
the
application
of
the
pesticide
chemical
in
or
on
the
following
foods/
feeds:
Commodity
Parts
per
million
Cotton
gin
byproducts
..........................................................................................
0.15
Cotton,
undelinted
seed
.......................................................................................
0.02
*
*
*
*
*
[
FR
Doc.
02
30472
Filed
12
3
02;
8:
45
am]
BILLING
CODE
6560
50
S
DEPARTMENT
OF
COMMERCE
National
Oceanic
and
Atmospheric
Administration
50
CFR
Part
300
[
I.
D.
112702C]
Notification
of
U.
S.
Fish
Quotas
and
an
Effort
Allocation
in
the
Northwest
Atlantic
Fisheries
Organization
(
NAFO)
Regulatory
Area
AGENCY:
National
Marine
Fisheries
Service
(
NMFS),
National
Oceanic
and
Atmospheric
Administration
(
NOAA),
Commerce.
ACTION:
Notification
of
U.
S.
fish
quotas
and
an
effort
allocation.
SUMMARY:
NMFS
announces
that
fish
quotas
and
an
effort
allocation
are
available
for
harvest
by
U.
S.
fishermen
in
the
NAFO
Regulatory
Area.
This
action
is
necessary
to
make
available
to
U.
S.
fishermen
a
fishing
privilege
on
an
equitable
basis.
DATES:
All
fish
quotas
and
the
effort
allocation
are
effective
January
1,
2003,
through
December
31,
2003.
Expressions
of
interest
regarding
U.
S.
fish
quota
allocations
for
all
species
except
3L
shrimp
will
be
accepted
throughout
2003.
Expressions
of
interest
regarding
the
U.
S.
3L
shrimp
quota
allocation
and
the
3M
shrimp
effort
allocation
will
be
accepted
through
January
3,
2004.
ADDRESSES:
Expressions
of
interest
regarding
the
U.
S.
effort
allocation
and
quota
allocations
should
be
made
in
writing
to
Patrick
E.
Moran
in
the
NMFS
Office
of
Sustainable
Fisheries,
at
1315
East
West
Highway,
Silver
Spring,
MD
20910
(
phone:
301
713
2276,
fax:
301
713
2313,
e
mail:
pat.
moran@
noaa.
gov).
Information
relating
to
NAFO
fish
quotas,
NAFO
Conservation
and
Enforcement
Measures,
and
the
High
Seas
Fishing
Compliance
Act
(
HSFCA)
Permit
is
available
from
Jennifer
L.
Anderson
at
the
NMFS
Northeast
Regional
Office
at
One
Blackburn
Drive,
Gloucester,
Massachusetts
01930
(
phone:
978
281
9226,
fax:
978
281
9394,
e
mail:
jennifer.
anderson@
noaa.
gov)
and
from
NAFO
on
the
World
Wide
Web
at
http:/
/
www.
nafo.
ca.
FOR
FURTHER
INFORMATION
CONTACT:
Patrick
E.
Moran,
301
713
2276.
SUPPLEMENTARY
INFORMATION:
Background
NAFO
has
established
and
maintains
conservation
measures
in
its
Regulatory
Area
that
include
one
effort
limitation
fishery
as
well
as
fisheries
with
total
allowable
catches
(
TACs)
and
member
nation
quota
allocations.
The
principal
species
managed
are
cod,
flounder,
redfish,
American
plaice,
halibut,
capelin,
shrimp,
and
squid.
At
the
2002
NAFO
Annual
Meeting,
the
United
States
received
fish
quota
allocations
for
three
NAFO
stocks
and
an
effort
allocation
for
one
NAFO
stock
to
be
fished
during
2003.
The
species,
location,
and
allocation
(
in
metric
tons
or
effort)
of
these
U.
S.
fishing
opportunities
are
as
follows:
(
1)
Redfish
NAFO
Division
3M
69
mt
(
2)
Squid
NAFO
Subareas
3
&
4
453
mt
(
3)
Shrimp
NAFO
Division
3L
67
mt
(
4)
Shrimp
NAFO
Division
3M
1
vessel/
100
days
Additionally,
U.
S.
vessels
may
fish
any
portion
of
the
7,500
mt
TAC
of
oceanic
redfish
in
NAFO
Subarea
2
and
Divisions
1F
and
3K.
This
opportunity
is
available
only
to
members
of
NAFO
that
are
not
members
of
the
North
East
Atlantic
Fisheries
Commission,
on
a
first
come,
first
served
basis.
Allocations
are
also
available
to
U.
S.
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| epa | 2024-06-07T20:31:45.532790 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0347-0001/content.txt"
} |
EPA-HQ-OPP-2002-0349-0001 | Notice | 2002-12-31T05:00:00 | Flumioxazin; Notice of Filing a Pesticide Petition to Establish a Tolerance for a Certain Pesticide
Chemical in or on Food | 79918
Federal
Register
/
Vol.
67,
No.
251
/
Tuesday,
December
31,
2002
/
Notices
0
estimate,
1.86
parts
per
billion
(
ppb),
was
used
in
the
acute
exposure
analysis
and
the
corrected
56
day
drinking
water
concentration
of
0.4667
ppb
was
used
in
the
chronic
exposure
analysis.
The
SCIGROW
estimated
ground
water
concentration
for
the
prosulfuron
uses
of
0.406585
ppb
contributed
little
to
the
overall
exposure.
The
acute
drinking
water
levels
of
concern
(
DWLOC)
for
prosulfuron
were
based
on
the
acute
RfD,
a
margin
of
exposure
(
MOE),
the
99.9th
percentile
of
the
acute
dietary
exposure
for
U.
S.
population
subgroups
and
the
body
weight
daily
water
consumption
of
each
respective
subgroup.
The
calculated
acute
DWLOC
values
for
the
population
subgroups
ranged
from
978
3447
ppb.
The
estimated
ground
water
concentration
(
0.406585
ppb)
and
the
peak
day
0
surface
water
concentration
(
1.86
ppb)
of
prosulfuron
did
not
exceed
the
acute
DWLOC
values.
The
chronic
(
noncancer
DWLOC
for
prosulfuron
were
based
on
the
chronic
RfD,
any
estimated
residential
exposure,
the
chronic
dietary
exposure
for
select
U.
S.
population
subgroups
and
the
body
weight
daily
water
consumption
of
each
respective
subgroup.
The
calculated
chronic
DWLOC
values
for
the
population
subgroups
ranged
from
197
694.
The
estimated
ground
water
concentration
(
0.406585
ppb)
and
the
corrected
average
56
day
surface
water
concentration
(
0.4667
ppb)
of
prosulfuron
did
not
exceed
the
chronic
DWLOC
values.
Therefore,
there
is
reasonable
certainty
that
the
residues
of
prosulfuron
in
the
drinking
water
would
not
result
in
unacceptable
levels
of
acute
or
chronic
aggregate
human
health
risk,
and
that
such
exposure
would
not
exceed
the
exposure
allowable
by
the
risk
cup.
Nondietary
exposure.
Nondietary
exposure
to
prosulfuron
is
considered
negligible
as
the
chemical
is
registered
for
agricultural
use
only.
For
workers
handling
this
chemical,
acceptable
MOE
(
in
the
range
of
thousands)
have
been
obtained
for
both
acute
and
chronic
scenarios.
D.
Cumulative
Effects
Consideration
of
a
common
mechanism
of
toxicity
is
not
appropriate
at
this
time
since
there
is
no
information
to
indicate
that
toxic
effects
produced
by
prosulfuron
would
be
cumulative
with
those
of
any
other
types
of
chemicals.
E.
Safety
Determination
1.
U.
S.
population.
The
calculation
shows
that
less
than
1%
of
the
RfD
will
be
utilized
for
the
U.
S.
population
based
on
chronic
toxicity
endpoints.
EPA
generally
has
no
concern
for
exposures
below
100%
of
the
RfD
because
the
RfD
represents
the
level
at
or
below
which
daily
aggregate
dietary
exposure
over
a
lifetime
will
not
pose
appreciable
risks
to
human
health.
It
is
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
from
aggregate
exposure
to
prosulfuron
residue.
2.
Infants
and
children.
The
calculated
percent
of
the
RfD
that
will
be
utilized
by
aggregate
exposure
to
residues
of
prosulfuron
is
only
2.4%
for
children
(
1
to
6
years
old),
the
most
impacted
subpopulation.
There
were
no
adverse
reproductive
or
developmental
effects
indicated
in
the
prosulfuron
toxicity
data
base,
which
is
considered
to
be
essentially
complete
with
no
data
gaps.
It
is
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate
exposure
to
prosulfuron
residues.
F.
International
Tolerances
No
codex
MRLs
have
been
established
for
residues
of
prosulfuron.
[
FR
Doc.
02
32988
Filed
12
30
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPP
2002
0349;
FRL
7285
6]
Flumioxazin;
Notice
of
Filing
a
Pesticide
Petition
to
Establish
a
Tolerance
for
a
Certain
Pesticide
Chemical
in
or
on
Food
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
the
initial
filing
of
pesticide
petitions
proposing
the
establishment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities.
DATES:
Comments,
identified
by
docket
ID
number
OPP
2002
0349,
must
be
received
on
or
before
January
30,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Joanne
I.
Miller,
Registration
Division
(
7505C),
Office
of
Pesticide
Programs,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
703)
305
6224;
e
mail
address:
Miller.
Joanne@
epamail.
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
affected
by
this
action
if
you
are
an
agricultural
producer,
food
manufacturer,
or
pesticide
manufacturer.
Potentially
affected
categories
and
entities
may
include,
but
are
not
limited
to:
Crop
production
(
NAICS
111)
Animal
production
(
NAICS
112)
Food
manufacturing
(
NAICS
311)
Pesticide
manufacturing
(
NAICS
32532)
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
in
the
table
could
also
be
affected.
The
North
American
Industrial
Classification
System
(
NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
If
you
have
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
this
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPP
2002
0349.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA.
This
docket
facility
is
open
from
8:
30
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
docket
telephone
number
is
(
703)
305
5805.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
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16:
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30,
2002
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00000
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79919
Federal
Register
/
Vol.
67,
No.
251
/
Tuesday,
December
31,
2002
/
Notices
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
system
will
identify
whether
the
document
is
available
for
viewing
in
EPA's
electronic
public
docket.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
EPA
intends
to
work
towards
providing
electronic
access
to
all
of
the
publicly
available
docket
materials
through
EPA's
electronic
public
docket.
For
public
commenters,
it
is
important
to
note
that
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EPA's
electronic
public
docket
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EPA's
electronic
public
docket.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Public
comments
submitted
on
computer
disks
that
are
mailed
or
delivered
to
the
docket
will
be
transferred
to
EPA's
electronic
public
docket.
Public
comments
that
are
mailed
or
delivered
to
the
docket
will
be
scanned
and
placed
in
EPA's
electronic
public
docket.
Where
practical,
physical
objects
will
be
photographed,
and
the
photograph
will
be
placed
in
EPA's
electronic
public
docket
along
with
a
brief
description
written
by
the
docket
staff.
C.
How
and
To
Whom
Do
I
Submit
Comments?
You
may
submit
comments
electronically,
by
mail,
or
through
hand
delivery/
courier.
To
ensure
proper
receipt
by
EPA,
identify
the
appropriate
docket
ID
number
in
the
subject
line
on
the
first
page
of
your
comment.
Please
ensure
that
your
comments
are
submitted
within
the
specified
comment
period.
Comments
received
after
the
close
of
the
comment
period
will
be
marked
``
late.''
EPA
is
not
required
to
consider
these
late
comments.
If
you
wish
to
submit
CBI
or
information
that
is
otherwise
protected
by
statute,
please
follow
the
instructions
in
Unit
I.
D.
Do
not
use
EPA
Dockets
or
e
mail
to
submit
CBI
or
information
protected
by
statute.
1.
Electronically.
If
you
submit
an
electronic
comment
as
prescribed
in
this
unit,
EPA
recommends
that
you
include
your
name,
mailing
address,
and
an
email
address
or
other
contact
information
in
the
body
of
your
comment.
Also
include
this
contact
information
on
the
outside
of
any
disk
or
CD
ROM
you
submit,
and
in
any
cover
letter
accompanying
the
disk
or
CD
ROM.
This
ensures
that
you
can
be
identified
as
the
submitter
of
the
comment
and
allows
EPA
to
contact
you
in
case
EPA
cannot
read
your
comment
due
to
technical
difficulties
or
needs
further
information
on
the
substance
of
your
comment.
EPA's
policy
is
that
EPA
will
not
edit
your
comment,
and
any
identifying
or
contact
information
provided
in
the
body
of
a
comment
will
be
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
If
EPA
cannot
read
your
comment
due
to
technical
difficulties
and
cannot
contact
you
for
clarification,
EPA
may
not
be
able
to
consider
your
comment.
i.
EPA
Dockets.
Your
use
of
EPA's
electronic
public
docket
to
submit
comments
to
EPA
electronically
is
EPA's
preferred
method
for
receiving
comments.
Go
directly
to
EPA
Dockets
at
http://
www.
epa.
gov/
edocket,
and
follow
the
online
instructions
for
submitting
comments.
Once
in
the
system,
select
``
search,''
and
then
key
in
docket
ID
number
OPP
2002
0349.
The
system
is
an
``
anonymous
access''
system,
which
means
EPA
will
not
know
your
identity,
e
mail
address,
or
other
contact
information
unless
you
provide
it
in
the
body
of
your
comment.
ii.
E
mail.
Comments
may
be
sent
by
e
mail
to
opp
docket@
epa.
gov,
Attention:
Docket
ID
Number
OPP
2002
0349.
In
contrast
to
EPA's
electronic
public
docket,
EPA's
e
mail
system
is
not
an
``
anonymous
access''
system.
If
you
send
an
e
mail
comment
directly
to
the
docket
without
going
through
EPA's
electronic
public
docket,
EPA's
e
mail
system
automatically
captures
your
e
mail
address.
E
mail
addresses
that
are
automatically
captured
by
EPA's
e
mail
system
are
included
as
part
of
the
comment
that
is
placed
in
the
official
public
docket,
and
made
available
in
EPA's
electronic
public
docket.
iii.
Disk
or
CD
ROM.
You
may
submit
comments
on
a
disk
or
CD
ROM
that
you
mail
to
the
mailing
address
identified
in
Unit
I.
C.
2.
These
electronic
submissions
will
be
accepted
in
WordPerfect
or
ASCII
file
format.
Avoid
the
use
of
special
characters
and
any
form
of
encryption.
2.
By
mail.
Send
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB)
(
7502C),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001,
Attention:
Docket
ID
Number
OPP
2002
0349.
3.
By
hand
delivery
or
courier.
Deliver
your
comments
to:
Public
Information
and
Records
Integrity
Branch
(
PIRIB),
Office
of
Pesticide
Programs
(
OPP),
Environmental
Protection
Agency,
Rm.
119,
Crystal
Mall
#
2,
1921
Jefferson
Davis
Hwy.,
Arlington,
VA,
Attention:
Docket
ID
Number
OPP
2002
0349.
Such
deliveries
are
only
accepted
during
the
docket's
normal
hours
of
operation
as
identified
in
Unit
I.
B.
1.
D.
How
Should
I
Submit
CBI
To
the
Agency?
Do
not
submit
information
that
you
consider
to
be
CBI
electronically
through
EPA's
electronic
public
docket
or
by
e
mail.
You
may
claim
information
that
you
submit
to
EPA
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI
(
if
you
submit
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
as
CBI
and
then
identify
electronically
within
the
disk
or
CD
ROM
the
specific
information
that
is
CBI).
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
docket
and
EPA's
electronic
public
docket.
If
you
submit
the
copy
that
does
not
contain
CBI
on
disk
or
CD
ROM,
mark
the
outside
of
the
disk
or
CD
ROM
clearly
that
it
does
not
contain
CBI.
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251
/
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December
31,
2002
/
Notices
Information
not
marked
as
CBI
will
be
included
in
the
public
docket
and
EPA's
electronic
public
docket
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
E.
What
Should
I
Consider
as
I
Prepare
My
Comments
for
EPA?
You
may
find
the
following
suggestions
helpful
for
preparing
your
comments:
1.
Explain
your
views
as
clearly
as
possible.
2.
Describe
any
assumptions
that
you
used.
3.
Provide
copies
of
any
technical
information
and/
or
data
you
used
that
support
your
views.
4.
If
you
estimate
potential
burden
or
costs,
explain
how
you
arrived
at
the
estimate
that
you
provide.
5.
Provide
specific
examples
to
illustrate
your
concerns.
6.
Make
sure
to
submit
your
comments
by
the
deadline
in
this
notice.
7.
To
ensure
proper
receipt
by
EPA,
be
sure
to
identify
the
docket
ID
number
assigned
to
this
action
in
the
subject
line
on
the
first
page
of
your
response.
You
may
also
provide
the
name,
date,
and
Federal
Register
citation.
II.
What
Action
is
the
Agency
Taking?
EPA
has
received
a
pesticide
petition
as
follows
proposing
the
establishment
and/
or
amendment
of
regulations
for
residues
of
a
certain
pesticide
chemical
in
or
on
various
food
commodities
under
section
408
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a.
EPA
has
determined
that
this
petition
contains
data
or
information
regarding
the
elements
set
forth
in
FFDCA
section
408(
d)(
2);
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
support
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
List
of
Subjects
Environmental
protection,
Agricultural
commodities,
Feed
additives,
Food
additives,
Pesticides
and
pests,
Reporting
and
recordkeeping
requirements.
Dated:
December
20,
2002.
Debra
Edwards,
Acting
Director,
Registration
Division,
Office
of
Pesticide
Programs.
Summary
of
Petition
The
petitioner
summary
of
the
pesticide
petitions
is
printed
below
as
required
by
FFDCA
section
408(
d)(
3).
The
summary
of
the
petitions
was
prepared
by
the
petitioner
and
represents
the
view
of
the
petitioner.
The
petition
summary
announces
the
availability
of
a
description
of
the
analytical
methods
available
to
EPA
for
the
detection
and
measurement
of
the
pesticide
chemical
residues
or
an
explanation
of
why
no
such
method
is
needed.
Valent
U.
S.
A.
Corporation
1F6296
and
0F6171
EPA
has
received
pesticide
petitions
(
PP
1F6296,
0F6171)
from
Valent
U.
S.
A.
Corporation,
1333
North
California
Boulevard,
Suite
600,
Walnut
Creek,
California
94596
8025
proposing,
pursuant
to
section
408(
d)
of
the
Federal
Food,
Drug,
and
Cosmetic
Act
(
FFDCA),
21
U.
S.
C.
346a(
d),
to
amend
40
CFR
part
180
by
establishing
a
tolerance
for
residues
of
the
herbicide
chemical
flumioxazin,
2[
7
fluoro
3,4
dihydro
3
oxo
4(
2
propynyl)
2H
1,4
benzoxazin
6
yl]
4,5,6,7
tetrahydro
1H
isoindole
1,3(
2H)
dione,
in
or
on
the
raw
agricultural
commodities
cotton
at
0.02
parts
per
million
(
ppm),
cotton,
gin
byproducts
at
0.60
ppm,
grape
at
0.02
ppm,
almonds
at
0.02
ppm,
almond,
hulls
at
0.70
ppm
and
sugarcane
at
0.20
ppm.
EPA
has
determined
that
the
petitions
contain
data
or
information
regarding
the
elements
set
forth
in
section
408(
d)(
2)
of
the
FFDCA;
however,
EPA
has
not
fully
evaluated
the
sufficiency
of
the
submitted
data
at
this
time
or
whether
the
data
supports
granting
of
the
petition.
Additional
data
may
be
needed
before
EPA
rules
on
the
petition.
A.
Residue
Chemistry
1.
Plant
metabolism.
Metabolism
of
14C
flumioxazin
labeled
in
the
phenyl
or
tetrahydrophthalimido
rings
has
been
studied
in
soybeans,
peanuts,
grapes
and
corn.
Flumioxazin
was
rapidly
and
extensively
metabolized
to
many
metabolites
in
all
plants.
Even
with
exaggerated
treatment,
individual
metabolites
and
parent
were
only
found
at
very
low
concentrations.
Comparisons
of
metabolites
detected
and
quantified
from
plants
and
animals
show
that
there
are
no
significant
aglycones
in
plants
which
are
not
also
present
in
the
excreta
or
tissues
of
animals.
The
residue
of
concern
is
best
defined
as
the
parent.
2.
Analytical
method.
Practical
analytical
methods
for
detecting
and
measuring
levels
of
flumioxazin
have
been
developed
and
validated
in/
on
all
appropriate
agricultural
commodities
and
respective
processing
fractions.
The
extraction
methodology
has
been
validated
using
aged
radiochemical
residue
samples
from
14C
metabolism
studies.
The
enforcement
method
has
been
validated
in
soybean
at
an
independent
laboratory
and
by
EPA.
The
limit
of
quantitation
(
LOQ)
of
flumioxazin
in
the
method
is
0.02
ppm
which
will
allow
monitoring
of
food
with
residues
at
the
levels
proposed
for
the
tolerances.
3.
Magnitude
of
residues
i.
Cotton.
Thirteen
field
trials
in
cotton
were
conducted
in
1999
in
EPA
Regions
II
(
1
trial),
IV
(
4
trials),
VI
(
1
trial),
VIII
(
4
trials),
and
X
(
3
trials),
representing
approximately
97%
of
the
U.
S.
cotton
growing
regions.
Seasonal
treatment
ranged
from
0.190
to
0.375
pounds
active
ingredient
per
acre
[
two
applications
of
0.095
lb.
a.
i./
A
each
or
two
applications
of
0.187
lb.
a.
i./
A
each],
1.5
to
3
times
the
proposed
application
rate
for
high
organic
soils.
Application
of
VALOR
was
done
lay
by
and
post
direct
to
the
soil
and
not
over
the
top.
Finite
residues
of
flumioxazin
were
detected
in
7
of
26
duplicate
samples
cottonseed
and
in
14
of
the
16
duplicate
samples
of
gin
trash.
The
LOQ
of
the
residue
method
was
0.01
ppm,
and
the
limit
of
detection
(
LOD)
was
0.005
ppm.
No
residues
of
1
OH
HPA
were
detected
(<
0.005
ppm)
in
any
cottonseed
or
gin
trash
sample,
including
samples
from
trial
treated
at
the
2X
rate.
The
data
demonstrate
that
1
OH
HPA
is
not
a
residue
of
concern
in
cottonseed
or
cotton
gin
trash.
No
residues
of
flumioxazin
or
its
degradate
were
found
in
the
processed
commodities
treated
ginned
seed,
hulls,
solvent
extracted
meal
and
refined
oil.
All
these
data
support
proposed
tolerance
for
flumioxazin
in/
on
cotton
at
0.02
ppm,
and
in/
on
cotton,
gin
byproducts
at
0.60
ppm.
No
separate
tolerances
are
needed
for
cotton
processed
commodities.
ii.
Grapes.
Twelve
field
trials
in
grapes
were
conducted
in
1999
in
EPA
Regions
I
(
2
trials)
Region
X
(
9
trials)
and
Region
XI
(
1
trial),
representing
approximately
96%
of
the
U.
S.
grapes
growing
regions.
Seasonal
treatment
ranged
from
0.75
to
3.75
pounds
active
ingredient
per
acre
[
two
applications
of
0.375
lb.
a.
i./
A
each
or
two
applications
of
1.87
lb.
a.
i./
A
each]
1
to
5
times
the
proposed
application
rate.
Application
on
grapes
was
post
direct
and
not
over
the
top.
At
the
proposed
maximum
seasonal
rate
of
0.75
lb.
a.
i./
A,
no
residues
of
flumioxazin
were
found
in/
on
grapes
from
all
12
trials.
Residues
of
flumioxazin
were
detected
in
only
one
of
six
samples
treated
at
2X
application
rate
(
seasonal
total
of
1.5
lb.
a.
i./
A).
The
residue
found,
0.005
ppm,
was
below
the
LOQ
of
0.01
ppm.
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31,
2002
/
Notices
Grapes
treated
at
5X
(
seasonal
total
of
3.75
lb.
a.
i./
A)
the
proposed
use
rate
were
processed
into
grape
juice
and
raisins.
The
RAC
grapes
contained
0.006
ppm
flumioxazin.
No
residues
(<
0.005
ppm)
of
flumioxazin
were
found
in
grape
juice.
In
raisins
0.007
ppm
flumioxazin
was
detected.
These
residues
were
below
the
LOQ
of
0.01
ppm.
The
data
demonstrate
no
concentration
of
flumioxazin
residues
in
juice
and
raisins.
All
these
data
support
a
proposed
tolerance
for
flumioxazin
in/
on
grapes
of
0.02
ppm.
No
separate
tolerances
are
needed
for
grapes
processed
commodities.
iii.
Almond.
Five
field
trials
in
almonds
were
conducted
in
1999
in
EPA
Regions
X,
representative
of
all
U.
S.
almond
growing
regions.
Seasonal
treatment
ranged
from
0.75
to
1.5
pounds
active
ingredient
per
acre
[
two
applications
of
0.375
lb.
a.
i./
A
each
or
two
applications
of
0.75
lb.
a.
i./
A
each]
1
to
2
times
the
proposed
application
rate.
Application
on
almonds
was
done
post
direct
and
not
over
the
top.
At
the
proposed
maximum
seasonal
rate
of
0.75
lb.
a.
i./
A,
no
residues
of
flumioxazin
were
found
in/
on
almond
nutmeat
greater
than
the
LOQ
(
0.01
ppm).
The
highest
average
field
Trial
for
residues
of
flumioxazin
in/
on
almond
hulls
was
0.552
ppm.
Residues
of
1
OHHPA
were
not
detected
in
any
sample
of
almond
hulls
(<
0.05
ppm).
The
LOQ
and
LOD
of
the
residue
method
for
1
OHHPA
in/
on
almond
hulls
were
0.1
ppm
and
0.05
ppm,
respectively.
All
these
data
support
a
proposed
tolerance
for
flumioxazin
in/
on
almond
of
0.02
ppm,
and
in/
on
almond
hulls
of
0.6
ppm.
iv.
Sugarcane.
Nine
field
trials
in
sugarcane
were
conducted
in
1998
in
EPA
Regions
III
(
4
trials),
IV
(
3
trials),
VI
(
1
trial),
and
XIII
(
1
trial),
representative
of
all
of
the
U.
S.
sugarcane
growing
regions.
Treatments
ranged
from
0.37
to
1.12
pounds
active
ingredient
per
acre,
1
to
3
times
the
proposed
application
rate
for
high
organic
soils.
Finite
residues
of
flumioxazin
were
detected
in
14
of
18
duplicate
samples.
Residues
of
flumioxazin
averaged
0.039
ppm
(
standard
deviation
=
0.033
ppm)
from
the
trials
conducted
at
the
proposed
maximum
application
rate.
Analysis
for
the
major
plant
metabolite,
1
OH
HPA,
was
conducted
on
all
cane
samples
including
those
from
the
two
3X
processing
trials.
No
residues
of
the
degradate
were
found
in
any
cane
sample.
No
residues
of
flumioxazin
or
its
degradate
were
found
in
the
processed
commodity
refined
sugar.
In
molasses,
produced
from
cane
treated
at
three
times
the
proposed
label
rate,
flumioxazin
was
detected
(
0.055
ppm)
at
approximately
half
of
the
concentration
in
the
starting
sugarcane.
The
degradate,
1
OH
HPA,
was
also
detected
in
molasses
(
0.036
ppm).
Because
these
detections
were
in
a
processed
sample
from
cane
treated
at
3X,
and
are
still
less
than
the
proposed
RAC
tolerance,
no
separate
processed
product
tolerances
are
necessary.
All
these
data
support
a
proposed
tolerance
for
flumioxazin
in/
on
sugarcane
at
0.20
ppm.
No
separate
tolerances
for
parent
or
degradate
are
needed
for
processed
commodities.
B.
Toxicological
Profile
1.
Acute
toxicity.
The
acute
toxicity
of
technical
grade
flumioxazin
is
low
by
all
routes.
The
battery
of
acute
toxicity
studies
place
flumioxazin
in
Toxicity
Category
III.
i.
No
abnormal
clinical
signs,
body
weight
changes,
or
gross
pathological
findings
were
observed
and
no
rats
died
following
administration
of
an
oral
dose
of
5
g/
kg
of
flumioxazin
technical.
The
LD50
was
greater
than
5
g/
kg.
ii.
No
deaths,
abnormal
clinical
signs,
body
weight
changes,
or
gross
pathological
findings
were
observed
in
rats
exposed
to
a
2.0
g/
kg
dermal
dose
of
flumioxazin
technical.
The
LD50
was
greater
than
2.0
g/
kg.
iii.
Rats
were
exposed
to
a
dust
aerosol
of
flumioxazin
technical
for
4
hours
at
measured
concentrations
of
1.55
or
3.93
mg/
l,
the
maximum
attainable
concentration.
Irregular
respiration,
bradypnea
and
a
decrease
in
spontaneous
activity
were
observed
in
many
of
the
rats,
but
these
effects
disappeared
within
2
hours
after
termination
of
the
exposure.
No
deaths,
body
weight
changes,
gross
pathological
findings
or
histopathological
changes
in
the
respiratory
organs
were
observed.
The
LC50
for
flumioxazin
technical
was
determined
to
be
greater
than
3.93
mg/
l.
iv.
Flumioxazin
technical
produced
minimal
eye
irritation
in
rabbits
which
cleared
within
48
hours.
v.
Flumioxazin
technical
did
not
produce
any
signs
of
skin
irritation
in
abraded
or
intact
skin
of
rabbits.
vi.
Flumioxazin
technical
was
not
a
skin
sensitizer
when
tested
in
guinea
pigs
using
the
Magnussen
and
Kligman
maximization
test
methodology.
2.
Genotoxicty.
Flumioxazin
does
not
present
a
genetic
hazard.
Flumioxazin
was
evaluated
in
the
following
tests
for
mutagenicity:
i.
A
reverse
gene
mutation
assay
in
Salmonella
typhimurium
and
Escherichia
coli
was
negative
with
or
without
metabolic
activation.
ii.
An
in
vitro
chromosome
aberration
assay
using
Chinese
hamster
ovary
(
CHO)
cells
was
negative
in
the
absence
of
metabolic
activation.
However,
an
increase
in
cells
with
aberrations
was
observed
at
doses
of
1
x
10
4
M
and
higher
in
the
presence
of
S9.
iii.
An
in
vivo
chromosomal
aberration
study
in
the
rat
was
negative.
No
significant
increase
in
the
incidence
of
chromosomal
aberrations
in
bone
marrow
cells
was
observed
following
treatments
as
high
as
5,000
mg/
kg.
iv.
An
in
vitro
unscheduled
DNA
synthesis
(
UDS)
assay
with
rat
hepatocytes
was
negative.
v.
A
mouse
micronucleus
assay
was
negative
following
intraperitoneal
injection
of
5,000
mg/
kg.
3.
Reproductive
and
developmental
toxicity.
Flumioxazin
shows
developmental
toxicity
in
the
absence
of
maternal
toxicity
in
rats.
Mechanistic
studies
demonstrate
that
the
effect
is
specifically
related
to
the
inhibition
of
heme
synthesis,
that
the
effect
shows
considerable
species
specificity,
and
that
the
rat
is
a
conservative
surrogate
species
for
the
potential
for
developmental
toxicity
in
man.
No
developmental
toxicity
was
observed
in
rabbits.
Developmental
toxicity
to
the
pups
was
seen
in
the
rat
reproduction
study
at
doses
that
were
not
toxic
to
the
parental
animals.
i.
Rat
developmental
toxicity.
A
pilot
dose
range
finding
study
was
conducted
to
determine
appropriate
doses
for
the
definitive
oral
developmental
toxicity
study.
Flumioxazin
technical
was
administered
by
oral
gavage
at
dosages
of
0,
30,
100,
200
and
500
mg/
kg/
day
to
pregnant
rats
on
days
6
through
15
of
gestation.
No
animals
died
during
the
course
of
this
study
and
maternal
toxicity
was
limited
to
decreased
weight
gain
associated
with
high
embryolethality
observed
in
all
dose
groups.
Fetuses
obtained
from
the
30
mg/
kg/
day
dams
had
significantly
reduced
body
weights
and
were
found
to
have
both
skeletal
and
visceral
abnormalities
primarily
wavy
ribs
and
ventricular
septal
defects
(
VSD).
Because
of
the
high
degree
of
embryolethality
at
doses
of
100
mg/
kg/
day
and
greater,
the
highest
dose
selected
for
the
definitive
study
was
30
mg/
kg/
day.
In
the
definitive
study,
pregnant
rats
were
administered
oral
doses
of
0,
1,
3,
10
or
30
mg/
kg/
day
of
flumioxazin
technical
on
days
6
through
15
of
gestation.
No
maternal
deaths
were
observed
at
any
dosage
and
no
treatment
related
effects
on
clinical
signs
or
food
consumption
were
noted.
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Notices
A
decrease
in
maternal
body
weight
gain
was
found
at
30
mg/
kg/
day.
The
number
of
live
fetuses
and
fetal
body
weights
were
decreased
in
the
30
mg/
kg/
day
group
and
the
incidence
of
embryo
mortality
tended
to
be
higher
but
was
not
statistically
significant.
No
effects
on
the
number
of
implantations,
sex
ratios,
or
external
abnormalities
were
found.
The
incidence
of
fetuses
with
cardiovascular
abnormalities,
primarily
VSD,
was
increased
in
the
30
mg/
kg/
day
group.
Other
developmental
effects
observed
at
30
mg/
kg/
day
included
an
increase
in
the
incidence
of
wavy
ribs
and
curvature
of
the
scapula,
and
a
decrease
in
the
number
of
ossified
sacrococcygeal
vertebral
bodies.
Based
on
these
findings,
a
maternal
NOEL
of
30
mg/
kg/
day
and
a
developmental
NOEL
of
3
mg/
kg/
day
are
proposed.
In
a
range
finding
dermal
developmental
toxicity
study
flumioxazin
technical
was
administered
dermally
at
levels
of
100,
200,
400
and
800
mg/
kg/
day
in
corn
oil.
No
adverse
effects
on
the
dams
were
observed
at
doses
up
to
800
mg/
kg/
day.
Because
of
the
high
degree
of
embryolethality
at
doses
of
400
mg/
kg/
day
and
greater,
the
highest
dose
selected
for
the
definitive
study
was
300
mg/
kg/
day.
On
days
6
15
of
gestation,
pregnant
rats
were
exposed
dermally
to
dose
levels
of
30,
100,
or
300
mg/
kg/
day
of
flumioxazin
technical
in
corn
oil.
No
adverse
effects
were
observed
in
the
dams
throughout
the
study.
Increased
fetal
mortality
was
accompanied
by
decreases
in
the
number
of
live
fetuses
and
fetal
body
weights
at
doses
of
300
mg/
kg/
day.
No
external
abnormalities
were
observed
at
any
dose
level.
An
increase
in
cardiovascular
abnormalities,
primarily
VSD,
an
increase
in
wavy
ribs
and
a
decrease
in
the
number
of
ossified
sacrococcygeal
vertebral
bodies
was
observed
at
300
mg/
kg/
day.
Based
on
these
results,
a
maternal
NOEL
of
300
mg/
kg/
day
and
a
developmental
NOEL
of
30
mg/
kg/
day
are
proposed.
To
measure
the
dermal
penetration
of
flumioxazin
under
the
conditions
of
the
dermal
teratology
study,
13
day
pregnant
rats
were
dermally
exposed
to
[
phenyl
14C]
flumioxazin.
The
systemic
absorption
ranged
from
3.8%
at
2
hours
to
6.9%
of
the
recovered
14C
at
48
hours.
ii.
Mechanistic
studies.
A
series
of
scientific
studies
were
conducted
to
examine
the
mechanism
and
species
differences
in
the
production
of
developmental
toxicity
by
flumioxazin.
This
research
demonstrates
clear
species
differences
between
rats,
rabbits,
mice,
and
(
in
vitro)
humans
and
indicates
a
high
degree
of
correlation
between
the
interruption
of
heme
synthesis
and
the
production
of
developmental
toxicity
in
rats.
The
data
support
that
the
rat
is
a
conservative
model
for
use
in
the
risk
assessment
for
humans.
Specifically
the
studies
demonstrate
that:
Flumioxazin
interferes
with
normal
heme
biosynthesis
resulting
in
sidroblastic
anemia
and
porphyria
in
adult
rats.
14C
Flumioxazin
administered
to
pregnant
rats
on
day
12
of
gestation
crosses
the
placenta
and
reaches
the
rat
fetus
at
maximum
levels
of
radiocarbon
(
and
flumioxazin),
4
hours
later.
No
clear
pattern
of
adsorption,
distribution,
metabolism,
or
excretion
was
evident
which
could
account
for
the
species
specific
development
toxicity
in
rats.
The
critical
period
of
sensitivity
to
the
developmental
effects
of
flumioxazin
in
rats
is
day
12
of
gestation.
This
correlates
with
the
peak
period
of
protoporphyrin
IX
(
PPIX)
accumulation
in
maternal
rat
liver
and
the
rat
fetus.
A
histological
examination
of
rat
fetus
indicated
signs
of
fetal
anemia
within
6
hours
after
dosing,
but
no
histological
changes
in
the
fetal
rat
heart
were
observed
until
36
or
48
hour
after
treatment.
No
effects
were
observed
in
rabbit
fetus
treated
in
the
same
manner
as
the
rats.
Other
observations
in
the
pathogenesis
of
the
developmental
effects
of
flumioxazin
in
rat
fetuses
included:
enlarged
heart,
edema,
anemia
(
decreased
red
blood
cell
count
and
hemoglobin),
delayed
closure
of
the
interventricular
foramen,
reduced
serum
protein
and
incomplete/
delayed
ossification
of
the
ribs.
The
observation
of
enlarged
heart,
edema
and
anemia
preceding
the
occurrence
of
fetal
mortality
suggest
these
effects
may
be
instrumental
in
the
cause
of
fetal
deaths.
The
occurrence
of
an
enlarged
heart
preceding
the
failure
of
interventricular
foramen
closure
could
be
related
to
the
pathogenesis
rather
than
a
direct
toxic
effect
of
flumioxazin
on
cardiac
tissue.
A
strong
correlation
exists
between
PPIX
accumulation,
an
indicator
of
disrupted
heme
synthesis,
and
developmental
toxicity.
Evidence
of
this
correlation
exists
on
the
basis
of
species
differences
between
rats
and
rabbits;
the
critical
period
of
sensitivity
in
the
rat;
and
compound
specific
differences
with
two
chemicals
structurally
related
to
flumioxazin,
one
which
produces
developmental
effects
in
rats
and
one
which
does
not.
iii.
Rabbits.
In
a
pilot
dose
rangefinding
study
in
rabbits,
flumioxazin
technical
was
administered
to
rabbits
on
days
7
through
19
of
gestation
via
oral
intubation
at
dosages
of
0,
300,
500,
1,000
and
1,500
mg/
kg/
day.
Clinical
observations
were
recorded
and
on
day
29
of
gestation,
all
does
were
sacrificed,
caesarean
sectioned,
and
examined
for
gross
lesions,
number
of
corpora
lutea,
and
number
and
placement
of
implantation
sites,
early
and
late
resorptions
and
live
and
dead
fetuses.
No
deaths,
abortions
or
premature
deliveries
occurred
during
this
study.
Dosages
of
flumioxazin
technical
as
high
as
1,500
mg/
kg/
day
did
not
result
in
significant
clinical
or
necropsy
observations
nor
affect
maternal
body
weight
gains
or
feed
consumption
values.
Similarly,
there
were
no
adverse
effects
of
dosages
of
flumioxazin
technical
up
to
1,500
mg/
kg/
day
on
embryo
fetal
viability,
sex
ratios,
body
weights
or
external
morphology.
Based
on
these
results,
pregnant
rabbits
were
administered
0,
300,
1,000,
or
3,000
mg/
kg/
day
of
flumioxazin
technical
on
days
7
19
of
gestation
by
oral
gavage.
The
highest
dose
was
well
in
excess
of
the
1,000
mg/
kg/
day
limit
dose
for
developmental
toxicity
studies.
The
3,000
mg/
kg/
day
dosage
tended
to
reduce
maternal
body
weight
gains
and
relative
and
absolute
feed
consumption
values.
No
gross
lesions
were
produced
at
any
dose
level.
The
3,000
mg/
kg/
day
dosage
group
litters
tended
to
have
reduced
fetal
body
weights
but
these
differences
were
not
statistically
different.
No
fetal
external,
soft
tissue,
or
skeletal
malformations
or
variants
were
attributable
to
the
test
substance.
Based
on
these
data,
the
maternal
NOEL
was
1,000
mg/
kg/
day
and
the
developmental
NOEL
was
3,000
mg/
kg/
day.
iv.
Reproduction.
Two
pilot
rangefinding
rat
reproduction
studies
were
conducted
with
flumioxazin
technical
at
dosages
from
100
to
5,000
ppm
in
the
diet.
In
the
definitive
two
generation
reproduction
study
in
the
rat
dietary
levels
of
0,
50,
100,
200
and
300
ppm
established
a
systemic
NOEL
of
200
ppm
based
on
increased
clinical
signs
(
both
sexes
and
generations);
mortality,
gross
and
histopathology
findings
in
the
liver
(
F1
females);
decreased
body
weight/
weight
gain
(
F0
and
F1
females
during
gestation,
F1
males
during
premating)
and
decreased
food
consumption
(
F0
and
F1
females
during
lactation).
The
reproductive
NOEL
of
100
ppm
was
mainly
based
on
developmental
toxicity
at
200
ppm.
Observed
at
200
ppm
were
a
decreased
number
of
live
born
pups
and
reduced
pup
body
weights.
At
300
ppm
the
following
effects
were
observed:
decreased
pup
body
weight
(
both
generations);
decreased
number
of
live
pups/
litter
and
viability
index
(
both
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Notices
generations);
increased
incidence
of
abnormalities
of
the
reproductive
organs
(
predominately
atrophied
or
hypoplastic
testes
and/
or
epididymides
in
F1
males);
decreased
gestation
index
(
F0
females);
decreased
mating
and
fertility
indices
(
F1
males)
and
increased
clinical
signs
(
F1
pups).
4.
Subchronic
toxicity.
Subchronic
toxicity
studies
conducted
with
flumioxazin
technical
in
the
rat
(
oral
and
dermal),
mouse
and
dog
indicate
a
low
level
of
toxicity.
Effects
observed
at
high
dose
levels
consisted
primarily
of
anemia
and
histological
changes
in
the
spleen,
liver
and
bone
marrow
related
to
the
anemia.
i.
Rats.
A
90
day
subchronic
toxicity
study
was
conducted
in
rats,
with
dietary
intake
levels
of
0,
30,
300,
1,000
and
3,000
ppm
flumioxazin
technical
(
98.4%
purity).
The
no
observed
effectlevel
(
NOEL)
of
300
ppm
was
based
on
decreased
body
weights;
anemia;
increases
in
absolute
and/
or
relative
liver,
kidney,
brain
heart
and
thyroid
weights;
and
histological
changes
in
the
spleen,
liver
and
bone
marrow
related
to
the
anemia.
A
second
90
day
subchronic
toxicity
study
was
conducted
with
a
sample
of
Flumioxazin
Technical
of
typical
purity
(
94.8%)
at
dietary
concentrations
of
0,
30,
300,
1,000
and
3,000
ppm.
The
NOEL
was
30
ppm
based
on
anemia
and
related
hematological
changes;
increases
in
liver,
heart,
kidney
and
thyroid
weights;
and
histological
changes
in
the
spleen,
liver
and
bone
marrow
related
to
the
anemia.
ii.
Mice.
Dose
levels
for
the
mouse
oncogenicity
study
were
selected
on
the
basis
of
results
from
a
4
week
study
of
flumioxazin
in
the
diets
of
mice
at
levels
of
0,
1,000,
3,000
and
10,000
ppm.
In
this
range
finding
study,
increases
in
absolute
and/
or
relative
liver
weights
were
noted
for
males
at
10,000
ppm
and
at
3,000
and
10,000
ppm
for
females.
iii.
Dogs.
A
90
day
study
was
conducted
in
dogs
given
gelatin
capsules
containing
0,
10,
100
or
1,000
mg/
kg/
day.
The
NOEL
of
10
mg/
kg/
day
for
this
study
was
based
on
a
slight
prolongation
of
activated
partial
thromboplastin
time;
increased
total
cholesterol
and
phospholipid
and
elevated
alkaline
phosphatase
activity;
increased
absolute
and
relative
liver
weights;
and
histological
changes
in
the
liver.
iv.
Rats.
A
21
day
dermal
toxicity
study
was
conducted
in
rats
at
dose
levels
of
0,
100,
200
or
1,000
mg/
kg/
day.
The
NOEL
was
determined
to
be
300
mg/
kg/
day
based
on
significantly
decreased
hemoglobin
and
hematocrit
values
for
females.
5.
Chronic
toxicity.
Flumioxazin
technical
has
been
tested
in
chronic
studies
with
dogs,
rats
and
mice.
Valent
proposes
a
chronic
oral
endpoint
of
1.8
mg/
kg
bw/
day,
based
on
the
NOEL
for
male
rats
in
the
two
year
chronic
toxicity
oncogenicity
feeding
study.
i.
Rats.
In
a
2
year
study
in
rats,
flumioxazin
technical
administered
in
the
diet
at
levels
of
0,
50,
500,
and
1,000
ppm
produced
anemia
and
chronic
nephropathy
in
rats
of
the
500
and
1,000
ppm
groups.
The
anemia
lasted
throughout
the
treatment
period,
however,
it
was
not
progressive
nor
aplastic
in
nature.
No
evidence
of
an
oncogenic
effect
was
observed
in
rats
and
the
NOEL
for
this
study
was
50
ppm
(
1.8
mg/
kg/
day
for
males
and
2.2
mg/
kg/
day
for
females).
ii.
Mice.
Flumioxazin
technical
was
administered
to
mice
at
doses
of
0,
300,
3,000,
and
7,000
ppm
in
diet
for
78
weeks.
An
increased
incidence
of
hypertrophy
of
centrilobular
hepatocytes
was
observed
in
males
of
the
3,000
and
7,000
ppm
groups.
Increases
in
the
incidence
of
diffuse
hypertrophy
and
single
cell
necrosis
of
hepatocytes
were
observed
in
females
of
the
3,000
and
7,000
ppm
groups.
There
was
no
evidence
of
any
treatmentrelated
effect
on
the
incidence
of
tumors.
Flumioxazin
technical
was
not
carcinogenic
to
mice,
and
the
NOEL
for
this
study
was
300
ppm
(
31.1
mg/
kg/
day
for
males
and
36.6
mg/
kg/
day
for
females).
iii.
Dogs.
Flumioxazin
technical
was
administered
to
dogs
in
capsules
at
daily
doses
of
0,
10,
100,
and
1,000
mg/
kg
bw/
day
for
1
year.
Treatment
related
changes
in
blood
biochemistry
included
increased
total
cholesterol
and
phospholipid
values,
elevated
alpha
2
globulin
ratio
at
1,000
mg/
kg/
day
and
increased
alkaline
phosphatase
activity
in
the
100
and
1,000
mg/
kg/
day
groups.
The
absolute
and/
or
relative
liver
weights
were
elevated
in
one
animal
in
the
100
mg/
kg/
day
group
and
four
animals
of
the
1,000
mg/
kg/
day
group.
Minimal
treatment
related
histological
changes
were
noted
in
the
livers
of
animals
at
the
1,000
mg/
kg/
day
group.
Based
on
these
data
the
NOEL
was
determined
to
be
10
mg/
kg/
day.
iv.
Carcinogenicity.
Flumioxazin
is
not
a
carcinogen.
Adequately
designed
studies
with
both
rats
and
mice
have
shown
that
repeated
high
dose
exposures
produced
anemia,
liver
effects
and
nephropathy,
but
did
not
produce
cancer
in
test
animals.
No
oncogenic
response
was
observed
in
a
rat
2
year
chronic
feeding/
oncogenicity
study
or
in
a
78
week
study
on
mice.
Valent
anticipates
that
the
oncogenicity
classification
of
flumioxazin
will
be
``
E''
(
no
evidence
of
carcinogenicity
for
humans).
6.
Animal
metabolism.
The
absorption,
tissue
distribution,
metabolism
and
excretion
of
phenyl
14Clabeled
flumioxazin
were
studied
in
rats
after
single
oral
doses
of
1
or
100
mg/
kg,
and
after
a
single
oral
dose
of
1
mg/
kg
following
14
daily
oral
doses
at
1
mg/
kg
of
unlabelled
material.
For
all
dose
groups,
most
(
97.9
102.3%)
of
the
administered
radiolabel
was
excreted
in
the
urine
and
feces
within
7
days
after
radiolabeled
test
material
dosing.
Radiocarbon
tissue
residue
levels
were
generally
low
on
the
seventh
day
postdosing
Radiocarbon
residues
were
higher
in
blood
cells
than
tissues.
Tissue
14C
residue
levels,
including
those
for
fat,
were
lower
than
blood
levels
which
suggests
little
potential
for
bioaccumulation.
Urinary
radiocarbon
excretion
was
greater
in
females
than
males
in
all
dose
groups.
Flumioxazin
was
extensively
metabolized
by
rats
and
35
metabolites
were
detected
and
quantitated.
The
main
metabolic
reactions
in
rats
were
(
1)
hydroxylation
of
the
tetrahydrophthalimide
moiety;
(
2)
incorporation
of
the
sulfonic
acid
group
into
the
tetrahydrophthalimide
moiety;
(
3)
cleavage
of
the
imide
linkage;
(
4)
cleavage
of
the
benzoxazinoneamide
and;(
5)
acetylation
of
the
aniline
nitrogen
group.
7.
Metabolite
toxicology.
Metabolism
studies
of
flumioxazin
in
rats,
goats,
hens,
soybeans,
and
peanuts,
as
well
as
the
fish
bioaccumulation
study
demonstrate
that
the
parent
is
very
rapidly
metabolized
and,
in
animals,
eliminated.
The
metabolites
detected
and
quantified
from
plants
and
animals
show
that
there
are
no
significant
aglycones
in
plants
which
are
not
also
present
in
the
excreta
or
tissues
of
animals.
Because
parent
and
metabolites
are
not
retained
in
the
body,
the
potential
for
acute
toxicity
from
in
situ
formed
metabolites
is
low.
The
potential
for
chronic
toxicity
is
adequately
tested
by
chronic
exposure
to
the
parent
at
the
MTD
and
consequent
chronic
exposure
to
the
internally
formed
metabolites.
8.
Endocrine
disruption.
No
special
studies
to
investigate
the
potential
for
estrogenic
or
other
endocrine
effects
of
flumioxazin
have
been
performed.
However,
as
summarized
above,
a
large
and
detailed
toxicology
database
exists
for
the
compound
including
studies
in
all
required
categories.
These
studies
include
acute,
sub
chronic,
chronic,
developmental,
and
reproductive
toxicology
studies
including
detailed
histology
and
histopathology
of
numerous
tissues,
including
endocrine
organs,
following
repeated
or
long
term
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Notices
exposures.
These
studies
are
considered
capable
of
revealing
endocrine
effects.
The
results
of
all
of
these
studies
show
no
evidence
of
any
endocrine
mediated
effects
and
no
pathology
of
the
endocrine
organs.
Consequently,
it
is
concluded
that
flumioxazin
does
not
possess
estrogenic
or
endocrine
disrupting
properties.
C.
Aggregate
Exposure
1.
Dietary
exposure.
A
full
battery
of
toxicology
testing
including
studies
of
acute,
chronic,
oncogenicity,
developmental,
mutagenicity,
and
reproductive
effects
is
available
for
flumioxazin.
In
these
risk
assessments
Valent
has
chosen
as
the
chronic
oral
toxic
endpoint
the
NOEL
for
males
from
the
rat
chronic/
oncogenicity
feeding
study,
1.8
mg/
kg/
day;
and
as
the
acute
oral
toxic
endpoint
the
NOEL
(
proposed
by
EPA)
from
the
rat
oral
developmental
toxicity
study
of
3.0
mg/
kg/
day.
Because
the
acute
oral
endpoint
is
for
fetal
toxicity
to
rats,
Valent
has
chosen
to
use
the
full,
extra
10X
uncertainty
factor
for
appropriate
sub
groups
of
the
population
as
mandated
by
FQPA.
i.
Food.
a.
Acute
dietary
exposures
to
flumioxazin
residues
were
calculated
for
the
U.
S.
population,
Women
13
years
and
older,
and
five
children
subgroups.
The
calculated
exposure
values
are
very
conservative
because
tolerance
level
residues
and
100%
of
the
crop
treated
are
assumed.
For
refined
sugar
from
sugarcane
and
juice
from
grapes
for
which
processing
is
required,
concentration
factors
were
considered.
The
calculated
exposures
and
margins
of
exposure
(
MOE)
for
the
higher
exposed
proportions
of
the
subgroups
are
listed
below.
In
all
cases,
margins
of
exposure
relative
to
the
acute
endpoint
from
the
rat
oral
developmental
toxicity
study
exceed
1,000.
TIER
I
CALCULATED
ACUTE
DIETARY
EXPOSURES
TO
THE
TOTAL
U.
S.
POPULATION
AND
SELECTED
SUB
POPULATIONS
TO
FLUMIOXAZIN
RESIDUES
IN
FOOD
Population
Subgroup
95th
Percentile
99.9th
Percentile
Exposure
(
mg/
kg/
day)
MOE
Exposure
(
mg/
kg/
day)
MOE
Total
U.
S.
Population
0.000063
47,737
0.000287
10,442
Women
13
Years
and
Older
0.000040
74,350
0.000128
23,527
Children
7
to
12
Years
0.000076
39,620
0.000310
9,675
Children
1
to
6
Years
0.000153
19,583
0.000599
5,008
All
Infants
0.000205
14,608
0.000800
3,750
Non
Nursing
Infants
(<
1
yr
old)
0.000217
13,807
0.000799
3,753
Nursing
Infants
(<
1
yr
old)
0.000106
28,357
0.000283
10,612
b.
Chronic
dietary
exposures
to
flumioxazin
residues
were
calculated
for
the
U.
S.
population
and
25
population
subgroups.
This
modified
Tier
I
analysis
assumes
tolerance
level
residues,
processing
factors
for
grape
and
cane
sugar,
and
100
percent
of
the
crops
treated.
The
results
from
several
representative
subgroups
are
listed
below.
All
calculated
chronic
dietary
exposures
were
below
5%
of
the
c
PAD.
The
c
PAD
was
defined
as
the
NOEL
from
the
rat
oral
two
year
combined
chronic
toxicity
oncogenicity
study
(
1.8
mg/
kg/
day
for
males)
divided
by
the
100X
uncertainty
factor
for
the
adult
exposures
(
0.018
mg/
kg/
day),
or
divided
by
1,000
to
include
the
extra
10X
uncertainty
factor
for
adult
females
of
child
bearing
age
and
infant
and
children
population
subgroups
(
0.0018
mg/
kg/
day).
Generally
speaking,
the
Agency
has
no
cause
for
concern
if
total
residue
contribution
for
published
and
proposed
tolerances
is
less
than
100
percent
of
the
c
PAD.
TIER
I
CALCULATED
CHRONIC
DIETARY
EXPOSURES
TO
THE
TOTAL
U.
S.
POPULATION
AND
SELECTED
SUBPOPULATIONS
TO
FLUMIOXAZIN
RESIDUES
IN
FOOD
Population
Subgroup
Exposure
(
mg/
kg/
day)
Percent
of
c
PAD
Total
U.
S.
Population
(
total)
(
0.018)*
0.000020
0.11
Females
13+
(
nursing)
(
0.0018)*
0.000016
0.89
Females
13+
(
preg./
not
nursing)
(
0.0018)*
0.000015
0.83
Children
7
12
yrs
(
0.018)*
0.000030
0.17
Children
1
6
yrs
(
0.0018)*
0.000052
2.89
All
Infants
(<
1
year)
(
0.0018)*
0.000067
3.72
TIER
I
CALCULATED
CHRONIC
DIETARY
EXPOSURES
TO
THE
TOTAL
U.
S.
POPULATION
AND
SELECTED
SUBPOPULATIONS
TO
FLUMIOXAZIN
RESIDUES
IN
FOOD
Continued
Population
Subgroup
Exposure
(
mg/
kg/
day)
Percent
of
c
PAD
Non
Nursing
Infants
(
0.0018)*
0.000082
4.56
Nursing
Infants
(
0.0018)*
0.000016
0.89
*
c
PAD
value
used
to
calculate
percent
of
occupancy.
ii.
Drinking
water.
Since
flumioxazin
is
applied
outdoors
to
growing
agricultural
crops,
the
potential
exists
for
the
parent
or
its
metabolites
to
reach
ground
or
surface
water
that
may
be
used
for
drinking
water.
Because
of
the
physical
properties
of
flumioxazin,
it
is
unlikely
that
flumioxazin
or
its
metabolites
can
leach
to
potable
groundwater.
To
quantify
potential
exposure
from
drinking
water,
surface
water
concentrations
for
flumioxazin
were
estimated
using
GENEEC
1.2.
Because
KOC
could
not
be
measured
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Notices
directly
in
adsorption
desorption
studies
because
of
chemical
stability,
GEEC
values
representative
of
a
range
of
KOC
values
were
modeled.
The
simulation
that
was
selected
for
these
exposure
estimates
used
an
average
KOC
of
385,
indicating
high
mobility.
The
peak
GEEC
concentration
predicted
in
the
simulated
pond
water
was
9.8
ppb.
Using
standard
assumptions
about
body
weight
and
water
consumption,
the
acute
exposure
from
this
drinking
water
would
be
0.00028
and
0.00098
mg/
kg/
day
for
adults
and
children,
respectively.
The
56
day
GEEC
concentration
predicted
in
the
simulated
pond
water
was
0.34
ppb.
Chronic
exposure
from
this
drinking
water
would
be
0.0000097
and
0.000034
mg/
kg/
day
for
adults
and
children,
respectively;
1.9
percent
of
the
c
PAD
of
0.0018
mg/
kg/
day
for
children.
Based
on
this
worse
case
analysis,
the
contribution
of
drinking
water
to
the
dietary
exposure
is
comparable
to
that
from
food,
but
the
risk
is
still
negligible.
2.
Non
dietary
exposure.
Flumioxazin
is
proposed
only
for
agricultural
uses
and
no
homeowner
or
turf
uses.
Thus,
no
non
dietary
risk
assessment
is
needed.
D.
Cumulative
Effects
Section
408(
b)(
2)(
D)(
v)
requires
that
the
Agency
must
consider
``
available
information''
concerning
the
cumulative
effects
of
a
particular
pesticide's
residues
and
``
other
substances
that
have
a
common
mechanism
of
toxicity.''
Available
information
in
this
context
include
not
only
toxicity,
chemistry,
and
exposure
data,
but
also
scientific
policies
and
methodologies
for
understanding
common
mechanisms
of
toxicity
and
conducting
cumulative
risk
assessments.
For
most
pesticides,
although
the
Agency
has
some
information
in
its
files
that
may
turn
out
to
be
helpful
in
eventually
determining
whether
a
pesticide
shares
a
common
mechanism
of
toxicity
with
any
other
substances,
EPA
does
not
at
this
time
have
the
methodologies
to
resolve
the
complex
scientific
issues
concerning
common
mechanism
of
toxicity
in
a
meaningful
way.
There
are
other
pesticidal
compounds
that
are
structurally
related
to
flumioxazin
and
have
similar
effects
on
animals.
In
consideration
of
potential
cumulative
effects
of
flumioxazin
and
other
substances
that
may
have
a
common
mechanism
of
toxicity,
there
are
currently
no
available
data
or
other
reliable
information
indicating
that
any
toxic
effects
produced
by
flumioxazin
would
be
cumulative
with
those
of
other
chemical
compounds.
Thus,
only
the
potential
risks
of
flumioxazin
have
been
considered
in
this
assessment
of
aggregate
exposure
and
effects.
Valent
will
submit
information
for
EPA
to
consider
concerning
potential
cumulative
effects
of
flumioxazin
consistent
with
the
schedule
established
by
EPA
at
62
FR
42020
(
Aug.
4,
1997)
and
other
subsequent
EPA
publications
pursuant
to
the
Food
Quality
Protection
Act.
E.
Safety
Determination
1.
U.
S.
population
i.
Acute
risk.
The
potential
acute
exposure
from
food
to
the
U.
S.
population
and
various
nonchild
infant
population
subgroups
provide
MOE
values
exceeding
1,000.
Addition
of
the
worse
case,
but
small
``
background''
dietary
exposure
from
water
reduces
the
MOE
value
at
the
99.9th
percentile
from
10,442
to
5,291.
In
a
conservative
policy,
the
Agency
has
no
cause
for
concern
if
total
acute
exposure
to
adults
calculated
for
the
95th
percentile
(
for
the
Tier
I
calculated
acute
dietary
exposure
using
tolerance
level
residues
and
100%
crops
treated)
yields
a
MOE
of
100
or
larger.
For
women
of
child
bearing
age
where
an
MOE
of
1,000
or
larger
is
appropriate,
the
addition
of
water
to
the
diet
of
women,
13
years
and
older,
reduces
the
MOE
(
99.9th
percentile)
from
23,527
to
7,353.
It
can
be
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
overall
U.
S.
Population
and
many
non
child/
infant
subgroups
from
aggregate,
acute
exposure
to
flumioxazin
residues.
ii.
Chronic
risk.
Using
the
dietary
exposure
assessment
procedures
described
above
for
flumioxazin,
calculated
chronic
dietary
exposure
resulting
from
residue
exposure
from
proposed
uses
of
flumioxazin
is
minimal.
The
estimated
chronic
dietary
exposure
from
food
for
the
overall
U.
S.
Population
and
many
non
child/
infant
subgroups
is
0.11
to
0.89%
of
the
appropriate
c
PAD.
Addition
of
the
small
but
worse
case
potential
exposure
from
drinking
water
(
calculated
above)
increases
exposure
by
0.0000097
mg/
kg
/
day
and
the
maximum
occupancy
of
the
c
PAD
from
0.89
to
1.43%
(
women
13
+).
Generally,
the
Agency
has
no
cause
for
concern
if
total
residue
contribution
is
less
than
100%
of
the
appropriate
c
PAD.
It
can
be
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
overall
U.
S.
Population
and
many
non
child/
infant
subgroups
from
aggregate,
chronic
exposure
to
flumioxazin
residues.
2.
Infants
and
children
safety
factor
for
infants
and
children.
In
assessing
the
potential
for
additional
sensitivity
of
infants
and
children
to
residues
of
flumioxazin,
FFDCA
section
408
provides
that
EPA
shall
apply
an
additional
margin
of
safety,
up
to
tenfold
for
added
protection
for
infants
and
children
in
the
case
of
threshold
effects
unless
EPA
determines
that
a
different
margin
of
safety
will
be
safe
for
infants
and
children.
i.
Children.
The
toxicological
database
for
evaluating
pre
and
post
natal
toxicity
for
flumioxazin
is
complete
with
respect
to
current
data
requirements.
Developmental
toxicity
was
observed
by
both
oral
and
dermal
routes
in
rats.
Therefore,
reliable
data
support
use
of
the
standard
100
fold
uncertainty
factor
and
an
additional
uncertainty
factor
of
10X
for
flumioxazin
to
be
further
protective
of
infants
and
children.
ii.
Developmental
toxicity
studies.
Flumioxazin
shows
developmental
toxicity
in
the
absence
of
maternal
toxicity
in
rats.
Mechanistic
studies
demonstrate
that
the
effect
is
specifically
related
to
the
inhibition
of
heme
synthesis,
that
the
effect
shows
considerable
species
specificity,
and
that
the
rat
is
a
conservative
surrogate
species
for
the
potential
for
developmental
toxicity
in
man.
No
developmental
toxicity
was
observed
in
rabbits.
Developmental
toxicity
to
the
pups
was
seen
in
the
rat
reproduction
study
at
doses
that
were
not
toxic
to
the
parental
animals.
a.
Rats.
In
the
definitive
rat
oral
developmental
toxicity
study,
pregnant
rats
were
administered
oral
doses
of
0,
1,
3,
10
or
30
mg/
kg/
day
of
flumioxazin
technical
on
days
6
through
15
of
gestation.
No
maternal
deaths
were
observed
at
any
dosage
and
no
treatment
related
effects
on
clinical
signs
or
food
consumption
were
noted.
A
decrease
in
maternal
body
weight
gain
was
found
at
30
mg/
kg/
day.
The
number
of
live
fetuses
and
fetal
body
weights
were
decreased
in
the
30
mg/
kg/
day
group
and
the
incidence
of
embryo
mortality
tended
to
be
higher
but
was
not
statistically
significant.
No
effects
on
the
number
of
implantations,
sex
ratios,
or
external
abnormalities
were
found.
The
incidence
of
fetuses
with
cardiovascular
abnormalities,
primarily
VSD,
was
increased
in
the
30
mg/
kg/
day
group.
Other
developmental
effects
observed
at
30
mg/
kg/
day
included
an
increase
in
the
incidence
of
wavy
ribs
and
curvature
of
the
scapula,
and
a
decrease
in
the
number
of
ossified
sacrococcygeal
vertebral
bodies.
Based
on
these
findings,
a
maternal
NOEL
of
30
mg/
kg/
day
and
a
developmental
NOEL
of
3
mg/
kg/
day
are
proposed.
On
days
6
15
of
gestation,
pregnant
rats
were
exposed
dermally
to
dose
levels
of
30,
100,
or
300
mg/
kg/
day
of
flumioxazin
technical
in
corn
oil.
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/
Notices
adverse
effects
were
observed
in
the
dams
throughout
the
study.
Increased
fetal
mortality
was
accompanied
by
decreases
in
the
number
of
live
fetuses
and
fetal
body
weights
at
doses
of
300
mg/
kg/
day.
No
external
abnormalities
were
observed
at
any
dose
level.
An
increase
in
cardiovascular
abnormalities,
primarily
VSD,
an
increase
in
wavy
ribs
and
a
decrease
in
the
number
of
ossified
sacrococcygeal
vertebral
bodies
was
observed
at
300
mg/
kg/
day.
Based
on
these
results,
a
maternal
NOEL
of
300
mg/
kg/
day
and
a
developmental
NOEL
of
30
mg/
kg/
day
are
proposed.
To
measure
the
dermal
penetration
of
flumioxazin
under
the
conditions
of
the
dermal
teratology
study,
13
day
pregnant
rats
were
dermally
exposed
to
[
phenyl
14C]
flumioxazin.
The
systemic
absorption
ranged
from
3.8%
at
2
hours
to
6.9%
of
the
recovered
14C
at
48
hours.
b.
Mechanistic
studies.
A
series
of
scientific
studies
were
conducted
to
examine
the
mechanism
and
species
differences
in
the
production
of
developmental
toxicity
by
flumioxazin.
This
research
demonstrates
clear
species
differences
between
rats,
rabbits,
mice,
and
(
in
vitro)
humans
and
indicates
a
high
degree
of
correlation
between
the
interruption
of
heme
synthesis
and
the
production
of
developmental
toxicity
in
rats.
The
data
support
that
the
rat
is
a
conservative
model
for
use
in
the
risk
assessment
for
humans.
Specifically
the
studies
demonstrate
that:
Flumioxazin
interferes
with
normal
heme
biosynthesis
resulting
in
sidroblastic
anemia
and
porphyria
in
adult
rats.
14C
Flumioxazin
administered
to
pregnant
rats
on
day
12
of
gestation
crosses
the
placenta
and
reaches
the
rat
fetus
at
maximum
levels
of
radiocarbon
(
and
flumioxazin),
4
hours
later.
No
clear
pattern
of
adsorption,
distribution,
metabolism,
or
excretion
was
evident
which
could
account
for
the
species
specific
development
toxicity
in
rats.
The
critical
period
of
sensitivity
to
the
developmental
effects
of
flumioxazin
in
rats
is
day
12
of
gestation.
This
correlates
with
the
peak
period
of
protoporphyrin
IX
(
PPIX)
accumulation
in
maternal
rat
liver
and
the
rat
fetus.
A
histological
examination
of
rat
fetus
indicated
signs
of
fetal
anemia
within
6
hours
after
dosing,
but
no
histological
changes
in
the
fetal
rat
heart
were
observed
until
36
or
48
hour
after
treatment.
No
effects
were
observed
in
rabbit
fetus
treated
in
the
same
manner
as
the
rats.
Other
observations
in
the
pathogenesis
of
the
developmental
effects
of
flumioxazin
in
rat
fetuses
included:
enlarged
heart,
edema,
anemia
(
decreased
red
blood
cell
count
and
hemoglobin),
delayed
closure
of
the
interventricular
foramen,
reduced
serum
protein
and
incomplete/
delayed
ossification
of
the
ribs.
The
observation
of
enlarged
heart,
edema
and
anemia
preceding
the
occurrence
of
fetal
mortality
suggest
these
effects
may
be
instrumental
in
the
cause
of
fetal
deaths.
The
occurrence
of
an
enlarged
heart
preceding
the
failure
of
interventricular
foramen
closure
could
be
related
to
the
pathogenesis
rather
than
a
direct
toxic
effect
of
flumioxazin
on
cardiac
tissue.
A
strong
correlation
exists
between
PPIX
accumulation,
an
indicator
of
disrupted
heme
synthesis,
and
developmental
toxicity.
Evidence
of
this
correlation
exists
on
the
basis
of
species
differences
between
rats
and
rabbits;
the
critical
period
of
sensitivity
in
the
rat;
and
compound
specific
differences
with
two
chemicals
structurally
related
to
flumioxazin,
one
which
produces
developmental
effects
in
rats
and
one
which
does
not.
c.
Rabbits.
Pregnant
rabbits
were
administered
0,
300,
1,000,
or
3,000
mg/
kg/
day
of
flumioxazin
technical
on
days
7
19
of
gestation
by
oral
gavage.
The
highest
dose
was
well
in
excess
of
the
1,000
mg/
kg/
day
limit
dose
for
developmental
toxicity
studies.
The
3,000
mg/
kg/
day
dosage
tended
to
reduce
maternal
body
weight
gains
and
relative
and
absolute
feed
consumption
values.
No
gross
lesions
were
produced
at
any
dose
level.
The
3,000
mg/
kg/
day
dosage
group
litters
tended
to
have
reduced
fetal
body
weights
but
these
differences
were
not
statistically
different.
No
fetal
external,
soft
tissue,
or
skeletal
malformations
or
variants
were
attributable
to
the
test
substance.
Based
on
these
data,
the
maternal
NOEL
was
1,000
mg/
kg/
day
and
the
developmental
NOEL
was
3,000
mg/
kg/
day.
iii.
Reproductive
toxicity
study.
In
the
two
generation
reproduction
study
in
the
rat
dietary
levels
of
0,
50,
100,
200
and
300
ppm
established
a
systemic
NOEL
of
200
ppm
based
on
increased
clinical
signs
(
both
sexes
and
generations);
mortality,
gross
and
histopathology
findings
in
the
liver
(
F1
females);
decreased
body
weight/
weight
gain
(
F0
and
F1
females
during
gestation,
F1
males
during
premating)
and
decreased
food
consumption
(
F0
and
F1
females
during
lactation).
The
reproductive
NOEL
of
100
ppm
was
mainly
based
on
developmental
toxicity
at
200
ppm.
Observed
at
200
ppm
were
a
decreased
number
of
live
born
pups
and
reduced
pup
body
weights.
At
300
ppm
the
following
effects
were
observed:
decreased
pup
body
weight
(
both
generations);
decreased
number
of
live
pups/
litter
and
viability
index
(
both
generations);
increased
incidence
of
abnormalities
of
the
reproductive
organs
(
predominately
atrophied
or
hypoplastic
testes
and/
or
epididymides
in
F1
males);
decreased
gestation
index
(
F0
females);
decreased
mating
and
fertility
indices
(
F1
males)
and
increased
clinical
signs
(
F1
pups).
iv.
Prenatal
and
postnatal
sensitivity.
Flumioxazin
interferes
with
normal
heme
biosynthesis
resulting
in
sidroblastic
anemia
and
porphyria
in
adult
rats.
Clear
species
differences
between
rats,
rabbits,
mice,
and
(
in
vitro)
humans
were
demonstrated.
There
is
a
high
degree
of
correlation
between
the
interruption
of
heme
synthesis,
consequent
PPIX
accumulation,
and
the
production
of
developmental
toxicity
in
rats.
The
data
support
that
the
rat
is
a
conservative
model
for
use
in
the
risk
assessment
for
humans.
v.
Acute
exposure
and
risk.
The
potential
acute
exposure
from
food
to
the
various
child
and
infant
population
subgroups
all
provide
MOE
values
exceeding
1,000.
Addition
of
the
worse
case,
but
small
``
background''
dietary
exposure
from
water
(
0.00098
mg/
kg/
day)
to
the
99.9th
percentile
food
exposure
for
infants
reduces
the
MOE
value
from
3,753
to
1,686.
In
a
conservative
policy
with
the
addition
of
the
FQPA
extra
10X
uncertainty
factor,
the
Agency
has
no
cause
for
concern
if
total
acute
exposure
to
infants
and
children
calculated
for
the
95th
percentile
for
the
Tier
I
acute
dietary
exposure
yields
a
MOE
of
1,000
or
larger.
It
can
be
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate,
acute
exposure
to
flumioxazin
residues.
vi.
Chronic
exposure
and
risk.
Using
the
conservative
exposure
assumptions
described
above,
the
percentage
of
the
c
PAD
that
will
be
utilized
by
dietary
(
food
only)
exposure
to
residues
of
flumioxazin
ranges
from
0.17%
for
children
7
12
years,
to
4.6%
for
Non
Nursing
Infants.
Adding
the
worse
case
potential
incremental
exposure
to
infants
and
children
from
flumioxazin
in
drinking
water
(
0.000034
mg/
kg/
day)
increases
the
aggregate,
chronic
dietary
exposure
by
1.9%.
The
addition
of
the
exposure
attributable
to
drinking
water
increases
the
occupancy
of
the
c
PAD
for
Non
Nursing
Infants
to
6.44%.
EPA
generally
has
no
concern
for
exposures
below
100%
of
the
c
PAD
because
the
c
PAD,
in
this
case
including
the
extra
10X
FQPA
uncertainty
factor,
represents
the
level
at
or
below
which
daily
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/
Notices
aggregate
dietary
exposure
over
a
lifetime
will
not
pose
appreciable
risks
to
human
health.
It
can
be
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
infants
and
children
from
aggregate,
chronic
exposure
to
flumioxazin
residues.
vii.
Determination
of
safety
Summary.
Aggregate
acute
or
chronic
dietary
exposure
to
various
subpopulations
of
children
and
adults
demonstrate
acceptable
risk.
Chronic
dietary
exposures
to
flumioxazin
occupy
considerably
less
than
100%
of
the
appropriate
c
PAD,
and
all
acute
dietary
MOE
values
exceed
1,000.
Chronic
and
acute
dietary
risk
to
children
from
flumioxazin
should
not
be
of
concern.
Further,
flumioxazin
has
only
agricultural
uses
and
no
other
uses,
such
as
indoor
pest
control,
homeowner
or
turf,
that
could
lead
to
unique,
enhanced
exposures
to
vulnerable
subgroups
of
the
population.
It
can
be
concluded
that
there
is
a
reasonable
certainty
that
no
harm
will
result
to
the
U.
S.
Population
or
to
any
sub
group
of
the
U.
S.
population,
including
infants
and
children,
from
aggregate
chronic
or
aggregate
acute
exposures
to
flumioxazin
residues
resulting
from
proposed
uses.
F.
International
Tolerances
Flumioxazin
has
not
been
evaluated
by
the
World
Health
Organization,
Joint
Meeting
on
Pesticide
Residues
(
JMPR)
and
there
are
no
Codex
Maximum
Residue
Limits
(
MRL)
for
flumioxazin.
MRL
values
have
been
established
to
allow
the
following
uses
of
flumioxazin
in
the
following
countries.
Country
Crop
MRL
(
ppm)
Brazil
Soybean
0.05
Argentina
Soybean
Sunflower
0.015
0.02
Paraguay
Soybean
0.015
South
Africa
Soybean
Groundnut
0.02
0.02
[
FR
Doc.
02
32990
Filed
12
30
02;
8:
45
am]
BILLING
CODE
6560
50
S
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPPT
2002
0077;
FRL
7286
8]
Certain
New
Chemicals;
Receipt
and
Status
Information
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
Section
5
of
the
Toxic
Substances
Control
Act
(
TSCA)
requires
any
person
who
intends
to
manufacture
(
defined
by
statute
to
include
import)
a
new
chemical
(
i.
e.,
a
chemical
not
on
the
TSCA
Inventory)
to
notify
EPA
and
comply
with
the
statutory
provisions
pertaining
to
the
manufacture
of
new
chemicals.
Under
sections
5(
d)(
2)
and
5(
d)(
3)
of
TSCA,
EPA
is
required
to
publish
a
notice
of
receipt
of
a
premanufacture
notice
(
PMN)
or
an
application
for
a
test
marketing
exemption
(
TME),
and
to
publish
periodic
status
reports
on
the
chemicals
under
review
and
the
receipt
of
notices
of
commencement
to
manufacture
those
chemicals.
This
status
report,
which
covers
the
period
from
November
20,
2002
to
December
10,
2002,
consists
of
the
PMNs
pending
or
expired,
and
the
notices
of
commencement
to
manufacture
a
new
chemical
that
the
Agency
has
received
under
TSCA
section
5
during
this
time
period.
DATES:
Comments
identified
by
the
docket
ID
number
OPPT
2002
0077
and
the
specific
PMN
number
or
TME
number,
must
be
received
on
or
before
January
30,
2003.
ADDRESSES:
Comments
may
be
submitted
electronically,
by
mail,
or
through
hand
delivery/
courier.
Follow
the
detailed
instructions
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION.
FOR
FURTHER
INFORMATION
CONTACT:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division,
Office
of
Pollution
Prevention
and
Toxics
(
7408M),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460
0001;
telephone
number:
(
202)
554
1404;
e
mail
address:
TSCAHotline
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
As
such,
the
Agency
has
not
attempted
to
describe
the
specific
entities
that
this
action
may
apply
to.
Although
others
may
be
affected,
this
action
applies
directly
to
the
submitter
of
the
premanufacture
notices
addressed
in
the
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Copies
of
This
Document
and
Other
Related
Information?
1.
Docket.
EPA
has
established
an
official
public
docket
for
this
action
under
docket
identification
(
ID)
number
OPPT
2002
0077.
The
official
public
docket
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received,
and
other
information
related
to
this
action.
Although
a
part
of
the
official
docket,
the
public
docket
does
not
include
Confidential
Business
Information
(
CBI)
or
other
information
whose
disclosure
is
restricted
by
statute.
