NR 140.24(5)(a)
(a) The concentration of a substance within a design management zone is detected above the preventive action limit, the enforcement standard has not been attained or exceeded within the design management zone, and the department determines that there is no indication that the preventive action limit will be attained or exceeded at any point outside the design management zone, or
NR 140.24(5)(b)
(b) The background concentration of a substance is greater than the preventive action limit, the anticipated or detected incremental increase in the concentration of a substance which results from a specific facility, practice or activity is not greater than the preventive action limit, and the anticipated or detected concentration is not greater than the enforcement standard either within or outside of the design management zone.
NR 140.24(6)
(6)
Prohibition and closure criteria. The department may not impose a prohibition on a practice or activity or require closure of a facility which produces the substance unless the department:
NR 140.24(6)(b)
(b) Determines, to a reasonable certainty, by the greater weight of the credible evidence, that no other remedial action would prevent the violation of the enforcement standard at the point of standards application;
NR 140.24(6)(c)
(c) Establishes the basis for the boundary and duration of the prohibition; and
NR 140.24(6)(d)
(d) Ensures that any prohibition imposed shall be reasonably related in time and scope to maintaining compliance with the enforcement standard at the point of standards application.
NR 140.24 History
History: Cr.
Register, September, 1985, No. 357, eff. 10-1-85; am. (5) (intro.) and (6) (intro.),
Register, October, 1988, No. 394, eff. 11-1-88; am. (1) (intro.), (a), (b), (c) (intro.), 5. and 10., (2) (intro.), and (5) (intro.), renum. (7) to be NR 104.02 (4),
Register, January, 1992, No. 433, eff. 2-1-92; am. (1) (intro.), (c) (intro.), (3) (intro.) and Table 5,
Register, March, 1994, No. 459, eff. 4-1-94; am. (1) (a), (5) (intro.),
Register, August, 1995, No. 476, eff. 9-1-95; am. (2) (intro.), (4) and Table 5,
Register, October, 1996, No. 490, eff. 11-1-96; am. (1) (a),
Register, December, 1998, No. 516, eff. 1-1-99;
CR 22-061: am. (3) (intro.) Register July 2023 No. 811, eff. 8-1-23.
NR 140.26
NR 140.26 Responses when an enforcement standard is attained or exceeded. NR 140.26(1)(1)
Notification and assessment. If the concentration of a substance in groundwater attains or exceeds an enforcement standard at a point of standards application as described in s.
NR 140.22 (2):
NR 140.26(1)(a)
(a) The owner or operator of the facility, practice or activity shall notify the department in writing when monitoring data is submitted that an enforcement standard has been attained or exceeded in accordance with any deadlines in applicable statutes, rules, permits or plan approvals. Where no deadlines are imposed, the owner or operator shall notify the department as soon as practical after the results are received. When the results of any private well sampling attain or exceed an enforcement standard or preventive action limit, the owner or operator of the facility, practice or activity shall notify the department within 10 days after the results are received. The notification shall provide a preliminary analysis of the cause and significance of the concentration.
NR 140.26 Note
Note: Section
292.11 (2) (a), Stats., requires that the department be notified immediately of hazardous substance discharges.
NR 140.26(1)(b)
(b) Upon receipt of the notice under par.
(a), the department shall evaluate the information and, if further information is required to make the assessment under par.
(c), direct the owner or operator to prepare and submit a report by a specified deadline. The report shall assess the cause and significance of the increased concentration based on a consideration of the factors identified in s.
NR 140.24 (1) (c) and shall propose a response to achieve compliance with the enforcement standard at the point of standards application and to comply with sub.
(4).
NR 140.26(1)(c)
(c) The department shall assess the cause and significance of the concentration of the substance in determining the appropriate response measures to achieve compliance with the enforcement standard at the point of standards application and to comply with sub.
(4). In addition to all other relevant information, the department shall consider the information submitted under sub.
(1) and the factors listed in s.
NR 140.24 (1) (c), where applicable.
NR 140.26(2)(a)(a) If a facility, activity or practice is regulated under subch.
IV of ch. 283, Stats., ch.
289,
291, or
292, Stats., the department shall require responses as necessary, based on the evaluation of the increased concentration as outlined in sub.
