RULE B-42
SEISMIC RULES AND
REGULATIONS
(a)
Definitions:
1. "Field Seismic Operations"
shall mean any geophysical method performed on the surface of the land
utilizing certain instruments operating under the laws of physics respecting
vibration or sound to determine conditions below the surface of the earth which
may contain oil or gas and is inclusive of but not limited to the preliminary
line survey, the acquisition of necessary permits, the selection and marking of
shot-hole locations, necessary clearing of vegetation, shot-hole drilling,
implantation of charge, placement of geophones, detonation and backfill of
shot-holes.
2. "Seismic Shoot"
shall mean a specific project during which field seismic operations shall be
conducted with due diligence, not to exceed or substantially vary from those
seismic operations indicated in the original permit application.
(b) Any person desiring to perform
field seismic operations within the State of Arkansas shall obtain a permit for
each seismic shoot from the Commission prior to commencing field seismic
operations. A copy of the approved permit shall be maintained in the central
recording unit used for the seismic shoot. Such permit shall be valid for a
period of one year from the date of issuance.
(c) The applicant shall make application on a
form prescribed by the Director.
(d) Each application as filed shall be
accompanied by an application fee of Five Hundred Dollars ($500.00).
(e) Each application for a 2D seismic shoot
shall include information and maps, (i) to identify the seismic shoot area,
(ii) to indicate the proposed location of all 2D seismic lines, and (iii) to
designate an area (each, a "2D Seismic Line Corridor" within which a 2D seismic
line may be located or relocated by permitee). No 2D Seismic Line Corridor
shall extend farther than one-half (1/2) mile in either direction from the
proposed location of the relevant 2D seismic line. Applicants may omit areas
within the outer boundaries of any 2D Seismic Line Corridor from the 2D Seismic
Line Corridor. Each application for a 3D seismic shoot shall include
information and maps to identify the seismic shoot area including the 3D
project outline for such seismic shoot. Any relocations of a 2D seismic line or
any portion thereof outside the 2D Seismic Line Corridor designated therefore
or any increase in a 3D survey outline shall be immediately reported to the
Director. The applicant shall also be required to file an amended application
showing the revised location of such relocated 2D seismic lines, if applicable.
The applicant may also file a request, in writing, that the application with
all information and maps, be kept confidential for a period not to exceed
twelve (12) months from the date of the filing of the original application.
Subject to any applicable exceptions, including without limitation the trade
secret exception to the general requirements of Ark. Code Ann. (1987) §
25-19-101 et. seq., said application and any information and maps submitted may
be released to the extent required by a court of law or by applicable state
law, regardless of the request that such be kept confidential. Said application
and any information and maps may also be introduced by the Commission as
evidence in any public hearing before the Commission or in any judicial action,
regardless of such request; provided, however, that permit holder shall retain
the right to object to their admissibility and to seek a closed hearing or a
protective order with respect thereto.
(f) The application shall be accompanied with
evidence of the appropriate type(s) of financial assurance, as described in
General Rule B-2 (d)(1), (2), (3) and (4), and subject to those conditions
listed therein.
1. The financial assurance
shall be at least fifty thousand dollars ($50,000), but not more than two
hundred fifty thousand dollars ($250,000), provided that the aggregate amount
of financial assurance required for any applicant for all permits and expired
permits issued pursuant to this Rule shall not exceed two hundred fifty
thousand dollars ($250,000).
2. The
amount of the financial assurance shall be determined by the Director based on,
but not limited to, the proximity of the seismic shoot to populated areas,
cultural features, sensitive environmental areas, and past Commission
enforcement history against the applicant.
3. The financial assurance required to be
filed shall remain in effect for one year following the conclusion of all field
seismic operations by the permit holder in the State of Arkansas.
(g) Upon review of a completed
permit application, the Director shall either issue the permit or deny the
permit application. If the permit application is denied, the applicant may file
an application for a hearing to appeal the Director's decision in accordance
with General Rule A-2, A-3, and other applicable hearing procedures.
(h) No entry shall be made by any person to
conduct field seismic operations, upon the lands where such field seismic
operations are to be conducted, without the permit holder having first given
notice at least ten (10) calendar days prior to commencement of field seismic
operations.