The
official
public
docket
is
the
collection
of
materials
that
is
available
for
public
viewing
at
the
EPA
Docket
Center,
Rm.
B102
Reading
Room,
EPA
West,
1301
Constitution
Ave.,
NW.,
Washington,
DC.
The
EPA
Docket
Center
is
open
from
8:
30
a.
m.
to
4:
30
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
EPA
Docket
Center
Reading
Room
telephone
number
is
(
202)
566
1744
and
the
telephone
number
for
the
OPPT
Docket,
which
is
located
in
EPA
Docket
Center,
is
(
202)
566
0280.
2.
Electronic
access.
You
may
access
this
Federal
Register
document
electronically
through
the
EPA
Internet
under
the
``
Federal
Register''
listings
at
http://
www.
epa.
gov/
fedrgstr/.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets.
You
may
use
EPA
Dockets
at
http://
www.
epa.
gov/
edocket/
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
official
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Although
not
all
docket
materials
may
be
available
electronically,
you
may
still
access
any
of
the
publicly
available
docket
materials
through
the
docket
facility
identified
in
Unit
I.
B.
1.
Once
in
the
system,
select
``
search,''
then
key
in
the
appropriate
docket
ID
number.
Certain
types
of
information
will
not
be
placed
in
the
EPA
Dockets.
Information
claimed
as
CBI
and
other
information
whose
disclosure
is
restricted
by
statute,
which
is
not
included
in
the
official
public
docket,
will
not
be
available
for
public
viewing
in
EPA's
electronic
public
docket.
EPA's
policy
is
that
copyrighted
material
will
not
be
placed
in
EPA's
electronic
public
docket
but
will
be
available
only
in
printed,
paper
form
in
the
official
public
docket.
To
the
extent
feasible,
publicly
available
docket
materials
will
be
made
available
in
EPA's
electronic
public
docket.
When
a
document
is
selected
from
the
index
list
in
EPA
Dockets,
the
VerDate
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| epa | 2024-06-07T20:31:45.544327 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPP-2002-0349-0001/content.txt"
} |
EPA-HQ-OPPT-2002-0002-0001 | Notice | 2002-04-16T04:00:00 | TSCA Section 8(c) Health and Safety Data Reporting Rule; Request for Comment on
Renewal of Information Collection Activities | epa | 2024-06-07T20:31:45.555421 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0002-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0002-0002 | Notice | 2002-05-15T04:00:00 | TSCA Section 8(c) Health and Safety Data Reporting Rule; Request for Comment on
Renewal of Information Collection Activities; Extension of Comment Period | epa | 2024-06-07T20:31:45.556312 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0002-0002/content.txt"
} |
|
EPA-HQ-OPPT-2002-0002-0006 | Supporting & Related Material | 2002-09-12T04:00:00 | null | Supporting
Statement
for
a
Request
for
OMB
Review
under
The
Paperwork
Reduction
Act
1
IDENTIFICATION
OF
THE
INFORMATION
COLLECTION
1(
a)
Title
and
Number
of
the
Information
Collection
Title:
TSCA
Section
8(
c)
Health
and
Safety
Data
Reporting
Rule
EPA
ICR
No.:
1031.07
OMB
Control
No.:
2070
0017
1(
b)
Short
Characterization
Section
8(
c)
of
TSCA,
15
U.
S.
C.
2607(
c),
P.
L.
94
469
(see
Attachment
1),
requires
that
"any
person
who
manufactures,
processes,
or
distributes
in
commerce
any
chemical
substance
or
mixture"
must
keep
"records
of
significant
adverse
reasons
to
health
or
the
environment,
as
determined
by
the
Administrator
by
rule,
alleged
to
have
been
caused
by
the
substance
or
mixture."
EPA
promulgated
40
CFR
717,
"Allegations
that
Chemical
Substances
Cause
Significant
Adverse
Reactions
to
Health
or
the
Environment;
Subpart
A
Recordkeeping
and
Reporting,"
on
August
22,
1983
(48
FR
38178)
(see
Attachment
2).
This
rule
became
effective
on
November
21,
1983.
The
rule
requires
manufacturers
and
processors
of
chemical
substances
and
mixtures
to
keep
records
of
"significant
adverse
reactions"
alleged
to
have
been
caused
bysuch
substances
or
mixtures.
The
rule
also
prescribes
the
conditions
under
which
a
firm
must
submit
or
make
the
records
available
to
a
duly
designated
representative
of
the
Administrator.
TSCA
section
8(
c)
requires
that
allegations
of
adverse
reactions
to
the
health
of
employees
be
kept
for
thirty
years,
and
all
other
allegations
be
kept
for
five
years.
2
NEED
FOR
AND
USE
OF
THE
COLLECTION
2(
a)
Need/
Authority
for
the
Collection
TSCA
section
8(
c)
requires
any
person
who
manufactures,
processes,
or
distributes
in
commerce
any
chemical
substance
or
mixture
to
maintain
records
of
significant
adverse
reactions
to
health
or
the
environment,
as
determined
by
the
Administrator
by
rule,
alleged
to
have
been
caused
by
the
substance
or
mixture.
Since
the
rule
contains
no
automatic
reporting
provision,
the
only
way
EPA
can
obtain
and
use
t
he
information
contained
in
company
files
is
to
either
inspect
the
files
or
require
reporting
of
records
that
relate
to
specific
substances
of
concern.
40
CFR
717.17
contains
such
authority
to
inspect
and
require
such
reporting.
EPA
will
review
relevant
TSCA
section
8(
c)
records
in
connection
with
its
existing
chemical
assessment
activities.
2
All
studies
submitted
to
EPAwill
be
verified
and
the
contents
of
the
submissions
recorded
and
inspected
for
the
inclusion
of
confidential
business
information.
Photocopies
of
the
documents
will
then
be
prepared
and
distributed,
based
on
the
associated
chemical
identity,
to
program
offices
at
EPA
and/
or
to
other
federal
agencies
for
scientific
analysis.
A
coding
form
will
be
completed
to
capture
certain
descriptive
information
such
as
identity,
document
control
number,
confidentiality
indicator,
document
title,
document
date,
receipt
date
and
chemical
identity.
The
document
will
be
microfiched
and
stored
for
archival
purposes.
2(
b)
Use/
Users
of
the
Data
Information
contained
in
the
TSCA
section
8(
c)
allegation
reports
will
have
several
uses.
The
information
collected
will
be
used
on
a
case
specific
basis
to
corroborate
suspected
adverse
health
or
environmental
effects
of
a
chemical
substance
or
mixture
already
under
assessment
by
OPPT.
Most
of
these
substances
will
be
"existing"
chemicals,
e.
g.,
chemicals
for
test
rule
consideration,
substances
that
are
the
subject
of
a
section
8(
e)
notice
of
substantial
risk,
or
substances
or
mixtures
brought
to
the
attention
of
OPPT
by
other
EPA
programs,
other
government
agencies,
industry,
or
the
public.
However,
TSCA
section
8(
c)
reports
also
may
be
required
on
"new"
chemicals
as
one
means
of
monitoring
for
any
suspected
or
potential
hazards
identified
during
the
premanufacture
notification
(PMN)
review
period.
By
using
TSCA
section
8(
c)
's
reporting
authority,
EPA
can
examine
such
records
whenever
a
chemical
is
discovered
to
present
possible
risks
to
human
health
or
the
environment.
On
a
case
specific
basis,
requiring
reporting
of
TSCA
section
8(
c)
records
will
also
serve
as
a
discovery
function.
It
will
help
identify
trends
of
adverse
affects
across
the
industry
that
may
not
be
apparent
to
any
one
company.
It
will
also
serve
as
a
long
term
trend
identification
function
because
of
the
30
year
recordkeeping
feature
of
the
statute.
As
the
recordkeeping
and
reporting
provisions
of
section
8(
c)
are
of
central
importance
in
the
administration
of
section
8
of
TSCA,
EPA
would
not
be
able
t
o
meet
it
s
obligation
under
TSCA
without
having
the
capability
to
carry
them
out.
3
NON
DUPLICATION,
CONSULTATIONS
ANDOTHERCOLLECTIONCRITERIA
3(
a)
Non
Duplication
Information
recorded
and
reported
is
kept
specifically
for
compliance
with
the
TSCAsection
8(
c)
rule.
There
are
no
other
EPA
programs
or
other
agencies/
departments
that
would
have
this
specific
information
nor
does
any
other
program
have
direct
authority
to
access
such
information.
3
3(
b)
Public
Notice
Required
Prior
to
ICR
Submission
to
OMB
In
proposing
to
renew
this
ICR,
EPA
provided
a
60
day
public
notice
and
comment
period
that
ended
on
June
17,
2002
(67
FR
18604,
April
16,
2002;
and
67
FR
34705,
May
15,
2002).
EPA
received
one
comment
during
the
comment
period,
from
the
American
Chemistry
Council.
EPA
addresses
the
comment
and
EPA's
response
to
it
in
an
attachment
to
this
ICR;
see
Attachment
3.
3(
c)
Consultations
Prior
to
proposing
the
TSCA
section
8(
c)
rule,
EPA
held
information
meetings
with
the
following
groups:
"
Oil,
Chemical,
and
Atomic
Workers
Union
"
AFL/
CIO
"
Environmental
Defense
Fund
"
American
Textile
Manufacturing
Association
"
Chemical
Manufacturers
Association
"
Chemical
Specialty
Manufacturers
Association
"
Rubber
Manufacturers
Association
"
National
Congress
of
Petroleum
Retailers
"
National
Association
of
Chain
Drugstores
During
the
public
comment
period,
EPA
received
160
comments
from
a
wide
variety
of
groups
including
the
Chemical
Manufacturers
Association,
American
Petroleum
Institute,
chemical
manufacturers
and
processors,
chemical
industry
representatives,
and
environmental
and
labor
organizations.
In
addition,
EPA
held
public
meetings
on
the
proposed
rule
in
Washington,
D.
C.,
Newark,
New
Jersey,
and
Houston,
Texas.
In
promulgating
the
final
TSCA
section
8(
c)
rule,
EPA
contacted
Allied
Chemical,
American
Cyanamid,
Monsanto,
Proctor
and
Gamble,
Stauffer
Chemical,
and
Union
Carbide
to
obtain
industry
estimates
on
the
number
of
expected
allegations
and
company
indirect
costs.
In
addition,
the
TSCA
section
8(
c)
final
rule
concept
was
reviewed
by
the
Administrator's
Toxic
Substance
Advisory
Committee,
which
is
composed
of
representatives
of
business
and
environmental
groups.
Since
promulgation,
provisions
of
the
final
rule
have
been
thoroughly
discussed
in
briefings
with
representatives
of
the
chemical
industry.
Also,
certain
aspects
of
the
rule
were
subsequently
modified
based
upon
recommendations
by
members
of
the
industry
and
after
full
consideration
of
comments
from
representatives
of
both
industry
and
environmental
groups.
OPPT
has
provided
continuing
interpretive
guidance
to
interested
parties
whenever
the
need
has
arisen.
In
July
of
1986,
OPPT
conducted
a
seminar
for
industry
representatives
on
TSCA
that
included
information
exchange
regarding
TSCA
section
8(
c).
Another
such
industry
seminar
was
conducted
in
1990.
4
3(
d)
Effects
of
Less
Frequent
Collection
Currently,
EPA
uses
its
authority
to
collect
information
pursuant
to
the
TSCA
section
8(
c)
rule
sparingly.
It
would
be
irresponsible
and
contrary
to
the
intent
of
TSCA
to
arbitrarily
limit
the
number
of
collections
available
to
EPAunder
TSCAsection
8(
c).
Currently,
EPAanticipates
issuing
infrequent
requests
(<
2/
year)
for
TSCA
section
8(
c)
reporting.
However,
reporting
requests
may
occur
more
frequentlybecause
individualrulemakings
containing
such
TSCAsection8(
c)
notices
may
be
clustered
in
the
same
year.
If
EPA
were
limited
to
only
two
such
rules
or
act
ions
per
year,
it
would
prevent
the
agency
from
exercising
its
responsibility
under
the
law.
In
addition,
chemical
disasters
such
as
the
Bhopal
incident
are
obviously
unpredictable.
OPPT
must
reserve
the
capability
to
require
records
submission
on
an
as
needed
basis
in
order
to
gather
relevant
information
related
to
such
matters.
TSCA
section
8(
c)
allegation
records
are
part
of
such
related
information.
3(
e)
General
Guidelines
The
record
retention
provisions
of
TSCA
section
8(
c)
and
40
CFR
part
717
exceed
the
Paperwork
Reduction
Guidelines
(5
CFR1320.6)
inthat
theyrequire
respondents
to
maintain
records
other
than
health,
medical,
or
tax
records,
for
more
than
three
years.
TSCA
section
8(
c)
authorizes
EPA
to
require
persons
(i.
e.,
manufacturers,
processors,
or
distributors)
to
maintain
records
of
adverse
reactions
to
the
health
of
employees
for
a
period
of
30
years
from
the
date
such
reactions
were
first
reported
or
known
to
the
person
maintaining
the
record.
Any
other
record
of
such
adverse
reactions
(e.
g.,
to
the
environment,
non
employees)
is
required
to
be
retained
for
a
period
of
5
years.
40
CFR
part
717
incorporates
these
record
retention
provisions
authorized
by
TSCA.
3(
f)
Confidentiality
Respondents
may
assert
a
claim
of
business
confidentiality
with
respect
to
all
or
part
of
an
allegation
submission.
Such
submissions
will
be
handled
in
accordance
with
the
provisions
at
40
CFR
art
2.
3(
g)
Sensitive
Questions
This
section
is
not
applicable.
The
information
does
not
include
information
of
a
sensitive
nature.
4
THE
RESPONDENTS
AND
THE
INFORMATION
REQUESTED
4(
a)
Respondent
NAICS
Codes
Respondents
affected
bythis
collection
activityare
mainlyNAICS
categories
325
Chemicals
and
Allied
Products
Manufacturers
and
32411
Petroleum
Refining.
5
4(
b)
Information
Requested
(i)
Data
Items
Records
maintained
pursuant
to
40
CFR
Part
717
must
consist
of
the
following:
a.
The
original
allegation
as
received.
b.
An
abstract
of
the
allegation
and
other
pertinent
information
as
follows:
1.
The
name
and
address
of
the
plant
site
that
received
the
allegation.
2.
The
date
the
allegation
was
received
at
that
site.
3.
The
implicated
substance,
mixture,
article,
company
process
or
operation,
or
site
discharge.
4.
A
description
of
the
alleger
(e.
g.,
employee,
neighbor),
including
age
and
sex,
if
ascertainable.
5.
A
description
of
the
alleged
health
effects,
including
explanation
of
how
the
effects
became
known
and
the
route
of
exposure,
if
explained
in
the
allegation.
c.
The
results
of
any
self
initiated
investigation
with
respect
to
an
allegation.
(EPA
does
not
require
such
investigation.)
d.
Copies
of
any
further
required
records
relating
to
the
allegation
(e.
g.,
record
required
under
OSHA).
Each
person
who
is
required
to
keep
records
under
this
part
must
submit
copies
of
those
records
to
EPA
as
required
by
the
Administrator
or
appropriate
designee.
EPA
will
notify
those
responsible
for
reporting
by
letter
or
will
announce
any
such
requirements
by
notice
in
the
Federal
Register.
(ii)
Respondent
Activities
Respondents
must
do
two
things:
(1)
maintain
records
of
significant
adverse
reactions,
and
(2)
submit
copies
of
these
allegation
records
when
required
by
EPA.
Persons
subject
to
the
rule
must
record
significant
reactions
alleged
to
have
been
caused
by
substances
or
mixtures
that
they
manufacture,
import,
or
process.
These
firms
must
establish
a
recordkeeping
systemfor
such
allegations
and
monitor
incoming
complaints
to
determine
if
theymeet
the
criteria
for
filing.
Allegations
that
are
filed
must
be
retained
for
30
years
if
they
are
employee
related
and
for
5
years
for
all
other
types/
sources
of
allegations.
Firms
subject
to
the
rule
must
keep
their
TSCAsection
8(
c)
records
at
company
headquarters
or
at
a
site
central
to
their
chemical
operations.
A
multi
site
company
will
usually
require
the
responsible
official
at
the
individual
plant
site
to
forward
potentially
recordable
TSCA
section
8(
c)
allegations
to
a
designated
TSCA
coordinator
at
their
operations
headquarters.
Depending
on
the
6
size
of
the
company,
such
allegations
will
be
reviewed
by
a
committee
to
determine
if
the
allegations
relate
to
the
company's
product,
operations,
or
discharges.
If
so,
the
effects
cited
in
the
allegation
are
compared
against
the
rule's
definition
and
examples
of
"significant
adverse
reaction."
If
the
allegation
meets
this
test,
it
is
recorded.
The
actual
allegation
record
is
to
be
comprised
of
an
abstract
of
the
allegation
along
with
a
record
of
any
company
initiated
investigation
and
other
pertinent
documents.
The
rule
does
not
require
further
investigation.
EPA
requires
that
allegations
be
filed
so
that
they
may
be
readily
retrievable
by
"cause"
of
the
reaction.
EPA
does
not,
however,
require
a
specific
form
under
this
rule.
Firms
subject
to
this
rule
must
maintain
an
awareness
of
their
reporting
requirements.
A
reporting
requirement
will
t
ake
the
form
of
a
letter
directed
to
selected
respondents
or
it
will
be
a
notice
in
the
Federal
Register.
Respondents
are
responsible
for
monitoring
the
Federal
Register
for
such
notices.
Whenever
feasible,
EPAwill
also
notify
those
companies
that
can
be
identified
with
the
production
or
processing
of
a
substance
or
mixture
in
question.
Respondents
must
then
determine
if
they
manufacture
or
process
the
chemical
substance
or
mixture.
If
so,
they
must
conduct
a
search
of
their
TSCA
section
8(
c)
files
to
determine
if
there
are
any
relevant
records
of
significant
adverse
reactions
alleged
to
have
been
caused
by
the
substance
or
mixture.
If
such
records
are
present,
they
must
make
a
photocopy
of
the
abstract
of
the
records
and
mail
it
with
a
cover
letter
to
EPA.
The
company
will
note
that
they
have
submitted
such
records
to
EPA
so
that
future
duplicative
reporting
will
not
occur.
5
THE
INFORMATION
COLLECTED
AGENCY
ACTIVITIES,
COLLECTION
METHODOLOGY,
AND
INFORMATION
MANAGEMENT
5(
a)
Agency
Activities
OPPT
is
the
primary
user
of
the
information
gathered
under
the
authority
of
this
rule.
In
addition,
information
may
be
gathered
for
other
EPA
programoffices/
regions,
and
other
Federal
or
state
health
or
environmental
agencies.
EPA
personnel
involved
in
monitoring
recordkeeping,
initiating
report
ing
requests,
and
reviewing
responses
will
be
staff
of
the
Chemical
Information
and
Testing
Branch
(CITB)
of
the
Chemical
Control
Division
(CCD),
the
Director
of
CCD
and
the
Director
of
the
Office
of
Pollution
Prevention
and
Toxics
(OPPT).
(For
more
information
about
the
Chemical
Testing
Program,
go
to:
http://
www.
epa.
gov/
opptintr/
chemtest/
index.
htm.)
As
OPPT
receives
submissions,
they
will
be
logged
in
and
reviewed
for
confidentiality
considerat
ions.
Copies
of
submissions
will
be
made
available
to
offices
within
OPPT
that
are
assessing
the
substances
of
concern.
Non
confidential
versions
of
the
submissions
will
be
placed
in
a
public
docket
and
will
be
available
for
review
by
other
government
agencies
and
the
public.
7
5(
b)
Collection
Methodology
and
Management
EPA
has
not
been
able
to
identify
a
more
efficient,
less
expensive
or
more
flexible
means
of
obtaining
the
required
data.
There
is
no
new
technology
applicable
to
the
collection
of
this
information
that
would
minimize
the
collection
burden.
Any
reporting
requirements
will
have
a
minimum
reporting
schedule
of
forty
five
days
as
outlined
in
the
regulation.
Neither
the
rule
nor
EPA
requires
the
use
of
any
particular
methodology
or
technology
for
the
retention
or
transmittal
of
TSCA
section
8(
c)
records.
To
aid
persons
subject
to
this
information
collection,
OPPT
has
set
up
a
TSCA
Hotline
that
provides
information
regarding
TSCAsection
8(
c)
reporting
as
well
as
other
regulatory
information.
When
Hotline
staff
are
unable
to
answer
questions
regarding
TSCA
section
8(
c),
the
questions
are
referred
to
OPPT/
CCD
staff
for
appropriate
resolution.
5(
c)
Small
Entity
Flexibility
Unlike
section
8(
a)
of
TSCA,
Congress
did
not
include
a
specific
exemption
of
small
businesses
in
TSCA
section
8(
c).
This
rule
does
not
exempt
small
manufacturers
or
processors
of
chemicals
from
its
provisions.
This
is
due
to
EPA's
belief
that
workers,
plant
neighbors
and
consumers
may
be
adversely
affected
by
products,
emissions,
etc.,
produced
or
created
by
firms
of
all
sizes.
However,
the
TSCA
section
8(
c)
rule
was
written
to
concentrate
the
recordkeeping
and
reporting
burdens
on
those
firms
generally
associated
with
the
mainstream
chemical
industry.
EPA
specifically
eliminated
most
distributors
and
effectively
limits
the
number
of
processors
subject
to
the
rule.
By
doing
so,
EPA
has
eliminated
a
large
number
of
small
businesses
from
the
purview
of
the
rule
without
compromising
its
objectives.
5(
d)
Collection
Schedule
If
EPA
publishes
a
reporting
requirement
relating
to
a
chemical
substance
or
mixture,
or
requests
reporting
by
letter,
then
manufacturers
and
processors
of
such
substance
or
mixture
must
submit
a
copy
of
relevant
allegation
records
in
their
files.
TSCA
section
8(
c)
reporting
requirements
will
be
developed
on
an
as
needed
basis
and
will
require
only
the
submission
of
an
abstract
of
the
allegation
record,
which
is
generally
one
page
in
length,
not
the
full
allegation
file.
1
USEPA.
Comparison
of
Data
Sources
for
Characterizing
Manufacturers
and
Processors,
Draft
Report,
Prepared
by
Centaur
Associates,
Inc.
under
EPA
contract
No.
68
02
3980,
Washington,
DC,
November
6,
1986.
2
Ed
Coe,
Economic
Impact
Analysis
of
the
TSCA
Section
8(
c)
Significant
Adverse
Reaction
Recordkeeping
and
Reporting
Rule,
OTS/
ETD/
RIB,
prepared
by
Kearney/
Centaur,
EPA
Contract
No.
68
02
4297,
Alexandria,
VA,
May
1989.
3
Abt
Associates,
Inc.
"ICR
Burden
Estimates:
SIC
28
and
SIC
2911."
Memorandum
to
Wendy
Hoffman,
RIB/
OPPT/
EPA,
September
22,
1995.
8
6
ESTIMATING
THE
BURDEN
AND
COST
OF
THE
COLLECTION
This
section
presents
the
estimates
of
the
industry
burden
hours
and
costs
associated
with
TSCA
section
8(
c)
activities.
The
specific
action
required
to
comply
with
a
TSCA
section
8(
c)
reporting
are
assumed
to
include
review
of
the
Federal
Register
for
notices
regarding
specific
chemicals,
recording
pertinent
information
on
allegations
and
storing
such
records,
and
reporting
allegations
to
EPA
when
required.
6(
a)
Estimating
Respondent
Cost
and
Burden
Steps
required
to
estimate
burden
associated
with
these
activities
include
estimating
the
number
of
affected
firms,
the
number
of
allegations,
and
number
of
reports.
Unit
estimates
of
burden
for
the
various
activities
are
also
required.
These
unit
estimates
are
then
coupled
with
the
number
of
allegations,
reports,
and
notice
reviews
to
develop
total
burden
estimates
for
the
industry.
Estimates
of
costs
require
estimation
of
wage
rates
for
personnel
who
are
expected
to
participate
in
TSCA
section
8(
c)
activities.
These,
coupled
with
the
burden
hours
associated
with
the
various
tasks,
provide
the
basis
for
industry
cost
estimates.
Estimate
of
the
Number
of
Firms
EPA
investigated
potential
data
sources
of
numbers
of
firms/
plants
and
their
employment
and
parent
company
sales
to
estimate
the
number
of
firms
subject
to
TSCA
section
8(
c)
requirements.
EPA
concluded
that
a
Dun
and
Bradstreet
database,
Dun's
Market
Identifiers,
(DMI),
provided
the
most
complete
and
timely
data.
1
The
DMI
data
base
contains
employment
data
for
each
of
a
firm's
plants
as
well
as
parent
firm
sales
data.
The
DMI
database
was
analyzed
in
detail
for
the
previous
ICRs
2,
3
.
The
first
step
in
the
analysis
was
the
creation
of
a
database
containing
records
for
each
plant
site
engaged
in
manufacturing
or
processing
activities
described
by
NAICS
code
325
(Chemical
and
Allied
Products)
or
NAICS
code
32411
(PetroleumRefining
and
Related
Industries).
EPA
chose
those
NAICS
codes
to
define
the
firms
who
manufacture
and
process
chemical
substances.
9
From
the
DMI
database,
EPA
also
developed
a
distribution
of
firms
by
annual
sales.
Consist
ent
with
the
small
business
definition
for
information
collection
rules
under
section
8(
a)
of
TSCA,
firms
with
annual
sales
of
less
than
$40
million
were
classified
as
small
firms,
while
those
owned
by
companies
with
sales
of
greater
than
$40
million
were
classified
as
large
firms
(CFR
704.3).
The
number
of
employees
for
these
firms
was
calculated
using
only
employment
figures
from
those
plants
that
fall
under
NAICS
325
or
NAICS
32411.
Many
firms
or
parent
companies
have
facilities
that
do
not
engage
in
chemical
activities.
Because
these
employees
are
not
expected
to
make
allegations
regarding
substances
at
the
chemical
plants,
they
have
not
been
included
in
the
estimated
number
of
employees.
The
estimated
average
number
of
employees
was
further
broken
down
between
small
and
large
firms.
The
following
t
able
lists
the
number
of
firms
and
employees
by
size
category
identified
by
DMI
data
analysis.
Table
1.
Numbers
of
Firms
and
Employees
by
Firm
Size
Firm
Size
Number
of
Firms
Number
of
Employees
Small
10,957
47
(average)
Large
1,
330
435
(average)
Total
12,287
1,000,000+
(estimate)
Estimate
of
the
Number
of
Allegations
of
Significant
Adverse
Health
Reactions
The
total
number
of
allegations
was
based
upon
the
average
number
of
employees
per
firm
and
number
of
firms
in
each
size
category,
multiplied
by
a
standard
annual
allegation
rate
per
employee.
The
Agency
received
numerous
public
comments
following
the
issuance
of
the
initial
TSCA
section
8(
c)
proposal,
including
many
comments
about
t
he
Agency's
estimate
of
the
number
of
allegations.
In
response
to
these
comments,
EPA
contacted
a
number
of
firms
to
develop
a
consensus
estimate.
According
to
the
1983
ICR,
the
consensus
opinion
of
the
firms
contacted
was
that
recordable
TSCA
section
8(
c)
allegations
are
likely
to
made
by
0.
5
percent
of
the
workforce.
For
the
1983
ICR,
EPA
assumed
that
the
allegation
rate
made
by
the
general
public
would
be
about
one
third
the
employee
allegation
rate.
Based
on
the
average
number
of
employees
per
firm,
the
estimated
annual
per
firmallegations
for
each
of
the
firmsize
categories
is
presented
below.
For
example,
for
small
firms,
the
calculation
is
47
employees
x
0.
005
allegations
per
employee
=
0.
24
average
annual
number
of
employee
allegations
per
firm.
4
Abt
Associates,
Inc.
"ICR
Burden
Estimates:
SIC
28
and
SIC
2911."
Memorandum
to
Wendy
Hoffman,
RIB/
OPPT/
EPA,
September
22,
1995.
5
USEPA,
Chemical
on
Reporting
Rules
Database
(CORR),
CCD
and
CSB,
June
30,
1990,
and
EPA,
Chemical
on
Reporting
Rules
Database
(CORR):
Update,
CCD
and
CSB,
October
31,
1992.
6
USEPA,
[Untitled
Computer
Printout],
IMD,
June
3,
1992.
7
Sherlock,
Scott,
Information
Management
Division.
Phone
conversation
with
Wendy
Hoffman
based
upon
TSCA
Reports
to
Congress
for
EPA
Fiscal
Years
1992
93,
August
1994.
8
USEPA,
"Response
times
and
Labor
Costs
Final
Data
Element
List
Comprehensive
Assessment
Information
Rule,"
prepared
by
Centaur
Associates,
Inc.
under
Contract
No.
68
02
3980,
Washington,
D.
C.,
April
30,
1985,
pp.
94
106.
10
Table
2.
Estimated
Number
of
Allegations
Firm
Size
Number
of
Employees
Average
Annual
#
of
Allegations
Employee
Public
Total
Small
47
0.
24
0.
08
0.
32
Large
435
2.20
0.73
2.93
For
the
10,957
small
firms
and
1,
330
large
firms,
the
weighted
average
annual
number
of
allegations
per
firm
is
0.602
([(
10,957*.
32)
+
(1,330*
2.93)
/
12,287].
Estimate
of
the
Number
of
Reports
For
previous
TSCA
section
8(
c)
ICR
analyses,
EPAestimated
that
it
would
issue
a
maximum
of
six
industry
wide
notices
per
year
requiring
reporting
on
a
maximum
of
100
chemicals.
The
Agency
estimated
that
an
average
of
approximately
five
firms
per
chemical
would
actually
be
subject
to
reporting,
resulting
in
the
submission
of
an
industry
wide
total
of
500
reports.
However,
to
date,
only
a
very
limited
amount
of
reporting
has
been
required
under
TSCA
section
8(
c),
and
this
is
not
expected
to
change
during
the
period
covered
by
this
ICR
4
.
To
date,
only
two
reporting
rules
have
been
issued
under
TSCA
section
8(
c)
5
.
These
rules
covered
two
chemicals
and
two
chemical
categories.
A
total
of
31
reports
have
been
received
under
TSCA
section
8(
c)
6
7
.
This
represents
an
average
of
only
about
1.75
reports
per
year
since
the
rule
was
promulgated
in
1983.
Estimated
Wage
Rates
The
basic
methodology
for
estimating
the
industry
wage
rates
used
in
this
analysis
was
developed
for
the
Comprehensive
Assessment
Information
Rule
(CAIR).
8
Itisthesamemethodology
9
See
Lehman,
Timothy.
"Methodology
for
Section
8(
a)
Cost
and
Burden
Analysis,"
May
1995.
10
EPA,
Economic
Analysis
of
TSCA
Section
8(
c)
Significant
Adverse
Reaction
Recordkeeping
Rule,
OTS/
ETD/
RIB,
January
1983.
11
used
in
the
previous
ICR,
with
some
refinements.
9
Wage
data
used
to
develop
the
basic
industry
wage
rates
are
derived
from
the
U.
S.
Department
of
Labor,
Bureau
of
Labor
Statistics
(BLS),
Employment
Cost
Index
2000
for
all
goodsproducing
private
industries.
The
annual
salary
estimates
were
adjusted
to
2000
dollars
using
the
BLS
Employment
Cost
Index
(ECI)
for
white
collar
occupations
for
all
private
industries.
An
overhead
rate
of
17
percent
was
applied
to
all
wages
based
on
information
provided
by
the
chemical
industry
and
chemical
industry
trade
associations.
Benefit
rates
were
applied
to
wages
as
follows:
managerial,
41
percent;
technical,
43
percent;
and
clerical,
44
percent.
Total
loading
factors
are
58
percent
for
managerial
labor,
60
percent
for
technical
labor,
and
61
percent
for
clerical
labor.
All
loaded
annual
salaries
are
divided
by
2,080
hours,
the
average
number
of
hours
worked
per
year
by
a
full
time
employee,
to
yield
a
loaded
hourly
wage
for
each
labor
category.
The
previous
and
updated
hourly
wage
and
load
rates
(overhead
and
benefits)
are
presented
below.
Table
4.
HourlyWage
andLoadRates
Labor
Category
Previous
ICR
Rates
(Dec.
1998)
Updated
Rates
(2000)
2000
Load
Rates
Managerial
$
90.65
$95.55
58%
Technical
$
67.12
$65.96
60%
Clerical
$
26.79
$27.37
61%
Unit
Burden
Hours
and
Costs
Unit
costs
for
each
of
the
burdens
associated
with
the
TSCA
section
8(
c)
requirements
are
calculated
in
this
section
using
the
wage
rates
presented
above
(see
Table
5).
i..
Unit
Recordkeeping
Burden
and
Costs
Based
on
the
original
TSCA
section
8(
c)
analysis,
EPA
estimates
that
a
firm's
TSCA
section
8(
c)
coordinator
will
spend
2
to
3
hours
to
determine
the
status
of
an
allegation.
10
For
the
purposes
of
this
analysis,
it
is
assumed
that
3
hours
are
needed.
This
level
of
effort
will
occur
for
all
allegations
received.
If
the
allegation
is
found
to
be
recordable,
the
coordinator
completes
a
form,
has
it
typed
12
and
checks
it
for
accuracy.
This
will
require
0.5
hours
of
clerical
time
and
an
additional
0.5
hours
of
managerial
time.
Assuming
that
all
allegations
are
recordable,
a
total
of
4
hours
are
expended
per
allegation
(3.
5
hours
managerial
plus
0.
5
hours
clerical).
Storage
costs
for
the
allegations
are
believed
to
be
negligible.
ii.
Unit
Reporting
Burden
and
Costs
Based
on
the
original
TSCA
section
8(
c)
analysis,
EPA
estimates
that
a
management
level
company
official
will
spend
one
hour
reviewing
the
Federal
Register
notice
or
letter
from
EPA
to
determine
whether
the
company
manufactures
or
processes
substances
subject
to
the
reporting
requirement.
Technical
personnel
would
then
spend
an
estimated
two
hours
conducting
a
search
of
the
company's
TSCA
section
8(
c)
files
for
any
relevant
allegation
records.
Once
the
file
search
is
complete,
EPA
estimates
that
a
managerial
employee
would
spend
two
hours
preparing
a
transmittal
letter
and
other
explanatory
material
to
accompany
the
allegation
records.
An
upper
level
management
official
would
spend
an
additional
two
hours
reviewing
these
materials.
One
hour
of
clerical
labor
would
be
required
to
prepare
and
mail
the
response.
A
total
of
eight
hours
is
expended
per
report
(five
managerial
hours,
two
technical
hours
and
one
clerical
hour)
(See
Table
5).
iii.
Unit
Reviewing
Burden
and
Cost
Based
on
the
originalTSCAsection
8(
c)
analysis,
EPAestimates
that
0.
25
hour
ofmanagerial
labor
would
be
required
to
review
each
Federal
Register
notice
(see
Table
5).
Table
5.
Unit
Respondent
Burden
and
Cost
Estimates
Activity
Clerical
Hours
Technical
Hours
Manager
Hours
Total
Hours
Total
Cost
Recordkeeping,
per
allegation
0.5
3.
5
4.0
$348.11
Reporting,
per
report
1.
0
2.0
5.
0
8.0
$637.04
Federal
Register
Notice
review,
per
Notice
0.25
0.25
$
23.89
Total
unit
burden
per
respondent
1.5
2.
0
8.75
12.25
$1,009.04
13
Total
Industry
Costs
and
Burden
The
total
annual
cost
to
the
industry
have
been
calculated
for
small
firms
with
annual
sales
less
than
$40
million,
and
for
large
firms
with
annual
sales
of
$40
million
or
higher.
i.
Total
Recordkeeping
Costs
and
Burden
The
unit
cost
for
recordkeeping
is
multiplied
by
the
average
annual
number
of
allegations
per
firm.
This
figure
is
then
multiplied
by
the
number
of
firms
for
each
size
category.
The
totals
for
each
category
are
also
summed.
These
results
are
presented
in
the
table
below.
Table
7.
Total
Industry
Recordkeeping
Costs
Firm
Size
#
of
Firms
Aver.
#
of
Allegations
per
Firm
Average
Cost
per
Allegation
Total
Cost
Small
10,957
0.32
$348.11
$1,220,557
Large
1,
330
2.93
$348.11
$1,356,550
Total
12,287
$2,577,107
Table
8.
Total
Industry
Recordkeeping
Burden
#
of
Firms
Weighted
Average
Annual
#
of
Allegations
Hours
per
Allegation
Total
Burden
Hours
12,287
0.602
4
29,587
Total
annual
burden
hours
is
29,587
hours
(the
product
of
the
three
items
in
the
table).
ii.
Total
Reporting
Burden
and
Cost
The
EPA
assumes
that
1.
75
TSCA
section
8(
c)
reports
will
be
required
annually.
The
cost
of
submitting
these
reports
is
determined
by
multiplying
the
annual
number
of
reports
by
the
unit
reporting
cost.
Table
9.
Industry
Reporting
Cost
Annual
#
of
Reports
Cost
per
Report
Total
Cost
1.75
$637.04
$1,114.82
14
Total
burden
hours
are
1.
75
reports
x
8
hours/
report
(fromUnit
Reporting
Burden
and
Costs)
=14
hours.
iii.
Federal
Register
Notice
Review
Burden
and
Cost
Historically,
the
Agency
has
published
an
average
of
only
0.11
notices
each
year.
Therefore,
each
firm
would
require
only
slightly
more
than
two
minutes,
or
0.
03
hour
of
managerial
labor,
per
year
for
notice
review.
The
total
cost
to
industry
of
reviewing
the
Federal
Register
notices
is
estimated
below.
Table
10.
Federal
Register
Notice
Review
Cost
Firm
Size
#
of
Firms
Cost
per
Firm
Total
Review
Cost
Small
10,957
$2.87
$31,447
Large
1,
330
$2.87
$
3,
817
Total
12,287
$2.87
$35,264
Total
Federal
Register
notice
review
cost
is
$35,264
Table
11.
Federal
Register
Notice
Review
Burden
#
of
Firms
#
Notices/
Firm
Hours/
Notice
Total
Hours
12,287
0.11
0.25
338
Total
burden
is
estimated
to
be
338
hours.
Table
12.
Annual
Burden
to
Industry
Collection
Activity
Hours
per
Respondent
Respondents
per
Year
Hours
per
Year
Recordkeeping
4.
00
7,
397
(1)
29,587
Reporting
8.
00
1.
75
14
Notice
Review
0.25
1,351
(2)
338
Annual
Burden
Hours
12.25
29,939
(1)
Calculated
as
12,287
firms
subject
to
Recordkeeping
x
0.
602
weighted
average
number
of
allegations
per
firm
each
year
=
7,
397.
(2)
Historically,
EPA
has
issued
an
average
of
only
0.
11
notices
per
year.
Therefore,
on
an
average
annual
basis,
1,
351
of
the
estimated
total
of
12,
287
firms
subject
to
TSCA
section
8(
c)
would
conduct
notice
reviews.
15
iv.
Total
Industry
Burden
and
Costs
The
total
economic
burden
on
the
regulated
community
imposed
by
TSCAsection
8(
c)
is
the
sumof
the
three
components
identified
above
(recordkeeping,
reporting
and
Federal
Register
notice
review.
These
costs,
shown
in
the
table
below,
would
be
incurred
in
each
of
the
three
years
covered
by
this
ICR.
Table
13.
Total
Industry
Costs
and
Burden
Collection
Activity
Total
Annual
Cost
Total
Annual
Burden
Recordkeeping
$2,577,107
29,587
Reporting
$1,115
14
Federal
Register
Review
$35,264
338
Total
$2,613,486
29,939
Regulatory
Flexibility
Analysis
TSCA
section
8(
c)
does
not
include
a
specific
exemption
of
small
businesses.
The
costs
of
TSCA
section
8(
c)
for
small
businesses
(annual
parent
company
sales
of
less
than
$40
million),
which
were
calculated
in
the
previous
section
of
this
analysis,
are
listed
below.
Table
14.
Average
Total
Costs
per
Small
Firm
Type
of
Cost
Cost
Avg.
recordkeeping
costs
$132.28
(1)
Reporting
costs
per
firm
$
0.09
(2)
Federal
Register
notice
review
costs
per
firm
$
2.
87
(3)
Avg.
total
cost
per
firm
$135.24
Avg.
sales
per
small
firm
$12
million
(1)
Calculated
as
the
average
cost
per
allegation
times
the
average
number
of
allegations
per
year
($
348.11
x
0.
38
=
$132.28).
(2)
Calculated
as
the
total
industry
reporting
costs
divided
bythe
total
number
of
firms
($
1,115/
12,2287
=
$0.09).
This
cost
is
independent
of
firm
size.
(3)
Calculated
as
the
total
industry
review
costs
divided
by
the
total
number
of
firms
($
35,264/
12,2287
=
$2.87).
This
cost
is
independent
of
firm
size.
The
average
recordkeeping,
reporting
and
review
costs
to
small
firms
are
less
than
0.
001
percent
of
their
annual
sales
($
112.12/$
12
million).
Therefore
these
requirements
do
not
appear
to
16
impose
a
significant
additional
burden
on
small
firms.
6(
c)
Estimating
Agency
Burden
and
Cost
Annual
costs
to
the
EPA
for
TSCA
section
8(
c)
for
each
of
the
three
years
covered
by
this
ICR
are
estimated
to
be
$41,812.
The
cost
to
the
EPA
for
TSCA
section
8(
c)
was
calculated
from
cost
estimates
provided
in
the
1986
and
1989
ICRs.
These
costs
were
adjusted
based
on
the
2001
GS
Schedule.
Annual
costs
to
EPA
associated
with
the
recordkeeping
portion
of
the
rule
include
general
administration
of
the
rule,
education
and
outreach
activities,
and
compliance
monitoring.
Costs
associated
with
reporting
involve
preparation
of
reporting
notices,
Federal
Register
printing
costs,
document
control,
and
document
review.
Annual
costs
to
EPA
were
derived
based
on
an
analysis
of
the
cost
of
performing
these
various
activities.
The
various
elements
involved
in
calculating
EPA
costs
are
described
in
more
detail
below.
o
Each
year,
general
administration
of
the
rule
involves
approximately
one
tenth
of
a
staff
specialist's
time
plus
approximately
one
weeks
time
each
for
two
management
personnel
at
the
branch,
division
and
OPPT
Office
Director's
level.
o
Education
and
outreach
activities
will
include
ongoing
rule
support
by
the
Environmental
Assistance
Division
(EAD)
in
OPPT.
o
Compliance
monitoring
costs
primarily
involve
the
costs
of
the
TSCA
section
8(
c)
portion
of
inspection
carried
out
by
regional
personnel
and
other
administrative
costs
for
headquarters
personnel
to
target
and
review
results
of
such
inspections.
o
EPA
previously
estimated
that
a
maximum
of
six
industry
wide
reporting
notices
involving
a
total
of
100
chemicals
would
be
developed
each
year.
However,
to
date
only
two
notices
involving
two
chemicals
and
two
chemical
categories
have
been
issued.
EPA
also
estimated
that
the
notices
would
generate
a
maximum
500
reports
per
year.
To
date,
however,
a
total
of
only
30
reports
have
been
received.
Based
on
historical
data,
over
the
life
of
the
rule
an
average
of
only
0.
11
notices
have
been
issued
per
year
and
an
average
of
only
1.75
reports
received.
The
Agency
believes
that
reporting
activity
under
TSCA
section
8(
c)
will
remain
at
this
low
level
during
the
period
covered
by
the
ICR.
Therefore,
EPA
costs
associated
with
reporting
have
been
adjusted
to
reflect
this
large
decrease
in
the
level
of
expected
activity.
Labor
involved
in
developing
the
reporting
notices
will
require
several
decision
meetings
and
either
the
development
of
letters,
separate
Federal
Register
notices,
or
the
insertion
of
brief
boilerplate
segments
in
other
rule
preambles.
o
Time
will
be
required
to
process
submissions
based
upon
such
reporting
requirements
and
to
review
them
for
confidentiality
considerations.
17
o
The
Federal
Register
notices
will
be
reviewed
by
the
office
directly
requesting
the
information
as
well
as
by
the
Chemical
Testing
and
Information
Branch
(CTIB).
Information
in
the
submission
will
be
coded
into
a
computer
data
base
by
CTIB
staff
and
non
confidential
versions
of
the
submissions
records
will
be
retained
by
CTIB
as
well
as
by
the
OPPT
public
files.
EPA
will
incur
costs
related
to
the
above
activities
in
each
of
the
three
years
covered
by
the
ICR.
The
following
table
provides
the
projected
annual
costs
to
the
government
for
activities
related
to
TSCA
section
8(
c).
These
costs
and
their
associated
burden
are
presented
in
Table
15.
Table
15.
Annual
Burden
and
Cost
to
the
Federal
Government
Activity
Hourly
Wage
Burden
Hours
Annual
Cost
Administrative
maintenance
$48.62/$
67.59
(1)
288.0
$15,521
Education/
Outreach
$40.89
(2)
240.0
$9,814
Compliance
monitoring
$40.89
(2)
400.0
$16,356
Develop
reporting
notices
$40.89
(2)
1.1
$45
Document
control
functions
$40.89
(2)
0.75
$31
Notice
review,
referral
and
data
entry
$40.89
(2)
1.1
$45
Totals
931
$41,812
(1)
This
activity
is
estimated
to
require
208
hours
at
the
GS
13
level
and
80
hours
at
the
GS
15
level.
The
base
wage
for
a
GS
13,
Step
1
is
$63,211,
plus
60
percent
overhead
and
benefits
of
$37,927,
for
a
total
of
$101,138.
Dividing
this
by
the
number
of
hours
in
a
work
year,
2080,
yields
an
hourly
wage
rate
of
$48.62.
The
base
wage
for
a
GS
15,
Step
1
is
$87,864,
plus
overhead
and
benefits
of
$52,718,
for
a
total
of
$140,582.
Dividing
this
by
the
number
of
hours
in
a
work
year,
2080,
yields
an
hourly
wage
rate
of
$67.59.
(2)
The
estimated
total
cost
to
the
EPA
of
an
average
full
time
employee
(FTE)
at
a
GS
12,
Step
1
level
for
2001
is
$85,050.
This
includes
a
base
wage
of
$53,156,
and
60
percent
for
overhead
and
benefits,
or
$31,894.
Dividing
this
by
the
number
of
hours
in
a
work
year,
2080,
yields
an
hourly
wage
rate
of
$40.89.
6(
e)
Reasons
for
Change
in
Burden
There
is
a
decrease
of
340
hours
(from
30,279
hours
to
29,939
hours)
in
the
total
estimated
respondent
burden
compared
with
that
identified
in
the
information
collection
request
most
recently
approved
by
OMB.
This
decrease
primarily
reflects
a
reduced
estimated
burden
for
respondents
in
reviewing
Federal
Register
notices.
Based
on
experience
over
the
life
of
the
rule,
the
average
annual
number
of
notices
the
Agency
is
expected
to
issue
fell
froman
estimated
0.
22
in
the
most
recent
ICR,
to
0.11
notices
per
year
estimated
in
this
renewal.
An
additional
small
reduction
is
attributable
to
reduced
industry
reporting
requirements,
which
have
fallen
from
an
estimated
two
reports
per
year
(31
reports
total/
15
years
of
the
rule),
to
1.7
reports
per
year,
over
the
18
years
of
the
rule
(31
reports/
18
years).
None
of
the
unit
burden
estimates
have
been
changed
since
the
previous
ICR
renewal,
nor
do
these
changes
reflect
any
actual
changes
in
the
collection
activity.
18
6(
f)
Burden
Statement
The
annual
public
burden
for
this
collection
of
information,
which
is
approved
under
OMB
Control
No.
2070
0034,
is
estimated
to
range
between
0.25
hours
and
8.0
hours
per
response.
According
to
the
Paperwork
Reduction
Act,
"burden"
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
For
this
collection
it
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
t
o
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
An
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
number
for
this
information
collection
appears
above.
In
addition,
the
OMB
control
numbers
for
EPA's
regulations,
after
initial
display
in
the
final
rule,
are
listed
in
40
CFR
part
9.
Send
comments
on
the
Agency's
need
for
this
information,
the
accuracy
of
the
provided
burden
estimates,
and
any
suggested
methods
for
minimizing
respondent
burden,
including
through
the
use
of
automated
collection
techniques
to
the
Director,
Collection
Strategies
Division,
U.
S.
Environmental
Protection
Agency
(Mail
Code
2822),
1200
Pennsylvania
Ave.
N.
W.,
Washington,
D.
C.
20460.
Include
the
OMB
control
number
in
any
correspondence,
but
do
not
submit
the
requested
information
to
this
address.
The
requested
information
should
be
submitted
in
accordance
with
the
instructions
accompanying
the
form,
or
as
specified
in
the
corresponding
regulation.
ATTACHMENT
1
Toxic
Substances
Control
Act
Section
8(
c)
15
USC
2607(
c)
US
Code
as
of:
01/
23/
00
Sec.
2607.
Reporting
and
retention
of
information
***
(c)
Records
Any
person
who
manufactures,
processes,
or
distributes
in
commerce
any
chemical
substance
or
mixture
shall
maintain
records
of
significant
adverse
reactions
to
health
or
the
environment,
as
determined
by
the
Administrator
by
rule,
alleged
to
have
been
caused
by
the
substance
or
mixture.
Records
of
such
adverse
reactions
to
the
health
of
employees
shall
be
retained
for
a
period
of
30
years
fromthe
date
such
reactions
were
first
reported
to
or
known
by
the
person
maintaining
such
records.
Any
other
record
of
such
adverse
reactions
shall
be
retained
for
a
period
of
five
years
from
the
date
the
information
contained
in
the
record
was
first
reported
to
or
known
by
the
person
maintaining
the
record.
Records
required
to
be
maintained
under
this
subsection
shall
include
records
of
consumer
allegations
of
personal
injury
or
harmto
health,
reports
of
occupational
disease
or
injury,
and
reports
or
complaints
of
injury
to
the
environment
submitted
to
the
manufacturer,
processor,
or
distributor
in
commerce
from
any
source.
Upon
request
of
any
duly
designated
representative
of
the
Administrator,
each
person
who
is
required
to
maintain
records
under
this
subsection
shall
permit
the
inspection
of
such
records
and
shall
submit
copies
of
such
records.
ATTACHMENT
2
Records
and
Reports
of
Allegations
that
Chemical
Substances
Cause
Significant
Adverse
Reactions
to
Health
or
the
Environment
40
CFR
717
Code
of
Federal
Regulations
Revised
as
of
July
1,
2000
TITLE
40
PROTECTION
OF
ENVIRONMENT
CHAPTER
I
ENVIRONMENTAL
PROTECTION
AGENCY
(CONTINUED)
PART
717
RECORDS
AND
REPORTS
OF
ALLEGATIONS
THAT
CHEMICAL
SUBSTANCES
CAUSE
SIGNIFICANT
ADVERSE
REACTIONS
TO
HEALTH
OR
THE
ENVIRONMENT
Table
of
Contents
Subpart
A
General
Provisions
Sec.
717.1
Scope
and
compliance.
Section
8
(c)
of
the
Toxic
Substances
Control
Act
(TSCA)
requires
manufacturers,
processors,
and
distributors
of
chemical
substances
and
mixtures:
(a)
To
keep
"records
of
significant
adverse
reactions
to
health
or
the
environment,
as
determined
by
the
Administrator
by
rule,
alleged
to
have
been
caused
by
the
substance
or
mixture."
(b)
To
"permit
inspection
and
submit
copies
of
such
records,"
upon
request
of
any
designated
representative
of
the
Administrator.
This
rule
implements
section
8(
c)
of
TSCA.
It
describes
the
records
to
be
kept
and
prescribes
the
conditions
under
which
certain
firms
must
submit
or
make
the
records
available
to
a
duly
designated
representative
of
the
Administrator.
Sec.
717.3
Definitions.
The
definitions
set
forth
in
section
3
of
TSCA
and
the
following
definitions
apply
to
this
part:
(a)
Allegation
means
a
statement,
made
without
formal
proof
or
regard
for
evidence,
that
a
chemical
substance
or
mixture
has
caused
a
significant
adverse
reaction
to
health
or
the
environment.
(b)
Firm
or
company
means
any
person,
that
is
subject
to
this
part,
as
defined
in
Sec.
717.5.
(c)(
1)
Known
human
effects
means
a
commonly
recognized
human
health
effect
of
a
particular
substance
or
mixture
as
described
either
in:
(i)
Scientific
articles
or
publications
abstracted
in
standard
reference
sources.
(ii)
The
firm's
product
labeling
or
material
safety
data
sheets
(MSDS).
(2)
However,
an
effect
is
not
a
"known
human
effect"
if
it:
(i)
Was
a
significantly
more
severe
toxic
effect
than
previously
described.
(ii)
Was
a
manifestation
of
a
toxic
effect
after
a
significantly
shorter
exposure
period
or
lower
exposure
level
than
described.
(iii)
Was
a
manifestation
of
a
toxic
effect
by
an
exposure
route
different
from
that
described.
(d)
Manufacture
or
process
means
to
manufacture
or
process
for
commercial
purposes.
(e)(
1)
Manufacture
for
commercial
purposes
means
to
import,
produce,
or
manufacture
with
the
purpose
of
obtaining
an
immediate
or
eventual
commercial
advantage
for
the
manufacturer,
and
includes,
among
other
things,
such
"manufacture"
of
any
amount
of
a
chemical
substance
or
mixture:
(i)
For
distribution
in
commerce,
including
for
test
marketing.
(ii)
For
use
by
the
manufacturer,
including
use
for
product
research
and
development,
or
as
an
intermediate.
(2)
Manufacture
for
commercial
purposes
also
applies
to
substances
that
are
produced
coincidentally
during
the
manufacture,
processing,
use,
or
disposal
of
another
substance
or
mixture,
including
both
byproducts
that
are
separated
from
that
other
substances
or
mixture
and
impurities
that
remain
in
that
substance
or
mixture.
Such
byproducts
and
impurities
may,
or
may
not,
in
themselves
have
commercial
value.
They
are
nonetheless
produced
for
the
purpose
of
obtaining
a
commercial
advantage
since
they
are
part
of
the
manufacture
of
a
chemical
product
for
a
commercial
purpose.
(f)
Person
includes
any
individual,
firm,
company,
corporation,
joint
venture,
partnership,
sole
proprietorship,
association,
or
any
other
business
entity,
any
State
or
political
subdivision
thereof,
and
any
department,
agency,
or
instrumentally
of
the
Federal
Government.
(g)
Process
for
commercial
purposes
means
the
preparation
of
a
chemical
substance
or
mixture,
after
its
manufacture,
for
distribution
in
commerce
with
the
purpose
of
obtaining
an
immediate
or
eventual
commercial
advantage
for
the
processor.
Processing
of
any
amount
of
a
chemical
substance
or
mixture
is
included.
If
a
chemical
substance
or
mixture
containing
impurities
is
processed
for
commercial
purposes,
then
those
impurities
are
also
processed
for
commercial
purposes.
(h)
Retailer
means
a
person
who
distributes
in
commerce
a
chemical
substance,
mixture,
or
article
to
ultimate
purchasers
who
are
not
commercial
entities.
(i)
Significant
adverse
reactions
are
reactions
that
may
indicate
a
substantial
impairment
of
normal
activities,
or
long
lasting
or
irreversible
damage
to
health
or
the
environment.
(j)
Site
means
a
contiguous
property
unit.
Property
divided
only
by
a
public
right
of
way
is
considered
one
site.
There
may
be
multiple
manufacturing,
processing,
or
distribution
activities
occurring
within
a
single
site.
(k)
Substance
means
a
chemical
substance
or
mixture
unless
otherwise
indicated.
Sec.
717.5
Persons
subject
to
this
part.
(a)
Manufacturers.
(1)
All
manufacturers
of
chemical
substances
are
subject
to
this
part
except
as
provided
in
Sec.
717.7(
a).
If
manufacture
of
a
chemical
substance
occurs
at
any
site
owned
or
controlled
by
a
firm
then
that
firm
is
subject
to
this
part.
(2)
A
manufacturer
must
collect:
(i)
Any
allegation
identifying
a
chemical
substance
it
manufactures
and
any
allegation
identifying
the
operations
in
the
manufacture
of
any
chemical
substance
it
manufactures.
(ii)
Any
allegation
identifying
any
of
its
own
processing
or
distribution
in
commerce
activities
with
respect
to
any
chemical
substance
it
manufactures.
(iii)
Any
allegation
identifying
emissions,
effluents,
or
other
discharges
from
activities
described
in
this
paragraph.
(iv)
Any
allegation
identifying
a
substance
produced
coincidentally
during
processing,
use,
storage
or
disposal
of
a
chemical
substance
it
manufactures.
(3)
For
the
purpose
of
this
part,
owned
or
controlled
means
ownership
of
50
percent
or
more
of
a
firm's
voting
stock
or
other
equity
rights,
or
the
power
to
control
the
management
and
policies
of
that
firm.
(b)
Processors.
(1)
A
person
who
processes
chemical
substances,
who
is
not
also
a
manufacturer
of
those
chemical
substances,
is
subject
to
this
part
if
(i)
the
person
processes
chemical
substances
to
produce
mixtures,
or
(ii)
the
person
repackages
chemical
substances
or
mixtures.
(2)
As
a
processor
subject
to
this
part
such
person
must
collect:
(i)
Any
allegation
identifying
any
mixture
it
produces
and
distributes
in
commerce
and
any
allegation
identifying
any
chemical
substance
or
mixture
it
repackages
and
distributes
in
commerce.
(ii)
Any
allegation
identifying
any
of
its
own
further
processing
or
distribution
in
commerce
activities
of
the
products
described
in
paragraph
(b)(
2)(
i)
of
this
section.
(iii)
Any
allegation
identifying
emissions,
effluents,
or
other
discharges
from
activities
described
in
this
paragraph.
(iv)
Any
allegation
identifying
a
substance
produced
coincidentally
during
the
processing,
use,
storage
or
disposal
of
the
products
described
in
paragraph
(b)(
2)(
i)
of
this
section.
(c)
SIC
code.
SIC
codes
applicable
to
this
part
are
published
in
Standard
Industrial
Classification
Manual
1972
and
the
1977
Supplement.
This
manual
and
supplement
may
be
obtained
from
the
U.
S.
Government
Printing
Office,
Washington,
D.
C.
20402
stock
number
4101
0006
and
stock
number
003
005
0170
0
respectively.
Where
there
is
a
conflict
between
the
SIC
code
use
of
a
term
and
the
definition
of
that
term
in
this
part,
the
definition
in
this
part
applies.
[48
FR
38187,
Aug
22,
1983,
as
amended
at
50
FR
46769,
Nov.
13,
1985]
Sec.
717.7
Persons
not
subject
to
this
part.
(a)
Manufacturers.
(1)
Persons
or
site
activities
are
exempt
from
this
part
if
the
means
by
which
they
manufacture
a
chemical
substance
solely
involves
mining
or
other
solely
extractive
functions,
e.
g.,
those
companies
or
sites
within
a
company
whose
sole
function
is
to
mine
mineral
ores,
extract
petroleum
or
natural
gas,
quarry
non
metallic
minerals
(including
extraction
of
salts
from
seawater
or
brines),
mine
or
otherwise
extract
coal,
or
separate
gases
from
the
atmosphere.
This
exemption
may
include,
but
is
not
necessarily
limited
to,
firms
engaged
in
activities
as
described
in
SIC
Division
B
Mining
and
SIC
Code
2813
Industrial
Gases.
(2)
A
person
is
not
subject
to
this
part
if
the
chemical
substances
that
person
causes
to
be
produced
are
limited
to:
(i)
Chemical
substances
that
result
from
chemical
reactions
that
occur
incidental
to
exposure
of
another
chemical
substance,
mixture,
or
article
to
environmental
factors
such
as
air,
moisture,
microbial
organisms,
or
sunlight.
(ii)
Chemical
substances
that
result
from
chemical
reactions
that
occur
incidental
to
storage
or
disposal
of
other
chemical
substances,
mixtures,
or
articles.
(iii)
Chemical
substances
that
result
from
chemical
reactions
that
occur
upon
end
use
of
other
chemical
substances,
mixtures,
or
articles
such
as
adhesives,
paints,
miscellaneous
cleaners
or
other
housekeeping
products,
fuel
additives,
water
softening
and
treatment
agents,
photographic
films,
batteries,
matches,
or
safety
flares,
and
that
are
not
themselves
manufactured
or
imported
for
distribution
in
commerce
for
use
as
chemical
intermediates.
(iv)
Chemical
substances
that
result
from
chemical
reactions
that
occur
upon
use
of
curable
plastic
or
rubber
molding
compounds,
inks,
drying
oils,
metal
finishing
compounds,
adhesives,
or
paints,
or
other
chemical
substance
formed
during
the
manufacture
of
an
article
destined
for
the
marketplace
without
further
chemical
change
of
the
chemical
substance.
(v)
Chemical
substances
that
result
from
chemical
reactions
that
occur
when
(A)
a
stabilizer,
colorant,
odorant,
antioxidant,
filler,
solvent,
carrier,
surfactant,
plasticizer,
corrosion
inhibitor,
antifoamer
or
defoamer,
dispersant,
precipitation
inhibitor,
binder,
emulsifier,
deemulsifier,
dewatering
agent,
agglomerating
agent,
adhesion
promoter,
flow
modifier,
pH
adjuster,
sequestrant,
coagulant,
flocculant,
fire
retardant,
lubricant,
chelating
agent,
or
quality
control
reagent
functions
as
intended,
or
(B)
a
chemical
substance,
which
is
intended
solely
to
impart
a
specific
physicochemical
characteristic,
functions
as
intended.
(b)
[Reserved]
(c)
Sole
distributors.
A
person
solely
engaged
in
the
distribution
of
chemical
substances
is
exempt
from
this
part,
unless
such
person
is
also
a
manufacturer
or
processor
subject
to
this
part.
For
example,
a
"distributor"
who
repackages
chemical
substances
or
mixtures
is
considered
to
be
a
processor
and,
thus,
is
not
a
sole
distributor.
Sole
distributors
may
include,
but
are
not
limited
to,
those
firms
that
distribute
chemical
substances
as
described
in
the
wholesale
trade
SIC
codes
5161
Chemicals
and
Allied
Products,
5171
Petroleum
Bulk
Stations
and
Terminals,
and
5172
Petroleum
and
Petroleum
Products
Wholesalers,
Except
Bulk
Stations
and
Terminals.
(d)
Retailers.
A
person
who
is
a
retailer
is
exempt
from
this
part
unless
such
person
is
also
a
manufacturer
or
a
processor
subject
to
this
part.
[48
FR
38187,
Aug
22,
1983,
as
amended
at
50
FR
46770,
Nov.
13,
1985]
Sec.
717.10
Allegations
subject
to
this
part.
(a)
Allegations
subject
to
this
part
are
those
allegations
received
on
or
after
November
21,
1983
by
persons
subject
to
this
part.
(b)
Allegations
subject
to
this
part
are
those
that:
(1)
Are
submitted
either
in
writing
and
are
signed
by
the
alleger,
or
are
submitted
orally.
In
the
case
of
an
oral
allegation,
the
firm
must
transcribe
the
allegation
into
written
form,
or
it
must
inform
the
alleger
that
such
allegation
may
be
subject
to
this
part
and
request
that
the
alleger
submit
such
allegation
to
the
firm
in
writing
and
signed.
(2)
Implicate
a
substance
that
caused
the
stated
significant
adverse
reaction
by
one
of
the
following:
(i)
Naming
the
specific
substance.
(ii)
Naming
a
mixture
that
contains
a
specific
substance.
(iii)
Naming
an
article
that
contains
a
specific
substance.
(iv)
Naming
a
company
process
or
operation
in
which
substances
are
involved.
(v)
Identifying
an
effluent,
emission,
or
other
discharge
from
a
site
of
manufacturing,
processing
or
distribution
of
a
substance.
(c)
Allegations
subject
to
this
part
may
be
made
to
a
firm
by
any
person,
such
as
an
employee
of
the
firm,
individual
consumer,
a
neighbor
of
the
firm's
plant,
another
firm
on
behalf
of
its
employees
or
an
organization
on
behalf
of
its
members.
(d)
EPA
intends
that
firms
should,
to
the
maximum
practical
extent,
provide
allegers
with
information
regarding
the
ultimate
disposition
of
their
allegations.
For
example,
firms
could
provide
a
brief
notice
to
the
alleger
stating
that
a
record
was
created
under
this
part
based
upon
their
allegation,
or
that
a
record
was
not
created
and
briefly
explain
the
reasons
why
not.
Sec.
717.12
Significant
adverse
reactions
that
must
be
recorded.
(a)
Except
as
provided
in
paragraph
(b)
of
this
section,
significant
adverse
reactions
to
human
health
that
must
be
recorded
include
but
are
not
limited
to:
(1)
Long
lasting
or
irreversible
damage,
such
as
cancer
or
birth
defects.
(2)
Partial
or
complete
impairment
of
bodily
functions,
such
as
reproductive
disorders,
neurological
disorders
or
blood
disorders.
(3)
An
impairment
of
normal
activities
experienced
by
all
or
most
of
the
persons
exposed
at
one
time.
(4)
An
impairment
of
normal
activities
which
is
experienced
each
time
an
individual
is
exposed.
(b)
Firms
are
not
required
to
record
significant
adverse
reactions
that
are
known
human
effects
as
defined
in
Sec.
717.3(
c).
(c)
Except
as
provided
in
paragraph
(d)
of
this
section,
significant
adverse
reactions
to
the
environment
that
must
be
recorded,
even
if
restricted
to
the
environs
of
a
plant
or
disposal
site,
include
but
are
not
limited
to:
(1)
Gradual
or
sudden
changes
in
the
composition
of
animal
life
or
plant
life,
including
fungal
or
microbial
organisms,
in
an
area.
(2)
Abnormal
number
of
deaths
of
organisms
(e.
g.,
fish
kills).
(3)
Reduction
of
the
reproductive
success
or
the
vigor
of
a
species.
(4)
Reduction
in
agricultural
productivity,
whether
crops
or
livestock.
(5)
Alterations
in
the
behavior
or
distribution
of
a
species.
(6)
Long
lasting
or
irreversible
contamination
of
components
of
the
physical
environment,
especially
in
the
case
of
ground
water,
and
surface
water
and
soil
resources
that
have
limited
self
cleansing
capability.
(d)
Firms
are
not
required
to
record
a
significant
adverse
reaction
to
the
environment
if
the
alleged
cause
of
that
significant
adverse
reaction
can
be
directly
attributable
to
an
accidental
spill
or
other
accidental
discharge,
emission
exceeding
permitted
limits,
or
other
incident
of
environmental
contamination
that
has
been
reported
to
the
Federal
Government
under
any
applicable
authority.
[48
FR
38187,
Aug.
22,
1983,
as
amended
at
49
FR
23183,
June
5,
1984;
58
FR
34204,
June
23,
1993]
Sec.
717.15
Recordkeeping
requirements.
(a)
Establishment
and
location
of
records.
A
firm
subject
to
this
part
shall
establish
and
maintain
records
of
significant
adverse
reactions
alleged
to
have
been
caused
by
chemical
substances
or
mixtures
manufactured
or
processed
by
the
firm.
Such
records
shall
be
kept
at
the
firm's
headquarters
or
at
any
other
appropriate
location
central
to
the
firm's
chemical
operations.
(b)
Content
of
records.
The
record
shall
consist
of
the
following:
(1)
The
original
allegation
as
received.
(2)
An
abstract
of
the
allegation
and
other
pertinent
information
as
follows:
(i)
The
name
and
address
of
the
plant
site
which
received
the
allegation.
(ii)
The
date
the
allegation
was
received
at
that
site.
(iii)
The
implicated
substance,
mixture,
article,
company
process
or
operation,
or
site
discharge.
(iv)
A
description
of
the
alleger
(e.
g.,
"company
employee,"
"individual
consumer,"
"plant
neighbor").
If
the
allegation
involves
a
health
effect,
the
sex
and
year
of
birth
of
the
individual
should
be
recorded,
if
ascertainable.
(v)
A
description
of
the
alleged
health
effect(
s).
The
description
must
relate
how
the
effect(
s)
became
known
and
the
route
of
exposure,
if
explained
in
the
allegation.
(vi)
A
description
of
the
nature
of
the
alleged
environmental
effect(
s),
identifying
the
affected
plant
and/
or
animal
species,
or
contaminated
portion
of
the
physical
environment.
(3)
The
results
of
any
self
initiated
investigation
with
respect
to
an
allegation.
(EPA
does
not
require
persons
subject
to
this
part
to
investigate
allegations
received,
and
no
provision
of
this
part
shall
be
construed
to
imply
that
EPA
recommends,
encourages
or
requires
such
investigation.)
(4)
Copies
of
any
further
required
records
or
reports
relating
to
the
allegation.
For
example,
if
an
employee
allegation
results
in
a
requirement
for
the
firm
to
record
the
case
on
Occupational
Safety
and
Health
Form
101
or
appropriate
substitute
(see
29
CFR
part
1904
for
requirements
under
the
Occupational
Safety
and
Health
Act
of
1970),
a
copy
of
that
OSHA
record
must
be
included
in
the
allegation
record.
(c)
File
structure.
Records
must
be
retrievable
by
the
alleged
cause
of
the
significant
adverse
reaction,
which
cause
may
be
one
of
the
following:
(1)
A
specific
chemical
identity.
(2)
A
mixture.
(3)
An
article.
(4)
A
company
process
or
operation.
(5)
A
site
emission,
effluent
or
other
discharge.
(d)
Retention
period.
Records
of
significant
adverse
reactions
to
the
health
of
employees
shall
be
retained
for
a
period
of
30
years
from
the
date
such
reactions
were
first
reported
to
or
known
by
the
person
maintaining
such
records.
This
provision
requires
persons
subject
to
this
part
to
retain
for
30
years
an
employee
health
related
allegation,
arising
from
any
employment
related
exposure,
whether
or
not
such
allegation
was
submitted
by
or
on
the
behalf
of
that
recordkeeper's
own
employee.
Any
other
record
of
significant
adverse
reactions
shall
be
maintained
for
a
period
of
five
years
from
the
date
the
information
contained
in
the
record
was
first
reported
to
or
known
by
the
person
maintaining
the
record.
(e)
Transfer
of
records.
(1)
If
a
firm
ceases
to
do
business,
the
successor
must
receive
and
keep
all
the
records
that
must
be
kept
under
this
part.
(2)
If
a
firm
ceases
to
do
business
and
there
is
no
successor
to
receive
and
keep
the
records
for
the
prescribed
period,
these
records
must
be
transmitted
to
EPA.
See
Sec.
717.17(
c)
for
the
address
to
which
such
records
must
be
sent.
[48
FR
38187,
Aug.
22,
1983,
as
amended
at
49
FR
23183,
June
5,
1984;
58
FR
34204,
June
23,
1993]
Sec.
717.17
Inspection
and
reporting
requirements.
(a)
Inspection.
Firms
must
make
records
of
allegations
available
for
inspection
by
any
duly
designated
representative
of
the
Administrator.
(b)
Reporting.
Each
person
who
is
required
to
keep
records
under
this
part
must
submit
copies
of
those
records
to
the
Agency
as
required
by
the
EPA
Administrator
or
appropriate
designee.
EPA
will
notify
those
responsible
for
reporting
by
letter
or
will
announce
any
such
requirements
for
submitting
copies
of
records
by
a
notice
in
the
Federal
Register.
Such
letter
or
notice
will
be
signed
by
the
Administrator
or
appropriate
designee,
and
will
specify
which
records
or
portion
of
records
must
be
submitted.
The
reporting
period
will
be
specified
by
the
letter
or
notice
but
in
no
case
will
such
reporting
period
be
less
than
45
days
from
the
date
of
the
letter
or
the
effective
date
of
the
notice.
(c)
How
to
report.
When
required
to
report,
firms
must
submit
copies
of
records
(preferably
by
certified
mail)
to
the
Document
Control
Office
(7407),
Office
of
Pollution
Prevention
and
Toxics,
U.
S.
Environmental
Protection
Agency,
Room
G
099,
401
M
St.,
SW.,
Washington,
DC.,
20460,
ATTN:
8(
c)
Allegations.
[48
FR
38187,
Aug.
22,
1983,
as
amended
at
49
FR
23183,
June
5,
1984;
52
FR
20084,
May
29,
1987;
53
FR
12523,
Apr.
15,
1988;
58
FR
34204,
June
23,
1993;
60
FR
34464,
July
3,
1995]
Sec.
717.19
Confidentiality.
(a)
Any
person
submitting
copies
of
records
may
assert
a
business
confidentiality
claim
covering
all
or
part
of
the
submitted
information.
Any
information
covered
by
a
claim
will
be
disclosed
by
EPA
only
as
provided
in
procedures
set
forth
at
part
2
of
this
title.
(b)
If
no
claim
accompanies
a
document
at
the
time
it
is
submitted
to
EPA,
the
document
will
be
placed
in
an
open
file
available
to
the
public
without
further
notice
to
the
respondent.
(c)
To
asset
a
claim
of
confidentiality
for
information
contained
in
a
submitted
record,
the
respondent
must
submit
two
copies
of
the
document.
(1)
One
copy
must
be
complete.
In
that
copy,
the
respondent
must
indicate
what
information,
if
any,
is
claimed
as
confidential
by
marking
the
specific
information
on
each
page
with
a
label
such
as
"confidential,"
"proprietary,"
or
"trade
secret"
and
briefly
state
the
basis
of
the
claim.
(2)
If
some
information
is
claimed
as
confidential,
the
respondent
must
submit
a
second
copy
of
the
record.
The
second
copy
must
be
complete,
except
that
all
information
claimed
as
confidential
in
the
first
copy
must
be
deleted.
(3)
The
first
copy
will
be
for
internal
use
by
EPA.
The
second
copy
will
be
placed
in
an
open
file
to
be
available
to
the
public.
(4)
Failure
to
furnish
a
second
copy
when
information
is
claimed
as
confidential
in
the
first
copy
will
be
considered
a
presumptive
waiver
of
the
claim
of
confidentiality.
EPA
will
notify
the
respondent
by
certified
mail
that
a
finding
of
a
presumptive
waiver
of
the
claim
of
confidentiality
has
been
made.
The
respondent
will
be
given
30
days
from
the
date
of
receipt
of
notification
to
submit
the
required
second
copy.
If
the
respondent
fails
to
submit
the
second
copy
within
the
30
days,
EPA
will
place
the
first
copy
in
the
public
file.
ATTACHMENT
3
Comment
Received
from
American
Chemistry
Council
during
the
Public
Notice
and
Comment
Period,
and
EPA's
Response
[Verbatim
extract
from
comment,
letter
from
American
Chemistry
Council,
dated
June
14,
2002]
Re:
Request
for
Comment
on
Information
Collection
Request
(ICR):
TSCA
Section
8(
c)
Health
and
Safety
Data
Reporting
Rule
(EPA
ICR
No.
1031.07,
OMB
No.
2070
0017,
Docket
Control
No.
OPPT
2002
0002,
AR
No.
AR
239)
(67
FR
18604,
April
16,
2002)
Dear
Sir
or
Madam:
The
American
Chemistry
Council
is
pleased
to
submit
these
comments
on
EPA's
Information
Collection
Request
(ICR):
TSCA
Section
8(
c)
Health
and
Safety
Data
Reporting
Rule.
The
Council
believes
that
EPA
has
not
appropriately
considered
all
the
factors
involved
with
TSCA
Section
8(
c)
reporting
requirements
and
suggests
that
a
reanalysis
of
the
burden
be
considered.
The
current
estimate
included
in
the
ICR
is
too
low
and
as
a
consequence,
the
cumulative
regulatory
impact
of
TSCA
on
industry
is
greater
than
indicated
in
EPA's
documentation.
The
American
Chemistry
Council
represents
the
leading
companies
engaged
in
the
business
of
chemistry.
Council
members
apply
the
science
of
chemistry
to
make
innovative
products
and
services
that
make
people's
lives
better,
healthier
and
safer.
The
Council
is
committed
to
improved
environmental,
health
and
safety
performance
through
Responsible
Care
®
,
common
sense
advocacy
designed
to
address
major
public
policy
issues,
and
health
and
environmental
research
and
product
testing.
The
business
of
chemistry
is
a
$460
billion
enterprise
and
a
key
element
of
the
nation's
economy.
It
is
the
nation's
largest
exporter,
accounting
for
ten
cents
out
of
every
dollar
in
U.
S.
exports.
Chemistry
companies
invest
more
in
research
and
development
than
any
other
business
sector.
The
American
Chemistry
Council's
member
companies
manufacture,
process
and
distribute
chemical
substances
regulated
under
the
Toxic
Substances
Control
Act
(TSCA).
As
such,
they
are
obligated
to
adhere
to
TSCA
8(
c),
which
requires
that
companies
maintain
records
of
significant
adverse
reactions
to
health
or
the
environment
alleged
to
have
been
caused
by
the
companies'
substances.
Allegations
of
adverse
reactions
to
the
health
of
employees
must
be
kept
for
thirty
years
and
all
other
allegations
must
be
kept
for
five
years.
Consequently,
the
Council's
members
are
directly
affected
by
and
have
a
significant
interest
in
this
ICR.
According
to
the
Federal
Register
notice,
..."
burden"
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
For
this
collection
it
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information."
Clearly,
reporting
burden
is
more
than
simply
sending
in
a
written
report
to
the
Agency.
It
includes
ensuring
staff
understanding
of
what
is
required
of
them
under
the
regulation,
it
includes
storage
of
records
associated
with
submitted
reports,
and
it
includes
development
of
procedures
to
collect
the
needed
information.
Most
importantly,
it
must
include
a
means
to
affirmatively
implement
the
regulatory
requirements.
Nonetheless,
EPA's
calculation
of
burden
for
this
ICR
focuses
solely
on
the
number
of
allegations
related
to
TSCA
8(
c).
The
burden
estimate
does
not
include
any
consideration
of
time
needed
for
internal
training
of
personnel,
for
developing
reporting
procedures,
or
for
storage
and
maintenance
of
records.
To
ensure
that
TSCA
8(
c)
requirements
are
fully
met,
companies
need
to
spend
significant
amounts
of
time
in
training
staff.
Proper
training
is
essential
to
ensure
that
TSCA
8(
c)
allegations
are
appropriately
documented
and
maintained.
Training
must
occur
for
all
staff
that
would
have
the
opportunity
to
address
potential
allegations.
This
includes
plant
managers
and
medical
staff,
as
well
as
customer
service
and
sales
personnel.
Some
companies
extend
this
training
to
nonplant
staff
as
well.
