NEPA Implementation
GUIDANCE FOR PREPARING AND PROCESSING
ENVIRONMENTAL AND SECTION 4(F) DOCUMENTS
FHWA TECHNICAL ADVISORY
T 6640.8A
October 30, 1987
- PURPOSE.
To provide guidance to Federal Highway Administration (FHWA) field offices
and to project applicants on the preparation and processing of environmental
and Section 4(f) documents.
- CANCELLATION.
Technical Advisory T 6640.8, "Guidance Material for the Preparation
of Environmental Documents," dated February 24, 1982, is canceled
effective on November 27, 1987.
APPLICABILITY
-
a. This material is not regulatory. It has been developed to provide
guidance for uniformity and consistency in the format, content, and
processing of the various environmental studies and documents pursuant
to the National Environmental Policy Act (NEPA), 23 U.S.C. 109(h) and
23 U.S.C. 138 (Section 4(f) of the DOT Act) and the reporting requirements
of 23 U.S.C. 128.
-
b. The guidance is limited to the format, content and processing of
NEPA and Section 4(f) studies and documents. It should be used in combination
with a knowledge and understanding of the Council on Environmental Quality
(CEQ) Regulations for Implementing NEPA (40 CFR 1500-1508), FHWA's Environmental
Impact and Related Procedures (23 CFR 771) and other environmental statutes
and orders (see Appendix A).
-
c. This guidance should not be used until November 27, 1987, the effective
date of the 1987 revisions to 23 CFR 771.
<original signed by>
Ali F. Sevin
Director, Office of Environmental Policy
Attachment
FHWA
TECHNICAL ADVISORY T 6640.8A
October 30, 1987
ATTACHMENT
GUIDANCE
FOR PREPARING AND PROCESSING ENVIRONMENTAL
AND SECTION 4(F) DOCUMENTS
Background
An
earlier edition of this advisory (dated February 24, 1982) placed major
emphasis on environmental impact statements (EISs) and provided limited
guidance on environmental assessments (EAs) and other environmental studies
needed for a categorical exclusion (CE) determination or a finding of
no significant impact (FONSI). The revised guidance gives expanded coverage
to CE determinations, EAs, FONSIs, EISs, supplemental EISs, reevaluations,
and Section 4(f) evaluations. This material is not regulatory. It does,
however, provide for uniformity and consistency in the documentation of
CEs and the development of environmental and Section 4(f) documents.
The
FHWA subscribes to the philosophy that the goal of the NEPA process is
better decisions and not more documentation. Environmental documents should
be concise, clear, and to the point, and should be supported by evidence
that the necessary analyses have been made. They should focus on the important
impacts and issues with the less important areas only briefly discussed.
The length of EAs should normally be less than 15 pages and EISs should
normally be less than 150 pages for most proposed actions and not more
than 300 pages for the most complex proposals. The use of technical reports
for various subject areas would help reduce the size of the documents.
The
FHWA considers the early coordination process to be a valuable tool in
determining the scope of issues to be addressed and in identifying and
focusing on the proposed action's important issues. This process normally
entails the exchange of information with appropriate Federal, State and
local agencies, and the public from inception of the proposed action to
preparation of the environmental document or to completion of environmental
studies for applicable CEs. Formal scoping meetings may also be held where
such meetings would assist in the preparation of the environmental document.
The role of other agencies and other environmental review and consultation
requirements should be established during scoping. The Council on Environmental
Quality (CEQ) has issued several guidance publications on NEPA and its
regulations as follows: (1) "Questions and Answers about the NEPA
Regulations," March 30, 1981; (2) "Scoping Guidance," April
30, 1981; and (3) "Guidance Regarding NEPA Regulations," July
28, 1983. This nonregulatory guidance is used by FHWA in preparing and
processing environmental documents. Copies of the CEQ guidance are available
in the FHWA Office of Environmental Policy (HEV-11).
Note,
highway agency (HA) is used throughout this document to refer to a State
and local highway agency responsible for conducting environmental studies
and preparing environmental documents and to FHWA's Office of Direct Federal
Programs when that office acts in a similar capacity.
Table of Contents *
I.
Categorical Exclusion(CE) (4)
II.
Environmental Assessment (EA) (6)
III.
Finding of No Significant Impact (FONSI) (8)
IV.
Distribution of EAs and FONSIs (10)
V.
EIS -- Format and Content (11)
A.
Cover Sheet (11)
B. Summary (12)
C. Table of Contents (13)
D. Purpose of and Need for Action (13)
E. Alternatives (14)
F. Affected Environment (17)
G. Environmental Consequences (17)
- Land
Use Impacts (19)
- Farmland
Impacts (19)
- Social
Impacts (20)
- Relocation
Impacts (21)
- Economic
Impacts (22)
- Joint
Development (22)
- Considerations
Relating to Pedestrians and Bicyclists (23)
- Air
Quality Impacts (23)
- Noise
Impacts (24)
- Water
Quality Impacts (25)
- Permits
(26)
- Wetland
Impacts (27)
- Water
Body Modification and Wildlife Impacts (28)
- Floodplain
Impacts (29)
- Wild
and Scenic Rivers (30)
- Coastal
Barriers (30)
- Coastal
Zone Impacts (31)
- Threatened
or Endangered Species (31)
- Historic
and Archeological Preservation (33)
- Hazardous
Waste Sites (34)
- Visual
Impacts (34)
- Energy
(35)
- Construction
Impacts (35)
- Relationship
of Local Short-term Uses vs. Long-term Productivity (36)
- Irreversible
and Irretrievable Commitment of Resources (36)
H.
List of Preparers (37)
I.
List of Agencies, Organizations and Persons to Whom
Copies of the Statement are Sent (37)
J.
Comments and Coordination (37)
K.
Index (38)
L.
Appendices (38)
VI.
Options for Preparing Final EISs (39)
VII.
Distribution of EISs and Section 4(f) Evaluations
(40)
VIII.
Record of Decision -- Format and Content (42)
IX.
Section 4(f) Evaluations -- Format and Content (44)
X.
Other Agency Statements (47)
XI.
Reevaluations (48)
XII.
Supplemental EISs (49)
XIII.
Appendices: (50)
- Appendix
A: Environmental Laws Authority and Related Statutes and Orders
- Appendix
B: Notice of Intent
* Numbers in parenthesis refer to pages in the text version of this document.
I. CATEGORICAL EXCLUSION (CE)
Categorical
exclusions are actions or activities which meet the definition in 23 CFR
771.117(a) and, based on FHWA's past experience, do not have significant
environmental effects. The CEs are divided into two groups based on the
action's potential for impacts. The level of documentation necessary for
a particular CE depends on the group the action falls under as explained
below.
A. Documentation of Applicability
The
first group is a list of 20 categories of actions in 23 CFR 771.117(c)
which experience has shown never or almost never cause significant environmental
impacts. These categories are non-construction actions (e.g., planning,
grants for training and research programs) or limited construction activities
(e.g., pedestrian facilities, landscaping, fencing). These actions are
automatically classified as CEs, and except where unusual circumstances
are brought to FHWA's attention, do not require approval or documentation
by FHWA. However, other environmental laws may still apply. For example,
installation of traffic signals in a historic district may require compliance
with Section 106, or a proposed noise barrier which would use land protected
by Section 4(f) would require preparation of a Section 4(f) evaluation
(23 CFR 771.135(i)). In most cases, information is available from planning
and programming documents for the FHWA Division Office to determine the
applicability of other environmental laws. However, any necessary documentation
should be discussed and developed cooperatively by the highway agency
(HA) and the FHWA.
The
second group consists of actions with a higher potential for impacts than
the first group, but due to minor environmental impacts still meets the
criteria for categorical exclusions. In 23 CFR 771.117(d), the regulation
lists examples of 12 actions which past experience has found appropriate
for CE classification. However, the second group is not limited to these
12 examples. Other actions with a similar scope of work may qualify as
CEs. For actions in this group, site location is often a key factor. Some
of these actions on certain sites may involve unusual circumstances or
result in significant adverse environmental impacts. Because of the potential
for impacts, these actions require some information to be provided by
the HA so that the FHWA can determine if the CE classification is proper
(23 CFR 771.117(d)). The level of information to be provided should be
commensurate with the action's potential for adverse environmental impacts.
Where adverse environmental impacts are likely to occur, the level of
analysis should be sufficient to define the extent of impacts, identify
appropriate mitigation measures, and address known and foreseeable public
and agency concerns. As a minimum, the information should include a description
of the proposed action and, as appropriate, its immediate surrounding
area, a discussion of any specific areas of environmental concern (e.g.,
Section 4(f), wetlands, relocations), and a list of other Federal actions
required, if any, for the proposal.
The
documentation of the decision to advance an action in the second group
as a CE can be accomplished by one of the following methods:
- Minor actions from the list of examples:
Minor construction projects or approval actions need only minimum documentation.
Where project-specific information for such minor construction projects
is included with the Section 105 program and clearly shows that the
project is one of the 12 listed examples in Section 771.117(d), the
approval of the Section 105 program can be used to approve the projects
as CEs. Similarly, the three approval actions on the list (examples
(6), (7) and (12)) should not normally require detailed documentation,
and the CE determination can be documented as a part of the approval
action being requested.
- Other actions from the list of examples:
For more complex actions, additional information and possibly environmental
studies will be needed. This information should be furnished to the
FHWA on a case-by-case basis for concurrence in the CE determination.
- Actions not on the list of examples:
Any action which meets the CE criteria in 23 CFR 771.117(a) may be classified
as a CE even though it does not appear on the list of examples in Section
771.117(d). The actions on the list should be used as a guide to identify
other actions that may be processed as CEs. The documentation to be
submitted to the FHWA must demonstrate that the CE criteria are satisfied
and that the proposed project will not result in significant environmental
impacts. The classification decision should be documented as a part
of the individual project submissions.
B. Consideration of Unusual Circumstances
Section
771.117(b) lists those unusual circumstances where further environmental
studies will be necessary to determine the appropriateness of a CE classification.
Unusual circumstances can arise on any project normally advanced with
a CE; however, the type and depth of additional studies will vary with
the type of CE and the facts and circumstances of each situation. For
those actions on the fixed list (first group) of CEs, unusual circumstances
should rarely, if ever, occur due to the limited scope of work. Unless
unusual circumstances come to the attention of the HA or FHWA, they need
not be given further consideration. For actions in the second group of
CEs, unusual circumstances should be addressed in the information provided
to the FHWA with the request for CE approval. The level of consideration,
analysis, and documentation should be commensurate with the action's potential
for significant impacts, controversy, or inconsistency with other agencies'
environmental requirements.
When
an action may involve unusual circumstances, sufficient early coordination,
public involvement and environmental studies should be undertaken to determine
the likelihood of significant impacts. If no significant impacts are likely
to occur, the results of environmental studies and any agency and public
involvement should adequately support such a conclusion and be included
in the request to the FHWA for CE approval. If significant impacts are
likely to occur, an EIS must be prepared (23 CFR 771.123(a)). If the likelihood
of significant impacts is uncertain even after studies have been undertaken,
the HA should consult with the FHWA to determine whether to prepare an
EA or an EIS.
Return to the Table of Contents
II. ENVIRONMENTAL ASSESSMENT (EA)
The
primary purpose of an EA is to help the FHWA and HA decide whether or
not an EIS is needed. Therefore, the EA should address only those resources
or features which the FHWA and the HA decide will have a likelihood for
being significantly impacted. The EA should be a concise document and
should not contain long descriptions or detailed information which may
have been gathered or analyses which may have been conducted for the proposed
action. Although the regulations do not set page limits, CEQ recommends
that the length of EAs usually be less than 15 pages. To minimize volume,
the EA should use good quality maps and exhibits and incorporate by reference
and summarize background data and technical analyses to support the concise
discussions of the alternatives and their impacts.
The
following format and content is suggested:
A. Cover Sheet.
There
is no required format for the EA. However, the EIS cover sheet format,
as shown in Section V, is recommended as a guide. A document number is
not necessary. The due date for comments should be omitted unless the
EA is distributed for comments.
B. Purpose of and Need for Action.
Describe
the locations, length, termini, proposed improvements, etc. Identify and
describe the transportation or other needs which the proposed action is
intended to satisfy (e.g., provide system continuity, alleviate traffic
congestion, and correct safety or roadway deficiencies). In many cases
the project need can be adequately explained in one or two paragraphs.
On projects where a law, Executive Order, or regulation (e.g., Section
4(f), Executive Order 11990, or Executive Order 11988) mandates an evaluation
of avoidance alternatives, the explanation of the project need should
be more specific so that avoidance alternatives that do not meet the stated
project need can be readily dismissed.
C. Alternatives.
Discuss
alternatives to the proposed action, including the no-action alternative,
which are being considered. The EA may either discuss (1) the preferred
alternative and identify any other alternatives considered or (2) if the
applicant has not identified a preferred alternative, the alternatives
under consideration. The EA does not need to evaluate in detail all reasonable
alternatives for the project, and may be prepared for one or more build
alternatives.
D. Impacts.
For
each alternative being considered, discuss any social, economic, and environmental
impacts whose significance is uncertain. The level of analysis should
be sufficient to adequately identify the impacts and appropriate mitigation
measures, and address known and foreseeable public and agency concerns.
Describe why these impacts are considered not significant. Identified
impact areas which do not have a reasonable possibility for individual
or cumulative significant environmental impacts need not be discussed.
E. Comments and Coordination.
Describe
the early and continuing coordination efforts, summarize the key issues
and pertinent information received from the public and government agencies
through these efforts, and list the agencies and, as appropriate, members
of the public consulted.
F. Appendices (if any).
The
appendices should include only analytical information that substantiates
an analysis which is important to the document (e.g., a biological assessment
for threatened or endangered species). Other information should be referenced
only (i.e., identify the material and briefly describe its contents).
G. Section 4(f) Evaluation (if any).
If
the EA includes a Section 4(f) evaluation, the EA/Section 4(f) evaluation
or, if prepared separately, the Section 4(f) evaluation by itself must
be circulated to th e appropriate agencies for Section 4(f) coordination
(23 CFR 771.135(i)). Section VII provides specific details on distribution
and coordination of Section 4(f) evaluations. Section IX
provides information on format and content of Section 4(f) evaluation.
