Clean Air Act
Clean Water Act
Safe Drinking Water Act
Resource Conservation and Recovery Act
Comprehensive Environmental Response, Compensation and Liability Act
Emergency Planning and Community Right-to-Know Act
Pollution Prevention Act
Toxic Substances Control Act
Federal Insecticide, Fungicide, and Rodenticide Act
U.S. EPA MAJOR ENVIRONMENTAL LAW SUMMARIES AND FULL TEXTS
Clean Air Act Amendments of 1990
The Clean Air Act Amendments of 1990 were signed into
law on November 15, 1990 by former President Bush. Costs
for industry to comply with the 1990 Amendments are
estimated between $25 and $50 billion each year. Prior to
the 1990 Amendments, there were fewer than 20 regulated
pollutants. Currently, the Clean Air Act regulates more
than 380 pollutants. These are listed below:
- Criteria pollutants--SO2, NOx, CO, VOCs, PM-10, Lead
- New Source Performance Standards (NSPS) pollutants, including
H2S, TRS, H2SO4, Mist, Fluorides, TSP
- 189 Hazardous Air Pollutants (HAPs)
- 139 Extremely Hazardous Substances (final) under the Accidental
Release Program ammonia, hydrogen sulfide, bromine, sulfur trioxide, others to be promulgated
- Ozone depleting substances (Class I and II), including CFCs, Halons, HCFCs,
Carbon Tetrachloride (also HAP), Methyl Chloroform (also HAP), and Methyl Bromide.
All the federally applicable requirements under the
1990 Amendments (nonattainment, HAPs, stratospheric
ozone, acid rain, enforcement) are integrated under the
federal operating permit under Title V. The permit rule
was issued on July 21, 1992 (57 Federal Register 32250)
and includes minimum requirements for state programs.
Once state plans are approved, companies have one year to
submit their permit applications.
Under the Title V operating permit program, all air
requirements for a facility will be included in one
permit document. The program will be administered by
state and local permitting agencies. Eventually, nearly
all sources, including minor emissions sources, will be
required to apply for and obtain permits under the new
program. At a minimum, states must include the following
requirements in their programs: permit applications,
emissions monitoring data, compliance certification,
permit fees, personnel and funding, and permitting
authority.
Go to EPA Office of Air and Radiation
Go to Plain English Guide to the Clean Air Act
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Resource Conservation and Recovery Act
The Resource Conservation and Recovery Act of 1976
(RCRA) directed EPA to establish regulations that would
manage the generation, transport, treatment, storage, and
disposal of hazardous wastes while simultaneously
ensuring the protection of human health and the
environment. The statute addresses the potential for
contamination from the point of waste generation to the
point of final disposal or destruction.
RCRA has been amended several times, most importantly
by the Hazardous and Solid Waste Amendments of 1984
(HSWA). Under HSWA, RCRA became focused on waste
minimization and a national land disposal ban program. In
order to accomplish these goals, the following objectives
were set forth:
- Proper hazardous waste management
- Waste minimization
- Reduction in land disposal practices
- Prohibition of open dumping
- Encouragement of state authorized RCRA programs
- Encouragement of research and development
- Encouragement of recovery, recycling, and treatment alternatives.
RCRA regulations first targeted large companies, which
generate the greatest portion of hazardous waste.
Business establishments producing less than 2,200 pounds
of hazardous waste in a calendar month (known as small
quantity generators) were exempted from most of the
hazardous waste management regulations published by EPA
in May 1980. Under HSWA, however, EPA was directed by
Congress to establish new requirements that would bring
small quantity generators (those who generate between 220
and 2,200 pounds of hazardous waste per calendar month)
into the hazardous waste regulatory system. EPA issued
final regulations for small quantity generators on March
24, 1986.
RCRA's "cradle to grave" rules require small
businesses that generate hazardous waste to follow
stringent requirements for storage, recordkeeping,
pre-transportation, and emergency response and
preparedness.
Subtitle I of the HSWA amendments addressed the
problem of leaking UST systems. Subtitle I includes
requirements for tank notification interim prohibition,
new tank standards, reporting and recordkeeping
requirements for existing tanks, corrective action,
financial responsibility, compliance monitoring and
enforcement, and approval of state programs. In 1986,
Congress passed the Superfund Amendments Reauthorization
Act which amended Subtitle I to provide federal funds for
corrective actions on petroleum releases from UST
systems.
