[Federal Register Volume 91, Number 150 (Thursday, August 6, 2026)]
[Proposed Rules]
[Pages 50998-51056]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2026-15953]



[[Page 50997]]

Vol. 91

Thursday,

No. 150

August 6, 2026

Part III





Department of the Interior





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 Bureau of Safety and Environmental Enforcement





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30 CFR Parts 250 and 254





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 Bureau of Ocean Energy Management





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30 CFR Part 550





Oil and Gas and Sulfur Operations on the Outer Continental Shelf--
Revisions to the Requirements for Exploratory Drilling on the Arctic 
Outer Continental Shelf; Proposed Rule

Federal Register / Vol. 91, No. 150 / Thursday, August 6, 2026 / 
Proposed Rules

[[Page 50998]]


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DEPARTMENT OF THE INTERIOR

Bureau of Safety and Environmental Enforcement

30 CFR Part 250 and 254

Bureau of Ocean Energy Management

30 CFR Part 550

[Docket ID: BSEE-2026-0133 EEEE500000-256E1700D2-ET1SF0000.EAQ000]
RIN 1082-AA05


Oil and Gas and Sulfur Operations on the Outer Continental 
Shelf--Revisions to the Requirements for Exploratory Drilling on the 
Arctic Outer Continental Shelf

AGENCY: Bureau of Safety and Environmental Enforcement (BSEE); Bureau 
of Ocean Energy Management (BOEM), Interior.

ACTION: Proposed rule.

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SUMMARY: The Department of the Interior (DOI or Department), acting 
through BSEE and BOEM (collectively, ``the Bureaus''), is proposing to 
revise its existing regulations for exploratory drilling and related 
operations on the Arctic Outer Continental Shelf (OCS), to reduce 
unnecessary burdens on stakeholders while ensuring that energy 
exploration on the Arctic OCS is safe and environmentally 
responsible.\1\ This proposed rule would revise certain requirements 
promulgated through the rule entitled, Oil and Gas and Sulfur 
Operations on the Outer Continental Shelf--Requirements for Exploratory 
Drilling on the Arctic Outer Continental Shelf (``2016 Arctic 
Exploratory Drilling Rule'') (see 81 FR 46478). This proposed rule 
would modify existing Arctic OCS blowout preventer (BOP) real-time 
monitoring requirements and add new provisions to BSEE's regulations 
pertaining to requirements for crane operations on artificial islands, 
suspensions of operations (SOO), and suspensions of production (SOP). 
This proposed rule would also revise certain parts of the Exploration 
Plan (EP) and Development and Production Plan (DPP) regulations 
implemented by BOEM.
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    \1\ Outer Continental Shelf Lands Act, sec. 3, 43 U.S.C. 1332.

DATES: Submit comments on this proposed rule to BSEE on or before 
October 5, 2026. The Bureaus may not fully consider comments received 
after this date. You may submit comments to the Office of Management 
and Budget (OMB) on the information collection burden in this proposed 
rule by September 8, 2026. The deadline for comments on the information 
collection burden does not affect the deadline for the public to 
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comment to the Bureaus on the proposed regulations.

ADDRESSES: You may submit comments on the proposed rule by any of the 
following methods. Please use the Regulation Identifier Number (RIN) 
1082-AA05 as an identifier in your message. See also Public 
Availability of Comments under Procedural Matters.
     Federal eRulemaking Portal: https://www.regulations.gov. 
In the entry entitled, ``Enter Keyword or ID,'' enter BSEE-2026-0133, 
then click search. Follow the instructions to submit public comments 
and view supporting and related materials available for this 
rulemaking, including a plain language summary of the proposed rule as 
required by 5 U.S.C. 553(b)(4). The Bureaus may post all submitted 
comments.
     Mail or hand-carry comments to the DOI, BSEE and BOEM: 
Attention: Regulations and Standards Branch, 45600 Woodland Road, VAE-
ORP, Sterling VA 20166. Please reference RIN 1082-AA05, ``Oil and Gas 
and Sulfur Operations on the Outer Continental Shelf--Revisions to the 
Requirements for Exploratory Drilling on the Arctic Outer Continental 
Shelf,'' in your comments, and include your name and return address.
     Email: [email protected].
     Send comments on the information collection in this rule 
to: Interior Desk Officer 1082-AA01, Office of Management and Budget; 
202-395-5806 (fax); or via the online portal at https://www.reginfo.gov/public/do/PRAMain. From this main web page, you can 
find and submit comments on this particular information collection by 
proceeding to the boldface heading ``Currently under Review,'' 
selecting ``Department of the Interior'' in the ``Select Agency'' pull 
down menu, clicking ``Submit,'' then, checking the box ``Only Show ICR 
for Public Comment'' on the next web page, scrolling to this proposed 
rule, and clicking the ``Comment'' button at the right margin. 
Alternatively, you may use the search function on the main web page. 
Please also send a copy to the Bureaus by one of the means previously 
described, and reference ``OMB Control Number 1014-[TBD] (Revisions to 
the Requirements for Exploratory Drilling on the Arctic Outer 
Continental Shelf) for BSEE-related comments or OMB Control Number 
1010-[TBD] (Revisions to the Requirements for Exploratory Drilling on 
the Arctic Outer Continental Shelf) for BOEM-related comments, as 
applicable, in the subject line of your comments.
     Public Availability of Comments: Please be aware that 
BOEM's and BSEE's practice is to make comments, including the names and 
addresses of individuals, available for public inspection. Before 
including your address, phone number, email address, and any personally 
identifiable information in your comment, please be advised that your 
entire comment, including your personally identifiable information, may 
be made publicly available at any time. For the Bureaus to consider 
withholding from disclosure your personally identifiable information, 
you must identify, in a cover letter, any information contained in your 
comments that, if released, would constitute a clearly unwarranted 
invasion of your personal privacy. You must also briefly describe any 
possible harmful consequences of the disclosure of information, such as 
embarrassment, injury, or other harm.
    Even if the Bureaus withhold your information in the context of 
this proposed rule, your submission is subject to the Freedom of 
Information Act (FOIA). If your submission is requested under the FOIA, 
your information will only be withheld if BOEM or BSEE determines that 
one of the FOIA exemptions to disclosure applies. Such a determination 
will be made in accordance with the Department's FOIA regulations and 
applicable law.
    The Bureaus will make available for public inspection all comments, 
in their entirety, submitted by organizations and businesses (except as 
provided material marked and exempted as proprietary information) or by 
individuals identifying themselves as representatives of organizations 
or businesses.

FOR FURTHER INFORMATION CONTACT: For technical questions related to 
regulatory changes BSEE is proposing in Part 250, contact Bobby Kurtz, 
BSEE, Acting Alaska OCS Regional Director, [email protected], 805-
384-6359. For technical questions related to regulatory changes BOEM is 
proposing in Part 550, contact Joel Immaraj, BOEM, Alaska Regional 
Office, [email protected], (907) 334-5238. For procedural questions 
contact Bryce Barlan, BSEE, Regulations and Standards Branch, 
[email protected], (703) 787-1126.

SUPPLEMENTARY INFORMATION:

Executive Summary

    Executive Orders (E.O.) and Secretary's Orders (S.O.) issued in 
2017

[[Page 50999]]

directed Federal agencies to review existing regulations that 
potentially burden the development or use of domestically produced 
energy resources and appropriately begin processes to potentially 
suspend, revise, or rescind those regulations that are determined to 
unduly burden the development of domestic energy resources, beyond the 
degree necessary to protect the public interest or otherwise comply 
with the law. E.O. 13795, Implementing an America-First Offshore Energy 
Strategy (see 82 FR 20815), which specifically called for a review of 
the 2016 Arctic Exploratory Drilling Rule, and S.O. 3350, America-First 
Offshore Energy Strategy, are discussed in more detail below in Section 
I. Background, Subsection B. Executive and Secretary's Orders.\2\
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    \2\ These Orders do not dictate outcomes; rather, they directed 
a review in accordance with applicable law.
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    In response to these orders, the Bureaus undertook a review of the 
regulations promulgated through the 2016 Arctic Exploratory Drilling 
Rule and, on December 9, 2020, the Bureaus issued a proposed rule 
titled Revisions to the Requirements for Exploratory Drilling on the 
Arctic Outer Continental Shelf (``2020 Proposed Revisions to the Arctic 
Exploratory Drilling Rule'') (see 85 FR 79266). However, on June 29, 
2021, the Bureaus withdrew the 2020 Proposed Revisions to the Arctic 
Exploratory Drilling Rule (see 86 FR 34172) due to a change in 
administration and policy.
    Subsequently, in January 2025, the President signed E.O. 14153, 
Unleashing Alaska's Extraordinary Resource Potential (see 90 FR 8347) 
and E.O. 14154, Unleashing American Energy (see 90 FR 8353), which 
aimed to expand natural resource development throughout the Nation and 
in Alaska to promote American energy independence. These E.O.s. also 
call upon the heads of Federal Agencies, including the Secretary of the 
Interior (Secretary) to review all existing regulations, orders, 
guidance documents, policies, and any other similar agency actions, and 
rescind, revoke, revise, amend, defer, or grant exemptions from those 
that limit energy development on Federal lands and waters. In response 
to these E.O.s, the Secretary issued S.O. 3422, Unleashing Alaska's 
Extraordinary Resource Potential, and S.O. 3418, Unleashing American 
Energy, both of which were intended to implement the policies in E.O. 
14153 and E.O. 14154.
    This proposed rule responds to the 2025 E.O.s and S.O.s and is also 
consistent with the efforts the Bureaus previously undertook through 
the 2020 Proposed Revisions to the Arctic Exploratory Drilling Rule. It 
would create more flexible and less costly compliance options in BSEE's 
and BOEM's regulations and is designed to ensure the safe, effective, 
and responsible exploration of Arctic OCS oil and gas resources, while 
protecting the marine, coastal, and human environments, and preserving 
Alaska Natives' cultural traditions and their access to subsistence 
resources. In particular, this proposed rule would revise certain 
provisions in 30 Code of Federal Regulations (CFR) Part 250, Subparts 
C, D, and G, 30 CFR part 254, subparts A and E, and 30 CFR part 550, 
subpart B, that were promulgated through the 2016 Arctic Exploratory 
Drilling Rule and pertain to:
    1. Definition of the ``Arctic OCS'';
    2 Pollution prevention;
    3. Arctic OCS Source Control and Containment Equipment (SCCE);
    4. BOP real-time monitoring requirements for the Arctic OCS;
    5. Relief rig capabilities for the Arctic OCS;
    6. Mudline cellars;
    7. Oil spill response plan-holder reviews;
    8. Timing and submission requirements related to Integrated 
Operations Plans (IOP) for proposed Arctic exploratory drilling;
    9. What must be included in the IOP; and
    10. What data and information must accompany the EP and DPP.
    This proposed rule would also revise certain provisions in 30 CFR 
part 250, subpart A, that are not addressed by the 2016 Arctic 
Exploratory Drilling Rule, but are relevant to the Arctic OCS or the 
Alaska OCS region and, therefore, are appropriate to address as part of 
this proposed rulemaking. These provisions pertain to:
    1. The factors that the BSEE Regional Supervisor may evaluate in 
assessing whether to grant an SOO or grant or direct an SOP to address 
unique and specific conditions relevant only to exploration and 
development activities in the Alaska OCS region; and
    2. Cranes used for operations on artificial islands.

Table of Contents:

I. Background
    A. BSEE and BOEM Statutory and Regulatory Authority and 
Responsibilities
    B. Executive and Secretary's Orders
    C. Purpose and Summary of the Rulemaking
    D. Procedures for Incorporation by Reference and Availability of 
Incorporated Documents for Public Viewing
II. Section-by-Section Discussion of Proposed Changes
    A. Key Revisions Proposed by BSEE
    Title 30, Chapter II, Subchapter B, Part 250
    Subpart A--General
     Definitions (Sec.  250.105)
     What requirements must I follow for cranes and other 
material-handling equipment? (Sec.  250.108)
     What requirements must I follow for cranes and other 
material-handling equipment? (Sec.  250.108)
     How long does a suspension last? (Sec.  250.170)
     How do I request a suspension? (Sec.  250.171)
     When may the Regional Supervisor grant or direct an 
SOP? (Sec.  250.174)
     When may the Regional Supervisor grant an SOO? (Sec.  
250.175)
     Documents Incorporated by Reference. (Sec.  250.198)
    Subpart C--Pollution Prevention and Control
     Pollution Prevention. (Sec.  250.300)
    Subpart D--Oil and Gas Drilling Operations
     What are the real-time monitoring requirements for 
Arctic OCS exploratory drilling operations? (Sec.  250.452)
     What additional information must I submit with my APD 
for Arctic OCS exploratory drilling operations? (Sec.  250.470)
     What are the requirements for Arctic OCS source control 
and containment? (Sec.  250.471)
     What are the additional well control equipment or 
relief rig requirements for the Arctic OCS? (Sec.  250.472)
    Subpart G--Well Operations and Equipment
     When and how must I secure a well? (Sec.  250.720)
     What are the real-time monitoring requirements? (Sec.  
250.724)
    Title 30, Chapter II, Subchapter B, Part 254
    Subpart A--General
     Definitions. (Sec.  254.6)
    Subpart E--Oil-Spill Response Requirements for Facilities 
Located on the Arctic OCS
     What are the additional requirements for facilities 
conducting exploratory drilling from a MODU on the Arctic OCS? 
(Sec.  254.70)
    B. Key Revisions Proposed by BOEM
    Title 30, Chapter V, Subchapter B, Part 550
    Subpart B--Plans and Information
     Definitions. (Sec.  550.105)
     Removal of Sec.  550.204, When must I submit my IOP for 
proposed Arctic exploratory drilling operations and what must the 
IOP include?
     How do I submit the EP, DPP, or DOCD? (Sec.  550.206)
     What must the EP include? (Sec.  550.211)
     If I propose activities in the Arctic OCS Region, what 
planning information must accompany the EP? (Sec.  550.220)
III. Additional Comments Solicited
IV. Procedural Matters
    A. Regulatory Planning and Review (E.O. 12866 and 13563)

[[Page 51000]]

    B. Reducing Regulatory Burdens (E.O. 14192)
    C. Unleashing American Energy and Alaska's Extraordinary 
Resource Potential (E.O.s 14153 and 14154)
    D. Regulatory Flexibility Act and Small Business Regulatory 
Enforcement Fairness Act
    E. Unfunded Mandates Reform Act of 1995 (UMRA)
    F. Takings Implication Assessment
    G. Federalism (E.O. 13132)
    H. Civil Justice Reform (E.O. 12988)
    I. Consultation with Indian Tribes (E.O. 13175)
    J. Paperwork Reduction Act (PRA)
    K. National Environmental Policy Act of 1969 (NEPA)
    L. Data Quality Act
    M Effects on the Nation's Energy Supply (E.O. 13211)
    N. National Technology Transfer and Advancement Act (NTTAA)
    O. Clarity of Regulations
    P. Severability

List of Acronyms and References

 
 
 
60-Day Report.....................  Report to the Secretary of the
                                     Interior, Review of Shell's 2012
                                     Alaska Offshore Oil and Gas
                                     Exploration Program
2016 Arctic Exploratory Drilling    Oil and Gas and Sulfur Operations on
 Rule.                               the Outer Continental Shelf-
                                     Requirements for Exploratory
                                     Drilling on the Arctic Outer
                                     Continental Shelf, see 81 FR 46478,
                                     July 15, 2016 (available at https://www.federalregister.gov/documents/2016/07/15/2016-15699/oil-and-gas-and-sulfur-operations-on-the-outer-continental-shelf-requirements-for-exploratory exploratory)
2020 Proposed Revisions to the      Oil and Gas and Sulfur Operations on
 Arctic Exploratory Drilling Rule.   the Outer Continental Shelf-
                                     Revisions to the Requirements for
                                     Exploratory Drilling on the Arctic
                                     Outer Continental Shelf, see 85 FR
                                     79266, December 9, 2020 (available
                                     at https://www.federalregister.gov/documents/2020/12/09/2020-25818/oil-and-gas-and-sulfur-operations-on-the-outer-continental-shelf-revisions-to-the-requirements-for#h-63 63)
ABS...............................  American Bureau of Shipping
ACP...............................  Alternative Compliance Program
ANCSA.............................  Alaska Native Claims Settlement Act
APD...............................  Application for Permit to Drill
API...............................  American Petroleum Institute
Arctic OCS........................  OCS oil and gas planning areas that
                                     include any portion of their
                                     geographic extent located north of
                                     66[deg]33' N latitude
ASME..............................  The American Society of Mechanical
                                     Engineers
AWKS..............................  Alternative Well Kill System
BOEM..............................  Bureau of Ocean Energy Management
BOP...............................  Blowout Preventer
Bratslavsky and SolstenXP 2018....  Suitability of Source Control and
                                     Containment Equipment versus Same
                                     Season Relief Well in the Alaska
                                     Outer Continental Shelf Region,
                                     October 2018
BSEE..............................  Bureau of Safety and Environmental
                                     Enforcement
CFR...............................  Code of Federal Regulations
CWA...............................  Clean Water Act
Department........................  Department of the Interior
DNV GL............................  Det Norske Veritas and Germanischer
                                     Lloyd
DOCD..............................  Development Operations Coordination
                                     Document
DOI...............................  Department of the Interior
DPP...............................  Development and Production Plan
EA................................  Environmental Assessment
EIA...............................  Environmental Impact Analysis
E.O...............................  Executive Order
EP................................  Exploration Plan
EPA...............................  Environmental Protection Agency
FACA..............................  Federal Advisory Committee Act
G&G...............................  Geological and geophysical
IC................................  Information Collection
IOP...............................  Integrated Operations Plan
RIA...............................  Regulatory Impact Analysis
LMRP..............................  Lower Marine Riser Package
MASP..............................  Maximum Anticipated Surface
                                     Pressures
MMS...............................  Minerals Management Service
MODU..............................  Mobile Offshore Drilling Unit
NAICS.............................  North American Industry
                                     Classification System
NEPA..............................  National Environmental Policy Act of
                                     1969
NPC...............................  National Petroleum Council
NPC 2015 Report...................  Arctic Potential: Realizing the
                                     Promise of U.S. Arctic Oil and Gas
                                     Resources
NPC 2019 Report...................  Supplemental Assessment to the 2015
                                     Report on Arctic Potential:
                                     Realizing the Promise of U.S.
                                     Arctic Oil and Gas Resources
NPDES.............................  National Pollutant Discharge
                                     Elimination System
NTL...............................  Notice to Lessees and Operators
OCS...............................  Outer Continental Shelf
OCSLA.............................  Outer Continental Shelf Lands Act
ODCE..............................  Ocean Discharge Criteria Evaluations
OFR...............................  Office of the Federal Register
OIRA..............................  Office of Information and Regulatory
                                     Affairs
OMB...............................  Office of Management and Budget
OSRP..............................  Oil Spill Response Plan
OSPD..............................  Oil Spill Preparedness Division
PRA...............................  Paperwork Reduction Act
RIN...............................  Regulation Identifier Number
ROV...............................  Remotely Operated Vehicle
ROT...............................  Remotely Operated Tool
RP................................  Recommended Practice

[[Page 51001]]

 
SCCE..............................  Source Control and Containment
                                     Equipment
Secretary.........................  Secretary of the Interior
S.O...............................  Secretary's Orders
SEMS..............................  Safety and Environmental Management
                                     Systems
SSID..............................  Subsea Isolation Device
SSRW..............................  Same Season Relief Well
SOO...............................  Suspensions of Operations
SOP...............................  Suspensions of Production
UMRA..............................  Unfunded Mandates Reform Act of 1995
U.S...............................  United States
USCG..............................  U.S. Coast Guard
WCR...............................  Well Control Rule
WCD...............................  Worst Case Discharge
 

I. Background

A. BSEE and BOEM Statutory and Regulatory Authority and 
Responsibilities

    The OCSLA, 43 U.S.C. 1331 et seq., was first enacted in 1953 and 
substantially amended in 1978. In amending OCSLA, Congress established 
a national policy of making the OCS ``available for expeditious and 
orderly development, subject to environmental safeguards, in a manner 
which is consistent with the maintenance of competition and other 
national needs.'' (43 U.S.C. 1332(3)). OCSLA authorizes the Secretary 
to lease the OCS for mineral development and to regulate oil and gas 
exploration, development, and production operations on the OCS. As 
described in case law, ``OCSLA allows the Secretary of the Interior to 
regulate oil and gas leasing on the OCS. Id. Sec.  1334(a). He 
delegated this power to two subordinate agencies, including [BOEM and 
BSEE]. Dep't of Interior, Secretarial Order No. 3299 (May 19, 2010). 
Under OCSLA, the Secretary `may at any time prescribe and amend such 
rules and regulations as he determines to be necessary and proper in 
order to provide for the prevention of waste and conservation of the 
natural resources of the [OCS].' 43 U.S.C. 1334(a). The statute 
specifies that `[t]he regulations prescribed by the Secretary under 
this subsection shall include, but not be limited to' [the prompt and 
efficient exploration and development of a lease area] . . . .'' Id. 
Sec.  1334(a)(1)-(8).'' Gulf v. Bureau of Ocean Energy Mgmt., 2026 U.S. 
Dist. LEXIS 60712, at *2-3 (D.D.C. Mar. 23, 2026).
    BOEM's mission is to manage the development of the OCS energy and 
mineral resources in an environmentally and economically responsible 
way. BOEM's functions include: leasing; EP administration; DPP and DOCD 
administration; permitting of G&G activities; environmental analyses in 
compliance with federal law and regulation; resource evaluation; oil 
spill WCD determination; economic analysis and fair market value bid/
lease evaluations; management of the OCS renewable energy and marine 
mineral programs; coordination with other entities at the local (e.g., 
North Slope Borough, Native Villages), State, and Federal levels (e.g., 
National Oceanic and Atmospheric Administration Fisheries, USCG), as 
well as consultation with federally recognized ANCSA Tribes and 
Corporations related to activities within BOEM's activities and areas 
of responsibility.
    BSEE is responsible for safety and environmental enforcement 
functions, including, but not limited to, permitting activities, 
inspections, investigations, summoning witnesses and ordering the 
production of evidence; levying penalties; canceling or suspending 
activities; \3\ compliance with federal environmental laws and 
regulations; coordination with other entities at the local (e.g., North 
Slope Borough, Native Villages), State, and Federal levels (e.g., 
National Oceanic and Atmospheric Administration Fisheries, USCG), as 
well as consultation with federally recognized ANCSA Tribes and 
Corporations; and overseeing safety, oil spill response, and removal 
preparedness. BSEE's mission is to promote safety, protect the 
environment, and conserve resources through vigorous regulatory 
oversight and enforcement. BSEE's functions include evaluating permit 
applications for post-lease oil and natural gas exploration and 
development activities on the OCS and conducting inspections to ensure 
compliance with laws, regulations, lease terms, and approved plans and 
permits.
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    \3\ Based on the plain language of OCSLA section 5, Congress 
required the Department to issue regulations concerning suspensions. 
``The [OCSLA] regulations prescribed by the Secretary under this 
subsection shall include, but not be limited to, provisions . . . 
for the suspension or temporary prohibition of any operation or 
activity, including production, pursuant to any lease or permit (A) 
at the request of a lessee, in the national interest, to facilitate 
proper development of a lease or to allow for the construction or 
negotiation for use of transportation facilities, or (B) if there is 
a threat of serious, irreparable, or immediate harm or damage to 
life (including fish and other aquatic life), to property, to any 
mineral deposits (in areas leased or not leased), or to the marine, 
coastal, or human environment . . . .'' 43 U.S.C. 1334(a)(1).
    See also, Hornbeck Offshore Servs., L.L.C. v. Salazar, 696 F. 
Supp. 2d 627, 638 (E.D. La. 2010). ``OCSLA permits suspension of 
`any operation or activity . . . pursuant to any lease or permit.' 
'' (Quoting, 43 U.S.C. 1334(a)(1)).
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    BOEM evaluates EPs, and BSEE, thereafter, evaluates APDs and other 
permits and applications, to determine whether the operator's proposed 
activities meet OCSLA's standards and each Bureau's regulations 
governing OCS exploration. Based on the Bureaus' evaluations, they will 
respectively either approve the operator's EP and APD, require the 
operator to modify its submissions, or disapprove the EP or APD (Sec.  
250.410, How do I obtain approval to drill a well?). The review and 
approval of these activities is outlined below in the following 
section.
1. BOEM Approval of the EP
    As promulgated through the 2016 Arctic Exploratory Drilling Rule, 
Sec.  550.204, When must I submit my IOP for proposed Arctic 
exploratory drilling operations and what must the IOP include?, 
requires that a lessee submit an IOP at least 90 days before filing an 
EP with BOEM, if that EP would involve exploration for oil and gas on 
the Arctic OCS. While the IOP is not subject to approval, the 
submission is intended to facilitate the prompt sharing of information 
among the relevant Federal agencies that may be involved in overseeing 
exploratory drilling operations conducted from MODUs. The operator may 
then submit an EP to BOEM for approval. An EP must include information, 
such as a schedule of anticipated exploration activities, equipment to 
be used, the general location of each well to be drilled, and any other 
information deemed pertinent by BOEM (Sec. Sec.  550.211 through 
550.228).
2. BSEE Approval of the APD
    Approval of an EP does not, by itself, permit the operator to 
proceed with exploratory drilling. After BOEM approves the EP, the 
operator must submit an APD to BSEE. BSEE then determines whether it 
will approve the

[[Page 51002]]

APD. The operator must receive an approval from BSEE before it may 
drill a well (43 U.S.C. 1340(d); Sec.  250.410). Among other things, 
the APD must be consistent with the approved EP and include information 
on the well location, the drilling design and procedures, casing and 
cementing programs, the diverter and BOP systems, MODU (if one is to be 
used), and any additional information requested by the BSEE Regional 
Supervisor.

B. Executive and Secretary's Orders

    On April 28, 2017, the President issued E.O. 13795, Implementing an 
America-First Offshore Energy Strategy (see 82 FR 20815), which 
directed the Secretary to ``take all steps necessary to review'' the 
2016 Arctic Exploratory Drilling Rule and, ``if appropriate, [to,] as 
soon as practicable and consistent with law, publish for notice and 
comment a proposed rule suspending, revising, or rescinding this 
rule.'' The policy underlying E.O. 13795 is ``to encourage energy 
exploration and production, including on the OCS, in order to maintain 
the Nation's position as a global energy leader and foster energy 
security and resilience for the benefit of the American people, while 
ensuring that any such activity is safe and environmentally 
responsible.''
    To further implement E.O. 13795, on May 1, 2017, the Secretary 
issued S.O. 3350, America-First Offshore Energy Strategy, directing the 
Bureaus to review the 2016 Arctic Exploratory Drilling Rule ``for 
consistency with the policy set forth in section 2 of E.O. 13795'' and 
to prepare a report ``summarizing the review and providing 
recommendations on whether to suspend, revise, or rescind the rule.''
    Consistent with E.O. 13795 and S.O. 3350, the Bureaus reviewed the 
regulations promulgated through the 2016 Arctic Exploratory Drilling 
Rule and, on December 9, 2020, issued the 2020 Proposed Revisions to 
the Arctic Exploratory Drilling Rule to reduce unnecessary burdens on 
industry while maintaining safety and environmental protection. On June 
29, 2021, the Bureaus withdrew the proposed rule (see 86 FR 34172) due 
to a change in administration and policy, and in response to E.O. 
13990, Protecting Public Health and the Environment and Restoring 
Science to Tackle the Climate Crisis (see 86 FR 7037), which revoked 
E.O. 13795.
    In January 2025, the President signed E.O. 14153, Unleashing 
Alaska's Extraordinary Resource Potential (see 90 FR 8347) and E.O. 
14154, Unleashing American Energy (see 90 FR 8353). E.O. 14153 
established new policy for the U.S. to fully avail itself of Alaska's 
vast lands and resources for the benefit of the Nation and the American 
citizens who call Alaska home. The E.O. called upon the heads of all 
executive departments and agencies to rescind, revoke, revise, amend, 
defer, or grant exemptions from any and all regulations, orders, 
guidance documents, policies, and any other similar agency actions that 
are inconsistent with the policy set forth in the E.O. In February 
2025, the Secretary issued S.O. 3422, Unleashing Alaska's Extraordinary 
Resource Potential, and S.O. 3418, Unleashing American Energy, to 
implement the policies set forth in E.O. 14153 and E.O. 14154.
    E.O. 14154 outlines a broad federal energy policy aimed at 
expanding domestic energy production and reducing regulatory 
constraints. The E.O. supports energy exploration and production on 
Federal lands and waters, including on the OCS, in order to meet the 
needs of our citizens and solidify the U.S. as a global energy leader 
long into the future. To that end, it directs all Federal agencies to 
review all agency actions, including existing regulations, to identify 
those agency actions that impose an undue burden on the identification, 
development, or use of domestic energy resources, with particular 
attention to, among other resources, oil and natural gas, or that are 
otherwise inconsistent with the policies set forth in the E.O. The 
Bureaus are proposing the revisions contained in this rulemaking in 
response to these recent E.O.s and S.O.s.

C. Purpose and Summary of the Rulemaking

    Since publication of the 2016 Arctic Exploratory Drilling Rule, the 
Bureaus have become aware of additional information informing and 
warranting the bureaus' reconsideration of certain regulatory 
provisions promulgated through that rule. BSEE commissioned a 
Technology Assessment Program study (Bratslavsky and SolstenXP 2018) 
that entailed a historical statistical analysis of a 5-year period on 
Alaska's Arctic OCS drilling seasons (between 2012 and 2016), in which 
meteorology and physical oceanographic (``metocean'') and operational 
conditions would support the safe deployment of SCCE, the drilling of a 
relief well, or both. The study included a comprehensive review and gap 
analysis of U.S. and international regulations, standards, RPs, 
specifications, technical reports, and common industry methods 
regarding the safe deployment of SCCE, as compared to the effectiveness 
of drilling a relief well in Arctic conditions.
    The Bratslavsky and SolstenXP 2018 study determined that metocean 
conditions prevalent in the Chukchi Sea and Beaufort Sea (i.e., rough 
sea states and sea ice conditions, primarily) are key factors that 
limit the ability to safely deploy SCCE throughout the Arctic OCS. The 
study determined that, when operating in the presence of sea ice in the 
Chukchi Sea and the Beaufort Sea, there is a greater probability for 
safe relief well deployment versus SCCE deployment. When operating in 
open water conditions (i.e., those prone to rough sea states) in the 
Chukchi Sea, there is also a greater probability for safe deployment of 
a relief rig versus SCCE. In the Beaufort Sea, the probability for 
safely deploying relief rigs and SCCE is the same. This is because the 
Beaufort Sea has fewer ice-free days than the Chukchi Sea and ice helps 
maintain calm sea state conditions.
    The study also determined that water depth in the Arctic OCS is an 
additional factor limiting the safe deployment of SCCE. Safe deployment 
of SCCE is likely to be impaired in water depths shallower than 984 
feet because the equipment could potentially encounter a gas boil at 
the surface caused by a subsea blowing well (Bratslavsky and SolstenXP 
2018 at 143). Water depths in the majority of both the Chukchi Sea and 
Beaufort Sea where exploration has historically occurred are relatively 
shallow--167 feet or less (id. at 7 to 9). This water depth range 
limits the capabilities of support vessels that could be used for the 
safe deployment of SCCE.
    The NPC \4\ also published its NPC 2019 Report as a supplemental 
assessment to the NPC 2015 Report. The NPC prepared the NPC 2019 Report 
in response to an April 2018 request from the Secretary of Energy to 
provide recommendations for enhancing the Nation's regulatory 
environment by improving reliability, safety, efficiency, and 
environmental stewardship of oil and gas activities on the OCS. That 
report specifically addressed the

[[Page 51003]]

regulatory burdens associated with Arctic OCS development.
---------------------------------------------------------------------------

    \4\ The NPC is a FACA-chartered advisory committee established 
to provide advice, information, and recommendations to the Secretary 
of Energy and the entire Executive Branch on matters related to oil 
and natural gas or the oil and gas industries. The council's 
membership encompasses all segments of the oil and gas industries, 
including both large and small companies. Additionally, the NPC 
includes members whose interests extend beyond oil and gas 
operations, such as representatives from academic, financial, and 
research institutions, Native American groups, and public interest 
organizations.
---------------------------------------------------------------------------