If
a programmatic Section 4(f) evaluation is used on the proposed project,
this fact should be included and the Section 4(f) resource identified
in the EA. The avoidance alternatives evaluation called for in Section
771.135(i) need not be repeated in the EA. Such evaluation would be part
of the documentation to support the applicability and findings of the
programmatic ocument.
H. EA Revisions.
Following
the public availability period, the EA should be revised or an attachment
provided, as appropriate, to (1) reflect changes in the proposed action
or mitigation measures resulting from comments received on the EA or at
the public hearing (if one is held) and any impacts of the changes, (2)
include any necessary findings, agreements, or determination (e.g., wetlands,
Section 106, Section 4(f)) required for the proposal, and (3) include
a copy of pertinent comments received on the EA and appropriate responses
to the comments.
Return to the Table of Contents
III. FINDING OF NO SIGNIFICANT IMPACT (FONSI)
The
EA, revised or with attachment(s) (see paragraph above), is submitted
by the HA to the FHWA along with (1) a copy of the public hearing transcript,
when one is held, (2) a recommendation of the preferred alternative, and
(3) a request that a finding of no significant impact be made. The basis
for the HA's finding of no significant impact request should be adequately
documented in the EA and any attachment(s).
After
review of the EA and any other appropriate information, the FHWA may determine
that the proposed action has no significant impacts. This is documented
by attaching to the EA a separate statement (sample follows) which clearly
sets forth the FHWA conclusions. If necessary, the FHWA may expand the
sample FONSI to identify the basis for the decision, uses of land from
Section 4(f) properties, wetland finding, etc.
The
EA or FONSI should document compliance with NEPA and other applicable
environmental laws, Executive Orders, and related requirements. If full
compliance with these other requirements is not possible by the time the
FONSI is prepared, the documents should reflect consultation with the
appropriate agencies and describe when and how the requirements will be
met. For example, any action requiring the use of Section 4(f) property
cannot proceed until FHWA gives a Section 4(f) approval (49 U.S.C. 303(c)).
(Sample)
FEDERAL
HIGHWAY ADMINISTRATION
FINDING OF NO SIGNIFICANT IMPACT
(Title of Proposed Action)
FOR
The
FHWA has determined that alternative (identify the alternative selected)
will have no sigificant impact on the human environment. This FONSI is
based on the attached EA (reference other environmental and non-environmental
documents as appropriate) which has been independently evaluated by the
FHWA and determined to adequately and accurately discuss the need, environmental
issues, and impacts of the proposed project and appropriate mitigation
measures. It provides sufficient evidence and analysis for determining
that an EIS is not required. The FHWA takes full responsibility for the
accuracy, scope, and content of the attached EA (and other documents as
appropriate).
_____________________
Date
|
____________________________
for FHWA
|
Return to the Table of Contents
IV. DISTRIBUTION OF EAs AND FONSIs
A. Environmental Assessment
After
clearance by FHWA, EAs must be made available for public inspection at
the HA and FHWA Division offices (23 CFR 771.119(d)). Although only a
notice of availability of the EA is required, the HA is encouraged to
distribute a copy of the document with the notice to Federal, State, and
local government agencies likely to have an interest in the undertaking
and to the State intergovernmental review contacts. The HA should also
distribute the EA to any Federal, State, or local agency known to have
interest or special expertise (e.g., EPA for wetlands, water quality,
air, noise, etc.) in those areas addressed in the EA which have or may
have had potential for significant impact. The possible impacts and the
agencies involved should be identified following the early coordination
process. Where an individual permit would be required from the Corps of
Engineers (COE) (i.e., Section 404 or Section 10) or from the Coast Guard
(CG) (i.e., Section 9), a copy of the EA should be distributed to the
involved agency in accordance with the U.S. Department of Transportation
(DOT)/Corps of Engineers Memorandum of Agreement or the FHWA/U.S. Coast
Guard Memorandum of Understanding, respectively. Any internal FHWA distribution
will be determined by the Division Office on a case-by-case basis.
B.
Finding of No Significant Impact
Formal
distribution of a FONSI is not required. The HA must send a notice of
availability of the FONSI to Federal, State, and local government agencies
likely to have an interest in the undertaking and the State intergovernmental
review contacts (23 CFR 771.121(b)). However, it is encouraged that agencies
which commented on the EA (or requested to be informed) be advised of
the project decision and the disposition of their comments and be provided
a copy of the FONSI. This fosters good lines of communication and enhances
interagency coordination.
Return to the Table of Contents
V. Environmental Impact Statement (EIS) — FORMAT AND CONTENT
A. Cover Sheet
Each
EIS should have a cover sheet containing the following information:
(EIS NUMBER)
Route,
Termini, City or County, and State
Draft
(Final) (Supplement)
Environmental Impact Statement
Submitted
Pursuant to 42 U.S.C. 4332 (2) (c)
(and
where applicable, 49 U.S.C. 303) by the
U.S.
Department of Transportation
Federal
Highway Administration
and
State
Highway Agency
and
(as
applicable, any other joint lead agency)
Cooperating
Agencies
(Include
List Here, as applicable)
__________________
Date of Approval
|
____________________________
for (State Highway Agency)
|
__________________
Date of Approval
|
____________________________
for FHWA
|
The
following persons may be contacted for additional information concerning
this document:
____________________________
(Name, address, and telephone
number of HA contact)
|
_____________________________
(Name, address, and telephone
FHWA Division contact)
|
A
one-paragraph abstract of the statement.
Comments
on this draft EIS are due by __________(date) and should be sent to (name
and address).
The
top left-hand corner of the cover sheet of all draft final and supplemental
EISs contains an identification number. The following is an example:
FHWA-AZ-EIS-87-01-D(F)(S)
FHWA – name of Federal agency
AZ – name of State (cannot exceed four characters)
EIS – environmental impact statement 87 – year draft statement was prepared
01 – sequential number of draft statement for each calendar year
D – designates the statement as the draft statement
F – designates the statement as the final statement
S – designates supplemental statement and should be combined with draft
(DS) or final (FS)statement designation. The year and sequential number
will be the same as those used for the original draft EIS.
The EIS
should be printed on 8 1/2 x 11-inch paper with any foldout sheets folded
to that size. The wider sheets should be 8 1/2 inches high and should open
to the right with the title or identification on the right. The standard
size is needed for administrative recordkeeping.
Return to the Table of Contents
B. Summary
The
summary should include:
-
A brief description of the proposed FHWA action indicating route, termini,
type of improvement, number of lanes, length, county, city, State, and
other information, as appropriate.
-
A description of any major actions proposed by other governmental agencies
in the same geographic area as the proposed FHWA action.
-
A summary of all reasonable alternatives considered. (The draft EIS
must identify the preferred alternative or alternatives officially identified
by the HA (40 CFR 1502.14(e)). The final EIS must identify the preferred
alternative and should discuss the basis for its selection (23 CFR 771.125(a)(1)).
-
A summary of major environmental impacts, both beneficial and adverse
-
Any areas of controversy (including issues raised by agencies and the
public).
-
Any major unresolved issues with other agencies.
-
A list of other Federal actions required for the proposed action (i.e.,
permit approvals, land transfer, Section 106 agreements, etc.).
Return to the Table of Contents
C. Table of Contents
For
consistency with CEQ regulations, the following standard format should
be used:
- Cover Sheet
- Summary
- Table of Contents
- Purpose of and Need for Action
- Alternatives
- Affected Environment
- Environmental Consequences
- List of Preparers
- List of Agencies, Organizations, and Persons to Whom Copies of the Statement
are Sent
- Comments and Coordination
- Index
- Appendices (if any)
Return to the Table of Contents
D. Purpose of and Need for Action
Identify
and describe the proposed action and the transportation problem(s) or
other needs which it is intended to address (40 CFR 1502.13). This section
should clearly demonstrate that a "need" exists and should define
the "need" in terms understandable to the general public. This
discussion should clearly describe the problems which the proposed action
is to correct. It will form the basis for the "no action" discussion
in the "Alternatives" section, and assist with the identification
of reasonable alternatives and the selection of the preferred alternative.
Charts, tables, maps, and other illustrations (e.g., typical cross-section,
photographs, etc.) are encouraged as useful presentation techniques.
The
following is a list of items which may assist in the explanation of the
need for the proposed action. It is by no means all-inclusive or applicable
in every situation and is intended only as a guide.
-
Project Status – Briefly describe the project history including actions
taken to date, other agencies and governmental units involved, action
spending, schedules, etc.
-
System Linkage – Is the proposed project a "connecting link?"
How does it fit in the transportation system?
-
Capacity – Is the capacity of the present facility inadequate for the
present traffic? Projected traffic? What capacity is needed? What is
the level(s) of service for existing and proposed facilities?
-
Transportation Demand – Including relationship to any statewide plan
or adopted urban transportation plan together with an explanation of
the project's traffic forecasts that are substantially different from
those estimates from the 23 U.S.C. 134 (Section 134) planning process.
-
Legislation – Is there a Federal, State, or local governmental mandate
for the action?
-
Social Demands or Economic Development – New employment, schools, land
use plans, recreation, etc. What projected economic development/land
use changes indicate the need to improve or add to the highway capacity?
-
Modal Interrelationships – How will the proposed facility interface
with and serve to complement airports, rail and port facilities, mass
transit services, etc.?
-
Safety – Is the proposed project necessary to correct an existing or
potential safety hazard? Is the existing accident rate excessively high?
Why? How will the proposed project improve it?
-
Roadway Deficiencies – Is the proposed project necessary to correct
existing roadway deficiencies (e.g., substandard geometrics, load limits
on structures, inadequate cross-section, or high maintenance costs)?
How will the proposed project improve it?
Return to the Table of Contents
E. Alternatives
This
section of the draft EIS must discuss a range of alternatives, including
all "reasonable alternatives" under consideration and those
"other alternatives" which were eliminated from detailed study
(23 CFR 771.123(c)). The section should begin with a concise discussion
of how and why the "reasonable alternatives" were selected for
detailed study and explain why "other alternatives" were eliminated.
The following range of alternatives should be considered when determining
reasonable alternatives:
- "No-action" alternative: The "no-action" alternative
normally includes short-term minor restoration types of activities (safety
and maintenance improvements, etc.) that maintain continuing operation
of the existing roadway.
- Transportation System Management (TSM) alternative: The TSM alternative
includes those activities which maximize the efficiency of the present
system. Possible subject areas to include in this alternative are options
such as fringe parking, ridesharing, high-occupancy vehicle (HOV) lanes
on existing roadways, and traffic signal timing optimization. This limited
construction alternative is usually relevant only for major projects
proposed in urbanized areas over 200,000 population.
For all major projects in these urbanized areas, HOV lanes should be
considered. Consideration of this alternative may be accomplished by
reference to the regional transportation plan, when that plan considers
this option. Where a regional transportation plan does not reflect consideration
of this option, it may be necessary to evaluate the feasibility of HOV
lanes during early project development. Where a TSM alternative is identified
as a reasonable alternative for a "connecting link" project,
it should be evaluated to determine the effect that not building a highway
link in the transportation plan will have on the remainder of the system.
A similar analysis should be made where a TSM element(s) (e.g., HOV
lanes) is part of a build alternative and reduces the scale of the highway
link.
While
the above discussion relates primarily to major projects in urbanized
areas, the concept of achieving maximum utilization of existing facilities
is equally important in rural areas. Before selecting an alternative
on new location for major projects in rural areas, it is important to
demonstrate that reconstruction and rehabilitation of the existing system
will not adequately correct the identified deficiencies and meet the
project need.
-
Mass Transit: This alternative includes those reasonable and feasible
transit options (bus systems, rail, etc.) even though they may not be
within the existing FHWA funding authority. Itshould be considered on
all proposed major highway projects in urbanized areas over 200,000
population. Consideration of this alternative may be accomplished by
reference to the regional or area transportation plan where that plan
considers mass transit or by an independent analysis during early project
development.
Where
urban projects are multi-modal and are proposed for Federal funding,
close coordination is necessary with the Urban Mass Transportation Administration
(UMTA). In these situations, UMTA should be consulted early in the project-development
process. Where UMTA funds are likely to be requested for portions of
the proposal, UMTA must be requested to be either a joint lead agency
or a cooperating agency at the earliest stages of project development
(23 CFR 771.111(d)). Where applicable, cost-effectiveness studies that
have been performed should be summarized in the EIS.
- Build alternatives: Both improvement of existing highway(s) and alternatives
on new location should be evaluated. A representative number of reasonable
alternatives must be presented and evaluated in detail in the draft
EIS (40 CFR 1502.14(a)). For most major projects, there is a potential
for a large number of reasonable alternatives. Where there is a large
number of alternatives, only a representative number of the most reasonable
examples, covering the full range of alternatives, must be presented.
The determination of the number of reasonable alternatives in the draft
EIS, therefore, depends on the particular project and the facts and
circumstances in each case.
Each
alternative should be briefly described using maps or other visual aids
such as photographs, drawings, or sketches to help explain the various alternatives.
The material should provide a clear understanding of each alternative's
termini, location, costs, and the project concept (number of lanes, right-of-way
requirements, median width, access control, etc.). Where land has been or
will be reserved or dedicated by local government(s), donated by individuals,
or acquired through advanced or hardship acquisition for use as highway
right-of-way for any alternative under consideration, the draft EIS should
identify the status and extent of such property and the alternatives involved.
Where such lands are reserved, the EIS should state that the reserved lands
will not influence the alternative to be selected.
Development
of more detailed design for some aspects (e.g., Section 4(f), COE or CG
permits, noise, wetlands, etc.) of one or more alternatives may be necessary
during preparation of the draft and final EIS in order to evaluate impacts
or mitigation measures or to address issues raised by other agencies or
the public. However, care should be taken to avoid unnecessarily specifying
features which preclude cost-effective final design options.
All
reasonable alternatives under consideration (including the no-build) need
to be developed to a comparable level of detail in the draft EIS so that
their comparative merits may be evaluated (40 CFR 1502.14(b) and (d)).