(1), to prevent any new releases of the substance from traveling beyond the design management zone or other applicable point of standards application described in s.
NR 140.22 and restore contaminated groundwater within a reasonable period of time, considering the criteria specified in s.
NR 722.07. Both the source control and the groundwater restoration components of the response shall be designed to achieve compliance with the enforcement standard at the point of standards application and to achieve compliance with the preventive action limit at the point of standards application unless compliance with the preventive action limit is not technically and economically feasible. The range of responses which the department may take or may require the owner or operator of a facility, practice or activity to take if an enforcement standard for a substance of public health or welfare concern has been attained or exceeded at a point of standards application is listed in Table 6. More than one response listed in Table 6 may be required by the department. In addition, the department may take or may require the owner or operator of a facility, practice or activity to take one or more responses from Table 5, except response number one.
Table 6
Range of Responses for Exceedance of Enforcement Standards for Substances of Health or Welfare Concern
- See PDF for table NR 140.26(2)(b)
(b) If an activity or practice is not subject to regulation under subch.
IV of ch. 283, Stats., ch.
289,
291, or
292, Stats., and if the concentration of a substance in groundwater attains or exceeds an enforcement standard at a point of standards application, the department shall take the following responses unless it can be shown to the department that, to a reasonable certainty, by the greater weight of the credible evidence, an alternative response will achieve compliance with the enforcement standard at the point of standards application:
NR 140.26(2)(b)1.
1. Prohibit the activity or practice which uses or produces the substance; and
NR 140.26(2)(b)2.
2. Require remedial actions with respect to the specific site in accordance with this chapter.
NR 140.26(3)
(3)
Responses for nitrate and substances of public welfare concern. If nitrates or any substance of welfare concern only attains or exceeds an enforcement standard, the department is not required to impose a prohibition or close a facility if it determines that:
NR 140.26(3)(a)
(a) The enforcement standard was attained or exceeded, in whole or in part, because of high background concentrations of the substance; and
NR 140.26(3)(b)
(b) The additional concentration does not represent a public welfare concern.
NR 140.26(4)
(4)
Compliance with preventive action limits. When compliance with the enforcement standard is achieved at the point of standards application, s.
NR 140.24 applies.
NR 140.26 History
History: Cr.
Register, September, 1985, No. 357, eff. 10-1-85; am. (1) (intro.), (a), (b), (2), r. (6),
Register, January, 1992, No. 433, eff. 2-1-92; am. (1) (intro.) and Table 6, renum. (2) to (5) to be (2) (a), (b), (3) and (4),
Register, March, 1994, No. 459, eff. 4-1-94; am. (1) (a),
Register, August, 1995, No. 476, eff. 9-1-95; correction in (1) (b) and (c) made under s. 13.93 (2m) (b) 7., Stats.,
Register, August, 1995, No. 476; am. (2) (a) and Table 6,
Register, October, 1996, No. 490, eff. 11-1-96; am. (1) (a),
Register, December, 1998, No. 516, eff. 1-1-99; correction in (2) (a), (b) (intro.) made under s. 13.92 (4) (b) 7., Stats.,
Register February 2017 No. 734.
NR 140.27
NR 140.27 Responses when an enforcement standard is attained or exceeded at a location other than a point of standards application. If the concentration of a substance in groundwater attains or exceeds an enforcement standard at a location other than a point of standards application for an enforcement standard, s.
NR 140.24 shall apply.
NR 140.27 History
History: Cr.
Register, October, 1988, No. 394, eff. 11-1-88.
NR 140.28(1)(a)(a) The department may not approve a proposed facility, practice or activity at a location where a preventive action limit or enforcement standard adopted under s.
NR 140.10 or
140.12 has been attained or exceeded unless an exemption has been granted under this section.
NR 140.28(1)(b)
(b) For an existing facility, practice or activity, a response is required under s.
NR 140.24 (2) or
140.26 (2) when a preventive action limit or an enforcement standard has been attained or exceeded at a point of standards application unless an exemption has been granted under this section or the criteria of s.
NR 140.24 (5) (a) or
(b) are met.
NR 140.28(1)(c)
(c) For an existing facility, practice or activity that has taken or is taking a response under s.
