section_id,title_number,title_name,chapter,subchapter,part_number,part_name,subpart,subpart_name,section_number,section_heading,agency,authority,source_citation,amendment_citations,full_text 15:15:4.1.2.4.20.1.21.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,A,Subpart A—General,,§ 970.100 Purpose.,NOAA,,,"[46 FR 45896, Sept. 15, 1981; 47 FR 5966, Feb. 9, 1982]","(a) General. The purpose of this part is to implement those responsibilities and authorities of the National Oceanic and Atmospheric Administration (NOAA), pursuant to Public Law 96-283, the Deep Seabed Hard Mineral Resources Act (the Act), to issue to eligible United States citizens licenses for the exploration for deep seabed hard minerals. (b) Purposes of the Act. In preparing these regulations NOAA has been mindful of the purposes of the Act, as set forth in section 2(b) thereof. These include: (1) Encouraging the successful conclusion of a comprehensive Law of the Sea Treaty, which will give legal definition to the principle that the hard mineral resources of the deep seabed are the common heritage of mankind and which will assure, among other things, nondiscriminatory access to such resources for all nations; (2) Establishing, pending the ratification by, and entering into force with respect to, the United States of such a treaty, an interim program to regulate the exploration for and commercial recovery of hard mineral resources of the deep seabed by United States citizens; (3) Accelerating the program of environmental assessment of exploration for and commercial recovery of hard mineral resources of the deep seabed and assuring that such exploration and recovery activities are conducted in a manner which will encourage the conservation of such resources, protect the quality of the environment, and promote the safety of life and property at sea; (4) Encouraging the continued development of technology necessary to recover the hard mineral resources of the deep seabed; and (5) Pending the ratification by, and entry into force with respect to, the United States of a Law of the Sea Treaty, providing for the establishment of an international revenue-sharing fund the proceeds of which will be used for sharing with the international community pursuant to such treaty. (c) Regulatory approach. (1) These regulations incorporate NOAA's recognition that the deep seabed mining industry is still evolving and that more information must be developed to form the basis for future decisions by industry and by NOAA in its implementation of the Act. They also recognize the need for flexibility in order to promote the development of deep seabed mining technology, and the usefulness of allowing initiative by miners to develop mining techniques and systems in a manner compatible with the requirements of the Act and regulations. In this regard, the regulations reflect an approach, pursuant to the Act, whereby their provisions ultimately will be addressed and evaluated on the basis of exploration plans submitted by applicants. (2) In addition, these regulations reflect NOAA's recognition that the difference in scale and effects between exploration for and commercial recovery of hard mineral resources normally requires that they be distinguished and addressed separately. This distinction is also based upon the evolutionary stage of the seabed mining industry referenced above. Thus, NOAA will issue separate regulations pertaining to commercial recovery, in part 971 of this chapter." 15:15:4.1.2.4.20.1.21.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,A,Subpart A—General,,§ 970.101 Definitions.,NOAA,,,"[46 FR 45896, Sept. 15, 1981, as amended at 47 FR 5967, Feb. 9, 1982]","For purposes of this part, the term: (a) Act means the Deep Seabed Hard Mineral Resources Act (Pub. L. 96-283; 94 Stat. 553; 30 U.S.C. 1401 et seq. ); (b) Administrator means the Administrator of the National Oceanic and Atmospheric Administration, or a designee; (c) Applicant means an applicant for an exploration license pursuant to the Act and this part; (d) Affiliate means any person: (1) In which the applicant or licensee owns or controls more than 5% interest; (2) Which owns or controls more than 5% interest in the applicant or licensee; or (3) Which is under common ownership or control with the applicant or licensee. (e) Commercial recovery means: (1) Any activity engaged in at sea to recover any hard mineral resource at a substantial rate for the primary purpose of marketing or commercially using such resource to earn a net profit, whether or not such net profit is actually earned; (2) If such recovered hard mineral resource will be processed at sea, such processing; and (3) If the waste of such activity to recover any hard mineral resource, or of such processing at sea, will be disposed of at sea, such disposal; (f) Continental Shelf means: (1) The seabed and subsoil of the submarine areas adjacent to the coast, but outside the area of the territorial sea, to a depth of 200 meters or, beyond that limit, to where the depth of the superjacent waters admits of the exploitation of the natural resources of such submarine area; and (2) The seabed and subsoil of similar submarine areas adjacent to the coast of islands; (g) Controlling interest, for purposes of paragraph (t)(3) of this section, means a direct or indirect legal or beneficial interest in or influence over another person arising through ownership of capital stock, interlocking directorates or officers, contractual relations, or other similar means, which substantially affect the independent business behavior of such person; (h) Deep seabed means the seabed, and the subsoil thereof to a depth of ten meters, lying seaward of and outside: (1) The Continental Shelf of any nation; and (2) Any area of national resource jurisdiction of any foreign nation, if such area extends beyond the Continental Shelf of such nation and such jurisdiction is recognized by the United States; (i) Exploration means: (1) Any at-sea observation and evaluation activity which has, as its objective, the establishment and documentation of: (i) The nature, shape, concentration, location, and tenor of a hard mineral resource; and (ii) The environmental, technical, and other appropriate factors which must be taken into account to achieve commercial recovery; and (2) The taking from the deep seabed of such quantities of any hard mineral resource as are necessary for the design, fabrication and testing of equipment which is intended to be used in the commercial recovery and processing of such resource; (j) Hard mineral resource means any deposit or accretion on, or just below, the surface of the deep seabed of nodules which include one or more minerals, at least one of which contains manganese, nickel, cobalt, or copper; (k) International agreement means a comprehensive agreement concluded through negotiations at the Third United Nations Conference on the Law of the Sea, relating to (among other matters) the exploration for and commercial recovery of hard mineral resources and the establishment of an international regime for the regulation thereof; (l) Licensee means the holder of a license issued under this part to engage in exploration; (m) New entrant means any applicant, with respect to: (1) Any application which has not been accorded a pre-enactment explorer priority of right under § 970.301; or (2) Any amendment which has not been accorded a pre-enactment explorer priority of right under § 970.302. (n) NOAA means the National Oceanic and Atmospheric Administration; (o) Permittee means the holder of permit issued under NOAA regulations to engage in commercial recovery; (p) Person means any United States citizen, any individual, and any corporation, partnership, joint venture, association, or other entity organized or existing under the laws of any nation; (q) Pre-enactment explorer means a person who was engaged in exploration prior to the date of enactment of the Act (June 28, 1980); (r) Reciprocating state means any foreign nation designated as such by the Administrator under section 118 of the Act; (s) United States means the several States, the District of Columbia, the Commonwealth of Puerto Rico, American Samoa, the United States Virgin Islands, Guam, and any other Commonwealth, territory, or possession of the United States; and (t) United States citizen means (1) Any individual who is a citizen of the United States; (2) Any corporation, partnership, joint venture, association, or other entity organized or existing under the laws of any of the United States; and (3) Any corporation, partnership, joint venture, association, or other entity (whether organized or existing under the laws of any of the United States or a foreign nation) if the controlling interest in such entity is held by an individual or entity described in paragraph (t)(1) or (t)(2) of this section." 15:15:4.1.2.4.20.1.21.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,A,Subpart A—General,,§ 970.102 Nature of licenses.,NOAA,,,,"(a) A license issued under this part will authorize the holder thereof to engage in exploration within a specific portion of the sea floor consistent with the provisions of the Act, this part, and the specific terms, conditions and restrictions applied to the license by the Administrator. (b) Any license issued under this part will be exclusive with respect to the holder thereof as against any other United States citizen or any citizen, national or governmental agency of, or any legal entity organized or existing under the laws of, any reciprocating state. (c) A valid existing license will entitle the holder, if otherwise eligible under the provisions of the Act and implementing regulations, to a permit for commercial recovery from an area selected within the same area of the sea floor. Such a permit will recognize the right of the holder to recover hard mineral resources, and to own, transport, use, and sell hard mineral resources recovered, under the permit and in accordance with the requirements of the Act." 15:15:4.1.2.4.20.1.21.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,A,Subpart A—General,,§ 970.103 Prohibited activities and restrictions.,NOAA,,,,"(a) Prohibited activities and exceptions. (1) Except as authorized under subpart C of this part, no United States citizen may engage in any exploration or commercial recovery unless authorized to do so under: (i) A license or a permit issued pursuant to the Act and implementing regulations; (ii) A license, permit, or equivalent authorization issued by a reciprocating state; or (iii) An international agreement which is in force with respect to the United States. (2) The prohibitions of paragraph (a)(1) of this section will not apply to any of the following activities: (i) Scientific research, including that concerning hard mineral resources; (ii) Mapping, or the taking of any geophysical, geochemical, oceanographic, or atmospheric measurements or random bottom samplings of the deep seabed, if such taking does not significantly alter the surface or subsurface of the deep seabed or significantly affect the environment; (iii) The design, construction, or testing of equipment and facilities which will or may be used for exploration or commercial recovery, if such design, construction or testing is conducted on shore, or does not involve the recovery of any but incidental hard mineral resources; (iv) The furnishing of machinery, products, supplies, services, or materials for any exploration or commercial recovery conducted under a license or permit issued under the Act and implementing regulations, a license or permit or equivalent authorization issued by a reciprocating state, or under an international agreement; and (v) Activities, other than exploration or commercial recovery activities, of the Federal Government. (3) No United States citizen may interfere or participate in interference with any activity conducted by any licensee or permittee which is authorized to be undertaken under a license or permit issued by the Administrator to a licensee or permittee under the Act or with any activity conducted by the holder of, and authorized to be undertaken under, a license or permit or equivalent authorization issued by a reciprocating state for the exploration or commercial recovery of hard mineral resources. For purposes of this section, interference includes physical interference with activities authorized by the Act, this part, and a license issued pursuant thereto; the filing of specious claims in the United States or any other nation; and any other activity designed to harass deep seabed mining activities authorized by law. Interference does not include the exercise of any rights granted to United States citizens by the Constitution of the United States, any Federal or State law, treaty, or agreement or regulation promulgated pursuant thereto. (4) United States citizens must exercise their rights on the high seas with reasonable regard for the interests of other states in their exercise of the freedoms of the high seas. (b) Restrictions on issuance of licenses or permits. The Administrator will not issue: (1) Any license or permit after the date on which an international agreement is ratified by and enters into force with respect to the United States, except to the extent that issuance of such license or permit is not inconsistent with such agreement; (2) Any license or permit the exploration plan or recovery plan of which, submitted pursuant to the Act and implementing regulations, would apply to an area to which applies, or would conflict with: (i) Any exploration plan or recovery plan submitted with any pending application to which priority of right for issuance applies under this part; (ii) Any exploration plan or recovery plan associated with any existing license or permit; or (iii) Any equivalent authorization which has been issued, or for which formal notice of application has been submitted, by a reciprocating state prior to the filing date of any relevant application for licenses or permits pursuant to the Act and implementing regulations; (3) A permit authorizing commercial recovery within any area of the deep seabed in which exploration is authorized under a valid existing license if such permit is issued to a person other than the licensee for such area; (4) Any exploration license before July 1, 1981, or any permit which authorizes commercial recovery to commence before January 1, 1988; (5) Any license or permit the exploration plan or recovery plan for which applies to any area of the deep seabed if, within the 3-year period before the date of application for such license or permit: (i) The applicant therefor surrendered or relinquished such area under an exploration plan or recovery plan associated with a previous license or permit issued to such applicant; or (ii) A license or permit previously issued to the applicant had an exploration plan or recovery plan which applied to such area and such license or permit was revoked under section 106 of the Act; or (6) A license or permit, or approve the transfer of a license or permit, except to a United States citizen." 15:15:4.1.2.4.20.11.