In those situations where the HA has officially identified a "preferred"
alternative based on its early coordination and environmental studies,
the HA should so indicate in the draft EIS. In these instances, the draft
EIS should include a statement indicating that the final selection of
an alternative will not be made until the alternatives' impacts and comments
on the draft EIS and from the public hearing (if held) have been fully
evaluated. Where a preferred alternative has not been identified, the
draft EIS should state that all reasonable alternatives are under consideration
and that a decision will be made after the alternatives' impacts and comments
on the draft EIS and from the public hearing (if held) have been fully
evaluated.
The
final EIS must identify the preferred alternative and should discuss the
basis for its selection (23 CFR 771.125(a)(1)). The discussion should
provide the information and rationale identified in Section VIII (Record
of Decision), paragraph (B). If the preferred alternative is modified
after the draft EIS, the final EIS should clearly identify the changes
and discuss the reasons why any new impacts are not significant.
Return to the Table of Contents
F. Affected Environment
This
section provides a concise description of the existing social, economic,
and environmental setting for the area affected by all alternatives presented
in the EIS. Where possible, the description should be a single description
for the general project area rather than a separate one for each alternative.
The general population served and/or affected (city, county, etc.) by
the proposed action should be identified by race, color, national origin,
and age. Demographic data should be obtained from available secondary
sources (e.g., census data, planning reports) unless more detailed information
is necessary to address specific concerns. All socially, economically,
and environmentally sensitive locations or features in the proposed project
impact area (e.g., neighborhoods, elderly/minority/ ethnic groups, parks,
hazardous material sites, historic resources, wetlands, etc.), should
be identified on exhibits and briefly described in the text. However,
it may be desirable to exclude from environmental documents the specific
location of archeological sites to prevent vandalism.
To
reduce paperwork and eliminate extraneous background material, the discussion
should be limited to data, information, issues, and values which will
have a bearing on possible impacts, mitigation measures, and on the selection
of an alternative. Data and analyses should be commensurate with the importance
of the impact, with the less important material summarized or referenced
rather than be reproduced. Photographs, illustrations, and other graphics
should be used with the text to give a clear understanding of the area
and the important issues. Other Federal activities which contribute to
the significance of the proposed action's impacts should be described.
This
section should also briefly describe the scope and status of the planning
processes for the local jurisdictions and the project area. Maps of any
adopted land use and transportation plans for these jurisdictions and
the project area would be helpful in relating the proposed project to
the planning processes.
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G. Environmental Consequences
This
section includes the probable beneficial and adverse social, economic,
and environmental effects of alternatives under consideration and describes
the measures proposed to mitigate adverse impacts. The information should
have sufficient scientific and analytical substance to provide a basis
for evaluating the comparative merits of the alternatives. The discussion
of the proposed project impacts should not use the term significant
in describing the level of impacts. There is no benefit to be gained from
its use. If the term significant is used, however, it should be consistent
with the CEQ definition and be supported by factual information.
There
are two principal ways of preparing this section. One is to discuss the
impacts and mitigation measures separately for each alternative with the
alternatives as headings. The second (which is advantageous where there
are few alternatives or where impacts are similar for the various alternatives)
is to present this section with the impacts as the headings. Where appropriate,
a sub-section should be included which discusses the general impacts and
mitigation measures that are the same for the various alternatives under
consideration. This would reduce or eliminate repetition under each of
the alternative discussions. Charts, tables, maps, and other graphics
illustrating comparisons between the alternatives (e.g., costs, residential
displacements, noise impacts, etc.) are useful as a presentation technique.
When
preparing the final EIS, the impacts and mitigation measures of the alternatives,
particularly the preferred alternative, may need to be discussed in more
detail to elaborate on information, firm-up commitments, or address issues
raised following the draft EIS. The final EIS should also identify any
new impacts (and their significance) resulting from modification of or
identification of substantive new circumstances or information regarding
the preferred alternative following the draft EIS circulation. Note: Where
new significant impacts are identified a supplemental draft EIS is required
(40 CFR 1502.9(c)).
The
following information should be included in both the draft and final EIS
for each reasonable alternative:
- A summary of studies undertaken, any major assumptions made and supporting
information on the validity of the methodology (where the methodology
is not generally accepted as state-of-the-art).
- Sufficient supporting information or results of analyses to establish
the reasonableness of the conclusions on impacts.
- A discussion of mitigation measures. These measures normally should
be investigated in appropriate detail for each reasonable alternative
so they can be identified in the draft EIS. The final EIS should identify,
describe and analyze all proposed mitigation measures for the preferred
alternative.
In
addition to normal FHWA program monitoring of design and construction
activities, special instances may arise when a formal program for monitoring
impacts or implementation of mitigation measures will be appropriate.
For example, monitoring ground or surface waters that are sources for
drinking water supply; monitoring noise or vibration of nearby sensitive
activities (e.g., hospitals, schools); or providing on-site professional
archeologist to monitor excavation activities in highly sensitive archeological
areas. In these instances, the final EIS should describe the monitoring
program.
- A discussion, evaluation and resolution of important issues on each
alternative. If important issues raised by other agencies on the preferred
alternative remain unresolved, the final EIS must identify those issues
and the consultations and other efforts made to resolve them (23 CFR
771.125(a)(2)).
Listed
below are potentially significant impacts most commonly encountered by highway
projects. These factors should be discussed for each reasonable alternative
where a potential for impact exists. This list is not all-inclusive and
on specific projects there may be other impact areas that should be included.
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1. Land Use Impacts
This
discussion should identify the current development trends and the State
and/or local government plans and policies on land use and growth in the
area which will be impacted by the proposed project.
These
plans and policies are normally reflected in the area's comprehensive
development plan, and include land use, transportation, public facilities,
housing, community services, and other areas.
The
land use discussion should assess the consistency of the alternatives
with the comprehensive development plans adopted for the area and (if
applicable) other plans used in the development of the transportation
plan required by Section 134. The secondary social, economic, and environmental
impacts of any substantial, foreseeable, induced development should be
presented for each alternative, including adverse effects on existing
communities. Where possible, the distinction between planned and unplanned
growth should be identified.
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2. Farmland Impacts
Farmland
includes 1) prime, 2) unique, 3) other than prime or unique that is of
statewide importance, and 4) other than prime or unique that is of local
importance.
The
draft EIS should summarize the results of early consultation with the
Soil Conservation Service (SCS) and, as appropriate, State and local agriculture
agencies where any of the four specified types of farmland could be directly
or indirectly impacted by any alternative under consideration. Where farmland
would be impacted, the draft EIS should contain a map showing the location
of all farmlands in the project impact area, discuss the impacts of the
various alternatives and identify measures to avoid or reduce the impacts.
Form AD 1006 (Farmland Conversion Impact Rating) should be processed,
as appropriate, and a copy included in the draft EIS. Where the Land Evaluation
and Site Assessment score (from Form AD 1006) is 160 points or greater,
the draft EIS should discuss alternatives to avoid farmland impacts.
If
avoidance is not possible, measures to minimize or reduce the impacts
should be evaluated and, where appropriate, included in the proposed action.
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3. Social Impacts
Where
there are foreseeable impacts, the draft EIS should discuss the following
items for each alternative commensurate with the level of impacts and
to the extent they are distinguishable:
- Changes in the neighborhoods or community cohesion for the various
social groups as a result of the proposed action. These changes may be
beneficial or adverse, and may include splitting neighborhoods, isolating
a portion of a neighborhood or an ethnic group, generating new development,
changing property values, or separating residents from community facilities,
etc.
- Changes in travel patterns and accessibility (e.g., vehicular, commuter,
bicycle, or pedestrian).
- Impacts on school districts, recreation areas, churches, businesses,
police and fire protection, etc. This should include both the direct
impacts to these entities and the indirect impacts resulting from the
displacement of households and businesses.
- Impacts of alternatives on highway and traffic safety as well as
on overall public safety.
- General social groups specially benefitted or harmed by the proposed
project. The effects of a project on the elderly, handicapped, nondrivers,
transit-dependent, and minority and ethnic groups are of particular
concern and should be described to the extent these effects can be reasonably
predicted. Where impacts on a minority or ethnic population are likely
to be an important issue, the EIS should contain the following information
broken down by race, color, and national origin: the population of the
study area, the number of displaced residents, the type and number of
displaced businesses, and an estimate of the number of displaced employees
in each business sector. Changes in ethnic or minority employment opportunities
should be discussed and the relationship of the project to other Federal
actions which may serve or adversely affect the ethnic or minority population
should be identified.
The
discussion should address whether any social group is disproportionally
impacted and identify possible mitigation measures to avoid or minimize
any adverse impacts. Secondary sources of information such as census
and personal contact with community leaders supplemented by visual inspections
normally should be used to obtain the data for this analysis. However,
for projects with major community impacts, a survey of the affected
area may be needed to identify the extent and severity of impacts on
these social groups.
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4. Relocation Impacts
The
relocation information should be summarized in sufficient detail to adequately
explain the relocation situation including anticipated problems and proposed
solutions. Project relocation documents from which information is summarized
should be referenced in the draft EIS. Secondary sources of information
such as census, economic reports, and contact with community leaders,
supplemented by visual inspections (and, as appropriate, contact with
local officials) may be used to obtain the data for this analysis. Where
a proposed project will result in displacements, the following information
regarding households and businesses should be discussed for each alternative
under consideration commensurate with the level of impacts and to the
extent they are likely to occur:
- An estimate of the number of households to be displaced, including
the family characteristics (e.g., minority, ethnic, handicapped, elderly,
large family, income level, and owner/tenant status). However, where there
are very few displaces, information on race, ethnicity and income levels
should not be included in the EIS to protect the privacy of those affected.
- A discussion comparing available (decent, safe, and sanitary) housing
in the area with the housing needs of the displaces. The comparison
should include (1) price ranges, (2) sizes (number of bedrooms), and
(3) occupancy status (owner/tenant).
- A discussion of any affected neighborhoods, public facilities, non-profit
organizations, and families having special composition (e.g., ethnic,
minority, elderly, handicapped, or other factors) which may require
special relocation considerations and the measures proposed to resolve
these relocation concerns.
- A discussion of the measures to be taken where the existing housing
inventory is insufficient, does not meet relocation standards, or is
not within the financial capability of the displaces. A commitment to
last resort housing should be included when sufficient comparable replacement
housing may not be available.
- An estimate of the numbers, descriptions, types of occupancy (owner/tenant),
and sizes (number of employees) of businesses and farms to be displaced.
Additionally, the discussion should identify (1) sites available in
the area to which he affected businesses may relocate, (2) likelihood
of such relocation, and (3) potential impacts on individual businesses
and farms caused by displacement or proximity of the proposed highway
if not displaced.
- A discussion of the results of contacts, if any, with local governments,
organizations, groups, and individuals regarding residential and business
relocation impacts, including any measures or coordination needed to
reduce general and/or specific impacts. These contacts are encouraged
for projects with large numbers of relocates or complex relocation requirements.
Specific financial and incentive programs or opportunities (beyond those
provided by the Uniform Relocation Act) to residential and business
relocates to minimize impacts may be identified, if available through
other agencies or organizations.
- A statement that (1) the acquisition and relocation program will
be conducted in accordance with the Uniform Relocation Assistance and
Real Property Acquisition Policies Act of 1970, as amended, and (2)
relocation resources are available to all residential and business relocates
without discrimination.
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5. Economic Impacts
Where
there are foreseeable economic impacts, the draft EIS should discuss the
following for each alternative commensurate with the level of impacts:
- The economic impacts on the regional and/or local economy such as
the effects of the project on development, tax revenues and public expenditures,
employment opportunities, accessibility, and retail sales. Where substantial
impacts on the economic viability of affected municipalities are likely
to occur, they should also be discussed together with a summary of any
efforts undertaken and agreements reached for using the transportation
investment to support both public and private economic development plans.
To the extent possible, this discussion should rely upon results of coordination
with and views of affected State, county, and city officials and upon
studies performed under Section 134.
- The impacts on the economic vitality of existing highway-related
businesses (e.g., gasoline stations, motels, etc.) and the resultant
impact, if any, on the local economy. For example, the loss of business
or employment resulting from building an alternative on new location
bypassing a local community.
- Impacts of the proposed action on established business districts,
and any opportunities to minimize or reduce such impacts by the public
and/or private sectors. This concern is likely to occur on a project
that might lead to or support new large commercial development outside
of a central business district.
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6. Joint Development
Where
appropriate, the draft EIS should identify and discuss those joint development
measures which will preserve or enhance an affected community's social,
economic, environmental, and visual values. This discussion may be presented
separately or combined with the land use and/or social impacts presentations.
The benefits to be derived, those who will benefit (communities, social
groups, etc.), and the entities responsible for maintaining the measures
should be identified.
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7. Considerations Relating to Pedestrians and Bicyclists
Where
current pedestrian or bicycle facilities or indications of use are identified,
the draft EIS should discuss the current and anticipated use of the facilities,
the potential impacts of the affected alternatives, and proposed measures,
if any, to avoid or reduce adverse impacts to the facility(ies) and its
users. Where new facilities are proposed as a part of the proposed highway
project, the EIS should include sufficient information to explain the
basis for providing the facilities (e.g., proposed bicycle facility is
a link in the local plan or sidewalks will reduce project access impact
to the community). The final EIS should identify those facilities to be
included in the preferred alternative. Where the preferred alternative
would sever an existing major route for non-motorized transportation traffic,
the proposed project needs to provide a reasonably alternative route or
demonstrate that such a route exists (23 U.S.C. 109(n)). To the fullest
extent possible, this needs to be described in the final EIS.
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8. Air Quality Impacts
The
draft EIS should contain a brief discussion of the transportation-related
air quality concerns in the project area and a summary of the project-
related carbon monoxide (CO) analysis if such analysis is performed. The
following information should be presented, as appropriate.
- Mesoscale Concerns: Ozone (O3), Hydrocarbons (HC), and Nitrogen Oxide
x) air quality concerns are regional in nature and as such meaningful
evaluation on a project-by-project basis is not possible. Where these
pollutants are an issue, the air quality emissions inventories in the
State Implementation Plan (SIP) should be referenced and briefly summarized
in the draft EIS. Further, the relationship of the project to the SIP
should be described in the draft EIS by including one of the following
statements:
- This project is in an area where the SIP does not contain any transportation
control measures. Therefore, the conformity procedures of 23 CFR 770 do
not apply to this project.