    Key findings from the NPC's 2019 supplemental assessment include 
that the requirement to drill a SSRW to mitigate the risk of a late 
season well control event continuing over the winter season is 
``outdated.'' The NPC also concluded that SSID and capping stacks are 
superior solutions that could stop the flow of oil and allow 
intervention through the original borehole before a relief well could 
be completed (NPC 2019Report at 19). Details in the report regarding 
Russia's 2014 drilling operation that included the use of an SSID in 
the South Kara Sea also informs this proposed rule. The Kara Sea is a 
useful model for technical and operational challenges faced in the U.S. 
Arctic OCS. Both areas have similar cold climates, seasonal sea ice, 
and are located in isolated geographical regions with limited emergency 
response capabilities. Equipment used in the Kara Sea--like SSIDs with 
full well shut-in and winter isolation capabilities--could be applied 
similarly to proposed operations in the Arctic OCS, given the similar 
environmental and operational conditions between the two areas.
    In this proposed rule, the Bureaus also address other issues in 
addition to those addressed in the 2016 Arctic Exploratory Drilling 
Rule, including seasonal weather-related constraints in the Arctic that 
severely impact an operator's ability to safely perform leaseholding 
operations or operations to initiate production for a significant 
portion of the term on a lease. BSEE is also addressing the use of 
cranes for operations on artificial islands in the Arctic OCS. BSEE's 
existing crane-related regulations expressly address fixed platforms 
installed on open waters, which are not the same types of cranes used 
on artificial islands. Cranes used on artificial islands are similar to 
those used on land, i.e., mobile cranes, which are not fixed in place 
(such as on an offshore facility) and may have wheels or tracks so as 
to lift and transport materials on location. While these issues are in 
addition to those addressed by the 2016 Arctic Exploratory Drilling 
Rule, they are unique to the Alaska OCS region and, therefore, are 
appropriate to address as part of this proposed rulemaking.
    This proposed rule would leave most of the regulations promulgated 
by the 2016 Arctic Exploratory Drilling Rule unaltered, except for 
certain proposed changes to accommodate technological innovation and 
encourage energy exploration on the Arctic OCS. Based on the 
information gathered from the Bratslavsky and SolstenXP 2018 study, and 
global practical experience gained over the years, as described in the 
NPC Reports, the Bureaus believe that these proposed revisions reduce 
unnecessary regulatory burdens on stakeholders and increase the ability 
to review and apply advancing technological innovations, while ensuring 
safety and environmental protection.
    The following paragraphs briefly summarize the key elements of this 
proposed rule, which are more fully explained in Section II. Section-
by-Section Discussion of Proposed Changes of this preamble:
    1. Definition of the ``Arctic OCS''--The Bureaus propose to modify 
the definition of the ``Arctic OCS'' to include all OCS oil and gas 
planning areas that include any portion of their geographic extent 
located north of 66[deg]33' N latitude. Although the 1984 Arctic 
Research and Policy Act extends the U.S. Arctic boundary to the 
Aleutian chain, this proposed rule only applies to planning areas north 
of 66[deg]33' N that are subject to and distinguished by persistent 
Arctic oceanographic and meteorological conditions. This would mean 
that, in addition to the Chukchi Sea and Beaufort Sea planning areas, 
the new High Arctic Planning Area and existing Hope Basin Planning Area 
would also be part of the Arctic OCS. In April 2025, as part of its 
efforts to establish the 11th National OCS Oil and Gas Leasing Program, 
BOEM revised the OCS planning areas used for agency planning and 
administrative purposes for oil and gas activities to reflect 
jurisdictional changes since they were last updated. This included the 
establishment of a new High Arctic Planning Area.
    2. Pollution Prevention (Water-Based Mud and Cuttings)--BSEE 
proposes to eliminate references to the Regional Supervisor's 
discretionary authority to require the capture of water-based muds and 
cuttings in those cases where subsistence values might be impacted by 
such discharges. While not intended, BSEE understands that this 
reference has created some uncertainty for the regulated industry, 
because it appeared to overlap with regulation by the EPA and, if 
implemented, might result in BSEE issuing requirements that contradict 
EPA's requirements.
    3. Arctic OCS SCCE--BSEE would preserve the requirement for the 
operator to have access to its SCCE, which includes the capping stack, 
cap and flow system, and containment dome, when drilling below or 
working below the surface casing. However, with respect to the capping 
stack, BSEE proposes to modify the equipment's positioning requirement 
by providing an opportunity to the operator to adjust the point in time 
during operations when it must position its capping stack so that it is 
available to arrive at the well location within 24 hours after a loss 
of well control. If the operator is able to demonstrate to BSEE, based 
on documentation it submits as part of its APD, that the operations it 
plans to conduct below the surface casing would not encounter any 
abnormally high-pressured zones or other geological hazards before 
reaching the last casing point prior to penetrating a zone capable of 
flowing hydrocarbons in measurable quantities, then BSEE will allow the 
operator to delay its positioning of the capping stack until reaching 
that casing point. BSEE's proposal to delay the positioning of the 
capping stack would be based on the documentation that the operator 
provides as well as any relevant data and information.
    The existing regulations also impose a positioning requirement on 
the cap and flow system, and the containment dome when drilling below 
or working below the surface casing--slightly different from the 
capping stack. The cap and flow system and the containment dome must be 
``positioned to ensure that it will arrive at the well location within 
7 days after a loss of well control.'' BSEE proposes to eliminate the 
requirement for the operator to ensure that the containment dome and 
cap and flow system are positioned so as to arrive at the well location 
within seven days after a loss of well control. The Bratslavsky and 
SolstenXP 2018 study evaluated industry methods and standards for 
deploying SCCE in Arctic OCS conditions, and determined that 
meteorological conditions (e.g., rough sea state and sea ice 
conditions) prevalent in the Chukchi Sea and Beaufort Sea are the key 
factors limiting the time periods when SCCE may be safely deployed 
throughout the Arctic OCS. This is discussed in further detail below in 
Section II. Section-by-Section Discussion of Proposed Changes, under 
the subheading What are the requirements for Arctic OCS source control 
and containment? (Sec.  250.471). It is not practical for the BSEE-
administered regulations to prescribe that certain SCCE (containment 
dome and cap and flow system, in particular) be positioned within 
proximity to a well location when the conditions for safely deploying 
this equipment in the Arctic OCS are limiting. BSEE would, however, 
retain other existing containment dome and cap and flow system 
requirements in Sec.  250.471, which provide that the operator must:

[[Page 51004]]

    (i) Demonstrate that it has access to a containment dome and cap 
and flow system;
    (ii) Provide a containment dome and cap and flow system that meets 
BSEE's operating standards;
    (iii) Conduct tests or exercises for all SCCE; and
    (iv) Maintain records pertaining to the testing, inspection, 
maintenance, and use of the SCCE and make these available to BSEE upon 
request.
    These changes would preserve the regulations' requirement that 
operators have redundant protective measures that are appropriate for 
Arctic OCS conditions because there is no guarantee that a single 
measure could control or contain a WCD.
    4. BOP Real-time Monitoring Requirements for the Arctic OCS--The 
Arctic OCS's BOP real-time monitoring requirements are currently 
inconsistent with the general BOP real-time monitoring requirements 
that apply throughout the OCS. When the 2016 Arctic Exploratory 
Drilling Rule was developed, BSEE was still working to establish 
overarching real-time monitoring requirements in 30 CFR 250 subpart G. 
Since 2016, these requirements have been revised and fully implemented, 
making it unnecessary to maintain separate, duplicative requirements 
for the Arctic. As a result, BSEE proposes to align the Arctic's BOP 
real-time monitoring with the real-time monitoring requirements 
applicable in other parts of the OCS.
    5. Relief Rig Capabilities for the Arctic OCS--BSEE proposes to 
revise the relief rig and SSRW requirements by providing the operator 
with the option of using an SSID or having access to a relief rig as an 
additional means to secure the well in the event of a loss of well 
control, if the operator will be conducting exploratory drilling 
operations from a MODU. In addition, BSEE proposes to provide an 
opportunity to the operator to adjust the point in time during 
operations when it must stage its relief rig (if the operator elects to 
have access to a relief rig) when conducting Arctic OCS exploratory 
drilling operations. An operator would be able to delay the staging of 
its relief rig until its operations have reached the ``last casing 
point prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities,'' rather than below the ``surface casing.'' If 
the operator is able to demonstrate to BSEE, based on documentation it 
submits as part of its APD, that the operations it plans to conduct 
below the surface casing would not encounter any abnormally high-
pressured zones or other geological hazards before reaching the last 
casing point prior to penetrating a zone capable of flowing 
hydrocarbons in measurable quantities, then BSEE will allow the 
operator to delay its staging of the relief rig until reaching that 
casing point. BSEE's proposal to permit the delay of the staging of the 
relief rig will be based on the documentation that operator provides, 
as well as any other available data and information. In the relief rig 
and SSRW regulation, BSEE would also eliminate the reference to 
expected seasonal ice encroachment because the relevant timeframes for 
operations should be based on the capabilities of the operator's rig 
and equipment to operate in the applicable ice conditions, rather than 
an absolute date.
    6. Mudline Cellars--BSEE proposes to clarify the requirement that 
an operator, in areas of ice scour, must use a mudline cellar when 
drilling that is designed to minimize the risk of damage to the well 
head and wellbore. The existing regulation could be read to require the 
operator to use a mudline cellar in all cases, except when the operator 
can prove that the mudline cellar would present an operational risk, 
and that was not BSEE's intent. This proposed change would make it 
clear that the operator has more flexibility to propose to employ 
alternate procedures or equipment instead of the mudline cellar under 
appropriate circumstances, as provided by the longstanding provisions 
of Sec.  250.141, May I ever use alternate procedures or equipment?; 
not just when a mudline cellar would present an operational risk and if 
the operator is able to demonstrate that the alternate procedure or 
equipment would provide a level of safety and environmental protection 
that equals or surpasses the mudline cellar requirement.
    7. IOP--BOEM proposes to eliminate the requirement that the 
operator submit an IOP because it requires submission of information 
that overlaps with that required in the EP and the IOP's early 
information sharing is unnecessary in light of BOEM's practice for 
reviewing and coordinating review of the EP. Consequently, the operator 
is already aware that it must plan for how it will reduce operational 
risks and address the challenges associated with operations on the 
Arctic OCS through its EP. BOEM is proposing to move certain 
requirements for the IOP to the information required for EPs and delete 
the remaining requirements that were for the IOP only.
    8. Seasonal Conditions SOO--The unique seasonal conditions in the 
Alaska OCS region make it difficult or physically impossible for 
operators to explore their leases for a significant portion of each 
year. To facilitate the proper development of Arctic leases in 
accordance with OCSLA section 5,\5\ BSEE proposes to add a new 
provision to its regulations that would provide those operators that 
are conducting drilling operations, but are prevented from completing 
those leaseholding operations due to seasonal constraints unique to 
Alaska, with the opportunity to obtain an SOO. If granted, this type of 
SOO would suspend the running of the lease term and effectively extend 
the term of the affected lease by a period equivalent to the period of 
such suspension. This would provide operators that are otherwise ready 
and able to conduct drilling operations with additional time to 
diligently explore their leases, without facing lease expiration due to 
interference by seasonal constraints unique to Alaska.
---------------------------------------------------------------------------

    \5\ OCSLA sec. 5 (as amended) provides in pertinent part: ``The 
regulations prescribed by the Secretary . . . shall include . . . 
provisions . . . for the suspension . . . of any operation or 
activity . . . at the request of a lessee, in the national interest, 
[or] to facilitate proper development of a lease . . . and for the 
extension of any permit or lease affected by [such] suspension . . . 
by a period equivalent to the period of such suspension . . . .'' 43 
U.S.C. 1334(a)(1).
---------------------------------------------------------------------------

    9. Initial and Continuing Development Obligations Lease 
Suspensions--In addition to the proposed SOO, BSEE proposes to add 
provisions to suspend unitized Alaska OCS leases greater than five 
years in length when it would allow the lessee the time needed to 
diligently complete their initial development obligations, or one or 
more continuing development obligations approved by the BSEE Regional 
Supervisor. These lease suspensions would exempt unitized Alaska OCS 
leases from the requirement to provide a commitment to production when 
requesting a suspension. The maximum 10-year term issued for Alaska OCS 
leases is inadequate to sufficiently explore and develop the resources 
on a lease and reach sustained production without the need for one or 
more lease suspensions. The isolated nature of the region and the tough 
seasonal conditions of the Alaska OCS make data collection, pre-
development planning efforts, and decision-making for the operator 
difficult to achieve in a timely manner, and if an operator is able to 
progress to the exploratory drilling stage, they face the challenge of 
acquiring the drilling rigs or vessels suitable for the area's harsh 
conditions. These lease suspensions would provide those operators that 
can demonstrate they are working to diligently complete one or more 
continuing development

[[Page 51005]]

obligations the time needed to properly develop and establish 
production on their unitized Alaska OCS leases.
    10. Cranes Used for Operations on Artificial Islands--As discussed 
in the next section, BSEE proposes to incorporate by reference into the 
regulations the ASME B30.5-2021, Mobile and Locomotive Cranes, which 
addresses the construction, inspection, testing, maintenance, and 
operation of mobile and locomotive cranes. BSEE's existing crane 
regulations apply to fixed platforms installed on open waters, which 
are not the same types of cranes used on artificial islands. Cranes 
used on artificial islands are like those used on land, i.e., mobile 
cranes, which are not fixed in place (such as on an offshore facility) 
and may have wheels or tracks to lift and transport materials on 
location. Incorporating this technical document into BSEE's regulations 
would ensure that consistent, industry-based safety requirements for 
cranes used on artificial islands are established.

D. Procedures for Incorporation by Reference and Availability of 
Incorporated Documents for Public Viewing

    BSEE frequently uses standards (e.g., codes, specifications, and 
RPs) and other documents developed by standard development 
organizations as a means of establishing requirements for activities on 
the OCS. This practice, known as ``incorporation by reference,'' allows 
the Department to incorporate the standards from technical documents 
into the regulations so that the regulations reflect well accepted 
industry standards without increasing the volume of the CFRs. The legal 
effect of incorporation by reference is that the incorporated standards 
become regulatory requirements. This incorporated material, like any 
other regulation, has the force and effect of law. Operators, lessees, 
and other regulated parties must comply with the documents incorporated 
by reference in the regulations.
    The OFR regulations at 1 CFR part 51 govern how BSEE and other 
Federal agencies may incorporate documents by reference. Agencies may 
incorporate a document by reference by publishing in the Federal 
Register the document title, edition, date, author, publisher, 
identification number, and other specified information. The preamble of 
the proposed rule must also discuss the ways that the incorporated 
materials are reasonably available to interested parties and how those 
materials can be obtained by interested parties. The Director of the 
Federal Register will approve each incorporation of a publication by 
reference in a final rule that meets the criteria of 1 CFR part 51. 
Incorporation by reference of a document or publication is limited to 
the edition of the document or publication cited in the regulations. 
This means that newer editions, amendments, or revisions to documents 
already incorporated by reference in regulations are not part of BSEE-
administered regulations until they are incorporated by reference.
    A standard that is proposed for incorporation by reference is 
frequently referred to as a ``1st tier document.'' When a 1st tier 
document references another document, the referenced document is 
referred to as a ``2nd tier document''; these references are either 
considered ``normative'' or ``informative.'' Each has their own 
definitions of ``normative'' and ``informative.'' Generally speaking, 
compliance with normative references is obligatory to fulfill the 
provisions of the standard that cites it, while informative references 
provide additional information that supports the 1st tier document. For 
example, the API considers compliance with normative references to be 
necessary for the fulfillment of the provisions of the primary 
reference. Particularly, the API Document Format and Style Manual 
(January 2009) and all API standards include the following statement 
clarifying the importance of normative references: ``The following 
referenced documents are indispensable for the application of this 
document.'' The ASME also considers compliance with normative 
references as necessary for complying with the primary reference. 
Standards incorporated from the ASME contain a statement that normative 
references are indispensable for the application of the primary 
standard.
    When a copyrighted publication is incorporated by reference into 
BSEE's regulations, the bureau is obligated to observe and protect that 
copyright. BSEE provides members of the public with website addresses 
where these standards may be accessed for viewing--sometimes for free 
and sometimes for a fee. Standards development organizations decide 
whether to charge a fee. The regulations governing incorporation by 
reference under 1 CFR part 51 provide that publications are eligible 
for incorporation by reference if they are ``reasonably available to 
and usable by the class of persons affected.'' (See 1 CFR 51.7(a)(3)).
    BSEE is proposing to incorporate by reference for the first time 
into the regulations the requirements found in the American Society of 
Mechanical Engineers B30.5-2021, Mobile and Locomotive Cranes--Safety 
Standard for Cableways, Cranes, Derricks, Hoists, Hooks, Jacks, and 
Slings; 2021 Edition, December 17, 2021. This standard contains 
provisions that address the construction, installation, operation, 
inspection, testing, maintenance, and use of cranes and other lifting 
and material-movement-related equipment. It applies to crawler cranes, 
locomotive cranes, wheel-mounted cranes, and any variations thereof 
that retain the same fundamental characteristics, and are basically 
powered by internal combustion engines or electric motors. However, 
side-boom tractors and cranes designed for railway and automobile wreck 
clearance, digger derricks, cranes manufactured specifically for, or 
when used for, energized electrical line service, knuckle boom, trolley 
boom cranes, and cranes having a maximum rated capacity of 1 ton or 
less are outside the scope of this standard.
    ASME standards can be accessed at http://www.asme.org or by phone: 
1-800-843-2763. However, for the convenience of members of the viewing 
public who may not wish to purchase copies or view the ASME technical 
document online, the document may be inspected by appointment at BSEE's 
offices at 45600 Woodland Road, Sterling, Virginia 20166, or 1919 Smith 
Street, Suite 14042, Houston, Texas 77002. To make an appointment to 
inspect the material proposed for incorporation at the Houston BSEE 
office, call 1-844-259-4779. An appointment is required to ensure 
personnel are available to accommodate the request and to account for 
competing agency obligations or concerns, including those related to 
public health and natural disasters.
    BSEE is also proposing to add an express reference to API 
Recommended Practice (RP) 17H, Remotely Operated Tools and Interfaces 
on Subsea Production Systems, Second Edition, June 2013; Errata, 
January 2014, in proposed Sec.  250.472. This RP provides 
recommendations for the development and design of remotely operated 
subsea tools and interfaces on subsea production systems in order to 
maximize the potential of standardizing equipment and design 
principles. This document does not cover manned intervention, internal 
wellbore intervention, internal flowline inspection, tree running, and 
tree running equipment. However, all the related subsea ROV/ROT 
interfaces are covered by this standard. It is applicable to the 
selection, design, and operation of ROTs and ROVs, including ROV 
tooling.

[[Page 51006]]

    BSEE has reviewed the requirements in ASME B30.5-2021 and API RP 
17H, and proposes to incorporate ASME B30.5-2021 by reference into the 
regulations for the first time, and add an express reference to API RP 
17H in proposed Sec.  250.472 to ensure that industry uses the best 
available safety technologies on the OCS.

II. Section-by-Section Discussion of Proposed Changes

    This section provides explanations of and justifications for each 
of the specific regulatory changes proposed in this notice. Since this 
is a joint BSEE and BOEM proposed rulemaking, this Section-by-Section 
discussion is organized according to the order in which the relevant 
provisions would appear in the CFR. The BSEE-administered and BOEM-
administered regulations are found in the CFR at Title 30--Mineral 
Resources, Volume 2; BSEE-administered regulations are in Chapter II, 
and BOEM-administered regulations are in Chapter V.

A. Revisions Proposed by BSEE

Title 30, Chapter II, Subchapter B, Part 250
Oil and Gas and Sulphur Operations in the Outer Continental Shelf
Subpart A--General
Definitions. (Sec.  250.105)
    BSEE proposes to modify the definition of ``Arctic OCS'' to mean 
all OCS oil and gas planning areas that include any portion of their 
geographic extent located north of 66[deg]33' N latitude. This proposed 
change would make the new High Arctic Planning Area and existing Hope 
Basin Planning Area parts of the Arctic OCS, thus, subjecting them to 
the requirements promulgated by the 2016 Arctic Exploratory Drilling 
Rule and the changes proposed in this rulemaking, thereby aligning the 
regulation of exploration activities in those areas with the Beaufort 
Sea and Chukchi Sea planning areas. The proposed designation of 
``Arctic OCS'' as north of 66[deg]33' N is merely for functional 
purposes, to identify the OCS oil and gas planning areas that define 
the scope of where the requirements of this rulemaking and the 2016 
Arctic Exploratory Drilling Rule would apply. The High Arctic and Hope 
Basin planning areas experience the same type of Arctic weather 
conditions, i.e., extreme cold, freezing spray, snow, and sea ice, as 
the Beaufort Sea and Chukchi Sea planning areas. Therefore, BSEE 
proposes to expand the definition of the ``Arctic OCS'' to make the 
development requirements for all four planning areas consistent. As 
BOEM has acknowledged throughout the planning process for the 11th 
National OCS Oil and Gas Leasing Draft Proposed Program, BOEM estimates 
the High Arctic to have negligible resource quantities and Hope Basin 
to have measured resource potential but negligible development value.
    BSEE also proposes to make a modification to the definition of 
``Arctic OCS conditions.'' In the definition, BSEE proposes to replace 
``on the Arctic OCS'' at the end of the first sentence with 
``throughout the Alaska OCS region.'' BSEE would also replace 
``characteristic of the Arctic region'' at the end of the last sentence 
with ``characteristics present throughout the Alaska OCS region.'' 
These proposed changes recognize that extreme cold, freezing spray, 
snow, extended periods of low light, strong winds, dense fog, sea ice, 
strong currents, and dangerous sea-state conditions are not only 
experienced in Arctic waters. They may also occur throughout the Alaska 
OCS region.
    Finally, BSEE proposes to revise the definition of capping stack by 
deleting the phrase ``including one that is pre-positioned'' from the 
definition. BSEE included this phrase as part of the 2016 Arctic 
Exploratory Drilling Rule in response to a suggestion that the 
definition in the 2015 Arctic Proposed Rule should be expanded to allow 
pre-positioned capping stacks to be used below subsea BOPs when deemed 
technically and operationally appropriate. Recognizing that the comment 
was helpful, BSEE agreed with the suggestion and added the phrase 
``including one that is pre-positioned'' to the capping stack 
definition (see 81 FR 46492).
    As a practical matter, pre-positioned capping stacks are similar, 
but not the same, as SSIDs. Accordingly, this modification that was 
included in the 2016 final rule effectively allows the operator to 
install an SSID below a subsea BOP and would be in compliance with the 
capping stack requirement in the existing Sec.  250.471, What are the 
requirements for Arctic OCS source control and containment? Section 
250.471(a)(1) specifically requires the operator, when drilling below 
or working below the surface casing, to have access to a capping stack 
that is positioned to ensure that it will be able to arrive at the well 
location within 24 hours after a loss of well control. Typically, an 
operator would comply with this requirement by having one or more 
support vessels capable of handling and deploying the capping stack 
down to the subsea wellhead, when needed. Installing an SSID below the 
subsea BOP allows the operator to comply with Sec.  250.471(a)(1) and 
forgo the need to provide support vessels and a capping stack on 
standby at the surface.
    However, BSEE is proposing to eliminate this language because a 
pre-positioned capping stack is a piece of equipment that is similar to 
and aligns closely with an SSID. Given that BSEE is currently proposing 
distinct SSID requirements under Sec.  250.472, What are the additional 
well control equipment or relief rig requirements for the Arctic OCS?, 
the proposed revision to the capping stack definition would provide 
clarity concerning the capping stack requirements under Sec.  250.471. 
More specifically, installation of an SSID under Sec.  250.472 does not 
constitute compliance with the capping stack requirements under Sec.  
250.471. For purposes of BSEE's proposed regulations, an SSID is not 
considered to be the same as, or to satisfy the requirement to have, a 
capping stack.
What requirements must I follow for cranes and other material-handling 
equipment? (Sec.  250.108)
    Section 250.108 currently requires operators and lessees to comply 
with crane-specific provisions to ensure the safe design, construction, 
and testing of all cranes mounted on any fixed platform installed on 
the OCS. These requirements include, but are not limited to, compliance 
with the API RP 2D, Operation and Maintenance of Offshore Cranes and 
API RP 2C, Specification for Offshore Pedestal Mounted Cranes, which 
requires cranes to be equipped with a functional anti-two block device, 
and the management of records related to the operations of those 
cranes.
    BSEE proposes adding a new paragraph (g) to Sec.  250.108 that 
would require all cranes positioned on artificial islands on the Alaska 
OCS to meet the requirements of ASME B30.5-2021. BSEE also proposes to 
modify:
    (1) paragraph (b) to apply the requirement for cranes to be 
equipped with a functional anti-two block device to ``OCS artificial 
islands;'' and
    (2) paragraph (e) to make the requirement to retain all design and 
construction records for the life of the crane, all inspection, 
testing, and maintenance records for at least 4 years, and the 
qualification records of the crane operator and all rigger personnel 
for at least 4 years applicable to cranes used on ``OCS artificial 
islands.''
    BSEE is proposing these modifications since the regulations

[[Page 51007]]

currently do not address cranes used on artificial islands on the OCS. 
In more recent years, exploration activities on the Arctic OCS have 
focused primarily on development from these man-made features. These 
proposed changes would ensure the safe design, construction, and 
testing of all cranes positioned on OCS artificial islands is being 
applied consistently, based on best available technologies.
How long does a suspension last? (Sec.  250.170)
    Section 250.170 specifies the length of time BSEE may issue a 
suspension, which is 5 years per suspension, and describes the effect 
of a suspension once it is granted, ends, or is terminated. BSEE 
proposes to add a new provision in a new paragraph (f) to Sec.  250.170 
that provides the Alaska OCS Regional Supervisor with the authority to 
determine the length of an SOP for unitized leases in the Alaska OCS 
and would not subject these leases to the 5-year suspension timeframe 
currently described in this section. The length of the suspension would 
be the amount of time the Regional Supervisor agrees is needed to 
complete initial development obligations or continuing development 
obligations justified by the lessee to ensure the maximum economic 
recovery of unitized OCS lease resources to BSEE's satisfaction. BSEE's 
determination would be based on the information the operator submits as 
part of its suspension request, as well as any information about other 
relevant associated development activities in proximity to the leases 
covered under the suspension request.
    ``Continuing development obligations'' means a program of 
development activities or operations an operator conducts that, after 
the operator completes the initial development obligations defined in a 
unit agreement or otherwise agreed to by the Regional Supervisor: (1) 
meets or exceeds the rate of development activities or operations in 
the vicinity of the unit; and (2) represents an investment 
proportionate to the size of the area covered by the unit agreement. 
Initial development obligations are a planned program of exploration 
activities that, when completed, would allow the operator to estimate 
the size and shape of the reservoir within the unit area and understand 
the geologic conditions existing within the reservoir and unit area. 
Initial development obligations are completed before continuing 
development obligations.
    For example, an initial development obligation could include:
    (i) the number of wells to be drilled that an operator anticipates 
will be necessary to assess the reservoir adequately;
    (ii) the primary target for each well, a schedule for starting and 
completing drilling operations for each well; and
    (iii) the time between starting operations on a well to the start 
of operations on the next well.
    Continuing development obligations are activities that would be 
performed after the operator completes its initial development 
obligations, which, for example, could include:
    (i) drilling, testing, or completing additional wells to the 
primary target or other unit formations;
    (ii) drilling or completing additional wells that establish 
production of oil and gas;
    (iii) recompleting wells or other operations that establish new 
unit production; or
    (iv) drilling existing wells to a deeper target.
    As previously mentioned, the isolated nature and tough seasonal 
conditions of the Alaska OCS region present multiple challenges that 
make it difficult to initiate production within the current 10-year 
timeframe of a lease. This proposed provision would allow the Regional 
Supervisor to determine the appropriate length of a suspension that 
would be necessary to complete proper development and initiate 
production on a unitized Alaska OCS lease without having to rely on the 
limits of the 5-year timeframe specified in this section, which may be 
more applicable to other OCS regions.
How do I request a suspension? (Sec.  250.171)
    This section specifies the information that must be included in a 
suspension request, which includes a commitment to production for SOP 
requests. BSEE proposes adding a provision for unitized Alaska OCS 
leases that requires the operator to include a commitment to complete 
the initial development obligations identified in its unit agreement or 
otherwise approved by the Regional Supervisor. The commitment must 
include, at minimum, drilling the producible well, as required by 
250.171(c), and any additional initial development activities or 
operations that the Regional Supervisor agrees are necessary to 
sufficiently explore the lease and justify the lease earning the 
benefits of unitization. In the case of continuing development 
obligations, BSEE would require the operator to include a commitment to 
complete one or more continuing development obligations that the 
Regional Supervisor agrees are necessary to properly develop the lease. 
BSEE would also modify existing paragraph (d) to clarify that the 
commitment to production referenced in this paragraph applies to SOPs 
for leases that are not unitized Alaska OCS leases.
    This provision would allow the operator to request a suspension for 
their unitized Alaska OCS leases if it is able to provide a commitment 
to complete its initial development obligations or one or more of its 
continuing development obligations. BSEE has existing guidance on what 
constitutes such a commitment, as outlined in NTL 2019-G01. Based on 
guidance from this NTL, examples of commitment may include: (1) a final 
investment decision by the operator, (2) evidence that the venture will 
be economically viable, (3) a written agreement or contract with any 
third parties (such as pipeline companies or minority lessees) whose 
resources are required for production to occur, and (4) geologic or 
reservoir information that BSEE would need for evaluating the economic 
viability. After the promulgation of this rule, the NTL would be 
updated to include information relevant to phased development as 
established under the proposed SOP. BSEE would consider granting a 
suspension if the operator is able to demonstrate a commitment to 
continued diligent development to ensure the maximum economic recovery 
of unitized OCS lease resources, which may be longer than 5 years. This 
provision could provide the certainty operators may need to commit 
their resources in an area with extremely high investment risks for 
success.
When may the Regional Supervisor grant or direct an SOP? (Sec.  
250.174)
    This section lists the criteria under which BSEE may grant or 
direct an SOP when the suspension is in the National interest. BSEE 
proposes adding a new criterion under proposed paragraph (e) for units 
on the Alaska OCS whereby the Regional Supervisor may grant a 
suspension if it allows the operator time to complete its initial 
development obligations, or one or more continuing development 
obligations. When an SOP is granted under proposed paragraph (e), only 
the requirement to produce the undeveloped or underdeveloped lease(s) 
would be suspended. As proposed, the lessee may continue to produce 
from the properly developed unitized lease(s) as long as production 
complies with 250.172(b) and production activities prevent waste, 
conserve natural resources, and protect correlative rights, including 
Federal royalty interests, of a

[[Page 51008]]

reasonably delineated and productive reservoir.
When may the Regional Supervisor grant an SOO? (Sec.  250.175)
    BSEE proposes to revise Sec.  250.175 by adding a new paragraph 
(d), which would allow an operator to request an SOO under certain 
situations that may be present in leases or units throughout the Alaska 
OCS Region. This proposed revision is consistent with OCSLA's 
requirement that the Secretary promulgate suspensions regulations that 
``facilitate proper development of a lease . . . .'' \6\ The proposed 
regulation would list the factors upon which BSEE may rely when 
determining whether to grant an SOO and include when an operator:
---------------------------------------------------------------------------

    \6\ OCSLA sec. 5, 43 U.S.C. 1334(a)(1).
---------------------------------------------------------------------------

    (1) has conducted operations on the lease during the drilling 
season immediately preceding the period for which the operator is 
seeking a suspension;
    (2) is drilling from:
    (i) a MODU,
    (ii) an artificial gravel island or a gravity-based structure, or
    (iii) an artificial ice island; and
    (3) is not able to safely continue its operations due to the 
presence of seasonal ice, temporary seasonal drilling restrictions in 
its approved OSRP, or seasonal temperature changes (respectively, for 
each facility type).
    Currently, BOEM issues Alaska OCS leases with the maximum 10-year 
primary lease term allowed under OCSLA.\7\ However, operators may be 
precluded from properly developing leases because it is not possible to 
conduct leaseholding operations for significant portions of those 10-
year terms. Offshore drilling locations in the Alaska OCS can be 
inaccessible for a significant portion of each year, due to seasonal 
changes that make operating conditions unsafe or otherwise preclude 
operations. While BOEM cannot award leases with more than the maximum 
10-year primary lease term allowed under OCSLA, the Secretary's 
statutorily delegated authority referenced above at 43 U.S.C. 
1334(a)(1) allows for suspensions in certain circumstances that have 
the effect of extending the lease term by a period equivalent to the 
period of such suspension. This authority has been redelegated to BSEE, 
to administer suspensions that can address and mitigate, as 
appropriate, the effects of Arctic working conditions when they may 
limit the operator's ability to perform leaseholding activities for 
much of the year. See also 30 CFR 556.601(f) (How may I maintain my oil 
and gas lease beyond the primary term?). Paragraph (f) of 30 CFR 
556.601 references BSEE-administered suspension regulations at 30 CFR 
250.168 through 250.180, in which Sec.  250.169(a) clarifies that a 
suspension may extend the term of a lease and that the extension is 
equal to the length of time the suspension is in effect, with respect 
to operator-requested suspensions. This proposed rule clarifies the 
factors that can be considered when issuing such suspensions.
---------------------------------------------------------------------------

    \7\ OCSLA sec. 8, as amended, states in part: ``An oil and gas 
lease issued pursuant [OCSLA] shall . . . be for an initial period 
of (A) five years; or (B) not to exceed ten years where the 
Secretary finds that such longer period is necessary to encourage 
exploration and development in areas because of unusually deep water 
or other unusually adverse conditions . . . .'' 43 U.S.C. 1337(b). 
The primary term commences on the effective date of the lease 
(rather than on a calendar year basis). 30 CFR 556.521. The lease 
may be maintained beyond the primary term in accordance with 30 CFR 
556.601.
---------------------------------------------------------------------------

    MODUs--Drilling operations performed from a MODU may occur only 
during the open-water drilling season (generally late June to early 
November), when sea ice is non-existent or minimal. This practical 
limitation, without considering other logistical problems unique to the 
Alaska OCS, could mean that during a consecutive 10-year period, a 
lease may be unavailable for operations for up to 70 percent of the 
time.
    Artificial Gravel Islands or Gravity-based Structures--Drilling 
from artificial gravel islands and gravity-based structures is 
prohibited during the spring/summer ice break-up and the fall/early 
winter freeze-up periods due to potential interferences that weather 
and ice conditions may have on potential oil spill response and cleanup 
efforts. In particular, response and cleanup techniques for a large 
spill are not as effective when sea ice is broken and unconsolidated 
around the drilling location. By contrast, response and cleanup efforts 
for a large oil spill from an artificial gravel island or a gravity-
based structure could be executed effectively during the summer (i.e., 
in open-water conditions) using existing oil spill response 
technologies. During the winter (i.e., under solid ice conditions), the 
ice, and any snow on the ice, could provide an effective platform for 
oil spill response and cleanup efforts, and help absorb the spill and 
contain it to an area relatively close to the gravel island or gravity-
based structure. Land-based equipment could then be used to collect and 
transport the oil-covered ice out of the location. For context, a 
gravity-based structure would include a concrete island drilling 
structure and one or more steel drilling caissons.
    Artificial Ice Islands--A similar issue would be encountered if 
drilling were to take place from a man-made ice island. In those cases, 
the drilling location would be accessible only during the winter season 
when temperatures are very low, and the area is completely covered by 
ice stable enough to safely support a drilling rig and associated 
equipment. As temperatures rise during the spring and summer seasons, 
the ice breaks or melts away, making the drilling location inaccessible 
until the next winter season.
    The new paragraph (d) of Sec.  250.175 would facilitate the proper 
development of a lease by addressing those seasonal conditions that 
limit leaseholding operations and providing an operator ready and able 
to complete its operations with the opportunity to obtain an SOO. If 
granted, this SOO would suspend the running of the lease term and 
effectively extend the term of the affected lease by a period 
equivalent to the period of such suspension. The SOO would allow a 
diligent operator to use the full 10 years in a 10-year lease term to 
explore for hydrocarbons, without the concern for a lease expiring 
because Arctic seasonal constraints prevented operations.
    BSEE is contemplating the option of limiting the period for when 
the suspension would remain in effect to assure commencement of 
appropriate lease holding activities. The suspension would remain in 
effect during the period between one drilling season and the next when 
the operator is prevented from continuing its drilling or other 
leaseholding activities due to seasonal conditions.
    This option would still provide operators more time to effectively 
explore their leases without fear of an expiring lease. It could also 
provide BSEE with a better means of tracking an operator's diligence 
efforts. This option, however, could result in additional unnecessary 
burdens, since an operator would have to ``reapply'' for a new 
suspension if the operator is unable to return to the location during 
the next open-water season. BSEE is seeking comment on this regulatory 
option for the SOO or any other option that could avoid or minimize 
additional burden, but still assure appropriate operations occur for 
lease exploration and development.
Documents Incorporated by Reference. (Sec.  250.198)
    BSEE proposes to incorporate by reference ASME B30.5-2021, Mobile 
and Locomotive Cranes--Safety

[[Page 51009]]