By
not
including
staff
training
as
a
burden
in
its
ICR
estimate,
EPA
seriously
underestimated
the
overall
cost
associated
with
TSCA
8(
c).
Furthermore,
despite
the
fact
that
records
are
required
to
maintained
(sic)
for
five
to
thirty
years,
depending
on
the
type
of
allegation,
EPA
does
not
include
any
estimates
related
to
burden.
In
fact,
the
Supporting
Statement
indicates,
"...
storage
costs
for
the
allegations
are
believed
to
be
negligible."
Given
the
extremely
long
storage
requirements
for
allegations,
EPA
should
devote
more
analysis
to
the
burden
presented
by
this
requirement.
Accurately
maintaining
and
securing
files
that
are
subject
to
EPA
inspection
and
compliance
verification
requires
a
significant
amount
of
time
and
resources
–
particularly
when
the
length
of
retention
time
can
be
measured
in
decades.
EPA's
dismissal
of
this
burden
is
inappropriate.
Finally,
EPA's
calculation
of
managerial
burden
appears
to
be
generated
using
a
singleactor
model.
The
Supporting
Statement
outlines
costs
associated
with
one
person
being
responsible
for
reading
a
Federal
Register
notice
concerning
a
TSCA
8(
c)
rule.
However,
in
medium
to
large
companies,
there
will
be
several
such
managers
–
all
reading
the
same
Federal
Register
report
and
going
through
the
same
motions
outlined
with
the
single
manager.
EPA's
cost
estimate
neglects
to
address
the
increased
managerial
burden
for
larger
companies.
In
this
and
all
its
ICRs,
EPA
should
strive
to
provide
OMB
with
information
that
reflects
actual
industry
practices
and
associated
costs.
In
the
TSCA
8(
c)
report,
the
total
burden
to
industry
is
underestimated.
Before
the
ICR
is
presented
to
OMB,
EPA
should
reanalyze
the
factors
associated
with
TSCA
8(
c)
reporting
and
appropriately
adjust
the
burden
estimate.
By
doing
so,
EPA
will
provide
OMB
and
the
public
with
a
more
accurate
assessment
of
the
cumulative
burden
of
TSCA
regulations.
If
you
have
any
questions
on
the
Council's
concerns,
please
fell
free
to
contact
Kathleen
Roberts
at
703/
741
5222.
Sincerely,
/s/
Larry
W.
Rampy
Co
Leader
Product
Stewardship
Team
[EPA
analysis
and
response]
August
28,
2002
MEMORANDUM
SUBJECT:
Response
to
Comment
Received
on
the
TSCA
Section
8(
c)
Information
Collection
Request
Renewal
(1031)
FROM:
Charles
M.
Auer,
Director
Chemical
Control
Division
(7405)
TO:
Angela
Hoffman,
Director
Regulatory
Coordination
Staff
(7101)
BACKGROUND
Section
8(
c)
of
the
Toxic
Substances
Control
Act
(TSCA),
15
U.
S.
C.
2607(
c),
P.
L.
94
469
requires
that
any
person
who
manufactures,
processes,
or
distributes
in
commerce
any
chemical
substance
or
mixture
must
keep
records
of
significant
adverse
reactions
to
health
or
the
environment,
as
prescribed
by
40
CFR
717,
alleged
to
have
been
caused
by
the
substance
or
mixture.
TSCA
section
8(
c)
requires
that
allegations
of
significant
adverse
reactions
to
the
health
of
employees
be
kept
for
thirty
years,
and
all
other
allegations
be
kept
for
five
years.
The
rule
also
prescribes
the
conditions
under
which
a
firm
must
submit
or
make
the
records
available
to
a
duly
designated
representative
of
the
Administrator.
Only
the
American
Chemistry
Council
(ACC)
responded
to
the
Federal
Register
notice
(67
FR
18604,
April
16,
2002)
announcing
EPA's
intent
to
submit
the
ICR
renewal
for
TSCA
section
8(
c)
to
OMB.
ACC's
comments
and
EPA's
responses
are
contained
herein.
COMMENTS/
RESPONSES
1.
In
the
opening
paragraph,
the
ACC
states
"The
current
estimate
included
in
the
ICR
is
too
low
and
as
a
consequence,
the
cumulative
regulatory
impact
of
TSCA
on
industry
is
greater
than
indicated
in
EPA's
documentation."
EPA
believes
that
the
annual
hours
estimates
calculated
for
the
record
keeping,
reporting,
and
notice
review
associated
with
TSCA
section
8(
c)
are
based
on
best
available
data
at
the
time
of
calculation.
If
the
ACC
has
better
or
more
accurate
data,
EPA
would
be
willing
to
evaluate
and
consider
these
in
estimating
burdens.
Any
specifics
would
be
greatly
appreciated.
2.
In
the
fifth
paragraph,
the
ACC
says
"The
burden
estimate
does
not
include
any
consideration
of
time
needed
for
internal
training
of
personnel,
for
developing
reporting
procedures,
or
for
storage
and
maintenance
of
records."
Subsequent
paragraphs
in
the
ACC's
letter
further
discuss
each
of
these
concerns
in
very
general
terms.
EPA
follows
all
requirements
of
the
Paperwork
Reduction
Act
in
developing
the
methodologies
used
in
estimating
required
respondent
activities
of
recordkeeping,
reporting,
and
notice
review
associated
with
this
specific
ICR.
EPA
agrees
that
training
is
very
important.
Burden
includes
the
time
to
train.
Section
8(
c)
instruction
would
be
part
of
any
existing
and
ongoing
training
programs
related
to
TSCA
or
worker
safety
and
health.
Section
8(
c)
requirements
are
little
changed
since
initial
implementation
in
1983;
those
changes
being
the
result
of
industry
recommendations.
Again,
specific
information
would
guide
us
in
further
assessing
any
additional
burden
of
section
8(
c)
as
a
component
of
providing
TSCA
or
health
and
safety
training.
Given
the
estimated
average
number
of
annual
allegations
for
a
large
firm
is
less
than
3
per
year,
EPA
believes
that
its
statement
of
negligible
storage
and
maintenance
costs
are
valid.
An
ICR
renewal
concerns
itself
with
only
three
years
at
a
time;
thus,
an
average
of
fewer
than
9
allegations
would
be
received
for
storage
and
maintenance
during
this
renewal
period.
3.
The
ACC
in
its
third
from
last
paragraph
says
"Finally,
EPA's
calculation
of
managerial
burden
appears
to
be
generated
using
a
`single
actor'
model.."
as
it
relates
to
them
reading
a
Federal
Register
concerning
a
TSCA
8(
c)
rule.
They
go
on
to
say
that
in
medium
to
large
companies
several
such
managers
would
all
be
doing
the
same
thing.
In
the
ICR,
EPA
does
state
that
respondents
are
responsible
for
monitoring
the
Federal
Register
for
possible
reporting
requirements.
The
ICR
also
says
that
EPA
will
attempt
to
identify
and
notify
any
companies
that
would
be
subject
to
reporting.
In
the
nineteen
years
since
implementation
of
the
rule,
only
31
reports
have
been
received
based
on
a
request;
none
in
over
ten
years.
In
addition,
the
TSCA
section
8(
c)
rule
states
that
firms
are
to
keep
significant
adverse
reaction
allegations
"at
the
firm's
headquarters
or
at
any
other
appropriate
location
central
to
the
firm's
chemical
operations"
(CFR
717.15).
Thus
any
reporting
requirements
are
the
responsibility
of
a
central
location
which
for
burden
estimation
should
be
virtually
a
single
actor.
We
appreciate
the
general
comments
in
the
letter
submitted
by
the
American
Chemistry
Council.
If
you
have
any
questions
about
this
matter,
please
contact
Gerry
Brown
at
202
564
8086
or
Dave
Williams
at
202
564
8179.
cc:
Frank
Kover
Dave
Williams
Paul
Campanella
Gerry
Brown
Ron
Carlson
| epa | 2024-06-07T20:31:45.559287 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0002-0006/content.txt"
} |
EPA-HQ-OPPT-2002-0003-0001 | Notice | 2002-04-10T04:00:00 | Forum on State and Tribal Toxics Action; Notice of Public Meeting | epa | 2024-06-07T20:31:45.575078 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0003-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0004-0001 | Notice | 2002-04-16T04:00:00 | TSCA Section 5(a)(2) Significant New Use Rules for Existing Chemicals; Request for
Comment on Renewal of Information Collection Activities | epa | 2024-06-07T20:31:45.576074 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0004-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0004-0003 | Notice | 2002-05-15T04:00:00 | TSCA Section 5(a)(2) Significant New Use Rule for Existing Chemicals; Request for
Comment on Renewal of Information Collection Activities; Extension of Comment Period | epa | 2024-06-07T20:31:45.577093 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0004-0003/content.txt"
} |
|
EPA-HQ-OPPT-2002-0005-0001 | Notice | 2002-04-16T04:00:00 | Data Submissions for the Voluntary Children's Chemical Evaluation Program; Request for
Comment on Information Collection Activities | epa | 2024-06-07T20:31:45.578042 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0005-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0005-0003 | Notice | 2002-05-15T04:00:00 | Data Submissions for the Voluntary Children's Chemical Evaluation Program; Request for
Comment on Information Collection Activities; Ext. of Comment Period | epa | 2024-06-07T20:31:45.578891 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0005-0003/content.txt"
} |
|
EPA-HQ-OPPT-2002-0005-0007 | Supporting & Related Material | 2002-12-19T05:00:00 | null | PAPERWORK
REDUCTION
ACT
SUBMISSION
Please
read
the
instructions
before
completing
this
form.
For
additional
forms
or
assistance
in
completing
this
form,
contact
your
agency's
Paperwork
Clearance
Officer.
Send
two
copies
of
this
form,
the
collection
instrument
to
be
reviewed,
the
Supporting
Statement
and
any
additional
documentation
to:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget,
Docket
Library,
Room
10102,
725
17th
Street
NW
Washington,
DC
20503.
1.
Agency/
Subagency
originating
request
EPA,
Office
of
Prevention,
Pesticides
&
Toxic
Substances
2.
OMB
control
number
b.
O
None
a.__
__
__
__
2
0
7
0
3.
Type
of
information
collection
(
check
one)
a.
O
New
collection
b.
G
Revision
of
a
currently
approved
collection
c.
G
Extension
of
a
currently
approved
collection
d.
G
Reinstatement,
without
change,
of
a
previously
approved
collection
for
which
approval
has
expired
e.
G
Reinstatement,
with
change,
of
a
previously
approved
collection
for
which
approval
has
expired
f.
G
Existing
collection
in
use
without
an
OMB
control
number
4.
Type
of
review
requested
(
check
one)
a.
O
Regular
b.
G
Emergency
Approval
requested
by:
/
/
c.
G
Delegated
5.
Small
entities
Will
this
information
collection
have
a
significant
economic
impact
on
a
substantial
number
of
small
entities?
G
Yes
G
No
For
b
f,
note
item
A2
of
Supporting
Statement
Instructions
6.
Requested
expiration
date
a.
O
Three
years
from
approval
date
b.
G
Other
Specify:
/
/___
7.
Title
Data
Submission
for
the
Voluntary
Children's
Chemical
Evaluation
Program
(
VCCEP)
8.
Agency
form
number(
s)
(
If
applicable)
EPA
ICR
#
2055.01
9.
Keywords
Environmental
Protection;
Hazardous
Substances;
Reporting
and
Recordkeeping
Requirements
10.
Abstract
This
information
collection
involves
a
voluntary
program
intended
to
obtain
data
on
health
effects,
exposure,
risk,
and
other
information
needed
to
evaluate
the
safety
of
chemicals
to
which
children
have
a
high
likelihood
of
exposure,
and
thereby
enable
the
public
to
understand
the
potential
health
risks
to
children
associated
with
exposure
to
such
chemicals.
11.
Affected
public
(
Mark
primary
with
"
P"
and
all
others
that
apply
with
"
X")
a.
Individuals
or
households
d.
Farms
b.
P
Business
or
other
for
profit
e.
Federal
Government
c.
Not
for
profit
institutions
f.
State,
Local
or
Tribal
Government
12.
Obligation
to
respond
(
Mark
primary
with
"
P"
and
all
others
that
apply
with
"
X")
a.
P
Voluntary
b.
G
Required
to
obtain
or
retain
benefits
c.
G
Mandatory
13.
Annual
reporting
and
recordkeeping
hour
burden
a.
Number
of
respondents
23
b.
Total
annual
responses
297
1.
Percentage
of
these
responses
collected
electronically
Unknown
%
c.
Total
hours
requested
154,332
d.
Current
OMB
inventory
0
e.
Difference
154,332
f.
Explanation
of
difference
1.
Program
Change
154,332
2.
Adjustment
0
14.
Annual
reporting
and
recordkeeping
cost
burden
(
in
thousands
of
dollars)
a.
Total
annualized
capital/
startup
costs
0
b.
Total
annual
costs
(
O&
M)
0
c.
Total
annualized
cost
requested
0
d.
Current
OMB
inventory
0
e.
Difference
0
f.
Explanation
of
difference
1.
Program
change
0
2.
Adjustment
0
15.
Purpose
of
information
collection
(
Mark
Primary
With
"
P"
and
all
others
that
apply
with
"
X")
a.
__
Application
for
benefits
e.
__
Program
planning
or
management
b.
__
Program
evaluation
f.
__
Research
c.
__
General
purpose
statistics
g.
P
Regulatory
or
compliance
d.
__
Audit
16.
Frequency
of
recordkeeping
or
reporting
(
check
all
that
apply)
a.
G
Recordkeeping
b.
G
Third
party
disclosure
c.
O
Reporting
1.
O
On
occasion
2.
G
Weekly
3.
G
Monthly
4.
G
Quarterly
5.
G
Semi
annually
6.
G
Annually
7.
G
Biannually
8.
G
Other
(
describe)
17.
Statistical
methods
Does
this
information
collection
employ
statistical
methods?
G
Yes
O
No
18.
Agency
contact
(
person
who
can
best
answer
questions
regarding
the
content
of
this
submission)
Name:
Angela
F.
Hofmann,
Director,
Regulatory
Coordination
Staff
Phone:
202
564
0258
OMB
83
I
10/
95
19.
Certification
for
Paperwork
Reduction
Act
Submissions
On
behalf
of
this
Federal
agency,
1
certify
that
the
collection
of
information
encompassed
by
this
request
complies
with
5
CFR
1320.9.
NOTE:
The
text
of
5
CFR
1320.9,
and
the
related
provisions
of
5
CFR
1320.8(
b)(
3),
appear
at
the
end
of
the
instructions.
The
certification
is
to
be
made
with
reference
to
those
regulatory
provisions
as
set
forth
in
the
instructions.
The
following
is
a
summary
of
the
topics,
regarding
the
proposed
collection
of
information,
that
the
certification
covers:
(
a)
It
is
necessary
for
the
proper
performance
of
agency
functions;
(
b)
It
avoids
unnecessary
duplication;
(
c)
It
reduces
burden
on
small
entities;
(
d)
It
uses
plain,
coherent,
and
unambiguous
terminology
that
is
understandable
to
respondents;
(
e)
Its
implementation
will
be
consistent
and
compatible
with
current
reporting
and
recordkeeping
practices;
(
f)
It
indicates
the
retention
periods
for
recordkeeping
requirements;
(
g)
It
informs
respondents
of
the
information
called
for
under
5
CFR
1320.8(
b)(
3):
(
i)
Why
the
information
is
being
collected;
(
ii)
Use
of
information;
(
iii)
Burden
estimate;
(
iv)
Nature
of
response
(
voluntary,
required
for
a
benefit,
or
mandatory);
(
v)
Nature
and
extent
of
confidentiality;
and
(
vi)
Need
to
display
currently
valid
OMB
control
number;
(
h)
It
was
developed
by
an
office
that
has
planned
and
allocated
resources
for
the
efficient
and
effective
management
and
use
of
the
information
to
be
collected
(
see
note
in
Item
19
of
the
instructions);
(
i)
It
uses
effective
and
efficient
statistical
survey
methodology;
and
(
j)
It
makes
appropriate
use
of
information
technology.
If
you
are
unable
to
certify
compliance
with
any
of
these
provisions,
identify
the
item
below
and
explain
the
reason
in
Item
18
of
the
Supporting
Statement.
Signature
of
Program
Official
Angela
F.
Hofmann,
Director
Regulatory
Coordination
Staff
(
OPPTS)
Date
Signature
of
Senior
Official
or
designee
Oscar
Morales,
Director
Collection
Strategies
Division
Office
of
Environmental
Information
(
OEI)
Date
OMB
83
I
10/
95
| epa | 2024-06-07T20:31:45.580582 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0005-0007/content.txt"
} |
EPA-HQ-OPPT-2002-0006-0049 | Supporting & Related Material | 2002-10-16T04:00:00 | null | Safe
Handling
I
Mixing
Program
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
l
Webster,
TX
77598
l
(281)
486
5600
l
800
877
2570
l
Fax
(281)
486
7300
www.
AvantiGrout.
com
Hazardous
Materials
Classifications
`,
_,
2
`.
^_..
.
..~
i
CD
Chemical
Grout
,.
.
.
,'
'
Mixing
&
Safe
Handling
Presented
by
Jay
Guillot
t
2
ternational
History
.:
x
._
,"
,,~
Avanti
was
established
in
1978.
Avanti
is
leading
supplier
of
Acrylamide,.
Acrylic,
and
Urethane
chemical
grouts.
Avanti
also
supplies
pumps,
injection
equipment,
and
safety
gear,
1,
Personal
Safety
I
2.
Understanding
Placards
and
MSDS
3m
Personal
Protective
Equipment
PPE
4,
Housekeeping
5.
Storage
6&
Transportation
7.
Disposal
Issues
Containers
and
Grout
I.
AV
100
AM
Powder
Mixing
2.
AV
100
Blend
Powder
Mixing
3.
AV
100
Liquid
Mixing
4,
AV
118
Liquid
Mixing
5.
Grout
Additives
6.
Question
and
Answer
Session
7.
Test
for
Certification
Who
is
responsible
for
your
safety
everyday?
you
14
I
I
0
mer
.,~
",,
I
"._
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Odorless
white
crystalline
powder
much
like
table
salt.
Boiling
Point:
N/
L
Vapor
Pressure(
mm
Hg.):
0.03
(extremely
low)
Vapor
Density(
Air=
l):
N/
L
Specific
Gravity(
Water
=I):
l.
222g/
cm3
@
86°
F
(30%)
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate=
1):
N/
L
Solubility
in
Water:
58g/
lOOg
(680F/
20°
C)
15
AV
102
ersulfate
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Odorless,
white
crystals.
Boiling
Point:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Density(
Air=
l):
N/
A
Specific
Gravity(
Water
=
1):
1.98
Melting
Point:
Decomposes
Evaporation
Rate(
Butyl
Acetate=
1):
N/
A
Solubility
in
Water:
510/
0
@
77°
F
(25°
C)
I
,,~
"2
onomer
Section
4:
Fire
and
Explosion
Hazard
Data
I
16
Flash
Point:
273.2OF
(134°
C)
Seta
flash
Closed
cup
Flammable
Limits:
Not
applicable,
although
dust
in
air
may
be
explosive.
Extinguishing
Media:
Water
spray,
carbon
dioxide,
or
dry
chemical.
Special
Fire
Fighting
Procedures:
Avoid
skin
contamination
and
inhalation
by
wearing
full
protective
clothing
and
self
contained
breathing
apparatus.
Approach
fire
from
upwind
to
avoid
hazardous
vapors
and
toxic
decomposition
products.
Unusual
Fire
and
Explosion
Hazards:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
17
rsulfate
I
/
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Point:
N/
A
Flammable
Limits:
N/
A
Extinguishing
Media:
Flood
with
water.
Special
Fire
Fighting
Procedures:
Fire
fighters
should
wear
selfcontained
breathing
apparatus
and
full
protective
clothing.
Do
not
use
carbon
dioxide
or
other
gas
filled
fire
extinguishers,
they
will
have
no
effect
on
decomposing
Persulfate.
Use
water
sprav
to
cool
nearbv
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
of
material
releases
oxygen
that
may
intensify
fire.
The
presence
of
water
accelerates
decomposition.
1
/
x
onomer
Section
5:
Reactivity
Data
Stability:
Not
stable;
heating
to
more
than
140°
F
(60°
C)
or
exposinq
to
direct
sunliqht
may
cause
polvmerization.
Incompatibility(
Materials
to
Avoid):
Avoid
acids,
alkalis,
peroxides,
oxidizing
and
reducing
agents,
or
carbon
steel.
Decomposition:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide,
ammonia,
and
hydrogen
cyanide.
Polymerization:
May
occur.
Store
at
80°
F
(60°
C)
with
no
exposure
to
direct
sunlight.
18
19
onium
P
,,
Section
5:
Reactivity
Data
Stability:
Stable
(becomes
unstable
in
presence
of
moisture).
Incompatibility(
Materials
to
Avoid):
Acids,
alkalis,
halides,
reducing
agents,
combustible
materials,
and
heavy
metals.
Decomposition:
Will
liberate
oxwen
that
supports
combustion,
and
oxides
of
sulfur
and
nitroaen.
Polymerization:
Will
not
occur,
20
nomer
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Do
not
leave
product
container
open
to
atmosphere.
Take
measures
not
to
raise
dust,
mist,
or
vauor,
Disposal
Method:
Incinerate
or
treat
at
a
sewerage
plant
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Collect
into
a
closed
container
and
dispose
of
in
accordance
with
governmental
regulations.
Wash
out
the
area
with
nlentv
of
water.
Other
Precautions:
Wear
motective
clothinu
when
handlinq
this
product.
21
AV
102
nium
ersulfate
ii
1
Section
6:
Storage,
Disposal
And
Spill
Information
1
Storage
and
Handling:
Store
in
a
cool,
dry
place
away
from
sources
of
heat.
Disposal
Method:
Dilute
with
plenty
of
water
and
dispose
in
accordance
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Put
material
in
an
approved
DOT
container
or
dilute
with
a
larae
cluantitv
of
water,
Other
Precautions:
u
se
protective
clothing
when
handling
this
product.
(Use
clean
plastic
or
stainless
steel
scoops
only.)
AV
100
AM
I
i
(
5
i
22
Section
7:
Precautionary
Measures
Respiratory
Protection:
NIOSH(
National
Institute
for
Occupational
Safety
and
Health)
Approved
organic
vapor
respirator,
full
face
piece
respirator
preferred.
Ventilation:
Local
exhaust.
Protective
Clothing:
Tychem
Suit.
Eye
Protection:
Goggles,
if
using
a
half
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
boots.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
I
1
Section
7:
Precautionary
Measures
Respiratory
Protection:
Use
NIOSH
approved
respirator.
Ventilation:
Mechanical/
local
exhaust
capable
of
minimizing
dust
emissions.
Protective
Clothing:
Tychem
suit.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
boots.
Work/
Hygienic
Practices:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
23
n
er
24
Section
8:
Health
Related
Data
I
I
Primary
Route(
s)
of
Entry:
Skin
absorption,
Eve
contact,
and
Inhalation.
Health
Hazards:
Repeated
exposure
may
result
in
more
than
one
disease
of
the
nervous
system.
Eye
Contact:
Eye
contact
may
cause
conjunctival
irritation
and
cornea1
injury.
Skin
Contact:
Skin
contact
causes
irritation,
reddening,
and
peeling.
Inhalation:
Repeated
inhalation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
Get
medical
attention.
Skin:
Wash
thoroughly
with
soap
and
water.
Get
medical
attention.
Inhalation:
Remove
to
fresh
air.
Get
medical
attention.
Ingestion:
Drink
water
and
induce
vomiting.
Take
50
grams
of
activated
charcoal
by
mouth.
Get
immediate
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
25
nium
Persulfate
Section
8:
Healt
Primary
Route(
s)
of
Entry:
Skin,
inhalation
and
Eve
contact.
Health
Hazards:
Exposure
to
high
levels
of
dust
may
cause
difficulty
in
breathing
in
sensitive
persons.
Eye
Contact:
Dust
may
irritate
the
eyes.
Skin
Contact:
Prolonged
or
repeated
contact
with
dust
may
cause
dermatitis.
Inhalation:
Breathing
dust
may
irritate
nose,
throat,
and
lungs.
Prolonged
exposure
may
cause
difficulty
in
breathing.
Ingestion:
N/
L
First
Aid
Procedures:
Eyes:
Immediately
flush
with
running
water
for
15
minutes,
lifting
upper
and
lower
eyelids
occasionally.
Get
medical
attention
if
irritation
persists.
Skin:
Immediately
wash
contaminated
area
with
water.
Remove
contaminated
clothing/
shoes
and
wash
before
reuse.
If
irritation
persists,
get
medical
attention.
Inhalation:
Remove
to
fresh
air.
If
difficulty
in
breathing
occurs,
get
immediate
medical
attention.
Ingestion:
Rinse
mouth
with
water.
Do
not
induce
vomiting.
Get
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
26
Section
9:
Toxicity
Data
,
I
Carcinogenicity:
This
material
is
listed
as
a
potential
carcinogen
by
the
IARC(
IWernationa/
Agency
fir
Research
on
Cancer).
In
January
1992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and
"acrylamide
is
not
carcinogenic
in
humans
as
shown
by
two
epidemiological
studies."
LD,,:
Oral(
rat):
175
mg/
kg
27
ersulfate
,,
1
Section
9:
Toxicity
Data
Carcinogenicity:
This
material
is
not
considered
a
carcinogen.
LD,,:
Oral
(rat):
495
mg/
kg
Dermal
(rabbit):
2000
mg/
kg
28
tective
ipment
i
Respirators
Chemical
Resistant
Gloves
Chemical
Resistant
Boots
Splash
Goggles
Safety
Glasses
Chemical
Resistant
Suit
f
`:.
apor/
PlOO
Cartridges
Mliwsjil~
b>"~~~~
r
3M
60921
BEST
COPY
AVAILABLE
i
%
32
Formaldehyde/
Organic
Vapor
1
3M
60925
1
BESTCOPYAVAILABLE
33
ong
with
this
picture?
34
ry
Protection
Standard
^
_,
",
If
you
are
required
to
wear
a
respirator,
your
employer
is
responsible
for
following:
1,
Medical
evaluation
2,
Fit
testing
3,
Training
35
BEST
COPY
AVAILABLE
Uvex
Safety
Goggles
Model
9301
36
Coolest
1
StarLite
Part
#
468M
1
37
h
Wall
Station
BEST
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AVAlLABeE
Eyesaline
When
do
we
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the
directions
for
use?
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e
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Model
727
/
3
9
BEST
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DEX
7005
40
t
s
i
1
SFTY
Boots
/
DuPont
Protective
Apparel
Tip:
Beware
of
the
"Take
Home"
Problem
"To
prevent
hazardous
materials
from
traveling
from
the
workplace
into
your
car
or
home,
always
wear
the
proper
apparel
in
the
correct
manner.
Take
care
to
doff
garments
without
contaminating
your
skin,
hair
or
street
clothing.
Showering
provides
an
added
precaution
but
cannot
totally
eliminate
contaminants
from
skin
and
hair.
And
never
take
contaminated
garments
home
for
any
reason."
42
The
best
equipment
in
the
world
will
not
protect
an
employee
unless
it
is
used
and
c
43
/
Inspect
all
PPE
before
each
use.
NEVER
use
damaged
or
contaminated
items,
1
Wear,
store,
and
clean
PPE
according
to
manufacturers
guidelines.
'
BEST
COPY
AVAILABLE
45
Which
chemicals
are
not
compatible?
Where
do
we
find
this
information?
MSDS
Sheets!
I
7
I
i
r
1
I
3
4
r
R
C
C
T
PT\
DV
A\/
Ali
ARI
LL
72
::
.
.,
".
l
.,^,
*
73
I
;
`.
BEST
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100
Liquid
in
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Liquid
25
BESTCOPYAVAILABLE
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ernational
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h%
,Y
i
*W
Y
>
.^.
*
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Fax
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Hazardous
Materials
Classifications
Page
2
of
2
March
12,200l
Material
Safety
Data
Sheet
Product
Name:
Acme
/Gordon's
BARRIER
50W
Dichlobenil
Herbicide
MSDS
No.:
507
a
Version
No.:
013
EPA
Registration
No.:
2227
676
Handling
and
Storage
(Continued)
Precautions
to
be
Taken:
STORAGE:
Do
not
contaminate
water,
food,
or
feed
by
storage
or
disposal.
Store
product
in
original
container
only
and
in
a
locked
storage
area.
For
disposal,
rinse
thoroughly
and
securely
wrap
original
container
in
several
layers
of
newspaper
and
discard
in
trash.
Do
not
reuse
empty
container.
Other
Precautions:
NI
IK!
rx
Exp
osure
Controls/
Personal
Protection:
Ventilation
Requirements:
Good
local
ventilation
is
required.
Personal
Protective
Equipment:
CAUTION:
Harmful
if
swallowed
or
absorbed
through
the
skin.
Avoid
breathing
spray
mist.
Avoid
contact
with
skin,
eyes
or
clothing.
Wear
protective
clothing
including
rubber
gloves
when
handling.
PROTECTIVE
CLOTHING:
Wear
long
sleeves
and
pants;
chemical
resistant
gloves
and
shoes
with
socks.
EYE
PROTECTION:
Wear
safety
glasses
or
goggles.
RESPIRATORY
PROTECTION:
If
exposure
limits
may
be
exceeded,
wear
dust/
mist
filtering
respirator
(MSHAINIOSH
approval
number
prefix
TC
21
C),
or
a
NIOSH
approved
respirator
with
any
N,
R,
P
or
HE
filter.
IX
Physical
and
Chemical
Properties:
Boiling
Point:
Nl
Melting
Point:
Nl
Evaporation
Rate
(Butyi
Acetate
q
1)
:
NI
Vapor
Pressure
(mm
Hg.):
See
below
Vapor
Density
(Air
q
1):
Nl
Specific
Gravity
(l
i20
q
1):
o.~~
o
Solubility
in
Water:
Wettable
powder.
Appearance
and
Odor:
Tan
powder;
aromatic.
Other
Information:
NI
Stability
and
Reactivity:
Stability:
Stable.
Incompatibility
(Materials
to
Avoid):
Strong
oxidizing
agents,
and/
or
extreme
heat.
Decomposition/
By
Products:
Burning
may
produce
chloride
and
nitrogen
oxide
gases.
Hazardous
Polymerization:
Will
not
occur.
/XZ
Toxicological
Information:
Dermal
LDSO:
>2
g/
kg
body
weight.
XII.
Ecological
Information:
Do
not
apply
directly
to
lakes,
ponds,
or
streams.
Do
not
contaminate
water
when
disposing
of
equipment
washwater.
For
terrestrial
uses,
do
not
apply
directly
to
water,
or
to
areas
where
surface
water
is
present,
or
to
intertidal
areas
below
the
mean
high
water
mark.
Do
not
allow
spray
to
drift
onto
Ecological
Information
(Continued)
nontarget
crops
or
vegetation.
KIII.
Disposal
Considerations:
PESTICIDE
DISPOSAL:
Wastes
resulting
from
the
use
of
this
product
may
be
disposed
of
on
site
or
at
an
approved
waste
disposal
facility.
CONTAINER
DISPOSAL:
Triple
rinse
(or
equivalent).
Then
offer
for
recycling
or
reconditioning,
or
puncture
and
dispose
of
in
a
sanitary
landfill,
or
incineration,
or
if
allowed
by
state
and
local
authorities
by
burning.
If
burned
stay
out
of
smoke.
KIV.
Transport
IFformation:
The
following
guidelines
apply
for
domestic
ground
transport.
If
shipping
by
air
or
ocean,
please
contact
our
Transportation
Dept.
Freight
Class:
Herbicides,
NOI
NMFC
#50320
In
our
current
available
sizes,
this
product
does
not
qualify
as
a
Hazardous
Material.
bV;
Regulatory
Irzformation:
OSHA
STATUS:
This
product
is
hazardous
under
the
criteria
of
the
Federal
OSHA
Hazard
Communication
Standard
29
CFR
1910.1200.
TSCA
STATUS:
This
product
is
exempt
from
TSCA
Regulation
under
FIFRA
Section
3(
2)(
B)(
ii)
when
used
as
a
pesticide.
CERCLA
REPORTABLE
QUANTITY:
200
pounds
of
the
formulation
which
contains
100
pounds
of
Dichlobenil
SARA
TITLE
Ill:
SECTION
302
EXTREMELY
HAZARDOUS
SUBSTANCES:
None
SECTION
31
l/
312
HAZARD
CATEGORIES:
Immediate
Health
Hazard,
Delayed
Health
Hazard
SECTION
313
TOXIC
CHEMICALS:
None
RCRA
STATUS:
if
discarded
in
its
purchased
form,
this
product
would
not
be
a
hazardous
waste
either
by
listing
or
by
characteristic.
However,
under
RCRA
it
is
the
responsibility
of
the
product
user
to
determine
at
the
time
of
disposal,
whether
a
material
containing
the
product
or
derived
from
the
product
should
be
classified
as
a
hazardous
waste.
(40
CFR
261.20
24)
/Xv7
Other
Information:
REASON
FOR
ISSUE:
To
revise
MSDS
to
the
ANSI
2400.1
1996
format
NOTE:
NI
means
not
indicated.
The
information
and
statements
in
this
Material
Safety
Data
Sheet
are
believed
to
accurately
reflect
the
scientific
evidence
used
in
making
the
hazard
determination,
but
is
not
to
be
construed
as
a
warranty
or
representation
for
which
we
assume
legal
responsibility.
Additional
information
may
be
necessary
or
desirable
depending
on
particular,
exceptional
or
variable
conditions
or
circumstances
of
use
or
storage
or
because
of
locally
applicable
laws
or
government
regulations.
Therefore,
you
should
use
this
information
only
as
a
supplement
to
other
information
available
to
you
and
must
make
independent
determinations
of
the
suitability
of
the
information
for
your
particular
circumstances
or
conditions
and
of
the
completeness
of
the
information
available
from
all
sources
to
assure
both
the
proper
use
of
the
material
described
herein,
and
the
safety
and
health
of
employees.
Page
1
of
2
March
12,200l
Material
`Safety
Data
Sheet
Product
Name:
Acme
/Gordon's
BARRIER
50W
Dichlobenil
Herbicide
MSDS
No.:
5078
I.
Basic
Information:
Version
No.:
013
EPA
Registration
No.:
2217
I
Manufacturer:
PBl/
Gordon
Corporation
Address:
1217
West
12th
Street
City,
State
Zip:
Kansas
City,
MO
64101
1407
Information
Contact:
Environmental;
Health,
&
Safety
Dept.
Information
Telephone
Number:
(816)
421
4070
Emergency
Contact:
Chemtrec
Emergency
Telephone
Number:
(800)
424
9300
1
Health
1
Flammability
0
Reactivity
E
Pen.
Protection
Last
Update:
11/
21/
00
Chemical
State:
B
Liquid
0
Gas
q
Solid
Chemical
Type:
Pure
q
Mixture
II.
Ingredients:
q
Trade
Secret
(ND
=Nor
Disclosed)
CAS
No.
Chemical
Name
%
Range
E
H
S
IARC
SARA
313
OSHA
ACGIH
O
t
h
e
r
NTP
SUB
Z
1
PEL
TLV
Limits
1194656
2,6
Dichlorobenzonitrile
(Dichlobenil)
1332587
Kaolin
clay
14808607
Q
u
a
r
t
z
50.0
N
N
N
NN
NI
NI
NI
36.6
N
N
N
Y
N
5
mg/
m3R
2
mg/
m3R
5
mgfm3R
<2
N
Y
Y
Y
N
0.1
mg/
m3
.05
mglm3
.05
mg/
m3
EHazardous
Identification:
Hazard
Catagory:
cl
X
Acute
NChronic
q
Fire
q
Pressure
q
Reactive
Hazardous
Identification
Information:
Aromatic
tan
powder.
Irritant.
May
be
harmful
if
absorbed
through
the
skin,
or
if
swallowed.
kK
First
Aid
Measures:
Route(
s)
of
Entry:
Contact,
inhalation,
ingestion.
Health
Hazards
(Acute
and
Chronic):
EYES:
Contact
may
cause
irritation.
SKIN:
Contact
may
cause
skin
irritation.
May
be
harmful
if
absorbed
through
the
skin.
INHALATION:
May
cause
irritation
to
the
respiratory
tract.
INGESTION:
May
cause
irritation
to
the
gastrointestinal
tract.
May
be
harmful
if
swallowed.
Signs
and
Symptoms:
NI
Medical
Conditions
Generally
Aggravated
by
Exposure:
NI
Emergency
First
Aid
Procedure:
EYES:
Flush
with
clean
water
for
1
O
1
5
minutes,
holding
lids
open.
If
irritation
persists,
seek
medical
attention.
SKIN:
Bathe
and
shampoo
with
soap
and
water
to
remove
chemicals
from
skin
and
hair.
If
irritation
persists,
seek
medical
attention.
Launder
contaminated
clothing
separately
prior
to
reuse.
First
Aid
Measures
(Continued)
INHALATION:
Remove
victim
to
fresh
air.
Apply
artificial
respiration
if
needed.
If
irritation
persists,
seek
medical
attention.
INGESTION:
Call
physician
or
Poison
Control
Center.
Drink
1
or
2
glasses
of
water
and
induce
vomiting
by
touching
back
of
throat
with
finger.
G
e
t
medical
attention.
Other
Health
Warnings:
Do
not
eat,
drink
or
smoke
when
handling
product.
Avoid
contact
with
skin,
eyes
and
clothing.
K
Fire
Fighting
Measures:
Flash
Point:
NI
F.
P.
Method:
Lower
Explosive
Limit:
NI
Upper
Explosive
Limit:
NI
Fire
Extinguishing
Media:
Foam,
C02,
Dry
Chemical,
Water.
Special
Fire
Fighting
Procedures:
Wear
self
contained
breathing
apparatus.
Unusual
Fire
and
Explosion:
Extreme
heat
may
release
chloride
and
nitrogen
oxide
gases.
Runoff
from
fire
control
may
cause
pollution
to
surface
water.
If
pollution
occurs,
notify
local
authorities.
PT.
Accidental
Release
Measures:
Steps
to
be
Taken
in
Case
Material
is
Released
or
Spilled:
Do
not
touch
spilled
material.
See
Section
8
for
Personal
Protective
Equipment.
Contain
and
collect
the
spilled
product
for
reuse
or
disposal.
Cover
and
label
the
containers.
Wash
area
with
water
if
possible.
VTI.
Handling
and
Storage:
I
MSDS
for
Potassium
Ferricyanide
A.
R.
AVANTI
INTERNATIONAL
Page
2
of
2
a
RECAUTIONARY
MEASURES
Respiratory
Protection:
If
material
is
heated
or
reacted
with
acid,
wear
a
NIOSH
approved
respirator
suitable
for
cyanides.
Ventilation:
Local
and
mechanical
exhaust
systems.
Protective
Clothing:
Rubber
gloves,
long
sleeved
shirt,
trousers,
rubber
apron.
Eye
Protection:
Safety
glasses
with
side
shields.
Other
Protective
Equipment:
Eye
wash
and
safety
shower.
Work/
Hygienic
Practices:
Wash
with
soap
and
water
after
handling.
)
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption
and
inhalation.
Health
Hazards:
Fumes
resulting
from
thermal
decomposition
are
highly
toxic.
Eye
Contact:
May
cause
irritation.
Skin
Contact:
May
cause
irritation.
Inhalation:
May
cause
irritation.
Ingestion:
Causes
nausea
and
stomach
pain.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
If
irritation
develops,
get
medical
attention.
Skin:
Wash
thoroughly
with
soap
and
water.
If
irritation
develops,
get
medical
attention.
Inhalation:
Remove
to
fresh
air.
If
difficulty
in
breathing
develops,
inhale
amyl
nitrate
vapor
five
times
every
15
seconds;
give
artificial
respiration
if
necessary.
Ingestion:
If
conscious,
induce
vomiting.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
(
TOXICITY
DATA
*.
D
LO:
Oral(
rat):
1600
mg/
kg
AThe
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
t
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
NIL
=Not
Listed
Date
Issued:
September
15,
1999
Page
1
of
2
MATERIAL
SAFETY
DATA
SHEET
AVANTI
INTERNATIONAL
CHEMTREC
Emergency
Phone:
I
800
424
9300
822
Bay
Star
Blvd.
Product
Data
Information:
(281)
486
5600
Webster,
TX
77598
1
IDENTIFICATION
Trade
Name:
Potassium
Ferricyanide
A.
R.
Ingredient(
s):
Potassium
Ferricyanide
Percent:
100
CAS
Number:
13746
66
2
OSHA
PEL:
N/
E
ACGIH
TLV:
N/
E
~,
HAZARD
RATINGS
NFPA:
Health:
3
Fire:
0
Reactivity:
0
Special:
None
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Orange
to
reddish
crystals.
Boiling
Point:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Density(
Air=
l):
N/
A
Specific
Gravity(
Water
=
1):
1.85
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate=
l):
N/
A
Solubility
in
Water:
Soluble
j
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A
Flammable
Limits:
N/
A
Extinguishing
Media:
Use
any
material
suitable
for
products
in
the
same
area.
Special
Fire
Fighting
Procedures:
Wear
a
self
contained
breathing
apparatus.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
can
produce
toxic
fumes
of
cyanides.
/
REACTIVITY
Stability:
Stable
under
normal
conditions
Incompatibility(
Materials
to
Avoid):
Acids,
ammonia,
chromic
anhydride,
and
copper
sulfate.
Decomposition:
Will
emit
toxic
fumes
of
cyanides.
Polymerization:
N/
L
1
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
area.
Disposal
Method:
Dispose
of
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Sweep
into
appropriate
containers.
Other
Precautions:
N/
L
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
\r5
MSDS
for
AV
257
lcoset
AVANTI
INTERNATIONAL
Page
2
of
2
`RECAUTIONARY
MEASURES
Respiratory
Protection:
No
respiratory
protection
should
be
needed.
Ventilation:
General
ventilation.
Protective
Clothing:
Long
sleeved
shirt,
trousers.
Eye
Protection:
Safety
glasses.
Other
Protective
Equipment:
N/
L
Work/
Hygienic
Practices:
Wash
with
soap
and
water
after
handling.
7
[
HEALTH
RELATED
DATA
:
Primary
Route(
s)
of
Entry:
Inhalation,
skin
and
eye
contact.
Health
Hazards:
N/
L
Eye
Contact:
May
cause
temporary
eye
irritation.
Skin
Contact:
Short
single
exposure
is
not
likely
to
cause
significant
skin
irritation.
Prolonged
or
repeated
exposure
may
cause
skin
irritation.
Material
may
stick
to
skin
causing
irritation
upon
removal.
Skin
absorption
unlikely.
Inhalation:
Single
exposure
to
vapors
is
not
likely
to
be
hazardous.
Ingestion:
No
hazards
anticipated
from
swallowing
small
amounts
incidental
to
normal
handling
operations.
First
Aid
Procedures:
Eyes:
Flush
with
plenty
of
water.
Skin:
Wash
off
in
flowing
water
or
shower.
Inhalation:
Remove
to
fresh
air.
Ingestion:
Do
not
induce
vomiting
unless
directed
by
medical
personnel.
Get
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
"LTOXICITY
DATA
larcinogenicity:
N/
L
LDso:
Oral(
rat):
~5000
mg/
kg
Dermal:
N/
D
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
/y6
NIL
=Not
Listed
Date
issued:
June
15,200O
Page
1
of
2
~
MATERIAL
SAFETY
DATA
SHEET
I
AVANT1
INTERNATIONAL
CHEMTREC
Emergency
Phone:
I
800
424
9300
822
Bay
Star
Blvd.
Product
Data
Information:
(281)
486
5600
Webster,
TX
77598
1
IDENTIFICATION
Trade
Name:
AV
257
lcoset
Ingredient(
s):
Proprietary
carboxylated
styrene/
butadiene
polymer
CAS
Number:
Proprietary
OSHA
PEL:
N/
L
ACGIH
TLV:
N/
L
Water
CAS
Number:
7732
l
8
5
Percent:
40
62
Percent:
38
60
1
HAZARD
RATINGS
N/
L
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Milky
white
liquid
emulsion,
slight
odor.
Boiling
Point:
212°
F
(lOO°
C)
Vapor
Pressure(
mm
Hg.):
17.5
@
68°
F
(20°
C)
Vapor
Density:
0.624
@
80°
F
(26°
C)
Specific
Gravity(
Water
=
1):
.980
1.040
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate):
N/
L
Solubility
in
Water:
Product
as
sold
is
dilutable.
Polymer
component
is
insoluble.
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A
Flammable
Limits:
N/
A
Extinguishing
Media:
Water
fog,
carbon
dioxide,
dry
chemical,
or
foam.
Special
Fire
Fighting
Procedures:
Wear
positive
pressure,
self
contained
breathing
apparatus
and
full
protective
gear.
Unusual
Fire
and
Explosion
Hazards:
This
material
will
not
burn
until
the
water
has
evaporated.
Residue
can
burn.
Smoke
may
contain
unidentified
toxic
and/
or
irritating
compounds.
1
REACTliflTY
Stability:
Stable.
lncompatibility(
Materials
to
Avoid):
N/
A
Decomposition:
If
burned,
smoke
may
contain
unidentified
toxic
and/
or
irritating
compounds.
Polymerization:
Will
not
occur.
1
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
at
temperatures
between
40°
F
and
110°
F.
May
coagulate
in
freezing
temperatures
(<
32"
F/
O"
C).
Material
may
develop
bacteria
odor
on
long
term
storage.
Disposal
Method:
Do
not
dump
into
any
sewers,
on
the
ground,
or
into
any
body
of
water.
Any
disposal
practice
must
comply
with
Federal,
State,
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Avoid
dilution
of
spill.
Collect
with
absorbent
material
and
transfer
to
appropriate
containers
for
disposal.
Water
may
be
used
for
final
cleaning
of
affected
area.
Other
Precautions:
N/
L
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
118
Duriflex
AVANTI
INTERNATIONAL
Page
2
of
2
LsJ
ORAGE,
DISPOSAL
AND
SPILL
INFORMATION
~~~
`age
and
Handling:
Store
in
cool,
dry
place
(between
36°
F
and
85°
F)
in
tightly
closed
original
containers
away
from
light
and
heat.
Do
not
reuse
containers,
Disposal
Method:
Dispose
of
in
accordance
with
Federal,
State
and
Local
regulations.
If
possible,
catalyze
to
form
a
gel
for
disposal
(the
gel
formed
by
the
polymer
and
water
is
non
hazardous).
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Evacuate
area.
Wear
appropriate
protective
gear.
Dike
area
to
prevent
runoff.
Do
not
flush
into
drains.
If
recovery
is
not
possible,
catalyze
substance
to
form
a
gel.
Ventilate
and
wash
spill
area
with
plenty
of
water.
Large
Spill:
Pump
any
free
liquid
into
an
appropriate
closed
container.
Small
Spill:
Absorb
with
inert
absorbent
material.
Sweep
into
appropriate
closed
container.
Other
Precautions:
Do
not
let
monomeric
solution
dry
in
air.
Avoid
introducing
polymerization
catalysts
into
the
commercial
product
unless
it
is
diluted
with
water.
PRECAUTIONARY
MEASURES
Respiratory
Protection:
Wear
a
NIOSH
approved
full
face
piece
respirator
for
organic
vapors.
If
airborne
concentrations
exceed
permissible
exposure
limits,
wear
a
NIOSH
approved
supplied
air
respirator
or
self
contained
breathing
apparatus.
Ventilation:
Use
local
ventilation
when
possible.
Mixing
tanks
should
be
vented
to
the
outside
of
the
truck.
Protective
Clothing:
Wear
chemically
resistant
boots,
gloves,
and
chemical
suit
(Tychem
or
equivalent).
Eye
Protection:
Use
full
face
piece
respirator
for
mixing
and
cleaning
operations,
and
chemical
splash
proof
goggles
when
not
wearing
respirator.
Other
Protective
Equipment:
Eyewash
station
and
sink
should
be
readily
available.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift,
Clean
and
inspect
PPE
before
reuse.
Do
not
eat,
drink,
or
smoke
in
work
area.
1
HEALTH
RELATED
DATA
Pamary
Route(
s)
of
Entry:
Skin
absorption
and
inhalation.
lth
Hazards:
Immediate
acute
health
hazard.
Delayed
chronic
health
hazard.
Prolonged
contact
may
cause
muscle
weakness,
bluish
cold
hands,
peeling
of
the
palms,
pain,
numbness,
and
a
tingling
sensation
in
the
limbs.
Accumulative
effects
may
lead
to
central
nervous
system
disturbances.
Eye
Contact:
May
cause
redness
and
irritation.
Skin
Contact:
Harmful
if
absorbed
through
the
skin;
may
cause
irritation,
redness,
and
inflammation.
Inhalation:
Vapor
or
mist
may
cause
upper
respiratory
tract
irritation.
Ingestion:
Moderately
toxic
by
ingestion;
can
cause
nausea,
diarrhea,
and
abdominal
cramps.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
If
irritation
persists,
get
medical
attention.
Skin:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
Get
medical
attention.
Inhalation:
Remove
from
area.
If
necessary,
administer
oxygen.
If
signs
of
intoxication
exist,
get
medical
attention.
Ingestion:
Drink
l
2
glasses
of
water
and
induce
vomiting.
Get
immediate
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
Note
to
Physician:
Treat
symptomatically;
no
specific
antidote
is
available.
[
TOXICITY
DATA
7
Carcinogenicity:
Carcinogenicity
for
this
product
has
not
been
determined.
Acrylamide
and
Formaldehyde
are
considered
probable
or
suspected
hum&
carcinogens
by
OSHA,
NTP,
IARC
or
ACGIH.
Formaldehyde
is
a
chemical
known
to
the
state
of
California
to
cause
cancer.
LDso:
Oral
(rat):
500
mg/
kg
Dermal
(rabbit):
1830
mg/
kg
1
I
le
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
NIL
=Not
Listed
Date
Issued:
May
I%
2002
Page
1
of
2
1
MATERIAL
SAFETY
DATA
SHEET
I
AVANTI
INTERNATIONAL
CHEMTREC
Emergency
Phone:
l
800
424
9300
822
Bay
Star
Blvd.
Product
Data
Information:
(281)
486
5600
Webster,
TX
77598
j
IDENTIFICATION
Trade
Name:
AV
118
Duriflex
Ingredient(
s):
Water
CAS
Number:
7732
l
8
5
OSHA
PEL:
N/
A
ACGIH
TWA:
N/
A
N
Methylolacrylamide
CAS
Number:
924
42
5
OSHA
PEL:
N/
E
ACGIH
TWA:
N/
E
Acrylamide
CAS
Number:
79
06
I
OSHA
PEL:
0.3
mg/
m3
ACGIH
TWA:
0.03
mg/
m3
Formaldehyde
CAS
Number:
50
00
o
OSHA
TWA:
.75
ppm
ACGIH
STEL:
0.3
ppm
N,
N
Methylenebisacrylamide
CAS
Number:
110
26
g
OSHA
PEL:
N/
E
ACGIH
TWA:
N/
E
Percent:
247
Percent:
238
Percent:
<5
Percent:
<5
Percent:
12
)
HAZARD
RATINGS
NFPA:
Health:
2
Fire:
1
Reactivity:
0
Special:
None
/
PHYSICALI6HEMICAL
CHARACTERISTICS.
Appearance
and
Odor:
Colorless
liquid,
slight
formaldehyde
odor.
Boiling
Point:
214°
F
(101°
C)
@
760mmHg
Vapor
Pressure(
mm
Hg.):
<I7
@
77°
F
(25°
C)
Vapor
Density(
Air=
l):
N/
D
Specific
Gravity(
Water
=
1):
N/
D
Melting
Point:
N/
D
Evaporation
Rate(
Butyl
Acetate=
l):
N/
A
Solubility
in
Water:
Dispersible
II
/
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
>200°
F
(93°
C)
Flammable
Limits:
N/
E
Extinguishing
Media:
Water
spray,
carbon
dioxide,
or
dry
chemical.
Special
Fire
Fighting
Procedures:
Wear
NIOSH
approved
self
contained
breathing
apparatus
and
full
protective
clothing.
Unusual
Fire
and
Explosion
Hazards:
High
temperatures
and
fire
conditions
may
cause
rapid
and
uncontrolled
polymerization
that
can
result
in
explosions
and
the
violent
rupture
of
storage
vessels
or
containers.
/
REACTIVITY
Stability:
Stable
under
normal
handling
and
storage
conditions.
Incompatibility(
Materials
to
Avoid):
Aluminum,
iron,
copper,
bases,
acids,
oxidizing
agents,
reducing
agents,
chelating
agents,
peroxides
Decomposition:
Thermal
decomposition
may
produce
ammonia,
formaldehyde,
oxides
of
nitrogen,
and
oxides
of
carbon.
Polymerization:
May
occur.
Avoid
temperatures
above
85°
F
(29°
C)
and
incompatible
materials
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
194
N/
L
=Not
Listed
MSDS
for
AV
105
Ethylene
Glycol
AVANTI
INTERNATIONAL
Page
2
of
2
**
TORAGE,
DISPOSAL
AND
SPILL
INFORMATION
i
storage
and
Handling:
Keep
container
closed.
Product
may
become
a
solid
at
temperatures
below
8°
F
(
13°
C).
Do
not
store
near
foodstuff
or
potable
water
su.
pplies.
Product
on
surfaces
can
cause
slippery
conditions.
Disposal
Method:
Dispose
of
in
accordance
with
Federal,
State,
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Do
not
this
allow
material
to
enter
sewers,
public
water
supplies,
or
any
body
of
water.
Soak
small
spills
up
with
an
absorbent
material.
For
large
spills,
dike
and
pump
into
appropriate
containers
for
disposal.
Other
Precautions:
N/
L
1
PRECAUTIONARY
MEASURES
1
Respiratory
Protection:
For
most
conditions,
no
respiratory
protection
should
be
needed.
However,
if
material
is
heated
or
sprayed,
an
approved
air
purifying
respirator
should
be
used.
Ventilation:
General
and/
or
local
exhaust
to
maintain
levels
below
exposure
limits.
Protective
Clothing:
Long
sleeved
shirt,
trousers,
impervious
boots,
Eye
Protection:
Safety
glasses
or
full
ace
shield.
Other
Protective
Equipment:
Impervious
gloves
and
apron.
Work/
Hygienic
Practices:
Wash
thoroughly
after
handling,
and
before
eating,
drinking,
smoking
or
using
toilet
facilities.
[
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption,
eye
contact,
and
inhalation.
Health
Hazards:
Preexisting
skin,
eye,
and
respiratory
disorders
may
be
aggravated
by
exposure
to
this
product.
Eye
Contact:
Vapors,
mists,
and
direct
contact
may
cause
temporary
eye
irritation.
Cornea1
injury
is
unlikely.
Skin
Contact:
Essentially
nonirritating
to
the
skin,
Repeated
contact
to
large
quantities
may
result
in
absorption
of
harmful
amounts.
Contact
with
damaged
skin
may
result
in
absorption
of
harmful
amounts.
`"
3halation:
Excessive
exposure
may
cause
irritation
to
upper
respiratory
tract.
At
room
temperature,
exposures
to
vapors
dre
minimal
due
to
physical
properties;
higher
temperatures
may
generate
vapor
levels
sufficient
to
cause
adverse
effects.
Ingestion:
Single
dose
oral
toxicity
is
considered
to
be
moderate.
Small
amounts
swallowed
incidental
to
normal
handling
operations
are
not
likely
to
cause
injury;
however,
swallowing
large
amounts
may
cause
serious
injury,
even
death.
First
Aid
Procedures:
Eyes:
Flush
with
plenty
of
water.
Skin:
Wash
off
with
flowing
water.
Inhalation:
Remove
to
fresh
air.
Consult
a
physician
if
breathing
becomes
difficult.
Ingestion:
Induce
vomiting
immediately
as
directed
by
medical
personnel.
Get
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
I
TOXICITY
DATA
I
Carcinogenicity:
N/
L
LD5,
j:
Oral(
rat):
4700
mg/
kg
Dermal(
rabbit):
N/
D
,
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
?xpress
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
,
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
f
PO
N/
D
=Not
Determined
N/
L
=Not
Listed
Date
issued:
September
15,
2000
Page
1
of
2
1
MATERIAL
SAFETY
DATA
SHEET
I
AVANTI
INTERNATIONAL
CHEMTREC
Emergency
Phone:
I
800
424
9300
822
Bay
Star
Blvd.
Product
Data
Information:
(281)
4865600
Webster,
TX
77598
j
IDENTIFICATION
Trade
Name:
AV
105
Ethylene
Glycol
Ingredient(
s):
Ethylene
Glycol
CAS
Number:
107
21
I
OSHA
PEL:
50
pprn
ACGIH
TLV:
100
mg/
m3
Percent:
>99
(
HAZARD
RATINGS
NFPA:
Health:
1
Flammability:
1
Reactivity:
0
Special:
None
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Colorless
liquid,
slight
odor.
Boiling
Point:
387°
F
(197°
C)
Vapor
Pressure(
mm
Hg.):
0.12
@
77°
F
(25°
C)
Vapor
Density(
Air=
l):
2.14
Specific
Gravity(
Water
=
1):
1
.I
155
@
68/
68"
F
(20/
2O"
C)
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate=
l):
N/
L
Solubility
in
Water:
Complete
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
247"
F/
119"
C
(Setaflash)
Flammable
Limits:
LEL:
3.2
UEL:
N/
D
Extinguishing
Media:
Water
fog
or
fine
spray,
carbon
dioxide,
dry
chemical.
Alcohol
resistent
foams
are
preferred.
Do
not
use
direct
water
stream.
Special
Fire
Fighting
Procedures:
DO
NOT
use
direct
water
stream.
Use
self
contained
breathing
apparatus
and
full
protective
clothing.
Unusual
Fire
and
Explosion
Hazards:
N/
L
/
REACTIVITY
Stability:
Stable.
Incompatibility(
Materials
to
Avoid):
Oxidizing
materials,
strong
bases,
and
acids.
Decomposition:
Hazardous
decomposition
products
depend
upon
temperature,
air
supply,
and
the
presence
of
other
materials.
Polymerization:
Will
not
occur.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
103
Catalyst
SP
AVANTI
INTERNATIONAL
Page
2
of
2
,~
TORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
away
from
sources
of
heat.
Disposal
Method:
Dilute
with
plenty
of
water
and
dispose
in
accordance
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Put
material
in
an
approved
DOT
container
(use
clean
plastic
or
stainless
steel
scoops
only)
and
dilute
with
a
large
quantity
of
water.
Other
Precautions:
N/
L
1
PRECAUTIONARY
MEASURES
Respiratory
Protection:
Use
NIOSH
approved
dust
respirator,
Ventilation:
Mechanical/
local
exhaust
capable
of
minimizing
dust
emissions.
Protective
Clothing:
Long
sleeved
shirt,
trousers,
rubber
or
neoprene
shoes.
Eye
Protection:
Chemical
goggles
or
full
facepiece
mask.
Other
Protective
Equipment:
Rubber
or
neoprene
gloves.
Work/
Hygienic
Practices:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
1
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
and
eye
contact,
inhalation.
Health
Hazards:
Exposure
to
high
levels
of
dust
may
cause
difficulty
in
breathing
in
sensitive
persons.
Eye
Contact:
Dust
may
irritate
the
eyes.
Skin
Contact:
Prolonged
or
repeated
contact
with
dust
may
cause
dermatitis.
Inhalation:
Breathing
dust
may
irritate
nose,
throat,
and
lungs.
Prolonged
exposure
may
cause
difficulty
in
breathing.
Ingestion:
N/
L
First
Aid
Procedures:
Eyes:
Immediately
flush
with
running
water
for
15
minutes,
lifting
upper
and
lower
eyelids
occasionally.
Get
medical
attention
if
irritation
persists.
Skin:
Immediately
wash
contaminated
area
with
water.
Remove
contaminated
clothing/
shoes
and
wash
before
reuse.
If
irritation
persists,
get
medical
attention.
Inhalation:
Remove
to
fresh
air.
If
difficulty
in
breathing
occurs,
get
immediate
medical
attention.
Ingestion:
Rinse
mouth
with
water.
Do
not
induce
vomiting.
Get
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
j
TOXICITY
DATA
Carcinogenicity:
This
material
is
not
considered
a
carcinogen.
LD50:
Oral
(rat):
895
mg/
kg
Dermal
(rabbit):
10
g/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
NIL
=Not
Listed
62
Date
Issued:
June
7,200O
MATERIAL
SAFETY
DATA
SHEET
Page
1
of
2
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDEN~
ltiTlON
I
Trade
Name:
AV
103
Catalyst
SP
Ingredient(
s):
Sodium
Persulfate
CAS
Number:
7775
27
l
OSHA
PEL:
N/
E
ACGIH
TWA:
0.1
mg/
m3
Percent:
99
HAZARD
RATINGS
NFPA
704:
Health:
1
Fire:
0
Reactivity:
1
Special:
OXY
[
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Odorless,
white
crystals.
Boiling
Point:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Density(
Air=
l):
N/
A
Specific
Gravity(
Water
=
1):
2.6
Melting
Point:
Decomposes
Evaporation
Rate(
Butyl
Acetate=
l):
N/
A
Solubility
in
Water:
43%
@
77°
F
(25°
C)
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A
Flammable
Limits:
N/
A
Extinguishing
Media:
Flood
with
water.
Special
Fire
Fighting
Procedures:
Fire
fighters
should
wear
self
contained
breathing
apparatus
and
full
protective
clothing.
Do
not
use
carbon
dioxide
or
other
gas
filled
fire
extinguishers,
they
will
have
no
effect
on
decomposing
persulfates.
Use
water
spray
to
cool
nearby
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
of
material
releases
oxygen
that
may
intensify
fire.
The
presence
of
water
accelerates
decomposition.
1
R
E
A
C
T
I
V
I
T
Y
Stability:
Stable
(becomes
unstable
in
presence
of
moisture).
lncompatibility(
Materials
to
Avoid):
Acids,
alkalis,
halides,
reducing
agents,
combustible
materials,
and
heavy
metals.
Decomposition:
Will
liberate
oxygen
that
supports
combustion,
and
oxides
of
sulfur
and
nitrogen.
Polymerization:
Will
not
occur.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
102
Catalyst
AP
AVANTI
INTERNATIONAL
Page
2
of
2
"~;
T~
RAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
away
from
sources
of
heat.
Disposal
Method:
Dilute
with
plenty
of
water
and
dispose
in
accordance
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Put
material
in
an
approved
DOT
container
(use
clean
plastic
or
stainless
steel
scoops
only)
and
dilute
with
a
large
quantity
of
water.
Other
Precautions:
N/
L
1
PRECAUTIONARY
MEASURES
Respiratory
Protection:
Use
NIOSH
approved
dust
respirator.
Ventilation:
Mechanical/
local
exhaust
capable
of
minimizing
dust
emissions.
Protective
Clothing:
Long
sleeved
shirt,
trousers,
rubber
or
neoprene
shoes.
Eye
Protection:
Chemical
goggles
or
full
facepiece
mask.
Other
Protective
Equipment:
Rubber
or
neoprene
gloves.
Work/
Hygienic
Practices:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
/
HEALTH
RELATED
DATA
1
Primary
Route(
s)
of
Entry:
Skin
and
eye
contact,
inhalation.
Health
Hazards:
Exposure
to
high
levels
of
dust
may
cause
difficulty
in
breathing
in
sensitive
persons.
Eye
Contact:
Dust
may
irritate
the
eyes.
Skin
Contact:
Prolonged
or
repeated
contact
with
dust
may
cause
dermatitis.
Inhalation:
Breathing
dust
may
irritate
nose,
throat,
and
lungs.
Prolonged
exposure
may
cause
difficulty
in
breathing.
Ingestion:
N/
L
First
Aid
Procedures:
/YUI.
Eyes:
Immediately
flush
with
running
water
for
15
minutes,
lifting
upper
and
lower
eyelids
occasionally.
Get
medical
attention
if
irritation
persists.
Skin:
Immediately
wash
contaminated
area
with
water.
Remove
contaminated
clothing/
shoes
and
wash
before
reuse.
If
irritation
persists,
get
medical
attention.
Inhalation:
Remove
to
fresh
air.
If
difficulty
in
breathing
occurs,
get
immediate
medical
attention.
Ingestion:
Rinse
mouth
with
water.
Do
not
induce
vomiting.
Get
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
1
TOXICITY
DATA
Carcinogenicity:
This
material
is
not
considered
a
carcinogen.
LD50:
Oral
(rat):
495
mg/
kg
Dermal
(rabbit):
2000
mg/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express.
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handlina
of
this
DrOdUCt.
IN
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
1
5Ls
Date
Issued:
June
15,200O
MATERIAL
SAFETY
DATA
SHEET
Page
1
of
2
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDENTIFICATION
Trade
Name:
AV
102
Catalyst
AP
Ingredient(
s):
Ammonium
Persulfate
CAS
Number:
7727
54
O
OSHA
PEL:
N/
E
ACGIH
TWA:
0.1
mg/
m3
Percent:
99
[
HAZARD
RATINGS
NFPA
704:
Health:
1
Fire:
0
Reactivity:
1
Special:
OXY
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Odorless,
white
crystals.
Boiling
Point:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Density(
Air=
l):
N/
A
Specific
Gravity(
Water
=
1):
1.98
Melting
Point:
Decomposes
Evaporation
Rate(
Butyl
Acetate=
l):
N/
A
Solubility
in
Water:
51%
@
77°
F
(25°
C)
j
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A
Flammable
Limits:
N/
A
Extinguishing
Media:
Flood
with
water.
Special
Fire
Fighting
Procedures:
Fire
fighters
should
wear
self
contained
breathing
apparatus
and
full
protective
clothing.
Do
not
use
carbon
dioxide
or
other
gas
filled
fire
extinguishers,
they
will
have
no
effect
on
decomposing
persulfates.
Use
water
spray
to
cool
nearby
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
of
material
releases
oxygen
that
may
intensify
fire.
The
presence
of
water
accelerates
decomposition.
)
REACTIVITY
Stability:
Stable
(becomes
unstable
in
presence
of
moisture).
Incompatibility(
Materials
to
Avoid):
Acids,
alkalis,
halides,
reducing
agents,
combustible
materials,
and
heavy
metals.
Decomposition:
Will
liberate
oxygen
that
supports
combustion,
and
oxides
of
sulfur
and
nitrogen.
Polymerization:
Will
not
occur.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
101
Catalyst
T
AVANTI
INTERNATIONAL
Page
2
of
2
,*
TORAGE.
DISPOSAL
AND
SPILL
INFORMATION
,
storage
and
Handling:
Store
in
a
cool,
dry,
well
ventilated
place.
Keep
containers
tightly
closed.
Do
not
use
pressure
to
empty
containers.
Disposal
Method:
Comply
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Wear
protective
equipment
and
clothing.
For
small
spills
or
drips,
mop
or
wipe
up
and
dispose
of
in
DOT
approved
waste
contain&
s.
For
large
spills,
same
as
above,
or
contain
by
diking
with
soil
or
other
non
combustible
absorbent
materials,
and
then
pump
into
DOT
approved
waste
containers.
Other
Precautions:
Keep
out
of
sewers,
storm
drains,
surface
waters
and
soil.
Do
not
cut
grind,
weld
or
drill
on
or
near
a
container.
1
PRECAUTIONARY
MEASURES
Respiratory
Protection:
NIOSH
approved
organic
cartridge
respirator.
Ventilation:
Local
exhaust.
Protective
Clothing:
Rubber
gloves,
long
sleeved
shirt,
trousers,
rubber
apron.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Eyewash
and
safety
shower.
Work/
Hygienic
Practices:
Wash
thoroughly
after
handling.
j
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption
and
inhalation.
Health
Hazards:
Prolonged
or
repeated
exposure
may
result
in
delayed
liver
or
kidney
damage.
Eye
Contact:
Irritation.
Skin
Contact:
Dryness,
irritation,
possible
dermatitis.
A
single
prolonged
exposure
is
not
likely
to
result
in
harmful
amounts
being
absorbed.
,"""
nhalation:
Vapors
and
mists
irritate
the
nose
and
throat.
Inhalation
of
higher
concentrations
may
cause
headaches,
rausea,
vomiting
and
coma.
Ingestion:
Pain
or
discomfort
in
mouth,
chest
and
abdomen.
May
cause
nausea,
vomiting,
diarrhea,
dizziness,
faintness
and
coma.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
Skin:
Wash
thoroughly
with
soap
and
water.
Inhalation:
Remove
to
fresh
air.
Ingestion:
Induce
vomiting
with
water.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
1
TOXICITY
DATA
Carcinogenicity:
No
data
for
the
blend.
However,
the
individual
components
are
not
considered
carcinogens
by
NTP,
IARC
or
OSHA.
LDso:
No
data
found
for
the
blend;
however,
for
its
components:
Triethanolamine:
Ethylene
Glycol:
Oral(
rat):
8680
mglkg
Oral
(rat):
4700
mg/
kg
Dermal(
rabbit):
>2.0
g/
kg
Dermal
(rabbit):
19.5
g/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
""
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
Jse
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
Date
Issued:
September
15,
2000
MATERIAL
SAFETY
DATA
SHEET
Page
1
of
2
AVANTI
I'NTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDENTIFICATION
Trade
Name:
AV
101
Catalyst
T
Ingredient(
s):
Triethanolamine
CAS
Number:
102
71
6
OSHA
PEL:
3
ppm
ACGIH
TLV:
3
ppm
Ethylene
Glycol
CAS
Number:
107
21
I
OSHA
PEL:
50
ppm
ACGIH
TLV:
50
ppm
Deionized
Water
CAS
Number:
7732
l
8
5
OSHA
PEL:
N/
E
Percent:
70
80
Percent:
1
O
20
Percent:
l
l
0
(
HAZARD
RATINGS
NFPA:
Health:
2
Fire:
1
Reactivity:
0
Special:
None
1
[
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Colorless
liquid,
slight
ammoniacal
odor.
Boiling
Point:
>387"
F
(197°
C)
Vapor
Pressure(
mm
Hg.):
Nil
Vapor
Density(
Air=
l):
6.0
est.
Specific
Gravity(
Water
=
1):
1
.I
04
Melting
Point:
N/
A
Evaporation
Rate(
Butyl
Acetate=
l):
cl
Solubility
in
Water:
Soluble
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
>24O"
F
(115°
C)
(COC)
Flammable
Limits:
LELf
i5.3
(est.)
UEL:
3.2
(est.)
Extinguishing
Media:
Water
spray,
dry
chemical,
carbon
dioxide,
alcohol
foam.
Do
not
use
direct
water
stream.
Special
Fire
Fighting
Procedures:
Wear
self
contained
breathing
apparatus
and
full
protective
clothing.
Use
water
spray
to
cool
nearby
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
This
product
should
not
be
heated
above
40°
F
(4°
C)
in
the
presence
of
aluminum
due
to
excessive
corrosion
and
the
potential
for
a
chemical
reaction
releasing
flammable
hydrogen
gas.
[
REACTIVITY
Stability:
Stable
under
normal
conditions.
Avoid
exposure
to
heat,
sparks
and
open
flames.
Incompatibility(
Materials
to
Avoid):
Avoid
acids
and
oxidizing
materials.
Decomposition:
May
liberate
carbon
monoxide,
carbon
dioxide,
oxides
of
nitrogen.
Polymerization:
Will
not
occur.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
\
sl
MSDS
for
AV
100
Chemical
Grout
(Liquid)
AVANTI
INTERNATIONAL
Page
2
of
2
1
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Take
measures
not
to
raise
dust,
mist
and
vapor.
Provide
good
ventilation.
Wear
protective
clothing,
gloves,
boots,
goggles
and
respirators,
and
clean
them
daily
when
contaminated.
Disposal
Method:
Incinerate
or
treat
at
a
sewerage
plant
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Collect
into
a
closed
container
and
dispose
of
in
accordance
with
governmental
regulations.
Wash
out
the
area
with
plenty
of
water.
Do
not
create
dust.
Other
Precautions:
Store
below
104°
F
(40°
C)
with
no
exposure
to
direct
sunlight.
Do
not
leave
open
to
the
atmosphere.
Store
at
a
fixed
place.
Keep
emptied
bags
or
drums
at
a
fixed
place
until
proper
disposal.
Clean
up
the
work
area
if
contaminated.
Wash
thoroughly
in
case
of
skin
or
eye
contact.
1
PRECAUTIONARY
MEASURES
Respiratory
Protection:
Wear
a
NIOSH
approved
full
face
piece
respirator
for
organic
vapors.
If
airborne
concentrations
exceed
permissible
exposure
limits,
wear
a
NIOSH
approved
supplied
air
respirator
or
self
contained
breathing
apparatus.
Ventilation:
Use
local
ventilation
when
possible.
Mixing
tanks
should
be
vented
to
the
outside
of
the
truck.
Protective
Clothing:
Wear
chemically
resistant
boots,
gloves,
and
chemical
suit
(Tychem
or
equivalent).
Eye
Protection:
Use
full
face
piece
respirator
for
mixing
and
cleaning
operations,
and
chemical
splash
proof
goggles
when
not
wearing
respirator.
Other
Protective
Equipment:
Eyewash
station
and
sink
should
be
readily
available.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
Clean
and
inspect
PPE
before
reuse.
Do
not
eat,
drink,
or
smoke
in
work
area.
*y*.
1
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption,
inhalation
and
ingestion.
Health
Hazards:
Repeated
exposure
affects
central
nervous
system
Eye
Contact:
Eye
irritant.
Skin
Contact:
Skin
Irritant,
causing
peeling
and
redness.
Penetrates
skin
easily.
Inhalation:
Repeated
inhalation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
Skin:
Wash
thoroughly
with
soap
and
water.
Inhalation:
Remove
to
fresh
air.
Ingestion:
Induce
vomiting
with
water.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
1
TOXICITY
DATA
Carcinogenicity:
This
material
is
listed
as
a
potential
carcinogen
by
the
IARC.
In
January
1992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and
"acrylamide
is
not
carcinogenic
in
humans
as
shown
by
two
epidemiological
studies."
LDsO:
(Acrylamide
Monomer)
Acute
Oral(
rat):
294
mg/
kg
Acute
Dermal(
rabbit):
252
mglkg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
&
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
6
2
Date
Issued:
May
I%
2002
Page
1
of
2
MATERIAL
SAFETY
DATA
SHEET
/
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
information:
(281)
486
5600
1
IDENTIFICATION
Trade
Name:
AV
100
Chemical
Grout
(Liquid)
Ingredient(
s):
Water
CAS
Number:
7732
l
8
5
Acrylamide
CAS
Number:
79
06
l
OSHA
PEL:
0.3
mg/
m3
ACGIH
TLV:
0.03
mg/
m3
Percent:
60
Percent:
40
1
HAZARD
RATINGS
NFPA:
Health:
2
Fire:
2
Reactivity:
2
Special:
None
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Clear,
odorless
liquid.
Boiling
Point:
212°
F
Vapor
Pressure(
mm
Hg.):
0.03
@
104°
F
(40°
C)
Vapor
Density(
Air=
l):
2.45
Specific
Gravity(
Water
=
1):
1.05
Melting
Point:
N/
A
Evaporation
Rate(
Butyl
Acetate=
l):
N/
L
Solubility
in
Water:
N/
A
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A.
Flammable
Limits:
N/
A
Extinguishing
Media:
Water
spray,
carbon
dioxide,
dry
chemical,
foam.
Special
Fire
Fighting
Procedures:
Avoid
skin
contamination
and
inhalation
by
wearing
full
protective
clothing
and
positive
pressure
respirator.
Approach
fire
from
upwind
to
avoid
hazardous
vapors
and
toxic
decomposition
products.
Unusual
Fire
and
Explosion
Hazards:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
Closed
containers
may
rupture
violently
when
heated.
1
REACTIVITY
Stability:
Stable
under
normal
conditions.
lncompatibility(
Materials
to
Avoid):
Avoid
acids,
alkalis,
peroxides,
oxidizing
and
reducing
agents,
carbon
steel
or
rust.
Decomposition:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
Polymerization:
May
occur.
Store
below
104°
F
(40°
C)
with
no
exposure
to
direct
sunlight.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
100
Chemical
Grout
AVANTI
INTERNATIONAL
Page
2
of
2
1
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Take
measures
not
to
raise
dust,
mist
and
vapor.
Provide
good
ventilation.
Wear
protective
clothing,
gloves,
boots,
goggles
and
respirators,
and
clean
them
daily
when
contaminated.
Disposal
Method:
Incinerate
or
treat
at
a
sewerage
plant
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Collect
into
a
closed
container
and
dispose
of
in
accordance
with
governmental
regulations.
Wash
out
the
area
with
plenty
of
water.
Do
not
create
dust.
Other
Precautions:
Store
below
104°
F
(40°
C)
with
no
exposure
to
direct
sunlight.
Do
not
leave
open
to
the
atmosphere.
Store
at
a
fixed
place.
Keep
emptied
bags
or
drums
at
a
fixed
place
until
proper
disposal.
Clean
up
the
work
area
if
contaminated.
Wash
thoroughly
in
case
of
skin
or
eye
contact.
/
PRECAUTIONARY
MEASURES
I
Respiratory
Protection:
Wear
a
NIOSH
approved
full
face
piece
respirator
for
organic
vapors
and
particulates.
If
airborne
concentrations
exceed
permissible
exposure
limits,
wear
a
NIOSH
approved
supplied
air
respirator
or
selfcontained
breathing
apparatus.
Ventilation:
Use
local
ventilation
when
possible.
Mixing
tanks
should
be
vented
to
the
outside
of
the
truck.
Protective
Clothing:
Wear
chemically
resistant
boots,
gloves,
and
chemical
suit
(Tychem
or
equivalent).
Eye
Protection:
Use
full
face
piece
respirator
for
mixing
and
cleaning
operations,
and
chemical
splash
proof
goggles
when
not
wearing
respirator.
Other
Protective
Equipment:
Eyewash
station
and
sink
should
be
readily
available.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
Clean
and
inspect
PPE
before
reuse.
Do
not
eat,
drink,
or
smoke
in
work
area.
"R
1
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption,
inhalation
and
ingestion.
Health
Hazards:
Repeated
exposure
affects
central
nervous
system
Eye
Contact:
Eye
irritant.
Skin
Contact:
Skin
Irritant,
causing
peeling
and
redness.
Penetrates
skin
easily.
Inhalation:
Repeated
inhalation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
Skin:
Wash
thoroughly
with
soap
and
water.
Inhalation:
Remove
to
fresh
air.
Ingestion:
Induce
vomiting
with
water.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
.
/
TOXICITY
DATA
Carcinogenicity:
This
material
is
listed
as
a
potential
carcinogen
by
the
IARC.