1. The notice shall be in writing
and given either personally or by certified United States mail to the surface
owners reflected in the tax records of the counties where the lands are
located, at the mailing addresses identified for such surface owners in such
records
2. In instances where it
can be reasonably ascertained that there are occupants residing on the lands
who are not the surface owners, such notice shall also be given such occupants,
unless there is no known mailing address and personal notice cannot reasonably
be given. Any such notice to an occupant shall be deemed delivered if delivered
personally or deposited in the United States mail postage prepaid to said
occupants at the mailing address of the lands.
3. Written notice shall also be given either
personally or by certified United States mail to operators, as reflected in the
records of the AOGC, of producing wells within the seismic shoot area, at the
mailing addresses identified for such operators in said records.
4. The notice shall contain the:
A. Name of the person or entity that is
conducting the field seismic operations;
B. Proposed location of the field seismic
operations; and
C. Approximate date
the person or entity proposes to commence field seismic operations;
(i) The permit holder
shall also notify the Commission within five (5) business days of the
commencement and completion of each seismic shoot.
(j) All vehicles utilized by the permit
holder, or its agents or contractors, shall be clearly identified by signs or
markings, utilizing letters and /or numbers a minimum of three (3) inches in
height and one-half (1/2) inch wide, indicating the name of such
agent.
(k) No shot-hole shall be
drilled nor charge detonated within two hundred feet (200') of any residence,
water well, oil well, gas well, brine well, injection well or other structure
without having first secured the express written authority of the owner(s)
thereof and the permit holder shall be responsible for any resulting damages in
accordance with this rule. Written authority must also be obtained from the
owner(s) if any charge exceeds the maximum allowable charge within the scaled
distance below:
DISTANCE TO STRUCTURE (FT)*
|
MAXIMUM ALLOWABLE CHARGE WEIGHTS (LBS)*
|
50
|
0.5
|
100
|
2.0
|
150
|
4.5
|
200
|
8.0
|
250
|
12.0
|
300
|
18.0
|
350
|
25.0
|
* Based upon a charge weight of seventy (70) FT/LB
1/2
(l) The maximum
allowable charge weight (lbs.) is 25.0, unless the permit holder requests and
secures the prior written authorization from the Director.
(m) All holes drilled for field seismic
activity shall be properly back filled with soils and/or other suitable
material and tamped. A mound may be left over the hole for settling
allowance.
(n) All seismic sources
placed for detonation for use in field seismic operations shall contain
additives to accelerate the biodegradation thereof and shall be handled with
due care in accordance with industry standards. The cap leads for any seismic
sources that fail to detonate shall be buried at least three (3) feet
deep.
(o) All vegetation cleared to
the ground for the purposes of field seismic activity shall be cleared in a
competent and workmanlike manner in the exercise of due care.
(p) Unless otherwise consented to by the
surface owner in writing, permit holder shall not cut down any tree measuring
six (6) inches or more in diameter, as measured at a height of three (3) feet
from the ground surface unless there are no reasonable alternatives to the
removal of such tree(s) available to permit holder. Permit holder shall
compensate surface owner the value of all such trees as determined by a
forester licensed by the State of Arkansas.
(q) All excessive rutting or soil
disturbances resulting from seismic activity shall be repaired or restored to
the original condition and contour to the extent reasonable, unless otherwise
agreed to by the permit holder and the surface owner in writing.
(r) All fences removed for the purposes of
field seismic activity shall be replaced, unless otherwise agreed to by the
permit holder and the surface owner in writing.
(s) All debris associated with the seismic
activity shall be removed and properly disposed.
(t) Any person who conducts any field seismic
operations for a seismic shoot in the state without having obtained a permit
therefore shall be subject to a civil penalty of one thousand dollars ($1,000)
for each day such field seismic operations continue. Any person who does not
fully comply with any other provision of this rule shall be subject to a civil
penalty of one thousand dollars ($1,000) for each violation.
(u) Failure to comply with the provisions of
this rule or Ark. Code Ann. (1987) §
15-71-114 as amended or any other
applicable orders, rules, or regulations of the Commission may result in the
forfeiture of the financial assurance to remediate damages or recover civil
penalties assessed in accordance with subparagraph (t) above.
(v) In addition, any surface owner may seek
to recover damages from the financial assurance, as follows:
1. Any surface owner seeking to recover under
such financial assurance for damages caused by the performance of such field
seismic operations must file written notice of claim, on a form prescribed by
the Director, within one (1) year of the date of expiration of the permit;
provided however, that such claim shall be subordinate to the rights of the
Commission.