Go to EPA Office of Solid Waste and Emergency Response
Go to Managing
Your Hazardous Waste: A Guide for Small Businesses
Go to EPA Office of Underground Storage Tanks
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Comprehensive Environmental Response, Compensation and Liability Act
The Comprehensive Environmental Response, Compensation
and Liability Act (CERCLA) established a federal
"Superfund" to clean up uncontrolled or
abandoned hazardous waste sites as well as accidents,
spills, and other emergency releases of pollutants and
contaminants into the environment. The focus is primarily
on sites that were contaminated in the past, rather than
those currently being contaminated. The latter sites are
regulated under RCRA. Under CERCLA, a system was
established for obtaining funds from potentially
responsible parties (PRPs).
Under CERCLA, anyone who has had any involvement with
a hazardous waste site targeted by CERCLA could be
considered a PRP and could be held responsible for all or
part of the cleanup expense. Site operators, as well as
hazardous waste transporters and shippers, may be
required later to contribute thousands of dollars for
cleanup of the disposal site used. Small businesses who
ship wastes off-site for proper and legal disposal may be
wise to verify the legitimacy and track record of
transporters and destination disposal sites used.
Go to EPA Office of Solid Waste and Emergency Response
Go to One Cleanup
Program
Go to Superfund Information
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Emergency Planning and Community Right-to-Know Act
On October 17, 1986, the Superfund Amendments and
Reauthorization Act (SARA) was signed into law. Title III
of SARA is also known as the Emergency Planning and
Community Right-to-Know Act (EPCRA). Title III has four
major parts:
- Emergency planning
- Emergency notification
- Community right-to-know
- Toxic chemical release reporting.
EMERGENCY PLANNING
The emergency planning requirements are designed to
develop state and local government emergency response and
preparedness capabilities through better coordination and
planning, especially within the local community.
Facilities subject to emergency planning requirements
include those with listed extremely hazardous chemicals
on-site in a quantity equal to or greater than the
established threshold planning quantity (TPQ). These
facilities are to notify the state and local emergency
planning commissions that they are subject to the
provisions of EPCRA.
EMERGENCY NOTIFICATION
Facilities that have an unplanned release of any
listed extremely hazardous substance or of CERCLA
hazardous substances exceeding their reportable quantity
must notify the state and local emergency planning
commissions immediately.
COMMUNITY RIGHT-TO-KNOW
The Community Right-to-Know provisions of SARA Title
III are intended to increase the public's knowledge and
access to information regarding the presence of hazardous
chemicals in the community and releases of these
chemicals into the environment.
TOXIC CHEMICAL RELEASE REPORTING
Section 313 of EPCRA requires facilities to submit
Toxic Chemical Release Forms (Form R) for specified
chemicals. Owners and operators of certain facilities
that process, manufacture, or otherwise use a listed
toxic chemical in amounts exceeding threshold quantities
must report emissions of such chemicals on an annual
basis.
Go to EPA Office of Pollution Prevention and Toxics
Go to Toxics Release Inventory web page
Go to
TRI-ME, EPA TRI
Reporting Software
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Pollution Prevention Act
The Pollution Prevention Act of 1990
(PPA) was designed to promote source reduction of
individual pollution sources through EPA regulations,
grants to states for technical assistance programs, and
establishment of a source reduction clearinghouse. This
is in contrast with other laws that require the
treatment, disposal, or recycling of waste after it has
been produced.
Go to EPA P2 Home - Pollution
Prevention Pays
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Toxic Substances Control Act
The Toxic Substances Control Act (TSCA) was enacted on
October 11, 1976. TSCA now contains four titles:
- Title I--the Control of Toxic Substances
- Title II--the Asbestos Hazard Emergency Response Act
- Title III--the Indoor Radon Abatement Act
- Title IV--the Lead-Based Paint Exposure Reduction Act.
Under Title I, all chemical substances entering the
U.S. (through domestic manufacture or import) are
regulated based on health and environmental effects. The
statute focuses on chemical raw materials rather than
wastes, effluents, or emissions. Authority granted by the
Act includes testing and development of chemicals at any
stage--from manufacture through disposal--whether the
chemicals pose a threat through direct product exposure
or contamination of air, water, or soil.