- This project is in an area which has transportation control measures
in the SIP which was (conditionally) approved by the Environmental Protection
Agency (EPA) on (date). The FHWA has determined that both the transportation
plan and the transportation improvement program conform to the SIP.
The FHWA has determined that this project is included in the transportation
improvement program for the (indicate 3C planning area). Therefore,
pursuant to 23 CFR 770, this project conforms to the SIP.
Under certain circumstances, neither of these statements will precisely
fit the situation and may need to be modified. Additionally, if the
project is a Transportation Control Measure from the SIP, this should
be highlighted to emphasize the project's air quality benefits.
- Microscale
Concerns: Carbon monoxide is a project- related concern and as such should
be evaluated in the draft EIS. A microscale CO analysis is unnecessary where
such impacts (project CO contribution plus background) can be judged to
be well below the 1- and 8-hour National Ambient Air Quality Standards (or
other applicable State or local standards). This judgment may be based on
(1) previous analyses for similar projects; (2) previous general analyses
for various classes of projects; or (3) simplified graphical or "look-up"
table evaluations. In these cases, a brief statement stating the basis for
the judgment is sufficient.
For
those projects where a microscale CO analysis is performed, each reasonable
alternative should be analyzed for the estimated time of completion and
design year. A brief summary of the methodologies and assumptions used
should be included in the draft EIS. Lengthy discussions, if needed, should
be included in a separate technical report and referenced in the EIS.
Total CO concentrations (project contribution plus estimated background)
at identified reasonable receptors for each alternative should be reported.
A comparison should be made between alternatives and with applicable State
and national standards. Use of a table for this comparison is recommended
for clarity.
As
long as the total predicted 1-hour CO concentration is less than 9 ppm
(the 8-hour CO standard), no separate 8-hour analysis is necessary. If
the 1-hour CO concentration is greater than 9 ppm, an 8-hour analysis
should be performed. Where the preferred alternative would result in violations
of the 1 or 8-hour CO standards, an effort should be made to develop reasonable
mitigation measures through early coordination between FHWA, EPA, and
appropriate State and local highway and air quality agencies. The final
EIS should discuss the proposed mitigation measures and include evidence
of the coordination.
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9. Noise Impacts
The
draft EIS should contain a summary of the noise analysis including the
following for each alternative under detailed study:
- A brief description of noise sensitive areas (residences, businesses,
schools, parks, etc.), including information on the number and types of
activities which may be affected. This should include developed lands
and undeveloped lands for which development is planned, designed, and
programmed.
- The extent of the impact (in decibels) at each sensitive area. This includes
a comparison of the predicted noise levels with both the FHWA noise abatement
criteria and the existing noise levels. (Traffic noise impacts occur when
the predicted traffic noise levels approach or exceed the noise abatement
criteria or when they substantially exceed the existing noise levels).
Where there is a substantial increase in noise levels, the HA should identify
the criterion used for defining "substantial increase." Use
of a table for this comparison is recommended for clarity.
- Noise abatement measures which have been considered for each impacted
area and those measures that are reasonable and feasible and that would
"likely" be incorporated into the proposed project. Estimated
costs, decibel reductions and height and length of barriers should be
shown for all abatement measures.
Where
it is desirable to qualify the term "likely," the following
statement or similar wording would be appropriate. "Based on the
studies completed to date, the State intends to install noise abatement
measures in the form of a barrier at (location(s)). These preliminary
indications of likely abatement measures are based upon preliminary design
for a barrier of _______ high and ______ long and a cost of $______ that
will reduce the noise level by ______ dBA for ________ residences (businesses,
schools, parks, etc.). (Where there is more than one barrier, provide
information for each one.) If during final design these conditions substantially
change, the abatement measures might not be provided. A final decision
on the installation of abatement measure(s) will be made upon completion
of the project design and the public involvement process."
- Noise impacts for which no prudent solution is reasonably available and
the reasons why.
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10. Water Quality Impacts
The
draft EIS should include summaries of analyses and consultations with
the State and/or local agency responsible for water quality. Coordination
with the EPA under the Federal Clean Water Act may also provide assistance
in this area. The discussion should include sufficient information to
describe the ambient conditions of streams and water bodies which are
likely to be impacted and identify the potential impacts of each alternative
and proposed mitigation measures. Under normal circumstances, existing
data may be used to describe ambient conditions. The inclusion of water
quality data spanning several years is encouraged to reflect trends.
The
draft EIS should also identify any locations where roadway runoff or other
nonpoint source pollution may have an adverse impact on sensitive water
resources such as water supply reservoirs, ground water recharge areas,
and high quality streams. The 1981 FHWA research report entitled "Constituents
of Highway Runoff," the 1985 report entitled "Management Practices
for Mitigation of Highway Stormwater Runoff Pollution," and the 1987
report entitled "Effects of Highway Runoff on Receiving Waters"
contain procedures for estimating pollutant loading from highway runoff
and would be helpful in determining the level of potential impacts and
appropriate mitigative measures. The draft EIS should identify the potential
impacts of each alternative and proposed mitigation measures.
Where
an area designated as principal or sole-source aquifer under Section 1424(e)
of the Safe Drinking Water Act may be impacted by a proposed project,
early coordination with EPA will assist in identifying potential impacts.
The EPA will furnish information on whether any of the alternatives affect
the aquifer. This coordination should also identify any potential impacts
to the critical aquifer protection area (CAPA), if designated, within
affected sole-source aquifers. If none of the alternatives affect the
aquifer, the requirements of the Safe Drinking Water Act are satisfied.
If an alternative is selected which affects the aquifer, a design must
be developed to assure, to the satisfaction of EPA, that it will not contaminate
the aquifer (40 CFR 149). The draft EIS should document coordination with
EPA and identify its position on the impacts of the various alternatives.
The final EIS should show that EPA's concerns on the preferred alternative
have been resolved.
Wellhead
protection areas were authorized by the 1986 Amendments to the Safe Drinking
Water Act. Each State will develop State wellhead protection plans with
final approval by EPA. When a proposed project encroaches on a wellhead
protection area, the draft EIS should identify the area, the potential
impact of each alternative and proposed mitigation measures. Coordination
with the State agency responsible for the protection plan will aid in
identifying the areas, impacts and mitigation. If the preferred alternative
impacts these areas, the final EIS should document that it complies with
the approved State wellhead protection plan.
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11. Permits
If
a facility such as a safety rest area is proposed and it will have a point
source discharge, a Section 402 permit will be required for point source
discharge (40 CFR 122). The draft EIS should discuss potential adverse
impacts resulting from such proposed facilities and identify proposed
mitigation measures. The need for a Section 402 permit and Section 401
water quality certification should be identified in the draft EIS.
For
proposed actions requiring a Section 404 or Section 10 (Corps of Engineers)
permit, the draft EIS should identify by alternative the general location
of each dredge or fill activity, discuss the potential adverse impacts,
identify proposed mitigation measures (if not addressed elsewhere in the
draft EIS), and include evidence of coordination with the Corps of Engineers
(in accordance with the U.S. DOT/Corps of Engineers Memorandum of Agreement)
and appropriate Federal, State and local resource agencies, and State
and local water quality agencies. Where the preferred alternative requires
an individual Section 404 or Section 10 permit, the final EIS should identify
for each permit activity the approximate quantities of dredge or fill
material, general construction grades and proposed mitigation measures.
For
proposed actions requiring Section 9 (U.S. Coast Guard bridge) permits,
the draft EIS should identify by alternative the location of the permit
activity, potential impacts to navigation and the environment (if not
addressed elsewhere in the document), proposed mitigation measures and
evidence coordination with the U.S. Coast Guard (in accordance with the
FHWA/U.S. Coast Guard Memorandum of Understanding). Where the preferred
alternative requires a Section 9 permit, the final EIS should identify
for each permit activity the proposed horizontal and vertical navigational
clearances and include an exhibit showing the various dimensions.
For
all permit activities the final EIS should include evidence that every
reasonable effort has been made to resolve the issues raised by other
agencies regarding the permit activities. If important issues remain unresolved,
the final EIS must identify those issues, the positions of the respective
agencies on the issues and the consultations and other efforts made to
resolve them (23 CFR 771.125(a)).
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12. Wetland Impacts
When
an alternative will impact wetlands the draft EIS should (1) identify
the type, quality, and function of wetlands involved, (2) describe the
impacts to the wetlands, (3) evaluate alternatives which would avoid these
wetlands, and (4) identify practicable measures to minimize harm to the
wetlands. Wetlands should be identified by using the definition of 33
CFR 328.3(b) (issued on November 13, 1986) which requires the presence
of hydrophytic vegetation, hydric soils and wetland hydrology. Exhibits
showing wetlands in the project impact area in relation to the alternatives,
should be provided.
In
evaluating the impact of the proposed project on wetlands, the following
two items should be addressed: (1) the importance of the impacted wetland(s)
and (2) the severity of this impact. Merely listing the number of acres
taken by the various alternatives of a highway proposal does not provide
sufficient information upon which to determine the degree of impact on
the wetland ecosystem. The wetlands analysis should be sufficiently detailed
to provide an understanding of these two elements.
In
evaluating the importance of the wetlands, the analysis should consider
such factors as: (1) the primary functions of the wetlands (e.g., flood
control, wildlife habitat, ground water recharge, etc.), (2) the relative
importance of these functions to the total wetland resource of the area,
and (3) other factors such as uniqueness that may contribute to the wetlands
importance.
In
determining the wetland impact, the analysis should show the project's
effects on the stability and quality of the wetland(s). This analysis
should consider the short- and long-term effects on the wetlands and the
importance of any loss such as: (1) flood control capacity, (2) shore
line anchorage potential, (3) water pollution abatement capacity, and
(4) fish and wildlife habitat value. The methodology developed by FHWA
and described in reports numbered FHWA-IP-82-23 and FHWA IP-82-24, "A
Method for Wetland Functional Assessment Volumes I and II," is recommended
for use in conducting this analysis. Knowing the importance of the wetlands
involved and the degree of the impact, the HA and FHWA will be in a better
position to determine the mitigation efforts necessary to minimize harm
to these wetlands. Mitigation measures which should be considered include
preservation and improvement of existing wetlands and creation of new
wetlands (consistent with 23 CFR 777).
If
the preferred alternative is located in wetlands, to the fullest extent
possible, the final EIS needs to contain the finding required by Executive
Order 11990 that there are no practicable alternatives to construction
in wetlands. Where the finding is included, approval of the final EIS
will document compliance with the Executive Order 11990 requirements (23
CFR 771.125(a)(1)). The finding should be included in a separate subsection
entitled "Only Practicable Alternative Finding" and should be
supported by the following information:
- a reference to Executive Order 11990;
- an explanation why there are no practicable alternatives to the
proposed action;
- an explanation why the proposed action includes all practicable
measures to minimize harm to wetlands; and
- a concluding statement that: "Based upon the above considerations,
it is determined that there is no practicable alternative to the proposed
construction in wetlands and that the proposed action includes all practicable
measures to minimize harm to wetlands which may result from such use."
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13. Water Body Modification and Wildlife Impacts
For
each alternative under detailed study the draft EIS should contain exhibits
and discussions identifying the location and extent of water body modifications
(e.g., impoundment, relocation, channel deepening, filling, etc.). The
use of the stream or body of water for recreation, water supply, or other
purposes should be identified. Impacts to fish and wildlife resulting
from the loss degradation, or modification of aquatic or terrestrial habitat
should also be discussed. The results of coordination with appropriate
Federal, State and local agencies should be documented in the draft EIS.
For example, coordination with FWS under the Fish and Wildlife Coordination
Act of 1958.
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14. Floodplain Impacts
National
Flood Insurance Program (NFIP) maps or, if NFIP maps are not available,
information developed by the highway agency should be used to determine
whether an alternative will encroach on the base (100-year) floodplain.
The location hydraulic studies required by 23 CFR 650, Subpart A, must
include a discussion of the following items commensurate with the level
of risk or environmental impact, for each alternative which encroaches
on base floodplains or would support base floodplain development.
- The flooding risks;
- The impacts on natural and beneficial floodplain values;
- The support of probable incompatible floodplain development (i.e., any
development that is not consistent with a community's floodplain development
plan);
- The measures to minimize floodplain impacts; and
- The measures to restore and preserve the natural and beneficial floodplain
values.
The draft
EIS should briefly summarize the results of the location hydraulic studies.
The summary should identify the number of encroachments and any support
of incompatible floodplain developments and their potential impacts. Where
an encroachment or support of incompatible floodplain development results
in substantial impacts, the draft EIS should provide more detailed information
on the location, impacts and appropriate mitigation measures. In addition,
if any alternative (l) results in a floodplain encroachment or supports
incompatible floodplain development having significant impacts, or (2) requires
a commitment to a particular structure size or type, the draft EIS needs
to include an evaluation and discussion of practicable alternatives to the
structure or to the significant encroachment. The draft EIS should include
exhibits which display the alternatives, the base floodplains and, where
applicable, the regulatory floodways.
If
the preferred alternative includes a floodplain encroachment having significant
impacts, the final EIS must include a finding that it is the only practicable
alternative as required by 23 CFR 650, Subpart A. The finding should refer
to Executive Order 11988 and 23 CFR 650, Subpart A. It should be included
in a separate subsection entitled "Only Practicable Alternative Finding"
and must be supported by the following information.
- The reasons why the proposed action must be located in the floodplain;
- The alternatives considered and why they were not practicable; and
- A statement indicating whether the action conforms to applicable State
or local floodplain protection standards.
For each
alternative encroaching on a designated or proposed regulatory floodway,
the draft EIS should provide a preliminary indication of whether the encroachment
would be consistent with or require a revision to the regulatory floodway.
Engineering and environmental analyses should be undertaken, commensurate
with the level of encroachment, to permit the consistency evaluation and
identify impacts. Coordination with the Federal Emergency Management Agency
(FEMA) and appropriate State and local government agencies should be undertaken
for each floodway encroachment. If the preferred alternative encroaches
on a regulatory floodway, the final EIS should discuss the consistency of
the action with the regulatory floodway. If a floodway revision is necessary,
the EIS should include evidence from FEMA and local or State agency indicating
that such revision would be acceptable.