2. Any claim received
from a surface owner shall be investigated by the Director and a decision shall
be rendered by the Director. If the Director's decision is not satisfactory to
either the surface owner or the permit holder, either party may file an
application for a hearing to appeal the Director's decision in accordance with
General Rule A-2, A-3, and other applicable hearing procedures. At a hearing,
the surface owner must prove that (a) actual damages occurred, (b) such damages
were caused by (i) the negligence of the permit holder, (ii) a violation of
this rule by permit holder or (iii) an unreasonable or excessive use of the
surface owner's land by the permit holder under the applicable oil and gas
lease or other agreement under which the surface owner and/or mineral owner
consents to the use of the surface for seismic operations, and (c) the amount
of such damages.
3. If the
Commission finds that the permit holder is liable to the surface owner for any
such damages, the permit holder shall have 30 days from the effective date of
the order to pay the surface owner the amount specified by the Commission. If
the permit holder fails to pay the amount specified by the Commission to the
surface owner, the Director may initiate bond forfeiture proceedings as
described in General Rule B-2 (k) to pay damages specified by the Commission,
provided however, that such amount shall be subordinate to the rights of the
Commission.
4. If the permit
holder's financial assurance is forfeited, the permit holder shall cease all
field seismic operations until another bond in the same amount of the original
bond is filed with the Commission for the same purposes as the original bond.
(Source: 1991 rule book; amended July 3, 2003; amended June 15,
2008)
GENERAL RULE B-43
ESTABLISHMENT OF DRILLING
UNITS FOR GAS PRODUCTION FROM CONVENTIONAL AND UNCONVENTIONAL SOURCES OF SUPPLY
OCCURRING IN CERTAIN PROSPECTIVE AREAS NOT COVERED BY FIELD
RULES
(a) For
purposes of this rule, unconventional sources of supply shall mean those common
sources of supply that are identified as the Fayetteville Shale, the Moorefield
Shale, and the Chattanooga Shale Formations, or their stratigraphic shale
equivalents, as described in published stratigraphic nomenclature recognized by
the Arkansas Geological Survey or the United States Geological
Survey.
(b) For purposes of this
rule, conventional sources of supply shall mean all common sources of supply
that are not defined as unconventional sources of supply in section (a)
above.
(c) This rule is applicable
to all occurrences of conventional and unconventional sources of supply in
Arkansas, Cleburne, Conway, Cross, Faulkner, Independence, Jackson, Lee,
Lonoke, Monroe, Phillips, Prairie, St. Francis, Van Buren, White and Woodruff
Counties, Arkansas and shall be called the "section (c) lands". The development
of the conventional and unconventional sources of supply within the section (c)
lands shall be subject to the provisions of this rule.
(d) This rule is further applicable to all
occurrences of unconventional sources of supply in Crawford, Franklin, Johnson,
and Pope Counties, Arkansas and shall be called the "section (d) lands". The
development of the unconventional sources of supply within the section (d)
lands shall be subject to the provisions of this rule. For purposes of this
rule, the section (d) lands and the section (c) lands may collectively be
referred to as the "covered lands".
(e) All Commission approved Fayetteville
Shale and non-Fayetteville Shale fields that are situated within the section
(c) lands and that are in existence on the date this rule is adopted
(collectively, the "existing fields"), are abolished and the lands heretofore
included within the existing fields are included within the section (c) lands
governed by this rule. Further, all amendments that added the Fayetteville
Shale Formation to previously established fields for conventional sources of
supply occurring in the section (d) lands are abolished and continuing
development of the Fayetteville Shale and other unconventional sources of
supply in these lands shall be governed by the provisions of this rule. All
existing individual drilling units however, contained within the abolished
fields shall remain intact.
(f) All
drilling units established for conventional and unconventional sources of
supply within the section (c) lands and all drilling units established for
unconventional sources of supply within the section (d) lands shall be
comprised of regular governmental sections with an area of approximately 640
acres in size. Each drilling unit shall be characterized as either an
"exploratory drilling unit" or an "established drilling unit". An "exploratory
drilling unit" shall be defined as any drilling unit that is not an established
drilling unit. An "established drilling unit" shall be defined as any drilling
unit that contains a well that has been drilled and completed in a conventional
or unconventional source of supply (a "subject well"), and for which the
operator or other person responsible for the conduct of the drilling operation
has filed, with the Commission, all appropriate documents in accordance with
General Rule B-5, and been issued a certificate of compliance. Upon the filing
of the required well and completion reports for a subject well and the issuance
of a certificate of compliance with respect thereto, the exploratory drilling
unit upon which the subject well is located and all contiguous governmental
sections shall be automatically reclassified as established drilling
units.