In
January
1992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and
"acrylamide
is
not
carcinogenic
in
humans
as
shown
by
two
epidemiological
studies."
LDxI:
(Acrylamide
Monomer)
Acute
Oral(
rat):
294
mg/
kg
Acute
Dermal(
rabbit):
252
mg/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
am1
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
/fC
Date
issued:
May
15,
2002
Page
1
of
2
MATERIAL
SAFETY
DATA
SHEET
/
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDENTIF,
lCATION
Trade
Name:
AV
100
Chemical
Grout
ingredient(
s):
Acrylamide
CAS
Number:
79
06
I
OSHA
PEL:
0.3
mg/
m3
ACGIH
TLV:
0.03
mg/
m3
N,
N'
Methylenebisacrylamide
CAS
Number:
11
O
26
9
OSHA
PEL:
N/
D
ACGIH
TWA:
N/
D
Percent:
z95
Percent:
5
1
HAZARD
RATINGS
NFPA:
Health:
2
Fire:
2
Reactivity:
2
Special:
None
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
White,
crystalline
powder,
odorless.
Boiling
Point:
N/
L
Vapor
Pressure(
mm
Hg.):
0.01
@
68°
F
(20°
C)
Vapor
Density(
Air=
l):
N/
L
Specific
Gravity(
Water
=
1):
1
.150g/
cm3
@
86°
F
(30°
C)
Melting
Point:
184°
F
(85°
C)
Evaporation
Rate(
Butyl
Acetate=
l):
N/
L
Solubility
in
Water:
2009
/lOOg
@
68°
F
(20°
C)
[
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
N/
A.
Flammable
Limits:
N/
A
Extinguishing
Media:
Water
spray,
carbon
dioxide,
dry
chemical,
foam.
Special
Fire
Fighting
Procedures:
Avoid
skin
contamination
and
inhalation
by
wearing
full
protective
clothing
and
positive
pressure
respirator,
Approach
fire
from
upwind
to
avoid
hazardous
vapors
and
toxic
decomposition
products
Unusual
Fire
and
Explosion
Hazards:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
Closed
containers
may
rupture
violently
when
heated.
/
REACTIVITY
Stability:
Stable
under
normal
conditions.
Incompatibility(
Materials
to
Avoid):
Avoid
acids,
alkalis,
peroxides,
oxidizing
and
reducing
agents,
carbon
steel
or
rust.
Decomposition:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
Polymerization:
May
occur.
Store
below
104°
F
(40°
C)
with
no
exposure
to
direct
sunlight.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
MSDS
for
AV
100
MBA
Methylenebisacrylamide
AVANTI
INTERNATIONAL
Page
2
of
2
wr.
/
REACTIVITY
i
Stability:
Stable.
lncompatibility(
Materials
to
Avoid):
Oxidizing
and
reducing
agents.
Decomposition:
Thermal
decomposition
or
combustion
may
produce
carbon
monoxide,
carbon
dioxide,
ammonia,
and
oxides
of
nitrogen.
Polymerization:
May
occur.
(
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Disposal
Method:
Dispose
of
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Dike
area
to
prevent
entry
into
sewers
or
waterways.
Recover
with
absorbent
material
and
place
in
approved
containers.
Other
Precautions:
Wear
protective
clothing
when
handling
this
product.
/
PRECAUTIONARY
MEASURES
Respiratory
Protection:
NIOSH
approved
respirator.
Ventilation:
Local
exhaust.
Protective
Clothing:
Long
sleeved
shirt,
trousers.
Eye
Protection:
Goggles.
Other
Protective
Equipment:
Rubber
or
neoprene
gloves
and
boots.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift
and
wash
contaminated
clothes
before
re
use.
[
HEALTH
RELATED
DATA
.
,.
CI,
b
Primary
Route(
s)
of
Entry:
Skin
absorption,
eye
contact,
and
inhalation.
Health
Hazards:
Exposure
may
aggravate
existing
liver
or
kidney
disorders.
Eye
Contact:
May
cause
irritation.
Skin
Contact:
May
cause
skin
irritation.
Inhalation:
May
produce
symptoms
of
central
nervous
system
depression
including
headache,
dizziness,
and
nausea.
Ingestion:
N/
L
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
If
irritation
develops,
consult
a
physician.
Skin:
Wash
thoroughly
with
soap
and
water.
If
irritation
develops,
consult
a
physician.
Inhalation:
Remove
to
fresh
air.
If
breathing
is
difficult,
administer
oxygen
and
get
medical
attention.
Ingestion:
Get
medical
attention.
j
TOXICITY
DATA
LDs0:
N,
N'
Methylenebisacrylamide:
Oral(
rat)
=
390
mg/
kg
Ethylene
Glycol:
Oral(
rat)
=
4700
mg/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
NIA
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
/
`2
Date
Issued:
September
15,
2000
Page
1
of
2
MATERIAL
SAFETY
DATA
SHEET
AVANTI
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDENTIFICATION
Trade
Name:
AV
100
MBA
Methylenebisacrylamide
ingredient(
s):
N,
N'
Methylenebisacrylamide
CAS
Number:
11
O
26
9
OSHA
PEL:
N/
D
ACGIH
TWA:
N/
D
Water
CAS
Number:
7732
l
8
5
OSHA
PEL:
N/
A
ACGIH
TWA:
N/
A
Ethylene
Glycol
CAS
Number:
107
21
I
OSHA
PEL:
50
ppm
ACGIH
TWA:
N/
D
Surfactant
CAS
Number:
Proprietary
OSHA
PEL:
N/
L
ACGIH
TWA:
N/
L
Stabilizer
CAS
Number:
Proprietary
OSHA
PEL:
N/
L
ACGIH
TWA:
N/
L
Percent:
38
Percent:
38
Percent:
23
Percent:
cl
Percent:
4
1
HAZARD
RATINGS
NFPA:
N/
L
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Viscous
white
liquid
with
mild
odor.
Boiling
Point:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
L
Vapor
Density(
Air4):
N/
L
Specific
Gravity(
Water
=
I):
N/
L
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate=
l):
N/
L
Solubility
in
Water:
Slight
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
>2OO"
F
Flammable
Limits:
N/
A
Extinguishing
Media:
Water
spray,
carbon
dioxide,
or
dry
chemical.
Special
Fire
Fighting
Procedures:
Avoid
skin
contamination
and
inhalation
by
wearing
full
protective
clothing
and
self
contained
breathing
apparatus.
Unusual
Fire
and
Explosion
Hazards:
N/
L
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
lb3
MSDS
for
AV
100
AM
Acrylamide
Monomer
Page
2
of
2
AVANTI
INTERNATIONAL
rruI
/
STORAGE,
DISPOSAL
AND
SPILL
INFORMATION
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Do
not
leave
product
container
open
to
atmosphere.
Take
measures
not
to
raise
dust,
mist,
or
vapor.
Disposal
Method:
Incinerate
or
treat
at
a
sewerage
plant
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Collect
into
a
closed
container
and
dispose
of
in
accordance
with
governmental
regulations.
Wash
out
the
area
with
plenty
of
water.
Other
Precautions:
Wear
protective
clothing
when
handling
this
product.
/
PRECAUTIONARY
MEASURES
Respiratory
Protection:
Wear
a
NIOSH
approved
full
face
piece
respirator
for
organic
vapors
and
particulates.
If
airborne
concentrations
exceed
permissible
exposure
limits,
wear
a
NIOSH
approved
supplied
air
respirator
or
selfcontained
breathing
apparatus.
Ventilation:
Use
local
ventilation
when
possible.
Mixing
tanks
should
be
vented
to
the
outside
of
the
truck.
Protective
Clothing:
Wear
chemically
resistant
boots,
gloves,
and
chemical
suit
(Tychem
or
equivalent).
Eye
Protection:
Use
full
face
piece
respirator
for
mixing
and
cleaning
operations,
and
chemical
splash
proof
goggles
when
not
wearing
respirator.
Other
Protective
Equipment:
Eyewash
station
and
sink
should
be
readily
available.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
Clean
and
inspect
PPE
before
reuse.
Do
not
eat,
drink,
or
smoke
in
work
area.
1
HEALTH
RELATED
DATA
Primary
Route(
s)
of
Entry:
Skin
absorption,
eye
contact,
and
inhalation.
;
Health
Hazards:
Repeated
exposure
may
result
in
more
than
one
disease
of
the
nervous
system.
Eye
Contact:
Eye
contact
may
cause
conjunctival
irritation
and
cornea1
injury.
Skin
Contact:
Skin
contact
causes
irritation,
reddening,
and
peeling.
Inhalation:
Repeated
inhalation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flush
with
water
for
15
minutes.
Get
medical
attention.
Skin:
Wash
thoroughly
with
soap
and
water.
Get
medical
attention.
Inhalation:
Remove
to
fresh
air.
Get
medical
attention.
Ingestion:
Drink
water
and
induce
vomiting.
Take
50
grams
of
activated
charcoal
by
mouth.
Get
immediate
medical
attention.
(Never
give
anything
by
mouth
to
an
unconscious
or
convulsing
person.)
/
TOXICITY
DATA
Carcinogenic@:
This
material
is
listed
as
a
potential
carcinogen
by
the
IARC.
In
January
1992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and
"acrylamide
is
not
carcinogenic
in
humans
as
shown
by
two
epidemiological
studies."
LDsO:
Oral(
rat):
175
mg/
kg
The
information
on
this
MSDS
is
accurate
to
the
best
of
Avanti
International's
knowledge.
Avanti
International
makes
.
no
express
or
implied
warranty,
and
in
no
case
shall
be
liable
for
consequential,
special
or
indirect
damages
resulting
from
the
use
or
handling
of
this
product.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
NIL
=Not
Listed
Date
Issued:
May
15,2002
Page
1
of
2
I
MATERIAL
SAFETY
DATA
SHEET
I
AVANT1
INTERNATIONAL
822
Bay
Star
Blvd.
Webster,
TX
77598
CHEMTREC
Emergency
Phone:
I
800
424
9300
Product
Data
Information:
(281)
486
5600
1
IDENTIFICATION
Trade
Name:
AV
100
AM
Acrvlamide
Monomer
Ingredient(
s):
Acrylamide
CAS
Number:
79
06
l
OSHA
PEL:
0.30
mg/
m3
ACGIH
TWA:
0.03
mg/
m3
Percent:
nlO0
[
HAZARD
RATINGS
NFPA:
Health:
2
Fire:
2
Reactivity:
2
Special:
None
1
PHYSICAL/
CHEMICAL
CHARACTERISTICS
Appearance
and
Odor:
Odorless,
white
crystalline
powder.
Boiling
Point:
N/
L
Vapor
Pressure(
mm
Hg.):
N/
L
Vapor
Density(
Air=
l):
N/
L
Specific
Gravity(
Water
=
1):
1
.222g/
cm3
@
86°
F
(30%)
Melting
Point:
N/
L
Evaporation
Rate(
Butyl
Acetate=
l):
N/
L
Solubility
in
Water:
58g/
106g
(68"
F/
2O"
C)
1
FIRE
AND
EXPLOSION
HAZARD
DATA
Flash
Point:
273.2"
F
(134°
C)
Setaflash
Closed
cup
Flammable
Limits:
Not
applicable,
although
dust
in
air
may
be
explosive.
Extinguishing
Media:
Water
spray,
carbon
dioxide,
or
dry
chemical.
Special
Fire
Fighting
Procedures:
Avoid
skin
contamination
and
inhalation
by
wearing
full
protective
clothing
and
self
contained
breathing
apparatus.
Approach
fire
from
upwind
to
avoid
hazardous
vapors
and
toxic
decomposition
products.
Unusual
Fire
and
Explosion
Hazards:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide
and
ammonia.
1
R
E
A
C
T
I
V
I
N
Stability:
Not
stable;
heating
to
more
thanl40"
F
(60°
C)
or
exposing
to
direct
sunlight
may
cause
polymerization.
Incompatibility(
Materials
to
Avoid):
Avoid
acids,
alkalis,
peroxides,
oxidizing
and
reducing
agents,
or
carbon
steel.
Decomposition:
Thermal
decomposition
or
combustion
may
generate
toxic
gases
including
carbon
monoxide,
ammonia,
and
hydrogen
cyanide.
Polymerization:
May
occur.
Store
below
140°
F
(60°
C)
with
no
exposure
to
direct
sunlight.
N/
A
=Not
Applicable
N/
E
=Not
Established
N/
D
=Not
Determined
N/
L
=Not
Listed
(65
SECTION
I:
PRODUCT
IDENTIFICATION
IDENTITY
OF
THE
PRODUCT:
The
identifying
chemical
name
or
product
name
should
be
the
same
as
that
on
the
container
label.
EMERGENCY
TELEPHONE
NUMBER:
Must
be
included,
but
it
does
not
need
to
be
toll
free.
TELEPHONE
NUMBER
FOR
INFORMATION:
May
be
the
same
as
above
for
small
companies.
NAME
OF
THE
MANUFACTURER
OR
IMPORTER:
Be
sure
that
this
name
is
exactly
the
same
as
the
name
of
the
manufacturer
listed
on
the
product
label.
Small
manufacturers
sometimes
send
out
MSDS
from
the
manufacturer
of
the
raw
materials
they
mixed
to
make
the
product
or
that
they
repackaged;
this
is
improper.
ADDRESS
OF
THE
MANUFACTURER
OR
IMPORTER:
Complete
address
should
be
listed
here.
DATE
PREPARED:
MSDS
prepared
more
than
three
years
ago
are
acceptable
in
the
U.
S.,
but
an
attempt
should
be
made
to
get
an
updated
version.
Three
year
old
MSDS
are
invalid
in
Canada.
SIGNATURE
OF
THE
PREPARER:
Signature
is
optional.
SECTION
II:
HAZARDOUS
INGREDIENTS/
IDENTITY
INFORMATION
SPECIFIC
CHEMICAL
NAME/
IDENTITY:
Product
name
should
be
as
listed
on
the
label.
COMMON
NAME(
S):
Synonyms
should
be
listed
here.
z+.
s
CAS#:
The
number
assigned
by
the
Chemical
Abstracts
Service
for
the
chemical
or
material
is
optional.
CHEMICALS
IN
PRODUCTS
WHICH
ARE
MIXTURES:
It
used
to
be
common
for
MSDS
to
list
only
ingredients
which
had
TLVs
or
PELs.
Now
any
chemical
for
which
there
is
even
one
study
which
shows
it
may
be
capable
of
causing
harm
should
be
listed.
Toxic
chemical
comprising
more
than
1%
of
the
product
by
weight
must
be
listed.
Cancer
causing
chemicals
which
comprise
0.1%
of
the
product
must
be
listed.
It
exposure
to
amounts
even
smaller
than
the
required
1.0
or
0.1
%
k
known
to
be
hazardous,
the
manufacturer
also
must
list
these
ingredients.
In
practice,
however,
such
hazardous
ingredients
often
go
unlisted.
For
example,
trace
amounts
of
extremely
toxic
dioxins
and
PCB's
in
many
pigments
usually
are
not
reported.
Another
example
was
seen
recently
when
interior
paint
containing
a
mercury
preservative
off
gassed
from
walls
and
poisoned
a
young
child
and
his
family.
Investigation
revealed
that
it
was
common
practice
not
to
list
mercury
preservatives
on
MSDS
because
they
are
present
in
amounts
under
1%
withheld
by
the
manufacturer
it
they
are
trade
secrets
or
proprietary.
The
MSDS
should
state
by
whose
authority
(usually
the
state
health
department)
the
product's
identity
can
be
withheld.
Trade
secret
products
should
be
avoided
whenever
possible
since
it
is
very
difficult
and
time
consuming
for
medical
personnel
to
get
this
data
if
there
is
an
accident
or
illness.
Even
then,
the
medical
person
must
withhold
from
the
victim
the
name
of
the
chemical
that
caused
his/
her
problem.
OSHA
PEL:
Here
the
eight
hour
time
weighted
average
(PEL/
lWA)
should
be
listed.
The
PEL/
TWA
is
the
amount
of
the
substance
In
the
air
to
which
most
healthy
adult
workers
may
be
exposed
each
work
day,
day
after
day
without
adverse
effect.
In
general,
the
smaller
the
PEL
the
more
toxic
the
substance
although
other
factors
such
as
evaporation
rate
should
be
considered.
PELs
are
enforced
by
OSHA.
ACGIH
TLV:
Here
the
eight
hour
time
weighted
average
(TLV/
lWA)
should
be
listed.
TLV/
TWAs
are
standards
for
workplace
air
quality
(developed
by
the
American
Conference
of
Government
Industrial
Hygienists
(ACGIH).
In
general,
the
smaller
the
TLV,
the
more
toxic
the
substance
although
other
factors
such
as
evaporation
rate
should
be
considered.
TLC
are
standards
and
are
not
enforced
by
OSHA.
OTHER
LIMITS
(OPITIONAL):
NIOSH
REL's
(Recommended
Exposure
Limits),
MRLs
(manufacturer's
recommended
limits),
MAKs
(Federal
Republic
of
Germany
Maximum
Concentration
Values
In
the
Workplace)
and
others
may
be
listed
here.
ODOR
THRESHOLD
(OPTIONAL):
The
odor
threshold
(OT)
is
required
on
Canadian
MSDS
and
is
sometimes
included
by
U.
S.
manufacturers
who
sell
to
both
countries.
OTs
are
very
useful.
They
are
the
concentrations
in
air
at
which
most
people
can
smell
the
chemicals.
If
the
OT
is
smaller
than
the
TLV,
then
the
chemical
provides
warning
before
health
effects
are
expected.
It
the
OT
is
larger
than
the
TLV,
one
is
already
at
risk
by
the
time
the
odor
can
be
detected.
PERCENT
(OPTIONAL):
If
the
percentages
are
listed,
check
to
see
if
they
add
up
to
100%.
Check
to
see
if
toxic
substances
are
a
small
or
large
proportion
of
the
product.
SECTIONIII:
PHYSICAL/
CHEMICALCHARACTERISTICS
This
section
provides
a
physical
profile
of
the
chemical
through
its
various
characteristics.
Some
physical
data
may
be
omitted
on
the
MSDS
when
it
is
not
applicable.
For
example,
some
chemicals
have
no
boiling
point
because
they
do
not
boil.
However,
this
same
chemical
may
dissociate
(break
down)
with
heat,
and
this
fact
and
the
chemicals
into
which
it
dissociates
should
appear
on
a
good
MSDS.
If
data
does
not
exist,
the
line
on
the
MSDS
where
it
ordinarily
would
appear
must
be
filled
in
to
indicate
this.
Blank
spaces
are
not
proper.
BOILING
POINT
(BP):
The
BP
is
the
temperature
at
which
the
substance
changes
rapidly,
usually
with
bubbling,
from
a
liquid
to
a
vapor.
Sometimes
called
the
"vaporization
point,"
liquids
with
low
BPS
usually
expose
workers
to
large
amounts
of
the
vapor.
If
the
vapor
is
also
flammable,
liquids
with
low
BPS
are
also
fire
hazards.
A
common
error
is
the
assumption
that
no
vapor
is
formed
(e.
g.
from
metals)
until
the
BP
is
reached.
However,
vapor
is
formed
at
far
lower
temperatures,
just
as
water
which
boils
at
212OF
evaporates
at
room
temperature.
VAPOR
PRESSURE
(mm
Hg):
VP
is
the
pressure
exerted
by
a
saturated
vapor
above
its
own
liquid
in
a
closed
container.
VPs
combined
with
evaporation
rates
are
useful
in
determining
how
quickly
materials
become
airborne,
and
thus
how
quickly
a
worker
is
exposed
to
it.
They
are
usually
reported
in
millimeters
of
mercury
(mm
Hg)
at
68OF
(ZOOC)
unless
otherwise
stated.
Substances
with
VPs
above
20mm
Hg
may
present
a
hazard
due
to
their
extreme
volatility.
VAPOR
DENSrrY
(AIR
=
1):
VD
is
the
weight
of
a
vapor
or
gas
compared
to
an
equal
volume
of
air.
Materials
with
a
VD
less
than
1.0
are
lighter
than
air.
Materials
with
a
VD
greater
than
1.0
are
heavier
than
air.
While
all
vapors
and
gases
will
mix
with
air
and
disperse,
large
quantities
of
unmixed
vapor
or
gas
in
locations
without
much
air
movement
such
as
storage
rooms
will
tend
to
rise
or
sink
depending
on
their
VD.
Flammable
vapors
that
are
heavier
than
air
can
spread
to
sources
of
ignition
and
flash
back
to
the
source.
SOLUBILIlY
IN
WATER:
This
term
represents
the
amount
by
weight
that
will
dissolve
in
water
at
ambient
temperature.
Solubility
Is
important
in
determining
suitable
clean
up
and
extinguishing
methods.
Solubility
is
usually
reported
in
grams
per
liter
(g/
l)
or
general
categories
such
as:
negligible
or
insoluble
=
<
0.1
percent
slight=
0.1
1.0
percent
moderate
=
1
10
percent
appreciable
=
>
10
percent
complete
=
soluble
in
all
proportions
APPEARANCE
AND
ODOR:
Comparing
this
description
to
the
actual
product
is
a
way
to
be
sure
the
right
MSDS
has
been
obtained.
SPECIFIC
GRAVITY
(SG):
The
SG
describes
the
heaviness
of
a
material
compared
to
a
reference
substance.
When
the
reference
substance
is
water
(Hz0
=
l),
it
indicates
whether
it
will
float
or
sink
in
water.
SG
for
solids
and
liquids
compared
to
water
numerically
equals
density
(see
above).
SG
for
gases
does
not
equal
density
because
the
density
of
air
is
not
1.0,
but
1.29.
MELTING
POINT:
This
is
only
applicable
to
solid
materials.
The
MP
is
the
temperature
at
which
a
solid
changes
to
a
liquid.
EVAPORATION
RATE:
This
is
the
rate
at
which
a
material
will
vaporize
(volatilize,
evaporate}
from
the
liquid
or
said
state
when
compared
to
another
material.
The
two
common
liquids
used
for
comparison
are
butyl
acetate
and
ethyl
ether.
WHEN
BUTYL
ACETATE
=
1.0
>
WHEN
ETHYL
ETHER
=
1.0
>3.0=
FAST
<
3.0
=
FAST
0.8
3.0
=
MEDIUM
3.0
9.0
=
MEDIUM
~0.8
=
SLOW
>9.0
=
SLOW
SECTION
IV:
FIRE
AND
EXPLOSION
HAZARD
DATA
FLASH
POINT:
The
lowest
temperature
at
which
a
flammable
liquid
gives
of
sufficient
vapor
to
form
an
ignitable
mixture
with
air
near
its
surface
or
within
a
vessel.
Combustion
does
not
continue.
The
METHOD
USED
should
also
be
designated
here.
There
are
various
tests
for
determining
flash
point
and
these
should
also
be
designated
here
for
accuracy.
The
four
test
methods
recognized
by
the
National
Fire
Protection
Association
(NFPA)
are:
Tag
Open
Cup
test,
Tag
Closed
Cup
test,
Cleveland
Open
Cup,
and
Pensky
Martens
closed
cup.
..
a,",
FLAMMABLE
LIMITS:
Only
applicable
to
flammable
liquids
and
gases,
these
are
the
minimum
and
maximum
concentrations
In
air
between
which
Ignition
can
occur.
Concentrations
below
the
lower
flammable
limit
(LFL
are
too
lean
to
burn,
while
concentrations
above
the
upper
flammable
limit
(UFL)
are
too
rich.
All
concentrations
in
between
can
burn
or
explode.
(Sometimes
called
lower
and
upper
explosion
limits,
LEL
and
UEL.)
EXfINGUISHING
MEDIA:
The
type
of
extinguisher
or
suppression
system
needed
to
put
out
a
fire
involving
the
substance.
SPECIAL
FIRE
FIGHTING
PROCEDURES:
Lists
any
special
methods
needed
to
fight
fires
involving
the
substance.
Peroxides
like
those
used
to
cure
polyester
resins,
for
example,
supply
oxygen
when
burned
and
cannot
be
extinguished
by
ordinary
methods
that
smother
or
cut
off
air.
UNUSUAL
FIRE
AND
EXPLOSION
HAZARD:
Unusual
hazards
such
as
those
of
some
organic
peroxides
that
ignite
spontaneously
under
certain
conditions
or
that
become
explosive
when
old.
SECTION
V:
REACTIVITY
DATA
This
section
must
be
completely
understood
before
doing
any
kind
of
experimenting
with
the
material.
Theater
craftspeople
also
should
be
aware
that
the
manufacturer
usually
has
no
liability
for
damages
cause
when
their
products
not
used
as
directed.
STABIlJTY
(Stable/
Unstable):
Stability
is
the
ability
of
the
material
to
remain
unchanged
under
reasonable
conditions
of
storage
and
use.
CONDIlIONS
TO
AVOID:
Conditions
which
will
render
a
material
more
unstable.
For
example,
storage
at
above
normal
temperatures
causes
some
materials
to
change
rapidly.
INCOMPATIBILITY:
Here
the
MSDS
should
list
substances
which
will
react
dangerously
with
the
product.
Workers
should
also
use
this
to
determine
which
substances
also
should
not
be
stored
in
proximity
to
the
product.
HAZARDOUS
DECOMPOSITION
PRODUCTS:
This
section
should
list
any
hazardous
chemicals
given
off
when
the
product
burns
or
when
it
degrades
or
decomposes
without
burning.
However,
manufacturers
often
only
report
the
results
of
high
temperature
incineration
with
all
the
oxygen
necessary
for
complete
combustion.
Under
these
conditions,
most
organic
chemicals
will
give
off
carbon
dioxide,
water,
and
a
few
other
low
molecular
weight
chemicals.
Actual
burning
in
open
air,
heating
with
torches,
hot
wire
cutting,
or
other
methods
of
rapid
decomposition
usually
will
produce
very
different
results.
Workers
should
be
aware
that
this
section
may
not
be
relevant
to
the
way
in
which
the
product
is
actually
burned
or
decomposed.
HAZARDOUS
POLYMERIZATION:
Polymerization
is
the
process
by
which
the
molecules
of
a
chemical
can
combine
to
form
larger
molecules.
Examples
include
the
setting
up
of
epoxy
or
polyester
resins.
Polymerization
is
hazardous
if
during
the
reaction
excessive
heat,
gases,
or
some
other
byproduct
is
given
off
in
amounts
sufficient
to
cause
fires,
burst
containers,
or
cause
some
other
kind
of
harm.
CONDITIONS
TO
AVOID:
Here
should
be
listed
conditions
such
as
high
temperatures
which
must
be
avoided
to
prevent
hazardous
polymerization
from
occurring.
SECTION
VI:
HEALTH
HAZARD
DATA
ROUTES
OF
ENTRY:
The
ways
chemicals
can
enter
the
body.
INHALATION:
The
most
common
route.
For
example,
vapors
or
dusts
can
be
inhaled
and
absorbed
by
the
body.
SKIN:
If
this
route
is
checked
the
material
can
be
absorbed
by
the
skin
in
significant
amounts.
Often
it
is
also
checked
if
it
only
damages
the
skin
itself.
Good
MSDS
clarify
whether
skin
damage
and/
or
absorption
can
occur.
INGESTION:
If
this
route
is
checked,
the
material
can
be
eaten,
drunk,
or
swallowed,
or
inhaled
particles
can
be
expelled
from
the
lungs
and
swallowed.
HEALTH
HAZARDS,
ACUTE
AND
CHRONIC:
This
section
usually
varies
greatly
in
quality.
Some
manufacturers
supply
detailed
data
on
both
chronic
and
acute
health
effects.
Others
provide
very
little.
Workers
should
not
consider
this
section
sufficient
and
should
supplement
it
from
additional
references.
ACUTE:
Information
about
short
term
exposure
hazards
belong
here.
Many
MSDS
report
OSHA
and
ACGIH
shortterm
exposure
limits
(STELs)
and
Ceiling
limits
(CLs)
here.
The
OSHA
PEL/
mL
and
the
ACGIH
TLV/
STEL
usually
are
for
15
minute
exposures,
while
the
Ceiling
limits
(PELC
and
TLVC)
are
instantaneous
limits
and
not
to
be
exceeded
at
any
time.
Other
data
commonly
found
here
are
LD50s
and
LC5Os.
The
LC50
is
the
concentration
in
the
air
that
will
kill
50
%
of
the
test
animals
when
administered
in
a
single
exposure
in
a
specific
time
period,
usually
1
hour.
LD50
it
the
single
dose
that
will
kill
50
%
of
the
test
animals
by
any
route
other
than
inhalation
such
as
by
ingestion
or
skin
contact.
These
tests
establish
the
degree
to
which
a
chemical
is
acutely
hazardous
and
determine
if
it
will
be
designated
"Nontoxic",
"Toxic"
or
"Highly
Toxic".
LABEL
DEFINITIONS
OF
TOXICITY
IN
THE
U.
S.
AND
CANADA:
ILD50
LC50
Nontoxic
>
5.0
g/
kg*
>20,000
ppm**
Toxic
0.055.0
g/
kg
200
20,000
ppm
Highly
Toxic
<
O.
O5g/
kg
<
200
ppm
*grams
per
kilogram
of
body
weight
**
part
per
million:
part
of
substance
in
1
million
parts
of
air
As
defined
by
the
Federal
Hazardous
Substances
Act
(FHSA).
in
the
U.
S.,
and
the
Federal
Hazardous
Products
Act
in
Canada,
"nontoxic"
means
anything
the
passes
the
LD50
and
LC50
animal
tests.
Workers
need
to
know
that
long
term
damage
such
as
cancer
and
birth
defects
are
not
detected
by
these
tests.
Since
these
tests
reflect
only
acute
hazards,
powdered
asbestos
can
legitimately
be
called
nontoxic
under
these
rules.
In
fact,
even
asbestos
is
nontoxic
because
it
won't
harm
any
animals
in
two
weeks
(the
duration
of
the
tests).
CHRONIC:
This
section
should
report
any
known
chronic
hazards
such
as
cancer,
reproductive
or
developmental
damage,
neurological
or
other
organ
damage
to
animals
or
humans
related
to
repeated
or
long
term
exposure.
Unfortunately,
a
great
number
of
the
chemicals
used
in
paints,
dyes,
and
other
theater
materials
have
never
been
studied
for
long
term
hazards.
Failure
to
see
data
in
this
section
should
not
be
taken
to
mean
that
the
material
has
no
chronic
hazards.
CARCINOGENICTPI:
There
are
three
agencies
whose
opinions
regarding
carcinogenicity
must
be
reported
on
MSDS.
They
are
NTP
(the
National
Toxicology
Program),
IMC
(the
International
Agency
for
Research
on
Cancer),
and
OSHA.
The
cancer
ratings
assigned
by
each
agency
are
as
follows:
IARC
1.
Carcinogenic
to
humans:
sufficient
evidence
of
carcinogenicity.
2A.
Probably
carcinogenic
to
humans;
limited
human
evidence;
sufficient
evidence
in
experimental
animals.
2B.
Possibly
carcinogenic
to
humans;
limited
human
evidence
in
the
absence
of
sufficient
evidence
in
experimental
animals.
3.
Not
classifiable
as
to
carcinogenicity
to
humans.
4.
Probably
not
carcinogenic
to
humane.
NTP
1.
Known
to
be
carcinogenic,
with
evidence
from
human
studies.
2.
Reasonably
anticipated
to
be
a
carcinogen,
with
limited
evidence
in
humans
or
sufficient
evidence
in
experimental
animals.
OSHA
Carcinogens
are
defined
with
no
further
categorization.
SIGNS
AND
SYMPTOMS
OF
EXPOSURE:
These
are
usually
acute
or
sub
acute
manifestations
of
the
chemical,
since
chronic
exposure
often
produces
no
clear
symptoms
for
years.
If
chronic
symptoms
are
given
they
usually
are
identified
as
such.
MEDICAL
CONDITIONS
AGGRAVATED
BY
EXPOSURE:
Here
the
MSDS
should
list
medical
conditions
which
are
known
or
suspected
to
be
exacerbated
by
the
chemical.
For
example,
chemicals,
which
are
respiratory
irritants,
may
aggravate
chronic
lung
conditions
such
as
asthma
or
emphysema.
EMERGENCY
AND
FIRST
AID
PROCEDURES:
Recommended
procedures
should
be
listed
here.
SECTION
VII:
PRECAUTIONS
FOR
SAFE
HANDLING
AND
USE
STEPS
TO
BE
TAKEN
IF
MATERIAL
IS
RELEASED
OR
SPILLED:
The
MSDS
should
list
preferred
methods
for
spill
control
(e.
g.
chemical
absorbents,
Fuller's
earth,
etc.)
and
protective
equipment
(respirators,
gloves,
emergency
ventilation,
etc.)
needed
to
keep
workers
safe
during
clean
up
of
large
spills
or
accidents.
WASTE
DISPOSAL
METHOD:
Unless
the
material
can
be
rendered
completely
innocuous,
the
MSDS
can
only
tell
users
to
dispose
of
the
material
In
accordance
with
local,
state,
and
federal
regulations.
Disposal
has
become
an
extraordinarily
complex
problem
and
cannot
be
addressed
in
a
few
lines
on
an
MSDS.
It
is
likely
that
substances
which
pose
severe
environmental
threats
or
whose
release
(spills)
must
be
reported
to
the
EPA
will
soon
have
to
be
identified
here.
Some
manufacturers
have
already
begun
including
this
information.
PRECAUTIONS
TO
BE
TAKEN
IN
HANDLING
AND
STORING:
Here
the
MSDS
should
list
safe
storage
conditions
(e.
g.
cool,
dry
area).
OTHER
PRECAUTIONS:
If
needed,
should
include
any
special
equipment
that
would
be
needed
or
which
is
required
to
be
in
a
storage
area
with
the
material.
SECTION
VIII:
CONTROL
MEASURES
This
section
should
provide
information
about
protective
equipment
needed
under
normal
use
of
the
product.
The
manufacturer
decides
what
constitutes
this
"Normal
use".
If
there
is
any
doubt
about
what
is
normal,
or
if
any
unusual
or
experimental
use
is
contemplated,
the
employer
should
contact
the
manufacturer
first
about
additional
protection.
Manufacturers
are
usually
not
liable
for
damages
if
their
products
are
used
other
than
directed.
For
this
reason,
questions
about
the
hazards
of
using
the
product
in
unusual
circumstances
should
be
answered
in
writing
by
the
manufacturer
or
an
industrial
hygienist.
RESPIRATORY
PROTECTION
(SPECIFIC
TYPE):
If
needed
during
normal
use,
a
good
MSDS
explains
precisely
what
type
of
respirator
is
proper.
Even
the
type
of
cartridge
type
for
air
purifying
respirators
should
be
specified.
VENTILATION:
If
needed
during
normal
use,
a
good
MSDS
specifies
the
type
of
ventilation
system
that
provides
proper
protection.
This
includes
recommendations
about
the
use
of
general
(mechanical)
ventilation,
local
exhaust
(which
captures
the
contaminants
at
their
source),
or
any
special
ventilation
system
which
might
be
needed.
EYE
PROTECTION:
If
needed,
goggles
or
face
shields
should
be
listed
here.
OTHER
PROTECTIVE
CLOTHING
OR
EQUIPMENT:
Aprons,
boots,
gloves,
or
eye
wash
stations
should
be
listed
here
if
needed.
WORK/
HYGIENIC
PRACTICES:
Practices
such
as
proper
daily
clean
up
methods
and
equipment
after
normal
use
should
be
detailed
here.
~
~~
Respirator
Fit
Testing
Procedure
Fit
Testing
Procedures
Part
I.
OSHA
Accepted
Fit
Test
Protocols
A.
Fit
Testing
Procedures
General
Requirements
The
employer
shall
conduct
fit
testing
using
the
following
procedures.
The
requirements
in
this
appendix
apply
to
all
OSHA
accepted
fit
test
methods,
both
QLFT
and
QNFT.
1)
2)
3)
4)
5)
6)
MI
7)
8)
9)
The
test
subject
shall
be
allowed
to
pick
the
most
acceptable
respirator
from
a
sufficient
number
of
respirator
models
and
sizes
so
that
the
respirator
is
acceptable
to,
and
correctly
fits,
the
user.
Prior
to
the
selection
process,
the
test
subject
shall
be
shown
how
to
put
on
a
respirator,
how
it
should
be
positioned
on
the
face,
how
to
set
strap
tension
and
how
to
determine
an
acceptable
fit.
A
mirror
shall
be
available
to
assist
the
subject
in
evaluating
the
fit
and
positioning
of
the
respirator.
This
instruction
may
not
constitute
the
subject's
formal
training
on
respirator
use,
because
it
is
only
a
review.
The
test
subject
shall
be
informed
that
he/
she
is
being
asked
to
select
the
respirator
that
provides
the
most
acceptable
fit.
Each
respirator
represents
a
different
size
and
shape,
and
if
fitted
and
used
properly,
will
provide
adequate
protection.
The
test
subject
shall
be
instructed
to
hold
each
chosen
face
piece
up
to
the
face
and
eliminate
those
that
obviously
do
not
give
an
acceptable
fit.
The
more
acceptable
face
pieces
are
noted
in
case
the
one
selected
proves
unacceptable;
the
most
comfortable
mask
is
donned
and
worn
at
least
five
minutes
to
assess
comfort.
Assistance
in
assessing
comfort
can
be
given
by
discussing
the
points
in
the
following
item
A.
6.
If
the
test
subject
is
not
familiar
with
using
a
particular
respirator,
the
test
subject
shall
be
directed
to
don
the
mask
several
times
and
to
adjust
the
straps
each
time
to
become
adept
at
setting
proper
tension
on
the
straps.
Assessment
of
comfort
shall
include
a
review
of
the
following
points
with
the
test
subject
and
allowing
the
test
subject
adequate
time
to
determine
the
comfort
of
the
respirator:
a)
Position
of
the
mask
on
the
nose
b)
Room
for
eye
protection
c)
Room
to
talk
d)
Position
of
mask
on
face
and
cheeks
The
following
criteria
shall
be
used
to
help
determine
the
adequacy
of
the
respirator
fit:
a)
Chin
properly
placed
b)
Adequate
strap
tension,
not
overly
tightened
c)
Fit
across
nose
bridge
d)
Respirator
of
proper
size
to
span
distance
from
nose
to
chin
e)
Tendency
of
respirator
to
slip
f)
Self
observation
in
mirror
to
evaluate
fit
and
respirator
position.
The
test
subject
shall
conduct
a
user
seal
check,
either
the
negative
and
positive
pressure
seal
checks
described
in
Appendix
G3
of
this
section
or
those
recommended
by
the
respirator
manufacturer
which
provide
equivalent
protection.
hfore
conducting
the
negative
and
positive
pressure
checks,
the
subject
shall
be
told
to
seat
the
mask
on
the
face
by
moving
the
head
from
side
to
side
and
up
and
down
slowly
while
taking
in
a
few
slow
deep
breaths.
Another
face
piece
shall
be
selected
and
retested
if
the
test
subject
fails
the
user
seal
check
tests.
The
test
shall
not
be
conducted
if
there
is
any
hair
growth
between
the
skin
and
the
face
piece
sealing
surface,
such
as
stubble
beard
growth,
beard,
mustache
or
sideburns
which
cross
the
respirator
sealing
surface.
Any
type
of
apparel
which
interferes
with
a
satisfactory
fit
shall
be
altered
or
removed.
,/,/
SW
10)
If
a
test
subject
exhibits
difficulty
in
breathing
during
the
tests,
she
or
he
shall
be
referred
to
a
physician
or
other
licensed
health
care
professional,
as
appropriate,
to
determine
whether
the
test
subject
can
wear
a
respirator
while
performing
her
or
his
duties.
11)
If
the
employee
finds
the
fit
of
the
respirator
unacceptable,
the
test
subject
shall
be
given
the
opportunity
to
select
a
different
respirator
and
to
be
retested.
12)
Exercise
regimen.
Prior
to
the
commencement
of
the
fit
test,
the
test
subject
shall
be
given
a
description
of
the
fit
test
and
the
test
subject's
responsibilities
during
the
test
procedure.
The
description
of
the
process
shall
include
a
description
of
the
test
exercises
that
the
subject
will
be
performing.
The
respirator
to
be
tested
shall
be
worn
for
at
least
5
minutes
before
the
start
of
the
fit
test.
13)
The
fit
test
shall
be
performed
while
the
test
subject
is
wearing
any
applicable
safety
equipment
that
may
be
worn
during
actual
respirator
use
which
could
interfere
with
respirator
fit.
14)
Test
Exercises.
The
following
test
exercises
are
to
be
performed
for
all
fit
testing
methods
prescribed
in
this
appendix,
except
for
the
CNP
method.
A
separate
fit
testing
exercise
regimen
is
contained
in
the
CNP
protocol.
The
test
subject
shall
perform
exercises,
in
the
test
environment,
in
the
following
manner:
a)
Normal
breathing.
In
a
normal
standing
position,
without
talking,
the
subject
shall
breathe
normally.
b)
Deep
breathing.
In
a
normal
standing
position,
the
subject
shall
breathe
slowly
and
deeply,
taking
caution
so
as
not
to
hyperventilate.
c)
Turning
head
side
to
side.
Standing
in
place,
the
subject
shall
slowly
turn
his/
her
head
from
side
to
side
between
the
extreme
positions
on
each
side.
The
head
shall
be
held
at
each
extreme
momentarily
so
the
subject
can
inhale
at
each
side.
d)
Moving
head
up
and
down.
Standing
in
place,
the
subject
shall
slowly
move
his/
her
head
up
and
down.
The
subject
shall
be
instructed
to
inhale
in
the
up
position
(i.
e.,
when
looking
toward
the
ceiling).
e)
Talking.
The
subject
shall
talk
out
loud
slowly
and
loud
enough
so
as
to
be
heard
clearly
by
the
test
conductor.
The
subject
can
read
from
a
prepared
text
such
as
the
Rainbow
Passage,
count
backward
from
100,
or
recite
a
memorized
poem
or
song.
Rainbow
Passage
When
the
sunlight
strikes
raindrops
in
the
air,
they
act
like
a
prism
and
form
a
rainbow.
The
rainbow
is
a
division
of
white
light
into
many
beautiful
colors.
These
take
the
shape
of
a
long
round
arch,
with
its
path
high
above,
and
its
two
ends
apparently
beyond
the
horizon.
There
is,
according
to
legend,
a
boiling
pot
of
gold
at
one
end.
People
look,
but
no
one
ever
finds
it.
When
a
man
looks
for
something
beyond
reach,
his
friends
say
he
is
looking
for
the
pot
of
gold
at
the
end
of
the
rainbow.
f)
Grimace.
The
test
subject
shall
grimace
by
smiling
or
frowning.
(This
applies
only
to
QNFT
testing;
it
is
not
performed
for
QLFT)
g)
Bending
over.
The
test
subject
shall
bend
at
the
waist
as
if
he/
she
were
to
touch
his/
her
toes.
Jogging
in
place
shall
be
substituted
for
this
exercise
in
those
test
environments
such
as
shroud
type
QNFf
or
QLFf
units
that
do
not
permit
bending
over
at
the
waist.
h)
Normal
breathing.
Same
as
exercise
(1).
15)
Each
test
exercise
shall
be
performed
for
one
minute
except
for
the
grimace
exercise
which
shall
be
performed
for
15
seconds.
The
test
subject
shall
be
questioned
by
the
test
conductor
regarding
the
comfort
of
the
respirator
upon
completion
of
the
protocol.
If
it
has
become
unacceptable,
another
model
of
respirator
shall
be
tried.
The
respirator
shall
not
be
adjusted
once
the
fit
test
exercises
begin.
Any
adjustment
voids
the
test,
and
the
fit
test
must
be
repeated.
I75
Maintenance
and
Shutdown
Checklists
/fI
._.
DAILY
SHUTDOWN
CHECKLIST
Unit
Number:
Date:
Operator:
Review
and
check
off
items
daily
to
place
equipment
in
a
shutdown
condition
at
the
end
of
day.
Q
Thoroughly
clean
the
complete
packer
assembly.
c3
Remove
the
mixing
stem
from
the
packer
(if
applicable)
and
clean.
D
Wash
off
the
quick
disconnects
and
check
the
nipple
seals
for
cuts
or
debris.
D
Inspect
the
check
valves
for
leaking
chemical.
If
leaking
at
a
high
rate,
clean
or
disassemble
and
rebuild.
CI
Drain
the
air
receiver
tank.
Q
Flush
out
and
clean
the
H
block
assembly.
c1
Check
chemical
tanks
to
ensure
lids
are
closed
and
pinned,
Cl
Ensure
all
electrical
equipment
in
the
vehicle
is
turned
off.
Ll
Other
CI
Other
Q
Other
CI
Other
EXTENDED
SHUTDOWN
CHECKLIST
Unit
Number:
Date:
Operator:
0
Clear
the
quad
hose
by
blowing
air
down
the
lines.
0
Drain
the
water
tank.
Cl
Drain
the
chemical
tanks.
II
Clear
the
air/
water
test
line
by
blowing
air
down
the
line.
Cl
Open
inline
filters
and
clean
thoroughly.
Q
Drain
air
receiver
tank.
0
Clean
packer
and
remove
the
packer
stem.
Cl
Remove
the
transducer
from
the
H
block
assembly
and
clean
the
H
block.
0
Perform
the
WASH
DOWN
AND
BLOW
DOWN
CHECKOFF
LIST.
Q
Other
#
Other
D
Other
Cl
Other
AVANTI
lNTERNATlONAL
WASH
DOWN
AND
BLOW
DOWN
CHECKLIST
Unit
Number:
Date:
Operator:
Wash
down
and
blow
down
procedures
are
accomplished
along
with
the
weekly
maintenance
routine
or
whenever
extended/
winter
shutdown
procedures
are
performed.
During
winter
shutdown,
wash
down
should
be
performed
first,
followed
by
a
blow
down
to
completely
dry
the
lines.
NOTE:
Be
sure
to
adhere
to
all
of
the
noted
safety
precautions
when
handling
quad
hose
and
related
equipment.
Review
and
check
off
items
weekly
to
ensure
all
procedures
are
performed.
CI
1
Slightly
loosen
the
check
valve
on
the
blue
chemical
line.
Do
not
unscrew.
."
CC
WARNING:
Never
handle
quad
hose
or
chemicals
without
wearing
a
minimum
of
rubber
gloves,
safety
goggles,
and
waterproof
shoes.
Follow
all
prescribed
safety
precautions.
The
quad
hose
is
still
under
pressure.
Place
a
rag
over
the
check
valve
to
deflect
any
leaking
chemical
before
loosening
the
valve
any
further.
Cl
2
Slowly
untighten
the
check
valve
and
allow
the
pressure
to
bleed
off.
Remove
the
check
valve.
LI
3
Hang
the
quad
hose
into
the
manhole.
CI
4
Remove
the
blue
chemical
line
from
the
discharge
side
of
the
grout
pump.
For
blow
down
(air):
CI
5
Attach
the
air
blow
down
fitting
to
the
grout
pump
end
of
the
chemical
line.
CI
6
Attach
the
high
pressure
air
line
from
the
compressor
to
the
air
blow
down
and
continue
to
supply
with
air
until
no
fluid
flows
from
the
line.
0
7
Disconnect
the
high
pressure
air
line
and
remove
the
fitting
from
the
quad
hose
line.
WARNING:
Disconnect
the
blow
down
fitting
carefully,
back
pressure
will
be
present.
For
wash
down
(water):
Q
8
Connect
the
water
wash
down
fitting
to
the
grout
pump
end
of
the
chemical
line.
Cl
9
Attach
a
garden
hose
to
the
end
of
the
wash
down
fitting
and
attach
the
other
end
of
the
hose
to
a
standard
external
spigot
or
the
spigot
in
the
vehicle
(if
available).
CI
10
Turn
on
the
water
until
liquid
flows
from
the
end
of
the
quad
hose
line.
Allow
the
water
to
flow
for
five
(5)
minutes
or
until
clear.
Cl
11
Turn
off
the
water
and
disconnect
the
hose
and
fitting.
WARNING:
Disconnect
the
wash
down
fitting
carefully,
back
pressure
will
be
present.
Repeat
for
the
red
chemical
line.
AVANTI
INTERNATlONAL
WEEKLY
MAINTENANCE
CHECKLIST
Unit
Number:
Date:
Operator:
Perform
the
following
preventive
maintenance
to
maximize
reliable
operation
of
the
equipment.
These
items
would
be
carried
out
after
the
daily
shutdown
has
been
accomplished.
tl
Remove
the
check
valves
and
quick
disconnects
from
the
quad
hose
ends.
0
Drain
and
flush
the
chemical
from
the
quad
hose
(do
not
store
grout
in
the
quad
hose
over
the
weekends).
If
using
a
water
base
grout,
the
quad
hose,
chemical
tanks
and
pump
may
be
flushed
with
water
to
remove
the
chemical
from
the
system.
Cl
Check
the
inline
chemical
tank
filters
for
debris
and
clean.
Before
replacing
the
filters,
make
sure
the
filter
seals
are
clean,
undamaged
and
sealed
properly.
It
Visually
inspect
the
pump
assembly
and
check
the
oil
level
in
the
throat
seal
reservoir.
The
oil
level
should
be
two
thirds
(213)
full.
If
chemical
is
visible
in
the
oil
or
the
oil
looks
milky,
tighten
the
throat
seal
bowl
clockwise
to
compress
the
seal
rings.
If
this
does
not
stop
the
contamination,
the
pump
may
need
rebuilding.
II
Check
the
packer
sleeves
for
cuts
or
tears.
Replace
if
necessary.
0
Check
for
frayed
cables.
Repair
or
replace
if
required.
Q
Ensure
all
equipment
is
clean
and
properly
stored.
CI
Perform
the
WASH
DOWN
AND
BLOW
DOWN
CHECKOFF
LIST.
0
Other
CL
Other
CI
Other
Test
Employee
Test
Name
Date
Company
1).
Who
is
directly
responsible
for
your
safety?
A.
Your
supervisor
B.
The
rig
operator
c.
You
D.
The
company
2).
Which
items
of
Personal
Protective
Equipment
(PPE)
should
be
worn
during
mixing
operations?
A.
Respirator
8.
Chemical
protective
suit
C.
Gloves
D.
All
of
the
above
3).
Where
do
you
find
the
most
complete
product
safety
information?
A.
Product
guide
B.
Material
Safety
Data
Sheets
(MSDS)
C.
Mixing
instructions
D.
Avanti
brochures
4)
When
mixing
powder
grouts,
the
main
safety
hazard
is
from
A.
Splashes
B.
Spills
C.
Inhaling
the
powder
D.
Skin
contact
5).
When
placing
the
packer
inside
the
sewer
line,
what
type
of
footwear
should
be
used?
A.
Tennis
shoes
B.
Leather
steel
toed
boots
C.
Chemical
resistant
steel
toed
boots
D.
Cowboy
boots
6).
Where
should
smoking
be
allowed
during
grouting
operations?
A.
In
the
cab
of
the
truck
B.
In
the
camera
area
of
the
truck
C.
In
the
mixing
area
of
the
truck
D.
Nowhere
inside
the
truck
7).
How
often
should
work
clothes
be
washed?
A.
Weekly
B.
Daily
C.
Monthly
D.
Every
full
moon
8).
A
full
face
piece
respirator
and
approved
cartridge/
filter
can
be
used
when
the
exposure
to
a
compound
is
A.
Above
the
OSHA
PEL
B.
Below
the
OSHA
PEL
C.
Equal
to
the
OSHA
PEL
D.
The
PEL
doesn't
matter.
.
.
_
9).
When
transporting
grouting
chemicals
in
the
grout
truck,
which
precautions
should
be
taken?
A.
Strap
securely
in
place
B.
Keep
in
original
containers
whenever
possible
C.
Keep
different
chemicals
apart
D.
All
of
the
above
10).
When
using
a
pump
to
transfer
liquids,
the
pump
parts
that
contact
the
grout
must
be
made
of
A.
Iron
B.
Any
metal
C.
Either
stainless
steel
or
plastic
D.
Titanium
11).
At
the
end
of
every
work
day
workers
should
A.
Shower
completely
and
wash
hair
thoroughly
B.
Wash
their
hands
before
going
home
C.
Shower,
wash
hair
thoroughly,
and
clean
their
PPE
(safety
equipment)
D.
Think
about
dinner
12).
PPE
should
be
inspected
and
cleaned
A.
Weekly
8.
Monthly
C.
Annually
D.
Daily
13).
When
mixing
AV
100
products
using
the
standard
mix
instructions
with
72OF
water,
the
gel
time
should
be
approximately
A.
10
seconds
B.
2
minutes
C.
25
seconds
D.
25
minutes
14).
As
the
temperature
of
the
water
increases
by
10
degrees,
the
gel
time
A.
Decreases
by
one
half
6.
Increases
by
one
half
C.
Decreases
by
5
percent
D.
Temperature
does
not
effect
gel
time
15).
Which
additive
listed
below
is
used
to
increase
gel
times
(slow
down
gelation)?
A.
Latex
B.
Ethylene
Glycol
C.
KFe
(Potassium
Ferricyanide)
D.
AC
50W
A
Norosac
16).
As
a
minimum
requirement,
safety
glasses
should
be
worn
in
which
of
the
following
locations?
A.
Inside
the
grout
truck
8.
While
working
on
hose
reel
C.
When
cleaning
the
packer
D.
All
of
the
above.
17).
Routes
of
entry
for
AV
100
products
are,
A.
Skin
6.
Eyes
C.
Inhalation
D.
All
of
the
above
18).
The
storage
area
for
chemical
grouts
and
their
additives
must
be
a
secure
area
capable
of
being
locked.
A.
True
B.
False
19).
Violent
chemical
reactions
are
possible
if
different
grout
compounds
are
mixed
together
due
to
spill
or
improper
storage.
A.
True
B.
False
20).
Empty
product
drums
may
be
used
for
other
purposes
if
properly
cleaned.
A.
True
B.
False
21).
Eyewash
stations
and
showers
should
be
available
in
or
near
the
storage
area.
A.
True
B.
False
22).
During
grouting
operations
field
personnel
can
wear
short
sleeved
shirts.
A.
True
8.
False
23).
Once
leather
boots
have
become
contaminated
with
actylamide,
rinsing
them
off
with
water
removes
the
acrylamide.
A.
True
B.
False
24).
Sharing
PPE
with
your
coworkers
is
a
good
idea.
A.
True
B.
False
25).
Measuring
the
temperature
of
the
water
in
the
grout
tanks
is
a
good
way
to
determine
if
your
gel
times
have
decreased
substantially
during
the
day.
A.
True
B.
False
26).
Goggles
should
be
worn
instead
of
safety
glasses
when
there
is
a
higher
chance
of
being
splashed,
such
as
when
grouting
in
a
manhole
or
mixing
chemicals.
A.
True
B.
False
27).
The
effects
of
acute
exposure
are
immediate
A.
True
8.
False
28).
What
word
best
describes
exposure
to
AV
lOO?
A.
Acute
8.
Chronic
29).
Respirator
cartridges
should
protect
against
vapors
as
well
as
particulate
matter.
A.
True
6.
False
30).
DuPont
TyChem
protective
suit
is
the
only
protective
clothing
recommended
for
mixing
AV
100
products.
A.
True
B.
False
31).
What
property
of
AV
100
AM
makes
it
difficult
to
be
aware
of
exposure.
A.
Odorless
B.
Powder
C.
Color
D.
All
of
the
above
32).
What
item
listed
below
in
not
covered
by
the
NFPA
placard?
A.
Health
B.
Flammability
C.
Fire
Hazard
D.
Specific
Gravity
r"
33
An
oxidizing
agent
causes
materials
that
do
not
normally
burn
to
burn
readily.
A.
True
B.
False
34).
When
added
to
the
grout
tank
AV
257
Icoset,
A.
Inhibits
freezing
B.
Extends
Gel
time
C.
Increases
compressive
strength
D.
Inhibits
root
growth
35).
Adding
2lbs.
AV
101
to
the
grout
tank
and
2lbs
of
AV
102
to
the
Catalyst
tank
will,
A.
Increase
Gel
time
B.
Decrease
Gel
time
C.
Increase
the
viscosity
D.
None
of
the
above
36.
Add
the
correct
ingredients
to
each
Tank
for
a
conventional
grout
mix
using
AV
100
or
AV
118.
Tank
A
Tank
B
37.
Using
your
conventional
mix
above,
circle
the
correct
Tank
for
each
of
these
materials.
Tank
AV
105
A
B
AV
257
A
B
Kfe
A
B
Norosac
A
B
38).
If
a
cup
test
reveals
a
60
second
gel
time,
what
steps
are
needed
to
achieve
and
approximate
gel
time
of
25
seconds?
39).
What
is
the
weight
of
one
scoop
=
(W
40).
What
is
the
volume
of
one
pitcher=
(qt.)
BONUS
41)
What
factors
could
contribute
to
your
gel
time
increasing
even
though
your
temperature
and
mix
is
the
same?
Safe
Handling
and
Mixing
Program
Name
(Please
Print)
Date
Company
Signature
Test
Results
(Minimum
acceptable
score
80%)
Number
correct:
40
=
100%
39
=
98%
38
=
95%
37
=
93%
36
=
90%
35
=
88%
34
=
85%
33
=
83%
32
=
80%
rY7
.__"..._
Employer
Certification
Storage
Facilities
Buyers
of
acrylamide
or
acrylic
grouting
products
from
Avanti
International
must
perform
an
on
site
job
inspection
to
affirm
compliance
with
the
Safe
Operating
Practices
Program
on
an
annual
basis.
Each
storage
facility
and
each
operating
unit
must
be
inspected.
This
site
inspection
is
an
annual
requirement
of
the
program.
Operators,
helpers,
warehousemen,
and
shop
personnel
associated
with
grouting
operations
also
should
be
tested
annually
to
determine
their
knowledge
and
safety
awareness
of
acrylamide
and/
or
acrylic
grouts.
The
checklist
below
and
the
one
on
the
following
page
must
be
completed
and
returned
to
Avanti
International,
along
with
the
SOPP
Verification
form
in
Section
13,
before
orders
of
AV100
or
AV
118
chemical
grouts
can
be
shipped.
Yes
N
o
Are
the
grouts
and
related
products
stored
in
bags
and
in
closed
fiber
drums?
Are
fiber
drums
being
re
used
for
other
purposes?
Are
the
grouts,
AV
101
Cat
T+,
and
AV
102
AP
stored
separately?
Is
safety
equipment
available
in
the
storage
areas?
Are
eyewashes
and
showers
readily
available?
Is
spill
clean
up
equipment
available
in
the
storage
areas?
Are
all
storage
areas
locked?
Are
all
storage
areas
properly
ventilated?
Are
signs
posted
on
storage
areas
to
describe
the
contents?
Do
all
facilities
have
water
available
for
protection
and
flushing?
Facility
Address
Date
of
Inspection
Inspection
Performed
by
Title
Signature
of
Inspector
Describe
any
problems
noted
and
corrective
actions
taken
to
maintain
storage
areas
in
compliance
with
this
program.
Yes
Employer
Certification
Operating
Units/
Equipment
No
__
Is
equipment
in
good
condition
and
operating
as
designed?
__
Do
all
grout
tanks
have
covers?
Are
disposal
containers
for
waste
materials
on
each
unit?
Is
safety
equipment
for
worker
protection
on
each
unit?
Is
spill
clean
up
equipment
available
on
each
unit?
r.
Is
water
available
for
worker
protection
and
flushing?
Are
all
chemicals
stored
in
tightly
closed
containers?
Is
ventilation
adequate
on
each
unit?
Is
the
power
vent
working
as
designed?
Is
there
an
eyewash
station
on
the
unit?
___
Are
grouts
and
additives
properly
stored
and
secured?
Are
MSDS
available
for
all
products
on
unit?
Is
there
a
cleaning
and
maintenance
schedule
for
each
unit?
Unit
Number
Date
of
Inspection
Inspection
Performed
by
Title
Signature
of
Inspector
License
Number
Describe
any
problems
noted
and
corrective
actions
taken.
I
._.."
...
.
.
.._.
11"
......,
l"
l^.
l..
Employee
Certification
I
I
I
I
(,
.d..,
D
I
This
certifies
that
I
am
an
employee
of
and
I
have
received
technical
and
safety
handling
training
in
the
use
of
grout.
The
classroom
instruction
portion
of
this
program
was
completed
on
I
20
or
repeated
on
and
was
originally
prepared
by:
III
Present
Employer
a
Previous
Employer
Name
Address
I
20
City/
State
LI
Other
(Specify)
I
also
certify
that
I
have
read,
understood,
and
will
comply
with
all
of
the
sections
in
Avanti
International
Safe
Operating
Practices
Program.
Signed
Name
Home
Address
Date
Company
b
Avanti
International
AvantiGrout
News
Acrylamide
Provides
lasting
Help
for
United
States
Government
by
Brent
Keller,
M.
E.,
Industrial
Sales
Manager
Beginning
in
1985,
federal
and
state
regulatory
agencies
began
close
monitoring
of
the
waste
management
operations
at
the
United
States
Oak
Ridge
National
Laboratory
(ORNL),
as
well
as
other
Department
of
Energy
(DOE)
sites.
They
discovered
that
remote
monitoring
wells
at
ORNL
were
registering
levels
of
radioactivity
originating
from
radioactive
solid
wastes
that
had
been
deposited
in
numerous
burial
trenches
dating
back
to
1951,
including
the
active
days
of
the
Manhattan
Project.
They
concluded
that
these
agencies
of
the
United
States
government
did
not
have
adequate
solutions
for
long
term
containment
or
abatement
of
toxic
pollution
to
the
environment.
Therefore,
a
comprehensive
study
was
undertaken
to
find
a
lasting
method
of
radioactive
waste
containment
and
environmental
remediation/
restoration.
Since
the
source
of
the
ground
and
surface
water
contamination
was
generally
known,
Oak
Ridge
engineers
immediately
began
testing
grouting
applications
and
soil
stabilization
methods
to
alter
the
localized
soil
and
reduce
permeability.
Several
different
grout
formulations
were
evaluated
for
their
ability
to
penetrate
and
reduce
hydraulic
conductivity
or
ground
water
transmission.
Lime
fly
ash,
fly
ash
cement
bentonite,
and
bentonite
alone
were
unsuccessful
in
permeation
of
the
sample
columns
and
were
therefore
eliminated.
Sodium
silicate,
1,3
benzenediol,
and
polyacrylamide
acrylamide
grout
were
able
".
.
.
the
half
life
for
the
undisrupted
to
successfully
penetrate
soil
and
sand
columns
and
reduce
hydraulic
conduc
L
1
Acryhmrde
grout
wus
determrnecf
to
tivities,
but
only
the
acrylamide
grout
was
able
to
reduce
the
mean
hydraulic
conductivities
from
104m/
s
to
<10
8m/
s
(exact
reduction
was
unknown
because
performance
exceeded
capabilities
of
monitoring
equipment).
For
this
reason,
the
acrylamide
chemical
grout
was
selected
and
subjected
to
the
next
phase
of
testing.
Acrylamide
chemical
grout
had
passed
the
first
set
of
tests,
but
the
big
question
was
whether
it
could
perform
long
term
in
the
field,
especially
in
such
a
contaminated
environment.
Two
of
the
smaller
trenches
were
chosen
for
field
testing
and
Continued
on
page
2
Avanti
International
Continued
from
page
1
Reference:
Farmer,
C.
D.,
L.
K.
Hyder,
S.
Y.
Lee,
and
injected
with
the
acrylamide
chemical
grout.
Based
on
B.
I'.
Spalding.
1986.
Demonstration
ofIn
Situ
Immobiliprevious
measurements,
it
was
concluded
that
"the
zationofBuried
Transuranic
WasteusingAcylamideGrout.
void
space
within
the
trenches
was
totally
filled
by
the
Martin
Marietta
Energy
Systems,
Inc.,
U.
S.
Dept.
of
grout
and
that
the
intratrench
hydraulic
conductivity
Energy,
under
contract
no.
DE
AC05
840R21400,
was
reduced
to
below
field
measurable
values.
The
Publication
no.
RAP86
69,
Environmental
Sciences
grout
was
also
completely
contained
within
the
two
Division
Oak
Ridge
National
Laboratory,
Oak
Ridge,
trenches
as
no
grout
constituents
were
observed
in
the
twelve
perimeter
groundwater
monitoring
wells."
These
results
proved
that
the
acrylamide
grout
had
properly
cured
and
stabilized
the
soil
even
in
the
presence
of
radioactive
waste.
The
stabilized
trenches
were
monitored
over
several
months
to
determine
the
degradation
rates
of
the
organic
acrylamide
grout.
These
rates
were
established
by
monitoring
the
rates
of
carbon
dioxide
evolution
from
amended
soils
as
microorganisms
metabolized
the
grout
as
a
carbon
and
energy
source.
Microbiological
half
lives
were
estimated
from
this
rate
of
carbon
dioxide
evolution
and
from
samples
returned
to
the
lab
for
a
six
month
observation
period.
Upon
the
completion
of
the
carbon
dating"
process,
the
half
life
for
the
undisrupted
acrylamide
chemical
grout
was
determined
to
be
approximately
115
years.
Due
to
its
successful
field
demonstration
and
superior
performance
in
laboratory
degradation
studies,
the
acrylamide
chemical
grout
received
final
approval
for
use
in
immobilization
and
remediation
of
buried
radioactive
waste.
T
N
37831.
l
Full
scale
grouting
of
the
buried
radioactive
waste
trenches
began
in
the
summer
of
1996
and
continued
to
the
end
of
that
year.
A
reduction
in
the
quantity
of
radioactive
waste
was
immediately
detected
at
adjacent
monitoring
wells,
and
a
hydrologic
monitoring
system
was
established
to
determine
the
overall
longterm
effectiveness
of
the
project.
Six
years
from
the
date
of
the
original
project,
acrylamide
chemical
grout
is
still
providing
insitu
isolation
of
buried
waste.
Calendar
of
Events
SME
February
25
27
l
Phoenix,
AZ
Avanti
Booth
#1917
PCEE
February
28
Mar.
2
l
Nashville,
TN
Avanti
Booth
#906
ICRl
March
6
8
l
Charleston,
SC
CIGMAT
March
15
l
Houston.
TX
APWA
Florida
March
25
28
l
Jacksonville,
FL
Avanti
Booth
#527
TEXAS
WATER
April
2
5
l
San
Antonio,
TX
ASCE
August
4
7
l
Cleveland,
OH
WEFTEC
September
28
Oct.
2
l
Chicago,
IL
At
the
onset
of
this
project,
the
DOE
required
lowlevel
waste
disposal
applications
to
have
performance
lifetimes
of
approximately
200
years
for
the
isolation
of
hazardous
radionuclides;
acrylamide
chemical
grouts
were
evaluated
using
these
government
standards
and
performed
within
the
parameters.
Avanti
International
makes
every
effort
to
enwre
the
accuracy
and
validity
of
all
editorial
and
advertising
content.
This
publication
is
independent
in
its
views
and
does
no+
support,
endorse
or
guarantee
any
data,
statements
or
opinions
which
appear
under
any
reference
or
ore
attributed
to
or
quoted
from
any
known
source.
The
views
expressed
by
@
2002
Avanti
International.
All
rights
reserved.
2
AvantiGrout
News/
Issue
1,
2002
Safe
Operating
Practices
Program
Version
2.1
0
2002
Avanti
International
822
Bay
Star
Blvd.
l
Webster,
TX
77598
l
(281)
486
5600
l
www.
AvantiGrout.
com
..
I(
,,^.
.I__.
.
....
..
.
I
I
I
I
I
I
"d
8.
II
Table
of
Contents
introduction
.
..________....___.........................
._______...__.______....
1
Commitment
to
Safety
..________
_
.
.._______________________
_______
_
_________...
Personal
Protective
Equipment
Respiratory
Protection
Program
.._______.
_
_.__________.
_
_______._._.________.
_________._
_
.________________.
1
Respirators
and
Cartridges
______________________.._
_
_____
_
_.__________..
_
_.____.___________________
_
.
.
.._______
1
Chemical
Protective
Clothing,
General
2
___________________...~~~..~~~~~.~..~.~~~~._.._________________~...
Chemical
Protective
Clothing,
Suits
2
_________________._..~~~~~~~...~~~.~~~.~~~~~~~~~~~~~~~.~~~~..~~~~~~..~~~.
Chemical
Protective
Clothing,
Gloves
_______
..___________
_
_________
_
____.____
__________________......
3
Chemical
Protective
Clothing,
Boots
_____
_
________.__
_
____________________..
________________.
3
Chemical
Protective
Clothing,
Splash
Goggles
&
Safety
Glasses
._________________.
3
Use
and
Care
of
Personal
Protective
Equipment
._.._________..
_
_.________...._______________....
4
Recap:
PPE
as
a
Protective
System
_.___________.__________
_
___________._______
_
__.___._____________
...
4
Housekeeping
Housekeeping
._._______
_
.________.__
_
________
___
_______
_
___________._________.._________.________
_
_._________________....
5
AV
100
Chemical
Grout
(AM
Powder)
Product
Descriptions
,_._________..._____..........
..________.
.
__._____________...
6
Storage
Requirements
________.________._..................
.____________
_
___.__..__
6
Disposal
of
Product
____._._._________._~~..~~..~~~~~~.~~..._______.._________
.._______.._._______......
7
Mixing
Instructions
,.__________________~~..~~~~~~...~.~..~~.~..~~~~~~~~~~
_
________.._____________
_
______________._
_
________
8
AV
100
Chemical
Grout
[Powder
Blend)
Product
Descriptions
.___________________
_
___________.___._.___.._______._________
_
________
__
__________.._.__________
11
Storage
Requirements
________.__________.______.._________.._._______
___________._______.......
_
_____
11
Disposal
of
ProducL
________________________________________..........
_
.________.._________~~~.
..
________
12
Mixing
Instructions
.____._.________
_
._________.
_
______._._______
__.__
_____
_._________.______.....
____
____
13
AV
100
Chemical
Grout
(Liquid)
Product
Descriptions
,______...__________....................
.___________.
_
._.____________.
16
Storage
Requirements
16
____________________..~....~...............
Disposal
of
Product
____________._______.........
._________._______.............
17
Mixing
Instructions
____.._.._____.____________
_
_____
___.______.__.______.........
_________
18
AV
118
Duriflex
Product
Descriptions
..________..______...
_
______._.________..
_
..__________________________
_.
________._...____________
21
Storage
Requirements
_____.._______.
_
____.___.________...________.
________.
_
______....__________........
21
Disposal
of
Product
________...
_
______._.________.._......__._.______.
_
.._____..__________......
__
._._.
22
Mixing
Instructions
______..._________......................
_
______
.._____
.__.___________.__.
_
..______
23
Additives
Product
Descriptions
.
.._.________...____.............
._________...____._____
__.._____.__.___...
______
26
Storage
Requirements
______....______......~~~.~..~.__.____.___.____..._~~~~~~~.~
.
.
..__________
_____.____
________
26
Disposal
of
Product
_.______.____.______~.....___..._..___.___....~...~.....~~~~~.....
___
_________...__...___.....
27
We
are
glad
you
have
chosen
to
work
with
Avanti
International
products
and
we
hope
you
find
this
guide
to
be
helpful
in
maintaining
a
safe
working
environment.
Avanti
International,
the
leading
supplier
of
chemical
grouts
in
the
United
States,
has
established
this
training
guide
for
the
safe
use
and
handling
of
its
acrylamide
and
acrylic
products.
This
Safe
Operating
Practices
Program
(SOPP)
has
been
developed
in
cooperation
with
our
suppliers
and
customers.
This
SOPP
is
a
tool
for
our
customers
to
protect
their
employees
and
the
environment
from
potential
hazards
associated
with
the
use
of
acrylamide
and
acrylic
chemical
grouts.
Despite
its
scope
and
breadth,
the
Avanti
International
SOPP
is
not
an
attempt
to
address
comprehensively
all
safety
considerations.
This
program
is
designed
to
be
the
minimum
standard
for
safety,
training,
and
the
use
of
personal
protective
equipment
for
the
grouting
industry
using
acrylamide
and
acrylic
chemical
grouts.
It
is
not
intended,
however,
to
cover
every
specific
situation,
problem,
or
eventuality.
Please
contact
Avanti
International
if
you
have
.questions.
This
SOPP
provides
guidance
only
and
does
not
alter
or
determine
legal
compliance
responsibilities,
which
are
set
forth
in
Occupational
Safety
and
Health
Administration
(OSHA)
standards
and
the
Occupational
Safety
and
Health
Act.
The
reader
must
refer
to
the
appropriate
standards
to
ensure
compliance.
Moreover,
because
interpretations
and
enforcement
policy
may
change
over
time,
for
additional
guidance
on
OSHA
compliance
requirements,
the
reader
should
consult
current
administrative
interpretations
and
decisions
by
the
Occupational
Safety
and
Health
Review
Commission
and
the
courts.
The
Environmental
Protection
Agency
(EPA)
has
expressed
an
interest
in
the
safe
use
and
handling
of
chemical
grouts,
and
recommendations
it
has
made
concerning
specific
items
of
personal
`protective
equipment
and
other
safety
enhancing
measures
have
been
incorporated
into
the
SOPP.
This
SOPP
is
the
product
of
many
years
of
experience
with
chemical
grouts
and
many
hours
of
hard
work
by
Avanti
International
personnel.
We
are
pleased
to
share
it
with
our
customers
and
their
employees,
for
whom
it
was
developed.
Neither
Avanti
International,
its
employees,
or
consultants,
however,
makes
any
express
or
implied
warranty
about
the
completeness
or
accuracy
of
the
information
in
the
SOPP,
nor
assumes
any
liability
or
responsibility
for
any
use,
or
the
results
of
such
use,
of
this
information.
Also,
while
Avanti
International
will
endeavor
to
advise
its
customers
of
any
significant
changes
in
the
content
of
the
SOPP,
please
be
aware
that
the
information
is
subject
to
change
without
notice.
I
au7
Avanti
International
hereby
grants
a
nonexclusive,
royalty
free
license
to
the
purchasers
of
its
products
to
retain
a
copy
of
the
SOPP
for
reference
and
training
purposes
and
to
reproduce
and
distribute
it
for
employee
use,
subject
to
the
following
conditions
and
limitations:
The
SOPP
is
the
copyrighted
material
of
Avanti
International.
Copies
of
the
SOPP
are
not
intended
for
sale
or
for
use
by
parties
other
than
the
purchasers
of
Avanti
International's
products
and
their
employees,
except
for
such
other
uses
as
Avanti
International
may
authorize
in
writing.
The
SOPP
may
not
be
altered,
abridged,
revised,
translated,
or
otherwise
modified
without
Avanti
International's
written
consent.
In
the
event
that
such
consent
is
given,
Avanti
International
assumes
no
responsibility
for
the
completeness,
or
overall
quality
of
any
alteration,
abridgment,
revision,
translation,
or
other
modification
of
this
SOPP.
Buyers
of
Avanti
International
acrylamide
and
acrylic
grouting
products
must
perform
an
annual
inspection
to
affirm
compliance
with
the
SOPP.
Copies
of
the
completed
employer
certification
and
SOPP
verification
forms
(in
Sections
12
and
13)
are
to
be
returned
to
Avanti
International.
Copies
of
completed
employee
certification
forms
(in
Section
11)
also
are
to
be
provided
to
Avanti
International
following
employee
training
in
the
handling
and
use
of
the
appropriate
grouting
materials,
including
review
of
the
SOPP
and
acceptable
performance
on
the
employee
test
(in
Section
10).
Each
customer
must
submit
renewals
annually
for
all
employees
involved
in
grouting
operations.
Employees
transferring
from
one
division
of
a
company
to
another
and/
or
new
employees
should
complete
the
SOPP
training
within
the
first
30
days
of
transfer
or
employment.
Thank
you
for
your
cooperation
in
maintaining
a
safe
working
environment
for
your
employees
and
for
using
Avanti
International's
acrylamide
and
acrylic
chemical
grouts
in
a
responsible
manner.
We
would
be
pleased
to
answer
any
questions
you
may
have.
Sincerely,
AVANTI
INTERNATIONAL
F.
David
Magill,
Jr.,
P.
E.
President
Personal
Protective
Equipment
The
proper
use
of
personal
protective
equipment,
commonly
called
PPE,
requires
that
employees
recognize
the
need
for
its
use.
If
employees
do
not
understand
the
reason
for
wearing
each
piece
of
equipment,
they
may
be
risking
unnecessary
exposure.
Employees
must
also
understand
the
relationship
of
how
all
of
the
PPE
works
together
to
protect
them.
Employees
must
wear
all
of
the
recommended
PPE
for
a
given
operation
to
be
properly
protected.
If,
for
example,
an
employee
is
engaged
in
an
operation
that
requires
a
chemical
suit,
respirator,
gloves,
and
boots,
and
is
not
wearing
approved
boots
but
street
shoes
and
a
chemical
spill
occurs,
the
employee
could
be
exposed
unnecessarily.
It
is
especially
important
to
train
employees
to
think
of
their
PPE
as
a
system
and
not
individual
pieces
of
equipment.
This
complete
system
approach
is
required
so
that
all
needed
equipment
is
always
worn
during
specific
operations,
such
as
mixing.
The
two
most
common
routes
of
exposure
to
chemicals
are
inhalation
hazards
(the
breathing
of
vapors
or
aerosols)
and
skin
contact.
In
order
to
protect
employees
from
inhalation
hazards,
a
respirator
must
be
worn
during
operations
that
might
expose
the
employee
to
these
hazards.
Avanti
International
highly
recommends
the
use
of
a
full
facepiece
respirator,
which
provides
increased
respiratory
protection
and
also
protects
the
face
and
eyes.
OSHA's
Respiratory
Standard
and
Respiratory
Protection
Program
When
an
employer
requires
the
use
of
a
respirator
during
specific
operations,
the
provisions
of
OSHA's
respiratory
protection
standard
must
be
met.
The
respiratory
protection
standard
requires
employee
medical
evaluations,
fit
testing,
and
respirator
training;
the
specific
requirements
can
be
found
at
http://
www.
osha.
goviTraining/
major
req
RPS
191
O
l
34.
pdf.
In
addition
to
meeting
the
terms
of
the
standard,
OSHA
requires
that
your
company
(I)
Develop
a
written
respiratory
program
with
procedures
that
are
specific
to
your
worksite;
(2)
Implement
the
program
and
update
it
as
necessary;
and
3)
Assign
a
qualified
program
administrator
to
run
and
evaluate
the
program.
The
applicable
regulations
are
at
http://
www.
osha.
gov/
SLTC/
respiratory
advisor/
oshafiles/
wri~
enprograml
.
html.
For
assistance,
you
can
download
a
copy
of
OSHA's
Small
Entity
Compliance
Guide
at
http://
www.
oshasic
qov/
oshdoc/
additional.
html#
seoc
rps.
