1018-0070 Ssa

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Incidental Take of Marine Mammals During Specified Activities, 50 CFR 18.27 and 50 CFR 18, Subparts I and J

OMB: 1018-0070

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Supporting Statement A for

Paperwork Reduction Act Submission


OMB Control Number 1018-1070


Incidental Take of Marine Mammals During Specified Activities Applications

50 CFR 18.27 and 50 CFR Part 18, Subparts I and J



Terms of Clearance. None.



1. Explain the circumstances that make the collection of information necessary.


The Marine Mammal Protection Act (MMPA) of 1972, as amended (16 U.S.C. 1361 et seq.) imposed, with certain exceptions, a moratorium on the taking of marine mammals. Section 101(a)(5)(A) of the MMPA directs the Secretary of the Interior (Secretary) to allow, upon request by citizens of the United States, the taking of small numbers of marine mammals incidental to specified activities (other than commercial fishing) if the Secretary makes certain findings and prescribes specific regulations that, among other things, establish permissible methods of taking. Once we (Fish and Wildlife Service) issue specific regulations, applicants seeking to conduct activities must request a Letter of Authorization (LOA) for the specific activity and submit onsite monitoring reports and a final report of the activity to the Secretary.


Procedural regulations outlining the requirements for the submission of a request are contained in 50 CFR 18.27. Specific regulations governing authorized activities are contained in 50 CFR 18, subparts I (Chukchi Sea) and J (Beaufort Sea).


The information collection requirements for the incidental take of marine mammals in the Chukchi Sea (50 CFR 18, subpart I) are currently approved under Office of Management and Budget (OMB) Control No. 1018-0139, which expires June 30, 2011. Because those information collection requirements are almost identical to those for incidental take in the Beaufort Sea, this information collection request proposes to consolidate both collections under OMB Control No. 1018-0070. If OMB approves this request, we will discontinue OMB Control No. 1018-0139.


2. Indicate how, by whom, how frequently, and for what purpose the information is to be used. If the information collected will be disseminated to the public or used to support information that will be disseminated to the public, explain how the collection complies with all applicable Information Quality Guidelines.


We will use the information we collect to verify the finding required to issue incidental take regulations, to decide if we should issue an LOA, and, if issued, what conditions should be contained in the LOA. In addition, we will analyze the information to determine impacts to the marine mammals and the availability of those marine mammals for subsistence purposes of Alaska Natives.


This is a nonform collection. Applicants can find requirements in 50 CFR 18, subparts I and J. 50 CFR 18.27(d) requires that the applicant provide information on the activity as a whole, which includes, but is not limited to, an assessment of total impacts by all persons conducting the activity. These regulations provide the applicant with a detailed description of information that we need to evaluate the proposed activity and determine whether or not to issue specific regulations and, subsequently, LOAs. The information includes:


  • Description of the activities or class of activities that can be expected to result in incidental taking of marine mammals.

  • Dates and duration of such activity.

  • Specific geographical region where the activity will occur.


Based on the best available scientific information, each applicant must:


  • Estimate the species and numbers of marine mammals likely to be incidentally taken by age, sex, and reproductive condition.

  • Estimate the type of taking (e.g., disturbance by sound, injury, etc.) as well as the number of times each type of taking is likely to occur.

  • Describe the status, distribution, and seasonal distribution (when applicable) of the affected species or stocks likely to be affected by such activities.

  • Provide anticipated impacts of an activity on marine mammal habitats.

  • Discuss the likelihood of restoration of affected habitat.

  • Describe the Impact of habitat loss or modification on the marine mammal population involved.


This information is necessary so that we can anticipate the impact of the activity on the species or stocks and on the availability of the species or stocks for subsistence uses. Under requirements of the MMPA, we cannot authorize a take unless the total of all takes will have a negligible impact on the species or stocks and, where appropriate, will not have an unmitigable adverse impact on the availability of the species of stocks for subsistence uses.


Applicants must provide information on the availability and feasibility (economic and technological) of equipment, methods, and manner of conducting the activity or other means of affecting the least practicable adverse impact upon the affected species or stocks, their habitat, and, where relevant, their availability for subsistence uses, paying particular attention to rookeries, mating grounds, and areas of similar significance. This information is necessary to ensure that all available means for minimizing the incidental take associated with a specific activity are considered by the applicant. The MMPA requires that we specify the means of affecting the least practicable impact on the species or stock, its habitat, and its availability for subsistence uses.