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15. Wild and Scenic Rivers
If
the proposed action could have foreseeable adverse effects on a river
on the National Wild and Scenic Rivers System or a river under study for
designation to the National Wild and Scenic Rivers System, the draft EIS
should identify early coordination undertaken with the agency responsible
for managing the listed or study river (i.e., National Park Service (NPS),
Fish and Wildlife Service (FWS), Bureau of Land Management (BLM), or Forest
Service (FS)). For each alternative under consideration, the EIS should
identify the potential adverse effects on the natural, cultural, and recreational
values of the listed or study river. Adverse effects include alteration
of the free-flowing nature of the river, alteration of the setting or
deterioration of water quality. If it is determined that any of the alternatives
could foreclose options to designate a study river under the Act, or adversely
affect those qualities of a listed river for which it was designated,
to the fullest extent possible, the draft EIS needs to reflect consultation
with the managing agency on avoiding or mitigating the impacts (23 CFR
771.123(c)). The final EIS should identify measures that will be included
in the preferred alternative to avoid or mitigate such impacts.
Publicly
owned waters of designated wild and scenic rivers are protected by Section
4(f). Additionally, public lands adjacent to a Wild and Scenic River may
be subject to Section 4(f) protection. An examination of any adopted or
proposed management plan for a listed river should be helpful in making
the determination on applicability of Section 4(f). For each alternative
that takes such land, coordination with the agency responsible for managing
the river (either NPS, FWS, BLM, or FS) will provide information on the
management plan, specific affected land uses, and any necessary Section
4(f) coordination.
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16. Coastal Barriers
The
Coastal Barrier Resources Act (CBRA) establishes certain coastal areas
to be protected by prohibiting the expenditure of Federal funds for new
and expanded facilities within designated coastal barrier units. When
a proposed project impacts a coastal barrier unit, the draft EIS should:
include a map showing the relationship of each alternative to the unit(s);
identify direct and indirect impacts to the unit(s), quantifying and describing
the impacts as appropriate; discuss the results of early coordination
with FWS, identifying any issues raised and how they were addressed, and;
identify any alternative which (if selected) would require an exception
under the Act. Any issues identified or exceptions required for the preferred
alternative should be resolved prior to its selection. This resolution
should be documented in the final EIS.
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17. Coastal Zone Impacts
Where
the proposed action is within, or is likely to affect land or water uses
within the area covered by a State Coastal Zone Management Program (CZMP)
approved by the Department of Commerce, the draft EIS should briefly describe
the portion of the affected CZMP plan, identify the potential impacts,
and include evidence of coordination with the State Coastal Zone Management
agency or appropriate local agency. The final EIS should include the State
Coastal Zone Management agency's determination on consistency with the
State CZMP plan. (In some States, an agency will make a consistency determination
only after the final EIS is approved, but will provide a preliminary indication
before the final EIS that the project is "not inconsistent"
or "appears to be consistent" with the plan.) (For direct Federal
actions, the final EIS should include the lead agency's consistency determination
and agreement by the State CZM agency.) If the preferred alternative is
inconsistent with the State's approved CZMP, it can be Federally funded
only if the Secretary of Commerce makes a finding that the proposed action
is consistent with the purpose or objectives of the CZM Act or is necessary
in the interest of national security. To the fullest extent possible,
such a finding needs to be included in the final EIS. If the finding is
denied, the action is not eligible for Federal funding unless modified
in such a manner to remove the inconsistency finding. The final EIS should
document such results.
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18. Threatened or Endangered Species
The
HA must obtain information from the FWS of the DOI and/or the National
Marine Fisheries Service (NMFS) of the Department of Commerce to determine
the presence or absence of listed and proposed threatened or endangered
species and designated and proposed critical habitat in the proposed project
area (50 CFR 402.12(c)). The information may be (1) a published geographical
list of such species or critical habitat; (2) a project-specific notification
of a list of such species or critical habitat; or (3) substantiated information
from other credible sources. Where the information is obtained from a
published geographical list the reasons why this would satisfy the coordination
with DOI should be explained. If there are no species or critical habitat
in the proposed project area, the Endangered Species Act requirements
have been met. The results of this coordination should be included in
the draft EIS.
When
a proposed species or a proposed critical habitat may be present in the
proposed project area, an evaluation or, if appropriate, a biological
assessment is made on the potential impacts to identify whether any such
species or critical habitat are likely to be adversely affected by the
project. Informal consultation with FWS and/or NMFS should be undertaken
during the evaluation. The draft EIS should include exhibits showing the
location of the species or habitat, summarize the evaluation and potential
impacts, identify proposed mitigation measures, and evidence coordination
with FWS and/or NMFS. If the project is likely to jeopardize the continued
existence of any proposed species or result in the destruction or adverse
modification of proposed critical habitat, the HA in consultation with
the FHWA must confer with FWS and/or NMFS to attempt to resolve potential
conflicts by avoiding, minimizing, or reducing the project impacts (50
CFR 402.10(a)). If the preferred alternative is likely to jeopardize the
continued existence of any proposed species or result in the destruction
or adverse modification of proposed critical habitat, a conference with
FWS and/or NMFS must be held to assist in identifying and resolving potential
conflicts. To the fullest extent possible, the final EIS needs to summarize
the results of the conference and identify reasonable and prudent alternatives
to avoid the jeopardy to such proposed species or critical habitat. If
no alternatives exist, the final EIS should explain the reasons why and
identify any proposed mitigation measures to minimize adverse effects.
When
a listed species or a designated critical habitat may be present in the
proposed project area, a biological assessment must be prepared to identify
any such species or habitat which are likely to be adversely affected
by the proposed project (50 CFR 402.12). Informal consultation should
be undertaken or, if desirable, a conference held with FWS and/or NMFS
during preparation of the biological assessment. The draft EIS should
summarize the following data from the biological assessment:
- The species distribution, habitat needs, and other biological requirements;
- The affected areas of the proposed project;
- Possible impacts to the species including opinions of recognized experts
on the species at issue;
- Measures to avoid or minimize adverse impacts; and
- Results of consultation with FWS and/or NMFS.
In selecting
an alternative, jeopardy to a listed species or the destruction or adverse
modification of designated critical habitat must be avoided (50 CFR 402.01(a)).
If the biological assessment indicates that there are no listed species
or critical habitat present that are likely to be adversely affected by
the preferred alternative, the final EIS should evidence concurrence by
the FWS and/or NMFS in such a determination and identify any proposed mitigation
for the preferred alternative.
If
the results of the biological assessment or consultation with FWS and/or
NMFS show that the preferred alternative is likely to jeopardize the continued
existence of a listed species or result in the destruction or adverse
modification of designated critical habitat, to the fullest extent possible,
the final EIS needs to contain: (l) a summary of the biological assessment
(see data above for draft EIS); (2) a summary of the steps taken, including
alternatives or measures evaluated and conferences and consultations held,
to resolve the project's conflicts with the listed species or critical
habitat; (3) a copy of the biological opinion; (4) a request for an exemption
from the Endangered Species Act; (5) the results of the exemption request;
and (6) a statement that (if the exemption is denied) the action is not
eligible for Federal funding.
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19. Historic and Archeological Preservation
The
draft EIS should contain a discussion demonstrating that historic and
archeological resources have been identified and evaluated in accordance
with the requirements of 36 CFR 800.4 for each alternative under consideration.
The information and level of effort needed to identify and evaluate historic
and archeological resources will vary from project to project as determined
by the FHWA after considering existing information, the views of the SHPO
and the Secretary of Interior's "Standards and Guidelines for Archeology
and Historic Preservation." The information for newly identified
historic resources should be sufficient to determine their significance
and eligibility for the National Register of Historic Places. The information
for archeological resources should be sufficient to identify whether each
warrants preservation in place or whether it is important chiefly because
of what can be learned by data recovery and has minimal value for preservation
in place. Where archeological resources are not a major factor in the
selection of a preferred alternative, the determination of eligibility
for the National Register of newly identified archeological resources
may be deferred until after circulation of the draft EIS.
The
draft EIS discussion should briefly summarize the methodologies used in
identifying historic and archeological resources. Because Section 4(f)
of the DOT Act applies to the use of historic resources on or eligible
for the National Register and to archeological resources on or eligible
for the National Register and which warrant preservation in place, the
draft EIS should describe the historical resources listed in or eligible
for the National Register and identify any archeological resources that
warrant preservation in place. The draft EIS should summarize the impacts
of each alternative on and proposed mitigation measures for each resource.
The document should evidence coordination with the SHPO on the significance
of newly identified historic and archeological resources, the eligibility
of historic resources for the National Register, and the effects of each
alternative on both listed and eligible historic resources. Where the
draft EIS discusses eligibility for the National Register of archeological
resources, the coordination with the SHPO on eligibility and effect should
address both historic and archeological resources.
The
draft EIS can serve as a vehicle for affording the Advisory Council on
Historic Preservation (ACHP) an opportunity to comment pursuant to Section
106 requirements if the document contains the necessary information required
by 36 CFR 800.8. The draft EIS transmittal letter to the ACHP should specifically
request its comments pursuant to 36 CFR 800.6.
To
the fullest extent possible, the final EIS needs to demonstrate that all
the requirements of 36 CFR 800 have been met. If the preferred alternative
has no effect on historic or archeological resources on or eligible for
the National Register, the final EIS should indicate coordination with
and agreement by the SHPO. If the preferred alternative has an effect
on a resource on or eligible for the National Register, the final EIS
should contain (a) a determination of no adverse effect concurred in by
the Advisory Council on Historic Preservation, (b) an executed memorandum
of agreement (MOA), or (c) in the case of a rare situation where FHWA
is unable to conclude the MOA, a copy of comments transmitted from the
ACHP to the FHWA and the FHWA response to those comments.
The
proposed use of land from an historic resource on or eligible for the
National Register will normally require an evaluation and approval under
Section 4(f) of the DOT Act. Section 4(f) also applies to all archeological
sites on or eligible for the National Register and which warrant preservation
in place. (See Section IX for information on Section 4(f)
evaluation.)
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20. Hazardous Waste Sites
Hazardous
waste sites are regulated by the Resource Conservation and Recovery Act
(RCRA) and the Comprehensive Environmental Response, Compensation, and
Liability Act (CERCLA). During early planning, the location of permitted
and nonregulated hazardous waste sites should be identified. Early coordination
with the appropriate Regional Office of the EPA and the appropriate State
agency will aid in identifying known or potential hazardous waste sites.
If known or potential waste sites are identified, the locations should
be clearly marked on a map showing their relationship to the alternatives
under consideration. If a known or potential hazardous waste site is affected
by an alternative, information about the site, the potential involvement,
impacts and public health concerns of the affected alternative(s), and
the proposed mitigation measures to eliminate or minimize impacts or public
health concerns should be discussed in the draft EIS.
If
the preferred alternative impacts a known or potential hazardous waste
site, the final EIS should address and resolve the issues raised by the
public and government agencies.
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21. Visual Impacts
The
draft EIS should state whether the project alternatives have a potential
for visual quality impacts. When this potential exists, the draft EIS
should identify the impacts to the existing visual resource, the relationship
of the impacts to potential viewers of and from the project, as well as
measures to avoid, minimize, or reduce the adverse impacts. When there
is potential for visual quality impacts, the draft EIS should explain
the consideration given to design quality, art, and architecture in the
project planning. These values may be particularly important for facilities
located in visually sensitive urban or rural settings. When a proposed
project will include features associated with design quality, art or architecture,
the draft EIS should be circulated to officially designated State and
local arts councils and, as appropriate, other organizations with an interest
in design, art, and architecture. The final EIS should identify any proposed
mitigation for the preferred alternative.
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22. Energy
Except
for large scale projects, a detailed energy analysis including computations
of BTU requirements, etc., is not needed. For most projects, the draft
EIS should discuss in general terms the construction and operational energy
requirements and conservation potential of various alternatives under
consideration. The discussion should be reasonable and supportable. It
might recognize that the energy requirements of various construction alternatives
are similar and are generally greater than the energy requirements of
the no-build alternative. Additionally, the discussion could point out
that the post-construction, operational energy requirements of the facility
should be less with the build alternative as opposed to the no-build alternative.
In such a situation, one might conclude that the savings in operational
energy requirements would more than offset construction energy requirements
and thus, in the long term, result in a net savings in energy usage.
For
large-scale projects with potentially substantial energy impacts, the
draft EIS should discuss the major direct and/or indirect energy impacts
and conservation potential of each alternative. Direct energy impacts
refer to the energy consumed by vehicles using the facility. Indirect
impacts include construction energy and such items as the effects of any
changes in automobile usage. The alternative's relationship and consistency
with a State and/or regional energy plan, if one exists, should also be
indicated.
The
final EIS should identify any energy conservation measures that will be
implemented as a part of the preferred alternative. Measures to conserve
energy include the use of high-occupancy vehicle incentives and measures
to improve traffic flow.
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23. Construction Impacts
The
draft EIS should discuss the potential adverse impacts (particularly air,
noise, water, traffic congestion, detours, safety, visual, etc.) associated
with construction of each alternative and identify appropriate mitigation
measures. Also, where the impacts of obtaining borrow or disposal of waste
material are important issues, they should be discussed in the draft EIS
along with any proposed measures to minimize these impacts. The final
EIS should identify any proposed mitigation for the preferred alternative.
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24. The Relationship Between Local Short-term Uses of Man's Environment and
the Maintenance and Enhancement of Long-term Productivity
The
EIS should discuss in general terms the proposed action's relationship
of local short-term impacts and use of resources, and the maintenance
and enhancement of long-term productivity. This general discussion might
recognize that the build alternatives would have similar impacts. The
discussion should point out that transportation improvements are based
on State and/or local comprehensive planning which consider(s) the need
for present and future traffic requirements within the context of present
and future land use development. In such a situation, one might then conclude
that the local short-term impacts and use of resources by the proposed
action is consistent with the maintenance and enhancement of long-term
productivity for the local area, State, etc.