(g) The filing of an
application to integrate separately owned tracts within an exploratory drilling
unit, as defined in Section (f) above and as contemplated by A.C.A. §
15-72-302(e), is permissible, provided that one or more persons who
collectively own at least an undivided fifty percent (50%) interest in the
right to drill and produce oil or gas, or both, from the total acreage assigned
to such exploratory drilling unit support the filing of the application. In
determining who shall be designated as the operator of the exploratory drilling
unit that is being integrated, the Commission shall apply the following
criteria:
1) Each integration application
shall contain a statement that the applicant has sent written notice of its
application to integrate the drilling unit to all working interest owners of
record within such drilling unit. This notice shall contain a well proposal and
AFE for the initial well and may be sent at the same time the integration
application is filed.
2) If any
non-applicant working interest owner in the drilling unit owns, or has the
written support of one or more working interest owners that own, separately or
together, at least a fifty percent (50%) working interest in the drilling unit,
such non-applicant working interest owner may (i) object to the applicant being
named operator (a "section (g) operator challenge") or (ii) file a competing
integration application (a "section (g) competing application") that challenges
any aspect of the original integration application for such drilling unit. Any
contested matter that is limited to a section (g) operator challenge shall be
heard at the Commission hearing that was originally scheduled for such
integration application. Any contested matter that involves the filing of a
section (g) competing application shall be postponed until the next month's
regularly scheduled Commission hearing if postponement is requested by either
competing applicant.
3) If a party
desiring to be named operator of a drilling unit is supported by a
majority-in-interest of the total working interest ownership in the drilling
unit (the "majority owner"), the majority owner shall be designated unit
operator.
4) In the event two
parties desiring to be named operator own, or have the written support of one
or more working interest owners that own, exactly, an undivided 50% share of
the drilling unit and either a section (g) operator challenge is submitted or a
section (g) competing application is filed, operatorship shall be determined by
the Commission, based on the factors it deems relevant and the evidence
submitted by the parties or as otherwise provided by subsequent rule.
5) If the person designated as operator by
the Commission in the adjudication of a section (g) operator challenge or a
section (g) competing application does not commence actual drilling operations
on the drilling unit within the twelve (12) month period set out in the
integration order, such operator shall not be entitled to be designated as
operator under the subsequent integration of such drilling unit unless (i) the
operator's failure to commence such drilling operations was due to force
majeure, or (ii) a majority-in-interest of the total working interest ownership
in the drilling unit (excluding such designated operator) support such
operator.
(h) The filing
of an application to integrate separately owned tracts within an established
drilling unit, as defined in Section (f) above and as contemplated by A.C.A.
§
15-72-303 is permissible, without a minimum acreage requirement,
provided that one or more persons owning an interest in the right to drill and
produce oil or gas, or both, from the total acreage assigned to such
established drilling unit requests such integration. In determining who shall
be designated as the operator of the established drilling unit that is being
integrated, the Commission shall apply the following criteria:
1) Each integration application shall contain
a statement that the applicant has sent written notice of its application to
integrate the drilling unit to all working interest owners of record within
such drilling unit. This notice shall contain a well proposal and AFE for the
initial well and may be sent at the same time the integration application is
filed.
2) Any non-applicant working
interest owner in the drilling unit may object to the applicant being named
operator (a "section (h) operator challenge"). In addition, if an objecting
party owns, or has the written support of one or more working interest owners
that own, separately or together, a larger percentage working interest in the
drilling unit than the applicant, such objecting party may file a competing
integration application (a "section (h) competing application") that challenges
any aspect of the original integration application for such drilling unit. Any
contested matter that is limited to a section (h) operator challenge shall be
heard at the Commission hearing that was originally scheduled for such
integration application. Any contested matter that involves the filing of a
section (h) competing application shall be postponed until the next month's
regularly scheduled Commission hearing if postponement is requested by either
competing applicant.
3) If a party
desiring to be named operator of a drilling unit is a majority owner (as
defined in subsection (g)(3) above), the majority owner shall be designated
unit operator.