The
Small
Entity
Compliance
Guide
includes
a
sample
written
respiratory
protection
program.
Respirators
and
Cartridges
Respirators
and
their
associated
cartridges
are
designed
to
protect
the
lungs.
Avanti
International
recommends
the
use
of
chemical
respirators
as
a
part
of
the
personal
protective
equipment
package
during
specific
operations.
The
specific
operations
where
chemical
respirators
must
be
worn
include
transferring
and
mixing
chemical
grouts
in
the
mixing
tanks;
and
cleaning
the
tanks,
lines
or
packers.
Manhole
grouting
with
acrylamide
also
requires
the
use
of
chemical
respirators.
Full
facepiece
respirators
offer
protection
of
the
face,
eyes
and
lungs
and
are
highly
recommended.
The
3M
brand
6800
Full
Facepiece
Respirator
used
with
the
appropriate
cartridge
filter,
or
a
comparable
product,
is
designed
to
provide
effective
protection
when
exposure
levels
of
acrylamide
are
below
the
OSHA
PEL
of
0.3
mg/
m3,
and
concentrations
of
formaldehyde
are
below
the
OSHA
PEL
of
0.75mg/
m3.
p..
The
3M
brand
60921
Organic
Vapor
Cartridge/
P100
Filter,
or
a
comparable
product,
is
designed
to
be
effective
for
use
with
AV
100
liquids
and
powders
when
concentrations
of
acrylamide
are
below
the
OSHA
PEL
of
0.3mg/
m3.
The
3M
brand
60925
Formaldehyde/
Organic
Vapor
Cartridge/
PI
00
Filter,
or
a
comparable
product,
is
designed
to
be
effective
for
use
with
AV
118,
when
concentrations
of
formaldehyde
are
below
the
OSHA
PEL
of
0.75mg/
m3
and
concentrations
of
acrylamide
are
below
the
OSHA
PEL
of
0.3mg/
m3.
If
a
cartridge/
filter
becomes
damaged
or
soiled,
or
if
breathing
becomes
difficult,
the
employee
should
leave
the
area
and
replace
the
cartridge/
filter.
If
used
in
an
environment
containing
oil
aerosols,
replace
the
cartridge/
filter
after
40
hours
of
use
or
30
days,
whichever
comes
first.
Employees
should
not
share
respirators
and
should
keep
their
respirator
in
a
sealed
bag
in
a
secure
location.
Chemical
Protective
Clothing,
General
(CPC)
As
noted
above,
the
various
PPE
recommendations
and
requirements
should
be
addressed
as
a
single
unit.
A
unit
approach
to
PPE
requires
that
all
PPE
recommended
for
a
specific
operation
always
be
worn
during
that
operation.
It
is
imperative
that
employees
understand
that
PPE
is
not
just
a
pair
of
goggles
and
gloves,
but
includes
suits
and
boots,
as
well
as
eye
protection,
gloves
and
respirators.
Chemical
Protective
Clothing,
Suits
.
Chemical
suits
are
designed
as
body
protection.
Even
though
physical
contact
with
acrylamide
powder
or
liquid
is
unlikely,
chemical
suits
are
an
essential
part
of
an
employee's
personal
protective
equipment
package
during
specific
operations.
EPA
has
advised
that
the
DuPont
brand
TychemB
model
(SL)
protection
suit
provides
excellent
protection
against
potential
acrylamide
exposure
hazards.
The
Tychem@
SL
suit
is
a
lightweight,
comfortable
garment
specifically
designed
for
easy
wear.
It
has
been
tested
with
acrylamide
and
shows
an
average
normalized
breakthrough
time
in
minutes
to
be
greater
than
480.
If
other
products
offer
protection
comparable
to
that
of
TychemB
SL
in
standardized
laboratory
testing
with
acrylamide,
these
products
would
be
considered
effective
as
well.
The
specific
operations
where
TychemB
SL
or
comparable
chemical
suits
must
be
worn
include:
transferring
and
mixing
chemical
grouts
into
the
mixing
tanks;
cleaning
the
tanks,
lines
or
packers.
The
use
of
such
suits
is
also
necessary
during
all
in
manhole
operations
that
involve
grouting
with
acrylamide.
TychemB
type
suits
are
considered
limited
use
disposable
garments.
DuPont
describes
the
use
characteristics
of
these
garments
as
follows:
"The
exact
number
of
wearings
cannot
be
stated
without
knowledge
of
the
specific
end
use.
However,
up
to
5
wearings,
under
controlled
conditions
through
a
structured
garment
inspection
program,
are
not
uncommon
in
light
tomoderate
non
hazardous
activities."
Once
a
garment
is
contaminated
or
damaged,
it
should
be
properly
disposed
of
immediately.
For
any
other
operation
in
the
truck
in
which
TychemB
or
comparable
suits
are
not
required,
the
employee
must
be
wearing
a
long
sleeved
shirt,
full
length
pants
and
approved
footwear
as
a
minimum
requirement.
Chemical
Protective
Clothing,
Gloves
Chemical
gloves
are
designed
as
protection
of
the
hand,
wrist
and
forearm,
and
must
be
used
for
any
operation
where
chemical
grout
is
present.
These
operations
include
transferring
and
mixing
grouts,
handling
the
packer,
and
all
cleaning
and
testing
operations.
A
suitable
glove
will
exhibit
good
resistance
to
acrylamide,
and
is
also
important
to
specify
the
proper
thickness
(gauge).
When
choosing
a
glove
it
is
important
to
specify
the
proper
thickness
(gauge).
At
this
time,
only
the
15
mil
(0.38
millimeter)
Best
brand
Nitri
Solve@
Model
727
has
been
tested
and
reported
effective
for
exposure
to
acrylamide.
If
other
products
offer
protection
comparable
to
that
of
the
Best
Nitri
Solve@
Model
727
gloves
in
standardized
laboratory
testing
with
acrylamide,
these
products
would
be
considered
effective
as
well.
Gloves
should
cover
the
wrist
and
forearm
and
fit
well
enough
so
the
employee
has
freedom
of
movement.
Gloves
may
be
reused
if
functioning
properly
and
previous
chemical
exposure
was
light.
Because
the
use
of
gloves
and
the
extent
of
their
exposure
is
unknown
it
would
be
prudent
to
limit
their
usage
to
5
days
or
less.
Gloves
that
are
heavily
contaminated
should
be
changed
on
a
more
frequent
basis.
Gloves
that
are
torn
or
abraded
should
be
changed
immediately,
and
disposed
of
properly.
Chemical
Protective
Clothing,
Boots
Chemical
boots
are
designed
to
protect
the
foot,
ankle
and
lower
leg,
and
must
be
used
for
any
operation
where
chemical
grout
is
present.
These
operations
include
transferring
and
mixing
grouts,
handling
the
packer,
cleaning
and
testing
operations,
and
all
in
sewer
activities.
Boots
must
exhibit
good
resistance
to
be
effective.
Boots
should
be
cleaned
on
a
daily
basis
if
they
have
come
into
contact
with
chemical
grout.
Boots
that
are
torn
or
are
heavily
worn
should
be
replaced
immediately.
Leather
footwear
is
prohibited
if
it
can
possibly
come
into
contact
with
chemical
grouts.
Leather
absorbs
spills,
creating
a
pathway
for
exposure
and
irritation
of
the
feet
and
ankles.
Once
leather
has
become
wet
and
contaminated,
the
leather
remains
contaminated
even
after
drying.
Chemical
Protective
Clothing,
Splash
Goggles
and
Safety
Glasses
Chemical
goggles
and
safety
glasses
are
designed
as
protection
for
the
eyes.
Unvented
chemical
splash
goggles
must
be
worn
for
any
operation
where
chemical
grout
is
present
if
a
full
facepiece
respirator
is
not
being
worn.
Splash
goggles
provide
superior
eye
protection
as
compared
to
safety
glasses.
Avanti
International
recommends
such
splash
goggles
as
Uvex
futuraTM
brand
(model
9301)
or
comparable
goggles
that
are
specifically
designed
for
splash
protection.
Damaged
or
severely
scratched
goggles
must
be
discarded
immediately.
Splash
goggles
should
be
cleaned
on
a
daily
basis.
Safety
glasses
may
be
worn
for
operations
other
than
those
listed
above.
Safety
glasses
that
fully
protect
the
eye
should
be
chosen.
Offering
the
employee
a
variety
of
safety
glasses
that
are
comfortable
for
the
wearer
will
support
their
proper
and
consistent
use.
Use
and
Care
of
Personal
Protective
Equipment
Properly
maintaining
and
using
personal
protective
equipment
is
an
important
step
in
the
safe
handling
of
chemical
grouts.
General
guidelines
for
PPE
use
and
care
are
as
follows:
l
Inspect
all
PPE
before
each
use.
l
NEVER
use
damaged
or
contaminated
items.
l
Wear,
store
and
clean
PPE
according
to
manufacturers'
guidelines.
l
PPE
fit
is
extremely
important.
If
PPE
does
not
fit
well,
employees
tend
not
to
use
it,
which
defeats
its
basic
purpose.
The
best
equipment
in
the
world
will
not
protect
an
employee
unless
it
is
used
correctly
and
consistently.
Supervisors
should
recognize
the
signs
that
an
employee
is
not
properly
using
the
provided
PPE
or
is
not
following
good
safety
procedures.
No
employee
should
be
permitted
to
work
independently
with
any
of
the
chemical
grouts
until
thoroughly
and
properly
trained.
The
employee
must
be
able
to
follow
the
procedures
and
required
precautions.
Employees
MUST
do
their
part
to
support
the
effective
use
of
PPE,
as
follows:
e
Wear
clean
clothes
each
workday
and
wash
before
re
use.
l
Shower
and
wash
hair
at
end
of
each
workday.
l
Wash
hands
and
face
before
eating,
drinking
or
smoking.
l
Keep
food
out
of
the
work
area.
l
Maintain
a
clutter
free
workspace.
l
Consult
your
supervisor
if
you
do
not
understand
how
to
use
or
maintain
PPE
correctly.
Additional
Equipment
A
dual
32
oz.,
wall
mounted
eyewash
station
should
be
accessible
to
employees
and
maintained
in
good
working
order.
Recap:
PPE
as
a
Protective
System
Respirators,
chemical
protective
suits,
gloves,
boots
and
goggles
are
all
part
of
an
integrated
system
to
assure
that
operations
with
chemical
grouts
are
undertaken
and
completed
safely.
It
is
essential
that
all
elements
of
the
employees'
PPE
system
are
clean,
functioning
properly
and
property
fitted.
The
employee
is
responsible
for
determining
the
status
of
each
piece
of
his
personal
protective
equipment.
All
PPE
should
be
inspected
before
wearing
it
in
an
area
or
situation
that
may
expose
the
wearer
to
hazardous
chemicals:
If
any
one
piece
of
equipment
is
in
unsatisfactory
condition,
the
employee
should
not
begin
operations
until
the
condition
is
corrected.
PPE
should
be
cleaned
and
inspected
at
the
end
of
each
shift
and
properly
stored
for
future
use.
PPE
by
definition
is
an
employee's
last
line
of
defense
and
should
be
treated
accordingly.
Avanti
International
has
listed
specific
brands
of
PPE,
including
chemical
protective
clothing,
as
a
convenience.
It
is
the
responsibility
of
each
user
of
Avanti
grouting
products
to
determine
the
type
and
brand
of
equipment
that
is
appropriate
for
their
specific
work
environment.
To
promote
employee
safety,
however,
the
equipment
selected
should
provide
protection
at
least
equivalent
to
what
the
examples
cited
above
would
provide.
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4
2
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I
Housekeeping
Good
housekeeping
in
the
work
area
is
as
important
as
the
safe
handling
of
chemical
grouts.
TV/
Grout
rigs
have
very
small
work
areas
and
should
be
organized
to
allow
employees
the
greatest
freedom
of
movement
and
the
ability
to
perform
their
jobs
in
a
safe
manner.
Time
allotted
to
the
maintenance
of
the
interior
of
the
truck
is
as
valuable
as
changing
the
oil
or
inspecting
the
tires.
Employees
should
become
familiar
with
the
checklist
provided
below
and
follow
it
as
a
minimum
daily
requirement
for
their
housekeeping
duties.
The
list
is
not
meant
to
be
exhaustive;
any
site
specific
or
operation
specific
requirements
should
be
added
by
the
employer
as
needed.
Along
with
the
proper
storage
location
for
chemicals
being
transported,
the
employees
should
have
designated
locations
for
the
disposal
of
empty
containers
and
bags.
Grouting
equipment
should
be
washed
with
clean
water
to
limit
accidental
exposure
from
the
handling
of
packers,
scoops,
mixing
paddles,
pitchers,
cameras,
and
the
hose
reel.
Good
housekeeping
in
the
cab
area
of
the
truck
is
also
important.
Employees
should
refrain
from
storing
food
and
beverages
in
the
open
cab
areas
of
the
TV/
Grout
rig.
Do
not
eat
or
drink
anywhere
in
the
TV/
Grout
rig.
Smoking
should
never
be
permitted
in
a
TV/
Grout
rig.
Daily
Housekeeping
Checklist
Clean
work
area
often
and
maintain
it
in
good
condition.
Make
sure
water
tank
is
full.
This
is
important
not
only
for
making
more
grout,
but
it
can
be
used
for
clean
up
and
also
can
be
used
in
case
of
an
emergency.
Mop
the
floors,
wash
down
outside
of
grout
tanks,
and
wash
hose
reel
and
packers
with
fresh
water,
making
sure
that
excess
water
is
directed
into
a
sanitary
sewer.
Wash
tools
used
to
work
on
pumps,
packers
and
hoses
with
fresh
water,
making
sure
that
excess
water
is
directed
into
a
sanitary
sewer.
Immediately
wash
down
any
spills,
that
cannot
be
collected
or
gelled.
Secure
door
to
control
room
during
the
mixing
process.
When
transporting
the
Triethanolamine
(Cat
T),
it
must
always
be
kept
away
from
either
Ammonium
Persulfate
(AP)
or
Sodium
Persulfate
(SP).
Seal
all
chemical
containers
immediately
after
use.
Secure
all
chemical
containers
so
as
not
to
shift
during
transit.
Always
store
chemicals
in
original
containers.
Remove
empty
containers
from
the
TV/
Grout
rig
and
d&
pose
of
properly.
Operator
should
clean
steering
wheel
to
prevent
cross
contamination.
Assistant
should
inspect
grouting
system
for
leaks
while
in
use
and
repair
as
necessary.
Chemical
protective
clothing
(CPC)
should
be
cleaned
thoroughly
at
the
end
of
each
shift.
CPC
should
be
stored
in
clean
plastic
bags
away
from
the
chemicals.
CPC
should
be
stored
outside
of
the
control
room.
CPC
should
be
thoroughly
inspected
before
being
used.
5
213
AV
IOO
Chemical
Grout
(AM
Powder)
Product
Descriptions
AV
100
AM
Acrylamide
Monomer
is
the
trade
name
for
an
acrylamide
grout
used
for
sewer
line
joint
sealing,
sewer
line
lateral
sealing,
manhole
sealing,
and
soil
stabilization.
AV
100
AM
is
a
white
crystalline
acrylamide
powder
(CAS
number
79
06
I)
that
dissolves
completely
and
rapidly
in
water.
Mixed
in
with
the
acrylamide
is
a
small
amount
of
copper
sulfate
(blue
crystals)
that
stabilizes
the
product.
AV
100
AM
is
sold
in
fiber
drums
containing
four
(4)
55
pound
bags.
The
two
layer
bags
are
designed
for
the
operator
to
lower
the
inner
bag
into
the
grout
tank
during
the
product
transfer.
AV
100
MBA
Methylenebisacrylamide
is
the
trade
name
for
Methylenebisacrylamide
(CAS
number
110
26
g).
AV
100
MBA
is
a
bluish
white
liquid
that
is
a
cross
linker
of
acrylamide.
The
AV
100
MBA
must
be
added
to
AV
100
AM.
The
AV
100
MBA
liquid
is
packaged
in
64
ounce
containers
in
an
emulsion
form
for
easier
mixing.
AV
101
Catalyst
T+
is
the
trade
name
for
a
blend
of
Triethanolamine
(CAS
number
102
71
6)
and
proprietary
additives.
AV
101
is
a
thick
colorless
liquid
that
is
used
as
an
activator.
The
proprietary
additives
decrease
the
freezing
point,
which
allows
storage
and
transportation
in
temperatures
at
or
below
freezing.
AV
101
is
packaged
in
both
5gallon
plastic
drums
and
55
gallon
lined
metal
drums.
AV
102
Catalyst
AP
is
the
trade
name
for
Ammonium
Persulfate
(CAS
number
7727
54
O).
AV
102
is
a
white
powder
that
is
used
as
a
polymerization
initiator.
It
is
packaged
in
50
pound
plastic
pails
or
225
pound
coated
fiber
drums
with
a
plastic
inner
liner.
Storage
Requirements
AV
100
AM:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
bags
inside
drums.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
this
product.
Store
away
from
AV
101
Catalyst
T+
and
AV
102
Catalyst
AP.
AV
100
MBA:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Wear
proper
PPE
when
handling
this
product.
Store
away
from
AV
101
Catalyst
T+
and
AV102
Catalyst
AP
and
AV
103
Catalyst
SP.
AV
101
Catalyst
T+:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Store
away
from
acids
or
oxides
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
AV
102
Catalyst
AP.
AV
102
Catalyst
AP:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
Store
away
from
acids,
alkalis,
halides,
reducing
agents,
combustible
materials
and
heavy
metals
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
AV
101
Catalyst
T+.
I
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I
General:
Maintain
first
aid
kit,
gloves,
respirators,
aprons,
and
cleanup
equipment
in
the
storage
area
at
all
times.
An
emergency
spill
response
kit
should
also
be
readily
available.
Foam,
carbon
dioxide,
or
dry
chemical
fire
extinguishers
should
be
easily
accessible.
Provide
eyewash,
shower,
and
a
source
of
water
in
the
storage
area.
Keep
materials
in
original
packaging
whenever
possible.
Disposal
of
Product
AV
100
AM:
Powder
product
must
be
gelled
or
properly
contained
and
incinerated.
The
best
method
for
disposal
is
to
gel
the
material,`
as
follows.
Collect
as
much
dry
AV
100
as
possible,
taking
all
precautions
to
avoid
creating
dust
while
collecting
the
product.
Add
AV
101
Cat
T+,
and
gel
with
water
and
AV
102
Catalyst
AP,
in
this
order.
Gelled
(catalyzed)
materials
pose
little
risk
and
may
be
sent
to
a
landfill.
Very
small
spills
may
be
washed
down
with
water,
with
the
water
being
released
into
a
sanitary
sewer
system
for
treatment.
Keep
emptied
bags
and
drums
at
a
fixed
place
until
proper
disposal.
Drums
must
not
be
reused
for
any
other
purpose.
If
you
are
uncertain
about
how
to
properly
dispose
of
the
product,
bags,
or
drums,
contact
a
state
registered
hazardous
materials
disposal
facility
or
an
appropriate
consultant.
State
or
local
waste
agencies
can
also
be
helpful.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
100
MBA:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
Resource
Conservation
and
Recovery
Act
(RCRA)
approved
waste
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
101
Catalyst
T+:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
RCRA
approved
waste
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
102
Catalyst
AP:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
as
hazardous
waste
and
sent
to
an
appropriate
RCRA
approved
waste
disposal
facility.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
w'ith
federal,
state
and
local
requirements.
Safety
Information,
Hazards
and
First
Aid
Consult
Material
Safety
Data
Sheets
(MSDS).
Shipping
Information
See
Page
35.
Mixing
Instructions
for
AV
IOO
Chemical
Grout
(AM
Powder)
AV
100
AM
Conventional
Mix
(11.6%
Solids,
approx.
25
Second
Gel
Time
at
72°
F)
Before
mixing
procedures
begin,
the
operator
must
determine
1)
the
necessary
gel
strength
and
gel
time
required
for
the
specific
application,
2)
the
availability
of
all
necessary
grout
components,
and
3)
that
all
safety
equipment
is
present
and
in
good
working
order.
Personal
Protective
Equipment
(PPE)
During
transfer/
mixing
operations,
the
minimum
PPE
consists
of
a
cartridge
respirator
full
facepiece
type,
a
TychemB
brand
or
equivalent
chemical
suit,
and
gloves
and
boots
that
meet
the
descriptions
in
Chapter
2.
Product
Information
A
single
55
pound
bag
of
AV
100
AM
Acrylamide
Monomer
powder,
mixed
with
64
ounces
(2.75
pounds)
of
Methylenebisacrylamide
(MBA)
yields
a
60
gallon
batch
of
11.5%
(by
weight)
strength
acrylamide
grout.
For
best
results,
these
grouts
should
be
blended
at
concentrations
of
10%
or
greater.
Concentrations
above
10%
are
favored
for
high
strength
gel
applications
or
to
handle
dilution
of
more
than
50%
prior
to
gelation.
Mixing
Instructions
(Conventional
Mix)
Tank
A
(Grout
Tank)
Tank
B
(Catalyst
Tank)
l
AV
100
powder:
1
bag
l
AV
102
AP:
5
Ibs.
(60
ounces
by
.
MBA
emulsion:
64
ounces
by
volume
volume)
l
Water:
Add
enough
water
to
make
.
AV
101
Cat
T:
70
ounces
by
volume
(5
Ibs.)
a
30
gallon
batch
.
Water:
Add
enough
water
to
make
a
30
gallon
batch.
The
above
conventional
mixture
can
be
modified
to
meet
your
specific
application.
The
Methylenebisacrylamide
(AV
100
MBA)
is
an
emulsion
that
is
a
required
grout
compound.
Always
use
the
complete
container
for
each
batch.
The
AV
100
MBA
is
always
added
to
the
grout
side
tank.
The
Triethanolamine
(AV
101
Cat
T+)
is
a
liquid
that
is
a
required
grout
compound
and
can
be
increased
from
a
minimum
of
35
ounces
by
volume
(.
5%
by
weight,
2.5
Ibs.)
to
a
maximum
of
175
ounces
by
volume
(2.5%
by
weight,
12.5
Ibs).
Using
more
than
175
ounces
by
volume
is
not
recommended,
as
it
results
in
too
fast
a
gel
time.
The
AV
101
Cat
T
is
always
added
into
the
same
tank
as
the
grout.
The
Ammonium
Persulfate
(AV
102
AP)
is
a
powder
that
is
a
required
grout
compound
and
can
be
increased
from
5
pounds
(1%
by
weight,
60
ounces
by
volume)
to
a
maximum
of
15
pounds
(3%
by
weight,
180
ounces
by
volume).
The
AV
102
is
added
to
the
catalyst
tank.
Sodium
Persulfate
(AV
103
SP)
is
a
powder
that
may
be
used
in
place
of
Ammonium
.Persulfate
(AV
102
AP),
although
Avanti
International
considers
AV
102
AP
to
be
a
more
effective
product
for
mixing
AV
100
grouts.
The
same
amount
of
AV
103
SP
is
used
when
replacing
AV
102
AP.
The
AV
103
is
added
to
the
catalyst
tank.
Storage
and
disposal
of
AV
103
are
addressed
in
the
AV
118
section.
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
I
8
Grout
Transfer
Method
The
operator
and
staff
are
at
the
highest
risk
for
exposure
to
acrylamide
when
the
powdered
AV
100
is
transferred
from
the
bag
into
the
grout
tank.
Every
precaution
should
be
taken
to
assure
that
the
operator
and
other
crewmembers
are
not
exposed
to
the
acrylamide
powder
either
in
the
air
or
spilled
in
the
vehicle.
The
following
procedure,
accompanied
by
the
wearing
of
appropriate
PPE,
effectively
reduces
the
possibility
of
chemical
exposure.
PPE
Steel
toed
boots
and
protective
gloves
and
goggles
should
be
worn
before
moving
the
drum
containing
AV
100
powder
from
storage.
During
the
transfer/
mixing
process
a
cartridge
respirator,
appropriate
boots
and
a
TychemB
brand
or
comparable
chemical
suit
are
required.
Gloves
approved
for
use
with
acrylamide
must
be
worn
in
order
to
keep
the
liquid
or
powder
from
coming
into
contract
with
the
skin.
Avanti
International
highly
recommends
the
use
of
a
full
face
piece
respirator
during
transfer/
mixing
operations.
Procedure
Keep
the
bag
of
AV
100
intact
whenever
possible.
Fill
grout
tank
with
approximately
15
gallons
of
water
before
introducing
the
AV
100
MBA
or
AV
100
powdered
grout.
Add
64
ounces
of
AV
100
MBA
emulsion
to
grout
side
tank.
Add
small
amount
of
water
to
container,
rinse
to
remove
any
residue,
mix
all
thoroughly.
Do
not
let
AV
100
MBA
contact
skin.
Place
the
neck
of
the
AV
100
powdered
grout
bag
under
the
surface
of
the
water
as
the
grout
is
being
poured
into
the
grout
tank.
It
is
extremely
important
to
take
care
that
no
powder
is
released
into
the
air
or
spilled
during
transfer.
Empty
the
bag
of
AV
100
powdered
grout
as
completely
as
possible
and
roll
the
bag
from
bottom
to
top
before
carefully
removing
from
the
grout
tank.
Immediately
wrap
up
the
bag
and
place
it
in
another
bag
so
that
no
powder
or
liquid
on
the
grout
bag
is
released
inside
the
vehicle.
Add
70
fluid
ounces
by
volume
(5
Ibs.)
of
liquid
AV
101
Cat
T+
to
the
grout
tank.
Add
5
Ibs.
(60
fluid
ounces
by
volume)
of
powder
AV
102
to
the
catalyst
tank.
Fill
both
tanks
to
the
30
gallon
level
with
water.
Properly
dispose
of
the
bags
and
empty
MBA
containers,
as
described
earlier
in
this
chapter.
The
empty
bags
and
containers
must
not
be
used
for
any
other
purposes.
Field
Conditions
The
temperature
of
the
water
in
the
tanks
has
a
large
impact
on
grout
gel
times.
Therefore,
water
temperature
should
be
measured
throughout
the
day
to
help
determine
desired
grout
gel
times.
Since
the
gel
time
is
greatly
reduced
with
increasing
temperatures,
cup
tests
to
monitor
gel
times
should
be
conducted.
As
a
general
rule
of
thumb,
gel
time
is
reduced
by
one
half
for
every
10°
F
rise
in
temperature.
Water
temperatures
can
vary
dramatically
between
early
morning
and
late
afternoon.
Trucks
parked
overnight
or
through
a
weekend
can
reach
temperatures
as
high
as
150°
F.
The
grout
side
tank
should
not
be
exposed
to
direct
sunlight
as
UV
rays
can
accelerate
polymerization.
Optional
Additives
I
There
are
several
additives
that
can
modify
the
behavior
of
the
grout
being
used.
Ethylene
Glycol,
Liquid
(AV
105)
Amount:
Maximum
of
2.5
gallons
per
tank.
I
Add
equal
amounts
to
both
tanks,
replaces
water.
Finish
by
filling
tanks
with
water
to
30
gallon
I
line.
Tanks
should
not
exceed
30
gallon
fill
line.
Result:
Enhances
grouts
ability
to
undergo
freezing
and
dehydration.
Lowers
freezing
temperature
of
the
solution.
I
Icosetilatex,
Liquid
(AV
257)
Amount:
2
to
3
gallons.
I
Add
to
grout
side
only,
replaces
water.
Finish
by
filling
tank
with
water
to
30
gallon
line.
Tank
should
not
exceed
30
gallon
fill
line.
Result:
increases
compressive
and
tensile
strength,
also
increases
viscosity.
I
Potassium
Ferricyanide,
Powder
(KFe)
Amount:
Very
small
amount,
less
than
`I4
teaspoon
to
start.
Add
to
grout
side
tank.
Result:
Extends
gel
times.
Norosac,
Powder
(AC
SOW
A)
Amount:
3.2
ounces
by
weight.
This
is
equal
to
5
0~
in
an
8
fluid
ounce
measuring
cup.
Add
to
grout
side
tank.
Results:
Slows
new
growth
of
roots
in
the
sewer
joints.
Additional
information
about
these
additives
is
found
in
Chapter
9.
I
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AV
IOO
Chemical
Grout
(Powder
Blend)
Product
Descriptions
AV
100
Powder
Blend
is
the
trade
name
for
an
acrylamide
grout
that
contains
MBA,
used
for
sewer
line
joint
sealing,
sewer
line
lateral
sealing,
manhole
sealing,
and
soil
stabilization.
AV100
AM
is
a
white
crystalline
acrylamide
powder
(CAS
number
79
06
I)
that
dissolves
completely
and
rapidly
in
water.
Mixed
in
with
the
acrylamide
is
a
small
amount
of
copper
sulfate
(blue
crystals)
that
stabilizes
the
product.
The
two
layer
bags
are
designed
for
the
operator
to
lower
the
inner
bag
into
the
grout
tank
during
the
product
transfer.
AV
100
Powder
Blend
is
sold
in
fiber
drums
containing
four
(4)
50
pound
bags.
AV
101
Catalyst
T+
is
the
trade
name
for
a
blend
of
Triethanolamine
(CAS
number
102
71
6)
and
proprietary
additives.
AV
101
is
a
thick
colorless
liquid
that
is
used
as
an
activator.
The
proprietary
additives
decrease
the
freezing
point,
which
allows
storage
and
transportation
in
temperatures
at
or
below
freezing.
AV
101
is
packaged
in
both
5
gallon
plastic
drums
and
%
gallon
lined
metal
drums.
AV
102
Catalyst
AP
is
the
trade
name
for
Ammonium
Persulfate
(CAS
number
7727
54
O).
AV
102
is
a
white
powder
that
is
used
as
a
polymerization
initiator.
It
is
packaged
in
50
pound
plastic
pails
or
225
pound
coated
fiber
drums
with
a
plastic
inner
liner.
Storage
Requirements
AV
100
Powder
Blend:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
bags
inside
drums.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
this
product.
Store
away
from
AV
101
Catalyst
T+
and
AV
102
Catalyst
AP.
AV
101
Catalyst
T+:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Store
away
from
acids
or
oxides
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
AV
102
Catalyst
AP.
AV
102
Catalyst
AP:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
Store
away
from
acids,
alkalis,
halides,
reducing
agents,
combustible
materials
and
heavy
metals
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
AV
101
Catalyst
T+.
General
Maintain
first
aid
kit,
gloves,
respirators,
aprons,
and
cleanup
equipment
in
the
storage
area
at
all
times.
An
emergency
spill
response
kit
should
also
be
readily
available.
Foam,
carbon
dioxide,
or
dry
chemical
fire
extinguishers
should
be
easily
accessible.
Provide
eyewash,
shower,
and
a
source
of
water
in
the
storage
area.
Keep
materials
in
original
packaging
whenever
possible.
Disposal
of
Product
AV
100
Powder
Blend:
Powder
product
must
be
gelled
or
properly
contained
and
incinerated.
The
best
method
for
disposal
is
to
gel
the
material,
as
follows.
Collect
as
much
dry
AV
100
as
possible,
taking
all
precautions
to
avoid
creating
dust
while
collecting
the
product.
Add
AV
101
Cat
T+,
and
gel
with
water
and
AV
102
Catalyst
AP,
in
this
order.
Gelled
(catalyzed)
materials
pose
little
risk
and
may
be
sent
to
a
landfill.
Very
small
spills
may
be
washed
down
with
water,
with
the
water
being
released
into
a
sanitary
sewer
system
for
treatment.
Keep
emptied
bags
and
drums
at
a
fixed
place
until
proper
disposal.
Drums
must
not
be
reused
for
any
other
purpose.
If
you
are
uncertain
about
how
to
properly
dispose
of
the
product,
bags,
or
drums,
contact
a
state
registered
hazardous
materials
disposal
facility
or
an
appropriate
consultant.
State
or
local
waste
agencies
can
also
be
helpful.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
101
Catalyst
T+:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
RCRA
approved
waste
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
102
Catalyst
AP:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
as
hazardous
waste
and
sent
to
an
appropriate
RCRA
approved
waste
disposal
facility.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
Safety
Information,
Hazards
and
First
Aid
Consult
Material
Safety
Data
Sheets
(MSDS).
Shipping
Information
See
Page
35.
,"
C
Mixing
Instructions
for
AV
IOO
Chemical
Grout
(Powder
Blend)
AV
100
Powder
Blend
Conventional
Mix
(10.0%
Solids,
approx.
25
Second
Gel
Time
at
72°
F)
Before
mixing
procedures
begin,
the
operator
must
determine
1)
the
necessary
gel
strength
and
gel
time
required
for
the
specific
application,
2)
the
availability
of
all
necessary
grout
components,
and
3)
that
all
safety
equipment
is
present
and
in
good
working
order,
Personal
Protective
Equipment
(PPE)
During
transfer/
mixing
operations,
the
minimum
PPE
consists
of
a
cartridge
respirator
full
facepiece
type,
a
TychemB
brand
or
equivalent
chemical
suit,
and
gloves
and
boots
that
meet
the
descriptions
in
Chapter
2.
Product
Information
A
single
50
pound
bag
of
AV
100
Powder
Blend,
containing
Methylenebisacrylamide
(MBA)
yields
a
60
gallon
batch
of
10.0%
(by
weight)
strength
acrylamide
grout.
For
best
results,
these
grouts
should
be
blended
at
concentrations
of
10%
or
greater.
Concentrations
above
10%
are
favored
for
high
strength
gel
applications
or
to
handle
dilution
of
more
than
50%
prior
to
gelation.
Mixing
Instructions
(Conventional
Mix)
Tank
A
(Grout
Tank)
9
AV
I
00
Powder
Blend:
1
bag
l
AV
101
Cat
T:
70
ounces
by
volume
(5
Ibs.)
l
Water:
Add
enough
water
to
make
a
30
gallon
batch.
Tank
B
(Catalyst
Tank)
l
AV
102
AP:
5
Ibs.
(60
ounces
by
volume)
l
Water:
Add
enough
water
to
make
a
30
gallon
batch
The
above
conventional
mixture
can
be
modified
to
meet
your
specific
application.
The
Triethanolamine
(AV
101
Cat
T+)
is
a
liquid
that
is
a
required
grout
compound
and
can
be
increased
from
a
minimum
of
35
ounces
by
volume
(5%
by
weight,
2.5
Ibs.)
to
a
maximum
of
175
ounces
by
volume
(2.5%
by
weight,
12.5
Ibs).
Using
more
than
175
ounces
by
volume
is
not
recommended.
The
AV
101
Cat
T
is
always
added
into
the
same
tank
as
the
grout.
The
Ammonium
Persulfate
(AV
102
AP)
is
a
powder
that
is
a
required
grout
compound
and
can
be
increased
from
5
pounds
(1%
by
weight,
60
ounces
by
volume)
to
a
maximum
of
15
pounds
(3%
by
weight,
180
ounces
by
volume).
The
AV
102
is
added
to
the
catalyst
tank.
Sodium
Persulfate
(AV
103
SP)
is
a
powder
that
may
be
used
in
place
of
Ammonium
Persulfate
(AV
102
AP).
The
same
amount
of
AV
103
SP
is
used
when
replacing
AV
102
AP.
Avanti
International
prefers
AV
102
AP
when
mixing
AV
100
grouts.
The
AV
103
is
added
to
the
catalyst
tank.
Storage
and
disposal
issues
of
AV
103
are
addressed
in
the
AV118
section.
Grout
Transfer
Method
The
operator
and
staff
are
at
the
highest
risk
for
exposure
to
acrylamide
when
the
powdered
AV
100
is
transferred
from
the
bag
into
the
grout
tank.
Every
precaution
should
be
taken
to
assure
that
the
operator
and
other
crewmembers
are
not
exposed
to
the
acrylamide
powder
either
in
the
air
or
spilled
in
the
vehicle.
The
following
procedure,
accompanied
by
the
wearing
of
appropriate
PPE,
effectively
reduces
the
possibility
of
chemical
exposure.
PPE
Steel
toed
boots;
and
protective
gloves
and
goggles
should
be
worn
before
moving
the
drum
containing
AV
100
powder
from
storage.
During
the
transfer/
mixing
process
a
cartridge
respirator,
appropriate
boots,
and
a
Tychem@
brand
or
equivalent
chemical
suit
are
required.
Gloves
approved
for
use
with
acrylamide
must
be
worn
in
order
to
keep
the
liquid
or
powder
from
coming
into
contract
with
the
skin.
Avanti
International
highly
recommends
the
use
of
a
full
face
piece
respirator
during
transfer/
mixing
operations.
Procedure
l
Keep
the
bag
of
AV
100
intact
whenever
possible.
l
Fill
grout
tank
with
approximately
15
gallons
of
water
before
introducing
the
AV
100
Powder
Blend
grout.
l
Place
the
neck
of
the
AV
100
Powder
Blend
grout
bag
under
the
surface
of
the
water
as
the
grout
is
being
poured
into
the
grout
tank.
It
is
extremely
important
to
take
care
that
no
powder
is
released
into
the
air
or
spilled
during
transfer.
l
Empty
the
bag
of
AV
100
Powder
Blend
grout
as
completely
as
possible
and
roll
the
bag
from
bottom
to
top
before
carefully
removing
from
the
grout
tank.
l
Immediately
wrap
up
the
bag
and
place
it
in
another
bag
so
that
no
powder
or
liquid
on
the
grout
bag
is
released
inside
the
vehicle.
l
Add
70
fluid
ounces
by
volume
(5
Ibs.)
of
liquid
AV
101
Cat
T+
to
the
grout
tank.
l
Add
5
Ibs.
(60
fluid
ounces
by
volume)
of
powder
AV
102
to
the
catalyst
tank.
l
Fill
both
tanks
to
the
30
gallon
level
with
water.
Properly
dispose
of
the
bags
and
empty
MBA
containers,
described
earlier
in
this
chapter.
The
empty
bags
and
containers
must
not
be
used
for
any
other
purposes.
Field
Conditions
The
temperature
of
the
water
in
the
tanks
has
a
large
impact
on
grout
gel
times.
Therefore,
water
temperature
should
be
measured
throughout
the
day
to
help
determine
desired
grout
gel
times.
Since
the
gel
time
is
greatly
reduced
with
increasing
temperatures,
cup
tests
to
monitor
gel
times
should
be
conducted.
As
a
general
rule
of
thumb,
gel
time
is
reduced
by
one
half
for
every
10°
F
rise
in
temperature.
Water
temperatures
can
vary
dramatically
between
early
morning
and
late
afternoon.
Trucks
parked
overnight
or
through
a
weekend
can
reach
temperatures
as
high
as
150°
F.
The
grout
side
tank
should
not
be
exposed
to
direct
sunlight
as
UV
rays
can
accelerate
polymerization.
Optional
Additives
There
are
several
additives
that
can
modify
the
behavior
of
the
grout
being
used.
Ethylene
Glycol,
Liquid
(AV
105)
Amount:
Maximum
of
2.5
gallons
per
tank.
Add
equal
amounts
to
both
tanks,
replaces
water.
Finish
by
filling
tanks
with
water
to
30
gallon
line.
Tanks
should
not
exceed
30
gallon
fill
line.
Result:
Enhances
grouts
ability
to
undergo
freezing
and
dehydration.
Lowers
the
freezing
temperature
of
the
solution.
Icosetllatex,
Liquid
(AV
257)
Amount:
2
to
3
gallons.
Add
to
grout
side
only,
replaces
water.
Finish
by
filling
tank
with
water
to
30
gallon
line.
Tank
should
not
exceed
30
gallon
fill
line.
Result:
Increases
compressive
and
tensile
strength,
also
increases
viscosity.
Potassium
Ferricyanide,
Powder
(KFe)
Amount:
Very
small
amount,
less
than
%
teaspoon
to
start.
Add
to
grout
side
tank.
Result:
Extends
gel
times.
Norosac,
Powder
(AC
50W
A)
Amount:
3.2
ounces
by
weight.
This
is
equal
to
5
0~
in
an
8
fluid
ounce
measuring
cup.
Add
to
grout
side
tank.
Results:
Slows
new
growth
of
roots
in
the
sewer
joints.
Additional
information
about
these
additives
is
found
in
Chapter
9.
AV
IOO
Chemical
Grout
(Liquid)
Product
Descriptions
AV
100
Chemical
Grout
is
the
trade
name
for
a
liquid
acrylamide
grout
used
for
sewer
line
joint
sealing,
sewer
line
lateral
sealing,
manhole
sealing,
and
soil
stabilization.
AV
100
is
a
clear,
watery
liquid
(CAS
number
79
06
I).
Included
with
the
acrylamide
is
a
small
amount
of
copper
sulfate
that
stabilizes
the
product.
AV
100
is
sold
in
plastic
drums
containing
approximately
14
gallons.
AV
101
Catalyst
T+
is
the
trade
name
for
a
blend
of
Triethanolamine
(CAS
number
102
71
6)
and
proprietary
additives.
AV
101
is
a
thick,
colorless
liquid,
that
is
used
as
an
activator.
The
proprietary
additives
decrease
the
freezing
point,
which
allows
field
use
in
temperatures
at
or
below
freezing.
AV
101
is
packaged
in
both
5gallon
plastic
drums
and
55gallon
lined
metal
drums.
AV
102
Catalyst
AP
is
the
trade
name
for
Ammonium
Persulfate
(CAS
number
7727
54
O).
AV
102
is
a
white
powder
that
is
uses
as
a
polymerization
initiator.
It
is
packaged
in
50
pound
plastic
pails
or
225
pound
coated
fiber
drums
with
a
plastic
inner
liner.
Storage
Requirements
AV
100
Chemical
Grout:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Wear
proper
PPE
when
handling
this
product.
Store
away
from
AV
101
Catalyst
T+
and
AV
102
Catalyst
AP.
AV
101
Catalyst
T+:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Store
away
from
acids
or
oxides
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
AV
102
Catalyst
AP.
AV
402
Catalyst
AP:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
Store
away
from
acids,
alkalis,
halides,
reducing
agents,
combustible
materials
and
heavy
metals
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
100
Chemical
Grouts
or
A&
l01
Catalyst
T+.
General
Maintain
first
aid
kit,
gloves,
respirators,
aprons,
and
cleanup
equipment
in
the
storage
area
at
all
times.
An
emergency
spill
response
kit
should
also
be
readily
available.
Foam,
carbon
dioxide,
or
dry
chemical
fire
extinguishers
should
be
easily
accessible.
Provide
eyewash,
shower,
and
a
source
of
water
in
the
storage
area.
Keep
materials
in
original
packaging
whenever
possible.
Disposal
of
Product
AV
100
Chemical
Grout:
The
best
method
for
disposal
is
to
gel
the
material.
Collect
as
much
liquid
AV
100
as
possible,
add
AV
101
Cat
T+,
and
gel
with
AV
102
Catalyst
AP
mixed
with
water,
in
this
order.
Gelled
(catalyzed)
materials
pose
little
risk
and
may
be
sent
to
a
landfill.
Very
small
spills
may
be
washed
down
with
water
with
the
water
being
released
into
a
sanitary
sewer
system
for
treatment.
Keep
emptied
drums
at
a
fixed
place
until
proper
disposal.
Drums
must
not
be
reused
for
any
other
purpose.
If
you
are
uncertain
about
how
to
properly
dispose
of
the
product
or
drums,
contact
a
state
registered
hazardous
materials
disposal
facility
or
an
appropriate
consultant.
State
or
local
waste
agencies
can
also
be
helpful.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
101
Catalyst
T+:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
managed
in
an
appropriate
RCRA
approved
waste
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
102
Catalyst
AP:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
as
hazardous
waste
and
sent
to
a
RCRA
approved
waste
facility.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
Safety
Information,
Hazards
and
First
Aid
Consult
Material
Safety
Data
Sheets
(MSDS).
Shipping
Information
See
Page
35.
Mixing
Instructions
for
AV
IOO
Chemical
Grout
(Liquid)
Conventional
Mix
(10%
Solids,
approx.
25
Second
Gel
Time
at
72°
F)
Before
mixing
procedures
begin,
the
operator
must
determine
1)
the
necessary
gel
strength
and
gel
time
required
for
the
specific
application,
2)
the
availability
of
all
necessary
grout
components,
and
3)
that
all
safety
equipment
is
present
and
in
good
working
order.
Personal
Protective
Equipment
(PPE)
During
transfer/
mixing
operations,
the
minimum
PPE
consists
of
a
cartridge
respirator
full
facepiece
type,
a
TychemB
brand
or
equivalent
chemical
suit,
and
gloves
and
boots
that
meet
the
descriptions
in
Chapter
2.
Product
Information
The
15gallon
drum
contains
approximately
14
gallons
of
liquid
grout,
the
equivalent
of
a
single
50
pound
bag
of
AV
100
powder,
including
MBA,
dissolved
in
water.
Most
manufacturers
of
equipment
have
standardized
by
providing
two
30
gallon
chemical
tanks.
When
properly
mixed,
one
drum
of
liquid
AV
100
acrylamide
grout
results
in
a
10%
(by
weight)
strength
grout
solution
of
60
gallons.
Using
two
drums
of
AV
100
acrylamide
grout
results
in
a
20%
(by
weight)
strength
grout
solution
of
60
gallons.
One
15gallon
drum
will
make
a
60
gallon
batch
of
grout.
For
best
results,
grouts
should
be
blended
at
concentrations
of
10%
or
greater.
Concentrations
above
10%
are
favored
for
highstrength
gel
applications
or
to
handle
dilution
of
more
than
50%
prior
to
gelation.
Mixing
Instructions
(Conventional
mix)
Tank
A
(Blue
Grout
Tank)
.
AV
100
liquid:
1
drum
l
AV
101
Cat
T:
70
ounces
by
volume
(5
Ibs.)
l
Water:
Add
enough
water
to
make
a
30
gallon
batch.
The
above
conventional
mixture
can
be
mo
I
Tank
B
(Red
Tank)
l
AV.
I02
AP:
5
Ibs.
(60
ounces
by
volume)
l
Water:
Add
enough
water
to
make
a
30
gallon
batch
ed
to
meet
your
specific
application.
The
Triethanolamine
(AV
101
Cat
T)
is
a
liquid
that
is
a
required
grout
component
and
can
be
increased
from
a
minimum
of
35
ounces
by
volume
(5%
by
weight,
2.5
Ibs.)
to
a
maximum
of
175
ounces
by
volume
(2.5%
by
weight,
12.5
Ibs).
Using
more
than
175
ounces
by
volume
is
not
recommended.
The
AV
101
Cat
T
is
always
added
into
the
same
tank
as
the
grout.
The
Ammonium
Persulfate
(AV
102
AP)
is
a
powder
that
is
a
required
grout
component
and
can
be
increased
from
5
pounds
(1%
by
weight,
60
ounces
by
volume)
to
a
maximum
of
15
pounds
(3%
by
weight,
180
ounces
by
volume).
Sodium
Persulfate
(AV
103
SP)
is
a
powder
that
may
be
used
in
place
of
Ammonium
Persulfate
(AV
102
AP).
The
same
amount
of
AV
103
SP
is
used
when
replacing
AV
102
AP.
Avanti
International
prefers
AV
102
AP
when
mixing
AV
100
grouts.
Grout
Transfer
Method
Avanti
highly
recommends
the
use
of
a
pump,
hand
or
electric,
to
transfer
liquid
grout
from
the
l5
gallon
drum
into
the
grout
tank.
Using
a
pump
minimizes
worker
exposure
to
grout
spills
or
splashes.
Another
benefit
of
using
a
pump
is
that
the
empty
grout
drum
will
be
rinsed
and
ready
for
disposal
or
recycling;
that
can
be
accomplished
by
adding
the
solution
mix
water
to
the
empty
grout
drum
and
pumping
it
in
the
grout
tank.
The
following
procedure,
accompanied
by
the
wearing
of
appropriate
PPE,
effectively
reduces
the
possibility
of
chemical
exposure.
PPE
Steel
toed
boots;
and
protective
gloves
and
goggles
should
be
worn
before
moving
the
drum
containing
AV
100
liquid
from
storage.
During
the
transfer/
mixing
process
a
cartridge
respirator,
appropriate
boots
and
a
TychemB
brand
or
equivalent
chemical
suit
are
required.
Gloves
approved
for
use
with
acrylamide
must
be
worn
in
order
to
keep
the
liquid
from
coming
into
contract
with
the
skin.
Avanti
International
highly
recommends
the
use
of
a
full
face
piece
respirator
during
transfer/
mixing
operations.
Procedure
A
power
lift
or
two
men
should
be
used
when
lifting
the
130
pound
grout
drum
into
the
back
of
the
grout
truck.
Place
the
15gallon
grout
drum
within
several'feet
of
the
grout
side
mixing
tank.
Using
a
bung
tool,
remove
the
2
inch
bung,
being
careful
not
to
let
surface
contamination
enter
the
drum.
Caution:
Wetted
pump
parts
must
be
plastic
or
stainless
steel
only.
Place
the
hand
pump
suction
tube
into
the
drum
and
secure
by
completely
threading
the
down
tube
into
the
drum.
Place
pump
discharge
hose
into
grout
tank
extending
the
hose
at
least
113
of
the
way
into
the
tank.
Caution
must
be
used
to
make
sure
the
hose
does
not
slip
out
of
the
tank
during
transfer.
Maintain
a
steady
flow
while
pumping
grout.
When
the
grout
drum
is
empty,
add
5
to
7
gallons
of
water
to
grout
drum
through
the
small
l
inch
bung.
Pump
water
from
the
grout
drum
into
the
grout
tank.
This
process
effectively
rinses
the
drum.
Remove
hose
from
the
grout
tank.
Remove
pump
from
the
grout
drum.
Wash
and
flush
the
pump,
and
hoses.
Store
pump
and
hoses
in
a
clean
environment.
Properly
dispose
of
drum
or
call
a
drum
recycling
company.
This
empty
drum
must
not
be
used
for
any
other
purpose.
Add
70
fluid
ounces
by
volume
(5
Ibs.)
of
liquid
AV
101
Cat
T+
to
the
grout
tank.
Add
5
Ibs.
(60
fluid
ounces
by
volume)
of
powder
AV
102
to
the
catalyst
tank.
Fill
both
tanks
to
the
30
gallon
level
with
water.
19
@z&.
7
7
Field
Conditions
The
temperature
of
the
water
in
the
tanks
has
a
very
large
impact
on
grout
gel
times.
Since
the
gel
time
is
greatly
reduced
with
increasing
temperatures,
gel
times
should
be
determined
throughout
the
day.
As
a
general
rule
of
thumb,
gel
time
is
reduced
by
one
half
for
every
10°
F
rise
in
temperature.
Therefore,
water
temperature
should
be
measured
to
help
determine
desired
grout
gel
times.
Water
temperatures
should
also
be
monitored
throughout
grouting
operations
as
temperatures
can
vary
dramatically
between
early
morning
and
late
afternoon.
Trucks
parked
overnight
or
through
a
weekend
can
reach
temperatures
as
high
as
150°
F.
The
grout
side
tank
should
not
be
exposed
to
direct
sunlight
as
UV
rays
can
accelerate
polymerization.
Optional
Additives
There
are
several
additives
that
can
modify
the
behavior
of
the
grout
being
used.
Ethylene
Glycol,
Liquid
(AV
105)
Amount:
Maximum
of
2.5
gallons
per
tank.
Add
equal
amounts
to
both
tanks,
replaces
water.
Finish
by
filling
tanks
with
water
to
30
gallon
line.
Tanks
should
not
exceed
30
gallon
fill
line.
Result:
Enhances
grout's
ability
to
undergo
freezing
and
dehydration.
Lowers
freezing
temperature
of
the
solution.
Icoset/
Latex,
Liquid
(AV
257)
Amount:
2
to
3
gallons.
Add
to
grout
side
only;
replaces
water.
Finish
by
filling
tank
with
water
to
30
gallon
line.
Tank
should
not
exceed
30
gallon
fill
line.
Result:
Increases
compressive
and
tensile
strength,
also
increases
viscosity.
Potassium
Ferricyanide,
Powder
(KFe)
Amount:
Very
small
amount,
less
than
%
teaspoon
to
start.
Add
to
grout
side
tank.
Result:
Extends
gel
times.
Norosac,
Powder
(AC
50
A)
Amount:
3.2
ounces
by
weight.
Add
to
grout
side
tank.
Results:
Slows
new
growth
of
roots
in
the
sewer
joints.
i
Additional
information
about
these
additives
is
found
in
Chapter
9.
AV
118
Duriflex
Product
Descriptions
AV
118
Duriflex
is
the
trade
name
for
an
acrylic
grout
used
for
sewer
line
joint
sealing,
sewer
line
lateral
sealing,
manhole
sealing,
and
soil
stabilization.
AV
118
is
a
clear,
watery
liquid
containing
N
Methylolacrylamide
(CAS
number
924
42
5).
Included
with
the
NMethylolacrylamide
is
5%
acrylamide
and
a
small
amount
of
copper
sulfate
that
stabilizes
the
product.
The
AV
118
is
packaged
in
a
plastic
drum
containing
15
gallons.
AV
101
Catalyst
T+
is
the
trade
name
for
a
blend
of
Triethanolamine
(CAS
number
102
71
6)
and
proprietary
additives.
AV
101
is
a
thick,
colorless
liquid
that
is
used
as
an
initiator.
The
proprietary
additives
decrease
the
freezing
point,
which
allows
storage
and
transportation
in
temperatures
at
or
below
freezing.
AV
101
is
packaged
in
both
5
gallon
plastic
drums
and
X
gallon
lined
metal
drums.
AV
103
Catalyst
SP
is
the
trade
name
for
Sodium
Persulfate
(CAS
number
7775
27
l).
AV
103
is
a
white
powder
that
is
used
as
a
polymerization
initiator.
It
is
packaged
in
25
pound
plastic
pails,
50
pound
plastic
pails,
and
225
pound
coated
fiber
drums
with
a
plastic
inner
liner.
Storage
Requirements
AV
118
Duriflek
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Wear
proper
PPE
when
handling
this
product.
Store
away
from
AV
101
Catalyst
T+
and
AV
103
Catalyst
SP.
AV
101
Catalyst
T+:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Store
away
from
acids
or
oxides
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
118
Duriflex
or
AV
103
Catalyst
SP.
AV
103
Catalyst
SP:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
position.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
Store
away
from
acids,
alkalis,
halides,
reducing
agents,
combustible
materials
and
heavy
metals
as
violent
reactions
may
occur
if
product
comes
in
contact
with
these
materials.
Do
not
store
near
AV
118
Duriflex
or
AV
101
Catalyst
T+.
General:
Maintain
first
aid
kit,
gloves,
respirators,
aprons,
and
cleanup
equipment
in
the
storage
area
at
all
times.
Emergency
spill
response
kit
should
also
be
readily
available.
Foam,
carbon
dioxide,
or
dry
chemical
fire
extinguishers'should
be
easily
accessible.
Provide
eyewash,
shower,
and
a
source
of
water
in
the
storage
area.
Disposal
of
Product
AV
il8
Duriflex:
The
best
method
for
disposal
is
to
gel
the
material.
Collect
as
much
liquid
AV
118
as
possible,
add
AV
101
Cat
T+,
and
gel
with
AV
103
Catalyst
SP
mixed
with
water,
in
this
order.
Gelled
(catalyzed)
materials
pose
little
risk
and
may
be
sent
to
a
landfill.
Very
small
spills
may
be
washed
down
with
water
and
released
into
a
sanitary
sewer
system
for
treatment.
Keep
emptied
drums
at
a
fixed
place
until
proper
disposal.
Drums
must
not
be
reused
for
any
other
purpose.
If
you
are
uncertain
about
how
to
properly
dispose
of
the
product
or
drums,
contact
a
state
registered
hazardous
materials
disposal
facility
or
an
appropriate
consultant.
State
or
local
waste
agencies
can
also
be
helpful.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
101
Catalyst
T+:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
managed
in
an
appropriate
RCRA
approved
waste
disposal
facility.
Dispose
of
properly
rinsed
container
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AV
103
Catalyst
SP:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
as
hazardous
waste
and
sent
to
an
RCRA
approved
waste
facility.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
Safety
Information,
Hazards
and
First
Aid
Consult
Material
Safety
Data
Sheets
(MSDS).
Shipping
Information
See
Page
35.
Mixing
Instructions
for
AV
1
18
Duriflex
Conventional
Mix
(10%
Solids,
approx.
25
Second
Gel
Time
at
72°
F)
Before
mixing
procedures
begin,
the
operator
must
determine
1)
the
necessary
gel
strength
and
gel
time
required
for
the
specific
application,
2)
the
availability
of
all
necessary
grout
components,
and
3)
that
all
safety
equipment
is
present
and
in
good
working
order.
Personal
Protective
Equipment
(PPE)
During
transfer/
mixing
operations,
the
minimum
PPE
consists
of
a
cartridge
respirator
full
facepiece
type,
a
Tychem@
brand
or
equivalent
chemical
suit,
and
gloves
and
boots
that
meet
the
descriptions
in
Chapter
2.
Product
Information
The
15gallon
drum
contains
15
gallons
of
liquid
grout.
Most
manufacturers
of
equipment
have
standardized
by
providing
two
30
gallon
chemical
tanks.
When
properly
mixed,
one
drum
of
liquid
AV
118
acrylic
grout
results
in
a
10%
(by
weight)
strength
grout
solution
of
60
gallons.
Using
two
drums
of
AV
118
acrylic
grout
results
in
a
20%
(by
weight)
strength
grout
solution
of
60
gallons.
One
15gallon
drum
will
make
a
60
gallon
batch
of
grout.
For
best
results,
grouts
should
be
blended
at
concentrations
of
10%
or
greater.
Concentrations
above
10%
are
favored
for
highstrength
gel
applications
or
to
handle
dilution
of:
more
than
50%
prior
to
gelation.
Mixing
Instructions
(Conventional
Mix)
Tank
A
(Blue
Grout
Tank)
Tank
B
(Red
Tank)
l
AV
118
liquid:
1
drum
.
AV
103
SP:
5
Ibs.
(60
ounces
by
l
AV
101
Cat
T:
70
ounces
by
volume
volume)
(5
Ibs.)
l
Water:
Add
enough
water
to
make
l
Water:
Add
enough
water
to
make
a
30
gallon
batch
a
30
gallon
batch.
The
above
conventional
mixture
can
be
modified
to
meet
your
specific
application.
The
Triethanolamine
(AV
101
Cat
T)
is
a
liquid
that
is
a
required
grout
component
and
can
be
increased
from
a
minimum
of
35
fluid
ounces
(5%
by
weight,
2.5
Ibs.)
to
a
maximum
of
175
ounces
by
volume
(2.5%
by
weight,
12.5
Ibs).
Using
more
than
175
ounces
by
volume
is
not
recommended.
The
AV
101
Cat
T
is
always
added
into
the
same
tank
as
the
grout.
Sodium
Persulfate
(AV
103
SP)
is
a
powder
that
is
a
required
grout
component
and
can
be
increased
from
5
pounds
(1%
by
weight,
60
ounces
by
volume)
to
a
maximum
of
15
pounds
(3%
by
weight,
180
ounces
by
volume).
Only
Sodium
Persulfate
may
be
used
with
AV
118.
Grout
Transfer
Method
Avanti
highly
recommends
the
use
of
a
pump,
hand
or
electric,
to
transfer
liquid
grout
from
the
15gallon
drum
into
the
grout
tank.
Using
a
pump
minimizes
worker
exposure
to
grout
spills
or
splashes.
Another
benefit
of
using
a
pump
is
that
the
empty
grout
drum
will
be
rinsed
and
ready
for
disposal
or
recycling;
that
can
be
accomplished
by
adding
the
solution
mix
water
to
the
empty
drum
and
pumping
it
to
the
grout
tank.
The
following
procedure,
accompanied
by
the
wearing
of
appropriate
PPE,
effectively
reduces
the
possibility
of
chemical
exposure.
PPE
Steel
toed
boots
and
protective
gloves
and
goggles
should
be
worn
before
moving
the
drum
containing
AV
100
powder
from
storage.
During
the
transfer/
mixing
process
a
cartridge
respirator,
appropriate
boots
and
a
Tychem8
brand
or
equivalent
chemical
suit
are
required.
Gloves
approved
for
use
with
acrylamide
must
be
worn
in
order
to
keep
the
liquid
or
powder
from
coming
into
contract
with
the
skin.
Avanti
International
highly
recommends
the
use
of
a
full
face
piece
respirator
during
transfer/
mixing
operations.
Procedure
A
power
lift
or
two
men
should
be
used
when
lifting
the
130
pound
grout
drum
into
the
back
of
the
grout
truck.
Place
the
15
gallon
grout
drum
within
several
feet
of
the
grout
side
mixing
tank.
Using
a
bung
tool,
remove
the
2
inch
bung,
being
careful
not
to
let
surface
contamination
enter
the
drum.
Caution:
Wetted
pump
parts
must
be
plastic
or
stainless
steel
only.
Place
the
hand
pump
suction
tube
into
the
drum
and
secure
by
completely
threading
the
down
tube
into
the
drum.
Place
pump
discharge
hose
into
grout
tank
extending
the
hose
at
least
l/
3
of
the
way
into
the
tank.
Caution
must
be
used
to
make
sure
the
hose
does
not
slip
out
of
the
tank
during
transfer.
Maintain
a
steady
flow
while
pumping
grout.
When
the
grout
drum
is
empty,
add
5
to
7
gallons
of
water
to
grout
drum
through
the
small
l
inch
bung.
Pump
water
from
the
grout
drum
into
the
grout
tank.
This
process
effectively
rinses
the
drum.
Remove
hose
from
the
grout
tank.
Remove
pump
from
the
grout
drum.
Wash
and
flush
the
pump
and
hoses.
Store
pump
and
hoses
in
a
clean
environment.
Properly
dispose
of
drum
or
call
a
drum
recycling
company.
This
empty
drum
must
not
be
used
for
any
other
purpose.
Add
70
fluid
ounces
by
volume
(5
Ibs.)
of
liquid
AV
101
Cat
T+
to
the
grout
tank.
Add
5
Ibs.
(60
fluid
ounces
by
volume)
of
powder
AV
102
to
the
catalyst
tank.
Fill
both
tanks
to
the
30
gallon
levei
with
water.
Field
Conditions
The
temperature
of
the
water
in
the
tanks
has
a
very
large
impact
on
grout
gel
times.
Since
the
gel
time
is
greatly
reduced
with
increasing
temperatures,
gel
times
should
be
determined
throughout
the
day.
As
a
general
rule
of
thumb,
gel
time
is
reduced
by
one
half
for
every
10°
F
rise
in
temperature.
Therefore,
water
temperature
should
be
measured
to
help
determine
desired
grout
gel
times.
Water
temperatures
should
also
be
monitored
throughout
grouting
operations
as
temperatures
can
vary
dramatically
between
early
morning
and
late
afternoon.
Trucks
parked
overnight
or
through
a
weekend
can
reach
temperatures
as
high
as
150°
F.
The
grout
side
tank
should
not
be
exposed
to
direct
sunlight
as
UV
rays
can
accelerate
polymerization.
24
Optional
Additives
There
are
several
additives
that
can
modify
the
behavior
of
the
grout
being
used.
Ethylene
Glycol,
Liquid
(AV
105)
Amount:
Maximum
of
2.5
gallons
per
tank.
Add
equal
amounts
to
both
tanks;
replaces
water.
Finish
by
filling
tanks
with
water
to
30
gallon
line.
Tanks
should
not
exceed
30
gallon
fill
line.
Result:
Enhances
grout's
ability
to
undergo
freezing
and
dehydration.
Lowers
freezing
temperature
of
the
solution.
Icoset/
Latex,
Liquid
(AV
257)
Amount:
2
to
3
gallons.
Add
to
grout
side
only;
replaces
water.
Finish
by
filling
tank
with
water
to
30
gallon
line.
Tank
should
not
exceed
30
gallon
fill
line.
Result:
Increases
compressive
and
tensile
strength,
also
increases
viscosity.
Potassium
Ferricyanide,
Powder
(KFe)
Amount:
Very
small
amount,
less
than
I4
teaspoon
to
start.
Add
to
grout
side
tank.
Result:
Extends
gel
times.
Norosac,
Powder
(AC
50
A)
Amount:
3.2
ounces
by
weight.
Add
to
grout
side
tank.
Results:
Slows
new
growth
of
roots
in
the
sewer.
Additional
information
about
these
additives
is
found
in
Chapter
9.
Additives
Product
Descriptions
AV
105
Ethylene
Glycol
is
the
trade
name
for
ethylene
glycol
used
as
an
acrylamide
and
acrylic
grout
additive.
AV
105
is
a
clear,
oily
liquid
(CAS
number
107
21
l)
that
enhances
grout's
ability
to
undergo
freezing
and
dehydration.
AV
105
is
packaged
in
5gallon
pails.
AV
257
lcoset
is
the
trade
name
for
an
acrylamide
and
acrylic
grout
additive.
AV
257
is
a
milky
white,
liquid
emulsion
that
increases
compressive
and
tensile
strength
while
increasing
viscosity.
AV
257
is
packaged
in
5
gallon
pails
and
55gallon
drums.
AC
50W
A
Norosac
is
the
trade
name
for
the
herbicide
dichlobenil.
AC
50W
A
is
a
crystalline
powder
(CAS
number
141
30
o)
designed
to
slow
root
growth.
AC
50W
A
is
packaged
in
4
pound
bags.
Potassium
Ferricyanide
(KFe)
is
the
chemical
name
of
a
grout
additive.
KFe
is
used
to
extend
gel
times
of
acrylamide
and
acrylic
grouts.
KFe
is
an
orange,
crystalline
powder.
KFe
is
packaged
in
one
pound
bottles.
Storage
Requirements
AV
105
Ethylene
Glycol:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
Store
away
from
acids
or
oxides
as
violent
reactions
may
occur
if
product
contacts
these
materials.
Do
not
store
near
AV
101
,
AV
102,
or
AV
103.
AV
257
Icoset:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed
and
in
an
upright
position.
Do
not
use
pressure
to
empty
containers.
AC
50W
A
Norosac:
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
containers
tightly
closed.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
Potassium
Ferricyanide
(KFe):
Store
in
a
cool
dry
area
away
from
heat.
Provide
good
ventilation.
Keep
container
tightly
closed
and
in
an
upright
condition.
Take
measures
not
to
raise
dust.
Wear
proper
PPE
when
handling
product.
General:
Maintain
first
aid
kit,
gloves,
respirators,
aprons,
and
cleanup
equipment
in
the
storage
area
at
all
times.
Emergency
spill
response
kit
should
also
be
readily
available.
Foam,
carbon
dioxide,
or
dry
chemical
fire
extinguishers
should
be
easily
accessible.
Provide
eyewash,
shower,
and
a
source
of
water
in
the
storage
area.
26
Disposal
of
Product
AV
105
Ethylene
Glycol:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
RCRA
approved
waste
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Pails
or
drums
must
not
be
reused
for
any
other
purpose.
If
you
are
uncertain
about
how
to
properly
dispose
of
the
product
or
containers,
contact
a
state
registered
hazardous
materials
disposal
facility
or
an
appropriate
consultant.
State
or
local
waste
agencies
can
also
be
helpful.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state,
and
local
requirements.
AV
257
Icoset:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
RCRA
approved
disposal
facility.
If
the
container
is
rinsed
out
properly
it
may
be
disposed
of
in
an
approved
landfill.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
AC
SOW
A
Norosac:
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
in
an
appropriate
RCRA
approved
waste
disposal
facility.
Take
measures
not
to
raise
dust.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
Potassium
Ferricyanide
(KFe):
Whatever
cannot
be
saved
for
recovery
or
recycling
should
be
handled
as
hazardous
waste
and
sent
to
a
RCRA
approved
waste
facility.
Take
measures
not
to
raise
dust.
Processing,
use,
or
contamination
of
this
product
may
change
the
waste
management
options.
State
and
local
disposal
regulations
may
differ
from
federal
disposal
regulations.
Dispose
of
container
and
unused
contents
in
accordance
with
federal,
state
and
local
requirements.
Safety
Information,
Hazards
and
First
Aid
Consult
Material
Safety
Data
Sheets
(MSDS).
Shipping
Information
See
Page
35.
0
Chemical
Grout
Safe
Handling
&
Mixing
Program
Date:
How
would
you
rate
the
material
presented
in
this
class?
(1
being
the
lowest,
5
being
the
highest)
1
2
3
4
5
How
would
you
rate
the
instructor?
1
2
3
4
5
Would
you
recommend
this
class
to
someone
else?
Yes
No
What
information
was
the
most
valuable
to
you?
What
information
was
the
least
valuable?
If
there
was
material
that
should
have
been
covered
today
that
wasn't,
what
was
it?
Do
you
have
any
suggestions
for
improving
this
class?
Other
Comments:
0
CD
UQ
Notes
| epa | 2024-06-07T20:31:45.597710 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0006-0049/content.txt"
} |
EPA-HQ-OPPT-2002-0006-0050 | Supporting & Related Material | 2002-10-16T04:00:00 | null | Presented
by
Jay
Guillot
Chemical
Grout
Safe
Handling
&
Mixing
Avanti
International
History
Avanti
was
established
in
1978.
Avanti
also
supplies
pumps,
injection
equipment,
and
safety
gear.
Avanti
is
leading
supplier
of
Acrylamide,
Acrylic,
and
Urethane
chemical
grouts.
1.
Personal
Safety
Session
1
4.
Housekeeping
2.
Understanding
Placards
and
MSDS
7.
Disposal
Issues
Containers
and
Grout
5.
Storage
6.
Transportation
3.
Personal
Protective
Equipment
–
PPE
Session
2
1.
AV
100
AM
Powder
Mixing
2.
AV
100
Blend
Powder
Mixing
3.
AV
100
Liquid
Mixing
4.
AV
118
Liquid
Mixing
5.
Grout
Additives
7.
Test
for
Certification
6.
Question
and
Answer
Session
Personal
Safety
Who
is
responsible
for
your
safety
everyday?
You
NFPA
Placard
Fire
Hazard
Flash
Points
4
–
Below
73°
F
3
–
Below
100°
F
2
–
Below
200°
F
1
–
Above
200°
F
0
–
Will
not
burn
Health
Hazard
4
–Deadly
3
–
Extreme
danger
2
–
Hazardous
1
–
Slightly
hazardous
0
–
Normal
material
Reactivity
4
–
May
detonate
3
–
Shock
and
heat
may
detonate
2
–
Violent
chemical
change
1
–
Unstable
if
heated
0
–Stable
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
Material
Safety
Data
Sheets
Section
1:
Identification
Section
2:
Hazardous
Ratings
Section
3:
Physical/
Chemical
Characteristics
Section
4:
Fire
and
Explosion
Hazard
Data
Section
8:
Health
Related
Data
Section
5:
Reactivity
Section
6:
Storage,
Disposal
&
Spill
Info
Section
7:
Precautionary
Measures
Section
9:
Toxicity
Data
CHRONIC
ACUTE
Trade
Name:
AV
00
AM
Acrylamide
Monomer
Ingredient(
s):
Acrylamide
Percent:
00
CAS
Num
er:
79
06
Section
1:
Product
Identification
AV
100
AM
Acrylamide
Monomer
(Time
Weighted
A
erage)
(Permissible
Exposure
Limits)
ACGIH
TWA:
0.
03
mg/
m
3
OSHA
PEL:
0.
30
mg/
m
3
AV
102
Ammonium
Persulfate
Section
1:
Product
Identification
Trade
Name:
AV
02
Catalyst
AP
Ingredient(
s):
Ammonium
Persulfate
Percent:
99
CAS
Num
er:
7727
54
0
OSHA
PEL:
N/
E
ACGIH
TWA:
0.
mg/
m
3
AV
101
Catalyst
T
Section
1:
Product
Identification
Trade
Name:
AV
0
Catalyst
T
Ingredient(
s):
Triethanolamine
Percent:
70
80
CAS
Num
er:
02
7
6
OSHA
PEL:
3
ppm
ACGIH
TLV:
3
ppm
Ethylene
Glycol
Percent:
0
20
CAS
Num
er:
07
2
OSHA
PEL:
50
ppm
ACGIH
TLV:
50
ppm
Deionized
Water
Percent:
0
CAS
Num
er:
7732
8
5
OSHA
PEL:
N/
E
Trade
Name:
AV
8
DURIFLEX
Ingredient(
s):
Water
Percent:
47
CAS
Num
er:
7732
8
5
OSHA
PEL:
N/
A
ACGIH
TWA:
N/
A
N
Methylolacrylamide
CAS
NUMBER:
924
42
5
OSHA
PEL:
N/
E
;
ACGIH
TWA:
N/
E
Formaldehyde
CAS
Num
er
79
06
0
OSHA
PEL:
0.
3
mg/
m
³
ACGIH
TWA:
0.
03
mg/
m³
N,
N
Methylene
isacrylamide
CAS
Num
er:
0
26
9
Time
Weighted
A
erage
Permissible
Exposure
Limit
Section
1:
Product
Identification
AV
118
DURIFLEX
AV
103
Sodium
Persulfate
Section
1:
Product
Identification
Trade
Name:
AV
03
Catalyst
SP
Ingredient(
s):
Sodium
Persulfate
Percent:
99
CAS
Num
er:
7775
27
OSHA
PEL:
N/
E
ACGIH
TWA:
0.
mg/
m
3
AV
101
Catalyst
T
Section
1:
Product
Identification
Trade
Name:
AV
0
Catalyst
T
Ingredient(
s):
Triethanolamine
Percent:
70
80
CAS
Num
er:
02
7
6
OSHA
PEL:
3
ppm
ACGIH
TLV:
3
ppm
Ethylene
Glycol
Percent:
0
20
CAS
Num
er:
07
2
OSHA
PEL:
50
ppm
ACGIH
TLV:
50
ppm
Deionized
Water
Percent:
0
CAS
Num
er:
7732
8
5
OSHA
PEL:
N/
E
AV
100
AM
Acrylamide
Monomer
Section
2:
Hazard
Ratings
NONE
2
2
2
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
AV
102
Ammonium
Persulfate
OXY
Section
2:
Hazard
Ratings
1
0
1
AV
101
Catalyst
T
Section
2:
Hazard
Ratings
None
1
0
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
2
AV
118
Duriflex
Section
2:
Hazard
Ratings
NONE
2
1
0
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
AV
103
Sodium
Persulfate
OXY
Section
2:
Hazard
Ratings
1
0
1
AV
101
Catalyst
T
Section
2:
Hazard
Ratings
None
1
0
Specific
Hazard
Oxidizer
OXY
Acid
ACID
Alkali
ALKALI
Corrosive
COR
Use
NO
WATER
W
Radiation
Hazard
2
AV
100
AM
Acrylamide
Monomer
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
white
crystalline
powder
much
like
ta
le
salt.
Bo
l
ng
Po
nt:
N/
L
Vapor
Pressure(
mm
Hg.):
0.
03 (
extremely
low)
Vapor
Dens
ty(
A
r=
1):
N/
L
Spec
c
Grav
ty(
Water =
1):
.222g/
cm
3
@
86
°
°
°
°
F (
30
°
°
°
°
C)
Melt
ng
Po
nt:
N/
L
Evaporat
on
Rate(
Butyl
Acetate=
1):
N/
L
Solub
l
ty
n
Water:
58g/
00g (
68
°
F/
20
°
C)
Odorless
AV
102
Ammonium
Persulfate
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Odorless,
white
crystals.
Bo
l
ng
Po
nt:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Dens
ty(
A
r=
1):
N/
A
Spec
c
Grav
ty(
Water =
1):
.98
Melt
ng
Po
nt:
Decomposes
Evaporat
on
Rate(
Butyl
Acetate=
1):
N/
A
Solub
l
ty
n
Water:
5
% @
77
°
F (
25
°
C)
AV
101
Catalyst
T
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Colorless
liquid,
slight
ammoniacal
odor.
Bo
l
ng
Po
nt:
>387
°
F (
97
°
C)
Vapor
Pressure(
mm
Hg.):
Nil
Vapor
Dens
ty(
A
r=
1):
<5.
0
est.
Spec
c
Grav
ty(
Water =
1):
.
04
Melt
ng
Po
nt:
N/
A
Evaporat
on
Rate(
Butyl
Acetate=
1):
<
Solub
l
ty
n
Water:
Solu
le
AV
118
Duriflex
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Colorless
liquid,
slight
formaldehyde
odor.
Bo
l
ng
Po
nt:
2
4°
F (
0
°C)@
776mmHg
Vapor
Pressure(
mm
Hg.):
<
7@
77°
F (
25°
C)
Vapor
Dens
ty(
A
r=
1):
N/
D
Spec
c
Grav
ty(
Water =
1):
N/
D
Melt
ng
Po
nt:
N/
D
Evaporat
on
Rate(
Butyl
Acetate=
1):
N/
A
Solub
l
ty
n
Water:
Dispersi
le
AV
103
Sodium
Persulfate
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Odorless,
white
crystals.
Bo
l
ng
Po
nt:
N/
A
Vapor
Pressure(
mm
Hg.):
N/
A
Vapor
Dens
ty(
A
r=
1):
N/
A
Spec
c
Grav
ty(
Water =
1):
2.
6
Melt
ng
Po
nt:
Decomposes
Evaporat
on
Rate(
Butyl
Acetate=
1):
N/
A
Solub
l
ty
n
Water:
43% @
77
°
F (
25
°
C)
AV
101
Catalyst
T
Section
3:
Physical/
Chemical
Characteristics
Appearance
and
Odor:
Colorless
liquid,
slight
ammoniacal
odor.
Bo
l
ng
Po
nt:
>387
°
F (
97
°
C)
Vapor
Pressure(
mm
Hg.):
Nil
Vapor
Dens
ty(
A
r=
1):
<5.
0
est.
Spec
c
Grav
ty(
Water =
1):
.
04
Melt
ng
Po
nt:
N/
A
Evaporat
on
Rate(
Butyl
Acetate=
1):
<
Solub
l
ty
n
Water:
Solu
le
AV
100
AM
Acrylamide
Monomer
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Po
nt:
273.
2
°
°
°
°
F (
34
°
°
°
°
C)
Seta
flash
Closed
cup
Flamma
le
Limits:
Not
applica
le,
although
dust
in
air
may
e
explosive.
Ext
ngu
sh
ng
Med
a:
Water
spray,
car
on
dioxide,
or
dry
chemical.
Spec
al
F
re
F
ght
ng
Procedures:
Avoid
skin
contamination
and
inhalation
y
wearing
full
protective
clothing
and
self
contained
reathing
apparatus.
Approach
fire
from
upwind
to
avoid
hazardous
vapors
and
toxic
decomposition
products.
Unusual
F
re
and
Explos
on
Hazards:
Thermal
decomposition
or
com
ustion
may
generate
toxic
gases
including
car
on
monoxide
and
ammonia.