Standard for Cableways, Cranes, Derricks, Hoists, Hooks, Jacks, and 
Slings; 2021 Edition, December 17, 2021, for the first time into the 
regulations as a new paragraph (f)(4) to Sec.  250.198. ASME B30.5-2021 
is an industry standard that addresses the construction, installation, 
operation, inspection, testing, maintenance, and use of cranes and 
other lifting and material-movement-related equipment operating on 
artificial islands on the Arctic OCS. In connection with this new 
incorporation by reference, BSEE would specify in the new paragraph 
(f)(4) that ASME B30.5-2021 is expressly referenced in proposed Sec.  
250.108(g) (``What requirements must I follow for cranes and other 
material-handling equipment?'').
    BSEE also proposes to add, in existing paragraph (e)(2)(i)(HH) of 
Sec.  250.198, a reference to proposed Sec.  250.472(a). One of the 
features in BSEE's proposed revisions to the existing relief rig and 
SSRW requirements in Sec.  250.472, which is discussed in detail later 
below in the What are the relief rig or additional well control 
equipment or relief rig requirements for the Arctic OCS? (Sec.  
250.472) section-by-section discussion, is a requirement for the SSID 
to include ROV intervention equipment that has the capabilities to 
function as the SSID. Under proposed Sec.  250.472(a)(3)(ii), 
specifically, BSEE would require the ROV to have panels that are 
compliant with API RP 17H to ensure that the operator's ROV 
capabilities for the SSID follow BSEE's existing ROV panel requirements 
for BOP systems. Adding a reference to Sec.  250.472(a) in Sec.  
250.198(e)(2)(i)(HH) makes clear as to where API RP 17H would be 
codified in the BSEE-administered regulations.
Subpart C--Pollution Prevention and Control
Pollution Prevention. (Sec.  250.300)
    BSEE proposes to revise paragraphs (b)(1) and (b)(2) of Sec.  
250.300 by eliminating the existing language that states the Regional 
Supervisor may require the capture of all water-based mud, and 
associated cuttings, from operations after completion of the hole for 
the conductor casing to prevent its discharge into the marine 
environment. While this proposed rule would eliminate the language 
regarding the Regional Supervisor's discretionary authority to require 
the capture of water-based muds and cuttings, it would maintain the 
existing requirement in Sec.  250.300(b)(1) and (b)(2) that operators 
capture all petroleum-based mud and associated cuttings while operating 
on the Arctic OCS.
    Existing Sec.  250.300(b)(1) and (b)(2) state that the BSEE 
Regional Supervisor may exercise his or her discretionary authority to 
restrict discharges of water-based muds and associated cuttings from 
Arctic OCS exploratory drilling based on various factors, such as: 
proximity of drilling operations to subsistence hunting and fishing 
locations; the extent to which discharged water-based mud or cuttings 
may cause marine mammals to alter their migratory patterns in a manner 
that impedes subsistence users' access to or use of those resources, or 
increases the risk of injury to subsistence users; or the extent to 
which discharged mud or cuttings may adversely affect marine mammals, 
fish, or their habitat. BSEE promulgated the existing provisions in 
response to concerns raised by Alaska Native Tribes during preparation 
of the 2015 Arctic Proposed Rule. These concerns included how water-
based muds or cuttings could adversely affect marine species (e.g., 
whales and fish) and their habitats and compromise the effectiveness of 
subsistence hunting activities.
    BSEE re-examined the language in paragraphs (b)(1) and (b)(2) of 
this section in light of EPA's authority to address water-based muds 
and cuttings discharges. The CWA (Section 301(a), 33 U.S.C. 1311(a)) 
provides EPA with the authority to issue NPDES general permits, which 
authorize certain discharges, including certain restricted discharges 
of water-based muds and cuttings, from oil and gas exploratory 
facilities on the OCS in the Beaufort Sea and the Chukchi Sea. Those 
general permits additionally prohibit the discharge of oil-based and 
non-aqueous based muds and cuttings. The EPA must issue an NPDES 
general permit before an operator may seek coverage under that general 
permit. Compliance with the CWA, including gaining coverage under an 
applicable NPDES general permit, is necessary before an operator may 
discharge pollutants from its exploratory drilling operations.
    Before issuing an NPDES permit, EPA must make specific 
determinations to ensure that issuance of a permit will not lead to 
unreasonable degradation of the marine environment. EPA's determination 
is guided by an ODCE. The ODCE requires the agency to consider multiple 
environmental factors, such as potential impacts on human health 
through direct and indirect pathways, and the importance of the 
receiving water area to the surrounding biological community. The most 
relevant NPDES permits issued for offshore oil and gas exploration 
activities conducted from a MODU on the Arctic OCS are two 2012 general 
permits that covered oil and gas exploration facilities conducting 
operations in Federal waters of the Beaufort Sea and the Chukchi Sea. 
When considering the multiple environmental factors under the ODCE for 
the 2012 general permits (i.e., potential impacts on human health 
through direct and indirect pathways, and the importance of the 
receiving water area to the surrounding biological community), EPA 
considered how discharges could impact subsistence activities, marine 
resources, and coastal areas. The Beaufort Sea permit \8\ does not 
allow the discharge of water-based muds and cuttings during the fall 
bowhead whale hunt. However, the Chukchi Sea permit \9\ did not include 
a similar restriction. According to the ODCE for the Chukchi Sea 
permit, the restriction was not necessary because the migration of 
bowhead whales would be over before discharge-related activities would 
begin.\10\
---------------------------------------------------------------------------

    \8\ https://www.epa.gov/sites/production/files/2017-12/documents/r10-npdes-beaufort-oil-gas-gp-akg282100-final-permit-2012.pdf.
    \9\ https://www.epa.gov/sites/production/files/2017-12/documents/r10-npdes-chukchi-oil-gas-gp-akg288100-final-permit-2012.pdf.
    \10\ https://www.epa.gov/sites/production/files/2017-12/documents/r10-npdes-chukchi-oil-gas-gp-akg288100-odce-2012.pdf. pp. 
6-14 to 6-17.
---------------------------------------------------------------------------

    Under this proposed rule, BSEE would preserve the requirements in 
Sec.  250.300(b)(1) and (b)(2) that the operator capture all petroleum-
based mud and associated cuttings. This requirement is consistent with 
a longstanding, OCS-wide regulatory authority that existed prior to the 
promulgation of the 2016 Arctic Exploratory Drilling Rule. BSEE must 
preserve the petroleum-based muds and cuttings requirement since it is 
not unusual for petroleum-based muds to contain constituents that are 
toxic and harmful to the environment. Although water-based muds may not 
be a feasible option for all drilling operations, such as when drilling 
through hydrophobic geologic formations that could be damaged by water-
based muds, its use is a more environmentally benign approach in 
comparison to the use of petroleum-based muds. However, BSEE's proposed 
revisions reflect the Bureau's understanding that the express 
statements regarding the Regional Supervisor's discretionary authority 
to require the capture of water-based muds and cuttings in existing 
Sec.  250.300(b)(1) and (b)(2) are not necessary. In particular, the 
EPA already addresses the goals of protecting water quality

[[Page 51010]]

through the NPDES program, protecting marine species and their 
habitats, as well as the effectiveness of subsistence hunting 
activities, through the exercise of that agency's authorities. Thus, 
BSEE does not expect the Regional Supervisor to need to exercise the 
discretionary authority under existing Sec.  250.300(b)(1) and (b)(2) 
in the foreseeable future.
    Furthermore, BSEE understands, and did so even while it was 
preparing the 2016 Arctic Exploratory Drilling rule, that the 
references to the BSEE Regional Supervisor's authority in existing 
paragraphs (b)(1) and (b)(2) created some uncertainty for the regulated 
industry because it appeared to overlap with EPA's jurisdiction and, if 
implemented, might result in BSEE issuing duplicative or conflicting 
requirements. BSEE addressed this concern by explaining that the 
amendments were meant to clarify the Regional Supervisor's authority to 
impose operational measures that complement EPA's discharge limitations 
by considering potential impacts to specific components of the Arctic 
environment, such as subsistence activities, marine resources, and 
coastal areas (see 81 FR 46505). Given the policy in E.O. 14153 for all 
Federal agencies to fully avail itself of Alaska's vast lands and 
resources for the benefit of the Nation and the American citizens who 
call Alaska home, and the E.O.'s direction to rescind, revoke, revise, 
amend, defer, or grant exemptions from any and all regulations, orders, 
guidance documents, policies, and any other similar agency actions that 
are inconsistent with the policy set forth in the E.O., it is 
appropriate to propose eliminating the water-based mud, and associated 
cuttings, provisions in Sec.  250.300(b)(1) and (b)(2).
    This proposed regulatory change does not suggest any change in 
BSEE's recognition that it has a regulatory responsibility to ensure 
that operators conduct oil and gas exploration and production 
activities on the OCS in a safe and environmentally responsible manner 
pursuant to OCSLA. Therefore, the proposed rule would not alter the 
longstanding regulation at Sec.  250.300(b)(1), under which the 
District Manager (or Regional Supervisor) retains the ability to 
restrict the rate of drilling fluid discharges or prescribe alternative 
discharge methods where warranted. Pursuant to Sec.  250.300(b)(1), 
BSEE would be able to determine whether there is a need to require 
operators to capture of water-based muds and cuttings on a case-by-case 
basis, if the EPA has not done so. In particular, the District Manager 
would consider and determine whether such a requirement would be 
appropriate for any facility. The District Manager would make this 
determination on a case-by-case basis, in conjunction with the EP and 
APD approval process. This process includes coordinating with BOEM, 
particularly at the EP stage, when BOEM conducts an environmental 
review to identify the direct, indirect, and cumulative environmental 
effects that may be expected as a result of implementing the EP. That 
environmental review also incorporates input about potential 
environmental effects that may be obtained through consultations and 
review by interested parties, Federal agencies (e.g., EPA), State or 
local agencies, Tribes, or the public. Nothing would change BSEE's 
position from the 2016 rule to communicate with other agencies 
responsible for oversight of discharges related to oil and gas 
exploration drilling in the Arctic. This communication will help ensure 
that conflicts do not arise (see 81 FR 46504). BSEE expects that such 
input from EPA would address whether that agency has issued or plans to 
issue a permit for the same exploratory drilling facilities, and 
whether that agency believes that capture of water-based muds in a 
specific case is warranted. Through BSEE's longstanding authority under 
Sec.  250.300(b)(1), the District Manager could require an operator to 
restrict the rate of drilling fluid discharges or prescribe alternative 
discharge methods. Such a restriction on the discharge of water-based 
muds and cuttings might be appropriate if identified in the EP 
environmental review process.
    In addition to the proposed revisions just described, BSEE proposes 
a minor modification to the second sentence in existing paragraph 
(b)(2), which requires the operator to capture all cuttings from 
operations that ``utilize'' petroleum-based mud to prevent their 
discharge into the marine environment. BSEE proposes to replace the 
word ``utilize'' with ``use'' to improve the readability of the 
regulation.
Subpart D--Oil and Gas Drilling Operations
What are the real-time monitoring requirements for Arctic OCS 
exploratory drilling operations? (Sec.  250.452)
    BSEE proposes to remove all provisions in Sec.  250.452 and require 
operators to simply follow the BOP real-time monitoring requirements in 
Sec.  250.724, which contains the real-time monitoring requirements for 
subsea BOPs and surface BOPs used in other parts of the OCS. In 
conjunction with this proposed change, BSEE also proposes to modify 
paragraph (a) of Sec.  250.724 by adding ``all Arctic OCS drilling 
operations'' to the list of environments/cases where BOP real-time 
monitoring requirements would apply.
    The Arctic OCS's BOP real-time monitoring requirements were 
initially established as part of the 2016 Arctic Exploratory Drilling 
Rule. The provisions in Sec.  250.452 were tailored to be consistent 
with the real-time monitoring requirements established by the BOP 
Systems and WCR promulgated that same year (see 81 FR 25888). However, 
since 2016, the WCR's real-time monitoring requirements in Sec.  
250.724 have been updated, but without a consistency-update to the 
Arctic OCS's BOP real-time monitoring requirements. It is not necessary 
to have two separate real-time monitoring requirements for BOPs used on 
the OCS. Therefore, BSEE proposes to update BOP real-time monitoring 
requirements for the Arctic OCS to be consistent with the Bureau's 
overall BOP real-time monitoring requirements in Sec.  250.724.
What additional information must I submit with my APD for Arctic OCS 
exploratory drilling operations? (Sec.  250.470)
    BSEE proposes to revise paragraph (b) of Sec.  250.470 by adding 
paragraph (13) to include ``Recover the subsea isolation device (SSID), 
where applicable.'' This revision is necessary to address the SSID 
alternative proposed in Sec.  250.472, and to ensure the operator's 
permit addresses how it would recover the SSID, if one is used. For 
operations relying on an SSID, the SSID is a critical piece of 
equipment. Therefore, BSEE must understand how the operator will handle 
it, prior to and after drilling operations. We also propose minor, non-
substantive edits to paragraphs (b)(11) and (12) to accommodate this 
addition.
    BSEE also proposes to revise paragraph (f)(3) by replacing the 
``below the surface casing'' language in this paragraph with the phrase 
``below the surface casing, or before the last casing point prior to 
penetrating a zone capable of flowing hydrocarbons in measurable 
quantities, as approved by the Regional Supervisor.'' This change would 
make the requirement in paragraph (f)(3) consistent with the 
substantive changes BSEE is proposing to Sec.  250.471, which 
establishes the substance of the Arctic OCS SCCE requirements. 
Paragraph (f)(3) of Sec.  250.470 complements Sec.  250.471, by 
requiring the operator, in cases where it obtains SCCE capabilities 
through contracting, to provide proof of contracts or membership 
agreements with cooperatives, service providers, or

[[Page 51011]]

other contractors. This includes information demonstrating the 
availability of the personnel and/or equipment on a 24-hour per day 
basis during operations ``below the surface casing.'' The proposed 
changes to Sec.  250.471 are discussed in further detail below.
    Finally, BSEE proposes to add a new paragraph (h) to complement the 
proposed revisions to Sec.  250.472, which would provide the operator 
with the option to use an SSID or have access to a relief rig, as an 
additional means to secure the well in the event of a loss of well 
control, if the operator will be conducting exploratory drilling 
operations from a MODU (that change is discussed in further detail in 
connection with that provision). Under proposed paragraph (h), if the 
operator elects to use an SSID, BSEE would require the operator to 
provide a certification, signed by a registered professional engineer, 
confirming that its SSID and well design (including casing and 
cementing program) meet the design requirements in proposed Sec.  
250.472(a), and the design is appropriate for the purpose for which it 
is intended under expected wellbore conditions. BSEE is proposing this 
new provision to be consistent with existing requirements under 
existing Sec.  250.420 (a)(7)(i), which require the operator to include 
with the APD a certification signed by a registered professional 
engineer that the casing and cementing design is appropriate for the 
purpose for which it is intended under expected wellbore conditions.
What are the requirements for Arctic OCS source control and 
containment? (Sec.  250.471)
    Section 250.471(a) currently requires the operator to have access 
to the SCCE described in subparagraphs (a)(1) to (a)(3), which must be 
capable of stopping or capturing the flow of an out-of-control well if 
the operator will be using a MODU when drilling below or working below 
the surface casing. Subparagraph (a)(1) specifically requires the 
capping stack to be positioned to ensure that it will be able to arrive 
at the well location within 24 hours after a loss of well control. 
Subparagraphs (a)(2) and (a)(3) require the cap and flow system and the 
containment dome to be positioned to ensure that they will be able to 
arrive at the well location within 7 days after a loss of well control.
    BSEE proposes to revise Sec.  250.471 by:
    (i) Adding a new provision to paragraph (a) that would allow the 
operator to, subject to BSEE's determination, delay access to its SCCE 
until operations have reached the last casing point prior to 
penetrating a zone capable of flowing hydrocarbons in measurable 
quantities provided that the operator submits adequate documentation 
(such as, but not limited to, risk modeling data, off-set well data, 
analog data, seismic data), with its APD, demonstrating that they will 
not encounter any abnormally high-pressured zones or other geologic 
hazards. This provision would make clear that BSEE will base its 
determination on any documentation the operator provides, as well as 
any other available data and information.
    (ii) Replacing the language in paragraph (a) stating ``capable of 
stopping or capturing the flow of an out-of-control well'' with 
``capable of controlling or containing the flow from an out-of-control 
well when drilling below or working below the surface casing;'' and
    (iii) Removing the phrase ``positioned to ensure that it will 
arrive at the well location within 7 days after a loss of well 
control'' from subparagraphs (a)(2) and (a)(3), which apply to the cap 
and flow system and containment dome, respectively.
    The changes described in item (i) in the previous paragraph could 
allow the operator to adjust the point in time during operations when 
it must position its capping stack--from ``when drilling or working 
below the surface casing'' to ``when drilling or working below the last 
casing point prior to the zone capable of flowing hydrocarbons in 
measurable quantities''--if the operator is able to demonstrate that it 
will not encounter any abnormally high-pressured zones or other 
geological hazards before that casing point. However, unless otherwise 
approved by BSEE, the operator must have access to their SCCE as 
described in subparagraph (a)(1) and proposed subparagraphs (a)(2) and 
(a)(3), when drilling or working below the surface casing. While BSEE 
does not propose changes to the capping stack provision in subparagraph 
(a)(1), changes to paragraph (a) would have a practical effect on the 
existing capping stack requirements. Changes to the capping stack 
requirements are discussed in the next subsection, entitled, Revisions 
to the Capping Stack Requirements.
    BSEE's proposed modifications described in item (ii) above are 
administrative in nature. BSEE proposes this change so that the 
language is consistent with the source ``control'' and ``containment'' 
description of this equipment, as well as the title of this section of 
the regulations (i.e., Sec.  250.471 What are the requirements for 
Arctic OCS source control and containment?). It would not change the 
performance standard that the operator's SCCE must meet.
    BSEE's proposed changes described in item (iii) above to remove the 
phrase ``positioned to ensure that it will arrive at the well location 
within 7 days after a loss of well control'' from subparagraphs (a)(2) 
and (a)(3) would still require the operator to ensure it has access to 
a cap and flow system or a containment dome. However, the operator 
would no longer be required to ensure the equipment is positioned to be 
able to arrive at the well location within 7 days after the loss of 
well control. The distinction between the positioning requirement and 
the requirement to have access to the equipment is that ``having 
access'' refers to ensuring the operator has identified the equipment 
that would meet the performance requirements in this section and in 
other existing BSEE regulations (i.e., Sec.  250.462, What are the 
source control, containment, and collocated equipment requirements?), 
and is able to deploy the equipment as directed by the Regional 
Supervisor. Additional information regarding BSEE's proposed revisions 
to Sec. Sec.  250.471(a)(2) and 250.471(a)(3) are discussed in the 
subsection below, entitled, Revisions to the Cap and Flow System, and 
Containment Dome Requirements.
 Revisions to the Capping Stack Requirements
    BSEE's proposed revisions to the capping stack requirements in 
paragraph (a) would provide an opportunity to the operator to adjust 
the point in time during operations when it must position its capping 
stack, so that it will be available to arrive at the well location 
within 24 hours after a loss of well control. If the operator is able 
to demonstrate to BSEE that the operations it plans to conduct below 
the surface casing would not encounter any abnormally high-pressured 
zones or other geologic hazards before reaching the last casing point 
prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities, then BSEE would allow the operator delay its 
positioning of the capping stack until that point.
    The existing capping stack requirements in paragraphs (a) and 
(a)(1) are intended to ensure that a capping stack is readily available 
to stop or capture the flow of hydrocarbons in case of a loss of well 
control when drilling below or working below the surface casing. While 
BSEE does not propose to eliminate the requirement in paragraph (a)(1) 
to ensure that the

[[Page 51012]]

capping stack will be able to arrive at the well location within 24 
hours after a loss of well control, the existing requirement in 
paragraph (a) to ensure the equipment is accessible when drilling below 
the surface casing does not fully take into consideration the known 
geology of an area. The formations below the surface casing, based on 
the known geology of the area, may have minimal or no potential to flow 
hydrocarbons in measurable quantities during drilling operations. This 
obviates the need for ensuring capping stack availability during 
operations in those zones. Prior to submitting an APD, operators assess 
the formations they will potentially encounter during drilling 
operations, including the potential for hydrocarbon flow. Operators 
base this assessment on existing G&G data that they include in the APD.
    In many cases, flowable hydrocarbons are not anticipated or 
encountered in measurable quantities until the target productive 
formation is reached. For example, a surface casing shoe setting depth 
for an Arctic OCS exploration well could be only 1,500 feet, but the 
hydrocarbon bearing formation may be thousands of feet below that 
point. The existing regulations require the operator to have access to 
an available capping stack when drilling or working below the surface 
casing, even though geologic and engineering risk analyses the operator 
must submit as part of their APD may show that there is little or no 
potential for hydrocarbons to escape the formation and flow into the 
well prior to reaching the targeted productive formation. In such 
circumstances, the operator could safely drill for thousands of feet 
below the surface casing, without any identifiable need for a capping 
stack. This proposed change would, when appropriate, eliminate an 
unnecessary burden for the operator to maintain a positioned capping 
stack while drilling into low risk, non-productive sections of the well 
below the surface casing.
    An extensive amount of geophysical data already exists for certain 
areas of both the Beaufort and Chukchi Sea Planning Areas, and there 
has been extensive drilling in certain areas of the Beaufort Sea 
Planning Area. In the known geologic conditions of the U.S. Arctic, 
operators have a good understanding of the locations of reservoirs that 
they will encounter, which can be relatively shallow and normally 
pressured above certain geologic depths. Therefore, it may not be 
necessary to have access to a capping stack when drilling through zones 
below the surface casing that do not have abnormally high formation 
pressures or contain other geological hazards, and do not have the 
potential to flow hydrocarbons in measurable quantities, as they are 
penetrated.
    However, because geologic conditions are not uniformly normally 
pressured throughout the Arctic OCS, BSEE is maintaining the existing 
requirement to have the capping stack positioned, when drilling or 
working below the surface casing, at a location within proximity to the 
drilling location so as to be able to arrive within 24 hours of a 
blowout. At the same time, BSEE does not discount the possibility that 
future projects would not need to have SCCE (i.e., the capping stack) 
positioned until reaching the last casing point prior to penetrating a 
zone capable of flowing hydrocarbons.
    The criteria BSEE proposes to rely on to determine whether to grant 
an exception (i.e., operator demonstrates to BSEE that it will not 
encounter ``abnormally high-pressured zones or other geologic 
hazards'') accounts for those downhole risks that could lead to a 
blowout and may require the use of a capping stack. With respect to 
abnormally high-pressured zones, BSEE is concerned that there could be 
a case where a kick (an influx, or flow, of formation fluid from the 
high-pressured zone entering into the wellbore) is not controlled and 
could lead to a blowout. While there are means of mitigating the risk 
of a kick, (i.e., overbalanced drilling), the capping stack needs to be 
readily available if heavier weight drilling muds, the BOP, and SSID, 
if applicable, fail to control the well.
    There could be other geologic hazards, such as fractured or high 
permeability zones, that may also pose a risk, particularly if those 
zones contain hydrocarbons. It is possible that normally pressured 
zones may be highly permeable or contain fractures, in which lost 
circulation may occur. This could cause a dynamic effect where drilling 
mud flows into the permeable formation causing the circulating pressure 
to decrease below the zone's pore pressure resulting in formation 
fluids flowing into the well bore, i.e., loss of well control. The 
capping stack must be readily available if heavier weight drilling 
muds, the BOP, and SSID, if applicable, fail to control the well.
    However, if the operator is able to demonstrate that a highly 
permeable or fractured zone is predicted to only contain water, BSEE 
would consider allowing the operator to delay positioning of the 
capping stack. Under this scenario, the operator would be able to use 
the diverter system in conjunction with the BOP system to maintain 
safety and environmental protection because it would be unlikely for 
hydrocarbons to be released into the environment. The diverter system 
consists of a mechanical device similar to a BOP annular preventer. The 
diverter system is used to divert gases, fluids, and other materials 
flowing from the well, away from facilities and personnel. Also, an 
operator would pump fluid loss materials into the well to bridge the 
formation to reduce its permeability and allow drilling muds to isolate 
the formation from the well. To permanently address the incident, the 
operator could also install a liner or set a new casing point at the 
interval where that highly permeable or fractured zone is located. BSEE 
would like to know whether there are more appropriate criteria, other 
than ``abnormally high-pressured zones or other geologic hazards,'' 
that the Bureau should use to determine whether to allow the operator 
to delay positioning of the capping stack.
    BSEE's proposed regulatory language describing the types of 
documentation it would consider adequate to demonstrate that abnormally 
high-pressured zones or other geological hazards would not be 
encountered before reaching the last casing point prior to penetrating 
a zone capable of flowing hydrocarbons in measurable quantities--``such 
as, but not limited to, risk modeling data, off-set well data, analog 
data, seismic data''--is not meant to be an exhaustive list. BSEE would 
accept any other types of documentation the operator may provide that 
will help its demonstration. BSEE does not anticipate this submission 
requirement would lead to a significant information collection burden 
on the operator because it is normal practice for operators to gather 
these types of information to develop and design an offshore 
exploration drilling project on the Arctic OCS. BSEE is requesting 
comment on what other types of information could be used to demonstrate 
the absence of abnormally pressured zones or other geologic hazards, 
and how burden on the operator could change--increase or decrease--if 
BSEE were to require its submission.
    At the APD stage, BSEE would evaluate the operator's documentation 
along with other accompanying geologic and engineering information/
analyses that must be submitted as part of its APD. BSEE would also 
consider any other available G&G information, such as information 
gathered from prior drilling operations in the area (e.g., well log and 
pressure testing information), and any other applicable geophysical 
(e.g., seismic data) information. BSEE

[[Page 51013]]

makes clear in its proposed regulatory language that the Regional 
Supervisor will base the determination on whether to allow the operator 
to delay positioning of the capping stack on the documentation that the 
operator submits, as well as any other available data and information.
 Revisions to the Cap and Flow System, and Containment Dome 
Requirements
    As described at the beginning of this section-by-section 
discussion, Sec.  250.471, BSEE is also proposing to revise paragraphs 
(a)(2) and (a)(3) to remove the requirement to have a cap and flow 
system or a containment dome positioned to ensure the equipment will be 
available to arrive at the well location within 7 days after the loss 
of well control, but still preserving the existing requirement to 
deploy those pieces of equipment as directed by BSEE.
    BSEE proposes to allow the operator to adjust the point in time 
during operations when it must position its capping stack under 
paragraph (a), from ``when drilling or working below the surface 
casing'' to ``when drilling below or working below last casing point 
prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities'' if the operator is able to demonstrate that it 
will not encounter any abnormally high-pressured zones or other 
geologic hazards before that casing point. Only the 7-day arrival 
timing related to the ``flow'' part of the cap and flow system would be 
altered as a result of BSEE's proposed modification to paragraph (a)(2) 
of Sec.  250.471.\11\
---------------------------------------------------------------------------

    \11\ Existing Sec.  250.105 defines Cap and flow system and 
Capping stack.
---------------------------------------------------------------------------

    The changes proposed in paragraphs (a)(2) and (a)(3) to remove the 
requirement for the cap and flow system and the containment dome to 
arrive at the well location within 7 days after a loss of well control 
would not change other existing requirements throughout Sec.  250.471 
for the operator to ensure:
    (i) access to a containment dome and cap and flow system;
    (ii) that the cap and flow system is designed to capture at least 
the amount of hydrocarbons equivalent to the calculated WCD rate 
referenced in the operator's BOEM-approved EP;
    (iii) that the containment dome has the capacity to pump fluids 
without relying on buoyancy;
    (iv) that tests or exercises are conducted for the SCCE, as 
directed by the Regional Supervisor;
    (v) that records pertaining to the testing, inspection, 
maintenance, and use of the SCCE are maintained and made available to 
BSEE upon request;
    (vi) that all SCCE identified in Sec.  250.471 are transported to 
the well upon a loss of well control; and
    (vii) that SCCE is deployed as directed by the Regional Supervisor.
    Since the promulgation of the 2016 Arctic Exploratory Drilling 
Rule, the cap and flow system and containment dome have not been needed 
to respond to a loss of well control event in the Arctic OCS. If Arctic 
OCS exploration/production activities do increase at the rates 
described in the RIA, there is potential for an increase in the risk of 
longer duration oil spills if an event were to occur and this equipment 
may be needed. Thus, the cost savings and forgone benefits should be 
considered in that context.
    BSEE proposes to remove the cap and flow system and containment 
dome 7-day arrival timing requirements based on the Bratslavsky and 
SolstenXP 2018 study, which determined that the time periods when SCCE 
may be safely deployed throughout the Arctic OCS is limited based on 
typical Arctic conditions. In the Chukchi Sea, safe SCCE deployment 
could only occur between August and October in the historically active 
exploration area. Moving north from the historically active exploration 
area of the Chukchi Sea, the ability to safely deploy SCCE diminishes 
significantly (id. at 100). The study mentions there are more 
opportunities for safe deployment of SCCE in other portions of the 
Chukchi Sea (June through December). However, it is only in the 
southwestern extent of the Chukchi Sea Planning Area; outside of the 
historically active exploration area.
    In the Beaufort Sea, the study noted that sea ice concentrations 
tend to be greater year-round as compared to the Chukchi Sea (id. at 
75). Accordingly, safe SCCE deployment could occur from ice capable 
vessels between early August and October in the historically active 
exploration area of the Beaufort Sea (i.e., the southern portion of the 
Beaufort Sea Planning Area). However, moving north beyond the 
historically active exploration area, time windows for safe SCCE 
deployment decrease significantly (id. at 104).
    In the case of open water operations in both the Chukchi and 
Beaufort Seas, the study points out that sea state is an important 
limiting factor for safe SCCE deployment. Rough sea states--high waves 
and longer wave periods--can affect the safety and operating limits of 
SCCE deployment. The vessel carrying the SCCE can become very unstable 
in rough sea states and the heave action on the deck can therefore 
increase significantly beyond the vessel's tolerance levels for 
conducting operations, which may negatively affect the ability to 
safely deploy the SCCE. Rough sea states are most likely to occur when 
there is less sea ice coverage and larger open water areas to generate 
large waves, which is more of an issue in the Chukchi Sea, where there 
are larger open water areas throughout the open water season (id. at 
11).
    When operating in open water conditions, sea states generally 
dictate that safe SCCE deployment could occur only between late 
September and October in the historically active exploration area of 
the Chukchi Sea, and that window diminishes significantly moving north 
of the historically active exploration area. In the Beaufort Sea, where 
there is less open water throughout the operating season, sea states 
would generally permit safe deployment of SCCE between late-August and 
early- to mid[hyphen]October in the historically active exploration 
area. Beyond that, the probability for safe SCCE deployment decreases 
rapidly in the historically active exploration area and in the other 
areas of the Beaufort Sea. (id. at 98,102)
    Water depth is also an important factor to consider for the safe 
deployment of SCCE. Deployment is likely to be impaired in water depths 
shallower than 984 feet because the equipment would potentially be 
subject to a gas boil at the surface from a subsea blowing well (id. at 
143). A gas boil is a forceful release of hazardous gases which can 
present human[hyphen]health hazards to workers, fire hazards, and 
potential stability problems for support vessels and the vessel 
deploying the SCCE directly above the blowing well. Water depths in the 
majority of the Chukchi Sea and Beaufort Sea where exploration has 
historically occurred are relatively shallow--167 feet or less (Table 
1-1 and Table 1-2, id. at 7 to 9). In April of 2020, the only leases 
with potential projects that would be subject to the Arctic OCS's SCCE 
requirements were relinquished.\12\ These leases were located in the 
Beaufort Sea in water depths less than approximately 170 feet deep. 
This water depth range limits the capabilities of support vessels that 
can be used for the safe deployment of SCCE. A possible solution that 
could enable SCCE deployment in the presence of a gas boil is the use 
of offset[hyphen]deployment technology to

[[Page 51014]]

remotely position SCCE over the blowing well in shallow water (id. at 
A-35).
---------------------------------------------------------------------------

    \12\ There are other leases in the Beaufort Sea located nearer 
to the shore in shallow waters where exploration and development 
projects are being pursued (primarily through man-made gravel 
islands).
---------------------------------------------------------------------------

    When BSEE proposed its original Arctic OCS SCCE requirements in 
2015, the Bureau explained that there is limited ability in the Arctic 
region to summon additional source control and containment resources. 
Accordingly, the Bureau required operators to plan for response 
redundancies and planning complexities not required elsewhere (see 80 
FR 9938). BSEE determined that the provisions finalized in 2016 
provided for the necessary redundancy and sequencing of the responses, 
based on the time necessary to deploy, and therefore provided 
sufficient safety and environmental protection to allow for exploratory 
drilling on the Arctic OCS. At that time, BSEE believed that the 
technologies identified in its SCCE requirements represented the 
optimal approach to well control capabilities available for the Arctic 
OCS (see 81 FR 46520).
    Since publication of the 2016 rule, however, BSEE has sought to 
better understand the ability to safely deploy SCCE (and relief rigs) 
in Arctic OCS conditions, through the study it commissioned to 
Bratslavsky Consulting Engineers, Inc., and SolstenXP, Inc. According 
to the Bratslavsky and SolstenXP 2018 study, the time periods when SCCE 
may be safely deployed throughout the Arctic OCS is limited in 
comparison to relief-well drilling operations, based on typical Arctic 
conditions. BSEE did not have the benefit of having the Bratslavsky and 
SolstenXP 2018 study when finalizing the 2016 Arctic Exploratory 
Drilling Rule. BSEE's proposed changes to Sec.  250.471(a)(2) and 
(a)(3) for the containment dome and cap and flow system responds to the 
information it has gathered from the study.
    BSEE recognizes that Bratslavsky and SolstenXP 2018 study data are 
now over a decade old. Since then, there may have been changes in U.S. 
and international regulations, standards, recommended practices, 
specifications, technical reports and common industry methods regarding 
the safe deployment of SCCE versus a relief well in Arctic conditions. 
Furthermore, data of the Arctic OCS's 2012 to 2016 drilling seasons in 
the Beaufort and Chukchi Seas, and the resulting operating scenarios, 
could be updated to provide additional insight to the forecast for the 
RIA. BSEE will continue to review the Bratslavsky and SolstenXP 2018 
study to ensure it remains relevant to the proposed provisions of this 
rulemaking.
    In light of these findings, BSEE proposes the revisions under Sec.  
250.471 to the containment dome and cap and flow system deployment 
requirements in paragraphs (a)(2) and (a)(3) because it is not 
reasonable to impose such universal, prescriptive requirements for 
equipment that may not be safely deployed (moved to the location, 
equipment put into place, and activated) and effectively used under 
certain Arctic OCS conditions. The deployment and arrival schedules of 
the cap and flow system and the containment dome will be directed by 
the BSEE Regional Supervisor on a case-by-case basis.
    However, as previously described, BSEE proposes only to adjust, 
rather than eliminate, the reference to the point in time during 
operations when the operator must have access to a capping stack that 
is positioned to be able to arrive at the well location within 24 hours 
after a loss of well control. In comparison to the containment dome, 
the capping stack has proven to be a more effective technology when 
successfully deployed and has a different function compared to a 
containment dome. The capping stack latches on to a connector or pipe 
stub located on or in the well to achieve a pressure tight seal to 
capture or stop all fluids flowing out of the well. A containment dome, 
which removes oil and gas from the water column, will likely capture 
only a portion of the hydrocarbon flow due to the non-sealing design. 
In addition, the use of a containment dome may be constrained by the 
drilling unit itself. Certain drilling rigs, such as jackups and 
submersible drilling vessels, are unlikely to provide adequate 
structural clearance for deployment of a containment dome without 
moving the rig off the drill site. (id. at 33).
    Furthermore, containment domes have limited field application to 
prove their capabilities while, in contrast, capping stacks have been 
field tested and successfully deployed in multiple practice drills (id. 
at 32 and 34).\13\
---------------------------------------------------------------------------

    \13\ For example, the capping stack technology was used to shut-
in the Macondo well during the Deepwater Horizon incident.
---------------------------------------------------------------------------