4) If a party
desiring to be named operator of a drilling unit is not a majority owner, but
is supported by the largest percentage interest of the total working interest
ownership in the drilling unit (the "plurality owner"), there shall be a
rebuttable presumption that the plurality owner shall be designated unit
operator. If a section (h) operator challenge to a plurality owner being
designated unit operator is submitted by a party that owns, or has the written
support of one or more owners that own, separately or together, the next
largest percentage share of the working interest ownership in the drilling unit
(the "minority owner"), the Commission may designate the minority owner
operator if the minority owner is able to show that, based on the factors the
Commission deems relevant and the evidence submitted by the parties, the
Commission should designate the minority owner as unit operator.
5) If two or more parties that desire to be
named operator own, or have the support of one or more working interest owners
that own, separately or together, the same working interest ownership in the
drilling unit, operatorship shall be determined by the Commission, based on the
factors it deems relevant and the evidence submitted by the parties or as
otherwise provided by subsequent rule.
6) If the person designated as operator by
the Commission in the adjudication of a section (h) operator challenge or a
section (h) competing application does not commence actual drilling operations
on the drilling unit within the twelve (12) month period set out in the
integration order, such operator shall not be entitled to be designated
operator under the subsequent integration of such drilling unit unless (i) the
original operator's failure to commence drilling operations on the initial well
was due to force majeure, or (ii) a majority-in-interest of the total working
interest ownership in the drilling unit (excluding the original operator)
support the original operator.
(i) The well spacing for wells drilled in
drilling units for unconventional sources of supply within the covered lands
are as follows:
1) Each well location (as
defined in Section (a)(2) of General Rule B-3) shall be at least 560 feet from
any drilling unit boundary line;
2)
Each well location (as defined in Section (a)(2) of General Rule B-3) shall be
at least 560 feet from any other well that extends across drilling unit
boundaries unless all owners, as defined in Ark. Code Ann. (1987) §
15-72-102(9), in all units consent in writing to the drilling of a well closer
than 560 feet.
3) Each well
location (as defined in Section (a)(2) of General Rule B-3) shall be at least
448 feet, an allowed 20% variance, from all other well locations within an
established drilling unit, unless all owners, as defined in Ark. Code Ann.
(1987) §
15-72-102(9), in the unit consent in writing to the drilling of a
well closer than 448 feet.
4) No
more than 16 wells may be drilled per 640 acres for each separate
unconventional source of supply within an established drilling unit;
and
5) Applications for exceptions
to these well location provisions, relative to a drilling unit boundary or
other location in a common source of supply, may be brought before the
Commission.
(j) The well
spacing for wells drilled in drilling units for conventional sources of supply
within the section (c) lands are as follows:
1) Only a single well completion will be
permitted to produce from each separate conventional source of supply within
each established drilling unit, unless additional completions are approved in
accordance with General Rule D-19;
2) Each well location (as defined in Section
(a) 2) of General Rule B-3) shall be at least 1120 feet from any drilling unit
boundary line;
3) Well completions
located closer than 1120 feet from all established drilling unit boundaries,
shall be subject to approval in accordance with General Rule B-40;
and
4) Applications for exceptions
to these well location provisions, relative to a drilling unit boundary or
other location in a common source of supply, may be brought before the
Commission.
(k) The
casing programs for all wells drilled in exploratory and established drilling
units established by this rule and occurring in the covered lands specified by
this rule shall be in accordance with General Rule B-15.
(l) Wells completed in and producing from
only conventional sources of supply, as defined in Section (b), shall be
subject to the testing and production allowable provisions of General Rule
D-16. Wells completed in and producing from only unconventional sources of
supply, as defined in Section (a), shall be subject to the initial and annual
testing and test reporting provisions of General Rule D-16, except that the
initial test shall be witnessed at the discretion of the Director, the annual
tests may be performed without the presence of a Commission representative and
there shall be no production allowable established for wells producing from
unconventional sources of supply located within the covered lands.
(m) The commingling of completions for
unconventional and/or conventional sources of supply within each well situated
on an established drilling unit, shall be subject to the provisions and
approval process outlined in General Rule D-18. If an unconventional source of
supply is approved to be commingled with a conventional source of supply within
a well situated on an established drilling unit, the well shall be subject to
the production allowable provisions of General Rule D-16.
(n) The reporting requirements of General
Rule B-5 shall apply to all wells subject to the provisions of this rule. In
addition, the operator of each such well shall be required to file monthly gas
production reports, on a Form approved by the Director, no later than 45 days
after the last day of each month.
