Or. Admin. Code § 340-300-0003 - Seismic Vulnerability Assessment Requirements and Timeline
(1) A comprehensive
Seismic Vulnerability Assessment or series of assessments submitted to DEQ must
comply with Chapter 99 of Oregon Law (2022) and:
(a) Be conducted and verified by the
Assessment Team of qualified professionals;
(b) Evaluate the ability of the facility to
achieve the performance objective;
(c) Describe each facility component included
in 340-300-0003(1)(f)(A)
in terms of construction, age, inspection and maintenance and
operations;
(d) Summarize currently
implemented spill prevention and mitigation measures and their ability to
achieve the performance objective defined in
340-300-0002;
(e) Develop the Design Level Earthquake for
the site in accordance with ASCE 7.
(f) Use the Codes and Standards as defined by
OAR 340-300-0002(4)
and the Design Level Earthquake determined using ASCE 7 to evaluate the
potential for a spill greater than the Maximum Allowable Uncontained Spill
during or after the Design Level Earthquake of all components including:
(A) Existing buildings, structures, and
ancillary components;
(B) Tanks,
pipes and piping systems;
(C) Spill
containment measure and structures;
(D) Transloading facilities, including
wharves, piers, moorings and retaining structures;
(E) Loading racks;
(F) Control equipment; and
(G) Any other structures related to or
supporting facilities that constitute the bulk fuel terminal.
(g) Evaluate soil's vulnerability
to liquefaction, lateral spreading and seismic-induced settlement;
(h) Evaluate the safety of operating
conditions, safe shutdown procedures, potential spills;
(i) Evaluate the availability and integrity
of automated sprinkler systems and sufficient supplies of firefighting foam and
other emergency response equipment located in seismically resilient locations
that will be accessible after an earthquake or secondary effects to mitigate
the risk of fire and explosions following an earthquake;
(j) Evaluate the integrity of fire control
measures such as firewalls surrounding facility to limit fire spreading into
surrounding communities; and
(k)
Evaluate the availability of day and night onsite personnel trained in
emergency response and able to respond in the event of an earthquake.
(2) Facility owner or operator
must submit Seismic Vulnerability Assessment updates to DEQ:
(a) Upon application for any permits for
retrofit or reconstruction of facilities;
(b) When retrofits or new construction of any
part of the facility that require a permit occur; and
(c) When notified by DEQ of the availability
of new scientific, technical findings, best management practices or industry
standards but no more frequently than once every three years.
(3) Seismic Vulnerability
Assessment timeline:
(a) Facility owners or
operators must reply to requests for information from DEQ related to regulated
activities including but not limited to property ownership, equipment
ownership, equipment design, fuels present, spill prevention and earthquake
preparedness by a deadline specified by DEQ.
(b) By June 1, 2024, facility must submit:
(A) The facility-wide complete assessment
final report; or
(B) The initial
assessment report, outlining the summary of work completed and work to be done,
including a proposed schedule for completion with justification for an
extension as provided in section (8) of this rule.
(c) Within 30 calendar days or on a schedule
approved by DEQ, after a magnitude five (5.0) or higher earthquake centered
within 100 miles of the facility, facility owner or operator must provide DEQ
with an interim report on facility status, any damage, and any potential
effects of the event on Risk Mitigation Implementation plan actions
implementation and timeline.
(4) Seismic Vulnerability Assessment
Modifications must be submitted no later than 90 days after DEQ notifies an
owner and/or operator of new scientific or technical findings that may affect
the submitted assessment as required in sections (1) and (2) of this
rule.
(5) A final Seismic
Vulnerability Assessment report that contains a facility owner or operator
letterhead signature page stating their responsibility for the report, an
executive summary, introduction, a description, and summary of the observed
conditions of the facility, any calculations and results from engineering
analysis with noted deficiencies and appendices including all data and
calculations, recommendations for mitigation with a priority list and
explanation of priorities and references section must be submitted to DEQ for
review and approval.