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,X,Subpart X—Pre-enactment Exploration,,§ 970.2401 Definitions.,NOAA,,,"[45 FR 76662, Nov. 20, 1980, as amended at 47 FR 5966, Feb. 9, 1982]","(a) Engage in exploration means: (1) To cause or authorize exploration to occur, including but not limited to a person's actions as a sponsor, principal, or purchaser of exploration services; or (2) To conduct exploration on behalf of a person described in paragraph (a)(1) of this section. (b) [Reserved]" 15:15:4.1.2.4.20.11.25.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,X,Subpart X—Pre-enactment Exploration,,§ 970.2402 Notice of pre-enactment exploration.,NOAA,,,"[45 FR 76662, Nov. 20, 1980]","(a) General. NOAA encourages any United States citizen who engaged in exploration for deep seabed hard mineral resources before June 28, 1980, to file not later than February 1, 1981, a written notice with the Administrator, in care of: The Director, Office of Ocean Minerals and Energy, National Oceanic and Atmospheric Administration, Department of Commerce, Page Building 1, Suite 410, 2001 Wisconsin Avenue, NW., Washington, DC 20235. Such notice shall not constitute an application for a license or permit and shall not confer or confirm any priority of right to any site. (b) Content of pre-enactment exploration Notice. If a notice of exploration commenced prior to June 28, 1980, is filed pursuant to paragraph (a) it should be in writing and include the following: (1) Names, addresses, and telephone numbers of the United States citizens responsible for exploration operations to whom notices and orders are to be delivered; (2) A description of the citizen or citizens engaging in such exploration including: (i) Whether the citizen is a natural person, partnership, corporation, joint venture, or other form of association; (ii) The state of incorporation of state in which the partnership or other business entity is registered; (iii) The name of registered agent and places of business; (iv) Certification of essential and non-proprietary provisions in articles of incorporation, charter, or articles of association; and (v) Membership of the association, partnership, or joint venture, including information about the participation of partners and joint venturers, and/or ownership of stock. (3) A general description of the exploration activities conducted prior to June 28, 1980, including: (i) The approximate date that the citizen, or predecessor in interest, commenced exploration activities; (ii) A general estimate of expenditures made on the exploration program prior to June 28, 1980; (iii) A statement of whether the citizen intends to file an application for an exploration license pursuant to section 101(b)(1)(A) of the Act after NOAA issues regulations implementing section 103(a) of the Act; and (iv) A statement of whether the citizen intends to continue to engage in exploration as allowed by section 101(b) of the Act, pending a final determination on his application for an exploration license. (c) Exclusion of location information. The information submitted in the notice of pre-enactment exploration required by this section shall not include the location of past or future exploration or prospective mine sites." 15:15:4.1.2.4.20.12.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,Y,Subpart Y—Pre-license Exploration,,§ 970.2501 Notice of pre-license exploration voyages.,NOAA,,,,"(a) General. Any United States citizen who schedules an exploration voyage to begin after November 20, 1980 shall file written notice with the Administrator which sets out: (1) The name, address and telephone number of the citizen; (2) The anticipated date of commencement of the voyage and its planned duration; (3) The exploration activities to be carried out on the voyage, including a general description of the equipment and methods to be used, and an estimate of the anticipated extent of seabed disturbance and effluent discharge; and (4) If the U.S. citizen has not filed a notice of pre-enactment exploration in accordance with § 970.2402, the information specified in § 970.2402(b). (b) When and where to file Notice of future exploration —(1) When. (i) Except as allowed in paragraph (b)(2) of this section, the notice required by paragraph (a) of this section must be filed not later than 45 days prior to the date on which the exploration voyage is scheduled to begin. (ii) With respect to filing of the information referred to in paragraph (a)(4) of this section, the filing dates specified in paragraph (b) of this section shall prevail over the date specified in § 970.2402(a). (2) Exception. If an exploration voyage is scheduled to begin before January 5, 1981, the notice required by paragraph (a) of this section must be filed on or before December 22, 1980. (3) Where. The notice required by paragraph (a) of this section must be filed in writing with the Administrator, at the address specified in § 970.2402(a) of this part." 15:15:4.1.2.4.20.12.25.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,Y,Subpart Y—Pre-license Exploration,,§ 970.2502 Post voyage report.,NOAA,,,,"Within 30 days of the conclusion of each exploration voyage, the United States citizen engaging in the voyage shall submit to NOAA a report containing any environmental data or information obtained during that voyage." 15:15:4.1.2.4.20.12.25.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,Y,Subpart Y—Pre-license Exploration,,§ 970.2503 Suspension of exploration activities.,NOAA,,,,"(a) The Administrator may issue an emergency order, either in writing or orally with written confirmation, requiring the immediate suspension of exploration activities or any particular exploration activity when, in his judgment, immediate suspension of such activity or activities is necessary to prevent a significant adverse effect on the environment. Upon receipt of notice of the emergency order, the United States citizen engaged in the exploration shall immediately cease the activity that is the subject of the emergency order. During any suspension NOAA will consult with the citizen engaged in the activity suspended concerning appropriate measures to remove the cause of suspension. A suspension may be rescinded at any time by written notice from the Administrator upon presentation of satisfactory evidence by the citizen that the activity will no longer threaten a significant adverse effect on the environment. (b) [Reserved]" 15:15:4.1.2.4.20.13.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,Z,Subpart Z—Miscellaneous,,§ 970.2601 Additional information.,NOAA,,,"[45 FR 76662, Nov. 20, 1980]",Any United States citizen filing notice under § 970.2402 or § 970.2501 of this part shall provide such additional information as the Administrator may require as necessary and appropriate to implement section 101 of the Act. 15:15:4.1.2.4.20.2.21.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.200 General.,NOAA,,,"[46 FR 45898, Sept. 15, 1981, as amended at 47 FR 5968, Feb. 9, 1982; 54 FR 547, Jan. 6, 1989; 91 FR 2671, Jan. 21, 2026]","(a) Who may apply; how. Any United States citizen may apply to the Administrator for issuance or transfer of an exploration license. Applications must be submitted in the form and manner prescribed in this subpart. (b) Place, form and copies. Applications for the issuance or transfer of exploration licenses shall be submitted in electronic format, verified and signed by an authorized officer or other authorized representative of the applicant, to an email address or website as specified by NOAA. The application format shall be organized according to the specific regulatory topics and sections. For applications received electronically after the close of business, for purposes of computing the Administrator's required response time, the application shall be deemed to be received at 8 a.m. eastern time on the next business day. (c) Use of application information. The contents of an application, as set forth below, must provide NOAA with the information necessary to make determinations required by the Act and this part pertaining to the issuance or transfer of an exploration license. Thus, each portion of the application should identify the requirement in this part to which it responds. In addition, the information will be used by NOAA in its function under the Act of consultation and cooperation with other Federal agencies or departments in relation to their programs and authorities, in order to reduce the number of separate actions required to satisfy Federal agencies' responsibilities. (d) Pre-application consultation. To assist in the development of adequate applications and assure that applicants understand how to respond to the provisions of this subpart, NOAA will be available for pre-application consultations with potential applicants. This includes consultation on the procedures in subpart C. In appropriate circumstances, NOAA will provide written confirmation to the applicant of any oral guidance resulting from such consultations. (e) Priority of right. (1) Priority of right for issuance of licenses to pre-enactment explorers will be established pursuant to subpart C of this part. (2) Priority of right for issuance of licenses to new entrants will be established on the basis of the chronological order in which license applications, which are in substantial compliance with the requirements established under this subpart, pursuant to § 970.209, are filed with the Administrator. (3) Applications must be received by the Office of Ocean Minerals and Energy on behalf of the Administrator before a priority can be established. (4) Upon (i) a determination that: (A) An application is not in substantial compliance in accordance with § 970.209 or subpart C, as applicable; (B) An application has not been brought into substantial compliance in accordance with § 970.210 or subpart C, as applicable; (C) A license has been relinquished or surrendered in accordance with § 970.903; or (ii) A decision to: (A) Deny certification of a license pursuant to § 970.407; or (B) Deny issuance of a license pursuant to § 970.508, and after the exhaustion of any administrative or judicial review of such determination or decision, the priority of right for issuance of a license will lapse. (f) Request for confidential treatment of information. If an applicant wishes to have any information in his application treated as confidential, he must so indicate pursuant to 15 CFR 971.802." 15:15:4.1.2.4.20.2.21.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.201 Statement of financial resources.,NOAA,,,,"(a) General. The application must contain information sufficient to demonstrate to the Administrator the financial resources of the applicant to carry out, in accordance with this part, the exploration program set forth in the applicant's exploration plan. The information must show that the applicant is reasonably capable of committing or raising sufficient resources to cover the estimated costs of the exploration program. The information must be sufficient for the Administrator to make a determination on the applicant's financial responsibility pursuant to § 970.401. (b) Contents. In particular, the information on financial resources must include: (1) A description of how the applicant intends to finance the exploration program; (2) The estimated cost of the exploration program; (3) With respect to the applicant and those entities upon which the applicant will rely to finance his exploration activities, the most recent audited financial statement (for publicly-held companies, the most recent annual report and Form 10-K filed with the Securities and Exchange Commission will suffice in this regard); and (4) The credit rating and bond rating of the applicant, and such financing entities, to the extent they are relevant." 15:15:4.1.2.4.20.2.21.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.202 Statement of technological experience and capabilities.,NOAA,,,,"(a) General. The application must contain information sufficient to demonstrate to the Administrator the technological capability of the applicant to carry out, in accordance with the regulations contained in this part, the exploration program set out in the applicant's exploration plan. It must contain sufficient information for the Administrator to make a determination on the applicant's technological capability pursuant to § 970.402. (b) Contents. In particular, the information submitted pursuant to this section must demonstrate knowledge and skills which the applicant either possesses or to which he can demonstrate access. The information must include: (1) A description of the exploration equipment to be used by the applicant in carrying out the exploration program; (2) A description of the environmental monitoring equipment to be used by the applicant in monitoring the environmental effects of the exploration program; and (3) The experience on which the applicant will rely in using this or similar equipment." 15:15:4.1.2.4.20.2.21.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.203 Exploration plan.,NOAA,,,,"(a) General. Each application must include an exploration plan which describes the applicant's projected exploration activities during the period to be covered by the proposed license. Generally, the exploration plan must demonstrate to a reasonable extent that the applicant's efforts, by the end of the 10-year license period, will likely lead to the ability to apply for and obtain a permit for commercial recovery. In particular, the plan must include sufficient information for the Administrator, pursuant to this part, to make the necessary determinations pertaining to the certification and issuance or transfer of a license and to the development and enforcement of the terms, conditions and restrictions for a license. (b) Contents. The exploration plan must contain the following information. In presenting this information, the plan should incorporate the applicant's proposed individual approach, including a general description of how projected participation by other entities will relate to the following elements, if appropriate. The plan must present: (1) The activities proposed to be carried out during the period of the license; (2) A description of the area to be explored, including its delineation according to § 970.601; (3) The intended exploration schedule which must be responsive to the diligence requirements in § 970.602. Taking into account that different applicants may have different concepts and chronologies with respect to the types of activities described, the schedule should include an approximate projection for the exploration activities planned. Although the details in each schedule may vary to reflect the applicant's particular approach, it should address in some respect approximately when each of the following types of activities is projected to occur. (i) Conducting survey cruises to determine the location and abundance of nodules as well as the sea floor configuration, ocean currents and other physical characteristics of potential commercial recovery sites; (ii) Assaying nodules to determine their metal contents; (iii) Designing and testing system components onshore and at sea; (iv) Designing and testing mining systems which simulate commercial recovery; (v) Designing and testing processing systems to prove concepts and designing and testing systems which simulate commercial processing; (vi) Evaluating the continued feasibility of commercial scale operations based on technical, economic, legal, political and environmental considerations; and (vii) Applying for a commercial recovery permit and, to the extent known, other permits needed to construct and operate commercial scale facilities (if application for such permits is planned prior to obtaining a commercial recovery permit); (4) A description of the methods to be used to determine the location, abundance, and quality ( i.e. , assay) of nodules, and to measure physical conditions in the area which will affect nodule recovery system design and operations (e.g., seafloor topography, seafloor geotechnic properties, and currents); (5) A general description of the developing recovery and processing technology related to the proposed license, and of any planned or ongoing testing and evaluation of such technology. To the extent possible at the time of application, this description should address such factors as nodule collection technique, seafloor sediment rejection subsystem, mineship nodule separation scheme, pumping method, anticipated equipment test areas, and details on the testing plan; (6) An estimated schedule of expenditures, which must be responsive to the diligence requirements as discussed in § 970.602; (7) Measures to protect the environment and to monitor the effectiveness of environmental safeguards and monitoring systems for commercial recovery. These measures must take into account the provisions in §§ 970.506, 970.518, 970.522 and subpart G of this part; and (8) A description of any relevant activity that the applicant has completed prior to the submission of the application." 