[Federal Register Volume 82, Number 241 (Monday, December 18, 2017)]
[Proposed Rules]
[Pages 59992-59997]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2017-27066]


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DEPARTMENT OF ENERGY

10 CFR Part 430


Procedures, Interpretations, and Policies for Consideration of 
New or Revised Energy Conservation Standards for Consumer Products

AGENCY: Office of Energy Efficiency and Renewable Energy, Department of 
Energy.

ACTION: Request for information and notification of public meeting.

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SUMMARY: As part of its implementation of, ``Reducing Regulation and 
Controlling Regulatory Costs,'' (January 30, 2017) and, ``Enforcing the 
Regulatory Reform Agenda,'' (Feb. 24, 2017), the Department of Energy 
(DOE) is seeking comments and information from interested parties to 
assist DOE in identifying potential modifications to its ``Process 
Rule'' for the development of appliance standards to achieve meaningful 
burden reduction while continuing to achieve the Department's statutory 
obligations in the development of appliance standards. DOE will also 
hold a public meeting to receive input from interested parties on 
potential improvements to the ``Process Rule''. This RFI is the first 
in a series of steps DOE is taking to consider modifications to the 
``Process Rule.'' Subsequently, DOE expects to expeditiously publish an 
ANPRM that will provide feedback on the public comment received in 
response to this notice and seek additional information on potential 
improvements to our process for developing and promulgating energy 
efficiency standards.

DATES: Written comments and information are requested on or before 
February 16, 2018. A public meeting will be held on January 9, 2018.

ADDRESSES: The public meeting will begin at 9:30 a.m., at the U.S. 
Department of Energy, Forrestal Building, Room 8E-089, 1000 
Independence Avenue SW, Washington, DC 20585.
    Interested persons are encouraged to submit comments, identified by 
``Process Rule RFI,'' by any of the following methods:
     Federal eRulemaking Portal: http://www.regulations.gov. 
Follow the instructions for submitting comments.
     Email: [email protected]. Include ``Process 
Rule RFI'' in the subject line of the message.
     Mail: U.S. Department of Energy, Office of the General 
Counsel, 1000 Independence Avenue SW, Room 6A245, Washington, DC 20585.

[[Page 59993]]

    Docket: For access to the docket to read background documents, or 
comments received, go to the Federal eRulemaking Portal at http://www.regulations.gov.

FOR FURTHER INFORMATION CONTACT: Caitlin Davis, U.S. Department of 
Energy, Office of Energy Efficiency and Renewable Energy, 1000 
Independence Avenue SW, Washington, DC 20585. Email: 
[email protected], Phone: 202-586-6803.