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25. Any Irreversible and Irretrievable Commitments of Resources Which Would
be Involved in the Proposed Action
The
EIS should discuss in general terms the proposed action's irreversible
and irretrievable commitment of resources. This general discussion might
recognize that the build alternatives would require a similar commitment
of natural, physical, human, and fiscal resources. An example of such
discussion would be as follows:
"Implementation
of the proposed action involves a commitment of a range of natural, physical,
human, and fiscal resources. Land used in the construction of the proposed
facility is considered an irreversible commitment during the time period
that the land is used for a highway facility. However, if a greater need
arises for use of the land or if the highway facility is no longer needed,
the land can be converted to another use. At present, there is no reason
to believe such a conversion will ever be necessary or desirable.
Considerable
amounts of fossil fuels, labor, and highway construction materials such
as cement, aggregate, and bituminous material are expended. Additionally,
large amounts of labor and natural resources are used in the fabrication
and preparation of construction materials. These materials are generally
not retrievable. However, they are not in short supply and their use will
not have an adverse effect upon continued availability of these resources.
Any construction will also require a substantial one-time expenditure
of both State and Federal funds which are not retrievable.
The
commitment of these resources is based on the concept that residents in
the immediate area, State, and region will benefit by the improved quality
of the transportation system. These benefits will consist of improved
accessibility and safety, savings in time, and greater availability of
quality services which are anticipated to outweigh the commitment of these
resources."
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H. List of Preparers
This
section should include lists of:
- State (and local agency) personnel, including consultants, who were
primarily responsible for preparing the EIS or performing environmental
studies, and a brief summary of their qualifications, including educational
background and experience.
- The FHWA personnel primarily responsible for preparation or review of
the EIS and their qualifications.
- The areas of EIS responsibility for each preparer.
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I. List of Agencies, Organizations, and Persons to Whom Copies of the Statement
are Sent:
Draft
EIS: List all entities from which comments are being requested (40
CFR 1502.10).
Final EIS: Identify those entities that submitted comments on the
draft EIS and those receiving a copy of the final EIS (23 CFR 771.125(a)
and (g)).
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J. Comments and Coordination
- The draft EIS should contain copies of pertinent correspondence with
each cooperating agency, other agencies and the public and summarize:
1) the early coordination process, including scoping; 2) the meetings
with community groups (including minority and non-minority interests)
and individuals; and 3) the key issues and pertinent information received
from the public and government agencies through these efforts.
- The final EIS should include a copy of substantive comments from
the U.S. Secretary of Transportation (OST), each cooperating agency,
and other commenters on the draft EIS. Where the response is exceptionally
voluminous the comments may be summarized. An appropriate response should
be provided to each substantive comment. When the EIS text is revised
as a result of the comments received, a copy of the comments should
contain marginal references indicating where revisions were made, or
the response to the comments should contain such references. The response
should adequately address the issue or concern raised by the commentor
or, where substantive comments do not warrant further response, explain
why they do not, and provide sufficient information to support that
position.
The
FHWA and the HA are not commenters within the meaning of NEPA and their
comments on the draft EIS should not be included in the final EIS. However,
the document should include adequate information for FHWA and the HA
to ascertain the disposition of the comment(s). 3. The final EIS should
(1) summarize the substantive comments on social, economic, environmental,
and engineering issues made at the public hearing, if one is held, or
the public involvement activities or which were otherwise considered
and (2) discuss the consideration given to any substantive issue raised
and provide sufficient information to support that position.
- The final EIS should document compliance with requirements of all
applicable environmental laws, Executive Orders, and other related requirements,
such as Title VI of the Civil Rights Act of 1964. To the extent possible,
all environmental issues should be resolved prior to the submission
of the final EIS. When disagreement on project issues exists with another
agency, coordination with the agency should be undertaken to resolve
the issues. Where the issues cannot be resolved, the final EIS should
identify any remaining unresolved issues, the steps taken to resolve
the issues, and the positions of the respective parties. Where issues
are resolved through this effort, the final EIS should demonstrate resolution
of the concerns.
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K. Index
The
index should include important subjects and areas of major impacts so
that a reviewer need not read the entire EIS to btain information on a
specific subject or impact.
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L. Appendices
The
EIS should briefly explain or summarize methodologies and results of technical
analyses and research. Lengthy technical discussions should be contained
in a technical report. Material prepared as appendices to the EIS should:
-
consist of material prepared specifically for the EIS;
-
consist of material which substantiates an analysis fundamental to the
EIS;
-
be analytic and relevant to the decision to be made; and
-
be circulated with the EIS within FHWA, to EPA (Region), and to cooperating
agencies and be readily available on request by other parties. Other
reports and studies referred to in the EIS should be readily available
for review or for copying at a convenient location.
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VI. OPTIONS FOR PREPARING FINAL EISs
The
CEQ regulations place heavy emphasis on reducing paperwork, avoiding unnecessary
work, and producing documents which are useful to decisionmakers and to
the public. With these objectives in mind, three different approaches
to preparing final EISs are presented below. The first two approaches
can be employed on any project. The third approach is restricted to the
conditions specified by CEQ (40 CFR 1503.4(c)).
A. Traditional Approach
Under
this approach, the final EIS incorporates the draft EIS (essentially in
its entirety) with changes made as appropriate throughout the document
to reflect the selection of an alternative, modifications to the project,
updated information on the affected environment, changes in the assessment
of impacts, the selection of mitigation measures, wetland and floodplain
findings, the results of coordination, comments received on the draft
EIS and responses to these comments, etc. Since so much information is
carried over from the draft to the final, important changes are sometimes
difficult for the reader to identify. Nevertheless, this is the approach
most familiar to participants in the NEPA process.
B. Condensed Final EIS
This
approach avoids repetition of material from the draft EIS by incorporating,
by reference, the draft EIS. The final EIS is, thus, a much shorter document
than under the traditional approach; however, it should afford the reader
a complete overview of the project and its impacts on the human environment.
The
crux of this approach is to briefly reference and summarize information
from the draft EIS which has not changed and to focus the final EIS discussion
on changes in the project, its setting, impacts, technical analysis, and
mitigation that have occurred since the draft EIS was circulated. In addition,
the condensed final EIS must identify the preferred alternative, explain
the basis for its selection, describe coordination efforts, and include
agency and public comments, responses to these comments, and any required
findings or determinations (40 CFR 1502.14(e) and 23 CFR 771.125(a)).
The
format of the final EIS should parallel the draft EIS. Each major section
of the final EIS should briefly summarize the important information contained
in the corresponding section of the draft, reference the section of the
draft that provides more detailed information, and discuss any noteworthy
changes that have occurred since the draft was circulated.
At
the time that the final is circulated, an additional copy of the draft
EIS need not be provided to those parties that received a copy of the
draft EIS when it was circulated. Nevertheless, if, due to the passage
of time or other reasons, it is likely that they will have disposed of
their original copy of the draft EIS, then a copy of the draft EIS should
be provided with the final. In any case, sufficient copies of the draft
EIS should be on hand to satisfy requests for additional copies. Both
the draft EIS and the condensed final EIS should be filed with EPA under
a single final EIS cover sheet.
C. Abbreviated Version of Final EIS
The
CEQ regulation (40 CFR 1503.4(c)) provides the opportunity to expedite
the final EIS preparation where the only changes needed in the document
are minor and consist of factual corrections and/or an explanation of
why the comments received on the draft EIS do not warrant further response.
In using this approach, care should be exercised to assure that the draft
EIS contains sufficient information to make the findings in (2) below
and that the number of errata sheets used to make required changes is
small and that these errata sheets together with the draft EIS constitute
a readable, understandable, full disclosure document. The final EIS should
consist of the draft EIS and an attachment containing the following:
- Errata sheets making any necessary corrections to the draft EIS;
- A
section identifying the preferred alternative anda discussion of the
reasons it was selected. Thefollowing should also be included in this
sectionwhere applicable:
- final Section 4(f) evaluations containing
the information described in Section IX of these guidelines;
- wetland and finding(s);
- floodplain finding(s);
- a list of commitments for mitigation measures for the preferred
alternative; and Copies (or summaries) of comments received from circulation
of the draft EIS and public hearing and responses thereto.
Only the attachment need be provided to parties who received a copy
of the draft EIS, unless it is likely that they will have disposed of
their original copy, in which case both the draft EIS and the attachment
should be provided (40 CFR 1503.4(c)). Both the draft EIS and the attachment
must be filed with EPA under a single final EIS cover sheet(40 CFR 1503.4(c)).
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VII. DISTRIBUTION OF EISs AND SECTION 4(f) EVALUATIONS
A. Environmental Impact Statement
- After clearance by FHWA, copies of all draft EISs must be made available
to the public and circulated for comments by the HA to: all public officials,
private interest groups, and members of the public known to have an interest
in the proposed action or the draft EIS; all Federal, State, and local
government agencies expected to have jurisdiction, responsibility, interest,
or expertise in the proposed action; and States and Federal land management
entities which may be affected by the proposed action or any of the alternatives
(40 CFR 1502.19 and 1503.1). Distribution must be made no later than the
time the document is filed with EPA for Federal Register publication and
must allow for a minimum 45-day review period (40 CFR 1506.9 and 1506.10).
Internal FHWA distribution of draft and final EISs is subject to change
and is noted in memorandums to the Regional Administrators as requirements
change.
- Copies of all approved final EISs must be distributed to all Federal,
State, and local agencies and private organizations, and members of
the public who provided substantive comments on the draft EIS or who
requested a copy (40 CFR 1502.19). Distribution must be made no later
than the time the document is filed with EPA for Federal Register publication
and must allow for a minimum 30-day review period before the Record
of Decision is approved (40 CFR 1506.9 and 1506.10). Two copies of all
approved EISs should be forwarded to the FHWA Washington Headquarters
(HEV-11) for recordkeeping purposes.
- Copies of all EISs should normally be distributed to EPA and DOI
as follows, unless the agency has indicated to the FHWA offices the
need for a different number of copies:
- The EPA Headquarters: five copies of the draft EIS and five copies
of the final EIS (This is the "filing requirement" in Section
1506.9 of the CEQ regulation.) to the following address: Environmental
Protection Agency, Office of Federal Activities (A-104), 401 M Street,
SW., Washington, D.C. 20460.
- The appropriate EPA Regional Office responsible for EPA's review
pursuant to Section 309 of the Clean Air Act: five copies of the draft
EIS and five copies of the final EIS.
- The DOI Headquarters to the following address: U.S. Department of
the Interior
Office of Environmental Project Review
Room 4239
18th and C Streets, NW.
Washington, D.C. 20240
- All States in FHWA Regions 1, 3, 4, and 5, plus Hawaii, Guam, American
Samoa, Virgin Islands, Arkansas, Iowa, Louisiana, and Missouri: 12 copies
of the draft EIS and 7 copies of the final EIS.
- Kansas, Nebraska, North Dakota, Oklahoma, South Dakota, and Texas:
13 copies of the draft EIS and 8 copies of the final EIS.
- New Mexico and all States in FHWA Regions 8, 9, and 10, except
Hawaii, North Dakota, and South Dakota: 14 copies of the draft EIS and
9 copies of the final EIS.
Note: DOI Headquarters will make distribution within its Department.
While not required, advance distribution to DOI field offices may be
helpful to expedite their review.
B. Section
4(f) Evaluation
If
the Section 4(f) evaluation is included in a draft EIS, the DOI Headquarters
does not need additional copies of the draft or final EIS/Section 4(f)
evaluation. If the Section 4(f) evaluation is processed separately or
as part of an EA, the DOI should receive seven copies of the draft Section
4(f) evaluation for coordination and seven copies of the final Section
4(f) evaluation for information. In addition to coordination with DOI,
draft Section 4(f) evaluations must be coordinated with the officials
having jurisdiction over the Section 4(f) property and the Department
of Housing and Urban Development (HUD) and the United States Department
of Agriculture (USDA) where these agencies have an interest in or jurisdiction
over the affected Section 4(f) resource (23 CFR 771.135(i)). The point
of coordination for HUD is the appropriate Regional Office and for USDA,
the Forest Supervisor of the affected National Forest. One copy should
be provided to the officials with jurisdiction and two copies should be
submitted to HUD and USDA when coordination is required.
Return to the Table of Contents
VIII. RECORD OF DECISION — FORMAT AND CONTENT
The
Record of Decision (ROD) will explain the reasons for the project decision,
summarize any mitigation measures that will be incorporated in the project,
and document any required Section 4(f) approval. While cross-referencing
and incorporation by reference of the final EIS (or final EIS supplement)
and other documents are appropriate, the ROD must explain the basis for
the project decision as completely as possible, based on the information
contained in the EIS (40 CFR 1502.2). A draft ROD should be prepared by
the HA and submitted to the Division Office with the final EIS. The following
key items need to be addressed in the ROD:
A.
Decision.
Identify
the selected alternative. Reference to the final EIS (or final EIS supplement)
may be used to reduce detail and repetition.
B.
Alternatives Considered.
This
information can be most clearly organized by briefly describing each alternative
and explaining the balancing of values which formed the basis for the
decision. This discussion must identify the environmentally preferred
alternative(s) (i.e., the alternative(s) that causes the least damage
to the biological and physical environment) (40 CFR 1505.2(b)). Where
the selected alternative is other than the environmentally preferable
alternative, the ROD should clearly state the reasons for not selecting
the environmentally preferred alternative. If lands protected by Section
4(f) were a factor in the selection of the preferred alternative, the
ROD should explain how the Section 4(f) lands influenced the selection.
The
values (social, economic, environmental, cost-effectiveness, safety, traffic,
service, community planning, etc.) which were important factors in the
decisionmaking process should be clearly identified along with the reasons
some values were considered more important than others. The Federal-aid
highway program mandate to provide safe and efficient transportation in
the context of all other Federal requirements and the beneficial impacts
of the proposed transportation improvements should be included in this
balancing. While any decision represents a balancing of the values, the
ROD should reflect the manner in which these values were considered in
arriving at the decision.
C.
Section 4(f).
Summarize
the basis for any Section 4(f) approval when applicable (23 CFR 771.127(a)).
The discussion should include the key information supporting such approval.
Where appropriate, this information may be included in the alternatives
discussion above and referenced in this paragraph to reduce repetition.
D.
Measures to Minimize Harm.
Describe
the specific measures adopted to minimize environmental harm and identify
those standard measures (e.g., erosion control, appropriate for the proposed
action). State whether all practicable measures to minimize environmental
harm have been incorporated into the decision and, if not, why they were
not (40 CFR 1505.2(c)).