15:15:4.1.2.4.20.2.21.5,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.204 Environmental and use conflict analysis.,NOAA,,,,"(a) Environmental information. To enable NOAA to implement better its responsibility under section 109(d) of the Act to develop an environmental impact statement (EIS) on the issuance of an exploration license, the application must include information for use in preparing NOAA's EIS on the environmental impacts of the activities proposed by the applicant. The applicant must present physical, chemical and biological information for the exploration area. This information should include relevant environmental information, if any, obtained during past exploration activities, but need not duplicate information obtained during NOAA's DOMES Project. Planned activities in the area, including the testing of integrated mining systems which simulate commercial recovery, also must be described. NOAA will need information with the application on location and boundaries of the proposed exploration area, and plans for delineation of features of the exploration area including baseline data or plans for acquiring them. The applicant may at his option delay submission of baseline and equipment data and system test plans. However, applicants so electing should plan to submit this latter information at least one year prior to the initial test, to allow time for the supplement to the site-specific EIS, if one is required, to be prepared by NOAA, circulated, reviewed and filed with EPA. The submission of this information with the application is strongly encouraged, however, to minimize the possibility that a supplement will be required. If such latter information is submitted subsequent to the original application such tests may not be undertaken in the absence of concurrence by NOAA (which, if applicable, will be required in a term, condition, or restriction in the license). NOAA has developed a technical guidance document which will provide assistance for the agency and the applicant, in consultation, to identify the details on information needed in each case. NOAA may refer to such information for purposes of other determinations under the Act as well. NOAA also will seek to facilitate other Federal and, as necessary, state decisions on exploration activities by functioning as lead agency for the EIS on the application and related actions by other agencies, including those pertaining to any onshore impacts which may result from the proposed exploration activities. (b) Use conflict information. To assist the Administrator in making determinations relating to potential use conflicts between the proposed exploration and other activities in the exploration area, pursuant to §§ 970.503, 970.505, and 970.520, the application must include information known to the applicant with respect to such other activities." 15:15:4.1.2.4.20.2.21.6,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.205 Vessel safety.,NOAA,,,,"In order to provide a basis for the necessary determinations with respect to the safety of life and property at sea, pursuant to §§ 970.507, 970.521 and subpart H of this part, the application must contain the following information, except for those vessels under 300 gross tons which are engaged in oceanographic research if they are used in exploration. (a) U.S. flag vessel. The application must contain a demonstration or affirmation that any United States flag vessel utilized in exploration activities will possess a current valid Coast Guard Certificate of Inspection (COI). To the extent that the applicant knows which United States flag vessel he will be using, the application must include a copy of the COI. (b) Foreign flag vessel. The application must also contain information on any foreign flag vessels to be used in exploration activities, which responds to the following requirements. To the extent that the applicant knows which foreign flag vessel he will be using, the application must include evidence of the following: (1) That any foreign flag vessel whose flag state is party to the International Convention for Safety of Life at Sea, 1974 (SOLAS 74) possesses current valid SOLAS 74 certificates; (2) That any foreign flag vessel whose flag state is not party to SOLAS 74 but is party to the International Convention for the Safety of Life at Sea, 1960 (SOLAS 60) possesses current valid SOLAS 60 certificates; and (3) That any foreign flag vessel whose flag state is not a party to either SOLAS 74 or SOLAS 60 meets all applicable structural and safety requirements contained in the published rules of a member of the International Association of Classification Societies (IACS). (c) Supplemental certificates. If the applicant does not know at the time of submitting an application which vessels he will be using, he must submit the applicable certification for each vessel before the cruise on which it will be used." 15:15:4.1.2.4.20.2.21.7,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.206 Statement of ownership.,NOAA,,,,"The application must include sufficient information to demonstrate that the applicant is a United States citizen, as required by § 970.103(b)(6), and as defined in § 970.101(t). In particular, the application must include: (a) Name, address, and telephone number of the United States citizen responsible for exploration operations to whom notices and orders are to be delivered; and (b) A description of the citizen or citizens engaging in such exploration, including: (1) Whether the citizen is a natural person, partnership, corporation, joint venture, or other form of association; (2) The state of incorporation or state in which the partnership or other business entity is registered; (3) The name of registered agent or equivalent representative and places of business; (4) Certification of essential and nonproprietary provisions in articles of incorporation, charter or articles of association; and (5) The name of each member of the association, partnership, or joint venture, including information about the participation of each partner and joint venturer and/or ownership of stock." 15:15:4.1.2.4.20.2.21.8,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.207 Antitrust information.,NOAA,,,,"(a) General. Section 103(d) of the Act specifically provides for antitrust review of applications by the Attorney General of the United States and the Federal Trade Commission. (b) Contents. In order to provide information for this antitrust review, the application must contain the following: (1) A copy of each agreement between any parties to any joint venture which is applying for a license, provided that said agreement relates to deep seabed hard mineral resource exploration or mining; (2) The identity of any affiliate of any person applying for a license; and (3) For each applicant, its affiliate, or parent or subsidiary of an affiliate which is engaged in production in, or the purchase or sale in or to, the United States of copper, nickel, cobalt or manganese minerals or any metals refined from these minerals: (i) The annual tons and dollar value of any of these minerals and metals so purchased, sold or produced for the two preceding years; (ii) Copies of the annual report, balance sheet and income statement for the two preceding years; and (iii) Copies of each document submitted to the Securities and Exchange Commission." 15:15:4.1.2.4.20.2.21.9,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.208 Fee.,NOAA,,,"[46 FR 45898, Sept. 15, 1981, as amended at 47 FR 5966, 5968, Feb. 9, 1982; 91 FR 2671, Jan. 21, 2026]","(a) General. Section 104 of the Act provides that no application for the issuance or transfer of an exploration license will be certified unless the applicant pays to NOAA a reasonable administrative fee, which must reflect the reasonable administrative costs incurred in reviewing and processing the application. (b) Amount. In order to meet this requirement, a fee payment of $100,000 payable to the National Oceanic and Atmospheric Administration, Department of Commerce, shall be submitted prior to or concurrent with each application; the application should state the method of payment and the date the payment was submitted. If costs incurred by NOAA in reviewing and processing an application are significantly less than or in excess of the original fee, the agency subsequently will determine those differences in costs and adjust the fee accordingly. If the costs are significantly less, NOAA will refund the difference. If they are significantly greater, the applicant will be required to submit the additional payment prior to issue or transfer of the license. In the case of an application for transfer of a license to an entity which has previously been found qualified for a license, the Administrator may, on the basis of pre-application consultations pursuant to § 970.200(d), reduce the fee in advance by an appropriate amount which reflects costs avoided by reliance on previous findings made in relation to the proposed transferee. If an applicant elects to pursue the ‘banking’ option under § 970.601(d), and exercises that option by submitting two applications, only one application fee needs to be submitted with respect to each use of the ‘banking’ option." 15:15:4.1.2.4.20.2.22.10,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.209 Substantial compliance with application requirements.,NOAA,,,"[91 FR 2671, Jan. 21, 2026]","(a) Priority of right for the issuance of licenses to new entrants shall be established on the basis of the chronological order in which exploration license applications filed under subpart A of this part and consolidated license and permit applications filed under § 971.214 of this chapter that are in substantial compliance are received by the Administrator. (b) In order for an application to be in substantial compliance, it shall include information specifically identifiable with and materially responsive to the requirements contained in, as applicable, §§ 970.201 through 970.208 or § 971.214(d) of this chapter. A determination on substantial compliance shall relate only to whether the application contains the required information and does not constitute a determination on certification of the application, or on issuance or transfer of a license or permit. (c) The Administrator shall notify the applicant in writing whether the application is in substantial compliance within 30 days of receipt of an application. The notice shall identify, if applicable, in what respects the application is not in either full or substantial compliance. If the application is in substantial but not full compliance, the notice shall specify the information which the applicant shall submit in order to bring it into full compliance, and why the additional information is necessary." 15:15:4.1.2.4.20.2.22.11,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.210 Reasonable time for full compliance.,NOAA,,,"[91 FR 2672, Jan. 21, 2026]","Priority of right shall not be lost in case of any application filed which is in substantial but not full compliance, as specified in § 970.209, if the Administrator determines that the applicant, within 60 days after issuance to the applicant by the Administrator of written notice that the application is in substantial but not full compliance, has brought the application into full compliance with the requirements, as applicable, of §§ 970.201 through 970.208 or § 971.214(d) of this chapter." 15:15:4.1.2.4.20.2.22.12,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.211 Consultation and cooperation with Federal agencies.,NOAA,,,"[46 FR 45898, Sept. 15, 1981, as amended at 47 FR 11513, Mar. 17, 1982]","(a) Promptly after his receipt of an application and the opening of coordinates describing the application area, the Administrator will distribute a copy of the application to each other Federal agency or department which, pursuant to section 103(e) of the Act, has identified programs or activities within its statutory responsibilities which would be affected by the activities proposed in the application ( i.e. , the Departments of State, Transportation, Justice, Interior, Defense, Treasury and Labor, as well as the Environmental Protection Agency, Federal Trade Commission, Small Business Administration and National Science Foundation). Based on its legal responsibilities and authorities, each such agency or department may, not later than 60 days after it receives a copy of the application which is in full compliance with this subpart, recommend certification of the application, issuance or transfer of the license, or denial of such certification, issuance or transfer. The advice or recommendation by the Attorney General or Federal Trade Commission on antitrust review, pursuant to § 970.207, must be submitted within 90 days after their receipt of a copy of the application which is in full compliance with this subpart. NOAA will use the benefits of this process of consultation and cooperation to facilitate necessary Federal decisions on the proposed exploration activities, pursuant to the mandate of section 103(e) of the Act to reduce the number of separate actions required to satisfy Federal agencies' statutory responsibilities. (b) In any case in which a Federal agency or department recommends a denial, it will set forth in detail the manner in which the application does not comply with any law or regulation within its area of responsibility and will indicate how the application may be amended, or how terms, conditions or restrictions might be added to the license to assure compliance with such law or regulation. (c) A recommendation from another Federal agency or department for denying or amending an application will not affect its having been in substantial compliance with the requirements of this subpart, pursuant to § 970.209, for purposes of establishing priority of right. However, pursuant to section 103(e) of the Act, NOAA will cooperate with such agencies and with the applicant with the goal of resolving the concerns raised and satisfying the statutory responsibilities of these agencies." 