(6) A final
Seismic Vulnerability Assessment report must be stamped by professional
engineers of record licensed in Oregon that specialize in geotechnical and
structural engineering and include the following:
(a) Geotechnical Assessment consisting of:
(A) Site Conditions Assessment:
(i) Description of site surface conditions,
topography and bathymetry if adjacent to a body of water.
(ii) Description of regional and site geology
including soil stress history, deposition/erosion environment, and bedrock and
soil geologic units.
(iii)
Description of field explorations per 2022 Oregon Structural Specialty Code
including geotechnical and geophysical methods, standards, numbers and types of
explorations, testing, and instrumentation. Description of results including
final exploration logs, field data, and sub-surface site profiles. Field
explorations (number, types, and depth) must be sufficient to categorize
subsurface conditions at the site including extent and properties of subsurface
geologic strata including that of compressible, liquefiable, soft or loose
soils, and bearing layers.
(iv)
Summary of laboratory testing performed and results.
(v) Description of site subsurface conditions
including soil and rock units encountered, extents and properties of those
layers, and groundwater conditions and include site cross sections.
(B) Seismic Hazard Evaluation
consisting of:
(i) Description of seismic
hazards at the site including seismic evaluation criteria (expected ground
shaking), liquefaction, settlement, surface effects, loss of strength, lateral
spread and slope stability as appropriate.
(ii) Description of methods of analysis,
assumptions, and results of analysis.
(iii) Description of the resulting effects on
the structures onsite.
(C) Geotechnical Evaluation including but not
limited to seismic design parameters, estimated vertical settlement and lateral
ground deformation, foundation bearing and lateral capacity and wall design
parameters.
(b)
Structural Assessment consisting of description of expected seismic performance
of all onsite structures where damage could result in a potential release of
fuel including any above or underground tanks, pipes, foundations of
structures, buildings, structures, ancillary components, spill containment
structures, transloading facilities, wharves, piers, moorings and retaining
structures, loading racks, control equipment and any other structures within
the property line or properties operated together.
(c) Safety Assessment consisting of:
(A) Description of fire control and
suppression systems and procedures and the potential impacts of seismic hazards
on these systems.
(B) Description
of spill containment systems, equipment, and procedures in the event of an
earthquake and their vulnerabilities to the identified seismic hazards at the
site.
(C) Description of onsite
emergency equipment, operational safety measures, and personnel
policies/availability and their vulnerabilities to the identified seismic
hazards at the site.
(7) Upon a facility's submission of the
Seismic Vulnerability Assessment, DEQ will review the submittal. If DEQ
determines that any additional information, corrections, or updates are
required to approve the submittal, then DEQ will notify the owner or operator
in writing of the information required and a deadline by which it must be
provided.
(8) An owner or operator
may request an extension of time from a deadline established in section 3 by
providing DEQ a written request no fewer than 14 calendar days prior to the
submittal deadline. DEQ may grant an extension based on the following criteria:
(a) The owner or operator has demonstrated
progress in completing the submittal; and
(b) A delay is necessary, for good cause
shown by the owner or operator, related to obtaining more accurate or new data,
performing additional analyses, or addressing changes in operations or other
key parameters, any of which are likely to have a substantive impact on the
outcomes of the submittal.
(9) If DEQ determines it is not able to
approve the owner or operator's submittal, or if the owner or operator does not
timely provide additional information or corrections requested by DEQ, then in
addition to any other remedies available, DEQ may:
(a) Inform the owner or operator of the
deficiency and provide the owner or operator with a deadline to correct the
deficiencies and re-submit.
(b)
Modify the submittal and approve it as modified. If DEQ modifies the submittal
under this subsection the owner or operator must pay the assessment
modification fee as required by
340-300-0006
(4).
(10) Recordkeeping. The owner or operator of
a facility that provides DEQ with any information related to a Seismic
Vulnerability Assessment completed under this rule must retain all of its
records related to the assessment for ten years from the date the information
is submitted to DEQ.
(11) Owner or
operator must submit any information required by DEQ by DEQ established
deadline.
Notes
Statutory/Other Authority: ORS 468.020 & SB 1567 (2022)
Statutes/Other Implemented: SB 1567 (2022)
State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.
No prior version found.