    With respect to the cap and flow system, the flow portion of the 
system would require additional vessel support activities on the 
surface (e.g., support vessels for oil and gas processing, and 
hydrocarbon storage/transfer) to keep the system working in comparison 
to what would be needed to deploy a capping stack (e.g., a single 
vessel that would load the capping stack and deploy to the well when 
needed). The support activities and the vessel on which the flow system 
is loaded would be subject to the same challenging metocean conditions 
previously described, thus limiting their ability to be safely deployed 
throughout the Arctic drilling season. The capping stack would 
generally have a better opportunity for deployment because once the 
capping stack is lowered under the water and attached to the wellhead, 
weather becomes less of a factor.
    BSEE believes it is critical to ensure that operators have 
redundant protective measures in place, as there is no guarantee that a 
single measure could control or contain a worst-case discharge (see 81 
FR 46487). Because the chances of successfully deploying a capping 
stack under Arctic OCS conditions may be greater in comparison to the 
containment dome and cap and flow system, BSEE is revising, and not 
eliminating, the capping stack positioning requirement. BSEE invites 
comments on any technological upgrades or methods that exist for SCCE 
that would meet the objective of being a redundant system that could 
control or contain a WCD.
    Although BSEE is proposing to remove the requirement in existing 
paragraphs (a)(2) and (a)(3) to ensure that the cap and flow system and 
containment dome will be available to arrive at the well location 
within 7 days after a loss of well control, BSEE would maintain the 
provisions under the same paragraphs that require that the operator 
identify and have access to a containment dome and cap and flow system 
capable of deployment as directed by BSEE. BSEE would also maintain the 
requirement under existing paragraph (g) to initiate transit of all 
SCCE identified under Sec.  250.471 upon a loss of well control. 
Collectively, the proposed revisions to paragraphs (a)(2), (a)(3), and 
existing paragraph (g) would mean that, in the event of a loss of well 
control, the containment dome and cap and flow system would be in 
transit while the capping stack is being deployed at the well location. 
In light of the distinct functions and capabilities of these various 
elements of SCCE under anticipated Arctic OCS exploratory drilling 
conditions, BSEE proposes to retain these requirements, as modified, to 
preserve the regulatory requirement for redundant protective measures, 
while acknowledging the capability of each SCCE component, as there is 
no guarantee that a single measure could control or contain a WCD.
    Finally, BSEE proposes to revise existing paragraph (b) by 
eliminating the requirement for the operator to conduct a stump test of 
a pre-positioned capping stack, if the operator elects to use one, 
prior to installation on each well. This proposed change would provide

[[Page 51015]]

consistency with BSEE's proposed revision to the definition of a 
capping stack in Sec.  250.105 and the new SSID alternative BSEE is 
proposing under Sec.  250.472. BSEE's proposed SSID alternative 
includes specific testing procedures, which is discussed in detail 
later in this preamble. BSEE's prior references to ``pre-positioned 
capping stacks'' were intended to address a comment on the 2015 Arctic 
Exploratory Drilling Proposed Rule suggesting that the definition of a 
capping stack be expanded to allow pre-positioned capping stacks to be 
used below subsea BOPs when deemed technically and operationally 
appropriate.
What are the additional well control equipment or relief rig 
requirements for the Arctic OCS? (Sec.  250.472)
    Paragraph (b) of Sec.  250.472 currently requires the operator to 
have access to a relief rig (different from the primary drilling rig), 
when drilling or working below the surface casing. In addition, when 
drilling or working below the surface casing, paragraph (b) requires 
the operator to stage the relief rig so that it could arrive on site, 
drill a relief well, kill and permanently plug the out-of-control well, 
and abandon the relief well prior to expected seasonal ice encroachment 
at the drill site, and in no event later than 45 days after the loss of 
well control.
    BSEE proposes to revise the existing relief rig and SSRW 
requirements in Sec.  250.472 by:
    (i) Providing the operator with an option to either use an SSID or 
have access to a relief rig, if the operator will conduct exploratory 
drilling operations from a MODU;
    (ii) Establishing the requirements that the operator must satisfy 
if the operator elects to use an SSID to comply with Sec.  250.472;
    (iii) Establishing the requirements that the operator must satisfy 
if the operator elects to have access to a relief rig to comply with 
Sec.  250.472;
    (iv) Adding a new provision that would apply if the operator elects 
to have access to a relief rig, allowing the operator to, subject to 
BSEE's determination, delay having access to the rig until operations 
have reached the last casing point prior to penetrating a zone capable 
of flowing hydrocarbons in measurable quantities provided that the 
operator submits adequate documentation (such as, but not limited to, 
risk modeling data, off-set well data, analog data, seismic data), with 
its APD, demonstrating that they will not encounter any abnormally 
high-pressured zones or other geologic hazards; and
    (v) Eliminating the reference to expected seasonal ice encroachment 
at the drill site, which applies to relief rig operations.
    Proposed paragraph (a) would establish the requirements the 
operator must follow if the operator elects to use an SSID and proposed 
paragraph (b) would establish the requirements the operator must follow 
if the operator elects to maintain access to a relief rig. BSEE would 
combine the requirements in existing paragraphs (a) and (b) into a 
single paragraph--proposed paragraph (b)--for organizational purposes, 
since existing paragraphs (a) and (b) cover relief rigs. Proposed 
paragraph (b) would also include the relief rig-related revision 
described in item (iv) of the previous paragraph, which could allow the 
operator to adjust the point in time during operations when it must 
stage its relief rig-- from ``when drilling or working below the 
surface casing'' to ``when drilling or working below the last casing 
point prior to the zone capable of flowing hydrocarbons in measurable 
quantities.'' However, unless otherwise approved by BSEE, the operator 
must stage its relief rig in a location, such that the relief rig would 
be available to arrive on site, drill a relief well, kill and abandon 
the original well, and abandon the relief well no later than 45 days 
after the loss of well control, when drilling or working below the 
surface casing. Finally, proposed paragraph (b) would include the 
proposed relief rig-related revision to eliminate the reference to 
expected seasonal ice encroachment at the drill site, which could 
potentially extend the open-water drilling season for MODUs. The 
changes included in proposed paragraphs (a) and (b) are discussed in 
further detail below, respectively, under the two subheadings entitled, 
Proposed Paragraph (a)--Complying with Sec.  250.472 by Using an SSID 
and Proposed Paragraph (b)--Complying with Sec.  250.472 by Having 
Access to a Relief Rig.
    In addition, the general alternative compliance language in 
existing paragraph (c) would be eliminated because the proposed rule 
would provide the operator with the alternatives of either using an 
SSID or having access to a relief rig, and because Sec.  250.141, May I 
ever use alternate procedures or equipment?, already provides an option 
for an operator to seek approval to use alternate procedures or 
equipment, potentially including future technologies that have not yet 
been developed.
    When BSEE promulgated the 2016 Arctic Exploratory Drilling Rule, it 
understood that, based on past loss of well control events (including 
the Deepwater Horizon incident), it was important for the operator to 
be prepared to drill a relief well to permanently plug a well, in the 
event of a loss of well control. Arctic OCS exploratory drilling 
operations conducted from MODUs are complicated by the fact that these 
operations can take place only during a short period each year, when 
ice hazards can be physically managed and there is no continuous ice 
layer over the water. Outside of that window, ice encroachment 
complicates or prevents drilling, including drilling a relief well, and 
transit operations. Therefore, BSEE concluded in the 2016 Arctic 
Exploratory Drilling Rule's proposed rule (see 80 FR 9916) that, for 
Arctic OCS Conditions, it was necessary to establish a relief rig and 
SSRW requirements, whereby the rig would be positioned at a location 
that would enable it to transit to the well site, drill a relief well, 
kill and permanently plug the out-of-control well, plug the relief 
well, and demobilize from the site, prior to expected seasonal ice 
encroachment. (see 80 FR 9940).
    Prior to finalizing the 2016 Arctic Exploratory Drilling Rule, BSEE 
did not identify any alternative technologies that provided a 
comparable level of results to drilling a relief well and permanently 
killing an out-of-control well. Drilling a relief well prior to 
seasonal ice encroachment eliminates the risk of a prolonged 
uncontrolled flow of hydrocarbons under the ice, throughout the winter 
season. The SCCE intervention options in BSEE's existing regulations 
(capping stack, cap and flow system, and containment dome) are intended 
only to temporarily control a well and not to be left in place over an 
entire ice season. However, BSEE did provide an option through the 2016 
rule for the operator to request that BSEE approve ``alternative 
compliance measures to the relief rig requirement,'' as provided in the 
longstanding regulation at Sec.  250.141, May I ever use alternate 
procedures or equipment?
    Since the promulgation of the 2016 Arctic Exploratory Drilling 
Rule, BSEE has received and considered other information regarding the 
current relief rig and SSRW requirements in Sec.  250.472. BSEE used 
the following information when developing the proposed requirements of 
this section:

[[Page 51016]]

 Supplemental Assessment to the 2015 Report on Arctic 
Potential: Realizing the Promise of U.S. Arctic Oil and Gas Resources 
(NPC 2019 Report)
    In April 2018, the Secretary of Energy, in cooperation with DOI, 
requested that the NPC develop a supplemental assessment to the NPC 
2015 Report. In April 2019, the NPC issued a report entitled, 
``Supplemental Assessment to the 2015 Report on Arctic Potential: 
Realizing the Promise of U.S. Arctic Oil and Gas Resources.'' The 
supplemental assessment evaluated experiences with Arctic exploration 
and advancements in technology, and it provided findings and 
recommendations directed toward enhancing the Nation's regulatory 
environment to improve reliability, safety, efficiency, and 
environmental stewardship for Arctic oil and gas development. One of 
the key areas the Secretary of Energy requested that the NPC address 
was regulatory burdens related to development on the Arctic OCS. (NPC 
2019 Report at A-1)
    The NPC 2015 Report described various technologies employed by 
industry as preventative measures, to reduce the risk of a well control 
incident or to mitigate the impacts of an incident through response and 
recovery measures. It recommended further examination of source control 
and containment technologies, including capping stacks and SSIDs, 
noting that such alternatives ``. . . could prevent or significantly 
reduce the amount of spilled oil compared to a relief well, which could 
take a month or more to be effective.'' (NPC 2015 Report at 4-16). 
According to the NPC 2015 report, ``[a] relief well under good weather 
conditions may take 30 to 90 days plus rig mobilization, whereas a 
capping stack could be installed significantly sooner, and a subsea 
shut-in device could be activated in minutes.'' (NPC 2015 Report at 8-
17)
    The NPC 2019 Report noted that, when ExxonMobil drilled an 
exploratory well in the Russian waters of the Kara Sea, it used an SSID 
that was built and tested in Norway. According to the NPC 2019 Report, 
the SSID used in the Kara Sea used existing capping stack technology, 
including dual blind shear rams; an upgraded, redundant control system; 
and side inlets for intervention below the shear rams. (id. at C-10). 
At the same time, the NPC 2019 Report described the SSID as similar to 
a second BOP that was designed to be left on the wellhead, instead of 
being removed with the drilling rig, if the rig moves off the well near 
the end of the drilling season. The SSID, which could be actuated 
remotely, and the casing design together were capable of safe full well 
shut-in, diminishing the risk related to a loss of well control event 
occurring in late season and continuing over the winter season. The NPC 
2019 Report observed that this design approach could eliminate the need 
for an SSRW. (id. at C-28). Ultimately, the NPC recommended that the 
use of an SSID, in conjunction with capping stacks, be accepted in 
place of the existing requirement for SSRW capability. (id. at 2).
    The NPC 2019 Report also included additional data regarding the 
geologic characteristics of the formations targeted during exploratory 
drilling operations in the Chukchi Sea and Beaufort Sea. The NPC 2019 
Report provides an illustrative comparison of the geologic depths 
encountered in the Arctic OCS and the Gulf of America OCS. (NPC 2019 
Report at 11). The shallower targeted geologic formations in the Arctic 
OCS make drilling less complex and lower risk. This is different from 
current water depths encountered by operators in the Gulf of America. 
In the Arctic OCS, exploratory drilling operations conducted from MODUs 
have taken place in waters less than 200 feet. In the Gulf of America, 
drilling activities are continually taking place in waters deeper than 
9,000 feet.
    The Arctic OCS's distinct challenges are driven by the region's 
extreme environmental conditions, geographic remoteness, and a relative 
lack of fixed infrastructure and existing operations. In comparison to 
the Gulf of America, the Arctic OCS lacks extensive operations and 
infrastructure from which resources could be drawn to respond to a well 
control incident. In addition, the open water season for drilling from 
a MODU is limited, allowing operators to perform drilling operations 
only during the summer and early fall. A late-season well-control event 
could challenge an operator's ability to perform well intervention 
operations prior to freeze up.
 Suitability of SCCE Versus SSRW in the Alaska OCS Region 
(Bratslavsky and SolstenXP 2018 Study)
    In addition to the NPC 2019 Report, BSEE also considered 
information about SSIDs through the Bratslavsky and SolstenXP 2018 
study, discussed in the previous section in connection with the 
proposed changes to the current Arctic OCS source control and 
containment requirements in Sec.  250.471. As previously mentioned, the 
Bratslavsky and SolstenXP 2018 study entailed a comprehensive review 
and gap analysis of U.S. and international regulations, standards, RPs, 
specifications, technical reports, and common industry methods 
regarding the safe deployment of SCCE as compared to the effectiveness 
of drilling an SSRW in Arctic conditions. BSEE notes that the 
Bratslavsky and SolstenXP 2018 study refers to the SSID as a ``subsea 
intervention device'' and considers the device to be SCCE, which is 
used to mitigate the consequences of a well control event. However, 
consistent with the findings in the NPC 2019 Report that categorizes 
SSIDs as preventative measures (instead of a response and recovery 
measure), BSEE considers SSIDs to be a barrier intended to prevent or 
minimize the impacts of a well control event. (id. at 16).
    The Bratslavsky and SolstenXP 2018 study noted that an SSID was 
installed and field tested on a submersible drilling vessel (i.e., a 
steel drilling caisson) for a 2005/2006 drilling project in the 
Canadian Beaufort Sea. However, the system was not completed in time to 
meet the approval process timelines and shipping deadlines required for 
timely implementation of the unit. (Bratslavsky & SolstenXP 2018 at A-
36). According to the study, the use of a preinstalled SSID could 
provide a faster and safer additional line of defense for a response to 
a blowout than an SSRW or deployment of a capping stack or containment 
dome, resulting in smaller discharges to the environment. The report 
also mentions that the ability to remotely function the SSID ensures 
that it can be used in instances where other types of SCCE cannot be 
deployed due to site hazards that make it unsafe or inaccessible. These 
instances may include: a blowout with pressurized fluids coming up 
solely through the wellbore (forming a gas boil on the surface), a rig 
catching fire or collapsing on top of the well, or an incident in an 
area where response operations are limited, such as in shallow waters 
(id. at 35). The report also stated that if the well is designed to 
accommodate a full shut[hyphen]in of the last casing string interval, 
the SSID can temporarily cap and control a well and facilitate its 
plugging and abandonment. This finding is consistent with the 
information from the NPC 2019 Report discussed previously. In 2008, 
Chevron initiated a technology venture with its partners on an R&D 
project to develop an SSID that would advance the best BOP technologies 
available at the time and would meet or exceed Canada's SSRW Arctic 
offshore regulations. The SSID was known as the AWKS, which had two 
shear rams that were capable of simultaneously shearing and sealing 
heavier wall, larger diameter tubulars, and casings than was possible

[[Page 51017]]

at that time. According to the NPC 2015 Report, Chevron successfully 
completed its testing of the AWKS in 2014 and is ready for deployment. 
(NPC 2015 Report at 4-18).
    Although the Bratslavsky and SolstenXP 2018 study points out that 
SSIDs could provide a faster and safer response to a blowout than 
capping stacks or containment domes, BSEE does not conclude from this 
observation that SSIDs should also replace the SCCE requirements in 
existing and proposed Sec.  250.471. As discussed in the 2016 Arctic 
Exploratory Drilling Rule, in the Arctic, it is critical for the 
operator to have redundant protective measures in place, as there is no 
guarantee that a single measure could control or contain a WCD. (see 81 
FR 46487). This rulemaking remains consistent with those objectives. 
The SSID, well design, and BOPs, along with the capping stack 
positioning requirement (which would be not be eliminated as part of 
this rulemaking), are those redundant protective measures that serve as 
controls and barriers, or immediate response mechanisms that prevent or 
minimize the likelihood of loss of well control.
    Other pertinent information from the Bratslavsky and SolstenXP 2018 
study includes the statistical analysis of the Arctic OCS's 2012 to 
2016 drilling seasons in the Beaufort and Chukchi Seas. The analysis 
identified the metocean and operational conditions that would support 
the safe drilling of a relief well. The study noted that the hazards of 
sea ice to drilling vessels and associated support vessels are 
primarily determined by the concentration and thickness of the sea ice. 
A vessel's ice classification, which are determined by various marine 
classification societies, such as the ABS and DNV GL, indicates the 
vessel's capabilities. As ice concentrations increase, a vessel's 
efficiency decreases. (Bratslavsky & SolstenXP 2018 at 23).
    The study notes that the open water operating season in the Chukchi 
Sea ranges from approximately 60 to 90 days in the historically active 
exploration area. (id. at 143). However, the results of the study 
showed that there is a high probability (90 percent) that drilling can 
be conducted safely in sea ice conditions in a majority of the 
historically active exploration area of the Chukchi Sea for 70 to 160 
days if an ice class MODU and associated support vessels are used as 
part of the drilling operation. (id. at 108 and 145). Moreover, the NPC 
2019 Report notes that ``vessels and equipment that are positioned in 
the theater `just in case' they are needed to minimize environmental 
impact, can actually impede personnel safety and source control 
objectives, because they distract operations personnel, add congestion, 
and can impede surface access to the well location.'' (NPC 2019 Report 
at 19).
    In the Beaufort Sea, the open water operating season is limited to 
approximately 50 to 60 days across the historically active exploration 
area. (id. at 143). The study's analysis showed there is a high 
probability (90 percent) that drilling can be conducted safely for 70 
days, from mid-August through October, in a majority of the 
historically active exploration area of the Beaufort Sea. (id. at 146).
    In light of the information from the NPC reports and the 
Bratslavsky and SolstenXP 2018 study, and BSEE's consideration of that 
information, BSEE proposes to revise Sec.  250.472 in the following 
manner:
 Proposed Paragraph (a)--Complying With Sec.  250.472 by Using 
an SSID
    The use of an SSID is not a new concept and was discussed in the 
2016 Arctic Exploratory Drilling Rule.\14\ Through the 2016 rulemaking 
comment process, stakeholders informed the Bureau that use of an SSID 
could help significantly reduce the risk of a release of hydrocarbons 
if the BOP system fails. At that time, BSEE focused more on permanent 
remediation to resolve a WCD event in the Arctic. Nonetheless, the 
Bureau agreed that an operator could request to use an SSID as an 
alternate procedure or equipment to the relief rig (see 80 FR 9940). 
Stopping short of requiring the use of an SSID, BSEE, instead, stated 
in the 2016 rule that it would consider the use of an SSID as an 
alternate procedure or equipment, under appropriate circumstances, if 
proposed for use with a jack-up (when surface BOPs are used). At that 
time, BSEE determined that, in the case where subsea BOPs are used in 
conjunction with floating drilling units, SSIDs would only be 
marginally effective or redundant (see 81 FR 46531). Since the 
publication of the 2016 rule, BSEE has reevaluated the use of SSIDs and 
the overall improved technology for similar components (BOPs). In this 
proposed rule, BSEE would allow operators the option to use an SSID 
based on BSEE's assessment of improved SSID design and operating 
requirements, including the ability to shut in a well over the winter 
ice season with a well cap. Additionally, BSEE would make this revision 
to potentially minimize environmental damage due to a prolonged ongoing 
well control event. An SSID is not a permanent solution for well 
remediation. However, it can provide a significantly quicker response 
time to address a well control event compared to drilling a relief 
well.
---------------------------------------------------------------------------

    \14\ See, e.g., 80 FR 9940 (``[BSEE] requests comments on 
alternative compliance approaches and specifically requests data on 
the performance of SIDs, including operational issues (such as 
timeframes needed to activate such alternatives). In particular, 
BSEE requests comments on appropriate staging requirements for a 
relief rig assuming that an SID has been installed at the 
exploration well. Comments are also requested on the need for an 
operator to have an in- season relief well drilling capability if an 
SID is used at a location that is not subject to ice scouring.'')
---------------------------------------------------------------------------

    Drilling a relief well is a complex, time-consuming process. After 
setting up the drill rig and drilling begins, the process to intercept 
the original wellbore may take several weeks or more because the 
operator needs to drill deep enough at great precision to ensure 
interception of the original well. This delay increases the length of 
the time oil and other fluids within the original well could be flowing 
uncontrollably into the marine environment. There is no delay for 
operational use of an SSID compared to the process of using the relief 
rig or capping stack.
    In this proposed rule, BSEE developed its proposed SSID 
requirements based on existing BOP equipment/technology whose 
performance and reliability has been tested, proven in a manner that is 
repeatable and reproducible, and has improved since promulgation of the 
2016 rule. BSEE also proposes to require an SSID used in the Arctic OCS 
to operate independently from the BOP. This would be accomplished by 
requiring the SSID to have a redundant control system, independent from 
the BOP control system, and independent, dedicated subsea accumulators 
to operate the SSID. By having two independent, redundant components 
(i.e., the BOP and the SSID) as part of the well control system, the 
overall reliability and effectiveness of the entire system increases. 
The following paragraphs describe BSEE's proposed requirements 
associated with the SSID, including the SSID's redundant control system 
(i.e., under proposed Sec.  250.472(a)(2)(ii)) and subsea accumulators 
(i.e., under proposed Sec.  250.472(a)(2)(iii)).
    Although the NPC 2019 Report recommended that the use of an SSID 
and capping stacks replace the requirement for an SSRW capability, BSEE 
is not proposing to eliminate the relief rig and SSRW requirements. 
Rather, BSEE is proposing to maintain the relief rig and SSRW 
requirement as an option for the operator to meet the regulatory 
requirements of Sec.  250.472. BSEE has determined that its

[[Page 51018]]

regulations should provide options and flexibility to the operator 
(i.e., an SSID or a relief rig) to fit its needs and plans to develop 
its Arctic OCS leases. There could be cases where the operator's 
drilling schedule may not align with the availability of an SSID. In 
such a case, the operator should have the option to elect to proceed by 
complying with the relief rig and SSRW requirements. If an operator 
does not complete its exploratory drilling operations during that open 
water operating season, the operator could come back during a 
subsequent open water operating season and use an SSID, if one has 
become available in time.
    There could also be cases where two or more operators may plan to 
perform exploratory drilling operations during the same open water 
season. In such a case, each operator's drilling rig could serve as the 
others' relief rig. Under the existing regulations, BSEE would consider 
this type of a scenario to be in compliance with the relief rig and 
SSRW requirements. BSEE would not change that interpretation as part of 
this rulemaking. In a scenario like this, none of the operators would 
need to install an SSID, so long as there is an agreement among the 
operators that their drilling rigs will serve as a relief rig, if 
necessary. While it is not possible to identify every conceivable 
scenario, BSEE recognizes there could be other scenarios that are 
reasonably possible. Thus, it is appropriate to provide regulatory 
flexibility in order to accommodate an operator's drilling program. 
BSEE also retains its regulatory authority to approve alternate 
procedures or equipment if the proposed procedures or equipment either 
meet or exceed the level of safety and environmental protection 
required.
    The term SSID is a broadly used industry term, and there is not a 
single, all-encompassing definition that establishes the scope and 
function of an SSID. In some cases, different terms are used to 
describe the device. For example, as stated earlier, the Bratslavsky 
and SolstenXP 2018 study refers to the device as a ``subsea 
intervention device,'' while some in the industry also refer to the 
SSID as a ``mudline closure device.'' Irrespective of these synonymous 
titles, BSEE uses the term SSID to refer to a fit-for-purpose device 
that may be used for different types of situations, including for well 
intervention applications, and can be used in different locations, 
including outside of the Arctic. However, for the purposes of Arctic 
OCS exploratory drilling from a MODU, BSEE is proposing to define the 
minimum acceptable capabilities and functions of an SSID. BSEE notes 
that, outside of the Arctic OCS, SSIDs have already been approved for 
use in other parts of the OCS. The NPC 2019 Report notes that the 
requirement to drill an SSRW to mitigate the risk of a late season well 
control event continuing over the winter season is ``outdated.'' The 
2019 report concludes that SSIDs and capping stacks are superior 
solutions that could stop the flow of oil and allow intervention 
through the original borehole before a relief well could be completed. 
(NPC 2109 Report at 19). The SSID requirements BSEE is proposing to 
establish in this proposed rule would not apply to projects outside of 
the Arctic OCS. The design requirements for those SSIDs would be based 
on the needs of a particular project and may or may not be similar to 
what BSEE is proposing in this proposed rule. BSEE requests comments on 
these SSID requirements as outlined in the proposed rule.
    Under proposed paragraph (a) of Sec.  250.472, if the operator 
elects to satisfy the requirements of this section by using an SSID, 
BSEE would require the operator to ensure that the SSID and well design 
(including the casing and cementing program) are designed to achieve a 
full shut-in, without causing an underground blowout or having 
reservoir fluids broach to the seafloor.
    Currently, BSEE's regulations for SCCE under Sec.  250.462 do not 
require all wells to be designed to achieve a full shut-in (e.g., 
partial shut-in is acceptable) as there are methods to control the 
residual fluid flow into a surface production and storage system when a 
well is designed for partial shut-in. However, because BSEE is 
proposing that the SSID be designed to achieve full wellbore shut-in 
until kill operations are completed, it is important that the well 
design assures that the well will be able to withstand the associated 
loads for the entire time the SSID is closed (e.g., prevents gas 
migration in the shut-in wellbore). If the wellbore is compromised 
during or after a full shut-in, an underground blowout or broach to the 
seafloor may occur. BSEE reviewed available incident data on loss of 
well control events,\15\ and determined that, on average, three loss of 
well control events occurred each year on the OCS between 2007 and 
2023, none of which occurred in the Arctic OCS.
---------------------------------------------------------------------------

    \15\ See, BSEE's website at https://www.bsee.gov/stats-facts/offshore-incident-statistics.
---------------------------------------------------------------------------

    In addition, BSEE's predecessor, MMS, published a paper in July/
August of 2007 entitled, ``Absence of fatalities in blowouts 
encouraging in MMS study of OCS incidents 1992-2006.'' You may download 
and view the paper at http://drillingcontractor.org/dcpi/dc-julyaug07/DC_July07_MMSBlowouts.pdf. The paper summarizes MMS's assessment of 
statistical information about loss of well control events that occurred 
during drilling operations on the OCS from 1992 through 2006. The paper 
noted that although relief wells were initiated in 2 of the 39 blowouts 
that occurred during the study period, both wells were controlled by 
other means prior to completion of the relief well.
    The well design language in proposed paragraph (a) would also 
require the operator to account for the stresses and loads placed on 
the well from the equipment that may be required to regain control 
after a loss of well control event. This includes the SSID, BOP stack, 
and capping stack. It is imperative that all well components are 
designed to withstand all potential loads and stresses placed on the 
well, including those that may be required during well control 
situations and deployment of SCCE (i.e., the well must be able to 
support a capping stack in addition to the other equipment required for 
normal operations).
    The need for the operator to account for all potential loads placed 
on the well also includes consideration of conditions where a well 
would be shut-in over the ice season. For example, in typical well 
control operations, a BOP is used to stop the uncontrolled flow and 
shut-in the well. It remains shut-in for a relatively short period of 
time while well kill operations are implemented and, if needed, 
materials and personnel are mobilized to the rig.
    For wells that may be shut-in for extended periods, the operator 
must consider the potential effects of gas expansion within the well. 
For example, in reservoirs containing gas, which is less dense than the 
liquids in the wellbore (e.g., drilling mud, completion fluid, brine), 
the gas will migrate upward in the wellbore until it reaches the closed 
BOP. This gas exerts a lower hydrostatic pressure than the column of 
oil or drilling fluids in the wellbore, and more of the reservoir 
pressure is transmitted to the top of the wellbore as a result. As the 
hydrostatic pressure acting on the bubbles decreases, the bubbles 
expand.
    As these bubbles continue to migrate and expand over time, the 
wellbore pressure profile increases. What was once a low pressure at 
the top of the well, with a hydrostatic pressure gradient below it, 
will eventually increase to reservoir pressure, increasing the downhole 
pressure. As the pressures in the wellbore increase,

[[Page 51019]]

some of the liquid may bleed into the open formation(s). Eventually, 
the pressure may exceed the strength of the formation (fracture 
pressure) in the wellbore, potentially resulting in a fracture of the 
formation and an underground blowout. Because proposed paragraph (a) of 
Sec.  250.472 contemplates allowing the operator to leave a well shut-
in from one open-water season to the next (i.e., in the case of a late 
season well control event), wells need to be designed to withstand this 
potential loading condition.
    In a new paragraph (a)(1), BSEE proposes to establish performance-
based design requirements for the SSID. BSEE would require the operator 
to ensure that the SSID is designed to:
    (i) Close and seal the wellbore, independent of the BOP;
    (ii) Perform under the maximum environmental and operational 
conditions anticipated to occur at the well;
    (iii) Be left on the wellhead in the event the drilling rig is 
moved off location (e.g., due to storms, ice incursions, or emergency 
situations);
    (iv) Preserve isolation through the winter season without relying 
on the elastomer elements of the rams (e.g., by using a well cap) and 
allow re-entry during the following open-water season; and
    (v) In the event of a loss of well control, preserve isolation 
until other methods of well intervention may be completed, including 
the need to drill a relief well.
    BSEE's analysis of loss of well control events data indicates that 
the most common methods employed to regain control of a well include 
pumping mud or cement into the uncontrolled well or activating 
mechanical well control equipment (e.g., BOP).
    These SSID design requirements would help ensure the device is 
capable of shutting in and containing all fluids within the wellbore 
for an entire ice season (in the case of a loss of well control event 
too late in the open-water season to provide enough time for the 
operator to perform well kill or plug and abandonment operations). BSEE 
is basing the proposed design requirement for the SSID to be capable of 
preserving isolation through the winter season without relying on the 
elastomer elements of the rams (e.g., by using a well cap) on 
information it gained from the Kara Sea project. BSEE understands that 
the SSID used in the Kara Sea project was capable of preserving 
isolation over an entire ice season because it was designed to have a 
metal-to-metal cap installed on top of the SSID, after the BOP is 
detached and all equipment is moved off of the drill site. BSEE 
understands that isolation could not be achieved over the ice season if 
the shut-in relied solely on the elastomer elements of the rams. The 
design requirements would also ensure the SSID will allow for re-entry 
to perform well recovery operations during the following open water 
season.
    In a new paragraph (a)(2), BSEE proposes to require that the 
operator's SSID include the following equipment:
    (i) Dual shear rams, including ram locks; one ram must be a blind 
shear ram;
    (ii) A redundant control system, independent from the BOP control 
system, that includes ROV (remotely operated vehicle) capabilities and 
a control station on the rig;
    (iii) Independent, dedicated subsea accumulators with the capacity 
to function all components of the SSID; and,
    (iv) Two side inlets for intervention, one of which must be located 
below the lowest ram on the SSID.
    The dual shear ram requirement in proposed paragraph (a)(2)(i) 
would ensure that the SSID is capable of shearing through drill pipe, 
sealing the wellbore, and containing the fluids before they can escape 
during a loss of well control event. BSEE notes that the NPC 2019 
Report describes the SSID as having shearing/sealing rams. In fact, 
when describing the SSID used in the Kara Sea Project, the report 
explains that the device utilized dual blind shear rams. While proposed 
paragraph (a)(2)(i) would require only one of the rams to be a blind 
shear ram, BSEE is seeking comment on the advisability of requiring 
dual blind shear rams on the SSID. As described in the bow-tie diagram 
of the NPC 2019 Report, the SSID is the last line of prevention to 
minimize the impacts of an event. (NPC 2019 Report at 14).
    The redundant control system requirements in proposed paragraph 
(a)(2)(ii) would ensure there is reliability in the system and that the 
SSID will function when needed in an emergency situation. This proposed 
requirement is intended to align with the existing requirement in 
existing Sec.  250.734(a)(2), which requires subsea BOPs to have a 
redundant control system to ensure proper and independent operation of 
the BOP system. With respect to the requirement that an SSID have a 
separate control station on the rig that is independent from the BOP 
control system located on the rig, it is important for the SSID 
functions to be controlled by personnel directly involved in the 
drilling process to allow for an appropriate response from a 
``situationally aware'' individual. Therefore, while BSEE is proposing 
to require the SSID control system to remain independent of the BOP 
control system, it would not require those systems to be located in 
separate locations.
    BSEE is seeking comment on whether the proposed requirement in 
paragraph (a)(2)(ii) is appropriate for the SSID or whether there are 
additional ways to enhance the system's reliability. For example, BSEE 
is contemplating whether it may be more appropriate to require the 
SSID's redundant control system capabilities to be separate from the 
ROV's capabilities. BSEE is also considering, as part of the final 
rule, requiring the SSID control systems to be consistent with the 
fully redundant control system requirements described in API 
Specification (Spec.) 16D (e.g., yellow pod and blue pod). More 
specifically, BSEE is further considering whether there should be an 
additional manual method (separate from the redundant control system) 
to close the SSID's rams with the ROV and whether it may be appropriate 
to require a standby or tending vessel with an ROV. These measures 
could address cases where the SSID's control system on the drilling rig 
is not available (e.g., due to failure or an evacuation of the rig).
    The requirement in proposed paragraph (a)(2)(iii) for SSIDs to have 
independent, dedicated subsea accumulators with capacity to function 
all components of the SSID would help ensure that, if the BOP system 
fails, the SSID will have the capabilities to function as needed, 
independent of the BOP's accumulator system. The requirement in 
proposed paragraph (a)(2)(iv) for SSIDs to have two side inlets, with 
one of the inlets located below the lowest ram on the SSID, would allow 
for re-entry through the SSID to perform well intervention operations. 
Side inlets allow the operator to pump fluids into the well to kill the 
well, before opening the blind shear ram to perform additional well 
intervention operations.
    In proposed paragraph (a)(3), BSEE would require the SSID to 
include ROV intervention equipment and capabilities to function the 
SSID. BSEE regulations currently include requirements for ROV 
intervention capabilities in relation to a BOP's functionality. BSEE is 
proposing similar requirements for the SSID because the SSID functions 
similarly to a BOP. Under proposed paragraph (a)(3), the ROV equipment 
and capabilities must:
    (i) Be able to close each shear ram under the MASP, as defined for 
the operation;

[[Page 51020]]