15:15:4.1.2.4.20.2.22.13,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,"§ 970.212 Public notice, hearing and comment.",NOAA,,,"[46 FR 45898, Sept. 15, 1981, as amended at 54 FR 547, Jan. 6, 1989]","(a) Notice and comments. The Administrator will publish in the Federal Register, for each application for an exploration license, notice that such application has been received. Subject to 15 CFR 971.802, interested persons will be permitted to examine the materials relevant to such application. Interested persons will have at least 60 days after publication of such notice to submit written comments to the Administrator. (b) Hearings. (1) After preparation of the draft EIS on an application pursuant to section 109(d) of the Act, the Administrator shall hold a public hearing on the application and the draft EIS in an appropriate location, and may employ such additional methods as he deems appropriate to inform interested persons about each application and to invite their comments thereon. (2) If the Administrator determines there exists one or more specific and material factual issues which require resolution by formal processes, at least one formal hearing will be held in the District of Columbia metropolitan area in accordance with the provisions of subpart I of 15 CFR part 971. The record developed in any such formal hearing will be part of the basis of the Administrator's decisions on an application. (c) Hearings held pursuant to this section and other procedures will be consolidated insofar as practicable with hearings held and procedures employed by other agencies." 15:15:4.1.2.4.20.2.22.14,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,B,Subpart B—Applications,,§ 970.213 Amendment to an application.,NOAA,,,,"After an application has been submitted to the Administrator, but before a determination is made on the issuance or transfer of a license, the applicant must submit an amendment to the application if required by a significant change in the circumstances represented in the original application and affecting the requirements of this subpart. Applicants should consult with NOAA to determine if changes in circumstances are sufficiently significant to require submission of an amendment. The application, as amended, would then serve as the basis for determinations by the Administrator under this part. For each amendment judged by the Administrator to be significant, he will provide a copy of such amendment to each other Federal agency and department which received a copy of the original application, and also will provide for public notice, hearing and comment on the amendment pursuant to § 970.212. Such amendment, however, will not affect the priority of right established by the filing of the original application. After the issuance of or transfer of a license, any revision by the licensee will be made pursuant to § 970.513." 15:15:4.1.2.4.20.3.23.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,C,"Subpart C—Procedures for Applications Based on Exploration Commenced Before June 28, 1980; Resolution of Conflicts Among Overlapping Applications; Applications by New Entrants",,§ 970.300 Purposes and definitions.,NOAA,,,,"(a) This subpart sets forth the procedures which the Administrator will apply to applications filed with NOAA covering areas of the deep seabed where the applicants have engaged in exploration prior to June 28, 1980, and to the resolution of conflicts arising out of such applications. This subpart also establishes the date on which NOAA will begin to accept applications or amendments filed by new entrants, and certain other procedures for new entrants. (b) For the purposes of this subpart the term: (1) Amendment means an amendment to an application which changes the area applied for; (2) Application means an application for an exploration license which is filed pursuant to the Act and this subpart; (3) Conflict means the existence of more than one application or amendment with the same priority of right: (i) Which are filed with the Administrator or with the Administrator and a reciprocating state; and (ii) In which the deep seabed areas applied for overlap in whole or part, to the extent of the overlap; (4) Original conflict means a conflict solely between or among applications; (5) New conflict means a conflict between or among amendments filed after July 22, 1982, and on or before October 15, 1982; (6) Domestic conflict means a conflict solely between or among applications or amendments which have been filed with the Administrator. (7) International conflict means a conflict arising between or among applications or amendments filed with the Administrator and a reciprocating state." 15:15:4.1.2.4.20.3.23.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,C,"Subpart C—Procedures for Applications Based on Exploration Commenced Before June 28, 1980; Resolution of Conflicts Among Overlapping Applications; Applications by New Entrants",,§ 970.301 Requirements for applications based on pre-enactment exploration.,NOAA,,,,"(a) Pursuant to section 101(b) of the Act, any United States citizen who was engaged in exploration before the effective date of the Act (June 28, 1980) qualifies as a pre-enactment explorer and may continue to engage in such exploration without a license: (1) If such citizen applies under this part for a license with respect to such exploration within the time period specified in paragraph (b) of this section; and (2) Until such license is issued to such citizen or a final administrative or judicial determination is made affirming the denial of certification of the application for, or issuance of, such license. (b) Any application for a license based upon pre-enactment exploration must be filed, at the address specified in § 970.200(b), no later than 5:00 p.m. EST on March 12, 1982 (or such later date and time as the Administrator may announce by regulation). All such applications filed at or before that time will be deemed to be filed on such closing date. (c) Applications not filed in accordance with this section will not be considered to be based on pre-enactment exploration, and may be filed only as new entrant applications under § 970.303. (d) To receive a pre-enactment explore priority of right for issuance of a license, and application must be, when filed, in substantial compliance with requirements described in § 970.209(b). An application which is in substantial but not full compliance will not lose its priority of right if it is brought into full compliance according to § 970.210. (e) Any application based on pre-enactment exploration must be for a reasonably compact area with respect to which the applicant is a pre-enactment explorer, and, notwithstanding any part of § 970.601 which indicates otherwise, such area must be bounded by a single continuous boundary. (f) The coordinates and any chart of the logical mining unit applied for in an application based on a pre-enactment exploration must be submitted in a separate, sealed envelope. (g) On or before March 12, 1982, the applicants must indicate to the Administrator, other than in the sealed portion of the application: (1) The size of the area applied for; (2) Whether the applicant or any person on the applicant's behalf has applied, or intends to apply, for the same area or substantially the same area to one or more nations, and the number of such other applications; and (3) Whether the other applicant is pursuing the “banking” option under § 970.601(d), and the number of applications filed, or to be filed, in pursuit of the “banking” option." 15:15:4.1.2.4.20.3.23.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,C,"Subpart C—Procedures for Applications Based on Exploration Commenced Before June 28, 1980; Resolution of Conflicts Among Overlapping Applications; Applications by New Entrants",,§ 970.302 Procedures and criteria for resolving conflicts.,NOAA,,,"[47 FR 24948, July 8, 1982, as amended at 54 FR 548, Jan. 6, 1989]","(a) General. This section governs the resolution of all conflicts between or among applications or amendments having pre-enactment explorer priority of right. (b) Identification of applicants. On June 21, 1982, the Administrator will meet with representatives of reciprocating states to identify their respective pre-enactment explorer applicants, and will identify the coordinates of the application areas applied for by such applicants. (c) Initial processing. On or before July 13, 1982, the Administrator will determine whether each domestic application is entitled to a priority of right based on pre-enactment exploration in accordance with § 970.301. (d) Identification of conflicts. On July 14, 1982, the Administrator will meet with representatives of reciprocating states to exchange lists of applications accorded pre-enactment explorer priorities of right, and will identify any conflicts existing among such applications. (e) Notification to applicants of conflicts. If the Administrator identifies a conflict, he will send, no later than July 22, 1982, written notice of the conflict to each domestic applicant involved in the conflict. The notice will: (1) Identify each applicant involved in the conflict in question: (2) Identify the coordinates of the portions of the application areas which are in conflict; (3) Indicate that the applicant may request from the Administrator the coordinates of the application areas from any other applications filed with the Administrator or with a reciprocating state (such coordinates will be provided subject to appropriate confidentiality arrangements); (4) State whether; (i) Each domestic application involved in the conflict is in substantial or, if known, full compliance with the requirements described in § 970.209(b); and (ii) Each foreign application involved in the conflict meets, if known, the legal requirements of the reciprocating state in which it is filed; (5) Notify each domestic applicant involved in a conflict that he may, after July 22, 1982, and on or before November 16, 1982, resolve the conflict voluntarily according to paragraph (f) of this section, and that on or after November 17, 1982, any unresolved conflict shall be resolved in accordance with paragraph (j) or (k) of this section, as applicable; and (6) In the case of an international conflict, include a copy of any applicable conflict resolution procedures in force between the United States and its reciprocating states pursuant to section 118 of the Act. (f) Voluntary resolution of conflicts. Each U.S. applicant involved in a conflict may resolve the conflict after July 22, 1982, and on or before November 16, 1982, by: (1) Unilaterally, or by agreement with each other applicant involved in the conflict, filing an amendment to the application eliminating the conflict; or (2) Agreeing in writing with the other applicant(s) involved in the conflict to submit it to an agreed binding conflict resolution procedure. (g) Amendments. (1) Amendments must be filed in accordance with the requirements for applications described in § 970.200. (2) The Administrator will: (i) Accept no amendment prior to July 23, 1982; (ii) Accord pre-enactment explorer priority of right only to amendments which: (A) Pertain to areas with respect to which the applicant has engaged in pre-enactment exploration; (B) Resolve an existing conflict with respect to that application; (C) Do not apply for an area included in an application filed pursuant to § 970.301 which is accorded pre-enactment explorer priority of right or an application identified pursuant to § 970.302(b) which has been filed with a reciprocating state; and (D) Are filed on or before October 15, 1982; and (iii) Accord amendments which meet the requirements of this paragraph (g) the same priority of right as the applications to which they pertain. (3) The area applied for in an amendment need not be adjacent to the area applied for in the original application. (4) Amendments not accorded pre-enactment explorer priority of right may be filed as new entrant amendments under § 970.303. (h) Notification of amendments and new conflicts. The Administrator will: (1) No later than October 25, 1982, notify each reciprocating state of any amendment accorded pre-enactment explorer priority of right pursuant to paragraph (g) of this section and, in cooperation with such states, identify any new conflicts; (2) No later than October 27, 1982, notify each domestic applicant who is involved in a new conflict. The notice will: (i) Identify each applicant with whom each new conflict has arisen; (ii) Identify the coordinates of each area in which the applicant is involved in a new conflict; (iii) Indicate that the applicant may request from the Administrator the coordinates of each area included in an amendment accorded pre-enactment explorer priority of right pursuant to paragraph (g) of this section, or for which notice has been received from a reciprocating state (such coordinates will be provided subject to appropriate confidentiality arrangements); (iv) Notify the applicant that he may, on or before November 16, 1982, resolve the conflict voluntarily according to paragraph (f) of this section, and that on or after November 17, 1982, any unresolved conflict shall be resolved in accordance with paragraph (j) or (k) of this section, as applicable; and (v) In the case of an international conflict, include a copy of any applicable conflict resolution procedures in force between the United States and its reciprocating states pursuant to section 118 of the Act. (i) Government assistance in resolving international conflicts. If, by October 26 1982, the applicants have not resolved, or agreed in writing to a specified binding procedure to resolve, an original international conflict, or new international conflict, the Administrator, the Secretary of State of the United States, and appropriate officials of the government of the reciprocating state to which the other applicant involved in the conflict applied will use their good offices to assist the applicants to resolve the conflict. After November 16, 1982, any unresolved international conflicts will be resolved in accordance with paragraph (k) of this section. (j) Unresolved domestic conflict —(1) Procedure. (i) In the case of an original domestic conflict or a new domestic conflict, the applicants will be allowed until April 15, 1983, to resolve the conflict or agree in writing to submit the conflict to a specified binding conflict resolution procedure. If, by April 15, 1983, all applicants involved in an original or new domestic conflict have not resolved that conflict, or agreed in writing to submit the conflict to a specified binding conflict resolution procedure, the conflict will be resolved in a formal hearing held in accordance with subpart I of 15 CFR part 971, except that: (A) The General Counsel of NOAA