SUPPLEMENTARY INFORMATION: On January 30, 2017, the President issued 
Executive Order 13771, ``Reducing Regulation and Controlling Regulatory 
Costs.'' That Order stated the policy of the executive branch is to be 
prudent and financially responsible in the expenditure of funds, from 
both public and private sources. The Order stated that it is essential 
to manage the costs associated with the governmental imposition of 
private expenditures required to comply with Federal regulations. 
Additionally, on February 24, 2017, the President issued Executive 
Order 13777, ``Enforcing the Regulatory Reform Agenda.'' The Order 
required the head of each agency to designate an agency official as its 
Regulatory Reform Officer (RRO). Each RRO is tasked with overseeing the 
implementation of regulatory reform initiatives and policies to ensure 
that agencies effectively carry out regulatory reforms, consistent with 
applicable law. Further, E.O. 13777 requires the establishment of a 
regulatory task force at each agency. The regulatory task force is 
required to make recommendations to the agency head regarding the 
repeal, replacement, or modification of existing regulations, 
consistent with applicable law.
    To implement these Executive Orders, the Department, among other 
actions, issued a Request for Information (RFI) seeking public comment 
on how best to achieve meaningful burden reduction while continuing to 
achieve the Department's regulatory objectives. 82 FR 24582 (May, 30, 
2017). In response to this RFI, the Department received a number of 
comments pertaining to DOE's Procedures, Interpretations, and Policies 
for Consideration of New or Revised Energy Conservation Standards for 
Consumer Products, codified at 10 CFR part 430, subpart C, appendix A. 
Although DOE has declined to follow them in a number of cases in the 
recent past, DOE generally uses the procedures set forth in the Process 
Rule to prescribe energy conservation standards for both consumer 
products and commercial equipment pursuant to the Energy Policy and 
Conservation Act of 1975 (Pub. L. 94-163, 42 U.S.C. 6291, et seq. 
``EPCA'') (EPCA). These procedures are commonly referred to as the 
``Process Rule''. DOE's objectives in establishing these procedures 
include: (1) Providing for early input from stakeholders; (2) 
increasing predictability of the rulemaking timetable; (3) increasing 
the use of outside technical expertise; (4) eliminating problematic 
design options early in the process; (5) fully consider non-regulatory 
approaches; (6) conducting a thorough analysis of impacts; (7) using 
transparent and robust analytical methods; (8) articulating policies to 
guide selection of standards; and (9) supporting efforts to build 
consensus on standards.
    In this RFI, and through the public meeting announced in the DATES 
section, DOE seeks additional comments and information on potential 
improvements to the Process Rule. DOE welcomes comment on all aspects 
of the Process Rule that interested parties believe could be improved, 
including specific changes to the existing text of appendix A to 
subpart C of part 430 or other suggestions on how to accomplish the 
suggested improvements. In the paragraphs that follow, DOE also 
provides a list of several issue areas on which it is particularly 
interested in receiving comments. DOE developed these issue areas based 
on feedback received in response to previous regulatory reform efforts 
related to the Process Rule. These efforts include DOE's recent 
regulatory reform RFI. DOE also developed issue areas based on changes 
in the law since the original promulgation of the Process Rule, and on 
DOE's experience in promulgating standards using the procedures set out 
in the rule. The issues discussed in this notice are not a 
comprehensive list of the areas in which DOE is considering reforms. 
DOE intends to provide additional opportunities for public feedback as 
DOE moves forward to expeditiously effectuate improvements to the 
Process Rule. DOE may also consider various process and methodological 
improvements separate from those specific procedures described in this 
document.

Issue Areas

A. Direct Final Rules

    The Energy Independence and Security Act of 2007 (EISA) (Pub. L. 
110-140) amended EPCA, in relevant part, to grant DOE authority to 
issue a ``direct final rule'' (DFR) to establish energy conservation 
standards. (Direct final rule is a term used generically to describe a 
type of rulemaking proceeding.) As amended, EPCA establishes the 
requirements for DOE to use this type of rulemaking proceeding for the 
issuance of certain actions. Specifically, DOE may issue a DFR adopting 
energy conservation standards for a covered product upon receipt of a 
joint proposal from a group of ``interested persons that are fairly 
representative of relevant points of view,'' provided DOE determines 
the energy conservation standards recommended in the joint proposal 
conform with the requirements of 42 U.S.C. 6295(o). (42 U.S.C. 
6295(p)(4)(A)) Simultaneous with the issuance of a DFR, DOE must also 
issue a notice of proposed rulemaking (NOPR) containing the same energy 
conservation standards in the DFR. Following publication of the DFR, 
DOE must solicit public comment for a period of at least 110 days; 
then, not later than 120 days after issuance of the DFR, the Secretary 
must determine whether any adverse comments ``may provide a reasonable 
basis for withdrawing the DFR,'' based on the rulemaking record and 
specified statutory provisions. (42 U.S.C. 6295(p)(4)(B), (C)(i)) Upon 
withdrawal, the Secretary must proceed with the rulemaking process 
under the NOPR that was issued simultaneously with the DFR and publish 
the reasons the DFR was withdrawn. (42 U.S.C. 6295(C)(ii)) If the 
Secretary determines not to withdraw the DFR, it becomes effective as 
specified in the original issuance of the DFR.
    In response to a 2011 DFR in which DOE established energy 
conservation standards for residential furnaces, central air 
conditioners, and heat pumps, the American Public Gas Association filed 
a petition for review in the DC Circuit on December 23, 2011, 
challenging the validity of the rule. Various environmental and 
commercial interest groups joined each side of the case, reflecting 
various viewpoints. On March 11, 2014, all parties filed a joint motion 
presenting final terms of settlement in the case (``Joint Motion'').
    Pursuant to the Joint Motion, DOE published an RFI on October 31, 
2014 (``October RFI'') seeking public input on several aspects of the 
DFR process. 79 FR 64705. In the October RFI, DOE explained that it was 
conducting a notice-and-comment proceeding to clarify its 
interpretation and implementation of certain aspects of the DFR process 
and requested comment on three issues: (1) When a joint statement with 
recommendations related to an energy or water conservation standard 
would be deemed to have been submitted by ``interested persons that are 
fairly representative of relevant points of view,'' thereby permitting 
use