NR 140.24 (2) or
140.26 (2), a continued response is required unless a substance no longer attains or exceeds a preventive action limit or an exemption has been granted under this section.
NR 140.28(1)(d)
(d) If a substance or remedial material is to be infiltrated or injected into groundwater at a concentration which attains or exceeds a preventive action limit, or at any concentration for a substance or remedial material for which a groundwater quality standard has not been established under this chapter, a temporary exemption is required under sub.
(5).
NR 140.28(2)
(2)
Criteria for granting exemptions where the background concentration is below the preventive action limit. NR 140.28(2)(a)(a) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of nitrate or a substance of public welfare concern is below the preventive action limit if the facility, practice or activity is designed and implemented to achieve the lowest possible concentration for that substance which is technically and economically feasible and the existing or anticipated increase in the concentration of that substance does not present a threat to public health or welfare.
NR 140.28(2)(b)
(b) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of a substance of public health concern, other than nitrate, is below the preventive action limit for that substance if all of the following occur:
NR 140.28(2)(b)1.
1. The measured or anticipated increase in the concentration of the substance will be minimized to the extent technically and economically feasible.
NR 140.28(2)(b)2.
2. Compliance with the preventive action limit is either not technically or economically feasible.
NR 140.28(2)(b)3.
3. The enforcement standard for that substance will not be attained or exceeded at the point of standards application.
NR 140.28(2)(b)4.
4. Any existing or projected increase in the concentration of the substance above the background concentration does not present a threat to public health or welfare.
NR 140.28 Note
Note: An exemption may be considered under this subsection even if monitoring data indicates no detectable background concentration of the substance.
NR 140.28(3)
(3)
Criteria for granting exemptions where the background concentration is above a preventive action limit. NR 140.28(3)(a)(a) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of nitrate or a substance of public welfare concern attains or exceeds the preventive action limit if the facility, practice or activity is designed to achieve the lowest possible concentration for that substance which is technically and economically feasible and the existing or anticipated increase in the concentration of the substance does not present a threat to public health or welfare.
NR 140.28(3)(b)
(b) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of a substance of public health concern, other than nitrate, attains or exceeds a preventive action limit for that substance:
NR 140.28(3)(b)1.
1. If the facility, practice or activity has not caused and will not cause the further release of that substance into the environment; or
NR 140.28(3)(b)2.
2. If the background concentration of the substance does not exceed the enforcement standard for that substance, the facility, practice or activity has not caused and will not cause the concentration of the substance to exceed the enforcement standard for that substance at a point of standards application and the facility, practice or activity is designed to achieve the lowest possible concentration of that substance which is technically and economically feasible.
NR 140.28(4)
(4)
Criteria for granting exemptions where the background concentration is above an enforcement standard. NR 140.28(4)(a)(a) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of nitrate or a substance of public welfare concern attains or exceeds an enforcement standard if the facility, practice or activity is designed to achieve the lowest possible concentration for that substance which is technically and economically feasible and the existing or anticipated increase in the concentration of the substance does not present a threat to public health or welfare.
NR 140.28(4)(b)
(b) The department may grant an exemption under this section to a facility, practice or activity which is regulated by the department in an area where the background concentration of a substance of public health concern, other than nitrate, attains or exceeds the enforcement standard for that substance if:
NR 140.28(4)(b)1.
1. The facility has not caused and will not cause the further release of that substance into the environment; or
NR 140.28(4)(b)2.a.a. The facility is designed to achieve the lowest possible concentration of that substance which is technically and economically feasible; and
NR 140.28(4)(b)2.b.
b. The existing or anticipated increase in the concentration of the substance has not caused or will not cause an increased threat to public health or welfare; and
NR 140.28(4)(b)2.c.
c. The existing or anticipated incremental increase in the concentration of the substance by itself, has not exceeded or will not exceed the preventive action limit.
NR 140.28(4)(c)
(c) The department shall take action under s.
NR 140.26 if it determines that the increase in the concentration of the substance causes an increased threat to public health or welfare or it determines that the incremental increase in the concentration of the substance, by itself, exceeds the preventive action limit.
NR 140.28(5)
(5)
Criteria for granting a temporary exemption where infiltration or injection is utilized for a remedial action. NR 140.28(5)(a)(a) General. In lieu of an exemption granted in compliance with the criteria in subs.