AV
102
Ammonium
Persulfate
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Point:
N/
A
Flamma
le
Limits:
N/
A
Extinguishing
Media:
Flood
with
water.
Special
Fire
Fighting
Procedures:
Fire
fighters
should
wear
selfcontained
reathing
apparatus
and
full
protective
clothing.
Do
not
use
car
on
dioxide
or
other
gas
filled
fire
extinguishers,
they
will
have
no
effect
on
decomposing
Persulfate.
Use
water
spray
to
cool
near
y
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
of
material
releases
oxygen
that
may
intensify
fire.
The
presence
of
water
accelerates
decomposition.
OXIDIZER
AV
101
Catalyst
T
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Po
nt: >
240
°
F (
5
°
C) (
COC)
Flammable
L
m
ts:
LEL:
5.
3 (
est.)
UEL:
3.
2 (
est.)
Ext
ngu
sh
ng
Med
a:
Water
spray,
dry
chemical,
car
on
dioxide,
alcohol
foam.
Do
not
use
direct
water
stream.
Spec
al
F
re
F
ght
ng
Procedures:
Wear
self
contained
reathing
apparatus
and
full
protective
clothing.
Use
water
spray
to
cool
near
y
containers
and
structures
exposed
to
fire.
Unusual
F
re
and
Explos
on
Hazards:
This
product
should
not
e
heated
a
ove
40
°
F (
4
°
C)
in
the
presence
of
aluminum
due
to
excessive
corrosion
and
the
potential
for
a
chemical
reaction
releasing
flamma
le
hydrogen
gas.
INCOMPATIBILITY
AV
118
Duriflex
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Po
nt:
<200
°
°
°
°
F (
93
°
°
°
°
C)
Flamma
le
Limits:
N/
E
Ext
ngu
sh
ng
Med
a:
Water
spray,
car
on
dioxide,
or
dry
chemical.
Spec
al
F
re
F
ght
ng
Procedures:
Wear
NIOSH
approved
self
contained
reathing
apparatus
and
full
protective
clothing.
Unusual
F
re
and
Explos
on
Hazards:
High
temperatures
and
fire
conditions
may
cause
rapid
and
uncontrolled
polymerization
that
can
result
in
explosions
and
the
violent
rupture
of
storage
vessels
or
containers.
AV
103
Sodium
Persulfate
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Point:
N/
A
Flamma
le
Limits:
N/
A
Extinguishing
Media:
Flood
with
water.
Special
Fire
Fighting
Procedures:
Fire
fighters
should
wear
selfcontained
reathing
apparatus
and
full
protective
clothing.
Do
not
use
car
on
dioxide
or
other
gas
filled
fire
extinguishers,
they
will
have
no
effect
on
decomposing
Persulfate.
Use
water
spray
to
cool
near
y
containers
and
structures
exposed
to
fire.
Unusual
Fire
and
Explosion
Hazards:
Decomposition
of
material
releases
oxygen
that
may
intensify
fire.
The
presence
of
water
accelerates
decomposition.
OXIDIZER
AV
101
Catalyst
T
Section
4:
Fire
and
Explosion
Hazard
Data
Flash
Po
nt: >
240
°
F (
5
°
C) (
COC)
Flammable
L
m
ts:
LEL:
5.
3 (
est.)
UEL:
3.
2 (
est.)
Ext
ngu
sh
ng
Med
a:
Water
spray,
dry
chemical,
car
on
dioxide,
alcohol
foam.
Do
not
use
direct
water
stream.
Spec
al
F
re
F
ght
ng
Procedures:
Wear
self
contained
reathing
apparatus
and
full
protective
clothing.
Use
water
spray
to
cool
near
y
containers
and
structures
exposed
to
fire.
Unusual
F
re
and
Explos
on
Hazards:
This
product
should
not
e
heated
a
ove
40
°
F (
4
°
C)
in
the
presence
of
aluminum
due
to
excessive
corrosion
and
the
potential
for
a
chemical
reaction
releasing
flamma
le
hydrogen
gas.
INCOMPATIBILITY
AV
100
AM
Acrylamide
Monomer
Section
5:
Reactivity
Data
Sta
ility:
Not
sta
le;
heating
to
more
than
40
°
°
°
°
F
(60
°
°
°
°
C)
or
exposing
to
direct
sunlight
may
cause
polymerization.
Incompati
ility(
Materials
to
Avoid):
Avoid
acids,
alkalis,
peroxides,
oxidizing
and
reducing
agents,
or
car
on
steel.
Decomposition:
Thermal
decomposition
or
com
ustion
may
generate
toxic
gases
including
car
on
monoxide,
ammonia,
and
hydrogen
cyanide.
Polymerization:
May
occur.
Store
at
80
°
F (
60
°
C)
with
no
exposure
to
direct
sunlight.
AV
102
Ammonium
Persulfate
Section
5:
Reactivity
Data
Sta
ility:
Sta
le (
ecomes
unsta
le
in
presence
of
moisture).
Incompati
ility(
Materials
to
Avoid):
Acids,
alkalis,
halides,
reducing
agents,
com
usti
le
materials,
and
heavy
metals.
Decomposition:
Will
li
erate
oxygen
that
supports
com
ustion,
and
oxides
of
sulfur
and
nitrogen.
Polymerization:
Will
not
occur.
Oxidizer
AV
101
Catalyst
T
Section
5:
Reactivity
Data
Sta
ility:
Sta
le
under
normal
conditions.
Avoid
exposure
to
heat,
sparks
and
open
flames.
Incompati
ility(
Materials
to
Avoid):
Avoid
acids
and
oxidizing
materials.
Decomposition:
May
li
erate
car
on
monoxide,
car
on
dioxide,
oxides
of
nitrogen.
Polymerization:
Will
not
occur.
AV
118
Duriflex
Section
5:
Reactivity
Data
Sta
ility:
Sta
le
under
normal
handling
and
storage
Incompati
ility(
Materials
to
Avoid):
Aluminum,
iron,
copper,
ases,
acids,
oxidizing
agents,
reducing
agents,
chelating
agents,
peroxides.
Decomposition:
Thermal
decomposition
may
produce
ammonia,
formaldehyde,
oxides
of
nitrogen,
and
oxides
of
car
on.
Polymerization:
May
occur.
Avoid
temperatures
a
ove
85°
F(
29°
C)
and
incompati
le
materials.
AV
103
Sodium
Persulfate
Section
5:
Reactivity
Data
Sta
ility:
Sta
le (
ecomes
unsta
le
in
presence
of
moisture).
Incompati
ility(
Materials
to
Avoid):
Acids,
alkalis,
halides,
reducing
agents,
com
usti
le
materials,
and
heavy
metals.
Decomposition:
Will
li
erate
oxygen
that
supports
com
ustion,
and
oxides
of
sulfur
and
nitrogen.
Polymerization:
Will
not
occur.
Oxidizer
AV
101
Catalyst
T
Section
5:
Reactivity
Data
Sta
ility:
Sta
le
under
normal
conditions.
Avoid
exposure
to
heat,
sparks
and
open
flames.
Incompati
ility(
Materials
to
Avoid):
Avoid
acids
and
oxidizing
materials.
Decomposition:
May
li
erate
car
on
monoxide,
car
on
dioxide,
oxides
of
nitrogen.
Polymerization:
Will
not
occur.
AV
100
AM
Acrylamide
Monomer
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handling:
Store
in
a
cool,
dry
place
and
away
from
heat.
Do
not
leave
product
container
open
to
atmosphere.
Disposal
Method:
Incinerate
or
treat
at
a
sewerage
plant
in
accordance
with
governmental
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Collect
into
a
closed
container
and
dispose
of
in
accordance
with
governmental
regulations.
Wash
out
the
area
with
plenty
of
water.
Other
Precautions:
Wear
protective
clothing
when
handling
this
product.
Take
measures
not
to
raise
dust,
mist,
or
vapor.
AV
102
Ammonium
Persulfate
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handl
ng:
Store
in
a
cool,
dry
place
away
from
sources
of
heat.
D
sposal
Method:
Dilute
with
plenty
of
water
and
dispose
in
accordance
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Put
material
in
an
approved
DOT
container
or
dilute
with
a
large
quantity
of
water.
Other
Precautions
:
(Use
clean
plastic
or
stainless
steel
scoops
only.)
Use
protective
clot
ing
w
en
andling
t
is
product.
AV
101
Catalyst
T
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handling:
Store
in
a
cool,
dry,
well
ventilated
place.
Keep
containers
tightly
closed.
Do
not
use
pressure
to
empty
containers.
Disposal
Method:
Comply
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Wear
protective
equipment
and
clothing.
For
small
spills
or
drips,
mop
or
wipe
up
and
dispose
of
in
DOT
approved
waste
containers.
For
large
spills,
same
as
a
ove,
or
contain
y
diking
with
soil
or
other
non
com
usti
le
a
sor
ent
materials,
and
then
pump
into
DOTapproved
waste
containers.
Other
Precautions:
Keep
out
of
sewers,
storm
drains,
surface
waters
and
soil.
Do
not
cut
grind,
weld
or
drill
on
or
near
a
container.
AV
118
Duriflex
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handling:
Store
in
a
cool,
dry
place(
etween
36°
F
and
85°
C)
in
tightly
closed
original
containers
away
from
light
and
heat.
Do
not
reuse
containers.
Disposal
Method:
Dispose
in
accordance
with
Federal,
State,
and
Local
regulations.
If
possi
le
catalyze
to
form
a
gel
for
disposal (
the
gel
formed
y
the
polymer
and
water
is
non
hazardous.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Evacuate
area.
Wear
appropriate
p4rotective
gear.
Dike
area
to
prevent
runoff.
Do
not
flush
into
drains.
If
recovery
is
not
possi
le,
catalyze
su
stance
to
from
a
gel.
Ventilate
and
wash
spill
area
with
plenty
of
water.
Large
spills:
A
sor
with
inert
a
sor
ent
material.
Sweep
into
appropriate
closed
container.
Other
Precautions:
Do
not
let
monomeric
solution
dry
in
air.
Avoid
introduing
polymerization
catalysts
into
the
commerical
product
unless
it
is
diluted
with
water.
Do
not
pre
mix
the
catalyst
efore
introduction
into
the
resin.
AV
103
Sodium
Persulfate
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handl
ng:
Store
in
a
cool,
dry
place
away
from
sources
of
heat.
D
sposal
Method:
Dilute
with
plenty
of
water
and
dispose
in
accordance
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Put
material
in
an
approved
DOT
container
or
dilute
with
a
large
quantity
of
water.
Other
Precautions
:
(Use
clean
plastic
or
stainless
steel
scoops
only.)
Use
protective
clot
ing
w
en
andling
t
is
product.
AV
101
Catalyst
T
Section
6:
Storage,
Disposal
And
Spill
Information
Storage
and
Handling:
Store
in
a
cool,
dry,
well
ventilated
place.
Keep
containers
tightly
closed.
Do
not
use
pressure
to
empty
containers.
Disposal
Method:
Comply
with
Federal,
State
and
Local
regulations.
Steps
to
Be
Taken
in
Case
Material
is
Released
or
Spilled:
Wear
protective
equipment
and
clothing.
For
small
spills
or
drips,
mop
or
wipe
up
and
dispose
of
in
DOT
approved
waste
containers.
For
large
spills,
same
as
a
ove,
or
contain
y
diking
with
soil
or
other
non
com
usti
le
a
sor
ent
materials,
and
then
pump
into
DOTapproved
waste
containers.
Other
Precautions:
Keep
out
of
sewers,
storm
drains,
surface
waters
and
soil.
Do
not
cut
grind,
weld
or
drill
on
or
near
a
container.
AV
100
AM
Acrylamide
Monomer
Section
7:
Precautionary
Measures
Respiratory
Protection:
NIOSH(
National
Institute
for
Occupational
Safety
and
Health)
Approved
organic
vapor
respirator,
full
face
piece
respirator
preferred.
Ventilation:
Local
exhaust.
Protective
Clothing:
Eye
Protection:
Goggles,
if
using
a
half
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
oots.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
Tychem
Suit.
AV
102
Ammonium
Persulfate
Section
7:
Precautionary
Measures
Respiratory
Protection:
Use
NIOSH
approved
respirator.
Ventilation:
Mechanical/
local
exhaust
capa
le
of
minimizing
dust
emissions.
Protective
Clothing:
Tychem
suit.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
oots.
Work/
Hygienic
Practices:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
AV
101
Catalyst
T
Section
7:
Precautionary
Measures
Respiratory
Protection:
NIOSH
approved
organic
cartridge
respirator.
Ventilation:
Local
exhaust.
Protective
Clothing:
Ru
er
gloves,
long
sleeved
shirt,
trousers,
ru
er
apron.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Eyewash
and
safety
shower.
Work/
Hygienic
Practices:
Wash
thoroughly
after
handling.
AV
118
Duriflex
Section
7:
Precautionary
Measures
Respiratory
Protection:
NIOSH(
National
Institute
for
Occupational
Safety
and
Health)
Approved
organic
vapor
respirator,
full
face
piece
respirator
preferred.
If
air
orne
concentrations
exceed
permissi
le
limits,
wear
NIOSH/
MSHA
approved
supplied
air
respirator
or
selfcontained
reathing
apparatus.
Ventilation:
Local
exhaust.
Protective
Clothing:
Impervious
clothing,
oots,
gloves.
Eye
Protection:
Goggles,
if
using
a
half
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
oots.
Work/
Hygienic
Practices:
Shower
at
the
end
of
each
shift.
Tyc
em
suit.
AV
103
Sodium
Persulfate
Section
7:
Precautionary
Measures
Respiratory
Protection:
Use
NIOSH
approved
respirator.
Ventilation:
Mechanical/
local
exhaust
capa
le
of
minimizing
dust
emissions.
Protective
Clothing:
Tychem
suit.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Chemical
resistant
gloves
and
oots.
Work/
Hygienic
Practices:
Wash
with
soap
and
water.
Remove
contaminated
clothing.
AV
101
Catalyst
T
Section
7:
Precautionary
Measures
Respiratory
Protection:
NIOSH
approved
organic
cartridge
respirator.
Ventilation:
Local
exhaust.
Protective
Clothing:
Ru
er
gloves,
long
sleeved
shirt,
trousers,
ru
er
apron.
Eye
Protection:
Chemical
goggles
or
full
face
piece
respirator.
Other
Protective
Equipment:
Eyewash
and
safety
shower.
Work/
Hygienic
Practices:
Wash
thoroughly
after
handling.
AV
100
AM
Acrylamide
Monomer
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
,
and
ealt
azards:
Repeated
exposure
may
result
in
more
t
an
one
disease
of
t
e
nervous
system.
Eye
Contact:
Eye
contact
may
cause
conjunctival
irritation
and
corneal
injury.
Skin
Contact:
Skin
contact
causes
irritation,
reddening,
and
peeling.
In
alation:
Repeated
in
alation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flus
wit
water
for
15
minutes.
Get
medical
attention.
Skin:
Was
t
oroug
ly
wit
soap
and
water.
Get
medical
attention.
In
alation:
Remove
to
fres
air.
Get
medical
attention.
Ingestion:
Drink
water
and
induce
vomiting.
Take
50
grams
of
activated
c
arcoal
by
mout
.
Get
immediate
medical
attention.
(Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin
absorption
Eye
contact.
In
alation
AV
102
Ammonium
Persulfate
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
and
ealth
azards:
Exposure
to
high
le
els
of
dust
may
cause
difficulty
in
breathing
in
sensiti
e
persons.
Eye
Contact:
Dust
may
irritate
the
eyes.
Skin
Contact:
Prolonged
or
repeated
contact
with
dust
may
cause
dermatitis.
Inhalation:
Breathing
dust
may
irritate
nose,
throat,
and
lungs.
Prolonged
exposure
may
cause
difficulty
in
breathing.
Ingestion:
N/
L
First
Aid
Procedures:
Eyes:
Immediately
flus
wit
running
water
for
15
minutes,
lifting
upper
and
lower
eyelids
occasionally.
Get
medical
attention
if
irritation
persists.
Skin:
Immediately
was
contaminated
area
wit
water.
Remove
contaminated
clot
ing/
s
oes
and
was
before
reuse.
If
irritation
persists,
get
medical
attention.
In
alation:
Remove
to
fres
air.
If
difficulty
in
breat
ing
occurs,
get
immediate
medical
attention.
Ingestion:
Rinse
mout
wit
water.
Do
not
induce
vomiting.
Get
medical
attention. (
Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin,
Eye
contact.
inhalation
AV
101
Catalyst
T
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
and
ealt
azards:
Prolonged
or
repeated
exposure
may
result
in
delayed
liver
or
kidney
damage.
Eye
Contact:
Irritation.
Skin
Contact:
Dryness,
irritation,
possible
dermatitis.
A
single
prolonged
exposure
is
not
likely
to
result
in
armful
amounts
being
absorbed.
In
alation:
Vapors
and
mists
irritate
t
e
nose
and
t
roat.
In
alation
of
ig
er
concentrations
may
cause
eadac
es,
nausea,
vomiting
and
coma.
Ingestion:
Pain
or
discomfort
in
mout
,
c
est
and
abdomen.
May
cause
nausea,
vomiting,
diarr
ea,
dizziness,
faintness
and
coma.
First
Aid
Procedures:
Eyes:
Flus
wit
water
for
15
minutes.
Skin:
Was
t
oroug
ly
wit
soap
and
water.
In
alation:
Remove
to
fres
air.
Ingestion:
Induce
vomiting
wit
water.
(Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin
absorption
in
alation.
AV
118
Duriflex
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
,
and
ealt
azards:
Immediate
acute
ealt
azard.
Delayed
c
ronic
ealt
azard.
Prolonged
contact
may
cause
muscle
weakness,
bluis
cold
ands,
peeling
of
t
e
palms,
pain,
numbness,
and
a
tingling
sensation
in
t
e
limbs.
Accumulative
effects
may
lead
to
central
nervous
system
disturbances.
Eye
Contact:
Eye
contact
may
cause
conjunctival
irritation
and
corneal
injury.
Skin
Contact:
Skin
contact
causes
irritation,
reddening,
and
peeling.
In
alation:
Repeated
in
alation
affects
nervous
system.
Ingestion:
Repeated
ingestion
affects
nervous
system.
First
Aid
Procedures:
Eyes:
Flus
wit
water
for
15
minutes.
Get
medical
attention.
Skin:
Was
t
oroug
ly
wit
soap
and
water.
Get
medical
attention.
In
alation:
Remove
to
fres
air.
If
necessary
administer
oxygen.
If
signs
of
intoxication
exist
get
medical
attention.
Ingestion:
Drink
1
to
2water
and
induce
vomiting
Get
immediate
medical
attention.
(Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin
absorption
Eye
contact.
In
alation
AV
103
Sodium
Persulfate
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
and
ealth
azards:
Exposure
to
high
le
els
of
dust
may
cause
difficulty
in
breathing
in
sensiti
e
persons.
Eye
Contact:
Dust
may
irritate
the
eyes.
Skin
Contact:
Prolonged
or
repeated
contact
with
dust
may
cause
dermatitis.
Inhalation:
Breathing
dust
may
irritate
nose,
throat,
and
lungs.
Prolonged
exposure
may
cause
difficulty
in
breathing.
Ingestion:
N/
L
First
Aid
Procedures:
Eyes:
Immediately
flus
wit
running
water
for
15
minutes,
lifting
upper
and
lower
eyelids
occasionally.
Get
medical
attention
if
irritation
persists.
Skin:
Immediately
was
contaminated
area
wit
water.
Remove
contaminated
clot
ing/
s
oes
and
was
before
reuse.
If
irritation
persists,
get
medical
attention.
In
alation:
Remove
to
fres
air.
If
difficulty
in
breat
ing
occurs,
get
immediate
medical
attention.
Ingestion:
Rinse
mout
wit
water.
Do
not
induce
vomiting.
Get
medical
attention. (
Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin,
Eye
contact.
inhalation
AV
101
Catalyst
T
Section
8:
Health
Related
Data
Primary
Route(
s)
of
Entry:
and
ealt
azards:
Prolonged
or
repeated
exposure
may
result
in
delayed
liver
or
kidney
damage.
Eye
Contact:
Irritation.
Skin
Contact:
Dryness,
irritation,
possible
dermatitis.
A
single
prolonged
exposure
is
not
likely
to
result
in
armful
amounts
being
absorbed.
In
alation:
Vapors
and
mists
irritate
t
e
nose
and
t
roat.
In
alation
of
ig
er
concentrations
may
cause
eadac
es,
nausea,
vomiting
and
coma.
Ingestion:
Pain
or
discomfort
in
mout
,
c
est
and
abdomen.
May
cause
nausea,
vomiting,
diarr
ea,
dizziness,
faintness
and
coma.
First
Aid
Procedures:
Eyes:
Flus
wit
water
for
15
minutes.
Skin:
Was
t
oroug
ly
wit
soap
and
water.
In
alation:
Remove
to
fres
air.
Ingestion:
Induce
vomiting
wit
water.
(Never
give
anyt
ing
by
mout
to
an
unconscious
or
convulsing
person.)
Skin
absorption
in
alation.
AV
100
AM
Acrylamide
Monomer
Section
9:
Toxicity
Data
Carcinogenicity:
This
material
is
listed
as
a
potential
carcinogen
y
the
IARC(
International
Agen
y
for
Resear
h
on
Can
er).
In
January
992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and "
acrylamide
is
not
carcinogenic
in
humans
as
shown
y
two
epidemiological
studies."
LD
50
:
Oral(
rat):
75
mg/
kg
AV
102
Ammonium
Persulfate
Section
9:
Toxicity
Data
Carcinogenicity:
This
material
is
not
considered
a
carcinogen.
LD
50
:
Oral (
rat):
495
mg/
kg
Dermal (
ra
it):
2000
mg/
kg
AV
101
Catalyst
T
Section
9:
Toxicity
Data
Carcinogenicity:
No
data
for
t
e
blend.
owever,
t
e
individual
components
are
not
considered
carcinogens
by
NTP,
IARC
or
OS
A.
LD
50
:
No
data
found
for
t
e
blend;
owever,
for
its
components:
Triet
anolamine:
Et
ylene
Glycol:
Oral(
rat):
8680
mg/
kg
Oral (
rat):
4700
mg/
kg
Dermal(
rabbit): >
2.
0
g/
kg
Dermal (
rabbit):
19.
5
g/
kg
AV
118
Duriflex
Section
9:
Toxicity
Data
Carcinogenicity:
This
material
is
listed
as
a
potential
carcinogen
y
the
IARC(
International
Agen
y
for
Resear
h
on
Can
er
).
In
January
992,
American
Cyanamid
notified
EPA
that
they
had
concluded
that
"acrylamide
is
not
carcinogenic
to
mice"
and "
acrylamide
is
not
carcinogenic
in
humans
as
shown
y
two
epidemiological
studies."
LD50
:
Oral(
rat):
500
mg/
kg
AV
103
Sodium
Persulfate
Section
9:
Toxicity
Data
Carcinogenicity:
This
material
is
not
considered
a
carcinogen.
LD50
:
Oral (
rat):
4700
mg/
kg
Dermal (
ra
it):
N/
D
AV
101
Catalyst
T
Section
9:
Toxicity
Data
Carcinogenicity:
No
data
for
t
e
blend.
owever,
t
e
individual
components
are
not
considered
carcinogens
by
NTP,
IARC
or
OS
A.
LD
50
:
No
data
found
for
t
e
blend;
owever,
for
its
components:
Triet
anolamine:
Et
ylene
Glycol:
Oral(
rat):
8680
mg/
kg
Oral (
rat):
4700
mg/
kg
Dermal(
rabbit): >
2.
0
g/
kg
Dermal (
rabbit):
19.
5
g/
kg
Personal
Protective
Equipment
Chemical
Resistant
Gloves
Chemical
Resistant
Boots
Splash
Goggles
Safety
Glasses
Chemical
Resistant
Suit
Respirators
Full
Face
Piece
Respirator
3M
Model
6800
Half
Face
Piece
Respirator
3M
Model
6200
Organic
Vapor/
P100
Cartridges
3M
60921
Formaldehyde/
Organic
Vapor
/P100
Cartridges
3M
60925
Half
face
piece
shown
with
cartridges
attached.
What's
wrong
with
this
picture?
Respiratory
Protection
Standard
If
you
are
required
to
wear
a
respirator,
your
employer
is
responsible
for
following:
1.
Medical
evaluation
2.
Fit
testing
3.
Training
Splash
Goggles
Uvex
Safety
Goggles
Model
9301
Safety
Glasses
Cool
Cooler
Coolest
StarLite
Part
#
468M
Eye
Wash
Wall
Station
Eyesaline
When
do
we
read
the
directions
for
use?
Best
Nitri
Solve
Gloves
N
Dex
Gloves
N
DEX
7005
PVC
Steel
Toed
Boots
SFTY
Boots
Tychem
Suit
©
DuPont
Protective
Apparel
Tip:
Beware
of
the
Beware
of
the
"
"Ta
e
Ta
e
Home
Home"
"
Problem
Problem
"To
prevent
hazardous
materials
from
traveling
from
the
workplace
into
your
car
or
home,
always
wear
the
proper
apparel
in
the
correct
manner.
Take
care
to
doff
garments
without
contaminating
your
skin,
hair
or
street
clothing.
Showering
provides
an
added
precaution
ut
cannot
totally
eliminate
contaminants
from
skin
and
hair.
And
never
take
contaminated
garments
home
for
any
reason."
The
best
equipment
in
the
world
will
not
protect
an
employee
unless
it
is
used
and
The
Two
Cs
of
PPE
correctly
consistently.
Inspect
all
PPE
before
each
use.
Inspect
PPE
use
damaged
or
contaminated
items.
Wear,
store,
and
clean
PPE
according
to
manufacturers
guidelines.
NEVER
Operator
with
Safety
Gear
Storage
Issues
Which
chemicals
are
not
compatible?
Where
do
we
find
this
information?
MSDS
Sheets!
Chemical
Incompatibilities
Th
s
s
why
AV
101
Cat
T,
AV
102
AP,
and
AV
103
SP
should
not
be
stored
near
each
other.
Transportation
Issues
Keep
chemicals
separated
during
transport.
Secure
all
chemicals
while
vehicle
is
in
motion.
Secure
lid
on
grout
tank.
Secure
lids
on
empty
drums.
Wrap
empty
AV
100
bags
in
plastic
bags.
Keep
chemicals
in
original
containers
whenever
possible.
Disposal
Issues
The
best
method
for
disposal
is
to
gel
the
material.
Small
spills
may
be
washed
down
with
water.
Powder
product
must
be
gelled
or
properly
contained
and
incinerated.
Keep
emptied
bags
and
drums
at
a
fixed
place
until
proper
disposal.
Housekeeping
Checklist
Do
not
eat/
drin
in
open
cab
areas
of
TV/
grout
truc
Clean
wor
area
regularly
Mop
floors
once
a
wee
Wipe
down
outside
of
grout
tan
s
with
fresh
water
and
sponge
or
towel
Remove
empty
conta
ners
rom
truck
at
the
end
o
each
work
sh
t.
Wash
down
any
spill
thoroughly
Seal
all
chemical
containers
immediately
after
use
and
secure
so
as
not
to
shift
in
transit
Wash
tools
used
to
work
on
pumps,
packers,
and
grout
reel
w
th
clean
water
Secure
door
to
control
room
dur
ng
the
m
x
ng
process
so
as
not
to
expose
control
room
to
any
vapors
or
powder
that
may
escape.
Hose
down
hose
reel
w
th
cop
ous
amounts
o
clean
water
at
the
end
o
each
sh
t
Hand
soap
and
ac
l
t
es
to
wash
hands
should
be
prov
ded
on
the
truck.
PPE
should
be
nspected,
cleaned
and
stored
n
plast
c
bag,
and
stored
away
rom
chem
cals.
Cont
nued
Housekeeping
Checklist
Housekeeping
Checklist
Operator
w
ll
w
pe
steer
ng
wheel
at
end
o
each
sh
t
or
poss
ble
contam
nat
on
rom
d
rty
hands.
Ass
stant
w
ll
nspect
grout
ng
system
wh
le
n
use
or
leaks
and
repa
r
or
report
as
necessary.
Always
store
chem
cal
n
or
g
nal
conta
ner,
no
except
ons!
Dummy
plugs
should
be
nserted
n
the
qu
ck
d
sconnects
on
the
quad
hose
a
ter
packer
s
uncoupled,
to
prevent
leak
ng
rom
tt
ngs.
Tychem
su
ts,
boots,
and
chem
cal
res
stant
gloves
should
be
stored
outs
de
o
the
control
room
and
r
nsed
thoroughly
at
end
o
each
sh
t.
Accessibility
Organize
Cleanliness
Safety
Tip
A
full
face
piece
respirator
and
approved
cartridge/
filter
can
be
used
when
the
exposure
to
a
compound
is
Above
the
OSHA
PEL
Equal
to
the
OSHA
PEL
Below
the
OSHA
PEL
The
PEL
doesn't
matter.
Session
1
Review
*
Session
1
Review
The
effects
of
acute
exposure
are
immediate
True
False
What
word
best
describes
exposure
to
AV
100?
Acute
Chronic
*
*
Session
1
Review
Continued
Routes
of
entry
to
the
body
for
AV
100
products
are,
Skin
Eyes
Inhalation
All
of
the
above
*
Session
1
Review
Continued
Dupont
TyChem
protective
suit
is
the
only
clothing
recommend
for
mixing
AV
100
Products
True
False
*
What
property
of
AV
100
AM
makes
it
difficult
to
be
aware
of
exposure
?
Odorless
Powder
Color
All
of
the
above
Session
1
Review
Continued
*
Session
1
Review
Continued
During
grouting
operations
field
personnel
can
wear
short
sleeved
shirts.
True
False
*
Session
1
Review
Continued
When
mixing
powder
grouts,
the
main
safety
hazard
is
from,
Splashes
Spills
Inhaling
the
powder
Skin
contact
*
Session
2
1.
AV
100
AM
Powder
Mixing
2.
AV
100
Blend
Powder
Mixing
3.
AV
100
Liquid
Mixing
4.
AV
118
Mixing
5.
Grout
Additives
7.
Test
for
Certification
6.
Specific
Applications
AV
100
AM
Powder
AV
100
Shipping
Container
Grout
Tank
A
Add
15
gallons
of
water
to
Tank
A
AV
100
AM
Powder
Add
Water
10
15
20
25
30
Grout
Tank
A
Add
1
bag
AV
100AM,
keeping
neck
of
bag
beneath
surface
of
liquid.
AV
100
AM
Powder
Add
Grout
10
15
20
25
30
Emptying
Bag
of
AV
100
AM
Powder
Dissolving
AV
100
AM
Powder
in
Water
MBA
Shipping
Container
64
Ounce
Container
MBA
Add
64
ounces
of
AV
100
MBA
Emulsion
Grout
Tank
A
AV
100
AM
Powder
Add
MBA
10
15
20
25
30
AV
100
AM
Powder
Adding
MBA
AV
101
Shipping
Container
Grout
Tank
A
Add
70
ounces
y
volume
(5
l
s.)
of
AV
0
Cat
T+
to
the
grout
tank
AV
100
AM
Powder
Add
AV
101
Cat
T+
10
15
20
25
30
Adding
AV
101
Cat
T+
Add
enough
water
to
make
30
gallon
batch
64
ounces
of
AV
00
MBA
Emulsion
5
l
s.
of
AV
0
Cat
T+
AV
100
AM
Powder
Grout
Tank
A
Bag
AV
00
AM
10
15
20
25
30
5
Gallons
of
Water
Mixture
Complete
Secured
Tank
Cover
Add
20
gallons
of
water
to
Tank
B
AV
100
AM
Powder
Add
Water
10
15
20
25
30
Catalyst
Tank
B
AV
102
Shipping
Container
AV102
Ammonium
Persulfate
AV
100
AM
Powder
Add
AV
102
AP
10
15
20
25
30
Add
5
lbs
o
Ammon
um
Persul
ate
Catalyst
Tank
B
Adding
AV
102
AP
AV
100
AM
Powder
Catalyst
Tank
B
10
15
20
25
30
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s
of
Ammonium
Persulfate
20
Gallons
of
Water
Secured
Tank
Cover
AV
100
Powder
Blend
Shipping
Container
Grout
Tank
A
Add
15
gallons
of
water
to
Tank
A
10
15
20
25
30
AV
100
Powder
Blend
Add
Water
AV
100
Powder
Blend
Add
Grout
10
15
20
25
30
Grout
Tank
A
Add
1
bag
AV
100
blend,
keeping
neck
of
bag
beneath
surface
of
liquid.
Emptying
Bag
of
AV
100
Powder
AV
101
Shipping
Container
Grout
Tank
A
AV
100
Powder
Blend
Add
AV
101
Cat
T+
10
15
20
25
30
Add
70
ounces
y
volume
(5
l
s.)
of
AV
0
Cat
T+
to
the
grout
tank
Pouring
2
Quarts
of
AV
101
Cat
T+
Mixture
Complete
AV
100
Powder
Blend
Grout
Tank
A
10
15
20
25
30
Add
enough
water
to
make
30
gallon
batch
5
l
s.
of
AV
0
Cat
T+
Bag
AV
00
Blend
5
Gallons
of
Water
Secured
Tank
Cover
AV
100
Powder
Blend
Add
Water
10
15
20
25
30
Catalyst
Tank
B
Add
20
gallons
of
water
to
Tank
B
AV
100
Powder
Blend
Add
AV
102
AP
10
15
20
25
30
Catalyst
Tank
B
Add
5
lbs
o
Ammon
um
Persul
ate
Scoop
of
AV
102
AP
AV
100
Powder
Blend
Catalyst
Tank
B
10
15
20
25
30
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s
of
Ammonium
Persulfate
20
Gallons
of
Water
Secured
Tank
Cover
AV
100
Liquid
in
Shipping
Container
10
15
20
25
30
AV
100
Liquid
Add
Grout
Add
1
Drum
AV
100
l
qu
d
grout
Grout
Tank
A
Transfer
Pump
10
15
20
25
30
Flush
trans
er
pump
w
th
5
gallons
o
water
Grout
Tank
A
AV
100
Liquid
Add
Water
10
15
20
25
30
Add
70
ounces
y
volume
(5
l
s.)
of
AV
0
Cat
T+
to
the
grout
tank
Grout
Tank
A
AV
100
Liquid
Add
AV
101
Cat
T+
Pouring
2
Quarts
of
AV
101
Cat
T+
AV
100
Liquid
Grout
Tank
A
10
15
20
25
30
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s.
of
AV
0
Cat
T+
Drum
AV
00
liquid
5
Gallons
of
Water
Secured
Tank
Cover
10
15
20
25
30
Catalyst
Tank
B
AV
100
Liquid
Add
Water
Add
20
gallons
of
water
to
Tank
B
10
15
20
25
30
AV
100
Liquid
Add
AV
102
AP
Add
5
lbs
o
Ammon
um
Persul
ate
Catalyst
Tank
B
Pouring
AV
102
Catalyst
SP
10
15
20
25
30
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s
of
Ammonium
Persulfate
20
Gallons
of
Water
AV
100
Liquid
Catalyst
Tank
B
Secured
Tank
Cover
AV
118
Duriflex
is
the
trade
name
for
an
acrylic
grout
used
for
sewer
line
joint
sealing,
sewer
line
lateral
sealing,
manhole
sealing,
and
soil
stabilization.
AV
118
is
packaged
in
a
15
gallon
plastic
drum.
AV
118
Duriflex
Liquid
AV
118
Duriflex
Shipping
Container
10
15
20
25
30
AV
118
Duriflex
Add
Grout
Add
1
drum
o
AV
118
Grout
Tank
A
10
15
20
25
30
AV
118
Duriflex
Add
Water
Flush
trans
er
pump
w
th
5
gallons
o
water
Grout
Tank
A
Transfer
Pump
10
15
20
25
30
Grout
Tank
A
Add
70
ounces
y
volume
(5
l
s.)
of
AV
0
Cat
T+
to
the
grout
tank
AV
118
Duriflex
Add
AV
101
Cat
T+
Pouring
AV
101
Cat
T+
10
15
20
25
30
Drum
of
AV
8
AV
118
Duriflex
Grout
Tank
A
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s.
of
AV
0
Cat
T+
5
Gallons
of
Water
Secured
Tank
Cover
10
15
20
25
30
AV
118
Duriflex
Add
Water
Catalyst
Tank
B
Add
20
gallons
of
water
to
Tank
B
AV
103
Shipping
Container
10
15
20
25
30
Add
5
lbs
o
AV
103 (
SP)
Catalyst
Tank
B
AV
118
Duriflex
Add
AV
103
SP
Pouring
AV
102
Catalyst
SP
10
15
20
25
30
AV
118
Duriflex
Catalyst
Tank
B
Mixture
Complete
Add
enough
water
to
make
30
gallon
batch
5
l
s
of
AV
03 (
SP)
20
Gallons
of
Water
Secured
Tank
Cover
AV
100
&
AV
118
Additives
AV
105
Ethylene
Glycol
AC
50W
A
AV
257
Icoset
Dyes
AV
105
Ethylene
Glycol
Amount:
Maximum
2.5
of
gallons
per
tank.
Add
equal
amounts
to
both
tanks,
it
replaces
water.
Result:
Enhances
grouts
ability
to
undergo
freezing
and
dehydration
Lowers
freezing
temperature
of
solution
AV
105
Shipping
Containers
AV
257
Icoset
Amount:
2
to
3
gallons.
Add
to
grout
side
only,
it
replaces
water.
Result:
Increases
compressive
and
tensile
strength
Increases
viscosity
Potassium
Ferricyanide
(KFe)
Amount:
Very
small,
<
½
teaspoon
to
start.
Add
to
grout
side
tank.
Result:
Increases
gel
times.
Root
Inhibitor
(AC
50W
A)
Result:
Slows
new
root
growth
in
sewer
joints.
Amount:
3.2
ounces
by
weight.
This
is
equal
to
5
ounces
in
an
8
ounce
measuring
cup.
Add
to
grout
side
tank.
Dye
Additives
Amount:
Teaspoon
to
start.
Add
to
catalyst
tank.
Result:
Increases
visibility.
Special
Applications
How
temperature
affects
gel
time.
A
general
rule
of
thumb
is
that
for
every
10°
F
rise
in
temperature
,
the
gel
time
reduces
by
one
half.
Special
Applications
How
temperature
a
ects
gel
t
mes
examples:
A
grout
temperature
o
has
a
gel
t
me
o
seconds
A
grout
temperature
o
has
a
gel
t
me
o
seconds.
What
gel
t
me
can
you
expect
w
th
85°
F
water
temperature? ___________
65°
F
40
75°
F
20
10
seconds
Special
Applications
Problem:
My
gel
time
is
too
fast.
Solution:
Reduce
the
temperature
of
the
tanks
by
adding
ice,
beginning
with
10
lbs.
In
each
tank,
more
than
two
bags
per
tank
is
not
recommended.
Special
Applications
Problem:
My
gel
time
is
too
long
and
I
only
have
60°
F
water
available.
Solution:
Add
an
extra
2
lbs
of
AV
101
Cat
T+
and
AV
102
AP
to
the
typical
recommendation
of
5
lbs.
Special
Applications
Problem:
I
have
a
more
than
normal
flow
of
water.
Solution:
Reduce
the
amount
of
make
up
water
in
both
tanks.
You
can
only
do
this
during
mixing,
so
it
is
a
good
idea
to
anticipate
this
problem.
Solution:
Pump
more
grout
than
normal
to
compensate
for
the
dilution.
Abnormal
Water
Flow
Joint
Sealing
Acrylamide
Longevity
In
1985,
a
DOE
study
at
Oa
Ridge
National
Laboratory
found
that
Acrylamide
had
a
half
life
of
115
years
DOE
requires
wastes
disposal
applications
to
have
performance
life
of
200
years,
Acrylamide
met
these
parameters
How
Much
Grout
is
Enough?
.33
Gallons
per
diameter
inch
up
to
8
inch
pipe
.5
Gallons
per
diameter
inch
above
8
inch
pipe
Lateral
Leaks
Questions?
Session
2
Review
Which
additive
listed
below
is
used
to
increase
gel
times
(slow
down
gelation)?
Latex
Ethylene
Glycol
KFe
(Potassium
Ferricyanide)
AC
50W
A
Norosac
*
Session
2
Review
Continued
As
the
temperature
of
the
water
increases
by
10
degrees,
the
gel
time
Decreases
by
one
half
Increases
by
one
half
Decreases
by
5
percent
Temperature
does
not
effect
gel
time
*
Session
2
Review
Continued
When
mixing
AV
100
products
using
the
standard
mix
instructions
with
72°
F
water,
the
gel
time
should
be
approximately
10
seconds
2
minutes
25
seconds
25
minutes
*
Session
2
Review
Continued
Measuring
the
temperature
of
the
water
in
the
grout
tanks
is
a
good
way
to
determine
if
your
gel
times
have
decreased
substantially
during
the
day
.
True
False
*
(281)
486
5600
800
877
2570
Toll
free
U.
S.
and
Canada
(281)
486
7300
Fax
www.
AvantiGrout.
com
Avanti
International
| epa | 2024-06-07T20:31:45.623363 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0006-0050/content.txt"
} |
EPA-HQ-OPPT-2002-0008-0001 | Notice | 2002-04-11T04:00:00 | Certain New Chemicals; Receipt and Status Information | epa | 2024-06-07T20:31:45.630916 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0008-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0009-0001 | Notice | 2002-04-10T04:00:00 | Receipt of Test Data for the Section 4 Chemical Dimethyl Glutarate (DMG) | 17430
Federal
Register
/
Vol.
67,
No.
69
/
Wednesday,
April
10,
2002
/
Notices
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
B.
How
Can
I
Get
Additional
Information,
Including
Copies
of
this
Document
or
Other
Related
Documents?
1.
Electronically.
You
may
obtain
electronic
copies
of
this
document,
and
certain
other
related
documents
that
might
be
available
electronically,
from
the
EPA
Internet
Home
Page
at
http://
www.
epa.
gov/.
To
access
this
document,
on
the
Home
Page
select
``
Laws
and
Regulations,
''
``
Regulations
and
Proposed
Rules,
''
and
then
look
up
the
entry
for
this
document
under
``
Federal
Register—
Environmental
Documents.
''
You
can
also
go
directly
to
the
Federal
Register
listings
at
http://
www.
epa.
gov/
fedrgstr/.
2.
In
person.
The
Agency
has
established
an
official
record
for
this
action
under
docket
control
number
OPPTS–
44654.
The
official
record
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received
during
an
applicable
comment
period,
and
other
information
related
to
this
action,
including
any
information
claimed
as
Confidential
Business
Information
(CBI).
This
official
record
includes
the
documents
that
are
physically
located
in
the
docket,
as
well
as
the
documents
that
are
referenced
in
those
documents.
The
public
version
of
the
official
record
does
not
include
any
information
claimed
as
CBI.
The
public
version
of
the
official
record,
which
includes
printed,
paper
versions
of
any
electronic
comments
submitted
during
an
applicable
comment
period,
is
available
for
inspection
in
the
TSCA
Nonconfidential
Information
Center,
North
East
Mall
Rm.
B–
607,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC.
The
Center
is
open
from
noon
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Center
is
(202)
260–
7099.
II.
Test
Data
Submissions
Under
40
CFR
790.60,
all
TSCA
section
4
enforceable
consent
agreements/
orders
must
contain
a
statement
that
results
of
testing
conducted
pursuant
to
enforceable
consent
agreements/
orders
will
be
announced
to
the
public
in
accordance
with
section
4(
d)
of
TSCA.
Test
data
for
1,1,2
Trichloroethane
(TCE),
a
hazardous
air
pollutant
(HAP)
listed
under
section
112
of
the
Clean
Air
Act
Amendments
of
1990,
were
submitted
by
the
HAP
Task
Force.
These
data
were
submitted
pursuant
to
a
TSCA
section
4
enforceable
consent
agreement/
order
and
were
received
by
EPA
on
February
7,
2002.
The
submission
includes
a
final
report
entitled
``
Acute
Inhalation
Toxicity
(with
Histopathology)
Study
of
1,1,2
Trichloroethane
(1,1,2
TCE)
in
Rats
by
WIL
Research
Laboratories,
Inc.
''
1,1,2
TCE
is
used
as
a
feedstock
intermediate
in
the
production
of
vinylidene
chloride
and
some
tetrachloroethanes.
It
is
used
as
a
solvent
where
its
high
solvency
for
chlorinated
rubbers
and
other
substances
is
needed,
and
for
pharmaceuticals
and
electronic
components.
EPA
has
initiated
its
review
and
evaluation
process
for
this
submission.
At
this
time,
the
Agency
is
unable
to
provide
any
determination
as
to
the
completeness
of
the
submission.
Authority:
15
U.
S.
C.
2603.
List
of
Subjects
Environmental
protection,
Hazardous
substances,
Toxic
substances.
Dated:
April
2,
2002.
Ward
Penberthy,
Acting
Director,
Chemical
Control
Division,
Office
of
Pollution
Prevention
and
Toxics.
[FR
Doc.
02–
8536
Filed
4–
9–
02;
8:
45
am]
BILLING
CODE
6560–
50–
S
ENVIRONMENTAL
PROTECTION
AGENCY
[OPPTS–
2002–
0009;
FRL–
6833–
1]
TSCA
Chemical
Testing;
Receipt
of
Test
Data
AGENCY:
Environmental
Protection
Agency
(EPA).
ACTION:
Notice.
SUMMARY:
This
notice
announces
EPA's
receipt
of
test
data
on
dimethyl
glutarate
(DMG)
(CAS
No.
1119–
40–
0).
These
data
were
submitted
pursuant
to
an
enforceable
testing
consent
agreement/
order
issued
by
EPA
under
section
4
of
the
Toxic
Substances
Control
Act
(TSCA).
FOR
FURTHER
INFORMATION
CONTACT:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division
(7408M),
Office
of
Pollution
Prevention
and
Toxics,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
(202)
554–
1404;
e
mail
address:
TSCA
Hotline@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
Does
this
Action
Apply
to
Me?
This
action
is
directed
to
the
public
in
general.
This
action
may,
however,
be
of
interest
to
those
persons
who
are
concerned
about
data
on
health
and/
or
environmental
effects
and
other
characteristics
of
this
chemical.
Since
other
entities
may
also
be
interested,
the
Agency
has
not
attempted
to
describe
all
the
specific
entities
that
may
be
affected
by
this
action.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
person
listed
under
FOR
FURTHER
INFORMATION
CONTACT.
II.
How
Can
I
Get
Additional
Information,
Including
Copies
of
this
Document
or
Other
Related
Documents?
1.
Electronically.
You
may
obtain
electronic
copies
of
this
document,
and
certain
other
related
documents
that
might
be
available
electronically,
from
the
EPA
Internet
Home
Page
at
http://
www.
epa.
gov/.
To
access
this
document,
on
the
Home
Page
select
``
Laws
and
Regulations,
''
``
Regulations
and
Proposed
Rules,
''
and
then
look
up
the
entry
for
this
document
under
``
Federal
Register—
Environmental
Documents.
''
You
can
also
go
directly
to
the
Federal
Register
listings
at
http://
www.
epa.
gov/
fedrgstr/.
2.
In
person.
The
Agency
has
established
an
official
record
for
this
action
under
docket
control
number
OPPTS–
2002–
0009.
The
official
record
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received
during
an
applicable
comment
period,
and
other
information
related
to
this
action,
including
any
information
claimed
as
Confidential
Business
Information
(CBI).
This
official
record
includes
the
documents
that
are
physically
located
in
the
docket,
as
well
as
the
documents
that
are
referenced
in
those
documents.
The
public
version
of
the
official
record
does
not
include
any
information
claimed
as
CBI.
The
public
version
of
the
official
record,
which
includes
printed,
paper
versions
of
any
electronic
comments
submitted
during
an
applicable
comment
period,
is
available
for
inspection
in
the
TSCA
Nonconfidential
Information
Center,
North
East
Mall
Rm.
B–
607,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC.
The
Center
is
open
from
noon
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
Center
is
(202)
260–
7099.
III.
Test
Data
Submissions
Under
40
CFR
790.60,
all
TSCA
section
4
enforceable
consent
agreements/
orders
must
contain
a
statement
that
results
of
testing
conducted
pursuant
to
enforceable
consent
agreements/
orders
will
be
announced
to
the
public
in
accordance
with
section
4(
d)
of
TSCA.
VerDate
11<
MAY>
2000
17:
50
Apr
09,
2002
Jkt
197001
PO
00000
Frm
00075
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
10APN1.
SGM
pfrm01
PsN:
10APN1
17431
Federal
Register
/
Vol.
67,
No.
69
/
Wednesday,
April
10,
2002
/
Notices
Test
data
for
dimethyl
glutarate
were
submitted
by
the
Dibasic
Esters
Group
comprised
of
the
following
companies:
Aceto
Corporation,
E.
I.
duPont
de
Nemours
and
Company,
and
Solutia,
Inc.
These
data
were
submitted
pursuant
to
a
TSCA
section
4
enforceable
consent
agreement/
order
and
were
received
by
EPA
on
February
25,
2002.
The
submission
includes
a
final
report
titled
``
Dimethyl
Glutarate
Mammalian
Cell
Mutation
Assay.
''
Dimethyl
glutarate
is
one
of
three
component
chemicals
that
make
up
the
class
of
chemicals
known
as
dibasic
esters
(DBEs).
DBEs
are
used
in
paint
stripping
formulations
that
are
sold
to
the
general
public.
Consumers
can
be
significantly
exposed
to
DBEs
during
use
of
these
formulations.
EPA
has
initiated
its
review
and
evaluation
process
for
this
submission.
At
this
time,
the
Agency
is
unable
to
provide
any
determination
as
to
the
completeness
of
the
submission.
Authority:
15
U.
S.
C.
2603.
List
of
Subjects
Environmental
protection,
Hazardous
substances,
Toxic
substances.
Dated:
April
3,
2002
Ward
Penberthy,
Acting
Director,
Chemical
Control
Division,
Office
of
Pollution
Prevention
and
Toxics.
[FR
Doc.
02–
8538
Filed
4–
9–
02;
8:
45
am]
BILLING
CODE
6560–
50–
S
FEDERAL
MARITIME
COMMISSION
Notice
of
Agreement(
s)
Filed
The
Commission
hereby
gives
notice
of
the
filing
of
the
following
agreement(
s)
under
the
Shipping
Act
of
1984.
Interested
parties
can
review
or
obtain
copies
of
agreements
at
the
Washington,
DC
offices
of
the
Commission,
800
North
Capitol
Street,
NW.,
Room
940.
Interested
parties
may
submit
comments
on
an
agreement
to
the
Secretary,
Federal
Maritime
Commission,
Washington,
DC
20573,
within
10
days
of
the
date
this
notice
appears
in
the
Federal
Register.
Agreement
No.:
010979–
037.
Title:
Caribbean
Shipowners
Association.
Parties:
A.
P.
Moller
Maersk
Sealand
Bernuth
Lines,
Ltd.,
CMA––
CGM
SA,
CMA–
CGM
The
French
Line
Crowley
Liner
Services,
Inc.,
Interline
Connection,
NV,
Seaboard
Marine,
Ltd.,
Seafreight
Line,
Ltd.,
Tecmarine
Lines,
Inc.,
Tropical
Shipping
&
Construction
Co.,
Ltd.
Synopsis:
The
proposed
agreement
amendment
changes
the
basic
agreement
from
a
conference
agreement
to
a
discussion
agreement.
The
amendment
also
deletes
King
Ocean
Services
S.
A.
as
a
member
of
the
agreement.
Agreement
No.:
201022–
002.
Title:
New
Orleans/
Coastal
Terminal
Agreement.
Parties:
The
Board
of
Commissioners
of
the
Port
of
New
Orleans
Coastal
Cargo
Company,
Inc.
Synopsis:
The
proposed
amendment
changes
the
annual
guarantee
from
a
tonnage
basis
to
a
financial
basis.
The
agreement
runs
through
March
31,
2007.
Agreement
No.:
201101–
002.
Title:
Tampa/
Tampa
Bay
Marine
Terminal
Wharfage
Incentive
Agreement.
Parties:
Tampa
Port
Authority
Tampa
Bay
International
Terminals,
Inc.
Synopsis:
The
amendment
extends
the
terms
of
the
agreement
through
March
31,
2003.
Dated:
April
5,
2002.
By
order
of
the
Federal
Maritime
Commission.
Bryant
L.
VanBrakle,
Secretary.
[FR
Doc.
02–
8722
Filed
4–
9–
02;
8:
45
am]
BILLING
CODE
6730–
01–
P
FEDERAL
MARITIME
COMMISSION
Ocean
Transportation
Intermediary
License
Revocations
The
Federal
Maritime
Commission
hereby
gives
notice
that
the
following
Ocean
Transportation
Intermediary
licenses
have
been
revoked
pursuant
to
section
19
of
the
Shipping
Act
of
1984
(46
U.
S.
C.
app.
1718)
and
the
regulations
of
the
Commission
pertaining
to
the
licensing
of
Ocean
Transportation
Intermediaries,
effective
on
the
corresponding
date
shown
below:
License
Number:
2794F.
Name:
Florida
Overseas
Services,
Inc.
Address:
7236
NW
70th
Street,
Miami,
FL
33166.
Date
Revoked:
March
21,
2002.
Reason:
Failed
to
maintain
a
valid
bond.
License
Number:
3024F.
Name:
S.
A.
Chiarella
dba
S.
A.
Chiarella
Forwarding
Co.
Address:
1650
W.
Linda
Vista
Drive,
Suite
107,
San
Marcos,
CA
90269.
Date
Revoked:
March
13,
2002.
Reason:
Failed
to
maintain
a
valid
bond.
Sandra
L.
Kusumoto,
Director,
Bureau
of
Consumer
Complaints
and
Licensing.
[FR
Doc.
02–
8721
Filed
4–
9–
02;
8:
45
am]
BILLING
CODE
6730–
01–
P
FEDERAL
MARITIME
COMMISSION
Ocean
Transportation
Intermediary
License
Reissuances
Notice
is
hereby
given
that
the
following
Ocean
Transportation
Intermediary
licenses
have
been
reissued
by
the
Federal
Maritime
Commission
pursuant
to
section
19
of
the
Shipping
Act
of
1984,
as
amended
by
the
Ocean
Shipping
Reform
Act
of
1998
(46
U.
S.
C.
app.
1718)
and
the
regulations
of
the
Commission
pertaining
to
the
licensing
of
Ocean
Transportation
Intermediaries,
46
CFR
part
515.
License
No.
Name/
address
Date
reissued
3886F
...........................
Goodship
International,
Inc.,
1058
Tower
Lane,
Bensenville,
IL
60106
.....................................
February
27,
2002.
16083F
.........................
Palmetto
Freight
Forwarding
Corp.,
2577
West
80
Street,
Hialeah,
FL
33016
..........................
December
6,
2001.
3406F
...........................
Simmons
International
Express,
Inc.,
101
E.
Clarendon
Street,
Prospect
Heights,
IL
60070
...
January
4,
2002.
Sandra
L.
Kusumoto,
Director,
Bureau
of
Consumer
Complaints
and
Licensing.
[FR
Doc.
02–
8723
Filed
4–
9–
02;
8:
45
am]
BILLING
CODE
6730–
01–
P
FEDERAL
RESERVE
SYSTEM
Formations
of,
Acquisitions
by,
and
Mergers
of
Bank
Holding
Companies
The
companies
listed
in
this
notice
have
applied
to
the
Board
for
approval,
pursuant
to
the
Bank
Holding
Company
Act
of
1956
(12
U.
S.
C.
1841
et
seq.)
(BHC
Act),
Regulation
Y
(12
CFR
Part
225),
and
all
other
applicable
statutes
and
regulations
to
become
a
bank
holding
company
and/
or
to
acquire
the
VerDate
11<
MAY>
2000
17:
50
Apr
09,
2002
Jkt
197001
PO
00000
Frm
00076
Fmt
4703
Sfmt
4703
E:\
FR\
FM\
10APN1.
SGM
pfrm01
PsN:
10APN1
| epa | 2024-06-07T20:31:45.633046 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0009-0001/content.txt"
} |
EPA-HQ-OPPT-2002-0010-0001 | Proposed Rule | 2002-04-05T05:00:00 | Perfluoroalkyl Sulfonates; Proposed Significant New Use Rule; Extension of Comment
Period | epa | 2024-06-07T20:31:45.635708 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0010-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0011-0007 | Notice | 2002-07-15T04:00:00 | Regulatory Reinvention (XL) Pilot Projects | 63250
Federal
Register/
Vol.
65,
No.
205
/Monday,
October
23,
2000/
Notices
zfl
~
"
~
Ij
*%
**I
,"
b
`I
_
*xc1_
"&
all
~
Act,
33
1J.
S.
C.
1311(
a),
at
the
Waiau
Generating
Station
in
Pearl
Cit
,
Hawaii.
Procedures
by
which
the
puilic
may
c:
omment
on
a
proposed
Class
I1
penalty
or
participate
in
a
Class
I1
penalty
proceeding
are
set
forth
in
tho
C:
onsolidatcd
Rules.
Tlio
deiidline
for
submitting
public
cctminmt
on
a
proposed
Class
I1
penalty
is
forty
days
alter
issuance
of
public
notice.
FOR
FURTHER
INFORMATION
CONTACT:
Persons
wishing
to
recnivo
a
copy
of
EPA's
Consolidated
Rules,
review
the
Complaints
or
other
documents
filed
in
these
procec!
dings,
comment
upon
the
proposed
assessments,
or
otherwise
participate
in
the
proceedings
should
contact
Danielle
Carr,
Regional
Hearing
Clerk,
1J.
S.
EPA,
Region
TX,
76
Hawthor~
ie
Street,
S
m
Francisco,
C:
alifornia
94105,
(415)
744
1391.
The
administrative
records
for
both
of
these
proceedings
are
located
in
the
EPA
Regional
Office
identified
above,
and
tho
files
will
bo
open
for
public
inspection
during
normal
business
hours.
All
inforniation
submitted
by
the
Respondent
is
available
as
part
of
the
administrative
records,
subject
to
prtt~
isions
of
law
restricting
puttlic
disclosure
of
confidential
informnation.
In
order
to
provide
opportunity
for
public
comment,
EPA
will
issue
no
final
orders
assassing
a
penalty
in
those
procoedings
prior
to
forty
(40)
days
after
tho
date
of
publication
of
this
noticn.
Thomas
Huetteman,
Actjng
Director,
I,
Vatc?
r
Division.
1FKL)
oc.
00
27151
Piled
10
20
00:
0:
45
urii
hted:
October
13,
2000.
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[FRL
6889
41
Regulatory
Reinvention
(XL)
Pilot
Projects
AGENCY:
Environmental
Protection
Agency
@PA).
ACTION:
Notice
of
Availability
of
Final
Project
Agreements
and
rclated
documcnts
for
twenty
two
XL
Projtxts:
United
States
Postal
Service
(USPS)
Denver;
Mayport
Naval
Station
Environmental
Reinvestment
(ENWEST);
Stcele
County,
MN
XL
Communities
(XLC:);
(:
eogia
Pacific
Black
Liquor
Casific:
ation
Systom;
International
Paper
(IP)
Androscoggin
Mill
Effluent
Improvements;
Progressive
Insurance
Company
Pay
As
You
Drive
Auto
Insurance;
International
Business
Machines
(1BM)
Essex
Junction,
Vermont;
Labs
21
Environmental
Performance
at
Laboratories;
Project
XLC
Phase
I
(Planning):
Clemiont
County,
OH,
Kodak
Company
Pollution
Prevention;
PPG
Industries,
Inc.;
Yolo
County
Accelerated
Anaerobic
8:
Aerobic
Compos
ting
(Bioreactor);
Buncombe
County
Leachwte
Rec:
irculation/
Gas
Recovery
(Bioreaclor)
Landfill;
Autoliv
Automobile
Safety
Products,
1J.
S.
A.;
Ortho
McNeil
Pliarniac:
cuti(:
al
Lahorat
ory
Scale
High
Temperature
Catalytic
Oxidation
Process
to
Treat
Low
Level
Mixed
Wastes;
State
of
Pennsylvania
Department
of
Environmental
Protection
(PADEP)
Coal
Romining
and
Reclamation;
National
Aeronautics
and
Space
Administration
(NASA)
White
Sands
Test
Fac:
ility
(WSTF);
Narragansett
Bay
Conmiission
(NBC)
Pretreatment;
Pugat
Sound
Naval
Shipyard
(PSNS)
Phase
I
ENVVEST;
USA
Waste
of
Virginia,
Inc.,
and
King
George
Laudfills,
Inc.,
wholly
oumed
subsidiaries
of
Waste
Management,
Inc:.,
Bioreactor
Systems;
International
Business
Machines
(IBM)
East
Fisllkill
Facility
F00fi
Sludge
Rocpcling;
and
Lead
Safe
Boston.
SUMMARY:
EPA
is
announcing
the
signing
of
the
Project
XL
Final
Project
Agreements
(FPAs)
for
the
following
XL,
XLC,
and
ENVVEST
Projects:
United
States
Postal
Service
(USPS)
Denver
(herealter
"IJSPS"):
Mayport
Naval
Station
ENWEST
(hereafter
"Mayport");
Steele
County,
MN
XL
Communities
(XLC)
(liereaftor
"Steele
C:
ounty");
Georgia
Pacific
Black
Liquor
Gasification
System
(hereafter
"Cfiorgia
Pacific");
Intornational
Paper
(IP)
Aiidroscoggin
Mill
Eflluent
Irn
pro
vements
(hemafkr
`
`IP
Efff
ucn
t
Improvements");
Progressive
Insurance
Company
Pay
As
You
Drive
Auto
In
surance
(hereafter
"Progre
s
sivo
Insurance");
International
Business
Machines
(1BM)
Essex
Junction,
Verniont
(hereafter
"IBM
Verniont");
Labs
21
Eiiviconmental
Performauce
at
Laboratories
(horeafier
"Labs
21"):
Project
XLC
Phase
I
(Planning):
Clerniont
County,
OH
(hereafter
"Clerinont");
Kodak
Company
Pollution
Prevention
(hereafter
"Kodak");
PPG
Industries,
Inc.
(liereaftar
"PPC"):
Yolo
County
Accelerated
Anaerobic
Aerobic
Cornposting
(Bioreactor)
(hereafter
"Yolo
County"):
Buncombe
County
Leachate
Rec:
ircuIation/
Gas
Recovery
(Bioreactor)
(hereafter
"Buncombe
County");
Autoliv
Automobile
Safety
Products,
U.
S.
A.
(hereafter
"Autoliv");
Ortho
McNeil
Pharmaceuticel
LattoratorpSca2e
High
Temperaturf!
Catalytic
Oxidation
Process
to
Treat
Low
Levvol
Mixed
Wastes
(hereafter
"Ortho
Mc:
Neil");
State
of
Pennsylvania
Department
of
Environmental
Protection
(PADEP)
Coal
Remining
and
Reclamation
(hereafter
"Pt!
nn,
sylvzinia
Coal");
National
Aeronautics
and
Space
Administration
(NASA)
White
Sands
Test
Facility
(WSTF)
(hereafter
"NASA
WSTF");
Narragansett
Bay
Commission
(NBC)
Pre
treatment
(hereaftor
"NBC");
Puget
Sound
Naval
Shipyard
(PSNS)
Phase
I
ENWEST
(hereafter
"PSNS");
USA
Waste
of
Virginia,
Inc.,
and
King
George
Landfills!
Inc.,
wholly
owned
subsidiaries
of
Waste
Management,
Inc.,
Bioreactor
Systems
(hereafter
"Virginia
Landfills");
International
Business
Machines
(IBM)
East
Fishkill
Facility
F006
Sludge
Recycling
(htireafter
"IBM
Fishkill");
and
Load
Safe
Boston.
DATES:
The
FPAs
were
signed
on
the
following
dates:
IJSPS
on
May
22,
2000;
Mayport
on
May
30,2000;
Steele
County
on
May
31,
2000;
Georgia
Pacific
on
May
31,
2000;
IP
Effluent
Iniprovomonts
c
u
i
Junc
29,
2000;
Progressive
Insurance
on
July
27,
2000;
IBM
Vermont
on
July
31,
2000;
Labs
21
on
Soptombar
7,
2000;
Clermont
on
Septonhr
6,
2000;
Kodak
on
September
14,
2000;
PPG
on
Sepbnitter
14,
2000;
Yolo
County
on
September
14,
2000;
Buncombe
County
on
Sqteniber
18,
2000;
Autoliv
on
September
20,
2000;
Ortho
McNeil
on
September
22,
2000:
Ponnsylvania
Coal
on
September
22,
2000;
NASA
WSTF
on
September
22,
2000;
NBC
on
September
25,2000;
PSNS
on
September
25,
2000;
Virginia
Landfills
nn
St?
ptember
29,
2000;
IBM
Fisllkill
011
Septcmber
29,
2000;
and
Lead
Safe
Boston
on
0c:
tober
2,
2000.
ADDRESSES:
To
obtain
copies
or
to
make
inquiries
about
the
Final
Project
Agreements,
Fact
Sheets,
or
public
comments
rec:
oivod
coritact
the
following
individuals:
Mary
Byrne,
303
312
6491,
U.
S.
EPA
Regiou
VIII,
8P
R,
999
18th
Street,
Suite
500,
Denver,
Colorado
80202
2466
(byrne.
maryQopa.
gov)
for
the
IJSPS
XL
Project;
Michelle
Cook,
404
5fi2
8674,
1J.
S.
EPA
Region
IV,
61
Forsyth
Street,
SW.,
Atlanta,
Georgia
30303
3104
(cook.
michelleQopa.~
ov)
for
the
Mayport
ENWEST
Project;
Aboer
Hashein,
312
886
1331,
US.
EPA
Region
V,
WC
15J,
77
Wesl
Jackson
Blvd,
Chicago,
Illinois
60(
304
3507
(liasheni.
abeerOepa.
gov)
for
the
Steele
County
XLC
Project;
Steven
J,
Donohue,
215
814
3215,
U.
S.
EPA
Region
III,
30R00,
1650
Arch
Street,
Philadelphia,
Pennsyhania
19103
2029
(donohue.
stevenOepa.
gov)
for
the
Georgia
Pacific
XL
Pmjoct;
Chris
Rasclier,
617
918
1834,1J.
S.
EPA
Region
I,
SPP,
1
Congress
Street,
Suite
1100,
Boston,
Massachusetts
W114
2023
(rascher.
chris@
epa.
gov)
for
the
Federal
Register
/
Vol.
65,
No.
205
/Monday,
October
23,
2000
/Notices
63251
IP
Effluent
Improvements
XL
Project;
Janet
Mumay,
202
260
7570,
U.
S.
EPA,
1802,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC
20460
(murray.
j~
inetOapa.
gov]
for
tha
Progressive
Ilisuranct?
XL
Projeci;
John
Region
I,
SPP,
1
Congress
Streot,
Suite
1100,
Boston,
Massachusetts
02114
2023
(nioskal.
jolin~
ei~
a,
jiov)
for
the
IDM
Vermont
XL
Project;
Nina
Bonnelycke,
202
260
3344,
U.
S.
EPA,
1802,1200
Pennsylvania
Avenue,
N
p
'
V
.,
Washington,
DC
20460
(~)
onnelycke.
ninaQepa.
gov)
for
tho
Labs
21
XL
Project:
Christopher
Murphy,
312
886
0172,
IJS.
EPA
Region
V,
Chicago,
Illinois
60604
3
5
07
(murphy
.cllristopherOepa.
gov)
for
the
Clsrniont
XLC
Project;
Bill
Waugh,
202
Pennsylvania
A\
7enuc,
NW.,
Washington,
DC
20460
(~~
augh.
billQepa.
gnv)
for
tho
Kodak
XL
Project;
Bill
Waugh,
202
260
3489,
U.
S.
EPA,
7403,
1200
Pennsylvania
Avenue,
NW.,
Washington,
DC;
20460
Iwaugh.
M11@
epa.
gov)
for
the
PPC
XL
Project;
Mark
Samolis,
415
744
2331,
US.
EPA
Region
IX,
SPE
1,
75
Hawthorne
Street,
Scan
Francisco,
CA
94105
(samo1is.
markO~
pa.
gov)
for
the
Yolo
County
XL
Project
Michdlo
Cook,
404
562
8674,
TJ.
S.
EPA
Region
IV,
fil
Forsyth
Street,
SW.,
Atlanta,
Georgia
30303
3
104
(cook.
iniche1leOepa.
gov)
for
the
Buncombe
County
XL
Project;
Mary
Byrne,
303
312
6491,
LJ.
S.
EPA
Region
VIII,
8P
R,
999
18th
Street,
Suite
500,
Denver,
Colorado
80202
246[
3
(byrne.
niary@
epa.
gov)
for
the
Autoliv
XL
Project;
Charles
Howland,
215
814
2645,
IJ.
S.
EPA
Rogion
111.
30R00,
1650
Arch
Street,
Philadelphia,
Pennsylvania
1910:$
2029
(hotvland.
c~
iarles@
pa.
gov)
for
the
Ortho
McNeil
XL
Project;
Steven
J.
Donohue,
215
814
3215,
US.
EPA
Region
111,
30R00,1650
A
x
h
Stmet.
Philadelphia,
Pennsylvania
19103
2029
(donohue.
sl;
oven~
pa.
gov)
for
the
Pennsylvania
Coal
XL
Project;
Adele
Cardenas,
214
665
7210,
U.
S.
EPA
Region
VI,
BEN
XP,
1445
Ross
Avenun,
Suite
1200,
Dallas,
TX
75202
2733
(cardenas.
adeleOe~
a.~
ov)
for
the
NASA
WSTF
XL
Projecl;
Chris
Rascher,
617
918
1834,
U.
S.
EPA
Region
I,
SPP,
1
Congress
Street,
Suite
1100,
Boston,
(rascher.
chris@
epa.~
ov)
for
the
NBC:
XL
Project;
Wilfiani
Glasser,
206
553
7215,
US.
EPA
Region
X,
1200
Sixth
Avenue,
Seattb:,
Washington
98101
(glasser.
willianibep~
a.
gov)
for
the
PSNS
ENVVEST
Projwt;
Chris
Menon,
215
814
2786,1J.
S.
EPA
Region
111,
3EI00,
1650
Arch
Street,
Philadelphia,
Moskal,
617
918
1826,
1J.
S.
EPA
WA
l6J,
77
West
JatkSoIi
Blvcl,
260
3489,
lJ.
S.
EPA,
7403,1200
Mas
sachuse
Lts
0
2
1
14
2
02
3
Pennsylvania
19'103
2029
(nienen.
chrisOepa.
gov)
for
the
Virginia
Landfills
XL
Projec:
t;
Sam
Kerns,
212
637
4139,
TJ.
S.
EPA
Region
11,
290
Broadway,
New
York,
New
York
10007
18(
i6
(keriis.
sanlOopa.
go\
r)
for
the
IBM
Fishkill
XL
Project;
and
Mike
Hill,
617
918
1388,
V.
S.
EPA
Region
I,
CHW,
I
Congress
Strect,
Suite
1100,
Boston,
(~
iill.
michaelQepa.
gov)
for
the
Lead
Sxfe
Boston
XL
Project.
In
addition
public
liles
on
each
of
the
projects
are
locatcd
at
each
of
the
EPA
Regional
or
Headquarters
offices
listed.
Additional
information
on
Project
XL,
XLC,
and
ENVVEST,
incliiding
docuinents
rt?
feronc:
od
in
this
document,
other
EPA
poIicy
documents
relatixi
to
Project
XL,
Regional
and
Headquarters
coutacts,
application
information
and
descriptions
of
existing
XL
projects
and
proposals
are
avaikiblo
via
the
Iiiterriet
at
"htti):
ll\
YM`
tv.
epa.
go~
I~
roj~!
c~~
'.
SUPPLEMENTARY
INFORMATION:
Final
Project
Agreements
are
voluntary
agreements
developed
by
projcct
sponsors,
stakeholders,
the
State
in
which
the
project
is
located
and
EPA.
Project
XL
including
XL
projects
for
go\
xmment
agencies
regulated
by
EPA
ENVVEST
and
XL
for
C:
ommunities,
announced
in
tho
Federal
Register
on
May
23,1995
(6O
FR
27282)
and
November
1,1995
(60
FR
55569)
respectively
give
regulated
sources
the
opportunity
to
develop
alternative
strategies
that
will
replace
or
modify
specific
regulatory
rquirenients
on
the
condition
b
t
they
producm
greater
environmnental
benefits.
Any
legd
inipleinenting
mechanism
intended
to
be
used
in
a
project
is
described
in
tho
project's
FPA.
EPA
announcod
the
availahili
ty
aid
requested
comments
on
FPA's
in
the
Federal
Register
for
the
following
XL,
ENVVEST
and
XL
Communities
projects
on:
February
15,
2000
(65
FR
7547)
IJSPS:
May
1,2000
(65
FIX253271
Mayport;
December
29,
1999
(64
FR
73047)
Steele
County;
May
8,
2000
(65
FR
26606)
Georgia
Pacific;
May
16,
2000
Iniprovemeiits;
June
27,2000
(65
FR
39614)
Progressive
Insurance;
June
16,
20110
(65
FR
37780)
IBM
Vermont;
August
17,
2000
(65
FR
50200)
Labs
21;
August
16,
2000
(65
FR
49983)
Clorniont;
August
14,
2000
(65
FR
49571)
Kodak;
August
22,2000
(65
FR
50987)
PPG:
August
29,
2000
(65
FR
52426)
Yolo
County;
July
28,
2000
(65
FR
46456)
Bincornbe
County;
August
14,
ZOO0
(65
FR
49571)
Autoliv;
Septomber
1,
2000
(65
FR
53297)
Ortho
McNeil;
August
30,
2000
(ti5
FR
52751)
Pennsylvania
Coal;
September
8,
2000
Massttchusetts
02
11
4
2
023
(65
FR
31120)
IP
Effl~
e11t
(65
FR
54519)
NASA
WSTF;
August
29,
2000
(65
FR
52425)
NBC;
August
31,
2000
(65
FR
53008)
PSNS;
Septenibcr
8,
2000
(65
FR
54520)
Virginia
Landfills;
Septemlm
1,
2000
(65
FR
53298)
IBM
Fishkill;
and
Seplonilxr
7,
2000
(65
FR
54265)
Lead
Safe
Boston.
Descriptions
of
the
projects
are
contained
in
each
of
ilia
Federal
Register
noticm.
EPA
did
not
receive
tidverse
cornmnont
011
any
oT
these
F'PRS.
George
Wyeth,
Acting
Director.
Oljice
of
Environnimtal
Policy
lnnu
vulion.
I)
aied:
Octobsr
17,
2000.
[FR
UOC.
00
27153
Wt?
d
10
20
00;
8:
45
all]
BILLING
CODE
6560
504'
FEDERAL
TRADE
COMMISSION
Agency
information
Collection
Activities;
Submission
for
OMB
Review;
Comment
Request
AGENCY:
Federal
Trade
Commission.
ACTION:
Notice.
SUMMARY:
The
Federal
Trade
Commission
(FTC)
h
s
submitted
to
tho
Office
of
Managomont
and
Budget
(OMB)
for
review
under
the
Paperwork
Reduction
Act
(PRA)
information
collection
requirements
contained
in
its
Alternative
Fuel
Rule.
Thr!
FTC
is
soliciting
puhlic
comments
on
the
proposal
to
extend
through
NoveInher
30,2003
the
currait
PRA
clearance
for
information
collection
requirements
contained
in
the
Rule.
That
cloarance
expires
on
Novernbrir
50,
2000.
DATES:
CommcnLs
must
be
filed
by
Noveriihor
22,
2000.
ADDRESSES:
Send
written
c:
ominents
to
the
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget,
New
Executive
Office
Building,
Room
10202,
Washington,
DC
20503,
ATTN.:
Desk
Officer
for
tho
Enderal
Trade
Conmission,
and
.to
Secretary,
Federal
Trade
Commission,
Room
H
159,
600
Potlnsylvariia
Avo.,
NW.,
Washington.
DC
20580.
All
comments
should
be
captioned
"Alternative
Fuel
Rule:
Paperwork
comment."
FOR
FURTHER
INFORMATION
CONTACT:
Requests
for
copies
of
the
collection
of
informat
ion
and
sup
porting
docutlientation
should
he
addmssod
to
Neil
Blickman,
Divisioii
of
Enforcemonl,
Bureau
of
Consinner
Proleclion,
Federal
Trade
Comniission,
Rooiii
S
4302,
fin1
,.:
>
.
*
Pennsylvania
Ave.,
NW.,
Washington,
DC
20580.
SUPPLEMENTARY
INFORMATION:
On
August
16,
2000,
the
FTC
sought
cornrnont
on
the
information
collection
requirements
associated
with
the
Alternative
Fuel
| epa | 2024-06-07T20:31:45.638615 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0011-0007/content.txt"
} |
EPA-HQ-OPPT-2002-0012-0001 | Notice | 2002-05-08T04:00:00 | Certain New Chemicals; Receipt and Status Information
| epa | 2024-06-07T20:31:45.644708 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0012-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0013-0008 | Proposed Rule | 2002-04-29T04:00:00 | Polychlorinated Biphenyls (PCB's); Return of PCB Waste from U.S. Territories Outside
the Customs Territory of the United States; Proposed Rule | Wednesday,
November
1,
2000
Part
VIII
Environmental
Protection
Agency
40
CFR
Part
761
Polychlorinated
Biphenyls
(PCB's);
Return
of
PCB
Waste
From
U.
S.
Territories
Outside
the
Customs
Territory
of
the
United
States;
Proposed
Rule
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Federal
Register
/
Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
761
[OPPTS±
66020;
FRL±
6750±
6]
Polychlorinated
Biphenyls
(PCB's);
Return
of
PCB
Waste
from
U.
S.
Territories
Outside
the
Customs
Territory
of
the
United
States
AGENCY:
Environmental
Protection
Agency
(EPA).
ACTION:
Proposed
Rule.
SUMMARY:
EPA
is
proposing
to
clarify
that
PCB
waste
in
United
States'
territories
and
possessions
outside
the
customs
territory
of
the
United
States
may
be
returned
to
the
U.
S.
Customs
Territory
for
proper
disposal.
This
proposed
rule
interprets
the
prohibition
on
the
manufacture
of
PCBs
at
Section
6(
e)
of
the
Toxic
Substances
Control
Act
(TSCA)
to
allow
the
movement
of
PCB
waste
among
any
States
of
the
United
States
for
the
purpose
of
disposal,
and
that
such
movement
is
not
considered
``
import.
''
This
interpretation
will
allow
U.