E.
Monitoring or Enforcement Program.
Describe
any monitoring or enforcement program which has been adopted for specific
mitigation measures, as outlined in the final EIS.
F.
Comments on Final EIS.
All
substantive comments received on the final EIS should be identified and
given appropriate responses. Other comments should be summarized and responses
provided where appropriate.
For
record keeping purposes, a copy of the signed ROD should be provided to
the Washington Headquarters (HEV-11). For a ROD approved by the Division
Office, copies should be sent to both the Washington Headquarters and
the Regional Office.
Return to the Table of Contents
IX. SECTION 4(f) EVALUATIONS--FORMAT AND CONTENT
A
Section 4(f) evaluation must be prepared for each location within a proposed
project before the use of Section 4(f) land is approved (23 CFR 771.135(a)).
For projects processed with an EIS or an EA/FONSI, the individual Section
4(f) evaluation should be included as a separate section of the document,
and for projects processed as categorical exclusions, as a separate Section
4(f) evaluation document. Pertinent information from various sections
of the EIS or EA/FONSI may be summarized in the Section 4(f) evaluation
to reduce repetition. Where an issue on constructive use Section 4(f)
arises and FHWA decides that Section 4(f) does not apply, the environmental
document should contain sufficient analysis and information to demonstrate
that the resource(s) is not substantially impaired.
The
use of Section 4(f) land may involve concurrent requirements of other
Federal agencies. Examples include consistency determinations for the
use of public lands managed by the Bureau of Land Management, compatibility
determinations for the use of land in the National Wildlife Refuge System
and the National Park System, determinations of direct and adverse effects
for Wild and Scenic Rivers, and approval of land conversions under Section
6(f) of the Land and Water Conservation Fund Act. The mitigation plan
developed for the project should include measures which would satisfy
the various requirements. For example, Section 6(f) directs the Department
of the Interior (National Park Service) to assure that replacement lands
of equal value, location, and usefulness are provided as conditions to
approval of land conversions. Therefore, where a Section 6(f) land conversion
is proposed for a highway project, replacement land will be necessary.
Regardless of the mitigation proposed, the draft and final Section 4(f)
evaluations should discuss the results of coordination with the public
official having jurisdiction over the Section 4(f) land and document the
National Park Service's position on the Section 6(f) land transfer, respectively.
A.
Draft Section 4(f) Evaluation
The
following format and content are suggested. The listed information should
be included in the Section 4(f) evaluation, as applicable.
- Proposed Action.
Where
a separate Section 4(f) evaluation is prepared, describe the proposed
project and explain the purpose and need for the project.
- Section 4(f) Property.
Describe
each Section 4(f) resource which would be used by any alternative under
consideration. The following information should be provided:
- A detailed map or drawing of sufficient scale to identify the relationship
of the alternatives to the Section 4(f) property.
- Size (acres or square feet) and location (maps or other exhibits
such as photographs, sketches, etc.) of the affected Section 4(f) property.
- Ownership (city, county, State, etc.) and type of Section 4(f) property
(park, recreation, historic, etc.).
- Function of or available activities on the property (ball playing,
swimming, golfing, etc.).
- Description and location of all existing and planned facilities
(ball diamonds, tennis courts, etc.).
- Access (pedestrian, vehicular) and usage (approximate number of
users/visitors, etc.).
- Relationship to other similarly used lands in the vicinity.
- Applicable clauses affecting the ownership, such as lease, easement,
covenants, restrictions, or conditions, including forfeiture.
- Unusual characteristics of the Section 4(f) property (flooding problems,
terrain conditions, or other features) that either reduce or enhance
the value of all or part of the property.
- Impacts
on the Section 4(f) Property(ies).
Discuss
the impacts on the Section 4(f) property for each alternative (e.g., amount
of land to be used, facilities and functions affected, noise, air pollution,
visual, etc.). Where an alternative (or alternatives) uses land from more
than one Section 4(f) property, a summary table would be useful in comparing
the various impacts of the alternative(s). Impacts (such as facilities
and functions affected, noise, etc.) which can be quantified should be
quantified. Other impacts (such as visual intrusion) which cannot be quantified
should be described.
- Avoidance Alternatives.
Identify
and evaluate location and design alternatives which would avoid the Section
4(f) property. Generally, this would include alternatives to either side
of the property. Where an alternative would use land from more than one
Section 4(f) property, the analysis needs to evaluate alternatives which
avoid each and all properties (23 CFR 771.135(i)). The design alternatives
should be in the immediate area of the property and consider minor alignment
shifts, a reduced facility, retaining structures, etc. individually or
in combination, as appropriate. Detailed discussions of alternatives in
an EIS or EA need not be repeated in the Section 4(f) portion of the document,
but should be referenced and summarized. However, when alternatives (avoiding
Section 4(f) resources) have been eliminated from detailed study the discussion
should also explain whether these alternatives are feasible and prudent
and, if not, the reasons why.
- Measures to Minimize Harm.
Discuss
all possible measures which are available to minimize the impacts of the
proposed action on the Section 4(f) property(ies). Detailed discussions
of mitigation measures in the EIS or EA may be referenced and appropriately
summarized, rather than repeated.
-
Coordination.
Discuss
the results of preliminary coordination with the public official having
jurisdiction over the Section 4(f) property and with regional (or local)
offices of DOI and, as appropriate, the Regional Office of HUD and the
Forest Supervisor of the affected National Forest. Generally, the coordination
should include discussion of avoidance alternatives, impacts to the property,
and measures to minimize harm. In addition, the coordination with the
public official having jurisdiction should include, where necessary, a
discussion of significance and primary use of the property.
Note:
The conclusion that there are no feasible and prudent alternatives is
not normally addressed at the draft Section 4(f) evaluation stage. Such
conclusion is made only after the draft Section 4(f) evaluation has been
circulated and coordinated and any identified issues adequately evaluated.
B. Final
Section 4(f) Evaluation
When
the preferred alternative uses Section 4(f) land, the final Section 4(f)
evaluation must contain (23 CFR 771.135(i) and (j)):
- All the above information for a draft evaluation.
- A discussion of the basis for concluding that there are no feasible and
prudent alternatives to the use of the Section 4(f) land. The supporting
information must demonstrate that "there are unique problems or unusual
factors involved in the use of alternatives that avoid these properties
or that the cost, social, economic, and environmental impacts, or community
disruption resulting from such alternatives reach extraordinary magnitudes"
(23 CFR 771.135(a)(2)). This language should appear in the document together
with the supporting information.
- A discussion of the basis for concluding that the proposed action includes
all possible planning to minimize harm to the Section 4(f) property. When
there are no feasible and prudent alternatives which avoid the use of
Section 4(f) land, the final Section 4(f) evaluation must demonstrate
that the preferred alternative is a feasible and prudent alternative with
the least harm on the Section 4(f) resources after considering mitigation
to the Section 4(f) resources.
- A summary of the appropriate formal coordination with the Headquarters
Offices of DOI (and/or appropriate agency under that Department) and,
as appropriate, the involved offices of USDA and HUD.
- Copies
of all formal coordination comments and a summary of other relevant Section
4(f) comments received an analysis and response to any questions raised.
Where new alternatives or modifications to existing alternatives are identified
and will not be given further consideration, the basis for dismissing
these alternatives should be provided and supported by factual information.
Where Section 6(f) land is involved, the National Park Service's position
on the land transfer should be documented.
- Concluding statement as follows: "Based upon the above considerations,
there is no feasible and prudent alternative to the use of land from the
(identify Section 4(f) property) and the proposed action includes all
possible planning to minimize harm to the (Section 4(f) property) resulting
from such use."
Return to the Table of Contents
X.
OTHER AGENCY STATEMENTS
- The FHWA review of statements prepared by other agencies will consider
the environmental impact of the proposal on areas within FHWA's functional
area of responsibility or special expertise (40 CFR 1503.2).
- Agencies requesting comments on highway impacts usually forward the draft
EIS to the FHWA Washington Headquarters for comment. The FHWA Washington
Headquarters will normally distribute these EISs to the appropriate Regional
or Division Office (per Regional Office request) and will indicate where
the comments should be sent. The Regional Office may elect to forward
the draft statement to the Division Office for response.
- When a field office has received a draft EIS directly from another agency,
it may comment directly to that agency if the proposal does not fall within
the types indicated in item (d) of this section. If more than one DOT
Administration is commenting at the Regional level, the comments should
be coordinated by the DOT Regional Representative to the Secretary or
designee. Copies of the FHWA comments should be distributed as follows:
- Requesting agency--original and one copy.
- P-14--one copy.
- DOT Secretarial Representative--one copy.
- HEV-11--one copy.
- The
following types of actions contained in the draft EIS require FHWA Washington
Headquarters review and such EISs should be forwarded to the Director, Office
of Environmental Policy, along with Regional comments, for processing:
- actions with national implications, and
- legislation or regulations having national impacts or national program
proposals.
Return to the Table of Contents
XI. REEVALUATIONS
A. Draft EIS Reevaluation
If
an acceptable final EIS is not received by FHWA within 3 years from the
date of the draft EIS circulation, then a written evaluation is required
to determine whether there have been changes in the project or its surroundings
or new information which would require a supplement to the draft EIS or
a new draft EIS (23 CFR 771.129(a)). The written evaluation should be
prepared by the HA in consultation with FHWA and should address all current
environmental requirements. The entire project should be revisited to
assess any changes that have occurred and their effect on the adequacy
of the draft EIS.
There
is no required format for the written evaluation. It should focus on the
changes in the project, its surroundings and impacts, and any new issues
identified since the draft EIS. Field reviews, additional studies (as
necessary), and coordination (as appropriate) with other agencies should
be undertaken and the results included in the written evaluation. If,
after reviewing the written evaluation, the FHWA concludes that a supplemental
EIS or a new draft EIS is not required, the decision should be appropriately
documented. Since the next major step in the project development process
is preparation of a final EIS, the final EIS may document the decision.
A statement to this fact, the conclusions reached, and supporting information
should be briefly summarized in the Summary Section of the final EIS.
B. Final EIS Reevaluation
There
are two types of reevaluations required for a final EIS: consultation
and written evaluation (23 CFR 771.129(b) and (c)). For the first, consultation,
the final EIS is reevaluated prior to proceeding with major project approval
(e.g., right-of-way acquisition, final design, and plans, specifications,
and estimates (PS&E)) to determine whether the final EIS is still
valid. The level of analysis and documentation, if any, should be agreed
upon by the FHWA and HA. The analysis and documentation should focus on
and be commensurate with the changes in the project and its surroundings,
potential for controversy, and length of time since the last environmental
action. For example, when the consultation occurs shortly after final
EIS approval, an analysis usually should not be necessary. However, when
it occurs nearly 3 years after final EIS approval, but before a written
evaluation is required, the level of analysis should be similar to what
normally would be undertaken for a written evaluation. Although written
documentation is left to the discretion of the Division Administrator,
it is suggested that each consultation be appropriately documented in
order to have a record to show the requirement was met.
The
second type of reevaluation is a written evaluation. It is required if
the HA has not taken additional major steps to advance the project (i.e.,
has not received from FHWA authority to undertake final design, authority
to acquire a significant portion of the right-of-way, or approval of the
PS&E) within any 3-year time period after approval of the final
EIS, the final supplemental EIS, or the last major FHWA approval action.
The written evaluation should be prepared by the HA in consultation with
FHWAand should address all current environmental requirements. The entire
project should be revisited to assess any changes that have occurred and
their effect on the adequacy of the final EIS.
There
is no required format for the written evaluation. It should focus on the
changes in the project, its surroundings and impacts, and any new issues
identified since the final EIS was approved. Field reviews, additional
environmental studies (as necessary), and coordination with other agencies
should be undertaken (as appropriate to address any new impacts or issues)
and the results included in the written evaluation. The FHWA Division
Office is the action office for the written evaluation. If it is determined
that a supplemental EIS is not needed, the project files should be documented
appropriately. In those rare cases where an EA is prepared to serve as
the written evaluation, the files should clearly document whether new
significant impacts were identified during the reevaluation process.
Return to the Table of Contents
XII. SUPPLEMENTAL ENVIRONMENTAL IMPACT STATEMENTS (EISs)
Whenever
there are changes, new information, or further developments on a project
which result in significant environmental impacts not identified in the
most recently distributed version of the draft or final EIS, a supplemental
EIS is necessary (40 CFR 1502.9(c)). If it is determined that the changes
or new information do not result in new or different significant environmental
impacts, the FHWA Division Administrator should document the determination.
(After final EIS approval, this documentation could take the form of notation
to the files; for a draft EIS, this documentation could be a discussion
in the final EIS.)
A. Format and Content of a Supplemental EIS
There
is no required format for a supplemental EIS. The supplemental EIS should
provide sufficient information to briefly describe the proposed action,
the reason(s) why a supplement is being prepared, and the status of the
previous draft or final EIS. The supplemental EIS needs to address only
those changes or new information that are the basis for preparing the
supplement and were not addressed in the previous EIS (23 CFR 771.130(a)).
Reference to and summarizing the previous EIS is preferable to repeating
unchanged, but still valid, portions of the original document. For example,
some items such as affected environment, alternatives, or impacts which
are unchanged may be briefly summarized and referenced. New environmental
requirements which became effective after the previous EIS was prepared
need to be addressed in the supplemental EIS to the extent they apply
to the portion of the project being evaluated and are relevant to the
subject of the supplement (23 CFR 771.130(a)). Additionally, to provide
an up-to-date status of compliance with NEPA, it is recommended that the
supplement summarize the results of any reevaluations that have been performed
for portions of or the entire proposed action. By this inclusion, the
supplement will reflect an up-to-date consideration of the proposed action
and its effects on the human environment. When a previous EIS is referenced,
the supplemental EIS transmittal letter should indicate that copies of
the original (draft or final) EIS are available and will be provided to
all requesting parties.
B.
Distribution of a Supplemental EIS
A
supplemental EIS will be reviewed and distributed in the same manner as
a draft and final EIS (23 CFR 771.130(d)). (See Section VII for additional
information.)
Return to the Table of Contents
XIII.