TSCA is often regarded as a regulatory program
affecting chemical manufacturers only. However, many
provisions apply to a far broader group of industries.
TSCA regulates the use of the following classes of
chemicals:
- Polychlorinated biphenyls (PCBs)
- Asbestos
- Chlorofluorocarbons (CFCs)
In addition, TSCA provisions require manufacturers to
provide EPA with data prior to manufacturing or importing
a chemical. These "premanufacture notices" are
designed to minimize the potential for a hazardous
chemical to be improperly used either in manufacturing or
by consumers.
Go to EPA Office of Pollution Prevention and Toxics
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Clean Water Act
WASTEWATER
Under the Clean Water Act (CWA) (1977 Clean Water Act
Amendments to the 1972 Federal Water Pollution Control
Act), permits must be obtained for wastewater discharges
from municipal, industrial, commercial, and certain
agricultural sources. This is one of the most complex
compliance issues facing small businesses. If your
facility discharges directly to any surface waters, you
must obtain a National Pollutant Discharge Elimination
System (NPDES) permit or be clearly exempted. A permit
specifies the quantity and quality of all discharges. It
contains effluent limitations and monitoring and
reporting requirements. Permits are required to be
renewed at least once every five years.
NPDES permits are not required if your facility
discharges wastewater to a municipal sewer system for
treatment at a publicly owned treatment works (POTW).
However, these "indirect discharges" are
regulated by pretreatment regulations for some industry
categories under the CWA. These pretreatment requirements
are intended to control concentrations of certain
pollutants found in industrial wastewater that, if not
controlled, may upset the POTW's treatment processes.
The effluent limitation guidelines for each industrial
category are based upon the degree of reduction of a
pollutant that can be achieved through the application of
various levels of technology (Best Practical Technology,
Best Available Technology, and Best Conventional
Technology).
STORMWATER
In 1987, the CWA was amended to establish a
comprehensive framework for addressing stormwater
discharges under the NPDES program. In November 1990, EPA
published regulations outlining NPDES permit application
requirements for stormwater discharges associated
with industrial activity (40 CFR Part 122).
Industries within certain industrial sectors that
discharge stormwater associated with industrial activity
must obtain an individual stormwater permit or obtain
coverage under a promulgated stormwater general permit.
In September 1995, EPA published the industry-specific
Multi-Sector General Permit to provide NPDES permit
coverage to eligible facilities within 29 different
industrial sectors.
Go to EPA Office of Water
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Safe Drinking Water Act
The 1974 Safe Drinking Water Act (SDWA) and 1986 SDWA
Amendments established and strengthened drinking water
regulations to protect public health and welfare. Under
the 1986 SDWA Amendments, EPA established National
Primary Drinking Water Regulations, including Maximum
Contaminant Levels (MCLs), for contaminants in drinking
water that may cause any adverse effects on the health of
persons and that are known or anticipated to occur in
public water systems.
On August 6, 1996, President Clinton signed the SDWA
Amendments of 1996. These 1996 Amendments emphasize
risk-based standard setting, monitoring relief for public
water supply systems, small water supply system
flexibility, and community-empowered source water
protection. Major new activities mandated by the 1996
Amendments include a multi-billion dollar Drinking Water
State Revolving Fund, consumer awareness, small systems
technical assistance and technology development, water
system capacity assurance, and operator certification
programs.
Go to EPA Office of Groundwater and Drinking Water
Go to Safe Drinking Water Act
Go to Safe Drinking Water Act Amendments of 1996
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Federal Insecticide, Fungicide, and Rodenticide Act
The Federal Insecticide, Fungicide, and Rodenticide
Act (FIFRA) is the primary federal statute that governs
pesticides, fungicides, and rodenticides in the U.S. It
is focused on registration and classification of these
substances. In addition to registration requirements, the
statute mandates application and use requirements.
Through later amendments to the law, users are now
required to take exams for certification as applicators
of pesticides. All pesticides used in the U.S. must be
registered by EPA. Registration ensures that pesticides
will be properly labeled and that in accordance with
specifications, will not cause unreasonable harm to the
environment.
Go to EPA Office of Pesticide Programs
Go to Pesticide Laws, Regulations, and Policies
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Last Updated
October 26, 2007