    (ii) Include an ROV panel that is compliant with API RP 17H 
(incorporated by reference, see Sec.  250.198);
    (iii) Meet the ROV requirements in existing Sec.  250.734(a)(5); 
and,
    (iv) Have the ability to function the SSID in any environment 
(e.g., when in a mudline cellar).
    The requirement in proposed paragraph (a)(3)(i) for the ROV to be 
able to close each shear ram under the operation's defined MASP would 
ensure that the operator is able to remotely close (through the ROV) 
each shear ram on the SSID and seal the well, which are the most 
critical functions during a well control event. The requirement in 
proposed paragraph Sec.  250.472 (a)(3)(ii) for the ROV to have panels 
that are compliant with API RP 17H would ensure that the operator's ROV 
capabilities for the SSID follow BSEE's existing ROV panel requirements 
for BOP systems. API RP 17H provides recommendations and overall 
guidance for the design and operation of ROV tooling used on offshore 
subsea systems (e.g., provision for high flow Type D hot stabs). This 
guidance is critical to ensuring safe and reliable ROV operations. In 
conjunction with the proposal in paragraph (a)(3)(ii) to require the 
operator's ROV panels to be compliant with API RP 17H, BSEE proposes to 
add the citation for proposed Sec.  250.472(a)(3) to Sec.  
250.198(e)(2)(i)(HH). Section 250.198(e)(2)(i)(HH) documents the 
locations in the regulations where API RP 17H is incorporated by 
reference as a regulatory requirement, which would include Sec.  
250.472(a)(3) under this proposed rule. Adding the citation for Sec.  
250.472(a)(3) to Sec.  250.198(e)(2)(i)(HH) would clarify that API RP 
17H is a regulatory requirement when complying with Sec.  250.472 and 
is subject to BSEE oversight and enforcement in the same manner as 
other regulatory requirements.
    The requirement in proposed paragraph (a)(3)(iii) for the operator 
to meet the requirements in existing Sec.  250.734(a)(5) would ensure 
that the operator has a trained ROV crew on each rig unit. The crew 
must ensure that the ROV is maintained and capable of carrying out the 
necessary tasks during emergency operations and be trained in operating 
the ROV, including stabbing into the ROV intervention panel on the 
SSID. The crew must also have the capability to communicate with 
designated rig personnel, who are knowledgeable about the SSID's 
capabilities.
    The requirement in proposed paragraph (a)(3)(iv) for the ROV to be 
capable of functioning the SSID in any environment is meant to address 
those cases where it may be necessary to place the SSID in an enclosed 
or restricted environment. For example, if the SSID is used in an area 
with ice scouring or with deep ice keels, the SSID would be placed in a 
mudline cellar. If the ROV panels are attached to the SSID, the ROV may 
not be able to access the panels if there is not enough space in the 
cellar. The operator must ensure that the ROV has the capabilities to 
address these types of scenarios. BSEE is aware of current projects 
that are evaluating positioning the ROV panels away from the SSID. The 
ROV would function the SSID from the remote panel, which would be 
hardwired to the SSID. In addition, it is possible for a mudline cellar 
to be constructed via a dragline. In such a case, the mudline cellar 
could be constructed wide enough to provide adequate space for the ROV 
to access the panel if the panel was attached to the SSID. BSEE 
proposes to make the requirement in proposed paragraph (a)(3)(iv) 
flexible, recognizing that there are multiple ways an operator could 
address this type of concern.
    In general, however, BSEE is seeking comment on the feasibility of 
installing an SSID below a subsea BOP in cases where the SSID would 
also be installed in a mudline cellar. BSEE's current regulations at 
Sec. Sec.  250.734(a)(13) and 250.738(h) require placement of subsea 
BOP systems in mudline cellars when drilling occurs in areas subject to 
ice-scouring. In addition, proposed Sec.  250.720(c)(2) requires 
placement of the wellhead in a mudline cellar in areas subject to ice-
scouring. BSEE is requesting more information about whether there are 
any other operational or installation challenges that the operator may 
encounter when attempting to effectively operate the SSID in this 
environment. If so, what are those challenges, and how could they be 
addressed?
    BSEE understands that the SSID used in the Kara Sea could be 
manually activated using acoustic technologies. While such technologies 
are available to function the SSID from a remote location, BSEE is 
proposing to require use of an ROV, as described in proposed paragraph 
(a)(3). BSEE is proposing to require the use of ROVs in conjunction 
with the application of an SSID because the device functions similarly 
to a BOP, and the Bureau has extensive experience in applying ROV 
requirements to BOPs.\16\ A 2014 BSEE-commissioned study \17\ evaluated 
existing acoustic technologies for subsea well control and found that 
it's use was for specific remote emergency signaling applications. ROVs 
are more reliable for overall emergency, complex, or high-uncertainty 
situations. However, BSEE requests that commenters provide any 
information that demonstrates the reliability of acoustic (or other) 
technologies to actuate an SSID from a remote location.
---------------------------------------------------------------------------

    \16\ Paragraph (a)(4) of 30 CFR 250.734 What are the 
requirements for a subsea BOP system?
    \17\ Final Report 02--BOP Monitoring and Acoustic Technology, 
2014 (chrome-extension://efaidnbmnnnibpcajpcglclefindmkaj/https://
www.bsee.gov/sites/bsee.gov/files/tap-technical-assessment-program//
713ac.pdf#:~:text=Assessment%20of%20BOP%20Stack%20Sequencing%2C%20Mon
itoring%20and,02%20%2D%20BOP%20Monitoring%20and%20Acoustic%20Technolo
gy.)
---------------------------------------------------------------------------

    Furthermore, although BSEE is not proposing to require the SSID to 
have a self-actuating function, the Bureau is contemplating whether one 
may be necessary for certain emergency situations. BSEE is aware that 
in the Arctic OCS, it is possible for a drilling vessel to sink and 
allide with (i.e., strike against) the top of a wellhead during a loss 
of well control event (Bratslavsky and SolstenXP 2018 at 17). As 
discussed in the previous section, all exploratory drilling in the 
Beaufort Sea and the Chukchi Sea has taken place in waters less than 
167 feet deep. In April 2020, the only leases with potential projects 
that would be subject to the Arctic OCS's SSID or SSRW requirements 
were relinquished. These leases were located in water depths less than 
approximately 170 feet deep. In these water depths, during an 
emergency, a vessel could sink before the BOP or SSID can be activated. 
A self-actuating system incorporated into the SSID could potentially 
address this problem.
    One option BSEE is considering is whether it may be appropriate to 
establish an autoshear and deadman system requirement for the SSID. The 
intent would be to address those emergency situations, such as when a 
sunken MODU allides with the wellhead, where the SSID could no longer 
be functioned via the ROV (due to lack of access) or a control station 
on the drill ship. BSEE's regulations already address autoshear and 
deadman systems for subsea BOPs. Existing Sec.  250.734(a)(6)(i) 
requires subsea BOPs to have an autoshear system that is designed to 
automatically shut-in the wellbore in the event of a disconnect of the 
LMRP. Also, existing Sec.  250.734(a)(6)(ii) requires a deadman system, 
that is designed to automatically shut-in the wellbore in the event of 
a

[[Page 51021]]

simultaneous absence of hydraulic supply and signal transmission 
capacity in the subsea control pods, respectively. However, BSEE did 
not propose this requirement for SSIDs in this rulemaking. The SSID is 
meant to be a backup to the BOP, and it is not necessary for the SSID 
to have the same automatic emergency functions as the BOP.
    There could potentially be negative consequences if both systems 
were to automatically function. For example, there could be a situation 
where the BOP's autoshear or deadman systems function, but they are not 
able to shut-in the well because a non-shearable drill string is 
positioned across the rams. If the subsea BOP rams are experiencing 
this issue, then the SSID may also encounter the same problem, 
depending on the part of the drill string that is across the rams at 
that time. In this scenario, it would be more appropriate to assess the 
situation to determine whether other well intervention operations could 
be performed to address the position of the drill string, before 
activating the SSID.
    Regardless of these challenges, BSEE is seeking comment on what 
fail-safe mechanism(s) may be appropriate to address cases where the 
BOP fails and the SSID is inaccessible by an ROV or a control station. 
If an autoshear system or a deadman system are appropriate fail-safe 
mechanisms to add to the SSID, BSEE is seeking input on what criteria 
should be used to function these systems, to ensure the system does not 
function at the wrong time or interferes with or impacts the BOP's 
autoshear and deadman systems.
    BSEE is also seeking comment on how to ensure that the SSID will be 
able to preserve isolation over the winter season in the event of a 
late-season emergency incident, such as a sunken drillship. As 
previously mentioned, BSEE understands that prior SSIDs have planned 
for long-term isolation through installation of a metal-to-metal cap 
(i.e., a well cap) on the SSID before leaving the device on the 
seafloor over the winter season. In the case of a late-season emergency 
situation that prevents access to the SSID to install a metal-to-metal 
cap, how would isolation be preserved through the winter season?
    In addition, BSEE is soliciting comment on whether the regulations 
should require use of an autoshear or deadman system in cases where 
these systems are not built into the BOP's system. As previously 
mentioned, BSEE's autoshear and deadman system requirements currently 
apply to subsea BOPs. There is no current requirement to use an 
autoshear or deadman system when surface BOPs are used. BSEE would 
expect that if an operator uses a surface BOP, the operator would still 
install the SSID on the seafloor. BSEE seeks comment on whether it 
would be appropriate in such a case to require use of an autoshear or 
deadman system on the SSID. If so, what criteria should BSEE apply to 
the functioning of the autoshear or deadman systems in an environment 
where a surface BOP is used? Furthermore, BSEE welcomes any other 
comments, unrelated to autoshear or deadman systems, regarding use of a 
surface BOP.
    With respect to installation of the SSID, BSEE proposes in 
paragraph (a)(4) to require operators to install the SSID:
    (i) Below the BOP;
    (ii) At or before the time they install their BOP; and
    (iii) In a way that will provide protection from deep ice keels in 
the event it must remain in place over the winter season (e.g., 
installed in a mudline cellar).
    Installing the SSID below the BOP would allow for quick detachment 
of the BOP and other equipment above the SSID, which would be critical 
when moving off of a location for emergency purposes. With respect to 
timing of the SSID's installation, the operator would be required to 
install the SSID at or before the time they install the BOP. The 
proposed requirement for the SSID to be installed in a way that will 
provide protection from deep ice keels would help ensure that the 
device is not damaged by ice in areas of ice scour. As previously 
discussed, this could be accomplished by placing the SSID in a mudline 
cellar. In complying with this proposed requirement, the operator must 
also consider situations where the drill site is not located in an ice 
scour area, but could experience ice floes with keels deep enough to 
clip and compromise the SSID if left on the seafloor over the winter 
season.
    In a new paragraph (a)(5), BSEE proposes to require the operator to 
test the SSID according to the BOP testing requirements in Sec.  
250.737, What are the BOP system testing requirements? The SSID's 
testing requirements should align with the BOP testing requirements 
since, as previously mentioned, the SSID functions similarly, and in 
addition, to a BOP. This testing would aid in predicting future 
performance of the SSID to ensure that the device will function when 
needed during an emergency situation. While BSEE proposes to align the 
SSID testing requirements with the Bureau's existing BOP testing 
requirements, BSEE welcomes input on whether there are more appropriate 
and reliable testing methods. For example, what testing procedures have 
been used in the past to test an SSID when it was deployed? For future 
operations, what testing procedures are being developed specifically 
for an SSID? What testing procedures should be applied to SSIDs, and 
why?
    Overall, BSEE intends for the SSID to provide time for the operator 
to marshal the equipment and materials necessary to permanently address 
a well control event, without the constraints of seasonal ice coverage, 
and to prevent the potential environmental impacts that could occur if 
an out of control well was allowed to flow over the season when the 
operator would not have access to the site due to ice. The SSID, along 
with the proper well design, would allow the well to be shut in over 
the ice season without requiring additional vessels and the situation 
addressed permanently in the following open water season. It would also 
allow the operator the time necessary to complete the intervention, 
without the well flowing, if unforeseen problems are encountered.
    Collectively, the SSID's design requirements; equipment 
specifications; ROV intervention capabilities; installation 
requirements; and testing requirements; together with the additional 
well design requirements, would help ensure that the device will 
function when needed during an emergency situation and will be capable 
of controlling the well over the ice season, if necessary, until the 
operator returns to perform well intervention operations during the 
following open-water season. In connection with that well intervention 
operation, BSEE may still exercise its existing authority to also 
require the operator to drill a relief well to permanently plug and 
abandon the out-of-control well, if needed. BSEE reviewed incident data 
from 2007 to 2023, which may be accessed on BSEE's website at https://www.bsee.gov/stats-facts/offshore-incident-statistics, to try to 
identify any past incidents involving the use of a BSEE directed relief 
well to remedy the loss of well control. Aside from the Macondo well 
incident in 2010, one incident in 2013 required the drilling of a 
relief well (see https://www.bsee.gov/newsroom/latest-news/statements-and-releases/press-releases/drilling-of-relief-well-begins-at-south). 
Other loss of well control events during that timeframe were 
successfully remedied with conventional well control methods. These 
incidents occurred in the Gulf of America and were controlled by either 
circulating heavier weighted muds into the well or closing the BOP (or 
both), to control

[[Page 51022]]

pressures within the well. BSEE would evaluate the individual 
circumstances associated with each case to make this determination. For 
these reasons, BSEE's proposed changes to Sec.  250.472 would maintain 
safety and environmental protection, though BSEE invites comment on the 
technical feasibility of such requirements.
    BSEE is seeking comment on whether the use of an SSID, particularly 
in a case where a subsea BOP is deployed, could present operational or 
installation challenges. For example, if the well is not located in an 
ice scour area and the BOP system, including the LMRP, and the SSID are 
placed on the seafloor, then these pieces of equipment could get as 
tall as 88 feet when installed (BOP approximately 70 feet + SSID 
approximately 18 feet). In addition, the bottom of a ship's hull, in 
the case where a drillship is used, may extend as much as 40 feet into 
the water from the sea surface. Historically, drilling in the Beaufort 
Sea and the Chukchi Sea has occurred in waters less than 167 feet deep. 
With as much as 128 feet of water column taken up by the BOP system, 
SSID, and ship's hull, very little space remains for operations between 
the bottom of the ship and the top of the well control system. BSEE 
seeks comment on what sorts of challenges operators have faced or would 
anticipate facing in the scenario just described. BSEE would also like 
to know how operators addressed those challenges in the past or could 
address them for future operations, taking into account the unique 
characteristics and extreme conditions of the Arctic OCS.
    BSEE is also generally seeking comment on its proposed changes to 
Sec.  250.472. For example, BSEE is seeking comments on how well design 
could be better addressed in this rulemaking to enhance overall safety 
of operations on the Arctic OCS. Is the well design requirement 
proposed in paragraph (a) adequate to address the situations that may 
be encountered if a well is shut-in with an SSID over a winter season? 
As previously described, there could be cases where the wellbore 
pressure profile may increase to reservoir pressures at the top of the 
well over the course of a winter season. What other scenarios should 
BSEE consider that could occur in the well over the ice season that 
could be addressed in proposed paragraph (a)?
 Proposed Paragraph (b)--Complying With Sec.  250.472 by Having 
Access to a Relief Rig
    As discussed earlier, BSEE proposes to combine existing paragraphs 
(a) and (b) into a single, new paragraph (b), Relief Rig, for 
organizational purposes because both existing paragraphs cover relief 
rigs. Combining existing paragraph (a) into proposed paragraph (b) 
would not be a substantive modification to BSEE's regulations because 
the specific requirements from existing paragraph (a) would remain 
unchanged. More specifically, the provision in existing paragraph (a) 
that requires the operator's relief rig to comply with all other 
requirements of 30 CFR part 250 that pertain to drill rig 
characteristics and capabilities, and requires the relief rig to be 
able to drill a relief well under anticipated Arctic OCS conditions, 
would be relocated to proposed paragraph (b)(1). The provision in 
existing paragraph (a) that provides that the Regional Supervisor may 
direct the operator to drill a relief well in the event of a loss of 
well control would be relocated to proposed paragraph (b)(2).
[cir] Last Casing Point Prior To Penetrating a Zone Capable of Flowing 
Hydrocarbons in Measurable Quantities
    Substantively, BSEE proposes to revise the requirements in existing 
paragraph (b) that prescribe the availability of the relief rig. BSEE 
would maintain the requirement for the operator to have access to a 
relief rig, different from its primary drilling rig, when drilling or 
working below the surface casing. However, BSEE proposes to add a new 
provision to the newly rearranged proposed paragraph (b) stating 
``However, the Regional Supervisor will approve delaying access to your 
relief rig until your operations have reached the last casing point 
prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities, provided that you submit adequate documentation 
(such as, but not limited to, risk modeling data, off-set well data, 
analog data, seismic data), with your APD, demonstrating that you will 
not encounter any abnormally high-pressured zones or other geological 
hazards. The Regional Supervisor will base the determination on any 
documentation you provide as well as any other available data and 
information.''
    BSEE would also add new language at the beginning of existing 
paragraph (b) that says ``Relief Rig. If you choose to satisfy this 
requirement by having access to a relief rig, you must have access to 
your relief rig at all times when you are drilling below or working 
below the surface casing during Arctic OCS exploratory drilling 
operations.'' This language would simply clarify that if the operator 
chooses to use a relief rig to comply with proposed Sec.  250.472, it 
must have access to its relief rig at all times when drilling below or 
working below the surface casing . The changes described in this 
paragraph would be shown as a general requirement in proposed paragraph 
(b).
    BSEE's proposed revisions to paragraph (b) would potentially 
provide an opportunity for the operator to adjust the point in time 
during its operations when it must stage its relief rig. If the 
operator is able to demonstrate to BSEE that the operations it plans to 
conduct below the surface casing would not encounter any abnormally 
high-pressured or other geologic hazards before reaching the last 
casing point prior to penetrating a zone capable of flowing 
hydrocarbons in measurable quantities, then BSEE would allow the 
operator to delay staging of its relief rig until reaching that point.
    The changes BSEE is proposing would make proposed paragraph (b) of 
Sec.  250.472 and proposed paragraph (a) of Sec.  250.471 consistent, 
with respect to providing a potential opportunity to the operator to 
delay access to its SCCE (as described in Sec.  250.471(a)(1) and 
proposed Sec.  250.471(a)(2) and (a)(3)) until its operations have 
reached the last casing point prior to penetrating a zone capable of 
flowing hydrocarbons in measurable quantities, so long as the operator 
submits adequate documentation, with its APD, demonstrating that it 
will not encounter any abnormally high-pressured zones or other 
geologic hazards before that casing point.
    The existing requirement in Sec.  250.472(b) pertaining to the 
availability of a relief rig does not take into consideration that the 
operator may demonstrate, based on geologic and engineering analyses, 
that there could be zones below the surface casing that are not 
hydrocarbon-bearing or that have minimal or no potential to flow 
hydrocarbons in measurable quantities during drilling operations. In 
many cases, operators do not anticipate or encounter flowable 
hydrocarbons in measurable quantities until the target productive 
formation is reached. For example, a surface casing shoe setting depth 
for an Arctic OCS exploration well could be only 1,500 feet deep, but 
the hydrocarbon bearing formation may be thousands of feet deeper below 
that point. The existing regulations require the operator to stage its 
relief rig when drilling or working below the surface casing, even 
though geologic and engineering risk analyses the operator must submit 
as part of their APD may indicate that there is little or no potential 
for hydrocarbons to escape the formation and flow into the well prior

[[Page 51023]]

to reaching the targeted productive formation. In such circumstances, 
the operator could safely drill for thousands of feet below the surface 
casing without any identifiable need for a relief rig.
    This proposed change would, when appropriate, eliminate the need 
for the operator to stage its relief rig while drilling through low 
risk, non-productive sections of the well below the surface casing. 
Arctic regional pore pressure modeling conducted by BOEM for an area in 
the Beaufort Sea identifies a general uniformity following an average 
pressure gradient (i.e., normally pressured) up to approximately 7,500 
feet to 8,500 feet, subsea. The typical reservoirs targeted for 
exploration in the Arctic are usually located at less than 8,000 feet. 
In the GOA, there are many different geological features that can 
affect the pressure profiles and potentially create abnormal pressures 
(e.g., salt domes, and shallow water flow areas).
    An extensive amount of geophysical data already exists for certain 
areas of both the Beaufort and Chukchi Sea Planning Areas, and there 
has been extensive drilling in certain areas of the Beaufort Sea 
Planning Area. In the known geologic conditions of the U.S. Arctic, 
operators have a good understanding of the locations of reservoirs that 
they will encounter, which can be relatively shallow and normally 
pressured to certain depths. Therefore, it may not be necessary to have 
a relief rig immediately available when drilling through zones below 
the surface casing that do not have abnormally high formation pressures 
or contain other geological hazards, and do not have the potential to 
flow hydrocarbons in measurable quantities as they are penetrated.
    However, because geologic conditions are not uniformly normally 
pressured throughout the Arctic OCS, BSEE is maintaining the existing 
requirement to have the relief rig staged when drilling or working 
below the surface casing. At the same time, BSEE does not want to 
discount the possibility that future projects would not need to have 
the relief rig staged until reaching the last casing point prior to 
penetrating a zone capable of flowing hydrocarbons.
    The criteria BSEE proposes to rely on--that the operator can 
demonstrate to BSEE that it will not encounter ``abnormally high-
pressured zones or other geologic hazards''--to determine whether to 
grant an exception accounts for those downhole risks that could lead to 
a blowout and may require the use of a relief rig. With respect to 
abnormally high-pressured zones, BSEE is concerned that there could be 
a case where a kick (an influx, or flow, of formation fluid from the 
high-pressured zone entering into the wellbore) is not controlled and 
could lead to a blowout. While there are means of mitigating the risk 
of a kick, (i.e., overbalanced drilling), the relief rig needs to be 
readily available if heavier weight drilling muds, the BOP and SSID, if 
applicable, fail to control the well.
    There could be other geologic hazards, such as fractured or high 
permeability zones, that may also pose a risk, particularly if those 
zones contain hydrocarbons. A common risk for highly permeable or 
fractured zones can include the potential for lost circulation. This 
could cause a dynamic effect where drilling mud flows into the 
permeable formation and causing the circulating pressure to decrease 
below the zone's pore pressure resulting in formation fluids flowing 
into the well bore. This may lead to a loss of well control. The relief 
rig needs to be readily available if heavier weight drilling muds, the 
BOP, and the capping stack, fail to control the well.
    However, if the operator is able to demonstrate that a highly 
permeable or fractured zone is predicted to only contain water, BSEE 
would consider allowing the operator to delay the staging of its relief 
rig. Under this scenario, the operator would be able to use the 
diverter system in conjunction with the BOP system to maintain safety 
and environmental protection because it would be unlikely for 
hydrocarbons to be released into the environment. The diverter system 
consists of a mechanical device similar to a BOP annular preventer. The 
diverter system is used to divert gases, fluids, and other materials 
flowing from the well, away from facilities and personnel. Also, an 
operator would pump fluid loss materials into the well to bridge the 
formation to reduce its permeability and allow drilling muds to isolate 
the formation from the well. To permanently address the incident, the 
operator could also install a liner or set a new casing point at the 
interval where that highly permeable or fractured zone is located. As 
requested in the section-by-section discussion of Sec.  250.471, BSEE 
would like to know whether there are more appropriate criteria, other 
than ``abnormally high-pressured zones or other geologic hazards,'' the 
Bureau should use to determine whether to allow the operator to delay 
its staging of the relief rig.
    BSEE's proposed regulatory language describing the types of 
documentation it would consider adequate to demonstrate that abnormally 
high-pressured zones or other geologic hazards would not be encountered 
before reaching the last casing point prior to penetrating a zone 
capable of flowing hydrocarbons in measurable quantities--``such as, 
but not limited to, risk modeling data, off-set well data, analog data, 
seismic data''--is not meant to be an exhaustive list. BSEE would 
accept any other types of documentation the operator may provide that 
will help its demonstration. BSEE does not anticipate this submission 
requirement would lead to a significant IC burden on the operator 
because it is normal practice for operators to gather these types of 
information in order to develop and design an offshore exploration 
drilling project in the Arctic OCS. BSEE is requesting comment on what 
other types of information could be used to demonstrate the absence of 
abnormally pressured zones or other geologic hazards, and how burden on 
the operator could change--increase or decrease--if BSEE were to 
require its submission.
    At the APD stage, BSEE would evaluate the operator's documentation 
along with other accompanying geologic and engineering information/
analyses that must be submitted as part of their APD. BSEE would also 
take into consideration any other available G&G information, such as 
information gathered from prior drilling operations in the area (e.g., 
well log and pressure testing information), and any other applicable 
geophysical information (e.g., seismic data). BSEE makes clear in its 
proposed regulatory language that the Regional Supervisor will base the 
determination for whether to allow the operator to delay staging of its 
relief rig on the documentation the operator submits as well as any 
other available data and information.
    BSEE is also considering an alternative regulatory approach whereby 
the Bureau would instead revise existing paragraph (b) by replacing 
``surface casing'' with ``last casing point prior to penetrating a zone 
capable of flowing hydrocarbons in measurable quantities.'' This option 
would adjust the point in time during operations when the operator must 
stage its relief rig. This alternative regulatory change would, 
instead, require the operator to stage its relief rig before drilling 
below or working below the last casing point prior to penetrating a 
zone capable of flowing hydrocarbons in measurable quantities.
    Under this regulatory option, BSEE would evaluate the geologic and 
engineering information/analysis the operator must submit as part of 
its APD, while also taking into consideration any other available G&G 
information the

[[Page 51024]]

Bureau may have (e.g., off-set well data, such as well logs and 
pressure testing information, or geophysical information, such as 
seismic data). Based on these different sources of information, BSEE 
would determine whether there may be a need for the operator to 
position the capping stack at an interval earlier than last casing 
point prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities.
    There may be cases where the operator or BSEE may not have 
sufficient G&G or analogous well data during the permit review process 
on a proposed project to provide an adequate level of certainty 
regarding anticipated formations that may be encountered prior to 
reaching the targeted productive formation. Therefore, BSEE is also 
contemplating, as part of this regulatory option, a clarification that 
the Regional Supervisor may require the operator to stage its relief 
rig prior to drilling below or working below the last casing point 
prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities if BSEE determines there is insufficient G&G or 
analogous well data.
    For example, there may be insufficient G&G or analogous well data 
in cases where there have been a limited number of wells drilled within 
proximity to the planned well. In most cases, G&G and analogous well 
data are gathered from multiple sources. However, the same sets and 
amounts of data and information may not be available for each area, 
well, or project. There is no single set of criteria for determining 
the sufficiency of G&G or analogous well data. The more data that are 
available from sources near to the proposed drilling location, the 
greater confidence BSEE will have in the G&G interpretations. BSEE 
wants to ensure the operator has the most accurate data to make 
determinations about where the zones capable of flowing hydrocarbons in 
measurable quantities are located.
    This alternative regulatory option would maintain the same level of 
safety and environmental protection in comparison to BSEE's proposed 
regulatory change. The decision on whether it is appropriate to delay 
positioning of the capping stack below the surface casing resides with 
BSEE. BSEE, ultimately, may not allow the operator to delay staging of 
the relief rig if there are potential risks below the surface casing 
that may require immediate relief rig deployment. However, the 
distinction under this regulatory option is that the operator would not 
need to specifically demonstrate that abnormally high-pressured zones 
or other geologic hazards would be encountered above last casing point 
prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities. BSEE would be responsible for making that 
determination.
    BSEE is specifically soliciting comments about its views of the 
benefits or disadvantages of this regulatory option and the need for 
the operator to verify on a case-by-case basis which zones are 
incapable of flowing hydrocarbons in measurable quantities.
[cir] Expected Seasonal Ice Encroachment at the Drill Site
    In the 2015 proposed Arctic Exploratory Drilling Rule, BSEE 
determined that, because Arctic OCS exploratory drilling operations 
from a MODU take place only during the open water season (i.e., that 
period of time in the summer and early fall when ice hazards can be 
physically managed and there is no continuous ice layer over the 
water), it was critical to ensure that drilling (including relief well 
drilling) and other operations affected by sea ice are concluded before 
ice encroachment. Ice encroachment may complicate or prevent drilling, 
transit, and oil spill response operations. However, the analysis from 
the Bratslavsky and SolstenXP 2018 study shows that the sea ice 
capabilities of an ice class MODU and its support vessels can extend 
the currently available open-water operating seasons in the Chukchi and 
Beaufort Seas, depending on the drilling location within each planning 
area (id. at 143). Therefore, BSEE proposes to eliminate the reference 
to ``expected seasonal ice encroachment'' at the drill site in existing 
paragraph (b). BSEE, however, would retain the requirement clarifying 
that the relief rig must be different than the operator's primary 
drilling rig and that the relief rig must be staged in a location such 
that it can arrive on site, drill a relief well, kill and abandon the 
original well, and abandon the relief well no later than 45 days after 
the loss of well control. This proposed regulatory change would 
effectively extend the drilling season in those cases where the 
operator's MODU and associated support vessels are capable of safely 
operating beyond the period when seasonal sea ice begins to encroach at 
a drill site. The operator would no longer need to plan for their well 
operations to end in time to complete a relief well prior to the date 
when sea ice is expected to encroach on the drill site. The operator 
would, instead, have to plan to end its operations with sufficient time 
to complete its relief well prior to the anticipated date when sea ice 
conditions at the drill site are approaching the ice classification 
capability and rating limits of the operator's vessels.
    The Bureaus would evaluate the ice classification capabilities and 
limitations of the operator's MODU and associated support vessels using 
existing permitting and review processes. For example, through BOEM's 
EP review process, the operator is required under existing Sec.  
550.220(c)(6) to specify when it anticipates completing onsite 
operations and when it anticipates terminating drilling operations. In 
addition, Sec.  550.220(c)(1) requires the operator to describe how it 
will design and conduct its exploratory drilling activities in a manner 
that accounts for Arctic OCS conditions. Furthermore, in the EP 
regulations at proposed Sec.  550.220(c)(1), BOEM would require the 
operator to submit a description of how all vessels and equipment will 
be designed, built, and/or modified to account for Arctic OCS 
conditions and how such activities will be managed and overseen as an 
integrated endeavor. This preamble discusses this proposed regulatory 
change in more detail later. Collectively, this information provided in 
an EP would allow BOEM (in conjunction with BSEE) to evaluate the 
capability of the operator's equipment, including its vessels and 
procedures to manage and mitigate risks associated with Arctic OCS 
conditions.
    At the APD stage, BSEE would also review the capabilities of the 
operator's MODU and associated supporting vessels. Existing paragraph 
(a)(2) of Sec.  250.470, What additional information must I submit with 
my APD for Arctic OCS exploratory drilling operations? requires the 
operator to describe how it plans to prepare its equipment, materials, 
and drilling unit for service in the environmental, meteorological, and 
oceanic conditions it expects to encounter at the well site and how its 
drilling unit will be in compliance with the requirements of existing 
Sec.  250.713, What must I provide if I plan to use a Mobile Offshore 
Drilling Unit (MODU) for well operations. Paragraph (d) of Sec.  
250.713 requires the operator, when using a MODU for well operations, 
to provide the current Certificate of Inspection (for U.S.-flag 
vessels) or Certificate of Compliance (for foreign-flag vessels) from 
the USCG, as well as a Certificate of Classification. The operator must 
also provide current documentation of any operational limitations 
imposed by an appropriate classification society. As discussed earlier 
in this section, the Bratslavsky and SolstenXP 2018 study notes that a 
vessel's capabilities are identified by the

[[Page 51025]]

ice classification for the vessel, which is provided by marine 
classification societies such as ABS and DNV GL. BSEE would evaluate 
the information required under existing Sec. Sec.  250.470(a)(2) and 
250.713(d), together with BOEM's approval of the operator's end-of-
season date(s) in the EP, to verify whether the vessels' capabilities 
and limitations can support extending operations beyond when seasonal 
ice is expected to arrive at the drill site. However, in no case will 
BSEE approve a permit that proposes to use a vessel that does not meet 
the existing requirements of Sec.  250.713, including providing a 
current certificate of inspection or compliance from the USCG.
    Finally, while BSEE is proposing these revisions to Sec.  250.472, 
BSEE is seeking comment on whether there are other appropriate 
approaches to well control operations in the Arctic, including 
alternative equipment/technology or performance standards. For example, 
although the NPC 2019 Report recommends accepting the use of an SSID in 
place of the requirement for SSRW capability, it also recommends 
replacing the relief rig and SSRW requirements with requirements that 
specify the desired outcome (i.e., to stop the flow of a well and allow 
the operator to propose equivalent technology and demonstrate its 
capabilities). (NPC 2019 Report at 30).
Subpart G--Well Operations and Equipment
When and how must I secure a well? (Sec.  250.720)
    BSEE proposes to delete the last sentence in existing paragraph 
(c)(2) that states ``BSEE may approve an equivalent means that will 
meet or exceed the level of safety and environmental protection 
provided by a mudline cellar if the operator can show that utilizing a 
mudline cellar would compromise the stability of the rig, impede access 
to the well head during a well control event, or otherwise create 
operational risks.'' In its place, BSEE proposes to insert a new 
sentence that states ``You may request, and the Regional Supervisor may 
approve, an alternate procedure or equipment in accordance with 
Sec. Sec.  250.141 and 250.408.'' BSEE, however, would preserve the 
basic requirement in in paragraph (c)(2) for the operator to use a 
mudline cellar or an equivalent means if there is indication of ice 
scour. The regulatory change BSEE is proposing in this section would 
make clear that BSEE could approve the equivalent means of doing so in 
accordance with Sec. Sec.  250.141, May I ever use alternate procedures 
or equipment? and 250.408, May I use alternate procedures or equipment 
during drilling operations?
    The new language that BSEE proposes to insert reiterates 
longstanding regulatory provisions contained in Sec. Sec.  250.141 and 
250.408 that describe what procedures the operator must follow and 
standards it must meet to receive BSEE's approval of a request to use 
alternate procedures or equipment to those required by regulation. 
Section 250.141 allows the BSEE District Manager or Regional Supervisor 
to approve the use of any alternate procedures or equipment that the 
operator may propose if the proposal provides a level of safety and 
environmental protection that equals or surpasses BSEE's current 
requirements. It also describes the types of information the operator 
must submit or present to BSEE when requesting to use alternate 
procedures or equipment. Section 250.408 requires the operator to 
identify and discuss their proposed alternate procedures or equipment 
in their APD.
    Since the issuance of the 2016 Arctic Exploratory Drilling Rule, 
BSEE learned that there is an industry misconception that the last 
sentence in existing paragraph (c)(2) means that the operator would be 
required to use a mudline cellar in all cases, except when the operator 
can prove that the mudline cellar would present an operational risk--
effectively narrowing the scope of Sec. Sec.  250.141 and 250.408 in 
this context. However, BSEE did not intend that language to constrain 
the contexts in which operators could seek approval of alternatives to 
the mudline cellar requirement. Rather, in response to commenters 
expressing concern that use of a mudline cellar may create operational 
risks in certain contexts, BSEE introduced that language to make clear 
that alternate approaches were available in those contexts, while at 
the same time highlighting the general flexibility available under 
Sec.  250.141, May I ever use alternate procedures or equipment? (see 
81 FR 46507 and 46510). The last sentence in existing paragraph (c)(2) 
was not intended to, and did not, restrict or preclude use of the 
longstanding options for seeking approval of alternate procedures or 
equipment under Sec. Sec.  250.141 and 250.408, which do not 
necessarily require a demonstration of operational risk. Thus, this 
proposed change would clarify that the operator has more flexibility to 
propose alternate solutions to the mudline cellar requirement under a 
broader range of circumstances than those described in the last 
sentence of existing Sec.  250.720(c)(2). An operator could still base 
such a request on the same grounds that BSEE described in the language 
that we propose to delete (i.e., that installation of a mudline cellar 
in a specific case would cause operational risks).
What are the real-time monitoring requirements? (Sec.  250.724)
    BSEE proposes to modify paragraph (a) of Sec.  250.724 by adding 
``all Arctic OCS drilling operations'' to the list of environments/
cases where this section's BOP real-time monitoring requirements would 
apply. The intent for this proposed modification is to complement 
BSEE's proposal to remove all the Arctic OCS's BOP real-time monitoring 
requirements in Sec.  250.452. The 2016 Arctic Exploratory Drilling 
Rule established real-time monitoring requirements specific to the 
Arctic OCS, which were tailored to be consistent with the real-time 
monitoring requirements established by the 2016 WCR. However, since 
2016, the WCR's real-time monitoring requirements in this section have 
been updated, but without a consistency-update to the Arctic OCS's BOP 
real-time monitoring requirements Sec.  250.452. It is not necessary to 
have two separate real-time monitoring requirements for BOPs used on 
the OCS. Therefore, BSEE is proposing to account for Arctic OCS 
drilling operations in this section to ensure consistent application of 
BOP real-time monitoring requirements throughout the OCS.
Title 30, Chapter II, Subchapter B, Part 254
Oil-Spill Response Requirements for Facilities Located Seaward of the 
Coast Line
Subpart A--General
Definitions. (Sec.  254.6)
    BSEE proposes to revise the definition of ``Arctic OCS'' in Part 
254 to be consistent with the proposed changes to the definition of the 
same term used in 30 CFR part 250 and 30 CFR part 550. As previously 
mentioned, the Bureaus are proposing to modify the existing definition 
of ``Arctic OCS'' to mean all OCS oil and gas planning areas that 
include any portion of their geographic extent located north of 
66[deg]33' N latitude. This proposed change would make the oil-spill 
response requirements in Subpart E of Part 254 applicable to proposed 
exploration activities in the new High Arctic Planning Area and 
existing Hope Basin Planning Area, in addition to the Beaufort Sea and 
Chukchi Sea planning areas. The High Arctic and Hope Basin planning 
areas experience the same type of Arctic weather conditions, i.e.,

[[Page 51026]]

extreme cold, freezing spray, snow, and sea ice, as the Beaufort Sea 
and Chukchi Sea planning areas. Therefore, it is appropriate to expand 
the definition of the ``Arctic OCS'' to make the development 
requirements for all four planning areas consistent. As BOEM has 
acknowledged throughout the planning process for the 11th National OCS 
Oil and Gas Leasing Draft Proposed Program, BOEM estimates the High 
Arctic to have negligible resource quantities and Hope Basin to have 
measured resource potential but negligible development value.
Subpart E--Oil-Spill Response Requirements for Facilities Located on 
the Arctic OCS
What are the additional requirements for facilities conducting 
exploratory drilling from a MODU on the Arctic OCS? (Sec.  254.70)
    BSEE proposes to make a minor clarification to paragraph (c) of 
Sec.  254.70 by replacing the term ``Regional Supervisor'' with ``Chief 
of the Oil Spill Preparedness Division.'' BSEE's OSPD is the office 
responsible for administering OSRP-holder reviews.