[[Page 59994]]

of the DFR mechanism; (2) the nature and extent of ``adverse comments'' 
that may provide the Secretary a reasonable basis for withdrawing the 
DFR, leading to further rulemaking under the accompanying NOPR; and (3) 
what constitutes the ``recommended standard contained in the 
statement,'' and the scope of any resulting DFR. Id. at 64706.
    With respect to (2) concerning the consideration of adverse 
comments, DOE created a balancing test as part of a 2011 DFR. 76 FR 
37408, 37422 (June 27, 2011). DOE has used this test consistently for 
DFRs it has issued to date. In the balancing test, DOE considers the 
substance of all adverse comments received (rather than quantity) and 
weighs them against the anticipated benefits of the Consensus Agreement 
and the likelihood that further consideration of the comments would 
change the results of the rulemaking. As a result of this latter 
consideration, DOE does not consider adverse comments that had been 
previously raised and addressed at an earlier stage in the rulemaking 
proceeding. DOE developed this balancing test approach to managing 
adverse comments to assist the Secretary in determining whether the 
comments provide a reasonable basis for withdrawing the DFR.
    Request for comment: DOE seeks comment on whether to amend the 
process rule to include provisions related to the use of DFRs. The 
development of DFRs by a representative group of regulated entities and 
other stakeholders can achieve a number of the objectives set out in 
the Process Rule, such as providing for early input from stakeholders 
and supporting efforts to build consensus on standards. DOE seeks 
comment on the balancing test and what constitutes a change in results 
of the standards or supporting analysis that the agency should consider 
when determining whether the comments provide a reasonable basis for 
withdrawing the DFR. To assist DOE in the development of any 
appropriate revisions, DOE also seeks further comment on the three 
issues outlined above from the October 2014 RFI. DOE also seeks comment 
on what it means for a statement to be submitted by interested persons 
that are ``fairly representative of relevant points of view.'' DOE 
seeks comment on what constitutes a relevant point of view and whether 
DOE should ensure that all relevant points of view have been taken into 
account before using the EPCA authority in 42 U.S.C. 6295(p)(4) to 
issue a DFR. More generally, DOE seeks comments on the strengths and 
weaknesses of using the DFR process to promulgate energy conservation 
standards.