will not, as a matter of right, be a party to the hearing; however, the General Counsel may be admitted to the hearing by the administrative law judge as a party or as an interested person pursuant to 15 CFR 971.901 (f)(2) or (f)(3); and (B) The administrative law judge will take such actions as he deems necessary and appropriate to conclude the hearing and transmit a recommended decision to the Administrator in an expeditious manner. (ii) Notwithstanding the above, at any time on or after November 17, 1982, and on or before April 14, 1983, the applicants involved in the conflict may, by agreement, request the Administrator to resolve the conflict in a formal hearing as described above. (2) Decision principles for NOAA formal conflict resolution. (i) The Administrator shall determine which applicant involved in a conflict between or among pre-enactment explorer applications or amendments shall be awarded all or part of each area in conflict. (ii) The determination of the Administrator shall be based on the application of principles of equity which take into consideration, with respect to each applicant involved in the conflict, the following factors: (A) The continuity and extent of activities relevant to each area in conflict and the application area of which it is a part; (B) The date on which each applicant involved in the conflict, or predecessor in interest or component organization thereof, commenced activities at sea in the application area; (C) The financial cost of activities relevant to each area in conflict and to the application area of which it is a part, measured in constant dollars; (D) The time when the activities were carried out, and the quality of the activities; and (E) Such additional factors as the Administrator determines to be relevant, but excluding consideration of the future work plans of the applicants involved in any conflict. (iii) For the purposes of this paragraph (j) of this section, the word activities means the undertakings, commitments of resources investigations, findings, research, engineering development and other activities relevant to the identification, discovery, and systematic analysis and evaluation of hard mineral resources and to the determination of the technical and economic feasibility of commercial recovery. (iv) When considering the factors specified in paragraph (j)(2)(ii) of this section, the Administrator shall hear, and shall (except for purposes of apportionment pursuant to paragraph (j)(2)(v) of this section) limit his consideration to, all evidence based on the activities specified in paragraph (j)(2)(ii) of this section which were conducted on or before January 1, 1982, Provided, however, That an applicant must prove at-sea activities in the area in conflict prior to June 28, 1980, as a pre-condition to presentation of further evidence to the Administrator regarding activities in the area in conflict. (v) In making his determination, the Administrator may award the entire area in conflict to one applicant involved in the conflict, or he may apportion the area among any or all of the applicants involved in the conflict. If, after applying the principles of equity, the Administrator determines that the area in conflict should be apportioned, the Administrator shall (to the maximum extent practicable consistent with the Administrator's application of the principles of equity) apportion the area in a manner designed to satisfy the plan of work set forth in the application of each applicant which is awarded part of the area. (vi) Each applicant involved in the conflict must file an amendment to its application if necessary to implement the determination made by the Administrator. (k) Unresolved international conflicts. (1) If, by November 17, 1982, all applicants involved in an original or new international conflict have not resolved that conflict, or agreed in writing to submit the conflict to a specified binding conflict resolution procedure, the applicants shall proceed in accordance with the conflict resolution procedures agreed to between the United States and its reciprocating states pursuant to section 118 of the Act. (2) Each applicant whose application is involved in an international conflict shall be responsible for actions required in the conduct of the conflict resolution procedures, including bearing a proportional cost of implementing the procedures, representing himself in any proceedings, and assisting in the selection of arbitrators if necessary. (l) Continued opportunity for voluntary resolutions. Each applicant may resolve any conflict by voluntary procedures at any time while that conflict persists. (m) Effect on priorities of new entrants. (1) A pre-enactment explorer is entitled to a priority of right over a new entrant for any area in which the pre-enactment explorer has engaged in exploration prior to June 28, 1980 if, with respect to that area, the pre-enactment explorer files an application in accordance with this part on or after January 25, 1982 and on or before the closing date for pre-enactment explorer applications established under § 970.301(b). (2) Any amendment which is filed by a pre-enactment explorer on or before October 15, 1982, relates back to the date of filing of the original application and shall give the pre-enactment explorer priority of right over all new entrants if the amendment is accorded a pre-enactment explorer priority of right under paragraph (g) of this section." 15:15:4.1.2.4.20.3.23.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,C,"Subpart C—Procedures for Applications Based on Exploration Commenced Before June 28, 1980; Resolution of Conflicts Among Overlapping Applications; Applications by New Entrants",,§ 970.303 Procedures for new entrants.,NOAA,,,"[47 FR 24948, July 8, 1982, as amended at 91 FR 2672, Jan. 21, 2026]","(a) Filing of new entrant applications or amendments; priority of right. New entrant applications or amendments shall be filed in accordance with § 970.200 or, as applicable, § 971.214(b) and (c) of this chapter. A new entrant may file an application or amendment only at or after 1500 hours GMT (11:00 a.m. EDT) January 3, 1983. All applications or amendments filed at that time shall be deemed to be filed simultaneously, and, if in accordance with § 970.209, shall have priority of right over any application or amendment filed subsequently. Priority of right for any application or amendment filed after that time shall be established as described in § 970.209. (b) Conflicts. (1) If a domestic conflict exists between or among new entrant applications or amendments, the applicants involved in the conflict shall resolve it. (2) If an international conflict exists between or among new entrant applications or amendments, the conflict shall be resolved in accordance with applicable conflict resolution procedures agreed to between the United States and its reciprocating States pursuant to section 118 of the Act. The Administrator will provide each domestic applicant involved in an international conflict a copy of any such procedures in force when the Administrator issues notice to the applicant that an international conflict exists. Each applicant whose application is involved in an international conflict shall be responsible for actions required in the conduct of the conflict resolution procedures, including bearing a proportional cost of implementing the procedures, representing himself in any proceedings, and assisting in the selection of arbitrators if necessary." 15:15:4.1.2.4.20.3.23.5,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,C,"Subpart C—Procedures for Applications Based on Exploration Commenced Before June 28, 1980; Resolution of Conflicts Among Overlapping Applications; Applications by New Entrants",,§ 970.304 Action on portions of applications or amendments not in conflict.,NOAA,,,,"If an applicant so requests, the Administrator will proceed in accordance with this part to review that portion of an area included in an application or amendment that is not involved in a conflict. However, the Administrator will proceed with such review only if the applicant advises the Administrator in writing that the applicant will continue to seek a license for the proposed exploration activities in the portion of the application area that is not in conflict. To the extent practicable, the deadlines for certification of an application or amendment and issuance of a license provided in §§ 970.400 and 970.500, respectively, will run from the date of filing of the original application." 15:15:4.1.2.4.20.4.23.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.400 General.,NOAA,,,,"(a) Certification is an intermediate step between receipt of an application for issuance or transfer of a license and its actual issuance or transfer. It is a determination which focuses on the eligibility of the applicant. (b) Before the Administrator may certify an application for issuance or transfer of a license, he must determine that issuance of the license would not violate any of the restrictions in § 970.103(b). He also must make written determinations with respect to the requirements set forth in §§ 970.401 through 970.406. This will be done after consultation with other departments and agencies pursuant to § 970.211. (c) To the maximum extent possible, the Administrator will endeavor to complete certification of an application within 100 days after submission of an application which is in full compliance with subpart B of this part. If final certification or denial of certification has not occurred within 100 days after such submission of the application, the Administrator will inform the applicant in writing of the pending unresolved issues, the agency's efforts to resolve them, and an estimate of the time required to do so." 15:15:4.1.2.4.20.4.23.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.401 Financial responsibility.,NOAA,,,,"(a) Before the Administrator may certify an application for an exploration license he must find that the applicant has demonstrated that, upon issuance or transfer of the license, the applicant will be financially responsible to meet all obligations which he may require to engage in the exploration proposed in the application. (b) In order for the Administrator to make this determination, the applicant must show to the Administrator's satisfaction that he is reasonably capable of committing or raising sufficient resources to carry out, in accordance with the provisions contained in this part, the exploration program set forth in his exploration plan." 15:15:4.1.2.4.20.4.23.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.402 Technological capability.,NOAA,,,,"(a) Before the Administrator may certify an application for an exploration license, he must find that the applicant has demonstrated that, upon issuance or transfer of the license, the applicant will possess, or have access to or a reasonable expectation of obtaining, the technological capability to engage in the proposed exploration. (b) In order for the Administrator to make this determination, the applicant must demonstrate to the Administrator's satisfaction that the applicant will possess or have access to, at the time of issuance or transfer of the license, the technology and expertise, as needed, to carry out the exploration program set forth in his exploration plan." 15:15:4.1.2.4.20.4.23.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.403 Previous license and permit obligations.,NOAA,,,,"In order to certify an application, the Administrator must find that the applicant has satisfactorily fulfilled all past obligations under any license or permit previously issued or transferred to the applicant under the Act." 15:15:4.1.2.4.20.4.23.5,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.404 Adequate exploration plan.,NOAA,,,,"Before he may certify an application, the Administrator must find that the proposed exploration plan of the applicant meets the requirements of § 970.203." 15:15:4.1.2.4.20.4.23.6,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.405 Appropriate exploration site size and location.,NOAA,,,,"Before the Administrator may certify an application, he must approve the size and location of the exploration area selected by the applicant. The Administrator will approve the size and location of the area unless he determines that the area is not a logical mining unit pursuant to § 970.601." 15:15:4.1.2.4.20.4.23.7,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.406 Fee payment.,NOAA,,,,"Before the Administrator may certify an application, he must find that the applicant has paid the license fee as specified in § 970.208." 15:15:4.1.2.4.20.4.23.8,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.407 Denial of certification.,NOAA,,,"[46 FR 45902, Sept. 15, 1981, as amended at 54 FR 547, Jan. 6, 1989]","(a) The Administrator may deny certification of an application if he finds that the requirements of this subpart have not been met. If, in the course of reviewing an application for certification, the Administrator becomes aware of the fact that one or more of the requirements for issuance or transfer under §§ 970.503 through 970.507 will not be met, he may also deny certification of the application. (b) When the Administrator proposes to deny certification he will send to the applicant, and publish in the Federal Register, written notice of intention to deny certification. Such notice will include: (1) The basis upon which the Administrator proposes to deny certification; and (2) If the basis for the proposed denial is a deficiency which the Administrator believes the applicant can correct: (i) The action believed necessary to correct the deficiency; and (ii) The time within which any correctable deficiency must be corrected (the period of time may not exceed 180 days except as specified by the Administrator for good cause). (c) The Administrator will deny certification: (1) On the 30th day after the date the notice is sent to the applicant, under paragraph (b) of this section, unless before such 30th day the applicant files with the Administrator a written request for an administrative review of the proposed denial; or (2) On the last day of the period established under paragraph (b)(2)(ii) of this section in which the applicant must correct a deficiency, if such deficiency has not been corrected before such day and an administrative review requested pursuant to paragraph (c)(1) of this section is not pending or in progress. (d) If a timely request for administrative review of the proposed denial is made by the applicant under paragraph (c)(1) of this section, the Administrator will promptly begin a formal hearing in accordance with Subpart I of 15 CFR part 971. If the proposed denial is the result of a correctable deficiency, the administrative review will proceed concurrently with any attempts to correct the deficiency, unless the parties agree otherwise or the administrative law judge orders differently. (e) If the Administrator denies certification, he will send to the applicant written notice of the denial, including the reasons therefor. (f) Any final determination by the Administrator granting or denying certification is subject to judicial review as provided in Chapter 7 of Title 5, United States Code." 15:15:4.1.2.4.20.4.23.9,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,D,Subpart D—Certification of Applications,,§ 970.408 Notice of certification.,NOAA,,,,"Upon making a final determination to certify an application for an exploration license, the Administrator will promptly send written notice of his determination to the applicant." 