Or. Admin. Code § 340-043-0025 - Permit Conditions on Assumption of Liability
(1) This rule is necessary for the following
reasons:
(a) ORS
468B.015 expresses an extremely
strong state policy against pollution of the waters of the state; and
(b) ORS
468B.010 declares that
the"water pollution laws of this state shall be liberally construed for
the accomplishment of the purposes set forth in ORS
468B.015"; and
(c) ORS
468B.020 directs the Department
to require the use of all available and reasonable methods necessary to achieve
the purposes of ORS 468B.015; and
(d) Under ORS
468.065, the Department, in any
permit it issues, is required to specify conditions for compliance with the
rules and standards adopted by the Environmental Quality Commission pursuant to
state law;
(e) Certain chemical
process mines pose an unusual risk of substantial environmental harm;
(f) There is no significant operating history
of chemical process mines in Oregon, and experience in other states
demonstrates that, at least in some instances, chemical process mines have
produced extraordinary environmental harm, and the permittees have escaped
responsibility for such harm;
(g)
It is inherent in the nature of chemical process mining that income from the
mining activity will likely cease before the obligations and costs of the
permittee, thereby creating a serious risk that pollution will not be abated
unless adequate financial safeguards are required;
(h) The Reclamation Bond or alternative
security required byORS
517.987 and OAR
632-037-0135 for a chemical
mining facility is intended to provide adequate resources to cover the costs of
reclamation and a credible accident. The amount of security required is to be
determined at the time permits are issued and adjusted as necessary during site
operations. Lack of long-term experience with chemical mining activities makes
it difficult to confidently estimate the full range of problems that could
develop after chemical mining activities have ceased. This bond may not be
adequate to address the full range of costs for protection and restoration of
the environment if the permittee defaults;
(i) It is appropriate to take reasonable
steps to assure continuing accountability from those who profit from chemical
mining activities.
(2)
Unless an exception is granted by the EQC pursuant to section (3) of this rule,
and consistent with the provisions of section (4) of this rule, the Department
shall require, prior to issuing or renewing a permit for a chemical mining
facility, and as a condition of the permit, that those persons or entities who
control the permittee assume liability for environmental injuries, remediation
expenses, and penalties.
(3) The
EQC may grant an exception to the requirements of section (2) of this rule upon
entering a finding that a particular chemical process mine for which a permit
is required does not pose a risk of substantial environmental harm. A finding
under this section may be based upon one or more of the following factors which
are deemed to relate to the risk of substantial environmental harm:
(a) Nature of the chemical mining
process;
(b) Size and scope of the
operations;
(c) Types of
discharges;
(d) Sensitivity of the
potentially affected environment;
(e) Difficulty and costs of implementing
remediation measures;
(f) Potential
for unintentional or unanticipated environmental injury and the potential
magnitude of such injury; or
(g)
Long-term operating history for the particular type of chemical process
mine.
(4) If any of the
securities of the permittee or of an entity assuming liability under section
(2) of this rule are Publicly Traded, the investors of such Publicly Traded
entity shall not be required to assume liability for environmental injuries,
remediation expenses, and penalties. As used in this section, "Publicly Traded"
means listed on the New York Stock Exchange or the American Stock Exchange or
designated under the National Association of Securities Dealers Automated
Quotations System, Inc., National Market System.
(5) As used in section (2) of this rule,
"control" means the power to direct or exercise significant control over the
management or policies of the permittee:
(a)
The power to direct or exercise significant control arises principally from
ownership, directly, indirectly or through intermediary entities, of the
permittee;
(b) An important
indicator of significant control arises from the ownership of or the power to
vote ten percent (10%) or more of the securities of the permittee. Such
ownership or voting rights may be either direct or indirect through
intermediary entities;
(c) An
important indicator that significant control exists arises if the entities
share a significant number of common directors or officers;
(d) Individuals who hold status as officers,
directors, employees, or agents of the permittee or intermediary entities shall
not be deemed to fall under the definition of "control" for purposes of this
rule solely as a result of such status;
(e) Commercial lending institutions operating
within the scope of their normal business activities shall not be deemed to
fall under the definition of "control" for purposes of this rule.
(6) The assumption of liability
provided for in section (2) of this rule may, at the option of the persons or
entities who control the permittee, be accomplished by joining with the
permittee as a co-permittee or such other means as the Environmental Quality
Commission, with advice of the Attorney General, may approve as being legally
sufficient to protect the interests of the State of Oregon and its
citizens.
(7) No permit for a
chemical process mining activity shall be transferred without the prior written
approval from the Department and full compliance with any applicable rules
regarding permit transfer. Such approval may be granted by the Department when
the transferee acquires a property interest in the permitted activity or agrees
in writing to comply fully with all the terms and conditions of the permit and
the applicable statutes and rules and demonstrates to DEQ's satisfaction the
ability to fully comply.
(8) This
rule shall apply to all permit applications either pending on or submitted
after the effective date of this rule. This rule shall also apply to all
transfers pending on or requested after the effective date of this rule and to
all persons who control the associated transferee.
Notes
Stat. Auth.:ORS 468.020,ORS 468B.010,ORS 468B.015 &ORS 468B.020
Stats. Implemented:ORS 468.020,ORS 468B.010,ORS 468B.015,ORS 468B.020,ORS 468B.030 &ORS 517.956
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