We ask applicants to suggest means of:


  • Accomplishing the necessary monitoring and reporting that will result in increased knowledge of the species through analysis of the level of taking or impacts.

  • Minimizing burdens by coordinating such reporting requirements with other schemes already applicable to persons conducting such activity.

  • Encouraging and coordinating research opportunities, informing us of plans and activities related to reducing incidental taking from such specified activities, and evaluating their effects.


These requirements ensure that applicants are aware of related monitoring and research efforts that can be applied to their situation, and that the monitoring and reporting that we impose are the least burdensome to the applicant.


The regulations also require that each holder of an LOA submit a monitoring report indicating the nature and extent of all takes of marine mammals that occurred incidentally to the specific activity. Since the inception of incidental take regulations for polar bears (Ursus maritimus) and Pacific walruses (Odobenus rosmarus divergens), we have required monitoring and reporting during oil and gas industry activities. The purpose of monitoring and reporting requirements is to assess the effects of industrial activities on polar bears and walrus to ensure that take is minimal to polar bear and walrus populations, and to detect any unanticipated effects of take. The monitoring focus has been site-specific, area-specific, or population-specific. Site-specific monitoring measures animal-human encounter rates, outcomes of encounters, and trends of animal activity in the industrial areas, such as polar bear numbers, behavior, and seasonal use. Area-specific monitoring includes analyzing animal spatial and temporal use trends, sex/age composition, and risk assessment to unpredictable events, such as oil spills. Population-specific monitoring includes investigating species life history parameters, such as population size, recruitment, survival, physical condition, status, and mortality.


3. Describe whether, and to what extent, the collection of information involves the use of automated, electronic, mechanical, or other technological collection techniques or other forms of information technology; e.g., permitting electronic submission of responses, and the basis for the decision for adopting this means of collection. Also describe any consideration of using information technology to reduce burden [and specifically how this collection meets GPEA requirements.].


Applicants may submit information via email or in an electronic format, thus, reducing the burden on the applicant of having to provide hard copies of reports or other documents.


4. Describe efforts to identify duplication.


Under the MMPA, we share responsibilities with the National Marine Fisheries Service, National Oceanic and Atmospheric Administration, U.S. Department of Commerce (NOAA-Fisheries), with each agency being responsible for different species. While both agencies may have similar regulations, they apply to different species of marine mammals. Therefore, information collection is not duplicated.


When available, we provide information from other sources to prospective applicants and encourage them to use it to supplement, or even supplant, their own information collection efforts, thereby reducing their information collection burden.


5. If the collection of information impacts small businesses or other small entities, describe the methods used to minimize burden.


This collection of information will not impact small businesses or other small entities. The regulations are specific to oil and gas industry exploration, development, and production activities in the Beaufort Sea and adjacent northern coast of Alaska and to oil and gas exploration activities in the Chukchi Sea and adjacent western coast of Alaska. As such, information collection will be conducted by companies primarily focused on oil and gas exploration, development, and production, depending on the area. These companies are not identified as small businesses or small entities.


6. Describe the consequence to Federal program or policy activities if the collection is not conducted or is conducted less frequently, as well as any technical or legal obstacles to reducing burden.


The MMPA requires that we determine what impacts proposed activities will have on marine mammals. The MMPA requires that a determination of negligible impact to the species or stock be made prior to issuance of regulations. Also, a determination must be made that the activity will not have an unmitigable adverse impact on the availability of these species for subsistence uses by Alaska Natives. If we do not collect the information described in this supporting statement, we could not allow incidental taking under provisions of the MMPA and possibly the specific activity could not take place.