S.
territories
and
possessions
which
fall
outside
of
the
definition
of
``
customs
territory
of
the
United
States''
to
dispose
of
their
PCB
waste
in
the
mainland
of
the
United
States
where
facilities
are
available
that
can
properly
dispose
of
PCB
waste.
Thus,
this
rule
would
ensure
that
a
safe
and
viable
mechanism
exists
for
the
protection
of
health
and
the
environment
for
those
citizens
in
areas
of
the
United
States
where
facilities
are
not
available
for
the
proper
management
and
disposal
of
PCB
waste.
Because
disposal
of
these
wastes
may
occur
only
at
approved
facilities,
no
unreasonable
risks
to
health
or
the
environment
on
the
mainland
United
States
will
be
created
by
this
rule.
DATES:
Comments,
identified
by
the
docket
number
OPPTS±
66020,
must
be
received
by
EPA
on
or
before
December
1,
2000.
ADDRESSES:
Comments
may
be
submitted
by
mail,
electronically,
or
in
person.
Please
follow
the
detailed
instructions
for
each
method
as
provided
in
Unit
I.
of
the
SUPPLEMENTARY
INFORMATION
section.
To
ensure
proper
receipt
by
EPA,
it
is
imperative
that
you
identify
docket
control
number
OPPTS±
66020
in
the
subject
line
on
the
first
page
of
your
response.
FOR
FURTHER
INFORMATION
CONTACT:
For
general
information
contact:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division,
Office
of
Pollution
Prevention
and
Toxics
(7408),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
numbers:
202±
554±
1404;
e
mail
address:
TSCA
Hotline@
epa.
gov.
For
technical
information
contact:
Peggy
Reynolds,
OPPT/
NPCD,
7404,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
202±
260±
3965;
fax
number:
202±
260±
1724;
e
mail
address:
reynolds.
peggy@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
in
a
United
States
territory
or
possession
outside
of
the
customs
territory
of
the
United
States,
and
you
manufacture,
process,
distribute
in
commerce,
or
use
PCBs.
Examples
of
such
territories
and
possessions
are
Guam,
American
Samoa,
the
Commonwealth
of
the
Northern
Mariana
Islands
(CNMI)
including
Saipan,
and
the
United
States
Virgin
Islands.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Types
of
entities
NAICS
codes
Examples
of
potentially
affected
entities
Crude
Petroleum
and
Natural
Gas
Extraction
211111
Facilities
that
own
electrical
equipment
containing
PCBs
Electric
Power
Generation;
Transmission
and
Distribution
2211
Facilities
that
own
electrical
equipment
containing
PCBs
Food
Manufacturing
311
Facilities
that
own
electrical
equipment
containing
PCBs
Petroleum
and
Coal
Products
Manufacturing
324
Facilities
that
own
electrical
equipment
containing
PCBs
Chemical
Manufacturing
325
Facilities
that
own
electrical
equipment
containing
PCBs
Primary
Metal
Manufacturing
331
Facilities
that
own
electrical
equipment
containing
PCBs
Waste
Treatment
and
Disposal
5622
Facilities
that
own
electrical
equipment
containing
PCBs.
Entities
that
process
and
distribute
PCB
waste
Materials
Recovery
Facilities
56292
Facilities
that
own
electrical
equipment
containing
PCBs.
Entities
that
process
and
distribute
PCB
waste
Public
Administration
92
Agencies
that
own
electrical
equipment
containing
PCBs
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
above
could
also
be
affected.
The
North
American
Industrial
Classification
System
(NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
To
determine
whether
you
or
your
business
may
be
affected
by
this
action,
you
should
carefully
examine
the
applicability
provisions
in
40
CFR
part
761.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
technical
person
listed
in
the
FOR
FURTHER
INFORMATION
CONTACT
section.
B.
How
Can
I
Get
Additional
Information,
Including
Copies
of
this
Document
and
Other
Related
Documents?
1.
Electronically.
You
may
obtain
copies
of
this
document
and
certain
other
available
documents
from
the
EPA
Internet
Home
Page
at
http//
:www.
epa.
gov/.
On
the
Home
Page
select
``
Laws
and
Regulations''
and
then
look
up
the
entry
for
this
document
under
Federal
RegisterÐ
Environmental
Documents.
You
can
also
go
directly
to
the
Federal
Register
listings
at
http//
:www.
epa.
gov/
fedrgstr/.
Information
about
the
Office
of
Prevention,
Pesticides
and
Toxic
Substances
(OPPTS)
and
OPPTS
related
programs
is
available
from
http//
:www.
epa.
gov/
internet/
oppts/.
If
you
want
additional
information
about
EPA's
PCB
regulations
at
40
CFR
part
761,
go
to
http//:
www.
epa.
gov/
pcb.
2.
In
person.
The
Agency
has
established
an
official
record
for
this
action
under
docket
control
number
OPPTS±
66020.
The
official
record
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received
during
an
applicable
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Federal
Register
/
Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
comment
period,
and
other
information
related
to
this
action,
including
any
information
claimed
as
confidential
business
information
(CBI).
This
official
record
includes
the
documents
that
are
physically
located
in
the
docket,
as
well
as
the
documents
that
are
referenced
in
those
documents.
The
public
version
of
the
official
record
does
not
include
any
information
claimed
as
CBI.
The
public
version
of
the
official
record,
which
includes
printed,
paper
versions
of
any
electronic
comments
submitted
during
an
applicable
comment
period,
is
available
for
inspection
in
the
TSCA
Nonconfidential
Information
Center,
Northeast
Mall,
Rm.
B±
607,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC.
The
Center
is
open
from
12
noon
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
of
the
Center
is
(202)
260±
7099.
C.
How
and
to
Whom
Do
I
Submit
Comments?
You
may
submit
comments
through
the
mail,
in
person,
or
electronically.
To
ensure
proper
receipt
by
EPA,
it
is
imperative
that
you
identify
docket
control
number
OPPTS±
66020
in
the
subject
line
on
the
first
page
of
your
response.
1.
By
mail.
Submit
your
comments
to:
Document
Control
Office
(7407),
Office
of
Pollution
Prevention
and
Toxics
(OPPT),
U.
S.
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460.
2.
In
person
or
by
courier.
Deliver
your
comments
to:
the
OPPT
Document
Control
Office
(DCO)
in
East
Tower
Rm.
G±
099,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC.
The
DCO
is
open
from
8
a.
m.
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
for
the
DCO
is
202±
260±
7093.
3.
Electronically.
You
may
submit
your
comments
electronically
by
E
mail
to:
oppt.
ncic@
epa.
gov,
or
mail
or
deliver
your
computer
disk
to
the
addresses
identified
above.
Do
not
submit
any
information
electronically
that
you
consider
to
be
CBI.
E
mailed
comments
must
be
submitted
as
an
ASCII
file
avoiding
the
use
of
special
characters
and
any
form
of
encryption.
Comments
will
also
be
accepted
on
standard
computer
disks
in
WordPerfect
689
or
ASCII
file
format.
All
comments
in
electronic
form
must
be
identified
by
the
docket
control
number
OPPTS±
66020.
Electronic
comments
may
also
be
filed
online
at
many
Federal
Depository
Libraries.
D.
How
Should
I
Handle
CBI
That
I
Want
to
Submit
to
the
Agency?
Do
not
submit
any
information
electronically
that
you
consider
to
be
CBI.
You
may
claim
information
that
you
submit
to
EPA
in
response
to
this
document
as
CBI
by
marking
any
part
or
all
of
that
information
as
CBI.
Information
so
marked
will
not
be
disclosed
except
in
accordance
with
procedures
set
forth
in
40
CFR
part
2.
In
addition
to
one
complete
version
of
the
comment
that
includes
any
information
claimed
as
CBI,
a
copy
of
the
comment
that
does
not
contain
the
information
claimed
as
CBI
must
be
submitted
for
inclusion
in
the
public
version
of
the
official
record.
Information
not
marked
confidential
will
be
included
in
the
public
version
of
the
official
record
without
prior
notice.
If
you
have
any
questions
about
CBI
or
the
procedures
for
claiming
CBI,
please
consult
the
technical
person
identified
in
the
FOR
FURTHER
INFORMATION
CONTACT
section.
II.
Background
A.
What
Action
is
the
Agency
Taking?
EPA
proposes
to
amend
the
disposal
regulations
at
40
CFR
761.99
to
allow
certain
PCB
waste
located
anywhere
in
the
United
States,
including
the
territories
and
possessions
of
the
United
States
that
are
not
inside
the
customs
territory
of
the
United
States
(hereafter
``
territories
and
possessions''),
to
be
moved
to
any
area
within
the
United
States
for
disposal.
The
proposed
rule
would
clarify
that
such
movement
is
not
considered
``
import''
for
purposes
of
the
ban
on
manufacturing
PCBs
under
TSCA
section
6(
e)(
3).
B.
What
is
the
Agency's
Authority
for
Taking
this
Action?
EPA
is
taking
this
action
to
clarify
its
interpretation
of
the
TSCA
provisions
relating
to
the
manufacture
of
PCBs
as
an
exercise
of
the
agency's
inherent
authority
to
issue
regulations
interpreting
the
statutes
it
administers.
This
proposed
regulation
would
codify
EPA's
interpretation
of
an
undefined
term,
``
import''
in
the
definition
of
``
manufacture''
under
section
3(
7)
of
TSCA,
for
purposes
of
section
6(
e)(
3)
of
TSCA.
EPA's
definition
of
the
term
``
import''
for
all
other
purposes
under
TSCA
is
not
affected.
III.
Summary
of
the
Proposed
Action
A.
What
Risks
do
PCBs
Present
and
How
are
PCBs
Regulated?
PCBs
cause
significant
ecological
and
human
health
effects,
including
cancer,
neurotoxicity,
reproductive
and
developmental
toxicity,
immune
system
suppression,
liver
damage,
skin
irritation,
and
endocrine
disruption
(Ref.
1).
EPA
has
found
that
any
exposure
of
humans
or
the
environment
to
PCBs
may
be
significant,
depending
on
such
factors
as
the
quantity
of
PCBs
involved
in
the
exposure,
the
likelihood
of
exposure
to
humans
and
the
environment,
and
the
effect
of
exposure
(40
CFR
761.20).
PCBs
are
readily
absorbed
through
the
skin
and
at
even
faster
rates
when
inhaled.
Because
PCBs
are
stored
in
animal
fatty
tissue,
humans
are
also
exposed
to
PCBs
through
ingestion
of
animal
products.
Significantly,
bioaccumulated
PCBs
appear
to
be
even
more
toxic
than
those
found
in
the
ambient
environment,
since
the
more
toxic
PCB
congeners
are
more
persistent
and
thus
more
likely
to
be
retained
(Ref.
1).
Under
section
6(
e)
of
the
Toxic
Substances
Control
Act
(TSCA),
15
U.
S.
C.
2605(
e),
and
implementing
regulations
at
40
CFR
part
761,
the
manufacture,
processing,
and
distribution
in
commerce
of
PCBs
are
banned
unless
EPA
issues
a
regulatory
exemption
to
the
ban.
The
ban
on
manufacture
of
PCBs
was
designed
to
prevent
the
creation
or
introduction
to
the
United
States
of
new
PCBs,
and
it
has
been
largely
successful.
Use
of
PCBs
is
banned
except
in
a
totally
enclosed
manner
or
as
authorized
by
rule
based
on
a
finding
that
the
use
will
not
pose
an
unreasonable
risk
to
human
health
or
the
environment.
Disposal
of
PCBs
is
strictly
controlled
to
minimize
release
to
the
environment.
By
enacting
TSCA
section
6(
e),
Congress
established
a
presumption
that
PCBs
pose
an
unreasonable
risk
of
injury
to
health
and
the
environment.
See,
Central
and
Southwest
Services,
et
al.
v.
EPA,
220
F.
3d
683,
688
(5th
Cir.
2000).
Before
the
statutory
ban
was
enacted
in
1976,
PCBs
were
widely
used
in
industrial
applications,
particularly
as
insulating
fluids
in
electrical
equipment.
Utilities
and
other
industries
lawfully
manufactured
and
sold
items
such
as
PCB
electrical
equipment
and
hydraulic
or
heat
transfer
equipment.
After
TSCA's
general
bans
on
manufacture,
processing,
distribution
in
commerce,
and
use
of
such
items
went
into
effect,
EPA
authorized
the
continued
use
of
much
of
this
equipment
subject
to
conditions
that
protect
against
an
unreasonable
risk
to
health
or
the
environment
from
the
PCBs
in
the
equipment.
As
these
items
reach
the
end
of
their
useful
lives,
the
owners
are
responsible
for
disposing
of
them
following
the
stringent
requirements
of
40
CFR
part
761.
Any
PCBs
that
are
released
from
the
equipment
also
must
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/
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212
/
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November
1,
2000
/
Proposed
Rules
be
disposed
of
following
these
requirements.
TSCA
was
enacted
to
protect
all
of
the
citizens
of
the
United
States
from
unreasonable
risk
of
injury
to
health
or
the
environment
from
exposure
to
chemical
substances.
TSCA
sections
3(
13)
and
3(
14)
define
``
United
States''
to
include
``
any
State
of
the
United
States,
the
District
of
Columbia,
the
Commonwealth
of
Puerto
Rico,
the
Virgin
Islands,
Guam,
the
Canal
Zone,
American
Samoa,
the
Northern
Mariana
Islands,
or
any
other
territory
or
possession
of
the
United
States.
''
Thus,
the
prohibitions
and
restrictions
on
PCBs
under
TSCA
section
6(
e)
and
its
implementing
regulations
protect
not
only
United
States
citizens
in
the
50
States,
but
United
States
citizens
in
all
the
territories
and
possessions
of
the
United
States.
PCBs
in
the
50
States
and
in
the
territories
and
possessions
must
be
managed
and
disposed
of
in
a
manner
that
does
not
present
an
unreasonable
risk
to
health
or
the
environment.
B.
What
Special
Problems
Do
PCBs
Present
in
the
Territories
and
Possessions?
PCBs
and
PCB
waste
in
the
territories
and
possessions
pose
an
especially
great
environmental
threat.
The
territories
and
possessions
have
no
permitted
commercial
PCB
disposal
facilities,
so
PCB
waste
is
accumulated
in
long
term
storage.
Many
of
the
territories
and
possessions
are
subject
to
frequent
typhoons
and
earthquakes,
which
can
severely
damage
storage
areas
and
other
buildings.
PCBs
and
PCB
waste
in
storage
therefore
may
present
a
greater
risk
to
human
health
and
the
environment
than
PCBs
stored
in
the
mainland
United
States
(Ref.
8).
Between
1945
and
1990,
within
180
nautical
miles
of
Guam,
there
were
118
tropical
storms
(wind
speed
40
to
72
mph),
36
typhoons
(wind
speed
75
to
149
mph),
and
8
super
typhoons
(wind
speed
150
mph
or
more).
Between
1973
and
2000,
Guam
has
seen
an
average
of
18
earthquakes
a
year
within
a
100
kilometer
radius.
During
the
last
10
years,
12
earthquakes
of
magnitude
5
or
higher
have
occurred
within
a
50
kilometer
radius
of
Guam.
The
Commonwealth
of
the
Northern
Marianas
Islands
is
120
miles
from
Guam
and
shares
similar
geologic
characteristics,
so
the
risks
would
be
similar
(Ref.
8).
The
Samoas
lie
squarely
within
the
South
Pacific's
notorious
cyclone
belt.
In
American
Samoa,
Cyclone
Tusi
caused
extensive
damage
to
property,
vegetation,
and
wildlife
in
1987.
Cyclones
occur,
on
average,
every
10
to
15
years,
but
in
the
early
1990s,
the
Samoas
were
devastated
by
two
of
the
strongest
and
most
destructive
storms
on
record.
Cyclone
Ofa
struck
in
February,
1990,
bringing
winds
of
up
to
250
kilometers
per
hour,
killing
16
people
and
leveling
much
of
the
island
of
Savai'i.
In
1991,
Cyclone
Val
pummeled
the
islands
for
5
days
with
winds
up
to
260
kilometers
per
hour
and
waves
of
up
to
25
meters
in
height.
Although
the
storm
destroyed
nearly
three
times
as
much
as
its
predecessor,
the
death
toll
was
the
same.
Total
damage
was
estimated
at
$380
million
(Ref.
8).
PCBs
that
are
released
to
the
environment
in
the
territories
and
possessions,
through
natural
disasters
or
other
events,
can
present
significant
exposure
risks
to
residents
of
these
areas.
Many
island
residents
consume
fish
for
subsistence,
and
PCBs
bioaccumulate
in
fish.
In
addition,
island
natural
resources
are
severely
limited
and
therefore
vulnerable.
Even
a
small
quantity
of
PCBs
seeping
into
the
groundwater
system
could
permanently
eliminate
an
island's
only
source
of
clean
drinking
water
(Ref.
8).
Disposal
of
PCBs
in
the
territories
and
possessions
presents
a
special
challenge.
Most
PCBs
that
are
regulated
for
disposal
must
be
disposed
of
in
a
TSCA
approved
facility,
such
as
an
incinerator
or
a
chemical
waste
landfill
(40
CFR
part
761,
subpart
D).
However,
as
noted
above,
there
are
no
TSCAapproved
commercial
PCB
disposal
facilities
in
any
of
the
territories
or
possessions
of
the
United
States
(Ref.
6),
so
disposal
in
the
territory
or
possession
where
the
waste
is
generated
is
not
possible
in
most
cases.
A
recent
survey
of
the
status
of
PCB
waste
in
the
territories
and
possessions
shows
that,
because
of
the
lack
of
disposal
options,
PCB
wastes
have
been
placed
in
storage
awaiting
disposal
in
facilities
that
are
not
approved
commercial
storage
facilities
under
TSCA.
In
some
cases,
spills
or
releases
from
these
facilities
are
inadequately
controlled,
presenting
risks
to
health
and
the
environment
(Ref.
8).
The
territories
and
possessions
cannot
dispose
of
their
waste
at
facilities
outside
the
United
States
if
the
PCB
concentration
is
³50
ppm
because
EPA
regulations
prohibit
the
export
for
disposal
of
such
waste
(see
40
CFR
761.97).
Moreover,
it
is
a
violation
of
the
PCB
regulations
to
dilute
PCB
wastes
to
lower
concentrations
to
avoid
these
restrictions
on
export
(40
CFR
761.1(
b)(
5)).
Even
if
such
export
were
not
prohibited,
it
is
not
clear
that
export
would
be
a
viable
option.
Even
assuming
that
foreign
countries
would
be
willing
to
accept
PCB
waste
from
the
United
States,
there
is
some
uncertainty
about
the
disposal
capacity
at
foreign
disposal
sites
capable
of
managing
PCBs
(Ref.
17).
Furthermore,
EPA
disfavors
disposing
of
PCB
wastes
generated
in
the
United
States
in
other
countries.
The
only
remaining
disposal
option
for
most
TSCA
regulated
PCB
waste
in
the
territories
and
possessions
is
disposal
in
one
of
the
TSCA
approved
facilities
in
the
mainland
United
States.
However,
EPA
has
historically
interpreted
TSCA
in
a
way
that
made
this
option
unavailable.
Since
1979,
TSCA
section
6(
e)
has
banned
the
manufacture
of
PCBs
except
under
an
exemption
issued
by
rulemaking.
TSCA
section
3(
7)
defines
``
manufacture''
to
include
``
import
into
the
customs
territory
of
the
United
States
(as
defined
in
general
note
2
of
the
Harmonized
Tariff
Schedule
of
the
United
States).
''
General
note
2
defines
the
``
customs
territory
of
the
United
States''
as
``
any
State
of
the
United
States,
the
District
of
Columbia,
and
Puerto
Rico.
''
Thus,
any
movement
of
PCBs
from
a
location
outside
the
customs
territory
of
the
United
States
to
a
location
inside
the
customs
territory
could
be
considered
to
be
an
import
of
PCBs
into
the
customs
territory
of
the
United
States.
Since
most
of
the
territories
and
possessions,
such
as
Guam
and
American
Samoa,
are
not
included
within
the
definition
of
``
customs
territory
of
the
United
States''
as
found
in
the
Harmonized
Tariff
Schedule,
EPA
has
historically
interpreted
a
movement
of
PCBs
from
one
of
these
areas
to
a
mainland
State
to
be
an
``
import''
within
the
meaning
of
``
manufacture''
as
it
is
used
in
TSCA
section
6(
e)(
3).
EPA
has
in
the
past
exercised
limited
discretion
to
allow
the
movement
of
PCB
waste
from
U.
S.
territories
and
possessions
to
the
mainland
United
States
(Ref.
15).
C.
How
Would
This
Proposed
Rule
Address
Disposal
of
PCBs
in
the
Territories
and
Possessions?
EPA
proposes
to
amend
its
regulations
to
allow
the
movement
of
PCB
waste
for
disposal
among
any
States
of
the
United
States,
as
defined
in
TSCA
sections
3(
13)
and
3(
14),
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCBs
[or
the
PCB
waste]
were
present
in
the
United
States
on
January
1,
1979,
when
the
ban
on
manufacturing
took
effect,
and
have
remained
within
the
United
States
since
that
date.
EPA
would
not
consider
these
movements
to
be
imports
subject
to
the
ban
on
manufacturing
under
TSCA
sections
3(
7)
and
6(
e)(
3)
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Federal
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Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
As
noted
above,
the
territories
and
possessions
are
subject
to
all
of
TSCA's
requirements.
EPA
is
charged
with
implementing
section
6(
e)
to
protect
the
health
and
environment
of
all
United
States
citizens,
including
the
residents
of
the
territories
and
possessions.
To
interpret
the
statute
as
prohibiting
the
movement
of
PCB
waste
from
the
territories
and
possessions
to
disposal
facilities
in
the
United
States
mainland
puts
the
residents
of
the
territories
and
possessions
at
a
serious
disadvantage
compared
to
residents
of
areas
that
fall
within
the
definition
of
the
customs
territory.
Because
there
are
no
EPAapproved
commercial
PCB
storage
or
disposal
facilities
outside
the
customs
territory,
and
because
of
the
unique
environmental
conditions
in
the
territories
and
possessions,
the
Unites
States
citizens
of
these
areas
are
subject
to
a
higher
likelihood
of
exposure
to
PCBs,
and
thus
a
higher
risk
of
injury.
Moreover,
EPA
is
particularly
concerned
about
the
risks
from
improper
disposal
of
PCBs
wherever
it
may
occur.
PCBs
are
persistent
in
the
environment
and
can
become
dispersed
world
wide.
Research
supporting
EPA's
report
to
Congress,
Deposition
of
Air
Pollutants
to
the
Great
Waters
(Refs.
2,
3,
4
and
5),
indicates
that
up
to
89%
of
the
PCB
loading
for
Lake
Superior
occurs
through
air
deposition,
much
of
it
from
distant
sources.
Figures
for
the
other
Great
Lakes
range
from
6%
to
63%.
Based
on
the
persistence
of
PCBs
in
the
global
environment
and
EPA's
finding
that
any
exposure
to
human
beings
or
the
environment
may
be
significant,
EPA
believes
that
the
safe
disposal
of
PCBs
in
approved
United
States
facilities
poses
less
risk
of
injury
to
health
or
the
environment
in
the
United
States
than
the
continued
presence
of
PCBs
in
the
territories
and
possessions,
since
proper
disposal
in
this
country
provides
protection
against
possible
hazards
from
improper
disposal
elsewhere.
EPA
is
also
concerned
that
the
only
options
currently
available
for
handling
PCBs
in
the
territories
and
possessions
may
violate
the
requirements
of
TSCA
and
its
implementing
regulations.
Indefinite
storage
of
PCB
waste
is
not
lawful
under
EPA's
regulations
at
40
CFR
761.65.
Disposal
in
a
facility
that
is
not
EPA
approved
would
also
violate
the
regulations.
As
noted
above,
shipment
of
any
wastes
containing
PCBs
³50
ppm
to
a
foreign
country
for
disposal
would
violate
the
export
prohibition.
In
contrast,
residents
of
areas
inside
the
customs
territory
that
do
not
have
EPA
approved
PCB
disposal
facilities
can
simply
ship
their
PCB
wastes
to
an
approved
facility
in
another
State.
For
example,
the
residents
of
Alaska
and
Hawaii,
States
in
which
no
TSCA
approved
disposal
facilities
are
located,
can
ship
their
PCBs
to
facilities
in
the
mainland
United
States
for
disposal
(Ref.
13),
in
spite
of
the
fact
that
it
is
impossible
to
move
wastes
from
those
States
to
the
mainland
without
either
entering
Canada
or
crossing
international
waters
(40
CFR
761.99).
EPA
has
determined
that
its
previous
interpretation
of
the
definition
of
``
manufacture''
is
not
mandated
by
the
language
of
TSCA,
results
in
inequitable
treatment
among
different
areas
within
the
United
States,
does
not
adequately
protect
health
and
the
environment
throughout
the
United
States,
and
therefore
is
not
in
the
public
interest.
EPA
believes
that
the
term
``
import,
''
as
commonly
understood,
was
not
intended
to
include
the
movement
of
PCB
waste
that
has
never
been
outside
the
United
States
or
outside
the
regulatory
control
of
TSCA
(after
enactment)
from
one
area
of
the
United
States
(the
territories
and
possessions)
to
another
area
of
the
United
States
(the
mainland)
for
disposal.
There
is
an
obvious
distinction
between
that
type
of
movement
and
the
introduction
of
a
chemical
into
the
United
States
from
a
foreign
country,
which
is
clearly
an
import.
This
latter
category
is
much
more
analogous
to
the
manufacture
of
a
new
chemical
substance
in
the
United
States.
Therefore,
EPA
proposes
to
interpret
the
movement
of
PCB
waste
from
the
territories
and
possessions
into
the
customs
territory
of
the
United
States
for
disposal
not
to
be
an
import,
and
therefore
not
within
the
ban
on
manufacture
under
TSCA
section
6(
e).
This
proposed
interpretive
rule
would
allow
the
movement
of
PCB
waste
for
disposal
among
any
States
of
the
United
States,
as
defined
in
TSCA
sections
3(
13)
and
3(
14),
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCBs
in
the
waste
were
present
in
the
United
States
on
January
1,
1979,
when
the
ban
on
manufacturing
took
effect,
and
has
remained
within
the
United
States
since
that
date.
This
would
allow
PCB
waste
that
was
present
in
the
territories
and
possessions
at
the
time
TSCA's
ban
on
manufacturing
took
effect,
and
that
remained
within
the
territories
and
possessions
since
that
date,
to
be
stored
and
disposed
of
in
any
facility
in
the
United
States
that
meets
the
requirements
of
40
CFR
part
761,
subpart
D.
It
would
also
allow
PCBs
that
were
present
in
the
territories
and
possessions
at
the
time
TSCA's
bans
took
effect,
but
were
not
designated
as
waste
until
after
that
date,
to
be
stored
and
disposed
of
in
any
subpart
D
facility
in
the
United
States,
as
long
as
the
PCBs
and
PCB
waste
had
remained
in
the
United
States.
Finally,
it
would
allow
PCBs
or
PCB
wastes
that
were
transferred
from
an
area
in
the
United
States
that
is
outside
the
territories
and
possessions,
but
that
was
moved
to
a
territory
or
possession
after
January
1,
1979,
and
that
has
never
left
the
United
States,
to
be
stored
and
disposed
of
in
any
subpart
D
facility
in
the
United
States.
EPA
would
not
consider
movement
of
any
of
these
wastes
to
the
customs
territory
of
the
United
States
to
be
an
import
subject
to
the
ban
on
manufacturing
under
TSCA
section
6(
e).
This
proposed
rule
would
apply
to
PCB
waste
that
is
present
in
the
territories
and
possessions
as
the
result
of
conduct
that
was
legal
at
the
time
it
occurred
(for
example,
PCB
materials
that
were
brought
to
the
territories
before
TSCA's
ban
on
distribution
in
commerce
became
effective),
and
that
has
been
subject
to
regulation
under
TSCA
throughout
its
lifespan;
or
PCB
equipment
that
was
lawfully
in
use
in
one
of
the
States,
that
was
transferred
to
a
territory
or
possession
for
continued
lawful
use,
and
that
reached
the
end
of
its
useful
life
and
became
subject
to
disposal
while
in
the
territory
or
possession.
This
proposed
amendment
would
also
be
consistent
with
EPA's
longstanding
policy
that
it
does
not
interpret
movement
of
PCBs
purchased
or
procured
in
the
United
States
by
the
Federal
Government,
taken
overseas
for
use
in
United
States
Government
facilities,
remained
under
the
control
and
jurisdiction
of
the
United
States
Government,
and
subsequently
returned
to
the
United
States
for
disposal
in
an
approved
facility
as
either
exports
or
imports
for
purposes
of
TSCA
section
6(
e)
(Refs.
14
and
16).
EPA
established
this
policy
because
the
wastes
had
always
been
the
property
of
the
United
States
and
disposal
facilities
for
these
wastes
might
not
be
readily
available
overseas.
This
proposed
rule
would
not
allow
disposal
in
the
United
States
of
PCBs
transported
to
the
territories
and
possessions
from
foreign
countries
after
the
effective
date
of
the
ban
on
manufacture
in
TSCA
section
6(
e)(
3).
The
purpose
of
this
proposal
is
to
ensure
that
all
United
States
PCB
waste
can
be
disposed
of
in
compliance
with
the
requirements
of
TSCA
section
6(
e)
and
its
implementing
regulations.
This
proposal
is
not
intended
to
allow
the
territories
and
possessions
to
become
a
conduit
to
the
United
States
for
PCB
waste
generated
in
other
countries.
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Federal
Register
/
Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
Finally,
EPA
has
not
made
a
formal
finding
of
``
no
unreasonable
risk''
for
this
proposed
regulation.
This
regulation
is
not
being
proposed
under
TSCA
section
6(
e),
but
rather
as
an
exercise
of
EPA's
inherent
authority
to
interpret
the
statutes
it
administers.
IV.
References
and
Documents
in
the
Record
As
indicated
in
Unit
I.
B.
2.,
the
official
record
for
this
rulemaking
has
been
established
under
docket
control
number
OPPTS±
66020,
the
public
version
of
which
is
available
for
inspection
as
specified
in
Unit
I.
B.
2.
The
following
is
a
listing
of
the
documents
that
have
already
been
placed
in
the
official
record
for
this
rulemaking:
A.
Federal
Register
Notices
1.
U.
S.
Environmental
Protection
Agency
(USEPA).
44
FR
31514,
May
31,
1979,
``
Polychlorinated
Biphenyls
(PCBs);
Manufacturing,
Processing,
Distribution
in
Commerce,
and
Use
Prohibitions:
Final
Rule.
''
2.
USEPA.
45
FR
29115,
May
1,
1980,
``
Polychlorinated
Biphenyls
(PCBs);
Expiration
of
the
Open
Border
Policy
for
PCB
Disposal:
Notice.
''
OPTS
62008.
3.
USEPA.
59
FR
62788,
December
6,
1994,
``
Disposal
of
Polychorinated
Biphenyls:
Proposed
Rule.
''
OPPTS±
66009A.
4.
USEPA.
61
FR
11096,
March
18,
1996,
``
Disposal
of
Polychlorinated
Biphenyls;
Import
for
Disposal:
Final
Rule.
''
OPPTS±
66009B.
5.
USEPA.
63
FR
35384,
June
29,
1998,
``
Disposal
of
Polychlorinated
Biphenyls
(PCBs):
Final
Rule.
''
OPPTS±
66009C.
B.
Reference
Documents
1.
USEPA,
Office
of
Research
and
Development
(ORD).
PCBs
Cancer
DoseResponse
Assessment
and
Application
to
Environmental
Mixtures.
EPA600P±
96001F
(September
1996):
75pp.
OPPTS±
66009C.
2.
USEPA,
Office
of
Air
Quality
Planning
and
Standards
(OAQPS).
Deposition
of
Air
Pollutants
to
the
Great
Waters,
First
Report
to
Congress.
EPA±
453R±
93±
055
(May
1994):
136pp.
OPPTS±
66009B.
3.
USEPA,
OAQPS.
Identification
of
Sources
Contributing
to
the
Contamination
of
the
Great
Waters
by
Toxic
Compounds.
EPA±
453R±
94±
087
(March
17,
1993):
145pp.
OPPTS±
66009B.
4.
USEPA,
OAQPS.
Relative
Atmospheric
Loadings
of
Toxic
Contaminants
and
Nitrogen
to
the
Great
Waters.
EPA±
453R±
94±
086
(March
15,
1993):
142pp.
OPPTS±
66009B.
5.
USEPA.
Chapter
2.2,
Exposure
and
Effects
of
Airborne
Contamination
for
the
Great
Waters
Program
Report.
EPA±
453R±
94±
085
(December
22,
1992):
201pp.
OPPTS±
66009B.
6.
USEPA,
Office
of
Prevention,
Pesticides,
and
Toxic
Substances
(OPPTS).
Commercially
Permitted
PCB
Disposal
Companies
(April
2000):
3pp.
7.
USEPA,
Office
of
Pollution
Prevention
and
Toxics
(OPPT).
Excerpt
from
the
PCB
Waste
Handler
Database;
Facility
Information
for
U.
S.
Territories
and
Possessions
(September
27,
2000):
12pp.
8.
USEPA,
Region
IX.
Memo
from
Lily
Lee,
Guam
Program
Manager,
to
Enrique
Manzanilla,
Director,
Cross
Media
Division,
Re:
Summary
of
PCB
Waste
Quantities
and
Concentrations
in
the
US
Territories
(July
19,
2000):
5pp.
9.
Unitek
Environmental
Guam.
Letter
from
LeRoy
Moore,
President,
to
John
Malone
[sic],
Director,
National
Program
Chemicals
Division,
Re:
PCB
Shipments
from
Guam
and
Possessions
of
the
United
States
for
Disposal
in
the
Mainland
United
States
(May
11,
2000):
2pp.
10.
USEPA,
OPPT.
Note
from
Peter
Gimlin
to
the
File,
Re:
Unitek
Environmental
Guam
(UEG)
Meeting
(September
27,
2000):
1p.
11.
U.
S.
Congress.
Letter
from
Robert
A.
Underwood,
House
of
Representatives,
to
Carol
M.
Browner,
Administrator,
EPA,
Re:
Disposal
of
Polychlorinated
Biphenyls
(PCBs)
from
Guam
and
the
Other
U.
S.
Territories
(April
12,
2000):
2pp.
12.
USEPA,
Region
IX.
Letter
from
Felicia
Marcus,
Regional
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Disposal
of
Polychlorinated
Biphenyl
Waste
(February
4,
2000):
2pp.
13.
USEPA,
OPPT.
Memo
from
John
W.
Melone,
Director,
Chemical
Management
Division,
to
George
Abel,
Chief,
Pesticides
and
Toxic
Substances
Branch,
USEPA
Region
X,
Re:
Transit
of
PCB
Waste
Generated
in
the
United
States
Through
a
Foreign
Country
(January
19,
1995):
2pp.
14.
USEPA,
OPPT.
Letter
from
John
W.
Melone,
Director,
Chemical
Management
Division,
to
Arthur
J.
Brown,
National
Science
Foundation,
Re:
Request
to
Return
PCBs
in
Antarctica
to
the
United
States
for
Disposal
(March
11,
1994):
3pp.
15.
USEPA,
OCM
and
OE.
Letter
from
Michael
F.
Wood,
Director,
Compliance
Division,
and
Michael
J.
Walker,
Enforcement
Counsel
for
the
Toxics
Litigation
Division,
to
Marion
P.
Herrington,
General
Electric
Company,
Re:
Transfer
of
PCB
Waste
Generated
in
A
U.
S.
Territory
to
An
Approved
Disposal
Facility
in
the
Continental
United
States
(August
14,
1992):
2pp.
16.
USEPA,
Office
of
Toxic
Substances
(OTS).
Letter
from
Don
R.
Clay,
Director
to
Colonel
Joseph
T.
Cuccaro,
Defense
Logistics
Agency,
Re:
USEPA
Position
on
DOD
Owned
PCB
Fluid
Located
Abroad
and
Returned
to
the
U.
S.
for
Disposal
(February
7,
1984):
3pp.
17.
United
Nations
Environment
Programme
(UNEP).
Inventory
of
World
wide
PCB
Destruction
Capacity,
First
Issue
(December
1998):
85pp.
18.
U.
S.
Congress.
Congressional
Record
from
the
House
of
Representatives,
H8598,
Guam's
Environmental
Problems
(October
2,
2000):
1p.
19.
U.
S.
Congress.
Letter
from
Robert
A.
Underwood,
House
of
Representatives,
to
Carol
Browner,
Administrator,
EPA,
Re:
Inability
of
Guam
to
Import
PCBs
into
the
U.
S.
Mainland
for
Proper
Disposal
(December
10,
1999):
2
pp.
20.
USEPA,
OPPTS.
Letter
from
Susan
H.
Wayland,
Acting
Assistant
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Disposal
of
PCB
Waste
in
Guam
(June
14,
2000):
2
pp.
21.
USEPA,
OPPTS.
Letter
from
Susan
H.
Wayland,
Acting
Assistant
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Meeting
on
PCB
Waste
in
Guam
(September
29,
2000):
2
pp.
V.
Regulatory
Assessment
Requirements
A.
Executive
Order
12866
Under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(58
FR
51735,
October
4,
1993),
the
Office
of
Management
and
Budget
(OMB)
has
determined
that
this
action
is
not
a
``
significant
regulatory
action''
subject
to
review
by
OMB,
because
this
action
is
not
likely
to
result
in
a
rule
that
meets
any
of
the
criteria
for
a
``
significant
regulatory
action''
provided
in
section
3(
f)
of
the
Executive
Order.
This
proposed
rule
simply
clarifies
EPA's
interpretation
of
the
TSCA
section
6(
e)
provisions
relating
to
the
manufacture
of
PCBs.
B.
Regulatory
Flexibility
Act
(RFA)
Pursuant
to
section
605(
b)
of
the
Regulatory
Flexibility
Act
(RFA),
as
amended
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
5
U.
S.
C.
601
et
seq.,
the
Agency
hereby
certifies
that
this
final
rule
will
not
have
a
significant
economic
impact
on
a
substantial
number
of
small
entities.
The
factual
basis
for
this
determination
is
that
this
action
is
not
expected
to
result
in
any
direct
adverse
impact
for
small
entities.
This
rule
interprets
the
prohibition
on
the
``
manufacture
of
PCBs''
in
a
manner
which
affords
U.
S.
citizens
(including
small
entities)
residing
in
U.
S.
territories
and
possessions
located
outside
the
``
customs
territory
of
the
United
States''
an
opportunity
to
dispose
of
PCB
waste
when
facilities
that
require
EPA
approval
to
manage
PCB
waste
are
not
readily
available.
This
rule
is
being
promulgated
in
the
public
interest
to
ensure
equitable
treatment
among
different
areas
within
the
United
States
and
adequate
protection
of
health
and
the
environment
throughout
the
United
States.
This
rule
provides
a
mechanism
for
the
disposal
of
PCB
waste
resulting
from
natural
disasters
(e.
g.,
tropical
storms,
cyclones,
typhoons
and
hurricanes),
former
use
of
U.
S.
territories
and
possessions
for
defense
purposes,
spills
of
PCBs
and
when
PCB
equipment
has
reached
the
end
of
its
natural
life
span.
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Federal
Register
/
Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
C.
Paperwork
Reduction
Act
(PRA)
This
regulatory
action
does
not
contain
any
information
collection
requirements
that
require
approval
by
the
Office
of
Management
and
Budget
(OMB)
under
the
Paperwork
Reduction
Act
(PRA),
44
U.
S.
C.
3501
et
seq.
D.
Unfunded
Mandates
Reform
Act
(UMRA)
Pursuant
to
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(UMRA),
Public
Law
104±
4,
EPA
has
determined
that
this
action
does
not
contain
a
Federal
mandate
that
may
result
in
expenditures
of
$100
million
or
more
for
State,
local
or
tribal
governments,
in
the
aggregate,
or
on
the
private
sector
in
any
one
year.
The
UMRA
requirements
in
sections
202,
204,
and
205
do
not
apply
to
this
rule,
because
this
action
does
not
contain
any
``
Federal
mandates''
or
impose
any
``
enforceable
duty''
as
defined
by
UMRA
on
StateTribal,
or
local
governments
or
on
the
private
sector.
The
requirements
in
section
203
do
not
apply
because
this
rule
does
not
contain
any
regulatory
requirements
that
might
significantly
or
uniquely
affect
small
governments.
E.
Executive
Order
13132
Executive
Order
13132,
entitled
Federalism
(64
FR
43255,
August
10,
1999),
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.
''
``
Policies
that
have
federalism
implications''
are
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.
''
This
proposed
rule
does
not
have
federalism
implications,
because
it
will
not
have
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132.
This
action
interprets
the
TSCA
prohibition
on
the
manufacture
of
PCBs
in
a
manner
which
allows
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
U.
S.
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Thus,
the
requirements
of
section
6
of
the
Executive
Order
do
not
apply
to
this
rule.
F.
Executive
Order
13084
Under
Executive
Order
13084,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(63
FR
27655,
May
19,
1998),
EPA
may
not
issue
a
regulation
that
is
not
required
by
statute,
that
significantly
or
uniquely
affects
the
communities
of
Indian
tribal
governments,
and
that
imposes
substantial
direct
compliance
costs
on
those
communities
unless
the
Federal
government
provides
the
funds
necessary
to
pay
the
direct
compliance
costs
incurred
by
the
tribal
governments,
or
EPA
consults
with
those
governments.
If
EPA
complies
by
consulting,
Executive
Order
13084
requires
EPA
to
provide
to
the
Office
of
Management
and
Budget,
in
a
separately
identified
section
of
the
preamble
to
the
rule,
a
description
of
the
extent
of
EPA's
prior
consultation
with
representatives
of
affected
tribal
governments,
a
summary
of
the
nature
of
their
concerns,
and
a
statement
supporting
the
need
to
issue
the
regulation.
In
addition,
Executive
Order
13084
requires
EPA
to
develop
an
effective
process
permitting
elected
officials
and
other
representatives
of
Indian
tribal
governments
``
to
provide
meaningful
and
timely
input
in
the
development
of
regulatory
policies
on
matters
that
significantly
or
uniquely
affect
their
communities.
''
This
rule
does
not
significantly
or
uniquely
affect
the
communities
of
Indian
tribal
governments,
nor
does
it
impose
substantial
direct
compliance
costs
on
such
communities.
It
interprets
the
TSCA
prohibition
on
the
manufacture
of
PCBs
in
a
manner
which
allows
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
U.
S.
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Accordingly,
the
requirements
of
section
3(
b)
of
Executive
Order
13084
do
not
apply
to
this
rule.
G.
Executive
Order
12898
Pursuant
to
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(59
FR
7629,
February
16,
1994),
the
Agency
has
considered
environmental
justice
related
issues
with
regard
to
the
potential
impacts
of
this
action
on
the
environmental
and
health
conditions
in
low
income
and
minority
communities.
EPA
finds
that
the
amendments
in
this
proposed
rule
will
reduce
the
risk
to
human
health
and
the
environment
from
exposure
to
PCBs,
particularly
in
low
income
and
minority
communities.
This
proposed
rule
would
allow
PCB
waste
found
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
U.
S.
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
H.
Executive
Order
13045
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(62
FR
19885,
April
23,
1997),
does
not
apply
to
this
rule,
because
it
is
not
``
economically
significant''
as
defined
under
Executive
Order
12866,
and
does
not
involve
decisions
on
environmental
health
risks
or
safety
risks
that
may
disproportionately
affect
children.
This
proposed
regulation
would
allow
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
U.
S.
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Therefore,
the
disposal
of
PCB
waste
will
occur
where
children
are
either
not
present
or
not
permitted,
and
the
disposal
activity
will
pose
no
special
risks
to
children.
Also,
the
rule
will
prevent
exposure
of
children
in
U.
S.
territories
and
possessions
to
PCBs
that
might
result
from
improper
storage
or
disposal
of
PCB
waste.
I.
National
Technology
Transfer
and
Advancement
Act
(NTTAA)
This
regulatory
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(NTTAA),
Public
Law
104±
113,
section
12(
d)
(15
U.
S.
C.
272
note).
J.
Executive
Order
12630
EPA
has
complied
with
Executive
Order
12630,
entitled
Governmental
Actions
and
Interference
with
Constitutionally
Protected
Property
Rights
(53
FR
8859,
March
15,
1988),
by
examining
the
takings
implications
of
this
rule
in
accordance
with
the
``
Attorney
General's
Supplemental
Guidelines
for
the
Evaluation
of
Risk
and
Avoidance
of
Unanticipated
Takings''
issued
under
the
Executive
Order.
K.
Executive
Order
12778
In
issuing
this
rule,
EPA
has
taken
the
necessary
steps
to
eliminate
drafting
errors
and
ambiguity,
minimize
potential
litigation,
and
provide
a
clear
legal
standard
for
affected
conduct,
as
required
by
section
3
of
Executive
Order
12988,
entitled
Civil
Justice
Reform
(61
FR
4729,
February
7,
1996).
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Federal
Register
/
Vol.
65,
No.
212
/
Wednesday,
November
1,
2000
/
Proposed
Rules
List
of
Subjects
in
40
CFR
Part
761
Environmental
protection,
Hazardous
substances,
Labeling,
Polychlorinated
Biphenyls
(PCBs),
Recordkeeping
and
reporting
requirements.
Dated:
October
24,
2000.
Carol
M.
Browner,
Administrator.
Therefore,
40
CFR
chapter
I,
part
761
is
proposed
to
be
amended
as
follows:
PART
761Ð[
AMENDED]
1.
The
authority
citation
for
part
761
will
continue
to
read
as
follows:
Authority:
15
U.
S.
C.
2605,
2607,
2611,
2614,
and
2616.
2.
Section
761.99
is
amended
by
adding
paragraph
(c)
to
read
as
follows:
§761.99
Other
transboundary
shipments.
*
*
*
*
*
(c)
PCB
waste
transported
from
any
State
to
any
other
State
for
disposal,
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCB
waste
or
the
PCBs
from
which
the
waste
was
derived
were
present
in
the
United
States
on
January
1,
1979,
and
have
remained
within
the
United
States
since
that
date.
[FR
Doc
00±
27971
Filed
10±
26±
00;
4:
34
p.
m.]
BILLING
CODE
6560±
50±
S
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| epa | 2024-06-07T20:31:45.648546 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0013-0008/content.txt"
} |
EPA-HQ-OPPT-2002-0013-0009 | Proposed Rule | 2002-04-24T04:00:00 | Polychlorinated Biphenyls (PCB's); Return of PCB Waste from U.S. Territories Outside
the Customs Territory of the United States; Final Rule | Friday,
March
30,
2001
Part
II
Environmental
Protection
Agency
40
CFR
Part
761
Polychlorinated
Biphenyls
(PCB's);
Return
of
PCB
Waste
from
U.
S.
Territories
Outside
the
Customs
Territory
of
the
United
States;
Final
Rule
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Federal
Register
/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
ENVIRONMENTAL
PROTECTION
AGENCY
40
CFR
Part
761
[OPPTS–
66020A;
FRL–
6764–
9]
Polychlorinated
Biphenyls
(PCB's);
Return
of
PCB
Waste
from
U.
S.
Territories
Outside
the
Customs
Territory
of
the
United
States
AGENCY:
Environmental
Protection
Agency
(EPA).
ACTION:
Final
Rule.
SUMMARY:
EPA
is
amending
its
rules
in
order
to
clarify
that
PCB
waste
in
U.
S.
territories
and
possessions
outside
the
customs
territory
of
the
United
States
may
be
moved
to
the
customs
territory
of
the
United
States
for
proper
disposal.
This
rule
interprets
the
prohibition
on
the
manufacture
of
PCBs
at
Section
6(
e)
of
the
Toxic
Substances
Control
Act
(TSCA)
to
allow
the
movement
of
most
PCB
waste
among
any
States
of
the
United
States
for
the
purpose
of
disposal
because
such
movement
is
not
considered
``
import''
for
purposes
of
the
definition
of
``
manufacture''
as
that
term
is
used
in
TSCA
section
6(
e)(
3).
This
interpretation
will
allow
U.
S.
territories
and
possessions
which
fall
outside
of
the
definition
of
``
customs
territory
of
the
United
States''
to
dispose
of
their
PCB
waste
in
the
mainland
of
the
United
States
where
facilities
are
available
that
can
properly
dispose
of
PCB
waste.
Thus,
this
rule
would
ensure
that
a
safe
and
viable
mechanism
exists
for
the
protection
of
health
and
the
environment
for
those
citizens
in
areas
of
the
United
States
where
facilities
are
not
available
for
the
proper
management
and
disposal
of
PCB
waste.
Because
disposal
of
these
wastes
may
occur
only
at
approved
facilities,
no
unreasonable
risks
to
health
or
the
environment
on
the
mainland
United
States
should
be
created
by
this
rule.
DATES:
This
rule
shall
become
effective
April
30,
2001.
This
rule
shall
be
promulgated
for
purposes
of
judicial
review
at
1
p.
m.
eastern
standard
time
on
April
13,
2001
(see
40
CFR
23.5,
59
FR
7271).
FOR
FURTHER
INFORMATION
CONTACT:
For
general
information
contact:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division,
Office
of
Pollution
Prevention
and
Toxics
(7408),
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
numbers:
202–
554–
1404;
e
mail
address:
TSCA
Hotline@
epa.
gov.
For
technical
information
contact:
Peggy
Reynolds,
OPPT/
NPCD,
7404,
Environmental
Protection
Agency,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
202–
260–
3965;
fax
number:
202–
260–
1724;
e
mail
address:
reynolds.
peggy@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
I.
General
Information
A.
Does
this
Action
Apply
to
Me?
You
may
be
potentially
affected
by
this
action
if
you
are
in
a
U.
S.
territory
or
possession
outside
of
the
customs
territory
of
the
United
States,
and
you
manufacture,
process,
distribute
in
commerce,
use,
or
dispose
of
PCBs.
Examples
of
such
territories
and
possessions
are
Guam,
American
Samoa,
the
Commonwealth
of
the
Northern
Mariana
Islands
(CNMI),
and
the
U.
S.
Virgin
Islands.
Potentially
affected
entities
may
include,
but
are
not
limited
to:
Types
of
entities
NAICS
codes
Examples
of
potentially
affected
entities
Crude
Petroleum
and
Natural
Gas
Extraction
211111
Facilities
that
own
electrical
equipment
containing
PCBs
Electric
Power
Generation;
Transmission
and
Distribution
2211
Facilities
that
own
electrical
equipment
containing
PCBs
Food
Manufacturing
311
Facilities
that
own
electrical
equipment
containing
PCBs
Petroleum
and
Coal
Products
Manufacturing
324
Facilities
that
own
electrical
equipment
containing
PCBs
Chemical
Manufacturing
325
Facilities
that
own
electrical
equipment
containing
PCBs
Primary
Metal
Manufacturing
331
Facilities
that
own
electrical
equipment
containing
PCBs
Waste
Treatment
and
Disposal
5622
Facilities
that
own
electrical
equipment
containing
PCBs.
Entities
that
process
and
distribute
PCB
waste
Materials
Recovery
Facilities
56292
Facilities
that
own
electrical
equipment
containing
PCBs.
Entities
that
process
and
distribute
PCB
waste
Public
Administration
92
Agencies
that
own
electrical
equipment
containing
PCBs
This
listing
is
not
intended
to
be
exhaustive,
but
rather
provides
a
guide
for
readers
regarding
entities
likely
to
be
affected
by
this
action.
Other
types
of
entities
not
listed
above
could
also
be
affected.
The
North
American
Industrial
Classification
System
(NAICS)
codes
have
been
provided
to
assist
you
and
others
in
determining
whether
or
not
this
action
might
apply
to
certain
entities.
To
determine
whether
you
or
your
business
may
be
affected
by
this
action,
you
should
carefully
examine
the
applicability
provisions
in
40
CFR
part
761.
If
you
have
any
questions
regarding
the
applicability
of
this
action
to
a
particular
entity,
consult
the
technical
person
listed
in
the
FOR
FURTHER
INFORMATION
CONTACT
section.
B.
How
Can
I
Get
Additional
Information,
Including
Copies
of
this
Document
and
Other
Related
Documents?
1.
Electronically.
You
may
obtain
electronic
copies
of
this
document
and
certain
other
related
documents
that
might
be
available
electronically,
from
the
EPA
Internet
Home
Page
at
http://
www.
epa.
gov.
To
access
this
document,
on
the
Home
Page
select
``
Laws
and
Regulations''
``
Regulations
and
Proposed
Rules,
''
and
then
look
up
the
entry
for
this
document
under
the
Federal
Register—
Environmental
Documents.
You
can
also
go
directly
to
the
Federal
Register
listings
at
http://
www.
epa.
gov/
fedrgstr/.
Information
about
the
Office
of
Prevention,
Pesticides
and
Toxic
Substances
(OPPTS)
and
OPPTS
related
programs
is
available
from
http://
www.
epa.
gov/
internet/
oppts/.
If
you
want
additional
information
about
EPA's
PCB
regulations
at
40
CFR
part
761,
go
to
http://
www.
epa.
gov/
pcb.
2.
In
person.
The
Agency
has
established
an
official
record
for
this
action
under
docket
control
number
OPPTS–
66020A.
The
official
record
consists
of
the
documents
specifically
referenced
in
this
action,
any
public
comments
received
during
an
applicable
comment
period,
and
other
information
related
to
this
action,
including
any
information
claimed
as
confidential
business
information
(CBI).
This
official
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/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
record
includes
the
documents
that
are
physically
located
in
the
docket,
as
well
as
the
documents
that
are
referenced
in
those
documents.
The
public
version
of
the
official
record
does
not
include
any
information
claimed
as
CBI.
The
public
version
of
the
official
record,
which
includes
printed,
paper
versions
of
any
electronic
comments
submitted
during
an
applicable
comment
period,
is
available
for
inspection
in
the
TSCA
Nonconfidential
Information
Center,
Northeast
Mall,
Rm.
B–
607,
Waterside
Mall,
401
M
St.,
SW.,
Washington,
DC.
The
Center
is
open
from
12
noon
to
4
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
The
telephone
number
of
the
Center
is
(202)
260–
7099.
II.
Background
A.
What
Action
is
the
Agency
Taking?
EPA
is
amending
the
disposal
regulations
at
40
CFR
761.99
to
allow
certain
PCB
waste
located
anywhere
in
the
United
States,
including
the
territories
and
possessions
of
the
United
States
that
are
not
inside
the
customs
territory
of
the
United
States
(hereafter
``
territories
and
possessions''),
to
be
moved
to
any
area
within
the
United
States
for
disposal.
For
purposes
of
the
ban
on
manufacturing
PCBs
under
TSCA
section
6(
e)(
3),
this
rule
clarifies
that
such
movement
is
not
considered
``
import.
''
B.
What
is
the
Agency's
Authority
for
Taking
this
Action?
EPA
is
taking
this
action
to
clarify
its
interpretation
of
the
TSCA
provisions
relating
to
the
manufacture
of
PCBs
as
an
exercise
of
the
Agency's
inherent
authority
to
issue
regulations
interpreting
the
statutes
it
administers.
As
a
result,
the
Agency
has
not
made
a
formal
finding
of
``
no
unreasonable
risk''
for
this
regulation
as
would
be
required
for
a
regulation
that
is
issued
under
section
6(
e)
of
TSCA.
This
regulation
codifies
EPA's
interpretation
of
an
undefined
term,
``
import,
''
in
the
definition
of
``
manufacture''
under
section
3(
7)
of
TSCA,
for
purposes
of
section
6(
e)(
3)
of
TSCA.
EPA's
definition
of
the
term
``
import''
for
all
other
purposes
under
TSCA
is
not
affected.
C.
Why
is
the
Agency
Taking
This
Action?
Under
section
6(
e)
of
the
Toxic
Substances
Control
Act
(TSCA),
15
U.
S.
C.
2605(
e),
and
implementing
regulations
at
40
CFR
part
761,
the
manufacture,
processing,
and
distribution
in
commerce
of
PCBs
are
banned
unless
EPA
issues
a
regulatory
exemption
to
the
ban.
The
ban
on
manufacture
of
PCBs
was
designed
to
prevent
the
creation
or
introduction
to
the
United
States
of
new
PCBs,
and
it
has
been
largely
successful.
Use
of
PCBs
is
banned
except
in
a
totally
enclosed
manner
or
as
authorized
by
rule
based
on
a
finding
that
the
use
will
not
pose
an
unreasonable
risk
to
human
health
or
the
environment.
Disposal
of
PCBs
is
strictly
controlled
to
minimize
release
to
the
environment.
By
enacting
TSCA
section
6(
e),
Congress
established
a
presumption
that
PCBs
pose
an
unreasonable
risk
of
injury
to
health
and
the
environment.
See,
Central
and
Southwest
Services,
et
al.
v.
EPA,
220
F.
3d
683,
688
(5th
Cir.
2000).
Before
the
statutory
ban
was
enacted
in
1976,
PCBs
were
widely
used
in
industrial
applications,
particularly
as
insulating
fluids
in
electrical
equipment.
Utilities
and
other
industries
lawfully
manufactured,
sold,
and
used
items
such
as
PCB
electrical
equipment
and
hydraulic
or
heat
transfer
equipment.
After
TSCA's
general
bans
on
manufacture,
processing,
distribution
in
commerce,
and
use
of
such
items
went
into
effect,
EPA
authorized
the
continued
use
of
much
of
this
equipment
subject
to
conditions
that
protect
against
an
unreasonable
risk
to
health
or
the
environment
from
the
PCBs
in
the
equipment.
As
these
items
reach
the
end
of
their
useful
lives,
the
owners
are
responsible
for
disposing
of
them
following
the
stringent
requirements
of
40
CFR
part
761.
Any
PCBs
that
are
released
from
the
equipment
also
must
be
disposed
of
following
these
requirements.
PCBs
and
PCB
waste
in
the
territories
and
possessions
pose
an
especially
great
environmental
threat.
The
territories
and
possessions
have
no
permitted
commercial
PCB
disposal
facilities,
so
PCB
waste
is
accumulated
in
long
term
storage.
Many
of
the
territories
and
possessions
are
subject
to
frequent
typhoons
and
earthquakes,
which
can
severely
damage
storage
areas
and
other
buildings.
PCBs
and
PCB
waste
in
storage
in
these
areas,
therefore,
may
present
a
significantly
greater
risk
to
human
health
and
the
environment
than
PCBs
stored
in
the
mainland
United
States
(Ref.
8).
Because
most
of
the
population
of
the
territories
and
possessions
tend
to
be
made
up
of
minority
or
low
income
communities,
these
risks
present
important
environmental
justice
concerns.
EPA
has
a
strong
commitment
to
ensuring
the
protection
of
these
communities
by
mitigating
their
risk
of
exposure
to
PCBs
to
the
greatest
extent
possible
under
the
law.
For
the
reasons
mentioned
above
and
as
discussed
more
fully
in
the
preamble
to
the
proposed
rule
(65
FR
65656–
65658),
EPA
proposed
to
amend
its
regulations
to
allow
the
movement
of
PCB
waste
for
disposal
among
any
States
of
the
United
States,
as
defined
in
TSCA
sections
3(
13)
and
3(
14).
This
movement
would
be
allowed
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCBs
or
the
PCB
waste
were
present
in
the
United
States
on
January
1,
1979,
when
the
ban
on
manufacturing
took
effect,
and
have
remained
within
the
United
States
since
then.
EPA
does
not
consider
these
movements
to
be
imports
subject
to
the
ban
on
manufacturing
under
TSCA
sections
3(
7)
and
6(
e)(
3).
III.
Summary
of
the
Final
Action
In
this
action
EPA
is
finalizing
the
rule
as
proposed.
A.
What
Comments
Supported
the
Proposed
Rule?
The
Agency
received
13
sets
of
comments
from
individuals
in
the
environmental
services
and
other
U.
S.
industry,
the
U.
S.
Congress,
and
the
Department
of
Defense,
as
well
as
representatives
of
some
of
the
U.
S.
territories,
and
an
environmental
group.
With
one
exception,
all
of
the
comments
were
in
favor
of
the
proposed
action
for
the
reasons
that
were
cited
in
the
preamble
to
the
proposed
rule
(65
FR
65656–
65658).
In
addition,
many
of
the
comments
provide
examples
of
situations
in
the
U.
S.
territories
which
exist
as
a
result
of
the
previous
interpretation
of
the
statute.
(The
following
discussions
include
a
parenthetical
reference
to
the
docket
number
that
was
assigned
by
EPA
to
the
comment.)
Several
comments
cited
the
burden
that
PCB
waste
cleanup
activities
create
for
inhabitants
of
U.
S.
territories
that
are
not
located
within
the
customs
territory
of
the
United
States.
One
commenter
(C1–
007)
stated
that
millions
of
dollars
are
spent
annually
by
the
U.
S.
armed
forces
to
clean
up
and
remediate
formerly
used
military
dump
sites
which
existed
during
World
War
II.
PCBs
and
other
contaminants
(e.
g.,
mustard
gas
and
trichloroethylene
(TCE))
that
were
buried
on
Guam
are
evident
in
the
drinking
water
which
comes
from
the
island's
sole
source
aquifer.
In
addition,
efforts
are
currently
underway
to
clean
up
PCBs
from
an
old
military
power
plant
located
in
the
village
of
Mong
Mong,
Guam,
that
have
migrated
into
the
Agana
Swamp
and
adjacent
farmed
areas,
which
serve
as
a
source
of
catfish,
fruit
and
vegetables
VerDate
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17:
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17470
Federal
Register
/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
that
have
been
consumed
by
the
village
for
many
years.
In
describing
the
lack
of
disposal
options
that
are
available
to
inhabitants
of
Guam,
the
commenter
cited
unfair
restrictions
that
allowed
the
U.
S.
Government
to
transport
PCBs
to
Guam,
but
limits
their
return
to
the
U.
S.
mainland
for
proper
disposal.
In
another
set
of
comments
(C1–
009),
the
commenter
related
how
PCB
capacitors
were
sold
to
the
U.
S.
military
in
Texas
and
were
brought
to
the
village
of
Tanapag
in
the
Commonwealth
of
the
Northern
Mariana
Islands,
where
the
capacitors
were
abandoned
about
40
years
ago.
Contaminated
soil
cleanup
continues
today.
Efforts
by
the
U.
S.
Army
Corps
of
Engineers
to
dispose
of
PCBs
onsite
have
resulted
in
the
collection
of
contaminated
soil
in
a
single
location
within
the
village
where
the
soil
is
exposed
to
rain
and
wind.
According
to
the
commenter,
village
residents
have
excess
body
loads
of
PCBs
that
have
been
verified
by
the
Agency
for
Toxic
Substances
and
Disease
Registry
(ATSDR),
and
EPA
is
currently
conducting
an
evaluation
of
the
degree
of
contamination
of
ground
water
and
food
sources
used
by
the
village.
This
commenter
mentioned
several
difficulties
that
are
associated
with
PCB
contamination
in
U.
S.
territories.
Specific
difficulties
include:
a
growing
population
and
limited
land
which
make
it
impossible
to
designate
a
location
for
hazardous
waste
disposal;
there
are
no
alternatives
when
the
single
source
for
water
is
contaminated;
severe
tropical
storms,
earthquakes
or
volcanic
events,
which
are
characteristic
of
the
islands,
increase
the
likelihood
of
the
spread
of
PCB
contamination;
and
subsistence
economies
are
at
risk
by
contamination
and
replacement
sources
of
food
may
be
unavailable
or
unaffordable.
Although
this
commenter
(C1–
009)
recognizes
that
the
shipment
of
waste
to
the
U.
S.
mainland
is
not
without
risk,
he
stated
that
leaving
the
waste
in
place
is
inconsistent
with
national
goals
of
protecting
human
populations
and
the
environment
from
exposure
to
PCBs.
A
similar
concern
was
repeated
in
another
set
of
comments
(C1–
003)
which
stated
that
natural
events
can
easily
spread
PCBs
throughout
the
local
environments
to
the
detriment
of
ecosystems
on
which
human,
animal
and
plant
life
depend.
Another
commenter
(C1–
013)
pointed
out
that
U.
S.
territories
rely
on
tourism
for
income,
and
as
such,
it
is
important
to
protect
their
ecosystems
and
natural
resources.
Since
U.
S.
territories
have
sensitive
ecosystems,
limited
natural
resources
and
no
TSCA
facilities
for
proper
treatment
and
disposal
of
PCB
wastes,
the
commenter
stated
these
areas
face
increased
risk
of
costly,
longterm
PCB
environmental
and
human
health
issues
in
the
future.
Another
set
of
comments
(C1–
006)
expressed
support
for
the
rule
because
there
are
no
viable
disposal
options
in
the
territories
and
the
rule
will
require
disposal
to
be
conducted
in
strict
compliance
with
the
TSCA
PCB
regulations.
This
commenter
believes
it
would
be
more
protective
to
destroy
wastes
than
to
store
the
waste
in
areas
of
frequent
hurricanes
and
earthquakes.
Along
those
lines,
another
commenter
(C1–
007)
believes
it
is
in
the
interest
of
the
island
of
Guam
to
ensure
PCBs
brought
to
Guam
from
the
United
States
are
returned
to
the
United
States
for
proper
disposal.
Still
another
commenter
(C1–
009)
applauded
EPA's
efforts
to
correct
the
illogical
distinction
which
currently
exists
and
cited
the
disparity
in
EPA's
1984
policy
which
allowed
U.
S.
manufactured
PCBs
to
be
returned
to
the
United
States
as
long
as
that
waste
remained
under
the
control
of
the
U.
S.
Government,
but
that
same
waste
when
found
in
U.
S.
territories
could
not
be
returned
to
the
mainland
for
disposal.
In
this
commenter's
opinion,
populations
and
environments
located
in
U.
S.
territories
were
being
treated
with
less
care
than
those
populations
and
environments
that
are
outside
the
United
States.
One
commenter
(C1–
010)
stated
that
the
proposed
rule
properly
recognizes
that
TSCA
specifically
defines
territories
or
possessions
of
the
United
States,
such
as
Guam,
as
``
States''
and
reiterates
that
the
term
``
United
States''
means
all
of
the
States
(see
Sec.
3(
13)
and
3(
14)).
Another
commenter
(C1–
001)
stated
the
previous
interpretation
prohibited
U.
S.
territories
from
shipping
PCB
waste
to
approved
disposal
sites
in
compliance
with
applicable
regulations
and
that
the
earlier
interpretation
has
had
an
adverse
effect
on
health
and
environment.
These
(C1–
001,
C1–
003,
C1–
006,
C1–
007,
C1–
009,
C1–
010,
C1–
013)
and
other
comments
(C1–
002,
C1–
008,
C1–
011)
all
support
promulgating
the
rule
as
proposed.
B.
What
Comments
Opposed
the
Proposed
Rule?
1.
Legal
authority.
In
comments
submitted
during
the
comment
period
(C1–
012)
and
in
a
follow
up
letter
(C1–
014),
a
commenter
argued
that
the
rule
violates
TSCA
section
6(
e)(
3),
which
bans
the
manufacture
of
PCBs
unless
EPA
issues
a
regulatory
exemption
to
the
ban
(C1–
012).
TSCA
section
3(
7)
defines
the
term
``
manufacture''
to
include
``
import
into
the
customs
territory
of
the
United
States.
''
The
commenter
cited
the
decision
in
Sierra
Club
v.
EPA,
118
F.
3d
1324
(9th
Cir.
1997),
which
held
that,
in
banning
manufacture
of
PCBs
after
January
1,
1979,
Congress
had
also
banned
all
import
of
PCBs
after
that
date,
because
``
manufacture''
is
defined
to
include
import.
The
commenter
viewed
this
rule
as
authorizing
PCB
waste
to
be
imported
into
the
customs
territory
of
the
United
States,
in
violation
of
TSCA
and
the
decision
of
the
U.
S.
Court
of
Appeals
for
the
Ninth
Circuit.
First,
the
commenter
argued
that
EPA
may
not
ignore
the
statutory
definition
of
``
manufacture,
''
which
includes
``
import
into
the
customs
territory
of
the
United
States.
''
This
rule
does
not
attempt
to
avoid
the
definition
of
``
manufacture.
''
Instead,
it
clarifies
what
EPA
will
consider
to
be
an
``
import''
of
PCBs
into
the
customs
territory
of
the
United
States
for
the
purposes
of
that
definition.
While
TSCA
defines
the
term
``
manufacture,
''
it
does
not
define
the
term
``
import.
''
The
commenter
believes
that
the
phrase
``
into
the
customs
territory
of
the
United
States''
defines
the
word
``
import,
''
rather
than
modifies
it.
EPA
disagrees
with
this
interpretation.
In
this
rule,
EPA
interprets
the
movement
of
certain
PCB
waste
from
areas
within
the
United
States
but
outside
the
customs
territory
of
the
United
States
to
disposal
facilities
inside
the
customs
territory
of
the
United
States
not
to
be
an
``
import''
for
purposes
of
TSCA
section
6(
e).
EPA
believes
that
``
import''
in
this
context
applies
to
the
initial
introduction
of
particular
PCBs
into
the
United
States
(and
the
jurisdiction
of
TSCA),
not
the
movement
across
the
border
of
the
customs
territory
of
previously
manufactured
PCBs
that
have
never
left
the
regulatory
jurisdiction
of
TSCA.
For
example,
under
TSCA,
Guam
is
part
of
the
United
States,
but
it
is
outside
the
customs
territory
of
the
United
States.
Under
this
rule,
it
would
not
be
an
``
import''
of
PCBs
to
transport
PCB
waste
that
was
present
in
Guam
on
January
1,
1979,
and
has
remained
in
Guam
since
that
date,
to
an
area
inside
the
customs
territory
of
the
United
States
for
disposal.
Since
this
transport
would
not
be
an
``
import,
''
it
would
not
be
an
act
of
``
manufacture''
which
is
banned
under
TSCA
section
6(
e)(
3)
and
the
Sierra
Club
decision.
The
definition
of
``
manufacture''
therefore
is
not
a
bar
to
the
amendments
in
this
rule.
Second,
the
commenter
believed
EPA
ignored
the
definition
of
``
manufacture,
''
which
includes
``
import
into
the
customs
territory
of
the
United
States
[emphasis
added]
''
when
it
read
sections
3(
13)
and
3(
14)
of
TSCA
as
defining
the
``
United
States''
to
encompass
territories
and
possessions
of
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/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
the
United
States
outside
the
customs
territory
of
the
United
States.
EPA
disagrees
with
this
comment.
Under
TSCA
section
3(
14),
the
term
``
United
States''
means
``
all
of
the
States.
''
Under
TSCA
section
3(
13),
``
State''
means
``
any
State
of
the
United
States,
the
District
of
Columbia,
the
Commonwealth
of
Puerto
Rico,
the
Virgin
Islands,
Guam,
the
Canal
Zone,
American
Samoa,
the
Northern
Mariana
Islands,
or
any
other
territory
or
possession
of
the
United
States.
''
Thus,
the
requirements
of
TSCA
apply
to
PCBs
in
areas
inside
the
customs
territory
of
the
United
States
(the
50
States,
the
District
of
Columbia,
and
Puerto
Rico)
as
well
as
to
areas
outside
the
customs
territory
of
the
United
States
(the
remaining
territories
and
possessions).
Persons
who
manage
PCBs
in
areas
outside
the
customs
territory
of
the
United
States
must
manage
and
dispose
of
them
in
compliance
with
all
of
the
regulations
at
40
CFR
part
761,
yet
they
often
lack
adequate
local
storage
and
disposal
facilities.
As
the
commenter
points
out,
in
banning
manufacture
of
PCBs,
TSCA
bans
the
import
of
PCBs
into
the
customs
territory.
However,
in
this
rule,
EPA
interprets
the
movement
of
certain
PCB
waste
from
areas
within
the
United
States
(and
therefore
subject
to
TSCA)
but
outside
the
customs
territory
of
the
United
States,
to
disposal
facilities
inside
the
customs
territory
of
the
United
States
not
to
be
an
``
import''
for
purposes
of
the
definition
of
``
manufacture''
as
it
applies
to
TSCA
section
6(
e)
as
long
as
the
PCBs
in
the
waste
were
present
in
the
United
States
as
the
result
of
legal
manufacture
(i.
e.,
manufacture
prior
to
January
1,
1979)
and
have
remained
in
the
United
States
since
that
time.
In
doing
so,
EPA
is
not
attempting
to
avoid
that
portion
of
the
definition
of
``
manufacture''
that
prohibits
``
import
into
the
customs
territory
of
the
United
States.
''
Third,
the
commenter
argues
that
EPA
cannot
support
this
rule
by
reference
to
a
long
standing
policy
that
treats
transboundary
movement
of
certain
PCB
waste
controlled
by
the
U.
S.
Government
as
neither
import
nor
export.
In
the
preamble
to
the
proposed
rule,
EPA
compared
the
interpretation
of
the
term
``
import''
proposed
at
§
761.99(
c)
to
its
view
of
the
terms
``
import''
and
``
export''
under
that
prior
policy.
The
policy
provides
that
PCBs
purchased
or
procured
in
the
United
States
by
the
Federal
government,
taken
overseas
for
use
in
U.
S.
Government
facilities,
and
that
have
remained
under
the
control
and
jurisdiction
of
the
U.
S.
Government,
may
be
subsequently
returned
to
the
United
States
for
disposal
in
an
approved
facility
without
violating
TSCA's
bans
on
import
and
export
of
PCBs.
EPA
did
not
refer
to
this
policy
as
the
basis
for
the
proposed
revisions
to
§
761.99(
c).
This
rule
is
based
on
EPA's
interpretation
of
the
undefined
statutory
term
``
import''
for
purposes
of
the
definition
of
``
manufacture''
as
used
in
TSCA
section
6(
e)(
3).
Rather,
EPA
referred
to
that
policy,
as
well
as
the
other
provisions
of
40
CFR
§
761.99,
to
illustrate
the
point
that
not
every
movement
of
PCBs
across
the
border
of
the
customs
territory
constitutes
an
``
import''
per
se
for
purposes
of
TSCA
section
6(
e)(
3).
Finally,
the
commenter
pointed
out
that
EPA
did
not
propose
to
amend
its
regulatory
definition
of
``
manufacture.
''
That
term
is
defined
in
40
CFR
761.3
to
mean
``
to
produce,
manufacture,
or
import
into
the
customs
territory
of
the
United
States
[emphasis
added].
''
The
commenter
pointed
out
that,
under
this
definition,
it
is
not
unlawful
to
import
PCBs
from
a
foreign
country
into
a
territory
or
possession
outside
the
customs
territory
of
the
United
States.
For
example,
PCB
waste
could
still
lawfully
move
from
Japan
to
Guam.
The
commenter
suggested
EPA
amend
this
definition
by
deleting
the
words
``
customs
territory
of.
''
This
would
bar
import
of
PCBs
into
any
territory
or
possession
of
the
United
States,
and
would
effectuate
EPA's
stated
goal
that
``
the
prohibitions
and
restrictions
of
PCBs
under
TSCA
section
6(
e)
and
its
implementing
regulations
protect
not
only
U.
S.
citizens
in
the
50
States,
but
U.
S.
citizens
in
all
the
territories
and
possessions
of
the
United
States,
''
(65
FR
65656).
Moreover,
the
commenter
opined
that
this
change
would
prevent
the
territories
and
possessions
from
becoming
a
conduit
of
PCB
waste
from
foreign
countries
to
disposal
facilities
on
the
U.
S.
mainland.
This
rule
does
not
allow
the
territories
and
possessions
to
become
a
conduit
to
disposal
facilities
in
the
U.
S.
mainland
for
PCB
waste
generated
in
foreign
countries.
This
rule
allows
PCBs
that
have
been
in
the
United
States
since
January
1,
1979,
including
PCB
waste
in
areas
outside
the
customs
territory
of
the
United
States,
to
be
moved
to
the
U.
S.
mainland
for
disposal.
The
rule
does
not
apply
to
PCBs
that
arrived
in
the
United
States
after
that.
The
commenter
is
correct
that,
under
the
current
definition
of
``
manufacture,
''
it
is
not
unlawful
for
foreign
PCBs
to
enter
territories
and
possessions
outside
the
customs
territory
of
the
United
States.
However,
the
rule
does
not
allow
PCBs
in
the
U.
S.
territories
and
possessions
that
entered
those
areas
after
January
1,
1979,
to
be
transported
to
the
U.
S.
mainland
for
disposal.
The
territories
and
possessions
therefore
cannot
become
a
conduit
of
PCB
waste
from
foreign
countries
to
disposal
facilities
on
the
U.
S.
mainland.
EPA
has
not
adopted
the
commenter's
suggestion
to
amend
the
regulatory
definition
of
``
manufacture.
''
First,
the
regulatory
definition
of
``
manufacture''
at
40
CFR
761.3
mirrors
the
statutory
definition
in
TSCA
section
3(
7).
Because
the
statutory
definition
would
remain
intact,
amending
the
regulatory
definition
would
not
have
the
effect
the
commenter
anticipates.
In
addition,
the
result
the
commenter
seeks
by
the
amendment
is
outside
the
scope
of
the
proposed
rule.
The
rule
as
proposed
would
not
have
prevented
foreign
PCBs
from
entering
areas
of
the
United
States
that
are
outside
the
customs
territory,
and
was
not
intended
to.
2.
Risks
posed
by
transportation
of
PCB
waste.
A
commenter
expressed
concern
about
the
risks
to
health
and
the
environment
of
transporting
PCB
waste
from
the
territories
and
possessions
to
the
U.
S.
mainland
for
disposal
(C1–
012
and
C1–
014).
The
commenter
cited
U.
S.
Department
of
Transportation
(DOT)
data
on
highway
incidents
involving
PCBs
and
other
hazardous
materials
that
resulted
in
death,
injury,
or
property
damage.
The
commenter
also
pointed
out
the
risk
of
accidents
during
transoceanic
shipments
of
PCB
waste.
The
commenter
suggested
that
disposal
technology
be
transported
to
the
waste,
rather
than
transporting
the
waste
to
the
disposal
site.
(See
EPA's
response
to
this
comment
in
Unit
III.
B.
3.
below.)
PCBs
(both
liquid
and
solid)
are
subject
to
DOT
regulations
that
apply
to
transport
of
hazardous
materials.
The
Hazardous
Materials
Regulations
(HMR),
49
CFR
parts
171
through
180,
apply
to
materials,
or
groups
or
classes
of
materials,
that
the
Secretary
of
Transportation
has
determined
may
pose
an
unreasonable
risk
to
health
and
safety
or
property
when
transported
in
commerce
in
a
particular
amount
and
form.
The
HMR
are
issued
for
the
safe
transportation
of
these
materials
in
interstate,
intrastate,
and
foreign
commerce
by
aircraft,
railcars,
vessels,
and
any
motor
vehicles.