15:15:4.1.2.4.20.5.23.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.500 General.,NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 91 FR 2672, Jan. 21, 2026]","(a) Proposal. After certification of an application pursuant to subpart D of this part, or, as applicable, § 971.214(e) of this chapter, the Administrator shall proceed with a proposal to issue or transfer a license for the exploration activities described in the application. (b)(1) Terms, conditions and restrictions. Within 180 days (or such longer period as the Administrator may establish for good cause shown in writing) after certification, the Administrator will propose terms and conditions for, and restrictions on, the proposed exploration which are consistent with the provisions of the Act and this part as set forth in §§ 970.517 through 970.524. Proposed and final terms, conditions and restrictions will be uniform in all licenses, except to the extent that differing physical and environmental conditions require the establishment of special terms, conditions and restrictions for the conservation of natural resources, protection of the environment, or the safety of life and property at sea. The Administrator will propose these in writing to the applicant. Also, public notice thereof will be provided pursuant to § 970.501, and they will be included with the draft of the EIS on the issuance of a license which is required by section 109(d) of the Act. (2) If the Administrator does not propose terms, conditions and restrictions within 180 days after certification, he will notify the applicant in writing of the reasons for the delay and will indicate the approximate date on which the proposed terms, conditions and restrictions will be completed. (c) Findings. Before issuing or transferring an exploration license, the Administrator must make written findings in accordance with the requirements of §§ 970.503 through 970.507. These findings will be made after considering all information submitted with respect to the application and proposed issuance or transfer. He will make a final determination on issuance or transfer of a license, and will publish a final EIS on that action, within 180 days (or such longer period of time as he may establish for good cause shown in writing) following the date on which proposed terms, conditions and restrictions, and the draft EIS, are published." 15:15:4.1.2.4.20.5.23.10,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.509 Notice of issuance or transfer.,NOAA,,,,"If the Administrator finds that the requirements of this part have been met, he will issue or transfer the license along with the appropriate terms, conditions and restrictions. Notification thereof will be made in writing to the applicant and in the Federal Register." 15:15:4.1.2.4.20.5.23.11,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,"§ 970.510 Objections to terms, conditions and restrictions.",NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 54 FR 548, Jan. 6, 1989]","(a) The licensee may file a notice of objection to any term, condition or restriction in the license. The licensee may object on the grounds that any term, condition or restriction is inconsistent with the Act or this part, or on any other grounds which may be raised under applicable provisions of law. If the licensee does not file notice of an objection within the 60-day period immediately following the licensee's receipt of the notice of issuance or transfer under § 970.509, he will be deemed conclusively to have accepted the terms, conditions and restrictions in the license. (b) Any notice of objection filed under paragraph (a) of this section must be in writing, must contain the precise legal basis for the objection, and must provide information relevant to any underlying factual issues deemed by the licensee as necessary to the Administrator's decision upon the objection. (c) Within 90 days after receipt of the notice of objection, the Administrator will act on the objection and publish in the Federal Register, as well as provide to the licensee, written notice of his decision. (d) If, after the Administrator takes final action on an objection, the licensee demonstrates that a dispute remains on a material issue of fact, the Administrator will provide for a formal hearing which will proceed in accordance with subpart I of 15 CFR part 971. (e) Any final determination by the Administrator on an objection to terms, conditions or restrictions in a license after the formal hearing provided in paragraph (d) of this section is subject to judicial review as provided in chapter 7 of title 5, United States Code." 15:15:4.1.2.4.20.5.23.12,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.511 Suspension or modification of activities; suspension or revocation of licenses.,NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 54 FR 548, Jan. 6, 1989]","(a) The Administrator may: (1) In addition to, or in lieu of, the imposition of any civil penalty under subpart J of 15 CFR part 971, or in addition to the imposition of any fine under subpart J, suspend or revoke any license issued under this part, or suspend or modify any particular activities under such a license, if the licensee substantially fails to comply with any provision of the Act, this part, or any term, condition or restriction of the license; and (2) Suspend or modify particular activities under any license, if the President determines that such suspension or modification is necessary: (i) To avoid any conflict with any international obligation of the United States established by any treaty or convention in force with respect to the United States; or (ii) To avoid any situation which may reasonably be expected to lead to a breach of international peace and security involving armed conflict. (b) Any action taken by the Administrator in accordance with paragraph (a)(1) will proceed pursuant to the procedures in 15 CFR 971.1003. Any action taken in accordance with paragraph (a)(2) will proceed pursuant to paragraphs (c) through (i) of this section, other than paragraph (h)(2). (c) Prior to taking any action specified in paragraph (a)(2) of this section the Administrator will publish in the Federal Register, and send to the licensee, written notice of the proposed action. The notice will include: (1) The basis of the proposed action; and (2) If the basis for the proposed action is a deficiency which the Administrator believes the licensee can correct: (i) The action believed necessary to correct the deficiency; and (ii) The time within which any correctable deficiency must be corrected (this period of time may not exceed 180 days except as specified by the Administrator for good cause). (d) The Administrator will take the proposed action: (1) On the 30th day after the date the notice is sent to the licensee, under paragraph (c) of this section, unless before such 30th day the licensee files with the Administrator a written request for an administrative review of the proposed action; or (2) On the last day of the period established under paragraph (c)(2)(ii) of this section in which the licensee must correct the deficiency, if such deficiency has not been corrected before such day and an administrative review requested pursuant to paragraph (d)(1) of this section is not pending or in progress. (e) If a timely request for administrative review of the proposed action is made by the licensee under paragraph (d)(1) of this section, the Administrator will promptly begin a formal hearing in accordance with subpart I of 15 CFR part 971. If the proposed action is the result of a correctable deficiency, the administrative review will proceed concurrently with any attempt to correct the deficiency, unless the parties agree otherwise or the administrative law judge orders differently. (f) The Administrator will serve on the licensee, and publish in the Federal Register, written notice of the action taken including the reasons therefor. (g) Any final determination by the Administrator to take the proposed action is subject to judicial review as provided in chapter 7 of title 5, United States Code. (h) The issuance of any notice of proposed action under this section will not affect the continuation of exploration activities by a licensee, except as provided in paragraph (i) of this section. (i) The provisions of paragraphs (c), (d), (e) and (h) of this section will not apply when: (1) The President determines by Executive Order that an immediate suspension of a license, or immediate suspension or modification of particular activities under such license, is necessary for the reasons set forth in paragraph (a)(2) of this section; or (2) The Administrator determines that immediate suspension of such a license, or immediate suspension or modification of particular activities under a license, is necessary to prevent a significant adverse effect on the environment or to preserve the safety of life or property at sea, and the Administrator issues an emergency order in accordance with § 971.1003(d)(4). (j) The Administrator will immediately rescind the emergency order as soon as he has determined that the cause for the order has been removed." 15:15:4.1.2.4.20.5.23.13,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,"§ 970.512 Modification of terms, conditions and restrictions.",NOAA,,,"[46 FR 45903, Sept. 15, 1981; 47 FR 5966, Feb. 9, 1982]","(a) After issuance or transfer of any license, the Administrator, after consultation with interested agencies and the licensee, may modify any term, condition, or restriction in such license for the following purposes: (1) To avoid unreasonable interference with the interests of other nations in their exercise of the freedoms of the high seas, as recognized under general principles of international law. This determination will take into account the provisions of § 970.503; (2) If relevant data and other information (including, but not limited to, data resulting from exploration activities under the license) indicate that modification is required to protect the quality of the environment or to promote the safety of life and property at sea; (3) To avoid a conflict with any international obligation of the United States, established by any treaty or convention in force with respect to the United States, as determined in writing by the President; or (4) To avoid any situation which may reasonably be expected to lead to a breach of international peace and security involving armed conflict, as determined in writing by the President. (b) The procedures for objection to the modification of a term, condition or restriction will be the same as those for objection to an original term, condition or restriction under § 970.510, except that the period for filing notice of objection will run from the receipt of notice of proposed modification. Public notice of proposed modifications under this section will be made according to § 970.514. On or before the date of publication of public notice, written notice will be provided to the licensee." 15:15:4.1.2.4.20.5.23.14,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.513 Revision of a license.,NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 91 FR 2672, Jan. 21, 2026]","(a) During the term of an exploration license, the licensee may submit to the Administrator an application for a revision of the license or the exploration plan associated with it. NOAA recognizes that changes in circumstances encountered, and in information and technology developed, by the licensee during exploration may require such revisions. In some cases, it may even be advisable to recognize at the time of filing the original license application that although the essential information for issuing or transferring a license as specified in §§ 970.201 through 920.208, or as specified in § 971.214(d) of this chapter, as applicable, shall be included in such application, some details may have to be provided in the future in the form of a revision. In such instances, the Administrator may issue or transfer a license which would authorize exploration activities and plans only to the extent described in the application. (b) The Administrator shall approve such application for a revision upon a finding in writing that the revision shall comply with the requirements of the Act and this part. (c) A change which would require an application to and approval by the Administrator as a revision is a major change in one or more of: (1) The bases for certifying the original application pursuant to §§ 970.401 through 970.406, or, as applicable, pursuant to § 971.214(e) of this chapter; (2) The bases for issuing or transferring the license pursuant to §§ 970.503 through 970.507; or (3) The terms, conditions and restrictions issued for the license pursuant to §§ 970.517 through 970.524. A major change is one which is of such significance so as to raise a question as to: (i) The applicant's ability to meet the requirements of the sections cited in paragraphs (c) (1) and (2) of this section; or (ii) The sufficiency of the terms, conditions and restrictions to accomplish their intended purpose." 15:15:4.1.2.4.20.5.23.15,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.514 Scale requiring application procedures.,NOAA,,,,"(a) A proposal by the Administrator to modify a term, condition or restriction in a license pursuant to § 970.512, or an application by a licensee for revision of a license or exploration plan pursuant to § 970.513, is significant, and the full application requirements and procedures will apply, if it would result in other than an incidental: (1) Increase in the size of the exploration area; or (2) Change in the location of the area. An incidental increase or change is that which equals two percent or less of the original exploration area, so long as such adjustment is contiguous to the licensed area. (b) All proposed modifications or revisions other than described in paragraph (a) of this section will be acted on after a notice thereof is published by the Administrator in the Federal Register, with a 60-day opportunity for public comment. On a case-by-case basis, the Administrator will determine if other procedures, such as a public hearing in a potentially affected area, are warranted. Notice of the Administrator's decision on the proposed modification will be provided to the licensee in writing and published in the Federal Register." 15:15:4.1.2.4.20.5.23.16,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.515 Duration of a license.,NOAA,,,,"(a) Each exploration license will be issued for a period of 10 years. (b) If the licensee has substantially complied with the license and its associated exploration plan and requests an extension of the license, the Administrator will extend the license on terms, conditions and restrictions consistent with the Act and this part for a period of not more than 5 years. In determining substantial compliance for purposes of this section, the Administrator may make allowance for deviation from the exploration plan for good cause, such as significantly changed market conditions. However, a request for extension must be accompanied by an amended exploration plan to govern the activities by the licensee during the extended period. (c) Successive extensions may be requested, and will be granted by the Administrator, based on the criteria, and for the length of time, specified in paragraph (b) of this section." 