B. Negotiated Rulemaking

    Negotiated rulemaking is a process by which an agency attempts to 
develop a consensus proposal for regulation in consultation with all 
interested parties and before issuing a proposed rule.\1\ The process 
allows an agency to address salient comments from interested parties 
prior to issuing a proposed rule. Consequently, negotiated rulemaking 
can yield better and more thoroughly vetted outcomes and may in some 
circumstances decrease the likelihood of costly litigation. DOE uses 
negotiated rulemakings as a means to engage the public, gather data and 
information, and attempt to reach consensus among interested parties to 
advance the rulemaking process.
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    \1\ This process is conducted in accordance with the 
requirements of the Negotiated Rulemaking Act (NRA), Public Law 104-
320 (5 U.S.C. 561-570).
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    In pursuit of the Department's goal of promoting negotiated 
rulemakings in appropriate cases, DOE established the Appliance 
Standards and Rulemaking Federal Advisory Committee (ASRAC) to comply 
with the Federal Advisory Committee Act (FACA), Public Law No. 92-463 
(1972) (codified at 5 U.S.C. App. 2). Generally speaking, FACA 
regulates the formation and operation of advisory committees by Federal 
agencies. The Department meets all of the FACA requirements for new 
advisory committees including public notice and a determination that 
the establishment will be in the public interest, a clearly defined 
purpose,\2\ membership that is fairly balanced in terms of points of 
view represented and the functions to be performed, and meetings that 
are open to public observation, subject to the exceptions as provided 
in the Government in the Sunshine Act (5 U.S.C. 552(b)).
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    \2\ ASRAC was created as a discretionary advisory committee to 
provide advice and recommendations related to: (1) The development 
of minimum efficiency standards for appliances and equipment, (2) 
the development of product test procedures; (3) the certification 
and enforcement of standards; (4) the labeling for various 
appliances and equipment; (5) specific issues of concern to DOE as 
requested by the Secretary of Energy, the Assistant Secretary for 
Energy Efficiency and Renewable Energy, and DOE's Building 
Technologies Office.
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    As part of the DOE process, working groups have been established 
for specific products and one member from the ASRAC committee attends 
the meetings of a specific working group. Ultimately, the working group 
reports to ASRAC, and ASRAC itself votes on whether to adopt a 
consensus agreement. In each negotiated rulemaking proceeding, DOE 
includes a process whereby the working group discusses and votes on how 
to define consensus. The Negotiated Rulemaking Act (NRA) defines 
consensus for a negotiated proceeding as being unanimity unless the 
negotiating group unanimously agrees to a different definition. In the 
cases where the group unanimously agrees to a different definition 
other than unanimous consensus, the selection of members to the working 
group becomes even more important. DOE's role in the negotiated 
rulemaking process is to provide technical advice to the parties and 
provide legal input where needed. DOE also has a vote in the consensus 
process among all of the parties of ASRAC.
    In DOE's experience with using negotiated rulemaking, DOE has found 
that the process allows real-time adjustments to the analyses as the 
working group is considering them, and it allows disparate parties to 
negotiate face-to-face regarding the terms of a potential standard. 
Negotiated rulemakings encourage manufacturers in a more direct manner 
to provide data to assist with the analysis which can help to better 
account for manufacturer concerns. It is important that agencies 
encourage full public participation in the process to ensure that the 
interests of parties who would be significantly affected by the rule 
are represented in the negotiations leading up to the proposed rule 
issued for public comment. In particular, the Negotiated Rulemaking Act 
(NRA) requires agencies to determine, in determining whether to proceed 
with a negotiated rulemaking, that a negotiated rulemaking committee 
can adequately represent the interests that will be significantly 
affected by a proposed action. 5 U.S.C. 565(a). The NRA further 
provides for agencies to use ``convenors'' to assist in identifying 
persons who would be significantly affected by a proposed rule, 
identifying issues of concern to these persons, and ascertaining 
whether establishment of a negotiated rulemaking committee is feasible 
and appropriate for a particular rulemaking. 5 U.S.C. 563(b). 
Facilitators can also be used to, as described in the NRA, chair 
meetings and assist members of the committee in conducting discussions. 
The facilitator, who cannot be a person designated to represent the 
agency on substantive issues, is to accomplish both of these tasks in 
an impartial manner. 5 U.S.C. 566(c). DOE has in the past used 
convenors and facilitators for some of its negotiated rulemakings and 
found that these individuals can assist DOE in

[[Page 59995]]

ensuring that relevant points of view are represented in the 
development of any particular rulemaking.
    Request for comment: DOE seeks comment on whether to amend the 
Process Rule to include the use of negotiated rulemaking in appropriate 
cases. The use of negotiated rulemaking can also achieve many of the 
objectives of the Process Rule, such as providing for early input from 
stakeholders; increasing the use of outside technical expertise and 
eliminating problematic design options early in the process, while 
exploring reasonable alternatives for consideration, when manufacturers 
and other interested parties can offer and debate expertise, data and 
information in real time as the rule is developed; conducting a 
thorough analysis of impacts for all alternatives that may affect 
different stakeholders differently and using transparent and robust 
analytical methods, for the same reasons; and supporting efforts to 
build consensus on standards when appropriate. DOE seeks comment on any 
and all issues related to the use of negotiated rulemaking in the 
development of energy conservation standards, including how DOE can 
improve its current use of the process as envisioned by the NRA. DOE 
acknowledges the concern that relevant parties or points of view must 
be represented during the negotiations to ensure the most appropriate 
outcome and associated burden and distribution of costs. In particular, 
DOE seeks comment on whether the Process Rule should be amended to 
provide for the use of a convenor or facilitator for each negotiated 
rulemaking. DOE also requests comment on amendments to the Process Rule 
that would ensure that all reasonable alternatives are explored in that 
process, including the option of not amending or issuing a standard and 
alternatives that will affect different stakeholders differently. DOE 
also requests comment on the use of the DFR mechanism at the conclusion 
of a negotiated rulemaking. (DFRs are discussed in Section A.)