7. Explain any special circumstances that would cause an information collection to be conducted in a manner:

* requiring respondents to report information to the agency more often than quarterly;

* requiring respondents to prepare a written response to a collection of information in fewer than 30 days after receipt of it;

* requiring respondents to submit more than an original and two copies of any document;

* requiring respondents to retain records, other than health, medical, government contract, grant-in-aid, or tax records, for more than three years;

* in connection with a statistical survey, that is not designed to produce valid and reliable results that can be generalized to the universe of study;

* requiring the use of a statistical data classification that has not been reviewed and approved by OMB;

* that includes a pledge of confidentiality that is not supported by authority established in statute or regulation, that is not supported by disclosure and data security policies that are consistent with the pledge, or which unnecessarily impedes sharing of data with other agencies for compatible confidential use; or

* requiring respondents to submit proprietary trade secrets, or other confidential information unless the agency can demonstrate that it has instituted procedures to protect the information's confidentiality to the extent permitted by law.


Visual sightings and interactions with polar bears or Pacific walruses are not predictable. If the encounter is persistent, the respondent must contact us to report the encounter and to request our expertise in assistance. We also request that the respondent verbally report an encounter with a polar bear or a Pacific walrus at the time of occurrence and follow up with a written report. There are no other circumstances that would cause us to collect information in a manner that is inconsistent with OMB guidelines.


8. Provide the date and page number of publication in the Federal Register of the agency's notice, required by 5 CFR 1320.8(d), soliciting comments on the information collection prior to submission to OMB. Summarize public comments received in response to that notice (or in response to a PRA statement) and describe actions taken by the agency in response to these comments.


Describe efforts to consult with persons outside the agency to obtain their views on the availability of data, frequency of collection, the clarity of instructions and recordkeeping, disclosure, or reporting format (if any), and on the data elements to be recorded, disclosed, or reported. [Please list the names, titles, addresses, and phone numbers of persons contacted.]


On July 20, 2010, we published a notice in the Federal Register (75 FR 42118) informing the public of our intent to request revision of this information collection and soliciting comments for 60 days. The public comment period closed on September 20, 2010. We received one comment.


The commenter expressed opposition to authorization of activities for the oil and gas industry. We note the concerns raised by this individual; however, we do not grant authorization for industry activities. Instead, we are required under Section 101(a)(5)(A) of the MMPA to take certain actions with regard to the "incidental taking" of marine mammals that may result from specified activities. The regulations at 50 CFR 18.27(c) define incidental, but not intentional, taking as "takings which are infrequent, unavoidable, or accidental. It does not mean that the taking must be unexpected." The commenter did not address the information collection requirements, and we did not make any changes to our information collection.


In addition to the Federal Register notice, we consulted with the following individuals on: (1) whether or not the collection of information is necessary for the proper performance of our functions, including whether or not the information will have practical utility; (2) the accuracy of our estimate of the burden for this collection; (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.


Mr. Greg Horner

Umiaq

Anchorage Alaska

(907) 646-7131

Ms. Caryn Rea

ConocoPhillips Alaska, Inc.

Anchorage, Alaska

(907) 265-6515

Ms. Diane Sansone

BP Exploration (Alaska), Inc.

Anchorage, Alaska

(907) 564-4857

Ms. Julie Lina

Pioneer Natural Resources, Inc.

Anchorage, Alaska:

(907) 343-2106

Ms. Marilyn Crockett

Alaska Oil and Gas Association

Anchorage, Alaska

(907) 272-9497




Industry representatives stated that: (1) time to complete a final monitoring report has increased from 8 hours to 10 hours, and (2) number of annual responses associated with onsite monitoring and observation reports has increased to approximately 300. Based on this outreach, we adjusted our burden estimates (see item 12). BP Exploration (Alaska) confirmed that the $150 rate for consultants is current.


9. Explain any decision to provide any payment or gift to respondents, other than renumeration of contractors or grantees.


We do not make any payments or gifts to respondents.


10. Describe any assurance of confidentiality provided to respondents and the basis for the assurance in statute, regulation, or agency policy.

The information collected is a matter of public record; however, companies submit confidential geological and geophysical maps with requests to conduct geophysical seismic programs. Section 522(b)(9) of the Freedom of Information Act (5 U.S.C. 552, as amended) allows us to withhold “geological and geophysical information and data, including maps, concerning wells.” Therefore, we will not release this information in response to a FOIA request.

11. Provide additional justification for any questions of a sensitive nature, such as sexual behavior and attitudes, religious beliefs, and other matters that are commonly considered private.


We do not ask questions of a sensitive nature.