15:15:4.1.2.4.20.5.23.17,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.516 Approval of license transfers.,NOAA,,,,"(a) The Administrator may transfer a license after a written request by the licensee. After a licensee submits such a request to the Administrator, the proposed transferee will be deemed an applicant for an exploration license, and will be subject to the requirements and procedures of this part. (b) The Administrator will transfer a license if the proposed transferee and exploration activities meet the requirements of the Act and this part, and if the proposed transfer is in the public interest. The Administrator will presume that the transfer is in the public interest if it meets the requirements of the Act and this part. In case of mere change in the form or ownership of a licensee, the Administrator may waive relevant determinations for requirements for which no changes have occurred since the preceding application." 15:15:4.1.2.4.20.5.23.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,"§ 970.501 Proposal to issue or transfer and of terms, conditions and restrictions.",NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 54 FR 548, Jan. 6, 1989]","(a) Notice and comment. The Administrator will publish in the Federal Register notice of each proposal to issue or transfer, and of terms and conditions for, and restrictions on, an exploration license. Subject to 15 CFR 971.802, interested persons will be permitted to examine the materials relevant to such proposals. Interested persons will have at least 60 days after publication of such notice to submit written comments to the Administrator. (b) Hearings. (1) The Administrator will hold a public hearing in an appropriate location and may employ such additional methods as he deems appropriate to inform interested persons about each proposal and to invite their comments thereon. (2) If the Administrator determines there exists one or more specific and material factual issues which require resolution by formal processes, at least one formal hearing will be held in the District of Columbia metropolitan area in accordance with the provisions of subpart I of 15 CFR part 971. The record developed in any such formal hearing will be part of the basis for the Administrator's decisions on issuance or transfer of, and of terms, conditions and restrictions for the license. (c) Hearings held pursuant to this section will be consolidated insofar as practicable with hearings held by other agencies." 15:15:4.1.2.4.20.5.23.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.502 Consultation and cooperation with Federal agencies.,NOAA,,,,"Prior to the issuance or transfer of an exploration license, the Administrator will continue the consultation and cooperation with other Federal agencies which were initiated pursuant to § 970.211. This consultation will be to assure compliance with, among other statutes, the Endangered Species Act of 1973, as amended, the Marine Mammal Protection Act of 1972, as amended, and the Fish and Wildlife Coordination Act. He also will consult, prior to any issuance, transfer, modification or renewal of a license, with any affected Regional Fishery Management Council established pursuant to section 302 of the Fishery Conservation and Management Act of 1976 (16 U.S.C. 1852) if the activities undertaken pursuant to such license could adversely affect any fishery within the Fishery Conservation Zone, or any anadromous species or Continental Shelf fishery resource subject to the exclusive management authority of the United States beyond such zone." 15:15:4.1.2.4.20.5.23.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.503 Freedom of the high seas.,NOAA,,,,"(a) Before issuing or transferring an exploration license, the Administrator must find that the exploration proposed in the application will not unreasonably interfere with the exercise of the freedoms of the high seas by other nations, as recognized under general principles of international law. (b) In making this finding, the Administrator will recognize that exploration for hard mineral resources of the deep seabed is a freedom of the high seas. In the exercise of this right, each licensee must act with reasonable regard for the interests of other nations in their exercise of the freedoms of the high seas. (c)(1) In the event of a conflict between the exploration program of an applicant or licensee and a competing use of the high seas by another nation or its nationals, the Administrator, in consultation and cooperation with the Department of State and other interested agencies, will enter into negotiations with that nation to resolve the conflict. To the maximum extent possible the Administrator will endeavor to resolve the conflict in a manner that will allow both uses to take place in a manner in which neither will unreasonably interfere with the other. (2) If both uses cannot be conducted harmoniously in the area subject to the exploration plan, the Administrator will decide whether to issue or transfer the license." 15:15:4.1.2.4.20.5.23.5,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.504 International obligations of the United States.,NOAA,,,,"Before issuing or transferring an exploration license, the Administrator must find that the exploration proposed in the application will not conflict with any international obligation of the United States established by any treaty or international convention in force with respect to the United States." 15:15:4.1.2.4.20.5.23.6,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.505 Breach of international peace and security involving armed conflict.,NOAA,,,,"Before issuing or transferring an exploration license, the Administrator must find that the exploration proposed in the application will not create a situation which may reasonably be expected to lead to a breach of international peace and security involving armed conflict." 15:15:4.1.2.4.20.5.23.7,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.506 Environmental effects.,NOAA,,,,"Before issuing or transferring an exploration license, the Administrator must find that the exploration proposed in the application cannot reasonably be expected to result in a significant adverse effect on the quality of the environment, taking into account the analyses and information in any applicable EIS prepared pursuant to section 109(c) or 109(d) of the Act. This finding also will be based upon the considerations and approach in § 970.701." 15:15:4.1.2.4.20.5.23.8,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.507 Safety at sea.,NOAA,,,,"Before issuing or transferring an exploration license, the Administrator must find that the exploration proposed in the application will not pose an inordinate threat to the safety of life and property at sea. This finding will be based on the requirements reflected in §§ 970.205 and 970.801." 15:15:4.1.2.4.20.5.23.9,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.508 Denial of issuance or transfer.,NOAA,,,"[46 FR 45903, Sept. 15, 1981, as amended at 54 FR 548, Jan. 6, 1989]","(a) The Administrator may deny issuance or transfer of a license if he finds that the applicant or the proposed exploration activities do not meet the requirements of this part for the issuance or transfer of a license. (b) When the Administrator proposes to deny issuance or transfer, he will send to the applicant, and publish in the Federal Register, written notice of such intention to deny issuance or transfer. Such notice will include: (1) The basis upon which the Administrator proposes to deny issuance or transfer; and (2) If the basis for the proposed denial is a deficiency which the Administrator believes the applicant can correct: (i) The action believed necessary to correct the deficiency; and (ii) The time within which any correctable deficiency must be corrected (the period of time may not exceed 180 days except as specified by the Administrator for good cause). The Federal Register notice will not include the coordinates of the proposed exploration area. (c) The Administrator will deny issuance or transfer: (1) On the 30th day after the date the notice is sent to the applicant under paragraph (b) of this section, unless before such 30th day the applicant files with the Administrator a written request for an administrative review of the proposed denial; or (2) On the last day of the period established under paragraph (b)(2)(ii) of this section in which the applicant must correct a deficiency, if such deficiency has not been corrected before such day and an administrative review requested pursuant to paragraph (c)(1) of this section is not pending or in progress. (d) If a timely request for administrative review of the proposed denial is made by the applicant under paragraph (c)(1) of this section, the Administrator will promptly begin a formal hearing in accordance with subpart I of 15 CFR part 971. If the proposed denial is the result of a correctable deficiency, the administrative review will proceed concurrently with any attempt to correct the deficiency, unless the parties agree otherwise or the administrative law judge orders differently. (e) If the Administrator denies issuance or transfer, he will send to the applicant written notice of the denial, including the reasons therefor. (f) Any final determination by the Administrator granting or denying issuance of a license is subject to judicial review as provided in chapter 7 of title 5, United States Code." 15:15:4.1.2.4.20.5.24.18,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.517 Diligence requirements.,NOAA,,,,"The terms, conditions and restrictions in each exploration license must include provisions to assure diligent development. The Administrator will establish these pursuant to § 970.602." 15:15:4.1.2.4.20.5.24.19,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.518 Environmental protection requirements.,NOAA,,,,"(a) Each exploration license must contain such terms, conditions and restrictions, established by the Administrator, which prescribe actions the licensee must take in the conduct of exploration activities to assure protection of the environment. The Administrator will establish these pursuant to § 970.702. (b) Before establishing the terms, conditions and restrictions pertaining to environmental protection, the Administrator will consult with the Administrator of the Environmental Protection Agency, the Secretary of State and the Secretary of the department in which the Coast Guard is operating. He also will take into account and give due consideration to the information contained in the final EIS prepared with respect to that proposed license." 15:15:4.1.2.4.20.5.24.20,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.519 Resource conservation requirements.,NOAA,,,,"For the purpose of conservation of natural resources, each license issued under this part will contain, as needed, terms, conditions and restrictions which have due regard for the prevention of waste and the future opportunity for the commercial recovery of the unrecovered balance of the hard mineral resources in the license area. The Administrator will establish these pursuant to § 970.603." 15:15:4.1.2.4.20.5.24.21,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.520 Freedom of the high seas requirements.,NOAA,,,,"Each license issued under this part must include such restrictions as may be necessary and appropriate to ensure that the exploration activities do not unreasonably interfere with the interests of other nations in their exercise of the freedoms of the high seas, as recognized under general principles of international law, such as fishing, navigation, submarine pipeline and cable laying, and scientific research. The Administrator will consider the provisions in § 970.503 in establishing these restrictions." 15:15:4.1.2.4.20.5.24.22,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.521 Safety at sea requirements.,NOAA,,,,"The Secretary of the department in which the Coast Guard is operating, in consultation with the Administrator, will require in any license issued under this part, in conformity with principles of international law, that vessels documented under the laws of the United States and used in activities authorized under the license comply with conditions regarding the design, construction, alteration, repair, equipment, operation, manning and maintenance relating to vessel and crew safety and the promotion of safety of life and property at sea. These requirements will be established with reference to subpart H of this part." 15:15:4.1.2.4.20.5.24.23,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.522 Monitoring requirements.,NOAA,,,,"Each exploration license must require the licensee: (a) To allow the Administrator to place appropriate Federal officers or employees as observers aboard vessels used by the licensee in exploration activities to: (1) Monitor such activities at such time, and to such extent, as the Administrator deems reasonable and necessary to assess the effectiveness of the terms, conditions, and restrictions of the license; and (2) Report to the Administrator whenever such officers or employees have reason to believe there is a failure to comply with such terms, conditions, and restrictions; (b) To cooperate with such officers and employees in the performance of monitoring functions; and (c) To monitor the environmental effects of the exploration activities in accordance with a monitoring plan approved and issued by the Administrator as license terms, conditions and restrictions, and to submit such information as the Administrator finds to be necessary and appropriate to assess environmental impacts and to develop and evaluate possible methods of mitigating adverse environmental effects. This environmental monitoring plan and reporting will respond to the concerns and procedures discussed in Subpart G of this part." 15:15:4.1.2.4.20.5.24.24,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,"§ 970.523 Special terms, conditions, and restrictions.",NOAA,,,,"Although the general criteria and standards to be used in establishing terms, conditions, and restrictions for a license are set forth in this part, as referenced in §§ 970.517 through 970.522, the Administrator may impose special terms, conditions, and restrictions for the conservation of natural resources, protection of the environment, or the safety of life and property at sea when required by differing physical and environmental conditions." 