B. Key Revisions Proposed by BOEM

Title 30, Chapter V, Subchapter B, Part 550, Subpart B--Plans and 
Information Definitions. (Sec.  550.105)
    BOEM is proposing to modify the existing definition of the ``Arctic 
OCS'' to mean all OCS oil and gas planning areas that include any 
portion of their geographic extent located north of 66[deg]33' N 
latitude. This proposed change would make the High Arctic Planning Area 
and existing Hope Basin Planning Area parts of the Arctic OCS, thus, 
subjecting the requirements promulgated by the 2016 Arctic Exploratory 
Drilling Rule and the changes proposed in this rulemaking to 
exploration activities in those areas and the Beaufort Sea and Chukchi 
Sea planning areas. In April of 2025, as part of its efforts to 
establish the 11th National OCS Oil and Gas Leasing Program, BOEM 
revised the OCS planning areas used for agency planning and 
administrative purposes for oil and gas activities to reflect 
jurisdictional changes since they were last updated. This included the 
establishment of a new High Arctic Planning Area. The High Arctic 
Planning Area is located to the north of the Beaufort Sea Planning Area 
and Chukchi Sea Planning Area, and the Hope Basin Planning Area is 
located to the southwest of the Chukchi Sea Planning Area. The High 
Arctic and Hope Basin planning areas experience the same type of Arctic 
weather conditions, i.e., extreme cold, freezing spray, snow, and sea 
ice, as the Beaufort Sea and Chukchi Sea planning areas. Therefore, it 
is appropriate to expand the definition of the ``Arctic OCS'' to make 
the development requirements for all four planning areas consistent.
    BOEM is also proposing to modify the definition of the term 
``Arctic OCS conditions.'' In the definition, BOEM would replace ``on 
the Arctic OCS'' at the end of the first sentence with ``throughout the 
Alaska OCS region.'' BOEM would also replace ``characteristic of the 
Arctic region'' at the end of the last sentence with ``characteristics 
present throughout the Alaska OCS region.'' These proposed changes 
recognize that extreme cold, freezing spray, snow, extended periods of 
low light, strong winds, dense fog, sea ice, strong currents, and 
dangerous sea-state conditions are not only experienced in Arctic 
waters. They may also occur throughout the Alaska OCS region. These 
changes are consistent with BSEE's proposed changes to the same term 
referenced at Sec.  250.105.
Definitions. (Sec.  550.200)
    BOEM is proposing to eliminate the definition of the term 
``Integrated Operations Plan,'' consistent with the proposal to 
eliminate the requirement for the operator to submit an IOP for the 
reasons listed immediately below.
Removal of the IOP Requirement (Sec.  550.204)
    The 2016 Arctic Exploratory Drilling Rule discussed how commenters 
generally criticized the IOP provision as being duplicative or 
redundant of existing requirements (see 81 FR at 46492-46493). In 2016, 
when the rule was adopted, BOEM disagreed with these commenters and 
published responses to the commenters in the preamble. In its 
responses, BOEM discussed how the IOP was distinct from existing 
regulations, the importance of contractor management as it related to 
the IOP provisions, and the BOEM Regional Director's ability to waive 
submission of required information in the EP that was already provided 
in the IOP. Circumstances have changed since the IOP requirement was 
originally adopted. The various Federal agencies have improved their 
coordination to such an extent that BOEM believes there is no need for 
operators to create and submit a separate IOP for that purpose. Much of 
the required content of the two documents overlaps, and in the 2016 
rulemaking itself, BOEM added requirements that the EP include 
additional information that make this overlap even greater. BOEM is now 
proposing to keep two important provisions from the IOP and incorporate 
them into the requirements for EPs. The first provision would reinforce 
BOEM's commitment to operational safety, while the second provision 
would require the operator to provide details of how its operations 
would conform to the unique circumstances of the Arctic OCS. Taken 
together, the enhancements to BOEM's regulations made in connection 
with the 2016 Arctic Exploratory Drilling Rule and the retention of 
these key provisions from the IOP make the IOP unnecessary and 
redundant.
    For these reasons, BOEM proposes to eliminate the requirement for 
preparing and submitting the IOP. In doing so, BOEM would delete all of 
Sec.  550.204, and remove corresponding references to the IOP from 
Sec. Sec.  550.200 and 550.206. Currently, BOEM requires the operator 
to submit an IOP at least 90 days before filing an EP with BOEM. The 
IOP is not subject to agency approval. BOEM developed the IOP 
requirement based on the Report to the Secretary of the Interior, 
Review of Shell's 2012 Alaska Offshore Oil and Gas Exploration Program, 
prepared by DOI (60-Day Report), March 2013,\18\ which included \19\ 
the following recommendation:
---------------------------------------------------------------------------

    \18\ Available at: https://www.doi.gov/sites/doi.gov/files/migrated/news/pressreleases/upload/Shell-report-3-8-13-Final.pdf.
    \19\ Report to the Secretary of the Interior, Review of Shell's 
2012 Alaska Offshore Oil and Gas Exploration Program, prepared by 
DOI (60-Day Report), March 2013, available at: https://www.doi.gov/sites/doi.gov/files/migrated/news/pressreleases/upload/Shell-report-3-8-13-Final.pdf.

    All phases of an offshore Arctic program--including 
preparations, drilling, maritime and emergency response operations--
must be integrated and subject to strong operator management and 
---------------------------------------------------------------------------
government oversight. (60-day report, p. 3).

    The information provided in the IOP was intended to facilitate the 
prompt sharing of information among the relevant Federal agencies 
(e.g., BOEM, BSEE, U.S. Fish and Wildlife Service, USCG, National 
Marine Fisheries Service, U.S. Army Corps of Engineers, and EPA). 
Standing BOEM practice (LP-SOP-06 Standard Operating Procedure for 
Exploration Plans) in the Anchorage, Alaska OCS Office is to inform 
other agencies about an operator's EP, well in advance of the 
completeness review (i.e., the deemed submitted determination) for the 
EP. BOEM successfully did so prior to the 2016 implementation of the 
IOP requirement.
    The IOP requirement does not supersede or supplant the operator's 
obligation to comply with all other

[[Page 51027]]

applicable Federal agency requirements. As described in the 2016 Arctic 
Exploratory Drilling Rule, the IOP process does not provide a mechanism 
for agencies to approve or disapprove the operator's proposed 
activities. BOEM has no authority under the IOP provision other than to 
make unenforceable suggestions to the operator. If BOEM or another 
agency determined that an operator was failing to engage in the needed 
integrated planning in advance of EP submission, BOEM could only compel 
an operator to do so through the EP review process.
    The 2016 Arctic Exploratory Drilling Rule added informational 
requirements for EPs to address key concerns that motivated the IOP, as 
shown in Table 1, ``Crosswalk between the IOP provisions proposed for 
removal and existing EP regulations and review practices.'' Because 
this information is required in the EP, operators should be aware that 
they must plan for how they will manage contractors to reduce 
operational risks and address the challenges associated with operations 
on the Arctic OCS. The EP regulations are clear that the operator must 
plan to coordinate the work of a number of contractors to ensure that 
time pressure, or other contractor complications, do not undermine safe 
and environmentally responsible operations. In particular, proposed 
Sec.  550.220(c)(1) would require the operator to describe in the EP 
how it will design and conduct its exploratory drilling activities, and 
how it will manage and oversee these activities as an integrated 
endeavor. BOEM does not need, and nothing in OCSLA requires, an 
operator to inform Federal agencies about its planning on these issues 
in advance of an EP. The EP, however, will make evident whether the 
operator has done so, and if the EP does not address the operators' 
planning on all the required elements, BOEM will return the EP to the 
operator to include the requisite information in accordance with 
existing Sec.  550.231(b).
    As part of the 2016 Arctic Exploratory Drilling Rule, BOEM expanded 
the regulatory criteria for EPs to include information important for 
planning Arctic exploratory drilling. Specifically, BOEM expanded 
requirements for: emergency plans at existing Sec.  550.220(a), the 
EP's suitability for Arctic OCS conditions at proposed Sec.  
550.220(c)(1), ice and weather management at existing Sec.  
550.220(c)(2), SCCE capabilities at existing Sec.  550.220(c)(3), 
deployment for a relief rig at proposed Sec.  550.220(c)(4), resource-
sharing at existing Sec.  550.220(c)(5), and anticipated end of 
seasonal operation dates at existing Sec.  550.220(c)(6).
    BOEM's EP and EIA requirements at existing Sec.  550.202, What 
criteria must the Exploration Plan (EP), Development and Production 
Plan (DPP), or Development Operations Coordination Document (DOCD) 
meet?, existing paragraphs (a) and (c) of Sec.  550.211, What must the 
EP include?, existing paragraph (c) of Sec.  550.216, What biological, 
physical, and socioeconomic information must accompany the EP?, 
existing paragraphs (a) and (b) of Sec.  550.219, What oil and 
hazardous substance spills information must accompany the EP?, existing 
paragraphs (b), (c)(2), and (c)(5) of Sec.  550.220, If I propose 
activities in the Alaska OCS Region, what planning information must 
accompany the EP?, proposed paragraph (c)(1) of Sec.  550.220, existing 
paragraph (a) of Sec.  550.224, What information on support vessels, 
offshore vehicles, and aircraft you will use must accompany the EP?, 
and existing paragraph (b)(7) of Sec.  550.227, What environmental 
impact analysis (EIA) information must accompany the EP? require the 
operator to address issues that the operator also needs to consider in 
preparing the IOP. The following table provides a detailed analysis of 
how the key operational provisions of the IOP are addressed in BOEM's 
existing regulations, and why the key safety provisions of the IOP will 
continue to be fully addressed by other provisions within BOEM's 
regulations:
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[GRAPHIC] [TIFF OMITTED] TP06AU26.004

BILLING CODE 4310-MR-C
    The following information that was previously required as part of 
the IOP submission, but not included in the EP requirements, is 
proposed to be added to relevant sections of the EP:

[[Page 51033]]

[GRAPHIC] [TIFF OMITTED] TP06AU26.005

    To the extent that there is not an exact correlation between the 
information required in the IOP and that required in the EP, the 
Bureaus believe that the additional information required in the IOP 
that is not in the EP is not necessary and certainly not necessary in 
advance of the EP.
    Furthermore, the BOEM Anchorage, Alaska OCS Office meets with other 
relevant agencies, before an EP is submitted or deemed submitted. 
Although BOEM previously argued that the IOP would not delay, but in 
fact, speed development by encouraging earlier review and coordination 
between regulatory agencies, BOEM no longer believes that is the case. 
While it is true that the IOP might speed up BOEM's review and approval 
of an EP, by encouraging earlier review and coordination among 
agencies, such acceleration would not shorten the overall planning 
process undertaken by the operator to prepare and submit an EP. The 
operator should conduct the same degree of planning with or without an 
IOP, because such planning is necessitated by the EP requirements. The 
IOP merely shifts some of the agency review to earlier in the process. 
With or without a prescriptive requirement for an IOP, the operator's 
thorough advance planning and coordination between BOEM, the operator, 
and other agencies prior to submission, will result in fewer unexpected 
issues overall. In practice, the entire planning process from initial 
concept to actual drilling should be the same, with or without an IOP. 
What is more important in terms of timeline, is the detailed work the 
operator would conduct in preparing and submitting a well-crafted EP.
How do I submit the EP, DPP, or DOCD? (Sec.  550.206)
    BOEM proposes to delete all references to the IOP in this section. 
The substantive provisions of this section that relate to EPs, DPPs, 
and DOCDs would remain unchanged.
What must the EP include? (Sec.  550.211)
    BOEM proposes to remove existing Sec.  550.204(g) and add a new 
provision to Sec.  550.211 as a new paragraph (b) that would require 
the operator to provide a general description of how it will comply 
with 30 CFR 250.1909-250.1914 to ensure operational safety while 
working in Arctic OCS conditions. All other provisions of Sec.  550.211 
would remain unchanged, with the exception of renumbering the 
paragraphs after new paragraph (b). The provision BOEM proposes to 
remove from Sec.  550.204(g) requires a description of the operational 
safety procedures that the operator has developed specific to 
conditions relevant on the Arctic OCS (without particular reference to 
30 CFR 250.1909-250.1914). These requirements were previously included 
in the IOP and not specifically enumerated as part of the requirements 
for an EP, although similar, more general requirements are already part 
of paragraphs (a), Description, objectives, and schedule, and (c), 
Drilling unit of this section. Existing paragraph (c) states:

    Drilling unit. A description of the drilling unit and associated 
equipment you will use to conduct your proposed exploration 
activities, including a brief description of its important safety 
and pollution prevention features, and a table indicating the type 
and the estimated maximum quantity of fuels, oil, and lubricants 
that will be stored on the facility (see definition of ``facility'' 
under Sec.  550.105(3)).

    Without the current IOP provisions, the applicant would already 
need to have the information required by paragraph (c) in order to 
comply with BSEE's regulations that currently require operators to 
develop, implement, and maintain a SEMS program (Subpart S, Sec. Sec.  
250.1900 to 250.1933), and as a result, removing the requirements from 
Sec. Sec.  550.204(g) and adding a new provision to Sec.  550.211 that 
references existing 30 CFR 250.1909-250.1914 does not add any burden.
    Referencing 30 CFR 250.1909-250.1914 as part of the requirements 
for exploratory drilling on the Arctic OCS ensures BOEM receives 
important

[[Page 51034]]

information about the operator's SEMS program early in the process and 
ensures consistency with the goals of this rulemaking to better align 
BOEM's requirements with those of BSEE. The following is a description 
of the provision that would be removed from Sec.  550.204(g). Existing 
Sec.  550.204(g) requires a description of how an operator will ensure 
operational safety while working in Arctic OCS conditions, including 
but not limited to:
    (i) The safety principles that it intends to apply to itself and 
its contractors;
    (ii) The accountability structure within its organization for 
implementing such principles;
    (iii) How it will communicate such principles to its employees and 
contractors; and
    (iv) How it will determine successful implementation of such 
principles.
    The SEMS regulations at Sec. Sec.  250.1909-250.1914 describe the 
information that must be included in an operator's SEMS program, 
including what:
    (i) General responsibilities the operator's management has over the 
SEMS program (Sec.  250.1909);
    (ii) Safety and environmental information is required in the SEMS 
program (Sec.  250.1910);
    (iii) Hazards analysis criteria the SEMS program must meet (Sec.  
250.1911);
    (iv) Criteria for management of change and for operating procedures 
the SEMS program meet (Sec. Sec.  250.1912 and 250.1913, respectively); 
and
    (vi) Criteria for safe work practices and contractor selection must 
be documented in the SEMS program (Sec.  250.1914).
    These BSEE-administered sections address the topics that would be 
removed from Sec.  550.204(g). As such, this addition to Sec.  550.211 
will not impose any new burden on lessees or operators.
    BOEM believes that receiving important information regarding safety 
and environmental protection is a necessary part of ensuring that 
energy exploration and development activity is safe and environmentally 
responsible.
If I propose activities in the Alaska OCS Region, what planning 
information must accompany the EP? (Sec.  550.220)
    BOEM proposes to revise paragraphs (c)(1), (c)(4), and (c)(6)(ii) 
of Sec.  550.220 to conform to BSEE's proposed changes to Sec.  
250.472, What are the additional well control equipment or relief rig 
requirements for the Arctic OCS?
    Existing paragraph (c)(1) of Sec.  550.220 would be revised to add 
text to account for the text in existing Sec.  550.204(a), which would 
be removed. The text of the current Sec.  550.220(c)(1) reads: ``(1) 
Suitability for Arctic OCS conditions. A description of how your 
exploratory drilling activities will be designed and conducted in a 
manner that accounts for Arctic OCS conditions and how such activities 
will be managed and overseen as an integrated endeavor.'' The text of 
the current Sec.  550.204 (a) reads: ``A description of how all vessels 
and equipment will be designed, built, and/or modified to account for 
Arctic OCS conditions.'' With the elimination of Sec.  550.204, BOEM 
proposes to combine the requirements of these two sections into a 
revised Sec.  550.220(c)(1) that reads as follows:

    (c)(1) A description of how your exploratory drilling will be 
designed and conducted, (including how all vessels and equipment 
will be designed, built, and/or modified) to account for Arctic OCS 
conditions and how such activities will be managed and overseen as 
an integrated endeavor. In your description of vessel modifications, 
describe any approvals from the flag state and the vessel 
classification society, including any allowances or limitations 
placed upon the vessel by the classification society and/or the 
United States Coast Guard.

    BOEM is proposing to add a new informational requirement for 
modified vessels. BOEM is seeking to confirm that the operator meets 
the requirements of other entities with authority over vessels, not to 
impose requirements on those vessels. Although this revised paragraph 
would appear to add new requirements, in fact this revision would 
simply clarify and formalize the existing arrangements between BOEM and 
these other entities. This provision is proposed in order to avoid any 
potential confusion that might otherwise arise regarding the 
incorporation of the existing IOP requirements into the EP and how they 
may relate to the regulations and jurisdiction of the USCG, or the flag 
state of the vessel. According to this proposed revision, for vessel 
modifications, the operator would describe any approvals from the flag 
state and vessel classification society and include in that description 
any allowances or limitations placed upon the vessel by the 
classification society and/or USCG. Vessel modifications may include 
the suitability of vessels for Arctic conditions. These vessels may 
have or acquire classification from a ``recognized organization'' under 
the USCG's ACP.\20\ This specification provides the operator with 
guidance on what information the EP should contain to show that its 
vessels would be able to operate safely in the Arctic OCS. The 
specification would also show that BOEM is not duplicating regulations 
from USCG by acknowledging that the flag state, USCG, and/or the 
classification society have authority for approvals, allowances, and 
limitations placed upon modified vessels. For these reasons, this 
change would impose no material additional burden on lessee or 
operators beyond that which already exists and which has already been 
accounted for in the IC burden for this section.
---------------------------------------------------------------------------

    \20\ 46 U.S.C. 3316 and 46 CFR part 8, subpart D implement the 
USCG's ACP.
---------------------------------------------------------------------------

    To ensure consistency with BSEE's proposed regulatory changes, BOEM 
is proposing to revise paragraphs (c)(4) and (c)(6)(ii) by requiring 
the operator to provide a general description of how they will comply 
with Sec.  250.472, including a description of the termination of their 
operations. BSEE is proposing to revise Sec.  250.472 to provide the 
operator with the option to either use an SSID or have access to a 
relief rig, as an additional means to secure the well in the event of a 
loss of well control, if the operator will be conducting exploratory 
drilling operations from a MODU.

III. Additional Comments Solicited

    To assist the Bureaus in these revisions, we are requesting public 
comments on specific issues discussed in the preamble. We will consider 
these comments while developing final regulations. To provide necessary 
context, we included the requests for public comments in appropriate 
locations throughout the preamble. For ease of commenting, we 
consolidated the requests for comments in this section of the preamble. 
While the Bureaus are soliciting comment on specific topics associated 
with the proposed rule, the bureaus welcome the public to submit 
information or comment on any other topics relevant to this rulemaking 
that may not necessarily pertain to the bureaus' specific solicitation. 
At this stage, the bureaus are open to considering any option that 
would improve the regulatory changes proposed, including maintaining 
the original requirement as part of the final rule. In all cases, 
please provide supporting reasons and data for your responses.
    (i) Well Design When Using an SSID (Sec.  250.472(a))--BSEE is 
seeking comments on how well design could be better addressed in this 
rulemaking to enhance the overall safety of operations on the Arctic 
OCS. More specifically, BSEE would like to know whether the well design 
requirement in proposed Sec.  250.472(a) is adequate to address 
situations the operator may encounter if a well is shut-in with an SSID 
over an

[[Page 51035]]

entire winter season (e.g., six to nine months). These situations could 
include cases where the wellbore pressure profile may increase to 
reservoir pressures at the top of the well over the course of the 
winter season. BSEE would also like to know whether there are other 
scenarios that may occur in a shut-in well over the ice season.
    (ii) SSID Efficacy Relative to the Relief Rig and SSRW--BSEE is 
proposing to revise the relief rig and SSRW requirement with the intent 
to minimize environmental damage due to a prolonged ongoing well 
control event. When drilling a relief well, there is a delay in 
stopping the uncontrolled flow of oil and other fluid into the marine 
environment while relief well drilling operations are taking place. 
When properly functioning as designed, there is usually no delay for 
operational use of an SSID compared to the process of utilizing the 
relief rig or capping stack. If the SSID does not initially function, 
the SSID may still be activated through the ROV intervention equipment 
and capabilities that BSEE is proposing as a SSID design requirement. 
The SSID would operate independently from the BOP. By having two 
independent, redundant components, as part of the well control system, 
the overall reliability and effectiveness of the entire system 
increases. BSEE would like to know of any cases or data, in addition to 
what we have already discussed in the preamble, regarding the 
performance and reliability of the SSID and its effectiveness compared 
to drilling a relief well.
    (iii) NPC Report and Bratslavsky and SolstenXP 2018 Study--The NPC 
2019 Report and the Bratslavsky and SolstenXP 2018 study have been 
valuable tools that were not available when promulgating the 2016 
Arctic Exploratory Drilling Rule. Further, new information may be 
available since the publication of these reports. BSEE requests the 
public to provide additional information or clarification (including 
any updated information) related to those portions of these reports 
that the Bureau relied upon in this rulemaking. BSEE is not aware of 
any new applicable studies or research, particularly since there have 
been no developments in the Arctic OCS from MODUs since 2015.
    (iv) SSID Capability to Preserve Isolation Over the Winter Season 
(Sec.  250.472(a)(1)(iv))--BSEE proposes to require that the SSID must 
be capable of preserving isolation through the winter season without 
solely relying on the elastomer elements of the rams (e.g., by using a 
well cap) and allow re-entry during the following open-water season. 
BSEE understands that the operator is able to achieve long-term 
isolation by installing a well cap (i.e., a metal-to-metal cap) on the 
SSID before leaving the device on the seafloor over the winter season. 
BSEE would like to know if there are means by which isolation would be 
preserved through the winter season in cases where a late-season 
emergency situation may not provide adequate time or ability to access 
the SSID to install a well cap.
    (v) SSID Dual Shear Requirement in Proposed Sec.  
250.472(a)(2)(i)--The NPC 2019 Report describes the SSID used in the 
Kara Sea Project as having dual blind shear rams. BSEE does not propose 
requiring the SSID to be equipped with dual blind shear rams. However, 
BSEE is seeking comment on the advantages or disadvantages between dual 
blind shear rams and using dual shear rams, with ram locks, with one 
ram being a blind shear ram.
    (vi) SSID Redundant Control System Capabilities (Sec.  
250.472(a)(2)(ii))--BSEE proposes to require the SSID to use a 
redundant control system that includes ROV capabilities and a control 
station on the rig that is independent from the BOP control system. 
BSEE is contemplating whether it may be more appropriate to require the 
SSID's redundant control system capabilities to be separate from its 
ROV's capabilities, and to be consistent with the fully redundant 
control system requirements described in API Spec. 16D, Specification 
for Control Systems for Drilling Well Control Equipment and Control 
Systems for Diverter Equipment, Second Edition, July 2004, reaffirmed 
August 2013; incorporated by reference at Sec.  250.198(e)(2)(i)(FF); 
(e.g., yellow pod and blue pod). In addition to meeting the ROV 
requirements in existing Sec.  250.734(a)(5), BSEE is also considering 
whether there should be an additional manual method (separate from the 
redundant control system) to close the SSID's rams with the ROV and 
whether it may be appropriate to require a standby or tending vessel 
with an ROV. There could be cases where the SSID's control system on 
the drilling rig is not available (e.g., due to failure or an 
evacuation of the rig).
    (vii) SSID Testing Requirements (Sec.  250.472(a)(5))--BSEE is 
seeking comment on whether it is appropriate to align the SSID's 
proposed testing requirements with BSEE's existing BOP testing 
requirements in Sec.  250.737, What are the BOP system testing 
requirements?, or whether there are more appropriate and reliable 
testing methods for SSIDs. BSEE would like to receive information on 
what testing procedures have been used in the past to test an SSID when 
it was deployed, or what testing procedures are being developed for 
future projects.
    (viii) Relief Rig Staging and Capping Stack Positioning 
Requirements--BSEE proposes to revise the staging and positioning 
requirement for the relief rig and capping stack, respectively, by 
providing an opportunity to the operator to adjust the point in time 
during its operations when it must stage or position these pieces of 
equipment, from ``when drilling below or working below the surface 
casing'' to ``when drilling below or working below the last casing 
point prior to penetrating a zone capable of flowing hydrocarbons in 
measurable quantities.'' If the operator is able to demonstrate to BSEE 
that the operations it plans to conduct below the surface casing would 
not encounter any abnormally high-pressured or other geologic hazards 
before reaching the last casing point prior to penetrating a zone 
capable of flowing hydrocarbons in measurable quantities, then BSEE 
would allow the operator to delay staging of its relief rig or 
positioning of its SCCE until reaching that point. BSEE would like to 
know whether there are more appropriate criteria, other than 
``abnormally high-pressured zones or other geologic hazards,'' that 
should be used to determine whether to allow the operator to delay 
positioning of the capping stack and relief rig. BSEE is also 
requesting comment on what types of information, other than what is 
listed in proposed Sec.  250.471(a) and Sec.  250.472 (b)--risk 
modeling data, off-set well data, analog data, and seismic data, could 
be used to demonstrate the absence of abnormally pressured zones or 
other geologic hazards, and how burden on the operator could change--
increase or decrease--if BSEE were to require submission of that 
information in its APD.
    (ix) Alternative Regulatory Approach to the Relief Rig and Capping 
Stack Positioning Requirements--BSEE is considering an alternative 
regulatory approach in which BSEE would revise the staging and 
positioning requirement for the relief rig and capping stack, 
respectively, by adjusting the point in time during its operations when 
it must stage or position these pieces of equipment, from ``when 
drilling below or working below the surface casing'' to ``when drilling 
below or working below the last casing point prior to penetrating a 
zone capable of flowing hydrocarbons in measurable quantities.'' 
However, there could be cases where the operator or BSEE may not have 
sufficient G&G or analogous well data on a proposed project to 
confidently identify the location of the first formation that the

[[Page 51036]]

operator may encounter that is capable of flowing hydrocarbons in 
measurable quantities. BSEE is soliciting the public's comments about 
this regulatory approach. BSEE is also soliciting comment about the 
need for the operator to verify, on a case-by-case basis, zones not 
capable of flowing hydrocarbons in measurable quantities.
    (x) Installing and Operating an SSID in a Mudline Cellar--BSEE is 
requesting more information about whether there are any operational or 
installation challenges the operator may encounter in attempting to 
operate the SSID when it is installed in a mudline cellar. In areas of 
ice scour, BSEE's current regulations at Sec. Sec.  250.734(a)(13) and 
250.738(h) require placement of subsea BOP systems in mudline cellars. 
In addition, proposed Sec.  250.720(c)(2) requires placement of the 
wellhead in a mudline cellar in areas of ice scour. Proposed Sec.  
250.472(a)(4)(i) would require installation of the SSID below the BOP.
    (xi) Operating an SSID with a Subsea BOP Installed on the 
Seafloor--Historically, drilling in the Beaufort Sea and the Chukchi 
Sea has occurred in waters less than 167 feet deep. Activity in 
baseline scenarios reflect potential increases in nearshore drilling 
going forward. If the operator installs all well control systems on the 
seafloor (subsea BOP systems and SSIDs), there could be as much as 128 
feet of water column taken up by these systems and a ship's hull (if a 
drillship is used). BSEE would like to know what challenges operators 
could face in cases where there is little room to operate. BSEE would 
also like to know how operators addressed those challenges in the past, 
or how such challenges could be addressed in future operations.
    (xii) Fail-Safe Mechanisms Used on an SSID--BSEE is seeking comment 
on what fail-safe mechanisms exist that could be applied to an SSID in 
cases where a subsea BOP system is used. BSEE is contemplating whether 
it may be necessary to require mechanisms, such as autoshear or deadman 
for the SSID, to address emergency situations, such as a sunken MODU, 
where the subsea BOP system may have failed and the SSID could no 
longer be functioned via the rig or ROV (due to lack of access). BSEE 
currently has fail-safe requirements for subsea BOP systems (autoshear 
and deadman systems), which could be applied to SSIDs. However, there 
could be unintended consequences from applying these fail-safe systems 
on an SSID when a subsea BOP system is used. BSEE is seeking comment on 
what fail-safe mechanisms could be deployed to address cases where the 
BOP fails and the SSID is inaccessible by an ROV or a MODU control 
station. If an autoshear system or a deadman system are appropriate 
fail-safe mechanisms, BSEE is seeking input on what criteria should be 
used to function these systems, to ensure they do not function at the 
wrong time or interfere with or impact the subsea BOP's autoshear and 
deadman systems.
    (xiii) Autoshear and Deadman System Requirements for Surface BOPs--
BSEE is contemplating establishing autoshear and deadman system 
requirements in cases where operators use a surface BOP. BSEE does not 
currently require the use of an autoshear or deadman system with 
surface BOPs. BSEE is seeking comment on what criteria should be 
established to function the autoshear or deadman systems in connection 
with a surface BOP. BSEE welcomes any other comments, unrelated to 
autoshear or deadman systems, which require additional consideration in 
those cases where a surface BOP is used.
    (xiv) Outcome-based Well Control System Requirements--BSEE is 
seeking comment on other appropriate approaches to well-control 
operations in the Arctic. The NPC 2019 Report recommends accepting the 
use of an SSID in place of the requirement for SSRW capability. 
However, it also recommends replacing the relief rig and SSRW 
requirements with requirements that specify desired outcomes (i.e., to 
stop the flow of a well and allow the operator to propose equivalent 
technology and demonstrate its capabilities).
    (xv) SOO--BSEE is considering the option of limiting the period 
during which a suspension would remain in effect to the period between 
one drilling season and the next when the operator is prevented from 
continuing its drilling or other leaseholding activities due to 
seasonal conditions. BSEE is seeking comment on this regulatory option 
for the new SOO provision it is proposing in a new paragraph (d) of 
Sec.  250.175, or any other option that could avoid or minimize the 
additional burdens associated with making requests on an annual basis 
(if the duration of the suspension needs to be longer), but still 
assure appropriate leaseholding activities occur for lease exploration 
and development.
    (xvi) Other Solicited Comments--BSEE is also requesting comments on 
the specific costs, benefits, cost savings, forgone benefits, 
transfers, and operational implications of each of the regulatory 
changes included in this proposed rule. This proposed rule's costs, 
cost savings, forgone benefits, transfers, and benefits are detailed in 
the RIA and are briefly summarized in the next section. The Bureaus 
welcome any comment the public may have on the RIA, in which the 
document does solicit feedback on specific topics, e.g., the well 
activity assumptions in the analysis, regulatory alternatives, and 
assumptions regarding ice conditions and trends in the Arctic's open-
water season. Please refer to the RIA for further information.