(2) to
(4), the department may grant a temporary exemption if the criteria in this subsection are complied with. This exemption applies to the owner or operator of a facility, practice or activity that is undertaking a remedial action that: includes the infiltration or injection of contaminated groundwater or remedial material, has been approved by the department, and will comply with the applicable response objectives under s.
NR 140.24 or
140.26 within a reasonable period of time. The owner or operator of the facility, practice or activity may submit a temporary exemption request to the department at the same time or after the department has approved the remedial action.
NR 140.28(5)(b)
(b) Exemption request. The owner or operator of the facility, practice or activity shall submit a request for a temporary exemption to the department. As part of the request, the applicant shall indicate how the exemption prerequisites under par.
(c) and applicable remedial design, operational and monitoring criteria under par.
(d) will be met.
NR 140.28 Note
Note: For most remedial actions, a microcosm or treatability study, or other bench scale or pilot scale study will be required by the department prior to consideration of an exemption for the full-scale remedial action under this section. If a pilot scale study is deemed necessary before an exemption for a full-scale remedial action can be granted, a separate temporary exemption issued under this section is required before the pilot scale study can begin.
NR 140.28(5)(c)
(c) Exemption prerequisites. As part of the temporary exemption request, the owner or operator shall demonstrate to the satisfaction of the department that all of the following requirements will be met:
NR 140.28(5)(c)1.
1. The remedial action for restoring contaminated soil or groundwater, and any infiltrated or injected contaminated water and remedial material, shall achieve the applicable response objectives required by s.
NR 140.24 (2) or
140.26 (2) within a reasonable period of time.
NR 140.28(5)(c)2.
2. The type, concentration and volume of substances or remedial material to be infiltrated or injected shall be minimized to the extent that is necessary for restoration of the contaminated soil or groundwater and be approved by the department prior to use.
NR 140.28(5)(c)3.
3. Any infiltration or injection of contaminated water or remedial material into soil or groundwater will not significantly increase the threat to public health or welfare.
NR 140.28(5)(c)4.
4. No uncontaminated or contaminated water, substance or remedial material will be infiltrated or injected into an area where a floating non-aqueous phase liquid is present in the contaminated soil or groundwater.
NR 140.28(5)(c)5.
5. There will be no expansion of soil or groundwater contamination, or migration of any infiltrated or injected contaminated water or remedial material, beyond the edges of previously contaminated areas, except that infiltration or injection into previously uncontaminated areas may be allowed if the department determines that expansion into adjacent, previously uncontaminated areas is necessary for the restoration of the contaminated soil or groundwater, and the requirements of subd.
1. will be met.
NR 140.28(5)(c)6.
6. All necessary federal, state and local licenses, permits and other approvals are obtained and all applicable environmental protection requirements will be complied with.
NR 140.28 Note
Note: The issuance of a wastewater discharge permit by the department is required prior to the infiltration or injection of substances or remedial material into unsaturated soil or groundwater for discharges, as defined by s.
283.01 (4), Stats. A wastewater discharge permit establishes the effluent or injection limits for substances or remedial material which may be infiltrated or injected into unsaturated soil or groundwater. A temporary exemption granted under this subsection applies to substances or remedial material which may enter groundwater or may be detected at a point of standards applications; it does not apply to substances or remedial material infiltrated or injected into unsaturated soil.
NR 140.28(5)(d)
(d) Remedial action design, operation and monitoring criteria. In addition to providing information on how the requirements under par.
(c) will be met, the application shall specify the following information where applicable.
NR 140.28(5)(d)1.
1. The remedial action design, operation and soil and groundwater monitoring procedures to insure compliance with the requirements under par.
(c) and applicable criteria under this paragraph.
NR 140.28(5)(d)2.
2. The level of pre-treatment for contaminated groundwater prior to reinfiltration or reinjection.
NR 140.28(5)(d)3.
3. The types and concentrations of substances or remedial material being proposed for infiltration or injection.
NR 140.28(5)(d)4.
4. The volume and rate of infiltration or injection of contaminated groundwater or remedial material.
NR 140.28(5)(d)5.