Appendices
Two
appendices are included as follows:
Appendix A: Environmental Laws, Authority, and Related Statutes and Orders
Appendix B: Preparation and Processing of Notices of Intent.
FHWA TECHNICAL ADVISORY T 6640.8A
October 30, 1987
ATTACHMENT – APPENDIX A
ENVIRONMENTAL
LAWS,
AUTHORITY, AND RELATED STATUTES AND ORDERS
AUTHORITY:
42
United States Code (U.S.C.) 4321 et seq., National Environmental Policy
Act of 1969, as amended.
23
U.S.C. 138 and 49 U.S.C. 303, Section 4(f) of the Department of Transportation
(DOT) Act of 1966.
23
U.S.C. 109(h), (i), and (j) standards.
23
U.S.C. 128, Public Hearings.
23
U.S.C. 315, Rules, Regulations, and Recommendations.
23
Code of Federal Regulations (CFR), Part 771, Environmental Impact and
Related Procedures.
40
CFR 1500 et seq., Council on Environmental Quality, Regulations for Implementing
the Procedural Provisions of the National Environmental Policy Act.
49
CFR 1.48(b), DOT Delegations of Authority to the Federal Highway Administration.
DOT
Order 5610.1c, Procedures for Considering Environmental Impacts, September
18, 1979, and subsequent revisions.
RELATED
STATUTES AND ORDERS: The following is a list of major statutes and
orders on the preparation of environmental documents.
7
U.S.C. 4201 et seq., Farmland Protection Policy Act of 1981.
16
U.S.C. 461 et seq., Archaeological and Historic Preservation Act; and
23 U.S.C. 305.
16
U.S.C. 470f, Sections 106, 110(d), and 110(f) of the National Historic
Preservation Act of 1966.
16
U.S.C. 662, Section 2 of the Fish and Wildlife Coordination Act.
16
U.S.C. 1452, 1456, Sections 303 and 307 of the Coastal Zone Management
Act of 1972.
16
U.S.C. 1271 et. seq., Wild and Scenic Rivers Act.
16
U.S.C. 1536, Section 7 of the Endangered Species Act of 1973.
33
U.S.C. 1251 et seq., Clean Water Act of 1977.
33
U.S.C. 1241 et seq., Resource Conservation and Recovery Act.
42
U.S.C. 300(f) et seq., Safe Drinking Water Act.
42
U.S.C. 4371 et seq., Environmental Quality Improvement Act of 1970.
42
U.S.C. 4601 et seq., Uniform Relocation Assistance and Real Property Acquisition
Policies Act of 1970.
42
U.S.C. 4901 et seq., Noise Control Act of 1972.
42
U.S.C. 9601 et seq., Comprehensive Environmental Response, Compensation,
and Liability Act of 1980.
42
U.S.C. 7401 et seq., Clean Air Act.
42
U.S.C. 2000d-d4, Title VI of the Civil Rights Act of 1964.
43
U.S.C. Coastal Barriers Resources Act of 1982.
Executive
Order 11514, Protection and Enhancement of Environmental Quality, as amended
by Executive Order 11991, dated May 24, 1977.
Executive
Order 11593, Protection and Enhancement of the Cultural Environment, dated
May 13, 1971, implemented by DOT Order 5650.1, dated, November 20, 1972.
Executive
Order 11988, Floodplain Management, dated May 24, 1977, implemented by
DOT Order 5650.2, dated April 23, 1979.
Executive
Order 11990, Protection of Wetlands, dated May 24, 1977, implemented by
DOT Order 5660.1A, dated August 24, 1978.
Return to the Table of Contents
FHWA TECHNICAL ADVISORY T 6640.8A
October 30, 1987
ATTACHMENT – APPENDIX B
Preparation
and Processing of Notices of Intent
The
CEQ regulations and Title 23, Code of Federal Regulations,
Part 771, Environmental Impact and Related Procedures, require the
Administration to publish a notice of intent in the Federal Register as
soon as practicable after the decision is made to prepare an environmental
impact statement (EIS) and before the scoping process (40 CFR 1501.7).
A notice of intent will also be published when a decision is made to supplement
a final EIS, but will not be necessary when preparing a supplement to
a draft EIS (23 CFR 771.130(d)). The responsibility for preparing notices
of intent has been delegated to Regional Federal Highway Administrators
and subsequently redelegated to Division Administrators. The notice should
be sent directly to the Federal Register at the address provided in Attachment
1 and a copy provided to the Project Development Branch (HEV-11), Office
of Environmental Policy, and the appropriate Region Office.
In
cases where a notice of intent is published in the Federal Register and
a decision is made not to prepare the draft EIS or, when the draft EIS
has been prepared, a decision is made not to prepare a final EIS, a revised
notice of intent should be published in the Federal Register advising
of the decision and the reasons for not preparing the EIS. This applies
to future and current actions being processed.
Notices
of intent should be prepared and processed in strict conformance with
the guidelines in Attachment 1 in order to ensure acceptance for publication
by the Office of the Federal Register. A sample of each notice of intent
for preparation of an EIS and a supplemental EIS is provided as Attachment
2.
The
Project Development Branch (HEV-11) will serve as the Federal Register
contact point for notice of intent. All inquiries should be directed to
that office.
GUIDELINES
FOR PREPARATION AND PROCESSING OF NOTICES OF INTENT
FORMAT
- Typed in black on white bond paper.
- Paper size: 8 1/2" x 11".
- Margins: Left at least 1 1/2", all others 1".
- Spacing: All material double spaced (except title in heading).
- Heading: Four items on first page at head of document (see Attachment
2):
— Billing Code No. 4910-22 typed in brackets or parentheses
— DEPARTMENT OF TRANSPORTATION (all upper case)
— Federal Highway Administration
— ENVIRONMENTAL IMPACT STATEMENT; COUNTY OR CITY, STATE (all upper case;
single space)
- Text:
Five sections – AGENCY, ACTION, SUMMARY, FOR FURTHER INFORMATION CONTACT,
AND SUPPLEMENTARY INFORMATION; each section title in upper case followed
by colon (see Content (below) and Samples 1 and 2).
- Closing:
— Include the Catalog of Federal Domestic Assistance number and title
— Issued on: (indent 5 spaces and type or stamp in date when document
is signed)
— Signature line (begin in middle of page; type name, title, and city
under the signature; use name and title of the official actually signing
the document (e.g., "John Doe, District Engineer," not "John
Doe, for the Division Administrator"))
- Document should be neat and in form suitable for public inspection. Two
or more notices of intent can be included in a single document by making
appropriate revisions to the heading and text of the document.
CONTENT
- AGENCY: Federal Highway Administration (FHWA), DOT.
- ACTION: Notice of Intent.
- SUMMARY: The FHWA is issuing this notice to advise the public that an
environmental impact statement will be prepared for a proposed highway
project in . . . .
- FOR FURTHER INFORMATION CONTACT: This section should state the name and
address of a person or persons within the FHWA Division Office who can
answer questions about the proposed action and the EIS as it is being
developed. The listing of a telephone number is optional. State and/or
local officials may also be listed, but always following the FHWA contact
person.
- SUPPLEMENTARY INFORMATION: This section should contain:
- a brief narrative description of the proposed action (e.g., location
of the action, type of construction, length of the project, needs which
will be fulfilled by the action);
For
a supplement to a final EIS add: the original EIS number and approval
date, and the reason(s) for preparing the supplement;
- a brief description of possible alternatives to accomplish the goals
of the proposed action (e.g., upgrade existing facility, do nothing
(should always be listed), construction on new alignment, mass transit,
multi-modal design); and
- a brief description of the proposed scoping process for the particular
action including whether, when, and where any scoping meeting will be
held.
For a supplement to a final EIS: the scoping process is not required
for a supplement; however, scoping should be discussed to the extent
anticipated for the development of the supplement;
In
drafting this section —
* use plain English
* avoid technical terms and jargon
* always refer to the proposed action or proposed project (e.g., the
proposed action would . . .)
*identify all abbreviations
*list FHWA first when other agencies (State or local) are listed as
being involved in the preparation of the EIS
PROCESSING
- Send three (3) duplicate originals each signed in ink by the issuing officer
to: Office of the Federal Register
National Archives and Records Administration
Washington, D.C. 20408
- The duplicates must be identical in all respects. The Federal Register
will accept electrostatic copies as long as they are readable and individually
signed.
- Three (3) additional copies are required if material is printed on both
sides. If a single original and two certified copies are sent, the statement
"CERTIFIED TO BE A TRUE COPY OF THE ORIGINAL" and the signature
of a duly authorized certifying officer must appear on each certified
copy.
- A record should be kept of the date on which each notice is mailed to
the Federal Register.
- Send one (1) copy each to the Project Development Branch (HEV-11) and
the Regional office.
Return to the Table of Contents
S A M P L E 1
(It is recommended that you refer to the hard copy of this document
for the samples)
[4910-22]
DEPARTMENT
OF TRANSPORTATION
Federal
Highway Administration
ENVIRONMENTAL
IMPACT STATEMENT: WASHINGTON COUNTY, WASHINGTON
AGENCY:
Federal Highway Administration (FHWA), DOT.
ACTION:
Notice of Intent.
SUMMARY:
The FHWA is issuing this notice to advise the public that an environmental
impact statement will be prepared for a proposed highway project in Washington
County, Washington.
FOR
FURTHER INFORMATION CONTACT: James West, District Engineer, Federal Highway
Administration, 400 Market Street, State Capital, Washington 98507, Telephone:
(206) 222-2222.
SUPPLEMENTARY
INFORMATION: The FHWA, in cooperation with the Washington Department of
Transportation and the Washington County Highway Department, will prepare
an environmental impact statement (EIS) on a proposal to improve U.S.
Route 10 (U.S. 10) in Washington County, Washington. The proposed improvement
would involve the reconstruction of the existing U.S. 10 between the towns
of Eastern and Western for a distance of about 20 miles.
Improvements
to the corridor are considered necessary to provide for the existing and
projected traffic demand. Also, included in this proposal is the replacement
of the existing East End Bridge and a new interchange with Washington
Highway 20 (W.H. 20) west of Eastern. Alternatives under consideration
include (1) taking no action; (2) using alternate travel modes; (3) widening
the existing two-lane highway to four lanes; and (4) constructing a four-lane,
limited access highway on new location. Incorporated into and studied
with the various build alternatives will be design variations of grade
and alignment.
Letters
describing the proposed action and soliciting comments will be sent to
appropriate Federal, State, and local agencies, and to private organizations
and citizens who have previously expressed or are known to have interest
in this proposal. A series of public meetings will be held in Eastern
and Western between May and June 1985. In addition, a public hearing will
be held. Public notice will be given of the time and place of the meetings
and hearing. The draft EIS will be available for public and agency review
and comment prior to the public hearing. No formal scoping meeting is
planned at this time.
To
ensure that the full range of issues related to this proposed action are
addressed and all significant issues identified, comments, and suggestions
are invited from all interested parties. Comments or questions concerning
this proposed action and the EIS should be directed to the FHWA at the
address provided above.
(Catalog
of Federal Domestic Assistance Program Number 20.205, Highway Planning
and Construction. The regulations implementing Executive Order 12372 regarding
intergovernmental consultation on Federal programs and activities apply
to this program.)
Issued
on: March 26, 1985.
______________________________
John Doe, Division Administrator
Capital
[4910-22]
DEPARTMENT
OF TRANSPORTATION
Federal
Highway Administration
ENVIRONMENTAL
IMPACT STATEMENT: WASHINGTON COUNTY, WASHINGTON
AGENCY:
Federal Highway Administration (FHWA), DOT.
ACTION:
Notice of Intent.
SUMMARY:
The FHWA is issuing this notice to advise the public that a supplement
to a final environmental impact statement will be prepared for a proposed
highway project in Washington County, Washington.
FOR
FURTHER INFORMATION CONTACT: James West, District Engineer, Federal Highway
Administration, 400 Market Street, State Capital, Washington 98507, Telephone:
(206) 222-2222.
SUPPLEMENTARY
INFORMATION: The FHWA, in cooperation with the Washington Department of
Transportation and the Washington County Highway Department, will prepare
a supplement to the final environmental impact statement (EIS) on a proposal
to improve U.S. Route 10 (U.S. 10) in Washington County, Washington. The
original EIS for the improvements (FHWA-WA-EIS-85-06-F) was approved on
December 21, 1985. The proposed improvements to U.S. 10 provide a divided
four-lane, limited access highway on new location between the towns of
Western and Eastern for a distance of about 20 miles. Improvements to
the corridor are considered necessary to provide for existing and projected
traffic demand.
The
location and preliminary design of the western 15 miles portion of the
proposed facility, from Western to U.S. 20, have been approved. However,
substantial changes in the local street system and land use development
in Eastern have reduced the suitability of the approved location east
of U.S. 20. The portion of the proposed facility east of U.S. 20 is now
to be restudied to determine if a new route location and connection to
I-90 would be appropriate.
Alternatives
under consideration include (1) taking no action and terminating the facility
at U.S. 20; (2) constructing a four-lane, limited access highway on the
approved location; (3) widening the existing two-lane U.S. 10 to four
lanes with a connection to U.S. 20; and (4) constructing a four-lane,
limited access highway on new location and connecting to I-90. Incorporated
into and studied with the various build alternatives will be design variations
of grade and alignment.
Letters
describing the proposed action and soliciting comments will be sent to
appropriate Federal, State, and local agencies, and to private organizations
and citizens who have previously expressed or are known to have interest
in this proposal. A public meeting will be held in Eastern in August 1987.
In addition, a public hearing will be held. Public notice will be given
of the time and place of the meeting and hearing. The draft supplemental
EIS will be available for public and agency review and comment prior to
the public hearing. No formal scoping meeting will be held.
To
ensure that the full range of issues related to this proposed action are
addressed and all significant issues identified, comments and suggestions
are invited from all interested parties. Comments or questions concerning
this proposed action and the EIS should be directed to the FHWA at the
address provided above. (Catalog of Federal Domestic Assistance Program
Number 20.205, Highway Research, Planning, and Construction. The regulations
implementing Executive Order 12372 regarding intergovernmental consultation
on Federal programs and activities apply to this program.)
Issued
on: April 23, 1987.
___________________________
John Doe, Division Administrator
Capital
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