The
HMR
address
hazard
communication,
packaging
requirements,
operational
rules,
and
training.
These
rules
already
apply
to
transoceanic
shipment
of
PCBs
between
areas
inside
the
customs
territory
but
not
in
the
mainland
United
States
and
disposal
facilities
on
the
mainland.
EPA's
intent
for
this
rule
is
to
put
citizens
in
the
territories
and
possessions
in
the
same
regulatory
position
as
citizens
in
Hawaii
or
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Register
/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
Rico
with
respect
to
disposal
of
PCBs.
To
the
extent
the
commenter
has
concerns
about
the
adequacy
of
those
other
rules,
such
concerns
are
outside
the
scope
of
this
rulemaking.
As
the
commenter
points
out,
incidents
involving
transportation
of
PCBs
and
other
hazardous
materials
do
occur.
Therefore,
transporters
of
PCBs
must
be
familiar
with
the
HMR
as
they
apply
to
PCBs,
and
are
legally
obligated
to
comply
with
those
provisions
as
applicable.
Compliance
with
the
HMR
is
the
best
way
to
prevent
transportation
incidents
to
the
greatest
extent
practicable.
Additional
information,
including
information
on
enforcement
and
training,
is
available
at
http://
hazmat.
dot.
gov/.
The
commenter
was
particularly
concerned
about
a
tanker
spill
of
PCBs
and
the
effect
such
a
spill
would
have
in
biologically
rich
coastal
waters,
or
near
areas
of
high
human
population,
croplands,
water
supplies,
critical
wildlife
habitat,
ports,
or
fisheries.
Although
a
comprehensive
inventory
of
the
PCB
waste
in
the
territories
and
possessions
is
not
available,
information
developed
by
EPA
Region
IX
did
not
identify
any
appreciable
quantities
of
liquid
PCB
waste
that
would
be
likely
to
be
disposed
of
in
U.
S.
mainland
facilities.
The
PCB
waste
Region
IX
identified
is
made
up
of
approximately
10,000
cubic
yards
of
soil,
13
transformers
(one
estimated
to
contain
up
to
310
gallons
of
liquid
PCBs),
one
55–
gallon
drum
of
personal
protective
equipment,
800
fluorescent
lamp
ballasts
packed
in
four
55–
gallon
drums,
and
41
drums
of
sludge
and
soil
from
leaking
transformers
(Ref.
8).
Therefore,
EPA
believes
it
is
unlikely
that
any
territory
or
possession
would
ever
generate
enough
liquid
PCB
waste
to
fill
a
tanker
ship
bound
for
the
mainland
United
States.
As
noted
above,
transporters
of
PCBs
must
be
familiar
with
the
HMR
as
they
apply
to
PCBs,
and
are
legally
obligated
to
comply
with
those
provisions
as
applicable.
3.
Risks
posed
by
disposal
of
PCB
waste.
The
commenter
also
opposed
the
proposed
rule
on
the
ground
that
facilities
that
treat
and
dispose
of
PCBs
have
records
of
spills,
environmental
violations,
and
imposed
penalties,
and
pose
risks
to
health
and
the
environment
that
are
``
not
negligible''
(C1–
012
and
C1–
014).
The
commenter
also
noted
that
dioxin
like
products
of
incomplete
combustion
can
form
from
unburned
PCBs
released
during
incineration.
These
products
of
incomplete
combustion
can
become
widely
dispersed
in
the
environment
and
can
bioaccumulate
in
the
food
chain.
The
commenter
pointed
out
that
innovative,
alternative
technologies
are
available
as
alternatives
to
incineration.
The
commenter
suggested
that
these
innovative,
alternative
technologies
be
used
to
treat
the
waste
on
site
in
the
territories
and
possessions,
rather
than
sending
the
waste
to
the
mainland
United
States
for
incineration.
PCB
waste
covered
by
this
rule
must
be
managed
in
accordance
with
the
disposal
regulations
at
40
CFR
part
761,
which
were
promulgated
under
TSCA's
no
unreasonable
risk
standard.
These
regulations
allow
disposal
of
PCB
waste
in
TSCA
approved
incinerators
(see
§
761.70).
As
part
of
its
approval
process
for
PCB
incinerators,
EPA
conducts
a
technical
assessment
of
the
facility's
technology
and
procedures
to
ensure
that
operation
of
the
facility
will
not
present
an
unreasonable
risk
of
injury
to
health
or
the
environment.
EPA's
technical
assessment
establishes
limits
on
the
PCB
concentration
of
the
waste
the
facility
may
dispose
of,
and
on
the
waste
feedrate
per
hour,
based
on
a
demonstration
test.
The
operating
conditions
of
the
approval
are
set
so
that
they
do
not
exceed
the
values
established
in
the
technical
assessment.
The
approval
also
requires
the
facility
to
meet
the
regulatory
standards
set
out
in
40
CFR
part
761,
subpart
D
as
to
destruction
and
removal
efficiency
and
PCB
concentration
of
the
facility's
waste
products.
However,
thermal
destruction
is
not
the
only
disposal
option
available
under
EPA's
regulations.
Depending
on
the
form
of
the
waste
and
its
PCB
concentration,
other
disposal
options
include
TSCA
approved
landfills
(see
§
761.75),
decontamination
(§
761.79),
and
disposal
in
certain
landfills
permitted
in
accordance
with
the
Resource
Conservation
and
Recovery
Act
(RCRA)
(see
§
761.61(
a)
and
§
761.62(
a)
and
(b)).
In
addition,
the
PCB
regulations
allow
EPA
Regional
Administrators
to
grant
risk
based
approvals
for
alternative
disposal
and
decontamination
methods
under
§
761.60(
e),
§
761.61(
c),
§
761.62(
c),
and
§
761.79(
h).
In
1994,
the
last
year
for
which
data
have
been
compiled,
842,584,000
kilograms
of
PCB
waste
were
disposed
of
in
the
United
States
using
all
technologies
available
at
that
time
(Ref.
22).
EPA
supports
the
commenter's
suggestion
that
generators
and
disposers
of
PCB
waste
now
located
in
the
territories
and
possessions
examine
innovative,
alternative
disposal
technologies.
Some
of
these
technologies
are
commercially
available
and
may
offer
further
risk
reductions
over
mainland
disposal
in
an
incinerator
or
TSCA
landfill.
EPA
recently
released
a
report
reviewing
several
of
these
alternative
technologies,
``
Potential
Applicability
of
Assembled
Chemical
Weapons
Assessment
Technologies
to
RCRA
Waste
Streams
and
Contaminated
Media,
''
August
2000.
This
report
is
available
from
EPA's
web
site
at
www.
epa.
gov/
tio
or
at
www.
clu
in.
org.,
or
from
EPA's
National
Service
Center
for
Environmental
Publications,
(800)
490–
9198.
Information
about
these
innovative,
alternative
technologies,
including
mobile
technologies
that
can
be
taken
to
the
locations
where
PCB
wastes
are
stored,
is
also
available
to
local
government
officials
and
members
of
the
public
through
Regional
PCB
Coordinators.
Anyone
intending
to
dispose
of
PCBs
using
an
alternative
technology
must
confirm
that
it
is
consistent
with
EPA's
regulations,
and
that
a
TSCA
PCB
disposal
approval
has
been
issued
that
is
specific
to
the
waste
and
technology
that
will
be
used.
EPA
acknowledges
that,
because
PCBs
are
toxic,
there
are
risks
associated
with
managing
them
that
cannot
be
completely
prevented.
Accidents
can
occur
during
storage
and
disposal,
as
can
lapses
in
compliance.
This
is
true
of
conventional
disposal
technologies
as
well
as
of
innovative,
alternative
technologies.
EPA's
PCB
regulations
and
facility
specific
approvals
provide
regulatory
and
enforcement
structures
for
reducing
the
risks
inherent
in
managing
and
disposing
of
PCBs.
Moreover,
it
is
long
standing
EPA
policy
that
the
benefits
of
permanently
removing
PCBs
from
the
environment
through
proper
disposal
outweigh
the
risks
of
the
disposal
processes
themselves
(see
EPA's
Import
for
Disposal
Rule,
61
FR
11096,
11098
(March
18,
1996)
(FRL–
5354–
8)).
These
benefits
may
be
greater
with
regard
to
the
territories
and
possessions,
where
facilities
for
proper
management
and
disposal
are
more
limited
than
on
the
U.
S.
mainland,
and
the
risks
of
release
to
the
environment
are
greater.
As
noted
above,
EPA's
intent
for
this
rule
is
to
put
citizens
in
the
territories
and
possessions
in
the
same
regulatory
position
as
citizens
in
Hawaii
or
Puerto
Rico
with
respect
to
disposal
of
PCBs.
To
the
extent
the
commenter
has
concerns
about
the
adequacy
of
the
PCB
disposal
regulations,
such
concerns
are
outside
the
scope
of
this
rulemaking.
4.
Environmental
justice
concerns.
A
commenter
questioned
EPA's
conclusion
in
the
preamble
to
the
proposal
that
this
rule
presents
no
environmental
justice
concerns,
and
that
it
will
reduce
risks
to
health
and
the
environment
from
PCBs
(C1–
012
and
C1–
014).
The
commenter
believed
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/
Rules
and
Regulations
EPA
had
disregarded
the
environmental
risks
that
low
income
and
minority
communities
in
the
territories
may
face
due
to
transportation
of
PCB
wastes.
The
commenter
also
believed
EPA's
conclusion
ignored
increased
exposure
to
PCBs
and
attendant
health
risks
that
will
be
borne
by
low
income
and
minority
communities
surrounding
the
treatment
and
disposal
facilities
in
the
United
States
where
the
wastes
will
be
sent.
Pursuant
to
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Communities
(59
FR
7629,
February
16,
1994),
the
Agency
has
considered
environmental
justice
related
issues
with
regard
to
the
potential
impacts
of
this
action
on
the
environmental
and
health
conditions
in
low
income
and
minority
communities.
EPA
finds
that
the
amendments
in
this
final
rule
will
reduce
the
risk
to
human
health
and
the
environment
from
exposure
to
PCBs
in
low
income
and
minority
communities
in
the
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
United
States
because
it
will
allow
PCB
waste
found
there
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Executive
Order
12898
directs
Federal
agencies
to
identify
and
address
``
disproportionately
high
and
adverse
human
health
or
environmental
effects
of
its
programs,
policies,
and
activities
on
minority
populations
and
lowincome
populations
in
the
United
States
and
its
territories
and
possessions.
.
.''
EPA's
judgment
at
the
time
of
the
proposed
rule
was
that
the
rule
would
benefit
low
income
and
minority
populations
in
the
territories
and
possessions
because
it
would
allow
PCB
waste
to
be
removed
from
those
areas
for
permanent
disposal.
Comments
from
the
territories
and
possessions
support
that
judgment.
The
Resident
Representative
to
the
United
States
from
the
Commonwealth
of
the
Northern
Mariana
Islands
supported
the
proposed
rule
(C1–
009).
The
commenter
noted
the
risks
to
residents
of
the
village
of
Tanapag
from
soil
contaminated
by
abandoned
PCB
capacitors.
As
discussed
in
Unit
III.
A.,
members
of
the
village
community
have
been
verified
by
the
ATSDR
to
have
excess
body
loads
of
PCBs.
EPA
is
currently
evaluating
the
degree
of
contamination
of
ground
water
and
food
sources
used
by
the
village.
An
attempted
remediation
of
the
contaminated
soil
using
thermal
desorption
has
not
been
completed,
and
contaminated
soils
are
stockpiled
within
the
village,
exposed
to
sun
and
rain.
The
commenter
also
noted
the
difficulty
of
managing
hazardous
waste
on
a
small
tropical
island
with
limited
land
resources,
a
single
source
of
drinking
water,
and
frequent
tropical
storms,
earthquakes,
and
volcanos.
The
commenter
further
observed
that
economic
factors
for
the
islands
are
problematic.
The
island
may
be
exposed
to
a
variety
of
toxic
wastes
due
to
global
commerce,
requiring
a
multitude
of
disposal
technologies,
but
for
a
small
quantity
of
each
type
of
waste.
Thus,
economies
of
scale
in
establishing
and
operating
disposal
facilities
are
lacking.
Furthermore,
the
subsistence
economies
on
which
some
island
people
rely
are
put
at
risk
by
contamination,
and
replacement
sources
of
food
may
be
unavailable
or
unaffordable.
The
commenter
concluded,
``
Shipment
of
PCB
wastes
from
the
U.
S.
territories
to
the
U.
S.
customs
territory
is
not
without
risk;
but
the
alternative
of
leaving
the
wastes
where
they
are
has
proven
to
have
results
inconsistent
with
the
goals
of
our
national
policy
of
protecting
the
environment
and
human
populations
from
exposure
to
PCBs.
''
EPA
has
issued
an
Order
under
RCRA
to
the
Army
Corps
of
Engineers
to
clean
up
the
Tanapag
Village
contamination.
The
Chairperson
of
the
Committee
on
Natural
Resources
of
the
Senate
of
Guam
also
wrote
in
favor
of
the
proposed
rule
(C1–
007).
The
senator
pointed
out
that
Guam
is
a
small
island,
prone
to
natural
disasters
such
as
typhoons
and
earthquakes.
The
senator
also
noted
that
the
island's
growing
population
and
limited
land
area
will
make
it
difficult
if
not
impossible
to
designate
any
part
of
the
island
for
hazardous
waste
disposal.
The
population
of
Guam
is
becoming
more
concerned
about
the
health
and
environmental
effects
PCBs
may
have
on
the
people
and
the
island.
A
current
case
on
Guam
involves
PCBs
that
leaked
into
the
largest
wetland
on
Guam
from
a
Navy
power
plant.
The
Navy
is
currently
assessing
the
effect
PCBs
may
have
on
the
aquatic
life
in
the
wetland,
such
as
catfish,
and
the
fruits
and
vegetables
that
have
been
farmed
in
the
area
and
consumed
by
island
residents
for
many
years.
A
number
of
residents
in
the
local
village
are
concerned
that
adverse
health
effects
such
as
cancer
may
have
occurred
because
of
living
next
to
the
power
plant
or
consuming
food
that
was
produced
in
the
area.
The
senator
concluded:
To
insure
the
health
and
welfare
of
our
island
residents,
it
is
in
the
interest
of
the
island
to
insure
that
toxins
such
as
PCBs
that
have
been
brought
into
Guam
from
U.
S.
destinations
be
returned
for
proper
disposal.
The
U.
S.
territories,
such
as
Guam,
should
not
be
unfairly
burdened
by
restrictions
that
allowed
for
the
transportation
of
such
a
toxin
from
the
United
States
to
Guam,
but
limits
the
return
to
the
U.
S.
mainland
from
Guam
for
proper
disposal.
Our
islands
and
our
limited
land
resources
and
extenuating
environmental
conditions
should
be
given
fair
consideration
in
addressing
USEPA's
proposed
rule
for
proper
disposal
facilities
in
the
U.
S.
mainland.
The
Administrator
of
the
Guam
Environmental
Protection
Agency
commented
that
PCBs
from
several
cleanups
are
in
indefinite
storage
on
Guam
(C1–
008).
These
storage
areas
are
subject
to
damage
by
frequent
typhoons
and
earthquakes.
PCBs
that
are
released
can
present
an
exposure
risk
to
Guam
residents
through
consumption
of
contaminated
fish,
which
is
a
subsistence
food
for
Guam
residents.
Even
a
small
amount
seeping
into
the
groundwater
could
eliminate
Guam's
sole
aquifer
as
a
source
of
drinking
water.
The
commenter
stated
that
the
proposed
rule
would
remove
a
tremendous
burden
on
Guam
and
ensure
that
a
safe
and
viable
mechanism
existed
for
the
protection
of
health
and
the
environment
for
residents
on
Guam
where
disposal
facilities
are
not
available.
A
Member
of
Congress
from
Guam
supported
the
proposed
rule,
commenting
that
it
would
help
to
eliminate
the
threat
to
the
health
and
welfare
of
Guam
and
other
U.
S.
territories
communities
from
PCB
waste
(C1–
002).
A
Member
of
Congress
from
American
Samoa
commented
that
the
proposed
rule
was
a
common
sense
solution
to
the
problem
of
storage
of
PCBs
in
the
territories,
noting
that
hurricanes,
typhoons,
and
earthquakes
in
the
territories
can
spread
PCBs
throughout
the
local
environments
on
which
humans,
animals,
and
plant
life
depend
(C1–
003).
Finally,
a
long
term
resident
of
Guam
who
is
also
an
environmental
professional
engaged
in
environmental
consulting
services
on
Guam
and
in
the
Commonwealth
of
the
Northern
Mariana
Islands
supported
the
proposed
rule
and
commented
that
EPA's
prior
policy
of
prohibiting
PCBs
in
the
territories
and
possessions
from
being
shipped
to
an
EPA
approved
disposal
site
was
not
protective
of
health
and
the
environment
(C1–
001).
EPA
believes
that
the
interpretation
in
this
final
rule
will
result
in
reduced
risk
to
health
and
the
environment
from
exposure
to
PCBs
in
low
income
and
minority
communities
in
the
U.
S.
territories
and
possessions.
This
rule
will
allow
most
PCB
waste
found
in
those
territories
and
possessions
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
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Vol.
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62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
While
the
rule
could
result
in
some
short
term
risk
from
transportation
of
the
waste,
EPA
believes
that
that
risk
is
outweighed
by
the
elimination
of
the
health
and
environmental
concerns
in
the
U.
S.
territories
and
possessions
over
the
long
term
that
would
be
posed
by
continued
storage
of
the
waste.
The
commenter
also
asserted
that
the
rule
would
adversely
affect
low
income
and
minority
populations
who
live
near
the
disposal
facilities
in
the
United
States
where
the
waste
would
be
disposed
of
by
incineration
(C1–
012).
As
part
of
its
approval
process
for
PCB
incinerators,
EPA
conducts
a
technical
assessment
of
the
facility's
technology
and
procedures
to
ensure
that
operation
of
the
facility
will
not
present
an
unreasonable
risk
of
injury
to
health
or
the
environment.
EPA's
technical
assessment
establishes
limits
on
the
PCB
concentration
of
the
waste
the
facility
may
dispose
of,
and
on
the
waste
feedrate
per
hour,
based
on
a
demonstration
test.
The
operating
conditions
of
the
approval
are
set
so
that
they
do
not
exceed
the
values
established
in
the
technical
assessment.
The
approval
also
requires
the
facility
to
meet
the
regulatory
standards
set
out
in
40
CFR
part
761,
subpart
D
as
to
destruction
and
removal
efficiency
and
PCB
concentration
of
the
facility's
waste
products.
EPA
conducts
a
similar
analysis
when
permitting
other
types
of
PCB
disposal
facilities,
as
well,
and
determines
that
activities
at
the
facility
will
not
pose
an
unreasonable
risk
of
injury
to
health
or
the
environment.
Additionally,
the
approval
process
for
PCB
disposal
facilities
is
subject
to
E.
O.
12898.
Therefore,
EPA
is
also
required
to
consider
the
potential
impacts
of
that
action
on
the
environmental
and
health
conditions
in
low
income
and
minority
communities
whenever
a
permit
is
approved.
Therefore,
as
long
as
PCB
waste
from
the
U.
S.
territories
and
possessions
is
disposed
of
in
accordance
with
a
facility's
approval,
disposal
of
the
waste
will
not
produce
risks
greater
than
those
calculated
at
the
time
the
PCB
disposal
approval
was
issued,
which
EPA
determined
will
not
pose
an
unreasonable
risk
to
the
surrounding
community.
Disposal
facilities
permitted
under
TSCA
must
renew
their
permits
periodically.
The
permit
renewal
process
is
open
to
public
participation.
Issues
on
siting
of
facilities,
including
environmental
justice
issues,
can
be
raised
as
part
of
that
process,
and
will
be
considered
by
EPA.
As
noted
above,
EPA's
intent
for
this
rule
is
to
put
citizens
in
the
territories
and
possessions
in
the
same
regulatory
position
as
citizens
in
Hawaii
or
Puerto
Rico
with
respect
to
disposal
of
PCBs.
To
the
extent
the
commenter
has
concerns
about
the
adequacy
of
EPA's
approval
of
specific
PCB
disposal
facilities
under
TSCA,
such
concerns
are
outside
the
scope
of
this
rulemaking,
and
can
be
addressed
in
the
renewal
process
for
those
facilitlies'
permits.
5.
Non
cancer
health
effects
of
PCBs.
A
commenter
questioned
the
basis
for
the
statement
in
the
preamble
to
the
proposed
rule
that
``
PCBs
cause
significant
ecological
and
human
health
effects,
including
cancer,
neurotoxicity,
reproductive
and
developmental
toxicity,
immune
system
suppression,
liver
damage,
skin
irritation,
and
endocrine
disruption''
(C1–
011)
(see
65
FR
65655,
November
1,
2000)(
FRL–
6750–
6).
The
commenter
noted
that
the
only
reference
for
the
statement
was
a
report
by
EPA's
Office
of
Research
and
Development,
``
PCB
Cancer
DoseResponse
Assessment
and
Application
to
Environmental
Mixtures''
(Ref.
1).
The
commenter
pointed
out
that
that
report
addressed
the
carcinogenicity
of
PCBs,
not
their
non
cancer
or
ecological
effects,
and
that
EPA's
Office
of
Research
and
Development
is
in
the
process
of
reassessing
the
non
cancer
effects
of
PCBs.
The
commenter
referred
to
a
literature
review
it
has
conducted
on
non
cancer
effects
of
PCBs,
which
was
submitted
for
the
Agency's
consideration
as
part
of
EPA's
reassessment
of
the
effects
of
dioxin
and
related
compounds
(including
co
planar
PCBs)
(see
65
FR
59186,
October
4,
2000)
(FRL–
6880–
9).
The
literature
review
concludes
that,
except
for
certain
oculodermal
effects,
PCBs
do
not
contribute
to
adverse
health
effects
in
humans.
EPA
appreciates
the
commenter's
contribution
to
the
ongoing
efforts
elsewhere
in
the
Agency
to
assess
the
health
effects
of
PCBs.
However,
the
preamble
statement
the
commenter
questions
was
included
for
background
only,
as
this
rule
is
not
based
on
an
assessment
of
the
risks
of
PCBs.
This
rule
clarifies
EPA's
interpretation
of
the
TSCA
provisions
relating
to
the
manufacture
of
PCBs
as
an
exercise
of
the
Agency's
inherent
authority
to
issue
regulations
interpreting
the
statutes
it
administers.
As
a
result,
the
Agency
has
not
made
a
formal
finding
of
``
no
unreasonable
risk''
for
this
regulation
as
would
be
required
for
a
regulation
that
is
issued
under
section
6(
e)
of
TSCA.
This
regulation
codifies
EPA's
interpretation
of
an
undefined
term,
``
import,
''
in
the
definition
of
``
manufacture''
under
section
3(
7)
of
TSCA,
for
purposes
of
section
6(
e)(
3)
of
TSCA.
All
PCB
wastes
affected
by
this
rule
are
subject
to
the
current
regulations
at
40
CFR
part
761,
which
were
promulgated
based
on
the
standard
of
no
unreasonable
risk.
C.
What
Other
Comments
Were
Received
on
the
Proposed
Rule?
The
Agency
also
received
comments
that
raised
additional
issues.
1.
Broaden
the
scope
of
the
rule.
EPA
received
a
request
(C1–
004)
to
broaden
the
scope
of
the
proposed
rule
to
include
both
domestic
and
foreignmanufactured
PCBs
that
have
remained
under
the
control
of
the
U.
S.
Government.
The
Agency
was
also
asked
to
consider
submitted
comments
(C1–
005)
as
a
petition
for
an
exemption
from
the
TSCA
prohibitions
to
allow
the
import
for
disposal
of
U.
S.
manufactured
PCBs
that
are
located
within
the
Western
Hemisphere.
(An
exemption
petition
requires
Agency
action
in
the
form
of
a
separate
rulemaking.)
EPA
cannot
act
favorably
on
either
of
these
requests
since
they
clearly
fall
outside
of
the
scope
of
the
proposed
rule.
The
proposal
was
issued
as
an
interpretive
rule
rather
than
a
TSCA
section
6(
e)
action;
therefore,
a
formal
finding
of
``
no
unreasonable
risk''
is
not
necessary.
The
legal
basis
for
the
proposed
interpretive
rule
was
that
PCBs
which
were
legally
present
anywhere
in
the
United
States
when
the
ban
took
effect
in
1979
should
not
be
considered
``
imported''
when
they
are
moved
to
another
place
in
the
United
States,
regardless
of
whether
the
PCBs
leave
or
enter
the
customs
territory
of
the
United
States.
EPA
believes
that
``
import''
in
this
context
applies
to
the
initial
introduction
of
particular
PCBs
into
the
United
States
(and
the
jurisdiction
of
TSCA),
not
to
the
movement
across
the
border
of
the
customs
territory
of
previously
manufactured
PCBs
that
have
never
left
the
regulatory
jurisdiction
of
TSCA.
Therefore,
foreign
manufactured
PCBs
and
U.
S.
manufactured
PCBs
that
have
been
exported
do
not
fit
within
the
narrowly
crafted
interpretation
of
the
proposed
rule.
An
exemption
remains
a
viable
alternative
for
seeking
Agency
approval
to
import
for
disposal
either
foreign
made
PCBs
or
domestic
made
PCBs
that
have
been
exported
from
the
United
States.
The
appropriate
means
of
obtaining
a
response
from
the
Agency
on
those
requests
is
to
submit
an
exemption
petition
pursuant
to
section
6(
e)(
3)
of
TSCA,
following
the
procedures
at
40
CFR
750.10.
Exemptions
may
be
granted
for
a
period
not
to
exceed
1
year,
but
only
after
the
petitioner
has
demonstrated
that
the
two
statutory
requirements
have
been
met
(i.
e.,
there
will
be
no
unreasonable
risk
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Register
/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
of
injury
associated
with
the
requested
activity,
and
that
good
faith
efforts
have
been
made
to
find
a
substitute
for
the
PCBs).
Neither
set
of
comments
provided
the
level
of
detailed
information
that
is
necessary
for
the
Administrator
to
act
on
a
request
for
an
exemption
from
the
TSCA
prohibitions.
2.
Treatment
of
post
January
1,
1979
wastes.
EPA
also
received
two
inquiries
regarding
the
applicability
of
the
interpretive
rule
to
post–
1979
PCB
wastes.
One
set
of
comments
(C1–
008)
raised
a
concern
that
the
proposed
rule
would
not
allow
PCB
wastes
which
arrived
in
U.
S.
territories
after
January
1,
1979,
to
be
disposed
of
on
the
U.
S.
mainland.
Another
commenter
(C1–
011)
expressed
a
similar
opinion
and
indicated
there
may
be
difficulty
in
demonstrating
that
PCBs
were
present
in
a
U.
S.
territory
or
possession
prior
to
January
1,
1979.
The
suggested
solution
was
to
allow
importation
for
disposal
of
PCBs
present
in
a
territory
or
possession
on
the
``
effective
date
of
the
proposed
rule.
''
These
commenters
apparently
misunderstood
the
proposed
rule.
As
discussed
in
the
preamble
to
the
proposed
rule,
in
order
to
qualify
for
this
regulation,
the
PCBs
in
the
waste
in
question
must
have
been
present
in
the
United
States
prior
to
1979,
not
present
in
the
territory
or
possession
where
they
are
now
prior
to
that
date
(65
FR
65657).
So
long
as
the
PCBs
were
lawfully
manufactured
in
or
imported
into
the
United
States
prior
to
1979,
and
never
left
the
United
States,
the
date
on
which
they
entered
the
territory
or
possession
in
question
is
irrelevant.
Wastes
that
are
covered
by
this
rule
may
be
sent
to
the
U.
S.
mainland
for
disposal
in
accordance
with
the
PCB
disposal
regulations.
Any
other
PCB
waste
may
not
be
imported
to
the
U.
S.
mainland
for
disposal,
unless
an
exemption
under
section
6(
e)(
3)
of
TSCA
has
been
obtained.
Similarly,
foreign
PCB
waste
in
a
U.
S.
territory
or
possession
may
be
exported
to
another
country
for
disposal
only
when
the
TSCA
exemption
requirements,
and
all
requirements
of
any
relevant
international
agreement,
have
been
satisfied.
With
respect
to
changing
the
date
on
which
PCBs
must
have
been
in
the
United
States
in
order
to
qualify
for
this
regulation,
EPA
does
not
agree
that
using
the
date
of
the
proposed
rule
would
be
appropriate.
Part
of
the
basis
for
this
interpretive
rule
is
that
PCBs
that
are
present
in
the
United
States
when
the
ban
on
manufacturing
went
into
effect
and
have
remained
in
the
United
States
since
then
should
be
managed
in
the
same
manner
regardless
of
whether
they
are
now
present
in
a
territory
or
possession,
rather
than
within
the
customs
territory
of
the
United
States.
Therefore,
using
a
threshold
date
other
than
January
1,
1979,
would
not
be
supported
by
the
rationale
for
the
proposed
rule.
D.
What
Does
this
Final
Rule
Do?
As
noted
above,
the
territories
and
possessions
are
subject
to
all
of
TSCA's
requirements.
EPA
is
charged
with
implementing
section
6(
e)
to
protect
the
health
and
environment
of
all
U.
S.
citizens,
including
the
residents
of
the
territories
and
possessions.
To
interpret
the
statute
as
prohibiting
the
movement
of
PCB
waste
from
the
territories
and
possessions
to
disposal
facilities
in
the
U.
S.
mainland
puts
the
residents
of
the
territories
and
possessions
at
a
serious
disadvantage
compared
to
residents
of
areas
that
fall
within
the
definition
of
the
customs
territory.
Because
there
are
no
EPA
approved
commercial
PCB
storage
or
disposal
facilities
outside
the
customs
territory,
and
because
of
the
unique
environmental
conditions
in
the
territories
and
possessions,
the
U.
S.
citizens
of
these
areas
are
subject
to
a
higher
likelihood
of
exposure
to
PCBs,
and
thus
potential
for
a
higher
risk
of
injury.
EPA
has
determined
that
its
previous
interpretation
of
the
definition
of
``
manufacture''
is
not
mandated
by
the
language
of
TSCA,
results
in
inequitable
treatment
among
different
areas
within
the
United
States,
does
not
adequately
protect
health
and
the
environment
throughout
the
United
States,
and
therefore
is
not
in
the
public
interest.
EPA
believes
that
use
of
the
term
``
import
''
in
the
definition
of
``
manufacture''
was
not
intended
to
include
the
movement
of
PCB
waste
that
has
never
been
outside
the
United
States
or
outside
the
regulatory
control
of
TSCA
(after
enactment)
from
one
area
of
the
United
States
(the
territories
and
possessions)
to
another
area
of
the
United
States
(the
mainland)
for
disposal.
There
is
an
obvious
distinction
between
that
type
of
movement
and
the
introduction
of
a
chemical
substance
into
the
customs
territory
of
the
United
States
from
a
foreign
country.
This
latter
category
results
in
the
introduction
of
a
substance
in
the
United
States
that
was
not
there
before,
and
is
much
more
analogous
to
the
manufacture
of
a
new
chemical
substance
in
the
United
States.
Therefore,
EPA
is
interpreting
the
movement
of
certain
PCB
waste
from
the
territories
and
possessions
into
the
customs
territory
of
the
United
States
for
disposal
not
to
be
a
``
manufacture''
subject
to
the
ban
set
forth
in
TSCA
section
6(
e).
This
interpretive
rule
allows
the
movement
of
PCB
waste
for
disposal
among
any
States
of
the
United
States,
as
defined
in
TSCA
sections
3(
13)
and
3(
14),
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCBs
in
the
waste
were
present
in
the
United
States
on
January
1,
1979,
when
the
ban
on
manufacturing
took
effect,
and
has
remained
within
the
United
States
since
that
time.
This
rule
will
allow
PCB
waste
that
was
present
in
the
territories
and
possessions
at
the
time
TSCA's
ban
on
manufacturing
took
effect,
and
that
remained
within
the
territories
and
possessions
since
that
date,
to
be
stored
and
disposed
of
in
any
facility
in
the
United
States
that
meets
the
requirements
of
40
CFR
part
761,
subpart
D.
It
also
allows
PCBs
that
were
present
in
the
territories
and
possessions
at
the
time
TSCA's
bans
took
effect,
but
were
not
designated
as
waste
until
after
that
date,
to
be
stored
and
disposed
of
in
any
subpart
D
facility
in
the
United
States,
as
long
as
the
PCBs
and
PCB
waste
had
remained
in
the
United
States.
Finally,
this
interpretive
rule
allows
PCBs
or
PCB
wastes
that
were
transferred
from
an
area
in
the
United
States
that
is
outside
the
territories
and
possessions,
but
that
was
moved
to
a
territory
or
possession
after
January
1,
1979,
and
that
has
never
left
the
United
States,
to
be
stored
and
disposed
of
in
any
subpart
D
facility
in
the
United
States.
EPA
does
not
consider
movement
of
any
of
these
wastes
to
the
customs
territory
of
the
United
States
to
be
``
manufacture''
as
that
term
is
defined
in
TSCA
and
therefore
does
not
consider
it
subject
to
the
ban
on
manufacturing
under
TSCA
section
6(
e).
This
final
rule
applies
to
PCB
waste
in
the
territories
and
possessions
provided
that
the
PCBs
in
the
waste
are
there
as
the
result
of
conduct
that
was
legal
at
the
time
it
occurred
(for
example,
PCB
materials
that
were
brought
to
the
territories
before
TSCA's
ban
on
distribution
in
commerce
became
effective),
and
have
been
subject
to
regulation
under
TSCA
since
that
time.
This
would
include
PCB
equipment
that
was
lawfully
in
use
in
one
of
the
States,
that
was
transferred
to
a
territory
or
possession
for
continued
lawful
use,
and
that
reached
the
end
of
its
useful
life
and
became
subject
to
disposal
while
in
the
territory
or
possession.
This
final
rule
does
not
allow
disposal
in
the
United
States
of
PCBs
transported
to
the
territories
and
possessions
from
foreign
countries
after
the
effective
date
of
the
ban
on
manufacture
in
TSCA
section
6(
e)(
3).
The
purpose
of
this
rule
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Federal
Register
/
Vol.
66,
No.
62
/
Friday,
March
30,
2001
/
Rules
and
Regulations
is
to
ensure
that
all
U.
S.
PCB
waste
can
be
disposed
of
in
compliance
with
the
requirements
of
TSCA
section
6(
e)
and
its
implementing
regulations.
This
final
rule
does
not
allow
the
territories
and
possessions
to
become
a
conduit
to
the
United
States
for
PCB
waste
generated
in
other
countries.
Finally,
EPA
has
not
made
a
formal
finding
of
``
no
unreasonable
risk''
for
this
regulation.
This
regulation
is
not
being
promulgated
under
TSCA
section
6(
e),
but
rather
as
an
exercise
of
EPA's
inherent
authority
to
interpret
the
statutes
it
administers.
VIII.
References
and
Documents
in
the
Record
As
indicated
in
Unit
I.
B.
2.,
the
official
record
for
this
rulemaking
has
been
established
under
docket
control
number
OPPTS–
66020A,
the
public
version
of
which
is
available
for
inspection
as
specified
in
Unit
I.
B.
2.
The
following
is
a
listing
of
the
documents
that
have
already
been
placed
in
the
official
record
for
this
rulemaking:
A.
Federal
Register
Notices
1.
U.
S.
Environmental
Protection
Agency
(USEPA).
44
FR
31514,
May
31,
1979,
``
Polychlorinated
Biphenyls
(PCBs);
Manufacturing,
Processing,
Distribution
in
Commerce,
and
Use
Prohibitions:
Final
Rule.
''
2.
USEPA.
45
FR
29115,
May
1,
1980,
``
Polychlorinated
Biphenyls
(PCBs);
Expiration
of
the
Open
Border
Policy
for
PCB
Disposal:
Notice.
''
OPTS
62008.
3.
USEPA.
59
FR
62788,
December
6,
1994,
``
Disposal
of
Polychorinated
Biphenyls:
Proposed
Rule.
''
OPPTS–
66009A.
4.
USEPA.
61
FR
11096,
March
18,
1996,
``
Disposal
of
Polychlorinated
Biphenyls;
Import
for
Disposal:
Final
Rule.
''
OPPTS–
66009B.
5.
USEPA.
63
FR
35384,
June
29,
1998,
``
Disposal
of
Polychlorinated
Biphenyls
(PCBs):
Final
Rule.
''
OPPTS–
66009C.
B.
Reference
Documents
1.
USEPA,
Office
of
Research
and
Development
(ORD).
PCBs
Cancer
DoseResponse
Assessment
and
Application
to
Environmental
Mixtures.
EPA600P–
96001F
(September
1996):
75pp.
OPPTS–
66009C.
2.
USEPA,
Office
of
Air
Quality
Planning
and
Standards
(OAQPS).
Deposition
of
Air
Pollutants
to
the
Great
Waters,
First
Report
to
Congress.
EPA–
453R–
93–
055
(May
1994):
136pp.
OPPTS–
66009B.
3.
USEPA,
OAQPS.
Identification
of
Sources
Contributing
to
the
Contamination
of
the
Great
Waters
by
Toxic
Compounds.
EPA–
453R–
94–
087
(March
17,
1993):
145pp.
OPPTS–
66009B.
4.
USEPA,
OAQPS.
Relative
Atmospheric
Loadings
of
Toxic
Contaminants
and
Nitrogen
to
the
Great
Waters.
EPA–
453R–
94–
086
(March
15,
1993):
142pp.
OPPTS–
66009B.
5.
USEPA.
Chapter
2.2,
Exposure
and
Effects
of
Airborne
Contamination
for
the
Great
Waters
Program
Report.
EPA–
453R–
94–
085
(December
22,
1992):
201pp.
OPPTS–
66009B.
6.
USEPA,
Office
of
Prevention,
Pesticides,
and
Toxic
Substances
(OPPTS).
Commercially
Permitted
PCB
Disposal
Companies
(April
2000):
3pp.
7.
USEPA,
Office
of
Pollution
Prevention
and
Toxics
(OPPT).
Excerpt
from
the
PCB
Waste
Handler
Database;
Facility
Information
for
U.
S.
Territories
and
Possessions
(September
27,
2000):
12pp.
8.
USEPA,
Region
IX.
Memo
from
Lily
Lee,
Guam
Program
Manager,
to
Enrique
Manzanilla,
Director,
Cross
Media
Division,
Re:
Summary
of
PCB
Waste
Quantities
and
Concentrations
in
the
U.
S.
Territories
(July
19,
2000):
5pp.
9.
Unitek
Environmental
Guam.
Letter
from
LeRoy
Moore,
President,
to
John
Malone
[sic],
Director,
National
Program
Chemicals
Division,
Re:
PCB
Shipments
from
Guam
and
Possessions
of
the
United
States
for
Disposal
in
the
Mainland
United
States
(May
11,
2000):
2pp.
10.
USEPA,
OPPT.
Note
from
Peter
Gimlin
to
the
File,
Re:
Unitek
Environmental
Guam
(UEG)
Meeting
(September
27,
2000):
1p.
11.
U.
S.
Congress.
Letter
from
Robert
A.
Underwood,
House
of
Representatives,
to
Carol
M.
Browner,
Administrator,
EPA,
Re:
Disposal
of
Polychlorinated
Biphenyls
(PCBs)
from
Guam
and
the
Other
U.
S.
Territories
(April
12,
2000):
2pp.
12.
USEPA,
Region
IX.
Letter
from
Felicia
Marcus,
Regional
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Disposal
of
Polychlorinated
Biphenyl
Waste
(February
4,
2000):
2pp.
13.
USEPA,
OPPT.
Memo
from
John
W.
Melone,
Director,
Chemical
Management
Division,
to
George
Abel,
Chief,
Pesticides
and
Toxic
Substances
Branch,
USEPA
Region
X,
Re:
Transit
of
PCB
Waste
Generated
in
the
United
States
Through
a
Foreign
Country
(January
19,
1995):
2pp.
14.
USEPA,
OPPT.
Letter
from
John
W.
Melone,
Director,
Chemical
Management
Division,
to
Arthur
J.
Brown,
National
Science
Foundation,
Re:
Request
to
Return
PCBs
in
Antarctica
to
the
United
States
for
Disposal
(March
11,
1994):
3pp.
15.
USEPA,
OCM
and
OE.
Letter
from
Michael
F.
Wood,
Director,
Compliance
Division,
and
Michael
J.
Walker,
Enforcement
Counsel
for
the
Toxics
Litigation
Division,
to
Marion
P.
Herrington,
General
Electric
Company,
Re:
Transfer
of
PCB
Waste
Generated
in
A
U.
S.
Territory
to
An
Approved
Disposal
Facility
in
the
Continental
United
States
(August
14,
1992):
2pp.
16.
USEPA,
Office
of
Toxic
Substances
(OTS).
Letter
from
Don
R.
Clay,
Director
to
Colonel
Joseph
T.
Cuccaro,
Defense
Logistics
Agency,
Re:
USEPA
Position
on
DOD
Owned
PCB
Fluid
Located
Abroad
and
Returned
to
the
U.
S.
for
Disposal
(February
7,
1984):
3pp.
17.
United
Nations
Environment
Programme
(UNEP).
Inventory
of
World
wide
PCB
Destruction
Capacity,
First
Issue
(December
1998):
85pp.
18.
U.
S.
Congress.
Congressional
Record
from
the
House
of
Representatives,
H8598,
Guam's
Environmental
Problems
(October
2,
2000):
1p.
19.
U.
S.
Congress.
Letter
from
Robert
A.
Underwood,
House
of
Representatives,
to
Carol
Browner,
Administrator,
EPA,
Re:
Inability
of
Guam
to
Import
PCBs
into
the
U.
S.
Mainland
for
Proper
Disposal
(December
10,
1999):
2
pp.
20.
USEPA,
OPPTS.
Letter
from
Susan
H.
Wayland,
Acting
Assistant
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Disposal
of
PCB
Waste
in
Guam
(June
14,
2000):
2
pp.
21.
USEPA,
OPPTS.
Letter
from
Susan
H.
Wayland,
Acting
Assistant
Administrator,
to
Robert
A.
Underwood,
U.
S.
House
of
Representatives,
Re:
Meeting
on
PCB
Waste
in
Guam
(September
29,
2000):
2
pp.
22.
USEPA,
OPPT.
PCB
Disposal
and
Storage
Statistics,
1990–
1994
(May
10,
1996):
11
pp.
IX.
Regulatory
Assessment
Requirements
A.
Executive
Order
12866
Under
Executive
Order
12866,
entitled
Regulatory
Planning
and
Review
(58
FR
51735,
October
4,
1993),
the
Office
of
Management
and
Budget
(OMB)
has
determined
that
this
action
is
not
a
``
significant
regulatory
action''
subject
to
review
by
OMB,
because
this
action
is
not
likely
to
result
in
a
rule
that
meets
any
of
the
criteria
for
a
``
significant
regulatory
action''
provided
in
section
3(
f)
of
the
Executive
Order.
This
final
rule
simply
clarifies
EPA's
interpretation
of
the
TSCA
section
6(
e)
provisions
relating
to
the
manufacture
of
PCBs.
B.
Regulatory
Flexibility
Act
(RFA)
Pursuant
to
section
605(
b)
of
the
Regulatory
Flexibility
Act
(RFA),
as
amended
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
5
U.
S.
C.
601
et
seq.,
the
Agency
hereby
certifies
that
this
final
rule
will
not
have
a
significant
economic
impact
on
a
substantial
number
of
small
entities.
The
factual
basis
for
this
determination
is
that
this
action
is
not
expected
to
result
in
any
direct
adverse
impact
for
small
entities.
This
rule
interprets
the
prohibition
on
the
``
manufacture
of
PCBs''
in
a
manner
which
affords
U.
S.
citizens
(including
small
entities)
residing
in
U.
S.
territories
and
possessions
located
outside
the
``
customs
territory
of
the
United
States''
an
opportunity
to
dispose
of
PCB
waste
when
facilities
that
require
EPA
approval
to
manage
PCB
waste
are
not
readily
available.
This
rule
is
being
promulgated
in
the
public
interest
to
ensure
equitable
treatment
among
different
areas
within
the
United
States
and
adequate
protection
of
health
and
the
environment
throughout
the
United
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/
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30,
2001
/
Rules
and
Regulations
States.
This
rule
provides
a
mechanism
for
the
disposal
of
PCB
waste
resulting
from
natural
disasters
(e.
g.,
tropical
storms,
cyclones,
typhoons
and
hurricanes),
former
use
of
U.
S.
territories
and
possessions
for
defense
purposes,
spills
of
PCBs
and
the
expiration
of
PCB
equipment
that
has
reached
the
end
of
its
natural
life
span.
C.
Paperwork
Reduction
Act
(PRA)
This
regulatory
action
does
not
contain
any
information
collection
requirements
that
require
approval
by
the
Office
of
Management
and
Budget
(OMB)
under
the
Paperwork
Reduction
Act
(PRA),
44
U.
S.
C.
3501
et
seq.
D.
Unfunded
Mandates
Reform
Act
(UMRA)
Pursuant
to
Title
II
of
the
Unfunded
Mandates
Reform
Act
of
1995
(UMRA),
Public
Law
104–
4,
EPA
has
determined
that
this
action
does
not
contain
a
Federal
mandate
that
may
result
in
expenditures
of
$100
million
or
more
for
State,
local
or
tribal
governments,
in
the
aggregate,
or
on
the
private
sector
in
any
one
year.
The
UMRA
requirements
in
sections
202,
204,
and
205
do
not
apply
to
this
rule,
because
this
action
does
not
contain
any
``
Federal
mandates''
or
impose
any
``
enforceable
duty''
as
defined
by
UMRA
on
State,
Tribal,
or
local
governments
or
on
the
private
sector.
The
requirements
in
section
203
do
not
apply
because
this
rule
does
not
contain
any
regulatory
requirements
that
might
significantly
or
uniquely
affect
small
governments.
E.
Executive
Order
13132
Executive
Order
13132,
entitled
Federalism
(64
FR
43255,
August
10,
1999),
requires
EPA
to
develop
an
accountable
process
to
ensure
``
meaningful
and
timely
input
by
State
and
local
officials
in
the
development
of
regulatory
policies
that
have
federalism
implications.
''
``
Policies
that
have
federalism
implications''
are
defined
in
the
Executive
Order
to
include
regulations
that
have
``
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government.
''
This
final
rule
does
not
have
federalism
implications,
because
it
will
not
have
substantial
direct
effects
on
the
States,
on
the
relationship
between
the
national
government
and
the
States,
or
on
the
distribution
of
power
and
responsibilities
among
the
various
levels
of
government,
as
specified
in
Executive
Order
13132.
This
action
interprets
the
TSCA
prohibition
on
the
manufacture
of
PCBs
in
a
manner
which
allows
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
United
States
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Thus,
the
requirements
of
section
6
of
the
Executive
Order
do
not
apply
to
this
rule.
F.
Executive
Order
13084
and
13175
Under
Executive
Order
13084,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(63
FR
27655,
May
19,
1998),
EPA
may
not
issue
a
regulation
that
is
not
required
by
statute,
that
significantly
or
uniquely
affects
the
communities
of
Indian
tribal
governments,
and
that
imposes
substantial
direct
compliance
costs
on
those
communities
unless
the
Federal
government
provides
the
funds
necessary
to
pay
the
direct
compliance
costs
incurred
by
the
tribal
governments,
or
EPA
consults
with
those
governments.
If
EPA
complies
by
consulting,
Executive
Order
13084
requires
EPA
to
provide
to
the
Office
of
Management
and
Budget,
in
a
separately
identified
section
of
the
preamble
to
the
rule,
a
description
of
the
extent
of
EPA's
prior
consultation
with
representatives
of
affected
tribal
governments,
a
summary
of
the
nature
of
their
concerns,
and
a
statement
supporting
the
need
to
issue
the
regulation.
In
addition,
Executive
Order
13084
requires
EPA
to
develop
an
effective
process
permitting
elected
officials
and
other
representatives
of
Indian
tribal
governments
``
to
provide
meaningful
and
timely
input
in
the
development
of
regulatory
policies
on
matters
that
significantly
or
uniquely
affect
their
communities.
''
This
rule
does
not
significantly
or
uniquely
affect
the
communities
of
Indian
tribal
governments,
nor
does
it
impose
substantial
direct
compliance
costs
on
such
communities.
It
interprets
the
TSCA
prohibition
on
the
manufacture
of
PCBs
in
a
manner
which
allows
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
United
States
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Accordingly,
the
requirements
of
section
3(
b)
of
Executive
Order
13084
do
not
apply
to
this
rule.
On
November
6,
2000,
the
President
issued
Executive
Order
13175,
entitled
Consultation
and
Coordination
with
Indian
Tribal
Governments
(65
FR
67249).
Executive
Order
13175
took
effect
on
January
6,
2001,
and
revokes
Executive
Order
13084
as
of
that
date.
EPA
developed
this
rule,
however,
during
the
period
when
Executive
Order
13084
was
in
effect;
thus,
EPA
addressed
tribal
considerations
under
Executive
Order
13084.
G.
Executive
Order
12898
Pursuant
to
Executive
Order
12898,
entitled
Federal
Actions
to
Address
Environmental
Justice
in
Minority
Populations
and
Low
Income
Populations
(59
FR
7629,
February
16,
1994),
the
Agency
has
considered
environmental
justice
related
issues
with
regard
to
the
potential
impacts
of
this
action
on
the
environmental
and
health
conditions
in
low
income
and
minority
communities.
EPA
finds
that
the
interpretation
in
this
final
rule
will
reduce
the
risk
to
human
health
and
the
environment
from
exposure
to
PCBs
in
low
income
and
minority
communities
in
the
territories
and
possessions.
This
rule
allows
PCB
waste
found
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
United
States
to
be
disposed
of
in
EPAapproved
facilities
on
the
mainland
of
the
United
States.
H.
Executive
Order
13045
Executive
Order
13045,
entitled
Protection
of
Children
from
Environmental
Health
Risks
and
Safety
Risks
(62
FR
19885,
April
23,
1997),
does
not
apply
to
this
rule,
because
it
is
not
``
economically
significant''
as
defined
under
Executive
Order
12866,
and
does
not
involve
decisions
on
environmental
health
risks
or
safety
risks
that
may
disproportionately
affect
children.
This
regulation
would
allow
PCB
waste
in
U.
S.
territories
and
possessions
located
outside
of
the
customs
territory
of
the
United
States
to
be
disposed
of
in
EPA
approved
facilities
on
the
mainland
of
the
United
States.
Therefore,
the
disposal
of
PCB
waste
will
occur
where
children
are
either
not
present
or
not
permitted,
and
the
disposal
activity
will
pose
no
special
risks
to
children.
Also,
the
rule
will
prevent
exposure
of
children
in
U.
S.
territories
and
possessions
to
PCBs
that
might
result
from
improper
storage
or
disposal
of
PCB
waste.
I.
National
Technology
Transfer
and
Advancement
Act
(NTTAA)
This
regulatory
action
does
not
involve
any
technical
standards
that
would
require
Agency
consideration
of
voluntary
consensus
standards
pursuant
to
section
12(
d)
of
the
National
Technology
Transfer
and
Advancement
Act
of
1995
(NTTAA),
Public
Law
104–
113,
section
12(
d)
(15
U.
S.
C.
272
note).
J.
Executive
Order
12630
EPA
has
complied
with
Executive
Order
12630,
entitled
Governmental
Actions
and
Interference
with
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30,
2001
/
Rules
and
Regulations
Constitutionally
Protected
Property
Rights
(53
FR
8859,
March
15,
1988),
by
examining
the
takings
implications
of
this
rule
in
accordance
with
the
``
Attorney
General's
Supplemental
Guidelines
for
the
Evaluation
of
Risk
and
Avoidance
of
Unanticipated
Takings''
issued
under
the
Executive
Order.
K.
Executive
Order
12778
In
issuing
this
rule,
EPA
has
taken
the
necessary
steps
to
eliminate
drafting
errors
and
ambiguity,
minimize
potential
litigation,
and
provide
a
clear
legal
standard
for
affected
conduct,
as
required
by
section
3
of
Executive
Order
12988,
entitled
Civil
Justice
Reform
(61
FR
4729,
February
7,
1996).
X.
Submission
to
Congress
and
the
Comptroller
General
The
Congressional
Review
Act,
5
U.
S.
C.
801
et
seq.,
as
added
by
the
Small
Business
Regulatory
Enforcement
Fairness
Act
of
1996,
generally
provides
that
before
a
rule
may
take
effect,
the
Agency
promulgating
the
rule
must
submit
a
rule
report,
which
includes
a
copy
of
the
rule,
to
each
House
of
the
Congress
and
the
Comptroller
General
of
the
United
States.
EPA
will
submit
a
report
containing
this
rule
and
other
required
information
to
the
U.
S.
Senate,
the
U.
S.
House
of
Representatives,
and
the
Comptroller
General
of
the
United
States
prior
to
publication
of
the
rule
in
the
Federal
Register.
This
rule
is
not
a
``
major
rule''
as
defined
by
5
U.
S.
C.
804(
2).
List
of
Subjects
in
40
CFR
Part
761
Environmental
protection,
Hazardous
substances,
Labeling,
Polychlorinated
Biphenyls
(PCBs),
Recordkeeping
and
reporting
requirements
Dated:
March
20,
2001.
Christine
T.
Whitman,
Administrator.
Therefore,
40
CFR
chapter
I,
part
761
is
amended
as
follows:
PART
761—[
AMENDED]
1.
The
authority
citation
for
part
761
will
continue
to
read
as
follows:
Authority:
15
U.
S.
C.
2605,
2607,
2611,
2614,
and
2616.
2.
Section
761.99
is
amended
by
adding
paragraph
(c)
to
read
as
follows:
§
761.99
Other
transboundary
shipments.
*
*
*
*
*
(c)
PCB
waste
transported
from
any
State
to
any
other
State
for
disposal,
regardless
of
whether
the
waste
enters
or
leaves
the
customs
territory
of
the
United
States,
provided
that
the
PCB
waste
or
the
PCBs
from
which
the
waste
was
derived
were
present
in
the
United
States
on
January
1,
1979,
and
have
remained
within
the
United
States
since
that
date.
[FR
Doc.
01–
7920
Filed
3–
29–
01;
8:
45
a.
m.]
BILLING
CODE
6560–
50–
S
VerDate
11<
MAY>
2000
18:
56
Mar
29,
2001
Jkt
194001
PO
00000
Frm
00012
Fmt
4701
Sfmt
4700
E:\
FR\
FM\
30MRR2.
SGM
pfrm08
PsN:
30MRR2
| epa | 2024-06-07T20:31:45.663067 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0013-0009/content.txt"
} |
EPA-HQ-OPPT-2002-0014-0001 | Notice | 2002-05-23T04:00:00 | TSCA Section 8(d) Health and Safety Data Reporting, Submission of Lists and Copies of
Health and Safety Studies; Request for Comment on Renewal of Information Collection
Activities | epa | 2024-06-07T20:31:45.680032 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0014-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0014-0004 | Supporting & Related Material | 2002-12-19T05:00:00 | null | PAPERWORK
REDUCTION
ACT
SUBMISSION
Please
read
the
instructions
before
completing
this
form.
For
additional
forms
or
assistance
in
completing
this
form,
contact
your
agency's
Paperwork
Clearance
Officer.
Send
two
copies
of
this
form,
the
collection
instrument
to
be
reviewed,
the
Supporting
Statement
and
any
additional
documentation
to:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget,
Docket
Library,
Room
10102,
725
17th
Street
NW
Washington,
DC
20503.
1.
Agency/
Subagency
originating
request
EPA,
Office
of
Prevention,
Pesticides
&
Toxic
Substances
2.
OMB
control
number
b.
G
None
a.
2
0
7
0
0
0
0
4
__
__
__
__
3.
Type
of
information
collection
(
check
one)
a.
G
New
collection
b.
G
Revision
of
a
currently
approved
collection
c.
O
Extension
of
a
currently
approved
collection
d.
G
Reinstatement,
without
change,
of
a
previously
approved
collection
for
which
approval
has
expired
e.
G
Reinstatement,
with
change,
of
a
previously
approved
collection
for
which
approval
has
expired
f.
G
Existing
collection
in
use
without
an
OMB
control
number
4.
Type
of
review
requested
(
check
one)
a.
O
Regular
b.
G
Emergency
Approval
requested
by:
/
/
c.
G
Delegated
5.
Small
entities
Will
this
information
collection
have
a
significant
economic
impact
on
a
substantial
number
of
small
entities?
G
Yes
G
No
For
b
f,
note
item
A2
of
Supporting
Statement
Instructions
6.
Requested
expiration
date
a.
O
Three
years
from
approval
date
b.
G
Other
Specify:
/
/___
7.
Title
Health
and
Safety
Data
Reporting;
Submission
of
Lists
and
Copies
of
Health
and
Safety
Studies
8.
Agency
form
number(
s)
(
If
applicable)
EPA
ICR
#
0575.09
9.
Keywords
Environmental
Protection;
Hazardous
Substances;
Reporting
and
Recordkeeping
Requirements
10.
Abstract
This
rule
requires
the
submission
of
health
and
safety
studies
on
specified
chemicals
by
manufacturers
and
processors.
The
chemicals
subject
to
the
rule
have
been
recommended
for
study
by
the
Interagency
Testing
Committee
or
were
otherwise
selected
by
EPA.
EPA
will
then
use
the
studies
to
assess
health
and
environmental
effects
of
the
chemicals
and
the
need
for
testing
under
TSCA
section
4.
11.
Affected
public
(
Mark
primary
with
"
P"
and
all
others
that
apply
with
"
X")
a.
Individuals
or
households
d.
Farms
b.
P
Business
or
other
for
profit
e.
Federal
Government
c.
Not
for
profit
institutions
f.
State,
Local
or
Tribal
Government
12.
Obligation
to
respond
(
Mark
primary
with
"
P"
and
all
others
that
apply
with
"
X")
a.
G
Voluntary
b.
G
Required
to
obtain
or
retain
benefits
c.
P
Mandatory
13.
Annual
reporting
and
recordkeeping
hour
burden
a.
Number
of
respondents
569
b.
Total
annual
responses
495
1.
Percentage
of
these
responses
collected
electronically
0
%
c.
Total
hours
requested
2,344
d.
Current
OMB
inventory
4,542
e.
Difference
2,198
f.
Explanation
of
difference
1.
Program
Change
2.
Adjustment
2,198
14.
Annual
reporting
and
recordkeeping
cost
burden
(
in
thousands
of
dollars)
a.
Total
annualized
capital/
startup
costs
0
b.
Total
annual
costs
(
O&
M)
0
c.
Total
annualized
cost
requested
0
d.
Current
OMB
inventory
0
e.
Difference
0
f.
Explanation
of
difference
1.
Program
change
2.
Adjustment
15.
Purpose
of
information
collection
(
Mark
Primary
With
"
P"
and
all
others
that
apply
with
"
X")
a.
__
Application
for
benefits
e.
__
Program
planning
or
management
b.
__
Program
evaluation
f.
__
Research
c.
__
General
purpose
statistics
g.
P
Regulatory
or
compliance
d.
__
Audit
16.
Frequency
of
recordkeeping
or
reporting
(
check
all
that
apply)
a.
G
Recordkeeping
b.
G
Third
party
disclosure
c.
O
Reporting
1.
O
On
occasion
2.
G
Weekly
3.
G
Monthly
4.
G
Quarterly
5.
G
Semi
annually
6.
G
Annually
7.
G
Biannually
8.
G
Other
(
describe)
17.
Statistical
methods
Does
this
information
collection
employ
statistical
methods?
G
Yes
O
No
18.
Agency
contact
(
person
who
can
best
answer
questions
regarding
the
content
of
this
submission)
Name:
Angela
F.
Hofmann,
Director,
Regulatory
Coordination
Staff
Phone:
202
564
0258
OMB
83
I
10/
95
19.
Certification
for
Paperwork
Reduction
Act
Submissions
On
behalf
of
this
Federal
agency,
1
certify
that
the
collection
of
information
encompassed
by
this
request
complies
with
5
CFR
1320.9.
NOTE:
The
text
of
5
CFR
1320.9,
and
the
related
provisions
of
5
CFR
1320.8(
b)(
3),
appear
at
the
end
of
the
instructions.
The
certification
is
to
be
made
with
reference
to
those
regulatory
provisions
as
set
forth
in
the
instructions.
The
following
is
a
summary
of
the
topics,
regarding
the
proposed
collection
of
information,
that
the
certification
covers:
(
a)
It
is
necessary
for
the
proper
performance
of
agency
functions;
(
b)
It
avoids
unnecessary
duplication;
(
c)
It
reduces
burden
on
small
entities;
(
d)
It
uses
plain,
coherent,
and
unambiguous
terminology
that
is
understandable
to
respondents;
(
e)
Its
implementation
will
be
consistent
and
compatible
with
current
reporting
and
recordkeeping
practices;
(
f)
It
indicates
the
retention
periods
for
recordkeeping
requirements;
(
g)
It
informs
respondents
of
the
information
called
for
under
5
CFR
1320.8(
b)(
3):
(
i)
Why
the
information
is
being
collected;
(
ii)
Use
of
information;
(
iii)
Burden
estimate;
(
iv)
Nature
of
response
(
voluntary,
required
for
a
benefit,
or
mandatory);
(
v)
Nature
and
extent
of
confidentiality;
and
(
vi)
Need
to
display
currently
valid
OMB
control
number;
(
h)
It
was
developed
by
an
office
that
has
planned
and
allocated
resources
for
the
efficient
and
effective
management
and
use
of
the
information
to
be
collected
(
see
note
in
Item
19
of
the
instructions);
(
i)
It
uses
effective
and
efficient
statistical
survey
methodology;
and
(
j)
It
makes
appropriate
use
of
information
technology.
If
you
are
unable
to
certify
compliance
with
any
of
these
provisions,
identify
the
item
below
and
explain
the
reason
in
Item
18
of
the
Supporting
Statement.
Signature
of
Program
Official
Angela
F.
Hofmann,
Director
Regulatory
Coordination
Staff
(
OPPTS)
Date
Signature
of
Senior
Official
or
designee
Oscar
Morales,
Director
Collection
Strategies
Division
Office
of
Environmental
Information
(
OEI)
Date
OMB
83
I
10/
95
| epa | 2024-06-07T20:31:45.682915 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0014-0004/content.txt"
} |
EPA-HQ-OPPT-2002-0014-0005 | Notice | 2002-12-24T05:00:00 | Agency Information Collection Activities; Submission of EPA ICR No. 0575.09 (OMB No. 2070?0004) to OMB for Review and Approval; Comment Request | 78447
Federal
Register
/
Vol.
67,
No.
247
/
Tuesday,
December
24,
2002
/
Notices
(
2)
Mail
your
comments
to
OMB
at:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EDOCKET
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
public
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EDOCKET.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Although
identified
as
an
item
in
the
official
docket,
information
claimed
as
CBI,
or
whose
disclosure
is
otherwise
restricted
by
statute,
is
not
included
in
the
official
public
docket,
and
will
not
be
available
for
public
viewing
in
EDOCKET.
For
further
information
about
the
electronic
docket,
see
EPA's
Federal
Register
notice
describing
the
electronic
docket
at
67
FR
38102
(
May
31,
2002),
or
go
to
http://
www.
epa.
gov/
edocket.
Title:
Information
Collection
Request
for
Clean
Water
Act
Section
404
State
Assumed
Programs
(
OMB
Control
No.
2040
0168,
EPA
ICR
Number
0220.09).
This
is
a
request
to
renew
an
existing
approved
collection
that
is
scheduled
to
expire
on
January
31,
2003.
Under
the
OMB
regulations,
the
Agency
may
continue
to
conduct
or
sponsor
the
collection
of
information
while
this
submission
is
pending
at
OMB.
Abstract:
Section
404(
g)
of
the
Clean
Water
Act
authorizes
States
(
and
Tribes)
to
assume
the
section
404
permit
program.
States/
Tribes
must
demonstrate
that
they
meet
the
statutory
and
regulatory
requirements
(
40
CFR
part
233)
for
an
approvable
program.
Specified
information
and
documents
must
be
submitted
by
the
State/
Tribe
to
EPA
to
request
assumption.
Once
the
required
information
and
documents
are
submitted
and
EPA
has
a
complete
assumption
request
package,
the
statutory
time
clock
for
EPA's
decision
to
either
approve
or
deny
the
State/
Tribe's
assumption
request
starts.
The
information
contained
in
the
assumption
request
is
made
available
to
the
other
involved
Federal
agencies
(
Corps
of
Engineers,
Fish
and
Wildlife
Service,
and
National
Marine
Fisheries
Service)
and
to
the
general
public
for
review
and
comment.
States/
Tribes
must
be
able
to
issue
permits
that
comply
with
the
404(
b)(
1)
Guidelines,
the
environmental
review
criteria.
States/
Tribes
and
the
reviewing
Federal
agencies
must
be
able
to
review
proposed
projects
to
evaluate,
avoid,
minimize
and
compensate
for
anticipated
impacts.
EPA's
assumption
regulations
establish
recommended
elements
that
should
be
included
in
the
State/
Tribe's
permit
application,
so
that
sufficient
information
is
available
to
make
a
thorough
analysis
of
anticipated
impacts.
These
minimum
information
requirements
are
based
on
the
information
that
must
be
submitted
when
applying
for
a
section
404
permit
from
the
Corps
of
Engineers.
EPA
is
responsible
for
oversight
of
assumed
programs
to
ensure
that
State/
Tribal
programs
are
in
compliance
with
applicable
requirements
and
that
State/
Tribal
permit
decisions
adequately
consider,
avoid,
minimize
and
compensate
for
anticipated
impacts.
States/
Tribes
must
evaluate
their
programs
annually
and
submit
the
results
in
a
report
to
EPA.
EPA's
assumption
regulations
establish
minimum
requirements
for
the
annual
report.
An
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
regulations
are
listed
in
40
CFR
part
9
and
48
CFR
chapter
15,
and
are
identified
on
the
form
and/
or
instrument,
if
applicable.
Burden
Statement:
This
collection
of
information
is
separated
into
three
pieces.
The
annual
public
reporting
and
recordkeeping
burden
for
this
collection
of
information
is
estimated
to
average
520
hours
to
request
program
assumption,
5
hours
to
complete
a
permit
application,
and
80
hours
to
prepare
the
annual
report.
Burden
means
the
total
time,
effort,
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain,
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install,
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating,
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
Respondents/
Affected
Entities:
States/
Tribes,
permit
applicants.
Estimated
Number
of
Respondents:
20,006.
Frequency
of
Response:
one
time
to
request
assumption;
one
time
when
requesting
a
permit;
annually
for
the
annual
permit.
Estimated
Total
Annual
Hour
Burden:
101,360.
Estimated
Total
Annual
Cost:
$
37,200
includes
$
0
annualized
capital
or
O&
M
costs.
Changes
in
the
Estimates:
There
is
a
change
of
an
additional
693
hours
from
the
currently
approved
hours
in
the
OMB
Inventory
of
Approved
ICR
Burdens;
this
is
a
math
correction/
adjustment.
Dated:
December
17,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
32388
Filed
12
23
02;
8:
45
am]
BILLING
CODE
6560
50
P
ENVIRONMENTAL
PROTECTION
AGENCY
[
OPPT
2002
0014;
FRL
7427
6]
Agency
Information
Collection
Activities;
Submission
of
EPA
ICR
No.
0575.09
(
OMB
No.
2070
0004)
to
OMB
for
Review
and
Approval;
Comment
Request
AGENCY:
Environmental
Protection
Agency
(
EPA).
ACTION:
Notice.
SUMMARY:
In
compliance
with
the
Paperwork
Reduction
Act
(
44
U.
S.
C.
3501
et
seq.),
this
document
announces
that
the
following
Information
Collection
Request
(
ICR)
has
been
forwarded
to
the
Office
of
Management
and
Budget
(
OMB)
for
review
and
approval:
Health
and
Safety
Data
Reporting,
Submission
of
Lists
and
Copies
of
Health
and
Safety
Studies
[
EPA
ICR
No.
0575.09;
OMB
Control
No.
2070
0004].
The
ICR,
which
is
abstracted
below,
describes
the
nature
of
the
information
collection
and
its
estimated
cost
and
burden.
On
May
21,
2002
(
67
FR
35806),
EPA
sought
comments
on
this
ICR
pursuant
to
5
CFR
1320.8(
d).
EPA
received
no
comments.
DATES:
Additional
comments
may
be
submitted
on
or
before
January
23,
2003.
ADDRESSES:
Follow
the
detailed
instructions
in
the
SUPPLEMENTARY
INFORMATION
section.
FOR
FURTHER
INFORMATION
CONTACT:
Barbara
Cunningham,
Acting
Director,
Environmental
Assistance
Division,
Office
of
Pollution
Prevention
and
Toxics,
Environmental
Protection
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Federal
Register
/
Vol.
67,
No.
247
/
Tuesday,
December
24,
2002
/
Notices
Agency,
Mailcode:
7408,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460;
telephone
number:
202
554
1404;
e
mail
address:
TSCA
Hotline@
epa.
gov.
SUPPLEMENTARY
INFORMATION:
EPA
has
submitted
the
following
ICR
to
OMB
for
review
and
approval
according
to
the
procedures
prescribed
in
5
CFR
1320.12.
EPA
has
established
a
public
docket
for
this
ICR
under
Docket
ID
No.
OPPT
2002
0014,
which
is
available
for
public
viewing
at
the
OPPT
Docket
in
the
EPA
Docket
Center,
EPA
West
Building
Basement
Room
B102,
1301
Constitution
Ave.,
NW.,
Washington,
DC.
The
Center
is
open
from
8
a.
m.
to
4:
30
p.
m.,
Monday
through
Friday,
excluding
legal
holidays.
An
electronic
version
of
the
public
docket
is
available
through
EPA's
electronic
public
docket
and
comment
system,
EPA
Dockets
(
EDOCKET)
at
http://
www.
epa.
gov/
edocket.
Use
EDOCKET
to
submit
or
view
public
comments,
access
the
index
listing
of
the
contents
of
the
public
docket,
and
to
access
those
documents
in
the
public
docket
that
are
available
electronically.
Once
in
the
system,
select
``
search,''
then
key
in
the
docket
ID
number
identified
above.
Any
comments
related
to
this
ICR
should
be
submitted
to
EPA
and
OMB
within
30
days
of
this
notice,
and
according
to
the
following
detailed
instructions:
(
1)
Submit
your
comments
to
EPA
online
using
EDOCKET
(
our
preferred
method),
by
e
mail
to
oppt.
ncic@
epa.
gov,
or
by
mail
to:
Document
Control
Office
(
DCO),
Office
of
Pollution
Prevention
and
Toxics
(
OPPT),
Environmental
Protection
Agency,
Mailcode:
7407M,
1200
Pennsylvania
Ave.,
NW.,
Washington,
DC
20460,
Attention
Docket
ID
No.
OPPT
2002
0014,
and
(
2)
Mail
a
copy
of
your
comments
to
OMB
at:
Office
of
Information
and
Regulatory
Affairs,
Office
of
Management
and
Budget
(
OMB),
Attention:
Desk
Officer
for
EPA,
725
17th
Street,
NW.,
Washington,
DC
20503.
EPA's
policy
is
that
public
comments,
whether
submitted
electronically
or
in
paper,
will
be
made
available
for
public
viewing
in
EDOCKET
as
EPA
receives
them
and
without
change,
unless
the
comment
contains
copyrighted
material,
CBI,
or
other
information
whose
public
disclosure
is
restricted
by
statute.
When
EPA
identifies
a
comment
containing
copyrighted
material,
EPA
will
provide
a
reference
to
that
material
in
the
version
of
the
comment
that
is
placed
in
EDOCKET.
The
entire
printed
comment,
including
the
copyrighted
material,
will
be
available
in
the
public
docket.
Although
identified
as
an
item
in
the
official
docket,
information
claimed
as
CBI,
or
whose
disclosure
is
otherwise
restricted
by
statute,
is
not
included
in
the
official
public
docket,
and
will
not
be
available
for
public
viewing
in
EDOCKET.
Title:
Health
and
Safety
Data
Reporting,
Submission
of
Lists
and
Copies
of
Health
and
Safety
Studies
(
EPA
ICR
No.
0575.09;
OMB
Control
No.
2070
0004).
This
is
a
request
to
renew
an
existing
approved
collection
that
is
scheduled
to
expire
on
January
31,
2003.
Under
the
PRA
regulations,
the
Agency
may
continue
to
conduct
or
sponsor
the
collection
of
information
while
this
submission
is
pending
at
OMB.
Abstract:
Section
8(
d)
of
the
Toxic
Substances
Control
Act
(
TSCA)
and
40
CFR
part
716
require
manufacturers
and
processors
of
chemicals
to
submit
lists
and
copies
of
health
and
safety
studies
relating
to
the
health
and/
or
environmental
effects
of
certain
chemical
substances
and
mixtures.
In
order
to
comply
with
the
reporting
requirements
of
section
8(
d),
respondents
must
search
their
records
to
identify
any
health
and
safety
studies
in
their
possession,
copy
and
process
relevant
studies,
list
studies
that
are
currently
in
progress,
and
submit
this
information
to
EPA.
EPA
uses
this
information
to
construct
a
complete
picture
of
the
known
effects
of
the
chemicals
in
question,
leading
to
determinations
by
EPA
of
whether
additional
testing
of
the
chemicals
is
required.
The
information
enables
EPA
to
base
its
testing
decisions
on
the
most
complete
information
available
and
to
avoid
demands
for
testing
that
may
be
duplicative.
EPA
will
use
information
obtained
via
this
collection
to
support
its
investigation
of
the
risks
posed
by
chemicals
and,
in
particular,
to
support
its
decisions
on
whether
to
require
industry
to
test
chemicals
under
section
4
of
TSCA.
Responses
to
the
collection
of
information
are
mandatory
(
see
40
CFR
part
716).
Respondents
may
claim
all
or
part
of
a
notice
confidential.
EPA
will
disclose
information
that
is
covered
by
a
claim
of
confidentiality
only
to
the
extent
permitted
by,
and
in
accordance
with,
the
procedures
in
TSCA
section
14
and
40
CFR
part
2.
An
agency
may
not
conduct
or
sponsor,
and
a
person
is
not
required
to
respond
to,
a
collection
of
information
unless
it
displays
a
currently
valid
OMB
control
number.
The
OMB
control
numbers
for
EPA's
regulations
are
listed
in
40
CFR
part
9
and
48
CFR
chapter
15,
and
are
identified
on
the
form
and/
or
instrument,
if
applicable.
Burden
Statement:
The
annual
public
reporting
burden
for
this
collection
of
information
is
estimated
to
be
about
4
hours
per
response.
Burden
means
the
total
time,
effort
or
financial
resources
expended
by
persons
to
generate,
maintain,
retain
or
disclose
or
provide
information
to
or
for
a
Federal
agency.
This
includes
the
time
needed
to
review
instructions;
develop,
acquire,
install
and
utilize
technology
and
systems
for
the
purposes
of
collecting,
validating
and
verifying
information,
processing
and
maintaining
information,
and
disclosing
and
providing
information;
adjust
the
existing
ways
to
comply
with
any
previously
applicable
instructions
and
requirements;
train
personnel
to
be
able
to
respond
to
a
collection
of
information;
search
data
sources;
complete
and
review
the
collection
of
information;
and
transmit
or
otherwise
disclose
the
information.
Respondents/
Affected
Entities:
Manufacturers,
processors,
importers,
or
distributers
in
commerce
of
chemical
substances
or
mixtures.
Frequency
of
Collection:
On
occasion.
Estimated
No.
of
Respondents:
569.
Estimated
Total
Annual
Burden
on
Respondents:
2,344
hours.
Estimated
Total
Annual
Costs:
$
203,512.
Changes
in
Burden
Estimates:
There
is
a
decrease
of
2,198
hours
(
from
4,542
hours
to
2,344
hours)
in
the
total
estimated
respondent
burden
compared
with
that
identified
in
the
information
collection
request
most
recently
approved
by
OMB.
This
adjustment
results
from
an
updated
analysis
of
the
historical
reporting
patterns
and
the
number
of
chemicals
listed
on
the
section
8(
d)
reporting
rule.
Specifically,
because
no
new
chemicals
were
added
to
the
rule
during
the
previous
ICR
reporting
period,
the
number
of
chemicals
added
during
the
1993
through
1996
period
were
averaged
over
eight
years
(
1993
through
2000)
to
provide
an
estimate
of
expected
reporting
over
the
coming
three
year
period
of
this
ICR
renewal.
Unit
burden
estimates
have
not
changed.
Dated:
December
17,
2002.
Oscar
Morales,
Director,
Collection
Strategies
Division.
[
FR
Doc.
02
32389
Filed
12
23
02;
8:
45
am]
BILLING
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| epa | 2024-06-07T20:31:45.687636 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0014-0005/content.txt"
} |
EPA-HQ-OPPT-2002-0015-0001 | Notice | 2002-05-16T04:00:00 | Certain New Chemicals; Receipt and Status Information | epa | 2024-06-07T20:31:45.692326 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0015-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0016-0001 | Notice | 2002-06-03T04:00:00 | National Advisory Committee for Acute Exposure Guideline Levels for Hazardous
Substances; Notice of public meeting | epa | 2024-06-07T20:31:45.693341 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0016-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0017-0001 | Notice | 2002-05-31T04:00:00 | National Advisory Committee for Acute Exposure Guideline Levels for Hazardous
Subtances; Second List of Priority Chemicals for Guideline Development | epa | 2024-06-07T20:31:45.694324 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0017-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0018-0001 | Notice | 2002-06-19T04:00:00 | Access to Confidential Business Information by C-Technologies.net LLC and INADEV
Corporation | epa | 2024-06-07T20:31:45.695470 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0018-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0020-0001 | Notice | 2002-05-28T04:00:00 | Endocrine Disruptor Methods Validation Subcommittee under the National Advisory Council
for Environmental Policy and Technology; Notice of Public Meeting | epa | 2024-06-07T20:31:45.696927 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0020-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0021-0001 | Notice | 2002-06-07T04:00:00 | Certain New Chemicals; Receipt and Status Information | epa | 2024-06-07T20:31:45.700141 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0021-0001/content.txt"
} |
|
EPA-HQ-OPPT-2002-0024-0001 | Notice | 2002-06-07T04:00:00 | Lead-Based Paint Activities in Target Housing and Child-Occupied Facilities; State of Colorado Authorization of Lead-Based Paint Activities Program | epa | 2024-06-07T20:31:45.701503 | regulations | {
"license": "Public Domain",
"url": "https://downloads.regulations.gov/EPA-HQ-OPPT-2002-0024-0001/content.txt"
} |