C. Elimination of the Statutory Requirement for an Advance Notice of 
Proposed Rulemaking; Inclusion of Alternate Means To Gather Additional 
Information Early in the Process

    Throughout the Process Rule, there are many provisions that 
reference an Advance Notice of Proposed Rulemaking (ANOPR) as a step in 
the pre-NOPR process. Congress, however, eliminated the statutory 
requirement that DOE publish an ANOPR in rulemakings to establish or 
amend energy conservation standards when it enacted EISA.
    DOE emphasizes that it highly values public input early in the 
rulemaking process. Such early input assists DOE in determining whether 
new or amended standards are necessary, determining the scope of a 
particular rulemaking, gaining an understanding of the current market 
and current technologies, and identifying potential issues with DOE's 
analyses. So, even though DOE no longer has an obligation to issue an 
ANOPR, DOE may continue to use the ANOPR and other alternative 
mechanisms to receive early input and supplemental information from 
stakeholders. Regarding alternative mechanisms to receive early input, 
DOE routinely provides early opportunities for public input through 
Framework and Preliminary Analysis documents, Notices of Data 
Availability, and RFIs. DOE welcomes as much participation from as many 
stakeholders as possible in the pre-NOPR stage of its rulemakings to 
raise issues, provide data, and critique DOE's technical analyses, when 
stakeholders determine that the need exists.
    In November 2010, DOE announced certain changes on its website 
intended to improve its rulemaking process in appropriate 
circumstances. (See https://energy.gov/gc/articles/doe-announces-changes-energy-conservation-standards-process.) One of these potential 
changes was to, in appropriate circumstances, eliminate these 
preliminary steps in favor of issuing a proposed rule for public 
comment as the first phase of the rulemaking process. The 2010 
announcement provided some examples where DOE might issue a NOPR 
directly including: (1) Instances where the economic and technological 
data are well known and understood; (2) instances where the industry 
has experienced little change since the last rulemaking; and (3) 
instances where the product being regulated has a long history of 
rulemaking so it is anticipated that there is little new data to 
collect. Another example could be where DOE determined that there was a 
time-sensitivity in issuing the rulemaking.
    DOE received comments in response to its regulatory reform RFI that 
DOE should not eliminate these early steps, and that the circumstances 
enumerated by DOE where it may be appropriate to directly issue a NOPR 
are, instead, indicators that insufficient time has elapsed since the 
promulgation of a prior standard to begin work on a new standard. In 
such cases, the impacts of the previous standard have not yet had 
sufficient time to materialize so that DOE could analyze them in 
determining whether to issue a new standard. These commenters cautioned 
that DOE should not rush to issue a proposed rule, but should instead 
allow more time to elapse so that the impacts of the previous standard 
can be properly evaluated in the pre-rule documents DOE typically 
issues at the start of the rulemaking process. DOE also received 
comment suggesting that DOE amend the Process Rule to require 
retrospective review of current standards prior to beginning work on a 
new standard, to determine if the prior standard has achieved the 
anticipated energy savings and costs. Commenters also suggested that 
DOE provide advanced notice of planned data collection activities to 
allow parties to contribute.
    Request for comment: DOE seeks comment on whether the Process Rule 
should be revised to eliminate references to mandatory use of an ANOPR 
prior to issuing a proposed rule, but maintain the ANOPR and/or include 
any of the alternative pre-rule steps discussed above. The alternative 
pre-rule steps could provide an alternate means of achieving Process 
Rule objectives including the provision of early input from 
stakeholders; increasing predictability of the rulemaking timetable 
because regulated entities could count on these steps being taken; and 
eliminating problematic design options early in the process, conducting 
a thorough analysis of impacts, and using transparent and robust 
analytical methods, because regulated entities and other stakeholders 
would have more opportunity early in the process to analyze and 
question DOE's data and analytical methods. DOE could also modify the 
process rule to incorporate greater use of these additional data 
gathering tools without eliminating the ANOPR provisions. Additionally, 
DOE requests comment on whether, and if so how, DOE should perform a 
retrospective review of current standards and associated costs and 
benefits as part of any pre-rule process.