(o) The Commission specifically retains
jurisdiction to consider applications brought before the Commission from a
majority in interest of working interest owners in two or more adjoining
drilling units seeking the authority to drill, produce and share the costs of
and the proceeds of production from one or more separately metered wells that
extend across or encroach upon drilling unit boundaries and that are drilled
and completed in one or more unconventional sources of supply within the
covered lands. All such applications shall contain a proposed agreement on the
formula for the sharing of costs, production and royalty from the affected
drilling units.
1) However, if the majority in
interest of working interest owners agree to share a proposed well between two
or more adjoining drilling units, which have been previously integrated,
utilizing the below methodology for sharing of costs, production and royalty
among the affected drilling units, the Director or his designee is authorized
to approve the application administratively. The method for sharing the costs
of and the proceeds of production from one or more separately metered wells
shall be based on acreage allocation as follows:
A. An area measured 560 feet along and on
both sides of the entire length of the horizontal perforated section of the
well, and including an area formed by a 560 feet radius from the beginning
point of the perforated interval, and a 560 feet radius from the ending point
of the perforated interval shall be calculated for each such separately metered
well (the "calculated area").
B.
Each calculated area shall be allocated and assigned to each drilling unit
according to that portion of the calculated area occurring within each drilling
unit.
2) Each such
application for utilizing the above methodology shall be submitted on a form
prescribed by the Director of Production and Conservation, accompanied by an
application fee of $500.00 and include the name and address of each owner, as
defined in A.C.A. §
15-72-102(9), within each of the drilling units in
which the proposed well is to be drilled and/or completed.
3) Concurrently with the filing of an
application utilizing the above methodology, the applicant shall send to each
owner specified in subsection (o)(2) above a notice of the application filing
and verify such mailing by affidavit, setting out the names and addresses of
all owners and the date(s) of mailing.
4) Any owner noticed in accordance with
subsection (o)(3) above shall have the right to object to the granting of such
application within fifteen (15) days after the receipt of the application by
the Commission. Each objection must be made in writing and filed with the
Director. If a timely written objection is filed as herein provided, then the
applicant shall be promptly furnished a copy and such application and the
objection shall be referred to the Commission for determination at the next
regular hearing.
5) An application
may be referred to the Commission for determination when the Director deems it
necessary that the Commission make such determination for the purpose of
protecting correlative rights of all parties. Promptly upon such determination,
and not later than fifteen (15) days after receipt of the application, the
Director shall give the applicant written notice, citing the reason(s) for
denial of the application under this rule and the referral to the full
Commission for determination.
6) If
the Director has not notified the applicant of the determination to refer the
application to the Commission within the fifteen (15) day period in accordance
with the foregoing provisions, and if no objection is received at the office of
the Commission within the fifteen (15) days as provided for in subsection
(o)(4), the application shall be approved and a drilling permit
issued.
7) Upon receipt of the
drilling permit, the applicant shall give the other working interest parties
written notice that the drilling permit has been issued. The working interest
parties, who have not previously made an election, shall have 15 days after
receipt of said notice within which to make an election to participate in the
well or be deemed as electing non-consent and subject to the non-consent
penalty set out in the existing Joint Operating Agreement(s) covering their
respective drilling unit or units.
8) Following completion of the well and prior
to the issuance by the Commission of the Certificate of Compliance to commence
production, the final location of the perforated interval shall be submitted to
the Commission to verify the proposed portion of the calculated area occurring
within each drilling unit as specified in subsection (o)(1) above.
(p) The Commission shall retain
jurisdiction to consider applications, brought before the Commission, from a
majority in interest of working interest owners in two or more adjoining
governmental sections seeking the authority to combine such adjoining
governmental sections into one drilling unit for the purpose of developing one
or more unconventional sources of supply. In any such multi-section drilling
unit, production shall be allocated to each tract therein in the same
proportion that each tract bears to the total acreage within such drilling
unit.
(q) The Commission shall
retain jurisdiction to consider applications, brought before the Commission,
from a majority in interest of working interest owners in a drilling unit
seeking the authority to omit any lands from such drilling unit that are owned
by a governmental entity and for which it can be demonstrated that such
governmental entity has failed or refused to make such lands available for
leasing.
(Source: new rule October 16, 2006; amended December 16, 2007,
amended June 15, 2008)