IV. Procedural Matters

A. Regulatory Planning and Review E.O. 12866 and 13563

    Executive Order 12866 provides that the OIRA within OMB will review 
all significant rules. This proposed action is an economically 
significant regulatory action under E.O. 12866 section 3(f)(1) that was 
submitted to OMB for review, as it would have an annual effect on the 
economy of $100 million or more. The Bureaus developed an RIA to assess 
the anticipated costs and potential benefits of the proposed rule. BOEM 
and BSEE are considering two different baseline scenarios for this 
proposed rule, corresponding to two assumptions about the way Arctic 
leasing and exploration may occur and the uncertainty surrounding 
future exploration. The two cases are scenario-based activity baselines 
used to evaluate the incremental effects of the proposed rule under 
plausible future Arctic exploration conditions. These scenarios are not 
intended to be forecasts of what will happen, rather they are two 
scenarios of how development could occur.
    The first baseline scenario, Full Arctic OCS Case, assumes that 
lease sales in both the Beaufort Sea and Chukchi Sea, currently 
scheduled in the 11th National OCS Oil and Gas Leasing Proposed Program 
in 2026-2030, will result in industry interest in both of these 
planning areas. Furthermore, this interest will translate into leasing 
activity that will support the development of up to ~70 wells over the 
20-year forecast period (2030-2049). It should be noted that both the 
Hope Basin and High Arctic planning areas are not included in the Full 
Arctic OCS scenario. As BOEM has acknowledged throughout the planning 
process for the 11th National OCS Oil and Gas Leasing Draft Proposed 
Program, BOEM estimates the High Arctic to have negligible resource 
quantities and Hope Basin to have measured resource potential but 
negligible development value.
    The second baseline scenario, Limited Arctic Case, assumes that 
lease sales

[[Page 51037]]

only draw industry interest to the nearshore area in the Beaufort Sea 
planning area. This interest, in turn, will translate into leasing 
activity that will support the development of up to 36 wells over the 
20-year forecast period (2030-2049).
    The Limited Arctic Case scenario was developed based on the many 
factors that make the Arctic OCS a challenging environment for 
operators. Due to a combination of factors, oil and gas companies could 
be reluctant to pursue exploration activities in the Arctic OCS, given 
the higher costs and risks associated with Arctic drilling, relatively 
low oil price forecasts, and competing prospects in other areas of the 
world that offer less risk and/or a better return on capital 
investment. Among the most expensive types of crude oil gas extraction, 
Arctic drilling is among the most expensive types of crude oil gas 
extraction, so companies could be expected to pursue lower-cost 
development in other areas first. The Bureaus solicit comment on the 
appropriateness of these scenario assumptions, including the assumed 
number wells drilled if future leasing and exploration and development 
will occur.
    Under each scenario, the proposed action would be economically 
significant as a result of the estimated cost savings of this proposed 
rule. The Bureaus estimate that the amendments proposed in this 
rulemaking would provide annualized net benefits of $161 million under 
the Full Arctic baseline, or $137 million under the Restricted Beaufort 
baseline, discounted at 7 percent.
    Details on the estimated cost savings of this proposed rule can be 
found in the proposed rule's RIA. The quantified net benefits for this 
proposed rule are based on cost savings less forgone benefits. For more 
details, please refer to Section V. Net Benefits of the RIA. The cost 
savings to both government and industry result from removing regulatory 
redundancies, reduction in paperwork burdens, provision for alternative 
methods of compliance, and adoption of improved industry technology. 
Forgone benefits result from slight increases in the risks to 
subsistence hunters and fishermen and wildlife stemming from an 
increased probability if an oil spill occurs that it may have a longer 
duration. The monetized cost savings exceed the monetized forgone 
benefits, leading to the net benefits summarized in the following 
paragraphs. While some foregone benefits have not been monetized, they 
are believed to be small and would not offset the quantified net 
benefits.
    This proposed rule would revise regulatory provisions in 30 CFR 
part 250, subparts A, C, D, and G, 30 CFR part 254, subparts A and E, 
and 30 CFR part 550, subpart B. The Bureaus have reassessed a number of 
the provisions promulgated through the 2016 Arctic Exploratory Drilling 
Rule and are proposing to revise some provisions to reflect 
performance-based standards rather than prescriptive requirements. 
Other revisions remove redundant regulatory oversight provisions and 
provide regional flexibility in the administration of suspensions and 
associated lease term extensions, without significantly impacting the 
current levels of safety and environmental protection. The bureaus 
sought the best available data and information to analyze the economic 
impact of these changes. The RIA for this rulemaking can be found in 
the https://www.regulations.gov/ docket (Docket ID: BSEE-2026-ABCD).
    The Bureaus are proposing to revise certain regulations promulgated 
through the 2016 Arctic Exploratory Drilling Rule based on information 
generated since the 2016 rule was finalized, and to support the goals 
of the Administration's regulatory reform initiatives, while ensuring 
safety and environmental protection. This proposed rule would revise 
certain existing regulations--Sec. Sec.  250.105; 250.108; 250.170; 
250.171; 250.174; 250.175; 250.198; 250.300(b); 250.452; 250.470(b), 
(f), and (h); 250.471(a) and (b); 250.472(a), (b), and (c); 250.720(c); 
250.724; 254.6; 254.70; 550.105; 550.200; 550.204; 550.206; 550.211; 
and 550.220(c). The bulk of the net benefits (greater than 99%) are 
derived from cost savings driven by a proposed revision to existing 
Sec.  250.472(b) and (c), which is discussed below. The analysis 
suggests forgone benefits are small compared to the cost savings, and 
the primary forgone benefits are from possible impacts on the 
environment and subsistence hunting and whaling communities, that could 
be caused by an oil spill of greater duration and higher discharge 
volumes in the event the BOP, SSID, and capping stack were to fail in 
sequence, and a containment dome and flow system would be needed to 
capture oil flowing from the well while relief-well drilling operations 
are underway. These, and the other provisions, are discussed in greater 
detail in Section IV. Forgone Benefits of the Proposed Rule within the 
RIA.
    As BOEM has acknowledged throughout the planning process for the 
11th National OCS Oil and Gas Leasing Draft Proposed Program, BOEM 
estimates the High Arctic to have negligible resource quantities and 
Hope Basin to have measured resource potential but negligible 
development value. However, the largest contributor to net benefits 
attributable to the proposed rule is the proposed revision to existing 
Sec.  250.472 paragraphs (a), (b), and (c). As promulgated under the 
2016 Arctic Exploratory Drilling Rule, this provision currently 
requires the use of a `relief rig' and adoption of a 45-day shoulder 
season. The relief rig is a secondary drilling vessel that is available 
and capable of drilling an SSRW in the event of a loss of well control. 
The 45-day ``shoulder season'' was the maximum time permitted by the 
regulations to mobilize the relief rig to an incident, drill a relief 
well, kill and abandon the original well, and abandon the relief well 
prior to expected seasonal ice encroachment at the drill site. Because 
Arctic drilling operations would have to end 45-days before the end of 
the open water season, this shoulder season compresses the already 
short Arctic drilling timeframe and also limits the ability of 
operators to drill and complete a well in one season. The proposed 
revisions to Sec.  250.472 would provide the operator with the option 
to either use an SSID or have access to a relief rig, as an additional 
means to secure the well in the event of a loss of well control, if the 
operator will be conducting exploratory drilling operations from a 
MODU. The two features of this flexibility driving the cost savings are 
the removal of the shoulder season and removal of the requirement for 
the secondary drilling vessel, if the operator elects to install an 
SSID to comply with Sec.  250.472. Because of the relative cost 
effectiveness of procuring, and potential well control advantages of 
installing an SSID versus mobilizing a relief rig and the necessary 
support vessels and personnel, BSEE assumes operators will prefer this 
option when using MODUs. This proposed change would produce an 
annualized cost savings of $161 million under the Full Arctic OCS Case, 
or $137 million under the Limited Arctic Case, discounted at 7%.
    This proposed rule would reduce the burden imposed on industry, 
while maintaining safety and environmental protection. The forgone 
benefits of adopting the proposed rule include possible impacts on the 
environment, subsistence hunting and whaling communities, and an oil 
spill of greater duration with higher discharge volumes in the event a 
BOP and SSID were to fail. As discussed earlier in the

[[Page 51038]]

preamble, BSEE proposes to require operators to operate an SSID 
independently from the BOP. By having two independent, redundant 
components (i.e., the BOP and the SSID) as part of the well control 
system, the overall reliability and effectiveness of the entire system 
would increase. In the event both devices were to fail, the capping 
stack would still be used as required in the permitted timeframe, 
consistent with existing regulations. When a capping stack is used to 
contain a well, the relief well can be drilled without an ongoing 
active spill event. If the capping stack were to fail, the containment 
dome and flow system would be used to capture the oil flowing from the 
well while relief-well drilling operations are underway.
    Given that the proposed rule would remove the arrival timing 
requirement for the containment dome and flow system equipment, there 
may be a delay in their arrival, in comparison to the existing 
regulations. The amount of oil flowing from the well during that 
delayed period, would be the contributing factor to the proposed rule's 
forgone benefits. However, as discussed in the IRIA, the probability of 
a catastrophic spill event (as a result of the BOP and SSID systems 
experiencing total failures) is low. Coupled with a scenario in which a 
BOP, SSID, and capping stack were all to fail, the probability of 
realizing these forgone benefits even lower. Nonetheless, the 
possibility of realizing forgone benefits still exists, and if the BOP 
were to fail and the SSID were to function as designed, there would be 
no forgone benefits in comparison to the existing regulations (and 
there might be a gained benefit, since the SSID would activate 
immediately). This proposed change would produce an annualized foregone 
benefit of $0.11 million under the Full Arctic OCS Case, or $0.06 
million under the Limited Arctic Case, discounted at 7%.
    As part of the final rule, the Bureaus are contemplating the 
preparation of a sensitivity analysis for the Final RIA and are 
soliciting comments on ways to make the analysis as accurate as 
possible. The information we receive through public input on this 
proposed rule regarding the SSID's performance, reliability, and 
effectiveness may inform the preparation of a sensitivity analysis.
---------------------------------------------------------------------------

    \21\ For the SOO provision, offsetting economic transfers could 
accrue under both the baseline and the proposed rule, but these have 
not been estimated due to high levels of uncertainty and lack of 
data. Under the baseline, if a company is not able to fully develop 
a prospect before the lease expires, it could attempt to acquire a 
new lease for the same block in order to generate a return on its 
sunk capital investments; however, OCS leases are offered only by 
open competition, which could require a bonus bid (an economic 
transfer) to succeed in acquiring the new lease. Under the proposed 
rule, companies would effectively have more time to develop the 
prospect, reducing the risks of lease expiration and no return on 
sunk capital. However, rental payments (also an economic transfer) 
would increase since the SOO provision would extend the term of the 
lease (for the period of the suspension) and the regulations at 30 
CFR 1218.154(a) requires rentals to be paid even if BSEE would grant 
the SOO.
---------------------------------------------------------------------------

    The timeframe of the present analysis is 24 years beginning in 
2026, which is when the Bureaus assume the proposed rule would be 
finalized, and ending in 2049. The initial 4 years would have no 
activity followed by 20 years of activities beginning in 2030. The 4-
year lag in the start of activities aligns with the considerations 
under the 11th National OCS Oil and Gas Leasing Program, which 
currently entails six Arctic lease sales between 2026 to 2031. After 
new leases are issued, operators will still need time to prepare for 
any exploration activities. The two tables below summarize BSEE's and 
BOEM's estimates of the total and annual net cost savings derived from 
all proposed revisions and additions. Additional information on the 
time horizon, compliance costs, savings, benefits, and forgone benefits 
may be found in the RIA published in the rule docket.
[GRAPHIC] [TIFF OMITTED] TP06AU26.006


[[Page 51039]]


[GRAPHIC] [TIFF OMITTED] TP06AU26.007

    This\\ proposed rule would revise multiple provisions in the 
current regulations to implement performance-based provisions based 
upon reasonably obtainable information on safety, technical, economic, 
and other issues. Redundant or unnecessary reporting requirements are 
also being eliminated. The Bureaus are providing industry flexibility, 
when practical, to meet the safety or equipment standards, rather than 
specifying the compliance method. Based on a consideration of the 
qualitative and quantitative safety and environmental factors related 
to the rule, the Bureaus determined that the proposed revisions would 
be consistent with the policies of the applicable E.O.s and the OCSLA.
---------------------------------------------------------------------------

    \22\ Ibid.
---------------------------------------------------------------------------

    Despite the historical headwinds in the Arctic OCS, a number of 
factors can be seen that point towards future industry interest in 
exploration activity in the region. As evident from the Draft Proposed 
Program of the 11th National OCS Oil and Gas Leasing Program, there are 
six planned lease sales in the Arctic OCS between 2026-2030 giving 
industry the first opportunity to bid on new leases since 2008. In 
terms of resource target, the estimated undiscovered reserves in 
Alaska, led by the Chukchi Sea Planning Area (29.3 billion barrels of 
technically recoverable oil equivalent), ranks the region first in 
BOEM's 2026 national assessment of US OCS regions. In addition, renewed 
interest in Arctic development by upstream oil and gas operators has 
been evident in recent years by Norwegian firm Equinor's exploration 
activity at the Johan Castberg Field situated in the Barents Sea, where 
exploration wells have been drilled regularly since 2020. It is 
conceivable that the same phenomenon that is driving renewed global 
interest in deepwater frontier exploration--an estimated 300 billion 
barrel oil shortfall in global supplies by 2050 and an increased focus 
on supply diversification and security--may be a key driver for renewed 
interest in the Arctic OCS as well. Furthermore, improved drilling 
technology and longer open-water seasons (see discussion in Section 
II.C of the RIA) are both potential drivers in lowering costs for 
prospective operators compared to earlier periods making Arctic assets 
more competitive in E&P operator's capital portfolios. When coupled 
with the actions taken in this proposed rule to create more flexibility 
and less costly compliance options, driven by the 2025 E.O.s and S.O.s, 
there is a plausible case that the industry will have renewed interest 
in the Arctic OCS moving forward.
    Executive Order 13563 reaffirms the principles of E.O. 12866 while 
calling for improvements in the Nation's regulatory system to promote 
predictability, to reduce uncertainty, and to use the best, most 
innovative, and least burdensome tools for achieving regulatory ends. 
The E.O. directs agencies to consider regulatory approaches that reduce 
burdens and maintain flexibility and freedom of choice for the public 
where these approaches are relevant, feasible, and consistent with 
regulatory objectives. E.O. 13563 emphasizes that regulations must be 
based on the best available science and that the rulemaking process 
must allow for public participation and an open exchange of ideas. 
Furthermore, it promotes retrospective review of existing regulations 
that may be outmoded, ineffective, insufficient, or excessively 
burdensome. The Bureaus have reviewed the existing regulations as 
amended by the 2016 Rule and have developed this proposed rule in a 
manner consistent with E.O. 13563.

B. Reducing Regulatory Burdens (E.O. 14192)

    Under E.O. 14192 (90 FR 9065, January 31, 2025), agencies are 
required, unless prohibited by law, whenever it publicly proposes for 
notice and comment or otherwise promulgates a new regulation, to 
identify at least 10 existing regulations to be repealed. This proposed 
rule is analyzed as a deregulatory action under E.O. 14192. The 
quantified incremental compliance-cost savings of this proposed rule 
are described in the tables in the previous section, which are driven 
primarily by the proposed revisions to Sec.  250.472, with smaller 
quantified savings from the IOP revisions and unquantified or zero 
savings from other provisions. These estimates are scenario-based and 
depend on the level of future Arctic exploratory drilling activity; if 
no future Arctic exploratory drilling occurs, realized savings would be 
correspondingly lower or zero. The two tables in the previous section 
summarize BSEE's and BOEM's estimates of the total and annual net cost 
savings derived from the proposed rule.

C. Unleashing American Energy and Alaska's Extraordinary Resource 
Potential (E.O.s 14153 and 14154)

    Executive Order 14153, Unleashing Alaska's Extraordinary Resource 
Potential, established a new policy for the U.S. that calls for fully 
availing itself of Alaska's vast lands and resources for the benefit of 
the Nation and the American citizens who call Alaska home, and 
efficiently and effectively maximizing the development and production 
of the natural resources located on both Federal and State lands

[[Page 51040]]

within Alaska. The E.O. directs the heads of all executive departments 
and agencies to rescind, revoke, revise, amend, defer, or grant 
exemptions from any and all regulations, orders, guidance documents, 
policies, and any other similar agency actions that are inconsistent 
with the policy set forth in the E.O.
    Similarly, E.O. 14154, Unleashing American Energy, established a 
U.S. policy that calls for encouraging ``energy exploration and 
production on Federal lands and waters, including on the OCS, in order 
to meet the needs of our citizens and solidify the U.S. as a global 
energy leader long into the future.'' To carry out the policy, the E.O. 
directs that ``the heads of all agencies shall review all existing 
regulations, orders, guidance documents, policies, settlements, consent 
orders, and any other agency actions (collectively, agency actions) to 
identify those agency actions that impose an undue burden on the 
identification, development, or use of domestic energy resources--with 
particular attention to oil, natural gas, coal, hydropower, biofuels, 
critical mineral, and nuclear energy resources--or that are otherwise 
inconsistent with the policy set forth in section 2 of this order. . . 
.''
    This proposed rule responds to the 2025 E.O.s and S.O.s by creating 
more flexible and less costly compliance options in BSEE-administered 
and BOEM-administered regulations, while ensuring the safe, effective, 
and responsible exploration of Arctic OCS oil and gas resources, 
protecting the marine, coastal, and human environments.

D. Regulatory Flexibility Act and Small Business Regulatory Enforcement 
Fairness Act

    The Regulatory Flexibility Act (RFA), 5 U.S.C. 601-612, requires 
agencies to analyze the economic impact of regulations when there is 
likely to be a significant economic impact on a substantial number of 
small entities and to consider regulatory alternatives that will 
achieve the agency's goals while minimizing the burden on small 
entities. The proposed rule would affect operators and Federal oil and 
gas lessees that could conduct exploratory drilling on the Arctic OCS. 
The RFA defines small entities as small businesses, small nonprofits, 
and small governmental jurisdictions. No small nonprofits or small 
governmental jurisdictions have been identified that would be impacted 
by this rule.
    Businesses subject to this proposed rule fall under NAICS codes 
2111 (Oil and Gas Extraction) and 213111 (Drilling Oil and Gas Wells). 
For these classifications, a small business is defined as one with 
fewer than 1,250 employees (NAICS code 2111) and fewer than 1,000 
employees (NAICS code 213111), respectively. A small entity is one that 
is ``independently owned and operated and which is not dominant in its 
field of operation.''
    Based on these criteria, none of the entities currently holding a 
Federal oil and gas lease on the Arctic OCS are considered small. 
Although BOEM and BSEE do not expect a small entity to conduct 
exploratory drilling on the Arctic OCS during the 20-year analysis 
period, a small business could acquire a lease in a future Arctic lease 
sale and operate on the Arctic OCS.
    Small companies currently have a limited history operating in the 
Arctic OCS with only a single small entity having held acreage on the 
Arctic OCS--which was relinquished in March 2016. That being said, 
given the significant risk and additional capital required to target 
resources in Federal waters vs State nearshore, the involvement of 
smaller operators is still deemed unlikely. As such, this rule is not 
expected to have a significant economic impact on a substantial number 
of small entities. The agency invites comments on this finding.
    The Bureaus prepared an Initial Regulatory Flexibility Analysis 
(IRFA), which can be found in Section VII of the IRIA. Given the 
challenging environment and associated costs of drilling in the Arctic 
OCS planning areas, no small entities are expected to operate in these 
areas for the foreseeable future. Therefore, the Bureaus preliminarily 
conclude that no small entities would be affected by these proposed 
amendments, however the agency has prepared an IRFA and is seeking 
public comment on any small business impacts from the proposed 
amendments.
    This proposed rule would meet the E.O. 12866 criteria for an 
economically significant rule under section 3(f)(1) because it would 
likely have an annual effect on the economy of $100 million or more in 
at least one year of the forecast horizon, and BSEE/BOEM comply with 
the RFA and the Small Business Regulatory Enforcement Fairness Act by 
providing a regulatory flexibility analysis. The requirements would 
apply to all entities operating on the Arctic OCS regardless of company 
designation as a small business. For more information on the small 
business impacts, see the RFA section in the RIA. Small businesses may 
send comments on the actions of Federal employees who enforce, or 
otherwise determine compliance with, Federal regulations to the Small 
Business and Agriculture Regulatory Enforcement Ombudsman, and to the 
Regional Small Business Regulatory Fairness Board. The Ombudsman 
evaluates these actions annually and rates each agency's responsiveness 
to small business. If you wish to comment on actions by employees of 
BSEE or BOEM, call 1-888-REG-FAIR (1-888-734-3247).

E. Unfunded Mandates Reform Act of 1995 (UMRA)

    This proposed rule would not impose an unfunded Federal mandate on 
State, local, or tribal governments and would not have a significant or 
unique effect on State, local, or tribal governments. The requirements 
in this proposed rule would apply to oil and gas lessees and operators 
in the Alaska OCS region, not to State, local, and tribal governments. 
Thus, the proposed rule would not have disproportionate budgetary 
effects on these governments. The Bureaus have determined the proposed 
changes in this rulemaking would result in cost savings annually to 
regulated entities. Therefore, a written statement under the UMRA (2 
U.S.C. 1531 et seq.) is not required.

F. Takings Implication Assessment

    Under the criteria in E.O. 12630, this proposed rule would not have 
significant takings implications. The proposed rule is not a 
governmental action capable of interference with constitutionally 
protected property rights. A Takings Implication Assessment is not 
required.

G. Federalism (E.O. 13132)

    Under the criteria in E.O. 13132, this proposed rule would not have 
federalism implications. This proposed rule would not substantially and 
directly affect the relationship between the Federal and State 
governments. To the extent that State and local governments have a role 
in OCS activities, this proposed rule would not affect that role. A 
Federalism Assessment is not required.

H. Civil Justice Reform (E.O. 12988)

    This proposed rule complies with the requirements of E.O. 12988. 
Specifically, this rule:
    1. Meets the criteria of Sec.  3(a) requiring that all regulations 
be reviewed to eliminate errors and ambiguity and be written to 
minimize litigation; and
    2. Meets the criteria of Sec.  3(b)(2) requiring that all 
regulations be written in clear language and contain clear legal 
standards.

[[Page 51041]]

I. Consultation With Indian Tribes (E.O. 13175)

    Executive Order 13175 defines ``policies that have Tribal 
implications'' as ``regulations, legislative comments or proposed 
legislation, and other policy statements or actions that have 
substantial direct effects 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.'' The Bureaus comply with E.O. 13175 by 
following the Department of the Interior Policy on Consultation with 
Indian Tribes (512 Departmental Manual 4) \23\ and Procedures for 
Consultation with Indian Tribes (512 Departmental Manual 5).\24\ The 
Department's procedures require that ``Bureaus/Offices must invite 
Indian Tribes early in the planning process to consult whenever a 
Departmental plan or action with Tribal Implications arises. Bureaus/
Offices should operate under the assumption that all actions with land 
or resource use or resource impacts may have Tribal implications and 
should extend consultation invitations accordingly'' 512 DM 5.4(A).
---------------------------------------------------------------------------

    \23\ Available at https://www.doi.gov/document-library/departmental-manual/512-dm-4-department-interior-policy-consultation-indian-0.
    \24\ Available at https://www.doi.gov/document-library/departmental-manual/512-dm-5-procedures-consultation-indian-tribes.
---------------------------------------------------------------------------

    The Bureaus fulfill their respective consultation obligations with 
ANCSA Corporations on the same basis as Indian Tribes under E.O. 13175. 
The Bureaus comply with E.O. 13175 by following the Department of the 
Interior Policy on Consultation with ANCSA Corporations (512 
Departmental Manual 6) \25\ and Procedures for Consultation with ANCSA 
Corporations (512 Departmental Manual 7).\26\ The Department's 
procedures require that ``Bureaus and Offices should operate under the 
assumption that all actions with land or resource use or resource 
impacts may have ANCSA Corporation implications and should extend 
consultation invitations accordingly. When ANCSA Corporations indicate 
that there is substantial and direct effect of the Departmental Action 
with ANCSA Corporation Implications, the Department must engage in 
consultation.'' 512 DM 7.4(A).
---------------------------------------------------------------------------

    \25\ Available at https://www.doi.gov/document-library/departmental-manual/512-dm-6-department-interior-policy-consultation-alaska-0.
    \26\ Available at https://www.doi.gov/document-library/departmental-manual/512-dm-7-procedures-consultation-alaska-native-claims-0.
---------------------------------------------------------------------------

    The Bureaus evaluated this proposed rule pursuant to the 
Department's consultation policies and determined that this rule may 
have substantial direct effects on Alaska Native Tribes and ANCSA 
Corporations. The Beaufort and Chukchi seas play a critical role in the 
cultural traditions and subsistence lifestyles of Alaska Natives in 
Northern Alaska. Marine species, including bowhead whales, beluga 
whales, and fish, make up the largest subsistence resources available 
to these communities. The bowhead whale, in particular, which migrates 
along the Beaufort and Chukchi sea coasts, provides the largest 
subsistence resource available to the native villages. Alaska Native 
villages are remotely located and experience harsh climatic conditions 
for a majority of the year, making it difficult to cultivate food 
sources locally or import commercial food sources readily available to 
individuals in the lower 48 states. These communities hunt and harvest 
the mammals along the coasts in spring and in fall. The villages have 
expressed concerns in the past about the potential of offshore oil and 
gas activities to interfere with whaling subsistence (e.g., vessel 
presence and noise from oil and gas activities could interfere with the 
whale's migration routes and, thus, could reduce or eliminate the 
communities' harvest opportunities that Alaska Natives heavily rely on 
for nutritional value).
    The proposed rule includes SSID provisions that could potentially 
reduce vessel traffic in areas where oil and gas activities may be 
planned near whale migration routes and help minimize certain oil spill 
risks. If an operator elected to utilize the SSID, there would be no 
need to have a relief rig and its support vessels present and operating 
in the area. The SSID can also provide an immediate response to a well 
incident as it is already positioned on the well and can reduce the 
risks associated with prolonged oil spills.
    The Bureaus are committed to regular and meaningful consultation 
and collaboration with Alaska Native Tribes and ANCSA Corporations on 
policy decisions that may have Tribal and ANCSA Corporation 
implications, including, as an initial step, through complete and 
consistent implementation of E.O. 13175, together with related orders, 
directives, and guidance.
    For example, as demonstrated in the 2020 rulemaking effort, in 
2018, the Bureaus began reaching out to leaders from Alaska Native 
Tribes, ANCSA Corporations, and municipalities to determine which 
partners were interested in having conversations with the Bureaus about 
the rulemaking. Consultations entailed meetings in Alaska, at locations 
and times convenient to the Alaska Native villages, communities, and 
corporations, to ensure they could have proper representation during 
the meetings. Accordingly, the timing of these meetings was critical. 
The Bureaus scheduled the meetings around important traditional 
subsistence and cultural activities, such as whaling that take place 
during specific times of the year, particularly in the early fall. 
Between November 29, 2018 and January 30, 2019, the Bureaus met with a 
majority of the Alaska Native entities (23 of 25) originally invited to 
consult.
    All Alaska Native input provided during the meetings was 
subsequently provided to DOI in writing and has been included in the 
administrative record for this proposed rule. For more details 
regarding the variety of perspectives the Bureaus heard during their 
meetings with Alaska Native Tribes and ANCSA Corporations, please refer 
to Section IV. Procedural Matters, Subsection G. Consultation With 
Indian Tribes (E.O. 13175) \27\ of the 2020 Proposed Revisions to the 
Arctic Exploratory Drilling Rule. The Bureaus are respectful of our 
responsibilities for consultation and intend to continue consulting 
with affected Alaska Native Tribes and ANCSA Corporations following 
publication of this proposed rule.
---------------------------------------------------------------------------

    \27\ https://www.federalregister.gov/d/2020-25818/p-472.
---------------------------------------------------------------------------

    In accordance with E.O. 13175 and the Department's policies and 
procedures for consultation with Alaska Native Tribes and ANCSA 
Corporations, BSEE and BOEM will invite government-to-government 
consultation with Alaska Native Tribes and invite government-to-
corporation consultation with ANCSA Corporations. BSEE plans to invite 
consultation via letters to Alaska Native Tribes and ANCSA 
Corporations. It is BSEE's practice to initiate consultation at the 
request of any Tribe or ANCSA Corporation in accordance with the 
Department's consultation procedures. BSEE may conduct consultations at 
any stage of the rulemaking process, without being limited to the 
public comment period. BSEE intends to continue engagement with Alaska 
Native Tribes and ANCSA Corporations following publication of this 
proposed rule, and will carefully consider and incorporate as 
appropriate the input received into its development of this rulemaking.

[[Page 51042]]

J. Paperwork Reduction Act (PRA)

    This proposed rule contains existing and new IC requirements for 
both BSEE-administered and BOEM-administered regulations, and a 
submission to OMB for review under the PRA of 1995 (44 U.S.C. 3501 et 
seq.) is required. Therefore, each bureau will submit an IC request to 
OMB for review and approval. We may not conduct, or sponsor, and you 
are not required to respond to a collection of information unless it 
displays a currently valid OMB control number. OMB has previously 
reviewed and approved the existing IC requirements associated with OCS 
drilling permits, plans, and related IC, which would be altered by this 
proposed rule. OMB has assigned the following OMB control numbers to 
the current ICs:
     1014-0018 (BSEE), 30 CFR part 250, subpart D, Oil and Gas 
Drilling Operations (expires 05/31/2027).
     1014-0022 (BSEE), 30 CFR part 250, subpart A, General 
(expires 05/31/2027).
     1014-0025 (BSEE), 30 CFR part 250, Application for Permit 
to Drill (APD, Revised APD), Supplemental APD Information Sheet, and 
all supporting documentation (expires 10/31/2026).
     1014-0028 (BSEE), 30 CFR part 250, subpart G, Well 
Operations and Equipment (expires 05/31/2027).
     1010-0151 (BOEM), 30 CFR part 550, subpart B Plans and 
Information (expires 10/31/2027).
    The IC aspects affecting each bureau are discussed separately.
    The following table details proposed changes to the annual 
estimated hour burdens and non-hour costs for both BSEE and BOEM 
information submission activities described below:
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BILLING CODE 4310-MR-C
BSEE Information Collection--30 CFR Part 250
    This proposed rule references existing ICs previously approved by 
OMB and would establish new, remove, and/or revise current IC 
requirements for BSEE regulations at 30 CFR part 250, subpart A--
General, Subpart D--Oil and Gas Drilling Operations, and Subpart G-- 
Well Operations and Equipment that require OMB review and approval 
under the PRA of 1995 (44 U.S.C. 3501 et seq.). Therefore, an IC 
request for BSEE is being submitted to OMB for review and approval. 
BSEE may not conduct or sponsor, and you are not required to respond 
to, a collection of information unless it displays a currently valid 
OMB control number.
    The ICs related to this rulemaking concern the submission of 
information for safe and environmentally responsible Arctic OCS oil and 
gas exploration in an APD, SOOs or SOPs in Alaska, crane operations on 
artificial islands, and real-time monitoring requirements during 
drilling operations in the Arctic OCS. OMB has reviewed and approved 
the IC requirements associated with the topics just described under the 
following assigned OMB control numbers--1014-0018, 1014-0022, 1014-
0025, and 1014-0028.
    Pertaining to this proposed rulemaking, BSEE would use the 
information in our efforts to protect life and the environment, 
conserve natural resources, and prevent waste. This proposed rule would 
add new and modify existing requirements under regulations at 30 CFR 
part 250, subparts A, D, and G. BSEE will request four new temporary 
control numbers from OMB for review and approval. Each temporary number 
corresponds to an existing OMB-approved control number impacted by the 
proposed rule. The table below lists BSEE's temporary control numbers, 
their associated existing control numbers, and the program changes the 
Bureau is requesting under each temporary control number.
[GRAPHIC] [TIFF OMITTED] TP06AU26.010

    When the 1082-AA05 final rule becomes effective, BSEE will move the 
requirements and burdens from each temporary control number with an 
increased burden to their respective permanent collections in either 
1014-0022 (i.e., +35 hours and +$4,938 non-hour cost burdens), 1014-
0025 (+8 hours), and 1014-0028 (+8 hours). BSEE will also decrease the 
hour burdens in 1014-0018 (-4 hours). Finally, BSEE will discontinue 
the use of all temporary control numbers.
    As discussed in the Preamble Section-by-Section above, and in the 
supporting statement available at RegInfo.gov, BSEE proposes to make 
changes to certain provisions of Subpart A, General; Subpart D--Oil and 
Gas Drilling Operations, and Subpart G--Well Operations and Equipment 
that would result in changes to hour burdens or non-hour costs. These 
changes are discussed in the following paragraphs. This proposed rule 
would also modify language in Sec. Sec.  250.300(b), 250.470(f)(3), and 
250.720(c)(2); however, there would be no change in hour burden or non-
hour costs associated with these revisions.
Subpart A--General
    In Sec.  250.108(e), BSEE would apply the existing crane 
requirements to retain records related to the design and construction, 
installation, inspection, testing, maintenance, and personnel 
qualification of a crane to cranes used on OCS artificial islands (+1 
response and 7 hours).
    In Sec. Sec.  250.171, 250.174, and 250.175, BSEE would add 
provision that allow an operator in the Alaska OCS to request an SOO or 
SOP in cases where development may not be completed due to unfavorable 
weather conditions.

[[Page 51044]]

Operators must submit information when making requests on such 
suspensions (+4 responses, 28 hours, and $4,928 non-hour cost burdens).
Subpart D--Oil and Gas Drilling Operations
    In Sec.  250.452, BSEE would remove the Arctic OCS real-time 
monitoring requirements for drilling operations in this section and, 
instead, require these drilling operations to follow the real-time 
monitoring requirements in Sec.  250.724, which already applies to 
other OCS areas outside the Arctic OCS.
    In Sec.  250.470(h), BSEE would add a requirement to submit with an 
APD a certification signed by a registered professional engineer that 
your SSID and well design (including casing and cementing program) meet 
the design requirements in Sec.  250.472 (+2 responses and 6 hours for 
PE Certification).
    In Sec. Sec.  250.471(a) and 250.472(b), BSEE would add a 
requirement for operators to submit, with an APD, documentation 
demonstrating that having access to SCCE and the relief rig can be 
safely delayed until the last casing point prior to penetrating a zone 
capable of flowing hydrocarbons in measurable quantities. BSEE will 
grant this approval if the operator adequately demonstrates to the 
Bureau that it will not encounter any abnormally high-pressured zones 
or other geological hazards before that casing point (+2 responses and 
2 hours per request). Because not all APDs submitted to BSEE would 
involve Arctic OCS exploration drilling, we are separating the Arctic-
specific requirements and burdens from the national APD requirements.
Subpart G--Well Operations and Equipment
    In Sec.  250.724, BSEE would apply the existing real-time 
monitoring requirements in this section to all Arctic OCS drilling 
operations, which includes transmitting data onshore and developing and 
implementing a real-time monitoring plan that must be made available to 
BSEE upon request. (+2 response and 2,165 hours). The burden table 
below outlines the revised requirements and burdens associated with 
this proposed rulemaking.
    Title of Collection: 30 CFR part 250, Revisions to the Requirements 
for Exploratory Drilling on the Arctic Outer Continental Shelf.
    OMB Control Number: 1014-NEW1, 1014- NEW2, 1014- NEW3, 1014- NEW4 
(revisions to 1014-0018, 1014-0022, 1014-0025, and 1014-0028)
    Form Number:

 BSEE-0123, APD
 BSEE-0123S, Supplemental APD

    Type of Review: Revision of currently approved collections.
    Respondents/Affected Public: Respondents are Federal oil and gas or 
sulfur lessees or operators.
    Total Estimated Number of Annual Responses: +8.

 1014-NEW1, 30 CFR part 250, subpart D, Oil and Gas Drilling 
Operations (-1 response)
 1014-NEW2, 30 CFR part 250, subpart A, General (+5 responses)
 1014-NEW3, 30 CFR part 250, Application for Permit to Drill 
(APD, Revised APD), Supplemental APD Information Sheet, and all 
supporting documentation (+4 responses)
 1014-NEW4, 30 CFR part 250, subpart G, Well Operations and 
Equipment (+2 responses)
    Total Estimated Number of Annual Burden Hours: 2,204.

 1014-NEW1, 30 CFR part 250, subpart D, Oil and Gas Drilling 
Operations (-4 hours)
 1014-NEW2, 30 CFR part 250, subpart A, General (+35 hours)
 1014-NEW3, 30 CFR part 250, Application for Permit to Drill 
(APD, Revised APD), Supplemental APD Information Sheet, and all 
supporting documentation (+8 hours)
 1014-NEW4, 30 CFR part 250, subpart G, Well Operations and 
Equipment (+2,165 hours)


    Due to a ROCIS system limitation, BSEE is unable to show a negative 
number for responses and hours in ROCIS; therefore, the table for 1010-
NEW1 found on https://www.reginfo.gov shows a place marker of one 
response and one hour.

    Respondent's Obligation: Most responses are mandatory, while others 
are required to obtain or retain benefits.
    Frequency of Collection: Generally, on occasion and as required in 
the regulations
    Total Estimated Annual Non-hour Burden Cost: +$4,938.