5. The location where the contaminated groundwater or remedial material will be infiltrated or injected.
NR 140.28(5)(e)
(e) Granting an exemption. The department may only grant a temporary exemption under this subsection at the same time or after the department has approved the remedial action. When the department grants an exemption under this subsection, it shall follow the exemption procedures included in sub.
(6) and shall require the owner or operator of the facility, practice or activity to comply with the requirements and criteria in pars.
(c) and
(d). The temporary exemption shall also include:
NR 140.28(5)(e)1.
1. The expiration date of the temporary exemption. The expiration date shall be selected to achieve the applicable response objectives required by s.
NR 140.24 (2) or
140.26 (2) within a reasonable period of time, not to exceed 5 years from the effective date of the exemption. The temporary exemption may be reissued following a department review of information documenting the performance of the remedial action and a successful demonstration that reissuance of the exemption is necessary to achieve the response objectives required by s.
NR 140.24 (2) or
140.26 (2).necessary relating to the temporary exemption.
NR 140.28(5)(f)
(f) Responses to exemption violations. If the department determines that the conditions or requirements specified in the temporary exemption are not being met, the department may:
NR 140.28(5)(f)1.
1. Require that the owner or operator of the facility, practice or activity revise the remedial action design, operation or monitoring procedures in accordance with par.
(d). All revisions shall comply with the requirements established under pars.
(c) and
(e) and may require approval from the department prior to implementation.
NR 140.28(5)(f)2.
2. Revoke the exemption and require implementation of an alternate remedial action to restore soil or groundwater quality.
NR 140.28(6)
(6)
Exemption procedures. If the department grants an exemption under this section for a substance or a remedial material, it shall specify:
NR 140.28(6)(a)
(a) The substance or remedial material to which the exemption applies;
NR 140.28(6)(b)
(b) The terms and conditions of the exemption, which may include an alternative concentration limit, under which the department may seek a response under s.
NR 140.24 or
140.26 relating to the substance or remedial material; and
NR 140.28 History
History: Cr.
Register, September, 1985, No. 357, eff. 10-1-85; am. (1) (a) and (b), (3) (a), (b) (intro.) and 2., (4) (a) and (b) 1. and (5) (b),
Register, October, 1988, No. 394, eff. 11-1-88; am. (1) (b),
Register, January, 1992, No. 433, eff. 2-1-92; correction in (4) (b) made under s. 13.93 (2m) (b) 1., Stats.,
Register, January, 1992, No. 433; am. (1) (b) and (5) (b),
Register, March, 1994, No. 459, eff. 4-1-94; renum. (5) to be (6), cr. (5),
Register, August, 1995, No. 476, eff. 9-1-95; cr. (1) (c), (d), am. (2) (intro.), (5) (a), (6) (intro.), (a) and (b),
Register, December, 1998, No. 516, eff. 1-1-99; r. and recr. (2),
Register, March, 2000, No. 531, eff. 4-1-00.
NR 140.28 Note
1Chemical Abstracts Service (CAS) registry numbers are unique numbers assigned to a chemical substance. The CAS registry numbers were published by the U.S. Environmental Protection Agency in
40 CFR Part 264, Appendix IV
NR 140.28 Note
2Common synonyms include those widely used in government regulations, scientific publications, commerce and the general public. Common synonyms should be cross-referenced with CAS registry number to ensure the correct substance is identified. Table 1 contains groundwater quality standards for pesticide active ingredients and their degradation breakdown products. Active ingredients are the chemicals in a pesticide product that kill, control, or repel pests. Pesticide products are given proprietary “trade names” by the pesticide product manufacturer. A database of pesticide products approved for use in Wisconsin is accessible through the Department of Agriculture, Trade and Consumer Protection (DATCP) home web page (search for “pesticide database"). The U.S. Environmental Protection Agency (EPA) also maintains a database of registered pesticide products, called the Pesticide Product and Label System (PPLS), on its website. These pesticide product databases can be searched by active ingredient to find the pesticide products, and their trade names, that contain a specific pesticide active ingredient.
NR 140.28 Note
3This is a combined chemical substance which includes cis 1,3-Dichloropropene (CAS RN 10061-01-5) and trans 1,3-Dichloropropene (CAS RN 10061-02-6).