12. Provide estimates of the hour burden of the collection of information.


We estimate that up to 20 oil and gas companies will submit 352 responses totaling 1,500 annual burden hours. The hourly burdens of the collection of information for incidental take regulations are described below. Types of actions include: 1) an application for procedural regulations; 2) individual letters of authorization requests; 3) activity monitoring and observation reports; and 4) a final monitoring report.


Respondents submit applications for procedural regulations (one each for Beaufort and Chukchi Seas) every 5 years. We estimate that each application will take approximately 300 hours to complete, or a total of 600 hours. Respondents’ hourly burden and costs will be higher during the year that applications are required. The table below annualizes the cost and burden over the 3-year period of approval. We estimate that the total dollar value of the annual burden hours is $225,000, based on an average of $150 per hour for consulting fees.


TYPE OF

ACTION

ANNUAL NUMBER OF

RESPONSES

AVERAGE COMPLETION

TIME

TOTAL ANNUAL BURDEN HOURS

ANNUAL DOLLAR

VALUE OF BURDEN HOURS

Application for procedural regulations1

2

100

200

$30,000

LOA Requests

25

24

600

90,000

Onsite Monitoring and Observation Reports

300

1.5

450

67,500

Final Monitoring Report

25

10

250

37,500

Total

352


1,500

$225,000

1 Occurs once every 5 years.


13. Provide an estimate of the total annual [nonhour] cost burden to respondents or record keepers resulting from the collection of information.


We do not anticipate any nonhour costs for respondents.


14. Provide estimates of annualized costs to the Federal Government.


We estimate that the average total annual cost to the Federal Government is $144,448 (salary and printing)


Salary - $124,448


A full-time Incidental Take Coordinator (GS-12/step 6) reviews and processes the information collected. To determine salary costs, we used the Office of Personnel Management Salary Table 2010-AK to determine the annual salary and multiplied by 1.5 to account for benefits in accordance with Bureau of Labor Statistics news release USDL 10-1241, September 8, 2010, Employer Costs for Employee Compensation—June 2010 (http://www.bls.gov/news.release/pdf/ecec.pdf). We then added the current Cost of Living Allowance of 19 percent ($13,991). The annual salary for a GS-12/step 6 in Alaska is $73,638, or $124,448 including benefits and COLA.


Printing - $20,000


$18,000 – average annual printing and publication costs for proposed and final

rules (two each over 3-year period)

$ 2,000 – printing costs for issuance of LOAs (four per year)


15. Explain the reasons for any program changes or adjustments in hour or cost burden.


This information collection has 352 responses and 1,500 annual burden hours, which is an increase of 255 responses and 708 burden hours.


We are reporting as a program change an increase of 97 responses and 592 burden hours previously approved under OMB Control No. 1018-0139.


We are reporting as an adjustment a net increase of 158 responses and 116 burden hours as follows:

  • -200 hours for the burden associated with the applications for regulations. Our previous submissions for both Beaufort and Chukchi Seas erroneously listed the total burden hours rather than annualizing over the 3-year period of approval. Therefore, we have made an adjustment to correct this mistake.

  • +1 response and 24 burden hours for LOA requests, based on our experience in administering these collections over the last 3 years.

  • +156 responses and the associated 234 burden hours for monitoring and reporting, based on information from our outreach.

  • +1 response and 58 annual burden hours for final reports, based on information from our outreach. Ten hours are associated with the additional response and the remaining 48 hours are the result of increasing the completion time from 8 to 10 hours for both the Beaufort and Chukchi collection.


16. For collections of information whose results will be published, outline plans for tabulation and publication.


We do not publish the information in the form in which it is received. We do analyze the information annually to determine impacts resulting from incidental take authorizations.


17. If seeking approval to not display the expiration date for OMB approval of the information collection, explain the reasons that display would be inappropriate.


These are regulatory requirements; however, we will display the OMB control number and expiration date on appropriate materials.


18. Explain each exception to the certification statement identified in "Certification for Paperwork Reduction Act Submissions,"


There are no exceptions to the certification statement.

7


File Typeapplication/msword
File TitleSupporting Statement for Paperwork Reduction Act Submission
AuthorAnissa Craghead
Last Modified ByU.S. Fish & Wildlife Service
File Modified2010-10-26
File Created2010-10-25

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