     1014-NEW1, 30 CFR part 250, subpart D, Oil and Gas 
Drilling Operations (no change)
     1014-NEW2, 30 CFR part 250, subpart A, General (+$4,938)
     1014-NEW3, 30 CFR part 250, Application for Permit to 
Drill (APD, Revised APD), Supplemental APD Information Sheet, and all 
supporting documentation (no change)
     1014-NEW4, 30 CFR part 250, subpart G, Well Operations and 
Equipment (no change)

    The following table provides a breakdown of the paperwork hour and 
non-hour cost burdens for this proposed rule. For the current 
requirements retained in the proposed rule, we used OMB's approved 
estimated hour and non-hour cost burdens.
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BILLING CODE 4310-MR-C
    The IC does not include questions of a sensitive nature. BSEE will 
protect proprietary information according to the Freedom of Information 
Act (5 U.S.C. 552) and DOI implementing regulations (43 CFR part 2), 30 
CFR 556.104, Information collection and proprietary information, and 30 
CFR 550.197, Data and information to be made available to the public or 
for limited inspection.
    In addition, the PRA requires agencies to estimate the total annual 
reporting and recordkeeping non-hour cost burden resulting from the 
collection of information, and we solicit your comments on this item. 
For reporting and recordkeeping only, your response should split the 
cost estimate into two components: (1) total capital and startup cost 
component and (2) annual operation, maintenance, and purchase of 
service component. Your estimates should consider the cost to generate, 
maintain, and disclose or provide the information. You should describe 
the methods you use to estimate major cost factors, including system 
and technology acquisition, expected useful life of capital equipment, 
discount rate(s), and the period over which you incur costs. Generally, 
your estimates should not include equipment or services purchased: (1) 
before October 1, 1995; (2) to comply with requirements not associated 
with the IC; (3) for reasons other than to provide information or keep 
records for the Government; or (4) as part of customary and usual 
business or private practices.
    As part of our continuing effort to reduce paperwork and respondent 
burdens, we invite the public and other Federal agencies to comment on 
any aspect of this IC, including:
    (1) Whether the collection of information is necessary, including 
whether the information will have practical utility;
    (2) The accuracy of our estimate of the burden for this collection 
of information;
    (3) Ways to enhance the quality, utility, and clarity of the 
information to be collected; an
    (4) Ways to minimize the burden of the collection of information on 
respondents.
    Send your comments and suggestions on this IC by the date indicated 
in the DATES section to the Desk Officer for the Department of the 
Interior at OMB-OIRA at (202) 395-5806 (fax) or via the RegInfo.gov 
portal (online). You may view the IC request(s) at http://www.reginfo.gov/public/do/PRAMain. Please provide a copy of your 
comments to the BSEE Information Collection Clearance Officer (see the 
ADDRESSES section). You may contact Bryce Barlan, Regulatory Analyst at 
(703) 787-1126 with any questions. Please reference Revisions to the 
Requirements for Exploratory Drilling on the Arctic Outer Continental 
Shelf (OMB Control No. 1014-NEW), in your comments.
BOEM Information Collection--30 CFR Part 550
    This proposed rule references existing ICs previously approved by 
OMB and would add and remove IC requirements for BOEM-administered 
regulations that require OMB review and approval under the PRA of 1995 
(44 U.S.C. 3501 et seq.). Therefore, an IC request for BOEM is being 
submitted to OMB for review and approval. The ICs related to this 
rulemaking concern the requirements under 30 CFR parts 550. BOEM may 
not conduct or sponsor, and you are not required to respond to, a 
collection of information unless it displays a currently valid OMB 
control number.
    OMB has reviewed and approved the IC requirements associated with 
EPs and other information before conducting oil and gas exploration 
drilling activities on the Arctic OCS and assigned OMB Control Number 
1010-0151, ``30 CFR 550, Subpart B, Plans and Information'' (expires 
October 31, 2027).
    Pertaining to this proposed rulemaking, BOEM would collect the 
information to ensure that planned operations will be safe; will not 
adversely affect the marine, coastal, or human environments; will 
respond to the special conditions on the Arctic OCS; and will conserve 
the resources of the Arctic OCS. BOEM would use the information to 
ensure, through advanced planning, that operators are capable of safely 
operating in the unique environmental conditions of the Arctic and to 
make informed decisions on whether to approve EPs as submitted or 
whether modifications are necessary.
    BOEM proposes to remove the IOP regulations by deleting Sec.  
550.204 and removing the corresponding references to the IOP from 
Sec. Sec.  550.200 and 550.206. BOEM's existing requirement to submit 
the IOP at least 90 days before the lessee or operator files an EP 
would be eliminated. The data and information requested in the IOP is 
largely unnecessary in light of the information already collected in 
the EP. The current approval for OMB Control Number 1010-0151 counts 
the similar burdens associated with IOPs and EPs in both. Therefore, 
BOEM would remove the burdens attributed to the IOPs, and keep

[[Page 51048]]

the burdens attributed to EPs. Removing the IOP provision would 
decrease the annual burden hours by 1 response and 2,880 hours (- 1 
response and 2,880 annual burden hours).
    The proposed rule would add a requirement to Sec.  550.211(b) to 
describe operational safety procedures that the operator has developed 
specific to conditions relevant on the Arctic OCS in the EP. These 
requirements were previously included in the IOP requirements that are 
removed from this rulemaking. Retaining this provision would lessen the 
2,880-burden hour decrease by 50 annual burden hours (i.e., by 
retaining 50 annual burden hours)
    BOEM estimates that the proposed revisions would remove 2,880 
annual burden hours that correlate to the removal of the existing IOP 
requirement. These changes would result in a net decrease of 2,830 
annual burden hours.
    BOEM proposes to revise Sec.  550.220(c)(1) to require a 
description of how exploratory drilling will be designed and conducted, 
including how all vessels and equipment will be designed, built, and/or 
modified, to account for Arctic OCS conditions and how such activities 
will be managed and overseen as an integrated endeavor, and in the 
description of vessel modifications, a description of any approvals 
from the flag state and the vessel classification society, including 
any allowances or limitations placed upon the vessel by the 
classification society and/or the USCG. Vessel modifications may 
include the suitability of vessels for Arctic conditions. These vessels 
may have or acquire classification from a ``recognized organization'' 
under the USCG's ACP.\28\ BOEM is seeking to confirm that the operator 
meets the requirements of other entities with authority over vessels, 
not to impose requirements on those vessels. BOEM believes that this 
change would not impose any material additional burdens on the lessees 
or operators. BOEM is also proposing to revise Sec.  550.220(c)(4) and 
(c)(6) by requiring the operator to provide a general description of 
how they will comply with Sec.  250.472, including a description of the 
termination of their operations.
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    \28\ 46 U.S.C. 3316 and 46 CFR part 8, subpart D implement the 
USCG's ACP.
---------------------------------------------------------------------------

    Because not all EPs submitted to BOEM would involve Arctic OCS 
exploration drilling, we are separating the burden associated with the 
Arctic-specific requirements and burdens from the national EP 
requirements. The burden table that follows this paragraph outlines the 
revised requirements and burdens associated with this rulemaking. BOEM 
has not identified any non-hour cost burdens associated with these 
proposed requirements.
    Title of Collection: 30 CFR part 550, subpart B, Plans and 
Information.
    OMB Control Number: 1010-0151.
    Form Number:

 BOEM-0137, OCS Plan Information Form
 BOEM-0138, EP Air Quality Screening Checklist
 BOEM-0139, DOCD/DPP Air Quality Screening Checklist
 BOEM-0141, ROV Survey Report
 BOEM-0142, Environmental Impact Analysis Worksheet

    Type of Review: Revision of a currently approved collection.
    Respondents/Affected Public: Respondents are Federal oil and gas or 
sulfur lessees or operators.
    Total Estimated Number of Annual Response: 1,290 respondents.
    Total Estimated Number of Annual Burden Hours: 283,314 hours.
    Respondent's Obligation: Some responses to the IC are required to 
obtain or retain a benefit, and some are mandatory.
    Frequency of Collection: The frequency of the response varies, but 
primarily responses are required only on occasion.
    Total Estimated Annual Nonhour Burden Cost: $3,688,524.
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BILLING CODE 4310-MR-C
    If this proposed rule becomes effective and OMB approves the 
information, BOEM would revise the existing OMB control number to 
reflect the changes. The IC does not include questions of a sensitive 
nature. BOEM will protect proprietary information according to the 
Freedom of Information Act (5 U.S.C. 552) and DOI implementing 
regulations (43 CFR part 2), 30 CFR 556.104, Information collection and 
proprietary information, and 30 CFR 550.197, Data and information to be 
made available to the public or for limited inspection.
    In addition, the PRA requires agencies to estimate the total annual 
reporting and recordkeeping non-hour cost burden resulting from the 
collection of information, and we solicit your comments on this item. 
For reporting and recordkeeping only, your response should split the 
cost estimate into two components: (1) total capital and startup cost 
component and (2) annual operation, maintenance, and purchase of 
service component. Your estimates should consider the cost to generate, 
maintain, and disclose or provide the information. You should describe 
the methods you use to estimate major cost factors, including system 
and technology acquisition, expected useful life of capital equipment, 
discount rate(s), and the period over which you incur costs. Generally, 
your estimates should not include equipment or services purchased: (1) 
before October 1, 1995; (2) to comply with requirements not associated 
with the IC; (3) for reasons other than to provide information or keep 
records for the Government; or (4) as part of customary and usual 
business or private practices.
    As part of our continuing effort to reduce paperwork and respondent 
burdens, we invite the public and other Federal agencies to comment on 
any aspect of this IC, including:
    (1) Whether the collection of information is necessary, including 
whether the information will have practical utility;
    (2) The accuracy of our estimate of the burden for this collection 
of information;
    (3) Ways to enhance the quality, utility, and clarity of the 
information to be collected; and
    (4) Ways to minimize the burden of the collection of information on 
respondents.
    Send your comments and suggestions on this IC by the date indicated 
in the DATES section to the Desk Officer for the Department of the 
Interior at OMB-OIRA at (202) 395-5806 (fax) or via the portal at 
RegInfo.gov (online). You may view the IC request(s) at http://www.reginfo.gov/public/do/PRAMain. Please provide a copy of your 
comments to the BOEM Information Collection Clearance Officer (see the 
ADDRESSES section). You may contact Anna Atkinson, BOEM Information 
Collection Clearance Officer at (703) 787-1025 with any questions. 
Please reference Revisions to the Requirements for Exploratory Drilling 
on the Arctic Outer Continental Shelf (OMB Control No. 1010-0151), in 
your comments.

K. National Environmental Policy Act of 1969 (NEPA)

    The Bureaus are analyzing the provisions of the proposed revisions 
in compliance with the NEPA of 1969 (NEPA) (42 U.S.C. 4321 et seq.), 
the Department of the Interior regulations on Implementation of the 
National Environmental Policy Act (43 CFR part 46), and the Department 
of the Interior Manual (516 DM 1) to determine whether they could have 
a significant

[[Page 51052]]

impact on the quality of the human environment.
    The Bureaus consider this rulemaking a major federal action under 
NEPA. The proposed revisions would expand certain drilling regulations 
to cover additional planning areas within the Alaska OCS that were not 
included in the 2016 Final Arctic Rule. Arctic OCS operations can be 
complex and involve significant challenges and operational risks during 
the drilling process. The agencies prepared an EA \29\ for the 2020 
Proposed Revisions to the Arctic Exploratory Drilling Rule, which will 
be updated and used to inform the environmental analysis for this 
rulemaking. Consistent with NEPA, the Bureaus will complete the 
analysis to ensure any potential environmental effects are considered 
prior to issuance of a final rule. Accordingly, the Bureaus will not be 
publishing a draft EA for the proposed rule.
---------------------------------------------------------------------------

    \29\ https://www.regulations.gov/document/BSEE-2019-0008-0002
---------------------------------------------------------------------------

L. Data Quality Act

    In developing this proposed rule, we did not conduct or use a 
study, experiment, or survey requiring peer review under the Data 
Quality Act (44 U.S.C. 3516 note).

M. Effects on the Nation's Energy Supply (E.O. 13211)

    Although this proposed rule is a significant regulatory action 
under E.O. 12866, it is not a significant energy action under the 
definition of that term in E.O. 13211 because:
    1. It is not likely to have a significant adverse effect on the 
supply, distribution or use of energy; and
    2. It has not been designated as a significant energy action by the 
Administrator of OIRA.
    This proposed rule would not add new regulatory compliance 
requirements that would lead to adverse effects on the Nation's energy 
supply, distribution, or use. Rather, the proposed changes would help 
reduce compliance burdens on the offshore oil and gas industry that may 
hinder the development or use of domestically produced energy 
resources. Reduced regulatory burdens would not adversely affect 
productivity, competition, or prices within the energy sector. Thus, a 
Statement of Energy Effects is not required.

N. National Technology Transfer and Advancement Act (NTTAA)

    BSEE complies with the National Technology Transfer and Advancement 
Act (NTTAA) (15 U.S.C. 3701 et seq.) requirement that ``all Federal 
agencies and departments shall use technical standards that are 
developed or adopted by voluntary consensus standards bodies, using 
such technical standards as a means to carry out policy objectives or 
activities determined by the agencies and departments.'' In addition, 
OMB Circular A-119 directs agencies to use voluntary consensus 
standards in lieu of government-unique standards except where 
inconsistent with law or otherwise impractical. This eliminates the 
cost to the government of developing its own standards and encourages 
long-term efficiency and economic competition through harmonization of 
standards. The Bureau also complies with the OFR regulations governing 
incorporation by reference (see 1 CFR part 51), including the 
requirements to seek approval by OFR to incorporate a standard by 
reference in the regulations before promulgating a final rule.

O. Clarity of Regulations

    We are required by E.O. 12866, E.O. 12988, and by the Presidential 
Memorandum of June 1, 1998, to write all rules in plain language. This 
means that each rule we publish must:
    1. Be logically organized;
    2. Use the active voice to address readers directly;
    3. Use clear language rather than jargon;
    4. Be divided into short sections and sentences; and
    5. Use lists and tables wherever possible.
    If you believe we have not met these requirements, send us comments 
by one of the methods listed in the ADDRESSES section. To better help 
us revise the rule, your comments should be as specific as possible. 
For example, you should tell us the numbers of the sections or 
paragraphs that you find unclear, which sections or sentences are too 
long, or the sections where you believe lists or tables would be 
useful.

P. Severability

    If a court holds any provisions of this final rule or their 
applicability to any persons or circumstances invalid, the remainder of 
the provisions and their applicability to other people or circumstances 
will not be affected.

List of Subjects

30 CFR Part 250

    Administrative practice and procedure, Continental shelf, 
Environmental impact statements, Environmental protection, Government 
contracts, Incorporation by reference, Investigations, oil and gas 
exploration, Penalties, Pipelines, Public lands-mineral resources, 
Public lands--rights of-way, Reporting and recordkeeping requirements, 
Sulphur.

30 CFR Part 550

    Administrative practice and procedure, Environmental impact 
statements, Environmental protection, Mineral resources, Oil and gas 
exploration, Pipelines, Reporting and recordkeeping requirements, 
Sulfur. This action by the Assistant Secretary is taken herein pursuant 
to an existing delegation of authority.

Lanny E. Erdos,
Director, Office of Surface and Mining Reclamation, and Enforcement 
Exercising Authority of the Assistant Secretary--Land and Minerals 
Management.

    For the reasons stated in the preamble, the Bureaus amend 30 CFR 
parts 250 and 550 as follows:

Title 30--Mineral Resources

CHAPTER II--BUREAU OF SAFETY AND ENVIRONMENTAL ENFORCEMENT, DEPARTMENT 
OF THE INTERIOR

SUBCHAPTER B--OFFSHORE

PART 250--OIL AND GAS AND SULPHUR OPERATIONS IN THE OUTER 
CONTINENTAL SHELF

0
1. The authority citation for 30 CFR Part 250 continues to read as 
follows:

    Authority: 30 U.S.C. 1751, 31 U.S.C. 9701, 33 U.S.C. 
1321(j)(1)(C), 43 U.S.C. 1334.

0
2. Amend Sec.  250.105 by revising the definitions of ``Arctic OCS,'' 
``Arctic OCS conditions,'' and ``Capping stack'' to read as follows:


Sec.  250.105  Definitions.

* * * * *
    Arctic OCS means the Outer Continental Shelf (OCS) oil and gas 
planning areas that include any portion of their geographic extent 
located north of 66[deg]33' N latitude.
    Arctic OCS conditions means, for the purposes of this part, the 
conditions operators can reasonably expect during operations throughout 
the Alaska OCS region. Such conditions, depending on the time of year, 
include, but are not limited to: Extreme cold, freezing spray, snow, 
extended periods of low light, strong winds, dense fog, sea ice, strong 
currents, and dangerous sea states. Remote location, relative lack of 
infrastructure, and the existence of subsistence hunting and fishing 
areas are also characteristics present throughout the Alaska OCS 
region.
* * * * *

[[Page 51053]]

    Capping stack means a mechanical device that can be installed on 
top of a subsea or surface wellhead or blowout preventer to stop the 
uncontrolled flow of fluids into the environment.
* * * * *
0
3. Amend Sec.  250.108 by:
0
a. revising paragraphs (b) and (e), and
0
b. adding a new paragraph (g) to read as follows:


Sec.  250.108   What requirements must I follow for cranes and other 
material-handling equipment?

* * * * *
    (b) All cranes installed on OCS fixed platforms or OCS artificial 
islands must be equipped with a functional anti-two block device.
* * * * *
    (e) You must maintain records specific to a crane or the operation 
of a crane installed on an OCS fixed platform or OCS artificial island, 
as follows:
    (1) Retain all design and construction records, including 
installation records for any anti-two block safety devices, for the 
life of the crane. The records must be kept at the OCS fixed platform 
or OCS artificial island.
    (2) Retain all inspection, testing, and maintenance records of 
cranes for at least 4 years. The records must be kept at the OCS fixed 
platform or OCS artificial island.
    (3) Retain the qualification records of the crane operator and all 
rigger personnel for at least 4 years. The records must be kept at the 
OCS fixed platform or OCS artificial island.
* * * * *
    (g) All cranes positioned on artificial islands on the Alaska OCS 
must meet the requirements of ASME B30.5-2021 (incorporated by 
reference, see Sec.  250.198).
0
4. Amend Sec.  250.170 by adding a new paragraph (f) to read as 
follows:


Sec.  250.170  How long does a suspension last?

* * * * *
    (f) For unitized leases in the Alaska OCS Region, Sec.  250.170(a) 
does not apply. The Regional Supervisor determines the length of the 
suspension needed to complete continuing development obligations 
justified by the lessee to ensure the maximum economic recovery of 
unitized OCS lease resources to BSEE's satisfaction.
0
5. Amend Sec.  250.171 by revising paragraphs (d) and (e) and adding a 
new paragraph (f) to read as follows:


Sec.  250.171  How do I request a suspension?

* * * * *
    (d) A commitment to production (SOP only and not applicable to 
unitized Alaska OCS leases);
    (e) The service fee listed in Sec.  250.125 of this subpart; and
    (f) For unitized Alaska OCS leases, as applicable:
    (1) A commitment to complete the initial development obligations 
identified in your unit agreement or otherwise approved by the Regional 
Supervisor, including, at a minimum, the producible well required by 
paragraph (c) of this section; or
    (2) A commitment to complete one or more continuing development 
obligations which the Regional Supervisor agrees is necessary to 
properly develop the lease(s).
0
6. Amend Sec.  250.174 by adding a new paragraph (e) to read as 
follows:


Sec.  250.174  When may the Regional Supervisor grant or direct an SOP?

* * * * *
    (e) For units on the Alaska OCS, if it will allow you time to 
complete your initial development obligations, or one or more 
continuing development obligations.
0
7. Amend Sec.  250.175 by adding a new paragraph (d) to read as 
follows:


Sec.  250.175   When may the Regional Supervisor grant an SOO?

* * * * *
    (d) For leases or units on the Alaska OCS, you may request, and the 
Regional Supervisor may grant, an SOO when you have conducted 
leaseholding operations during the drilling season immediately 
preceding the period for which you are seeking a suspension, and you 
satisfy one of the following conditions:
    (1) You are conducting drilling operations from a Mobile Offshore 
Drilling Unit (MODU), but you are not able to safely continue 
leaseholding operations due to the presence of seasonal ice;
    (2) You are conducting drilling operations from an artificial 
gravel island or a gravity-based structure, but you are not able to 
safely continue leaseholding operations due to temporary seasonal 
restrictions in your approved oil spill response plan; or
    (3) You are conducting drilling operations from an artificial ice 
island, but you are not able to safely continue leaseholding operations 
due to seasonal temperature changes.
0
8. Amend Sec.  250.198 by revising paragraph (e)(2)(i)(HH) and adding a 
new paragraph (f)(4) to read as follows:


Sec.  250.198  Documents incorporated by reference.

* * * * *
    (e) * * *
    (2) * * *
    (i) * * *
    (HH) API RP 17H, Remotely Operated Tools and Interfaces on Subsea 
Production Systems, Second Edition, June 2013; Errata, January 2014; 
incorporated by reference at Sec. Sec.  250.472(a)(3) and 250.734(a);
* * * * *
    (f) * * *
    (4) ASME B30.5-2021, Mobile and Locomotive Cranes--Safety Standard 
for Cableways, Cranes, Derricks, Hoists, Hooks, Jacks, and Slings; 2021 
Edition, December 17, 2021; incorporated by reference at Sec.  
250.108(g).
0
9. Amend Sec.  250.300 by revising paragraphs (b)(1) and (b)(2) to read 
as follows:


Sec.  250.300   Pollution prevention.

* * * * *
    (b)(1) The District Manager may restrict the rate of drilling fluid 
discharges or prescribe alternative discharge methods. The District 
Manager may also restrict the use of components that could cause 
unreasonable degradation to the marine environment. No petroleum-based 
substances, including diesel fuel, may be added to the drilling mud 
system without prior approval of the District Manager. For Arctic OCS 
exploratory drilling, you must capture all petroleum-based mud to 
prevent its discharge into the marine environment.
    (2) You must obtain approval from the District Manager of the 
method you plan to use to dispose of drill cuttings, sand, and other 
well solids. For Arctic OCS exploratory drilling, you must capture all 
cuttings from operations that use petroleum-based mud to prevent their 
discharge into the marine environment.
* * * * *
0
10. Remove and reserve Sec.  250.452.


Sec. Sec.  250.440-250.452   [Reserved]

0
11. Amend Sec.  250.470 by:
0
a. revising paragraphs (b)(11) and (b)(12), and adding new paragraph 
(b)(13),
0
b. revising paragraph (f)(3), and
0
c. adding a new paragraph (h) to read as follows:


Sec.  250.470   What additional information must I submit with my APD 
for Arctic OCS exploratory drilling operations?

* * * * *
    (b) * * *
    (11) Pick up the oil spill prevention booms and equipment;
    (12) Offload the drilling crew; and
    (13) Recover the subsea isolation device (SSID), where applicable.
* * * * *

[[Page 51054]]

    (f) * * *
    (3) Where applicable, proof of contracts or membership agreements 
with cooperatives, service providers, or other contractors who will 
provide you with the necessary SCCE or related supplies and services if 
you do not possess them. The contract or membership agreement must 
include provisions for ensuring the availability of the personnel and/
or equipment on a 24-hour per day basis while you are drilling below or 
working below the surface casing, or before the last casing point prior 
to penetrating a zone capable of flowing hydrocarbons in measurable 
quantities, as approved by the Regional Supervisor;
* * * * *
    (h) If you plan to install a subsea isolation device (SSID) on your 
well in accordance with Sec.  250.472(a), a certification signed by a 
registered professional engineer that your SSID and well design 
(including casing and cementing program) meet the design requirements 
in Sec.  250.472 and the design is appropriate for the purpose for 
which it is intended under expected wellbore conditions.
0
12. Amend Sec.  250.471 by revising paragraphs (a), (a)(2), (a)(3), and 
(b) to read as follows:


Sec.  250.471  What are the requirements for Arctic OCS source control 
and containment?

* * * * *
    (a) If you use a MODU, you must have access to the SCCE as 
described in paragraphs (a)(1) through (a)(3) of this section capable 
of controlling and containing the flow from an out-of-control well when 
drilling below or working below the surface casing. However, the 
Regional Supervisor will approve delaying access to your SCCE until 
your operations have reached the last casing point prior to penetrating 
a zone capable of flowing hydrocarbons in measurable quantities, 
provided that you submit adequate documentation (such as, but not 
limited to, risk modeling data, off-set well data, analog data, seismic 
data), with your APD, demonstrating that you will not encounter any 
abnormally high-pressured zones or other geologic hazards. The Regional 
Supervisor will base the determination on any documentation you provide 
as well as any other available data and information.
* * * * *
    (2) A cap and flow system that can be deployed as directed by the 
Regional Supervisor pursuant to paragraph (h) of this section. The cap 
and flow system must be designed to capture at least the amount of 
hydrocarbons equivalent to the calculated worst case discharge rate 
referenced in your BOEM-approved EP; and
    (3) A containment dome that can be deployed as directed by the 
Regional Supervisor pursuant to paragraph (h) of this section. The 
containment dome must have the capacity to pump fluids without relying 
on buoyancy.
    (b) You must conduct a monthly stump test of dry-stored capping 
stacks.
* * * * *
0
13. Revise Sec.  250.472 and the section heading to read as follows:


Sec.  250.472  What are the additional well control equipment or relief 
rig requirements for the Arctic OCS?

    If you will be conducting exploratory drilling operations from a 
Mobile Offshore Drilling Unit (MODU), you must either use a Subsea 
Isolation Device (SSID) or have access to a relief rig as an additional 
means to secure the well in the event of a loss of well control. If you 
satisfy this requirement through use of an SSID, you must meet the 
requirements in paragraph (a) of this section. If you satisfy this 
requirement through maintaining access to a relief rig, you must meet 
the requirements in paragraph (b) of this section.
    (a) Subsea Isolation Device (SSID). If you use an SSID to satisfy 
this requirement, your SSID and well (including the casing and 
cementing program) must be designed to achieve a full shut-in, without 
causing an underground blowout or having reservoir fluids broach to the 
seafloor. Your SSID must also meet the following requirements:

                        Table 1 to Paragraph (a)
------------------------------------------------------------------------
                             Your SSID must:
-------------------------------------------------------------------------
(1) Be designed to:
    (i) Close and seal the wellbore, independent of the BOP;
    (ii) Perform under the maximum environmental and operational
     conditions anticipated to occur at the well;
    (iii) Be left on the wellhead in the event the drilling rig is moved
     off location (e.g., due to storms, ice incursions, or emergency
     situations);
    (iv) Preserve isolation through the winter season without relying on
     the elastomer elements of the rams (e.g., by using a well cap) and
     allow re-entry during the following open-water season; and
    (v) In the event of a loss of well control, preserve isolation until
     other methods of well intervention may be completed, including the
     need to drill a relief well.
(2) Include the following equipment:
    (i) Dual shear rams, including ram locks; one ram must be a blind
     shear ram;
    (ii) A redundant control system, independent from the BOP control
     system, that includes ROV capabilities and a control station on the
     rig;
    (iii) Independent, dedicated subsea accumulators with the capacity
     to function all components of the SSID; and
    (iv) Two side inlets for intervention; one inlet must be located
     below the lowest ram on the SSID.
(3) Include ROV intervention equipment and capabilities. Your ROV
 equipment and capabilities must:
    (i) Be able to close each shear ram under MASP conditions, as
     defined for the operation;
    (ii) Include an ROV panel that is compliant with API RP 17H
     (incorporated by reference, see Sec.   250.198);
    (iii) Meet the ROV requirements in Sec.   250.734(a)(5); and
    (iv) Have the ability to function the SSID in any environment (e.g.,
     when in a mudline cellar).
(4) Be installed:
    (i) Below the BOP;
    (ii) At or before the time that you first install your BOP; and
    (iii) To provide protection from deep ice keels, in the event it
     must remain in place over the winter season (e.g., installed in a
     mudline cellar).
(5) Be tested: According to the BOP testing requirements in Sec.
 250.737.
------------------------------------------------------------------------

    (b) Relief Rig. If you choose to satisfy this requirement by having 
access to a relief rig, you must have access to your relief rig at all 
times when you are drilling below or working below the surface casing 
during Arctic OCS

[[Page 51055]]

exploratory drilling operations. However, the Regional Supervisor will 
approve delaying access to your relief rig until your operations have 
reached the last casing point prior to penetrating a zone capable of 
flowing hydrocarbons in measurable quantities, provided that you submit 
adequate documentation (such as, but not limited to, risk modeling 
data, off-set well data, analog data, seismic data), with your APD, 
demonstrating that you will not encounter any abnormally high-pressured 
zones or other geologic hazards. The Regional Supervisor will base the 
determination on any documentation you provide as well as any other 
available data and information. Your relief rig must be different from 
your primary drilling rig, staged in a location, such that it would be 
available to arrive on site, drill a relief well, kill and abandon the 
original well, and abandon the relief well no later than 45 days after 
the loss of well control.
    (1) Your relief rig must comply with all other requirements of this 
part pertaining to drill rig characteristics and capabilities, and it 
must be able to drill a relief well under anticipated Arctic OCS 
conditions.
    (2) In the event of a loss of well control, the Regional Supervisor 
may direct you to drill a relief well using a relief rig that is able 
to kill and permanently plug an out-of-control well as described in 
your APD.
0
14. Amend Sec.  250.720 by revising paragraph (c)(2) to read as 
follows:


Sec.  250.720  When and how must I secure a well?

* * * * *
    (c) * * *
    (2) In areas of ice scour, you must use a well mudline cellar or an 
equivalent means of minimizing the risk of damage to the well head and 
wellbore. You may request, and the Regional Supervisor may approve, an 
alternate procedure or equipment in accordance with Sec. Sec.  250.141 
and 250.408.
* * * * *
0
15. Amend Sec.  250.724 by revising the introductory text of paragraph 
(a) to read as follows:


Sec.  250.724  What are the real-time monitoring requirements?

    (a) When conducting well operations with a subsea BOP or with a 
surface BOP on a floating facility, when operating in an high pressure 
high temperature (HPHT) environment, or when engaged in Arctic OCS 
drilling operations, you must gather and monitor real-time well data 
using an independent, automatic, and continuous monitoring system 
capable of recording, storing, and transmitting data regarding the 
following:
* * * * *

PART 254--OIL-SPILL RESPONSE REQUIREMENTS FOR FACILITIES LOCATED 
SEAWARD OF THE COAST LINE

0
16. The authority citation for 30 CFR part 254 continues to read as 
follows:

    Authority:  33 U.S.C. 1321.

0
17. Amend Sec.  254.6 by revising the definition of ``Arctic OCS'' to 
read as follows:


Sec.  254.6  Definitions.

* * * * *
    Arctic OCS means the Outer Continental Shelf (OCS) oil and gas 
planning areas that include any portion of their geographic extent 
located north of 66[deg]33' N latitude.
* * * * *
0
18. Amend Sec.  254.70 by revising paragraph (c) to read as follows:


Sec.  254.70  What are the additional requirements for facilities 
conducting exploratory drilling from a MODU on the Arctic OCS?

* * * * *
    (c) Undergo plan-holder review prior to handling, storing, or 
transporting oil in connection with seasonal exploratory drilling 
activities, and all resulting modifications must be submitted to the 
Chief of the Oil Spill Preparedness Division (OSPD). If this review 
does not result in modifications, you must inform the Chief of the OSPD 
in writing that there are no changes. The requirements of this 
paragraph (c) are in lieu of the requirements in Sec.  254.30(a).

CHAPTER V--BUREAU OF OCEAN ENERGY MANAGEMENT, DEPARTMENT OF THE 
INTERIOR

SUBCHAPTER B--OFFSHORE

PART 550--OIL AND GAS AND SULFUR OPERATIONS IN THE OUTER 
CONTINENTAL SHELF

0
19. The authority citation for 30 CFR part 550 continues to read as 
follows:

    Authority: 30 U.S.C. 1751; 31 U.S.C. 9701; 43 U.S.C. 1334.

0
20. Amend Sec.  550.105 by revising the definitions of ``Arctic OCS'' 
and ``Arctic OCS conditions'' to read as follows:


Sec.  550.105   Definitions.

* * * * *
    Arctic OCS means the Outer Continental Shelf (OCS) oil and gas 
planning areas that include any portion of their geographic extent 
located north of 66[deg]33' N latitude.
    Arctic OCS conditions means, for the purposes of this part, the 
conditions operators can reasonably expect during operations throughout 
the Alaska OCS region. Such conditions, depending on the time of year, 
include, but are not limited to: Extreme cold, freezing spray, snow, 
extended periods of low light, strong winds, dense fog, sea ice, strong 
currents, and dangerous sea states. Remote location, relative lack of 
infrastructure, and the existence of subsistence hunting and fishing 
areas are also characteristics present throughout the Alaska OCS 
region.
* * * * *
0
21. Amend Sec.  550.200 by revising paragraph (a) by removing the 
acronym ``IOP means Integrated Operations Plan.''
0
22. Remove and reserve Sec.  550.204.


Sec. Sec.  550.204-550.205  [Reserved]

0
23. Amend Sec.  550.206 by revising the section heading, paragraph (a) 
introductory text, and paragraphs (a)(3), (b), and (c) to read as 
follows:


Sec.  550.206  How do I submit the EP, DPP, or DOCD?

    (a) Number of copies. When you submit an EP, DPP, or DOCD to BOEM, 
you must provide:
* * * * *
    (3) Any additional copies that may be necessary to facilitate 
review of the EP, DPP, or DOCD by certain affected States and other 
reviewing entities.
    (b) Electronic submission. You may submit part or all of your EP, 
DPP, or DOCD and its accompanying information electronically. If you 
prefer to submit your EP, DPP, or DOCD electronically, ask the Regional 
Supervisor for further guidance.
    (c) Withdrawal after submission. You may withdraw your proposed EP, 
DPP, or DOCD at any time for any reason. Notify the appropriate BOEM 
Regional Office that you are withdrawing your proposed EP, DPP, or 
DOCD.
0
24. Amend Sec.  550.211 by redesignating existing paragraphs (b), (c), 
and (d) as (c), (d), and (e), and by adding new paragraph (b) to read 
as follows:


Sec.  550.211   What must the EP include?

* * * * *
    (b) A general description of how you will comply with Sec. Sec.  
250.1909-1914 of this title to ensure operational safety while working 
in Arctic OCS conditions.
* * * * *
0
25. Amend Sec.  550.220 by revising paragraphs (c)(1) and (4), and 
(c)(6)(ii) to read as follows:

[[Page 51056]]

Sec.  550.220  If I propose activities in the Alaska OCS Region, what 
planning information must accompany the EP?

* * * * *
    (c) * * *
    (1) A description of how your exploratory drilling will be designed 
and conducted, (including how all vessels and equipment will be 
designed, built, and/or modified) to account for Arctic OCS conditions 
and how such activities will be managed and overseen as an integrated 
endeavor. In your description of vessel modifications, describe any 
approvals from the flag state and the vessel classification society, 
including any allowances or limitations placed upon the vessel by the 
classification society and/or the United States Coast Guard.
* * * * *
    (4) Additional well control equipment requirements for the Arctic 
OCS. A general description of how you will comply with Sec.  250.472 of 
this title.

* * * * *
    (6) * * *
    (ii) The termination of drilling operations consistent with the 
well control planning requirements under Sec.  250.472 of this title.

[FR Doc. 2026-15953 Filed 8-5-26; 8:45 am]
BILLING CODE 4310-MR-P