D. Application of the Process Rule to Commercial Equipment

    When it was originally promulgated in 1975, EPCA established a 
Federal program consisting of test procedures, labeling, and energy 
conservation standards for covered consumer products. Subsequent 
amendments to EPCA included provisions for the establishment of energy 
conservation standards for certain types of commercial equipment. For 
example, the Energy Policy Act of 1992 (EPACT 1992) expanded the 
coverage of the standards program to include certain

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commercial and industrial equipment, including commercial heating and 
air-conditioning equipment, water heaters, certain incandescent and 
fluorescent lamps, and electric motors. (Energy Policy Act of 1992, 
Pub. L. 102-486 (1992)) EPACT 1992 also called for, among other things, 
determination analyses for small electric motors, high-intensity 
discharge lamps, and distribution transformers.
    By its terms (and specifically by its title), the Process Rule is 
applicable only to consumer products. DOE has routinely followed the 
procedures set forth in the rule when establishing standards for 
commercial equipment, however, as there is no evident reason why DOE 
would want to use different procedures when establishing standards for 
such equipment.
    Request for comment: Should DOE amend the Process Rule to clarify 
that it is equally applicable to the consideration of standards for 
commercial equipment and to recognize DOE's current practice in 
applying the requirements of the process rule to commercial equipment? 
What would be the advantages and disadvantages of applying the Process 
Rule criteria to commercial equipment? Such a revision would help to 
ensure that Process Rule objectives are also achieved in the 
consideration of whether to develop or amend standards for commercial 
equipment.

E. Use of Industry Standards in DOE Test Procedures

    In the development of DOE test procedures, DOE routinely considers 
the test methods established in industry standards and often adopts 
such standards as the DOE test method but has chosen in the past to 
alter these standards for a variety of products and equipment. DOE has 
asserted a number of reasons for the modifications, such as to increase 
repeatability and reproducibility of the test method or because an 
industry test method provides, in DOE's view, incomplete information 
required for testing.
    DOE received comments in response to its regulatory reform RFI on 
the use of industry standards in DOE test procedures. Specifically, 
commenters requested that DOE consider using the industry standards, 
without modification, as the DOE test procedure. This approach could 
lead to process efficiencies and ease the test burden on manufacturers. 
DOE has also requested comment on this approach in recent RFIs for test 
procedures specific to a given product, such as small electric motors 
(82 FR 35468, July 31, 2017) and General Service Fluorescent Lamps, 
General Service Incandescent Lamps, Incandescent Reflector Lamps (82 FR 
37031; Aug. 8, 2017).
    Request for comment: DOE seeks comment on whether to modify the 
Process Rule to specify under what circumstances DOE would consider 
using the industry standard, without modification, as the DOE test 
procedure for a given product or equipment type. For example, DOE could 
consider adopting the industry standard whenever the industry test 
method meets the EPCA requirements of being reasonably designed to 
produce test results that measure energy efficiency, energy use, water 
use, or estimated annual operating cost of a covered product during a 
representative average use cycle or period of use, as determined by the 
Secretary, and of being not unduly burdensome to conduct, and whenever 
any benefits to using modified test methods are outweighed by the 
increased burden on manufacturers resulting from potential changes to 
the industry test method. Such a revision could achieve the Process 
Rule objective of increasing the use of outside technical expertise 
because DOE would focus primarily on the standard developed by 
industry, and any changes to that standard would occur only where the 
benefits outweighed the burdens on manufacturers.

F. Timing of the Issuance of DOE Test Procedures; Certification, 
Compliance and Enforcement; and Standards Rulemakings

    In response to DOE's regulatory reform RFI, commenters emphasized 
that DOE should follow the Process Rule, in particular with regard to 
the timing of the issuance of final test procedures and the 
commencement of a standards rulemaking. The Process Rule provides that 
final, modified test procedures will be issued prior to the notice of 
proposed rulemaking (NOPR) on proposed standards. However, DOE has 
argued in some rulemakings that it was unable to meet this requirement 
because, for example, DOE has not had the resources to produce test 
procedures on a schedule to meet the Process Rule schedule requirement. 
In other instances, DOE has stated that it lacked the technical 
information and data it needs to complete a given test procedure on 
this timeline. There have also been some instances where a test 
procedure has been finalized, but new data emerge during the standards 
rulemaking showing the finalized test procedure to be insufficient. 
Commenters on DOE's regulatory reform RFI argue, however, that these 
reasons counsel that DOE should, instead of rushing to complete a 
standards rulemaking, take the time and resources needed to gather the 
necessary technical information and develop the appropriate test 
procedure prior to commencing the standards rulemaking. Commenters have 
also asserted that it is necessary to finalize the test procedure 
before beginning work on a standards rulemaking to ensure that the 
effects of the test procedure on compliance with the standard can be 
analyzed, and to ensure that commenters can provide effective comments 
on both proposed test procedures and standards rules.
    Request for comment: DOE seeks comment on whether the provisions of 
the Process Rule regarding the issuance of a final test procedure rule 
before issuing a proposed standards rule should be amended to further 
ensure that the Department follows this process in developing test 
procedures and standards. For example, provisions could be added 
regarding DOE's development of a schedule for considering whether to 
amend a particular standard, and that schedule could include 
consideration of any test procedure changes that would result in the 
finalization of any changes prior to issuance of the proposed standards 
rule. Such a revision could achieve the Process Rule objectives of 
providing for early input from stakeholders, because stakeholder input 
on the test procedure would be fully developed prior to issuance of any 
proposed standard. The objective of increasing predictability of the 
rulemaking timetable could also be achieved through such a revision.
    DOE also issues certification, compliance, and enforcement 
regulations for all product categories. These rules are issued to 
ensure consistency in certifying that the residential, commercial and 
industrial equipment meet DOE's energy conservation standards and that 
they deliver the expected energy and cost savings. DOE has in the past 
issued the certification, compliance, and enforcement rulemakings for 
groups of product categories in one rulemaking as opposed to individual 
product categories in separate rulemakings. These rules establish the 
frequency of reporting of certification data to DOE as well as 
verifying the testing method, testing data, sample size, etc.
    Request for comment: DOE seeks comment on whether any new or 
amended certification, compliance, and enforcement rulemaking should be 
proposed and finalized at the same time as the energy efficiency 
standards so that the agency can consider the full compliance costs 
when choosing the

[[Page 59997]]

energy efficiency standard levels. DOE also seeks comment on how it 
could incorporate any potential cost or benefit impacts of the test 
procedure requirements in the decision making for the energy efficiency 
standard levels.

G. Improvements to DOE's Analyses

    Commenters on DOE's regulatory reform RFI suggested various ways to 
improve the analytical methods described in the Process Rule, such as 
enhancing the analysis of standards for employment impacts and the 
cumulative regulatory burden (e.g., providing for the development of 
guidance on including cumulative regulatory costs in analysis), the 
consideration of repair versus replacement dynamics, and improving 
discount rates. Other commenters suggested simplifying analytical 
processes and models to improve transparency.
    Request for comment: DOE seeks more specificity in the ways in 
which the Process Rule could be amended to improve DOE's analyses and 
models, and to achieve burden reduction and increased transparency for 
regulated entities and the public. DOE seeks comment on how to make the 
analysis and models more accessible to the public by including improved 
instructions, user manuals, plain language descriptions, online 
tutorials, or other means. DOE also seeks comment on increasing the 
accuracy of the projections made within the analysis. Proposals should 
be geared to achieving Process Rule objectives such as increasing the 
use of outside technical expertise; eliminating problematic design 
options early in the process; conducting a thorough analysis of impacts 
(including social benefits and costs, distribution of costs, projection 
of technology progress and the associated price forecasts); and using 
transparent and robust analytical methods.

H. Other Issues

    DOE also seek comment on topics not addressed in the current 
Process Rule and whether the Process Rule should be amended to address 
these topics.
    Should DOE consider adding to the Process Rule criteria for ``no 
amended standards'' determinations when supported by data and when 
small energy savings require significant upfront cost to achieve?
    Should DOE consider adding to the Process Rule criteria for 
consideration of voluntary, non-regulatory, and market-based 
alternatives to standards-setting?
    Should DOE consider adding to the Process Rule criteria for 
consideration of establishing for each covered product and equipment a 
baseline for energy savings that qualify as not significant and thus 
rendering revised energy conservation standards not economically 
justified?
    Should DOE make its compliance with the Process Rule mandatory?
    DOE seeks comments and information concerning the issue areas 
identified above, as well as any other aspects of the Process Rule that 
commenters believe can be improved. The Department notes that this RFI 
is issued solely for information and program-planning purposes. While 
responses to this RFI do not bind DOE to any further actions related to 
the response, all submissions will be made publically available on 
www.regulations.gov.

Approval of the Office of the Secretary

    The Secretary of Energy has approved the publication of this 
document.

    Issued in Washington, DC, on December 5, 2017.
Daniel R. Simmons,
Principal Deputy Assistant Secretary, Energy Efficiency and Renewable 
Energy, U.S. Department of Energy.
[FR Doc. 2017-27066 Filed 12-15-17; 8:45 am]
 BILLING CODE 6450-01-P