15:15:4.1.2.4.20.5.24.25,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,E,"Subpart E—Issuance/Transfer/Terms, Conditions and Restrictions",,§ 970.524 Other Federal requirements.,NOAA,,,,"Pursuant to § 970.211, another Federal agency, upon review of an exploration license application submitted under this part, may indicate how terms, conditions, and restrictions might be added to the license, to assure compliance with any law or regulation within that agency's area of responsibility. In response to the intent, reflected in section 103(e) of the Act, to reduce the number of separate actions to satisfy the statutory responsibilities of these agencies, the Administrator may include such terms, conditions, and restrictions in a license." 15:15:4.1.2.4.20.6.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,F,Subpart F—Resource Development Concepts,,§ 970.600 General.,NOAA,,,,"Several provisions in the Act relate to appropriate mining techniques or mining efficiency. These raise what could be characterized as resource development issues. In particular, under section 103(a)(2)(D) of the Act, the applicant will select the size and location of the area of an exploration plan, which will be approved unless the Administrator finds that the area is not a “logical mining unit.” Also, pursuant to section 108 of the Act the applicant's exploration plan and the terms, conditions and restrictions of each license must be designed to ensure diligent development. In addition, for the purpose of conservation of natural resources, section 110 of the Act provides that each license is to contain, but only as needed, terms, conditions, and restrictions which have due regard for the prevention of waste and the future opportunity for the commercial recovery of the unrecovered balance of the resources." 15:15:4.1.2.4.20.6.25.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,F,Subpart F—Resource Development Concepts,,§ 970.601 Logical mining unit.,NOAA,,,"[46 FR 45907, Sept. 15, 1981, as amended at 47 FR 5968, Feb. 9, 1982]","(a) In the case of an exploration license, a logical mining unit is an area of the deep seabed which can be explored under the license, and within the 10-year license period, in an efficient, economical and orderly manner with due regard for conservation and protection of the environment, taking into consideration the resource data, other relevant physical and environmental characteristics, and the state of the technology of the applicant as set forth in the exploration plan. In addition, it must be of sufficient size to allow for intensive exploration. (b) Approval by the Administrator of a proposed exploration logical mining unit will be based on a case-by-case review of each application. In order to provide a proper basis for this evaluation, the applicant's exploration plan should describe the seabed topography, the location of mineral deposits and the nature of planned equipment and operations. Also, the exploration plan must show the relationship between the area to be explored and the applicant's plans for commercial recovery volume, to the extent projected in the exploration plan. (c) In delineating an exploration area, the applicant need not include unmineable areas. Thus, the area need not consist of contiguous segments, as long as each segment would be efficiently mineable and the total proposed area constitutes a logical mining unit. In describing the area, the applicant must present the geodetic coordinates of the points defining the boundaries, referred to the World Geodetic System (WGS) Datum. A boundary between points must be a geodesic. If grid coordinates are desired, the Universal Transverse Mercator Grid System must be used. (d) At the applicant's option, for the purpose of satisfying a possible obligation under a future Law of the Sea Treaty, the applicant may propose an exploration area which includes two exploration logical mining units. The applicant should specify in the application if this “banking” option is chosen, and any applicant choosing this option and filing an application based on pre-enactment exploration under § 970.301 shall so notify the Administrator in accordance with § 970.301(g). (e) Applicants are advised that NOAA will not accept an application or issue a license for an exploration area larger than 150,000 square kilometers unless the applicant can demonstrate the necessity of a larger area based on factors such as topography, nodule abundance, distribution and ore grade. If the applicant elects to pursue the “banking” option described in paragraph (d) of this section, and wishes to apply for an exploration area larger than 150,000 square kilometers, the applicant must file a second application with respect to at least the area in excess of 150,000 square kilometers, unless the applicant justifies such excess area as part of a single application under the preceding sentence." 15:15:4.1.2.4.20.6.25.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,F,Subpart F—Resource Development Concepts,,§ 970.602 Diligent exploration.,NOAA,,,,"(a) Each licensee must pursue diligently the activities described in his approved exploration plan. This requirement applies to the full scope of the plan, including environmental safeguards and monitoring systems. To help assure this diligence, terms, conditions and restrictions which the Administrator issues with a license will require such periodic reasonable expenditures for exploration by the licensee as the Administrator may establish, taking into account the size of the area of the deep seabed to which the exploration plan applies and the amount of funds which is estimated by the Administrator to be required during exploration for commercial recovery of hard mineral resources to begin within the time limit established by the Administrator. However, such required expenditures will not be established at a level which would discourage exploration by persons with less costly technology than is prevalently in use. (b) In order to fulfill the diligence requirement, the applicant first must propose to the Administrator an estimated schedule of activities and expenditures pursuant to § 970.203(b) (3) and (6). The schedule must show, and the Administrator must be able to make a reasonable determination, that the applicant can complete his exploration activities within the term of the license. In this regard, there must be a reasonable relationship between the size of the exploration area and the financial and technological resources reflected in the application. Also, the exploration must clearly point toward developing the ability, by the end of the 10-year license period, to apply for and obtain a permit for commercial recovery. (c) Ultimately, the diligence requirement will involve a retrospective determination by the Administrator, based on the licensee's reasonable conformance to the approved exploration plan. Such determination, however, will take into account the need for some degree of flexibility in an exploration plan. It also will include consideration of the needs and stage of development of each licensee, again based on the approved exploration plan. In addition, the determination will take account of legitimate periods of time when there is no or very low expenditure, and will allow for a certain degree of flexibility for changes encountered by the licensee in such factors as its resource knowledge and financial considerations. (d) In order for the Administrator to make determinations on a licensee's adherence to the diligence requirements, the licensee must submit a report annually reflecting his conformance to the schedule of activities and expenditures contained in the license. In case of any changes requiring a revision to an approved license and exploration plan, the licensee must advise the Administrator in accordance with § 970.513." 15:15:4.1.2.4.20.6.25.4,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,F,Subpart F—Resource Development Concepts,,§ 970.603 Conservation of resources.,NOAA,,,,"(a) With respect to the exploration phase of seabed mining, the requirement for the conservation of natural resources, encompassing due regard for the prevention of waste and the future opportunity for the commercial recovery of the unrecovered balance of the hard mineral resources in the area to which the license applies, may not be particularly relevant. Thus, since the Act requires such terms, conditions and restrictions only as needed, exploration licenses will require such provisions only as the Administrator deems necessary. (b) NOAA views license phase mining system tests as an opportunity to examine, with industry, the conservation implications of any mining patterns used. Thus, in order to develop information needed for future decisions during commercial recovery, NOAA will include with a license a requirement for the submission of collector track and nodule production data. Only if information submitted reflects that the integrated system tests are resulting in undue waste or threatening the future opportunity for commercial recovery of the unrecovered balance of hard mineral resources will the Administrator modify the terms, conditions or restrictions pertaining to the conservation of natural resources, in order to address such problems. (c) If the Administrator so modifies such terms, conditions and restrictions relating to conservation of resources, he will employ a balancing process in the consideration of the state of the technology being developed, the processing system utilized and the value and potential use of any waste, the environmental effects of the exploration activities, economic and resource data, and the national need for hard mineral resources." 15:15:4.1.2.4.20.7.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,G,Subpart G—Environmental Effects,,§ 970.700 General.,NOAA,,,,"Congress, in authorizing the exploration for hard mineral resources under the Act, also enacted provisions relating to the protection of the marine environment from the effects of exploration activities. For example, before the Administrator may issue a license, pursuant to section 105(a)(4) of the Act he must find that the exploration proposed in an application cannot reasonably be expected to result in a significant adverse effect on the quality of the environment. Also, the Act requires in section 109(b) that each license issued by the Administrator must contain such terms, conditions and restrictions which prescribe the actions the licensee must take in the conduct of exploration activities to assure protection of the environment. Furthermore, the Act in section 105(c)(1)(B) provides for the modification by the Administrator of any term, condition or restriction if relevant data and other information indicates that modification is required to protect the quality of the environment. In addition, section 114 of the Act specifies that each license issued under the Act must require the licensee to monitor the environmental effects of the exploration activities in accordance with guidelines issued by the Administrator, and to submit such information as the Administrator finds to be necessary and appropriate to assess environmental impacts and to develop and evaluate possible methods of mitigating adverse environmental effects." 15:15:4.1.2.4.20.7.25.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,G,Subpart G—Environmental Effects,,§ 970.701 Significant adverse environmental effects.,NOAA,,,,"(a) Activities with no significant impact. NOAA believes that exploration activities of the type listed below are very similar or identical to activities considered in section 6(c)(3) of NOAA Directives Manual 02-10, and therefore have no potential for significant environmental impact, and will require no further environmental assessment. (1) Gravity and magnetometric observations and measurements; (2) Bottom and sub-bottom acoustic profiling or imaging without the use of explosives; (3) Mineral sampling of a limited nature such as those using either core, grab or basket samplers; (4) Water and biotic sampling, if the sampling does not adversely affect shellfish beds, marine mammals, or an endangered species, or if permitted by the National Marine Fisheries Service or another Federal agency; (5) Meteorological observations and measurements, including the setting of instruments; (6) Hydrographic and oceanographic observations and measurements, including the setting of instruments; (7) Sampling by box core, small diameter core or grab sampler, to determine seabed geological or geotechnical properties; (8) Television and still photographic observation and measurements; (9) Shipboard mineral assaying and analysis; and (10) Positioning systems, including bottom transponders and surface and subsurface buoys filed in Notices to Mariners. (b) Activities with potential impact. (1) NOAA research has identified at-sea testing of recovery equipment and the operation of processing test facilities as activities which have some potential for significant environmental impacts during exploration. However, the research has revealed that only the following limited effects are expected to have potential for significant adverse environmental impact. (2) The programmatic EIS's documents three at-sea effects of deep seabed mining which cumulatively during commercial recovery have the potential for significant effect. These three effects also occur during mining system tests that may be conducted under a license, but are expected to be insignificant. These include the following: (i) Destruction of benthos in and near the collector track. Present information reflects that the impact from this effect during mining tests under exploration licenses will be extremely small. (ii) Blanketing of benthic fauna and dilution of food supply away from mine site subareas. The settling of fine sediments disturbed by tests under a license of scale-model mining systems which simulate commercial recovery could adversely affect benthic fauna by blanketing, diluation of their food supply, or both. Because of the anticipated slow settling rate of the sediments, the affected area could be quite large. However, research results are insufficient to conclude that this will indeed be a problem. (iii) Surface plume effect on fish larvae. The impact of demonstration-scale mining tests during exploration is expected to be insignificant. (3) If processing facilities in the United States are planned to be used for testing during exploration, NOAA also will assess their impacts in the site-specific EIS developed for each license. (c) NOAA approach. In making determinations on significant adverse environmental effects, the Administrator will draw on the above conclusions and other findings in NOAA's programmatic environmental statement and site-specific statements issued in accordance with the Act. He will issue licenses with terms, conditions and restrictions containing, as appropriate, environmental protection or mitigation requirements (pursuant to § 970.518) and monitoring requirements (pursuant to § 970.522). The focus of NOAA's environmental efforts will be on environmental research and on monitoring during mining tests to acquire more information on the environmental effects of deep seabed mining. If these efforts reveal that modification is required to protect the quality of the environment, NOAA then may modify terms, conditions and restrictions pursuant to § 970.512." 15:15:4.1.2.4.20.7.25.3,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,G,Subpart G—Environmental Effects,,§ 970.702 Monitoring and mitigation of environmental effects.,NOAA,,,,"(a) Monitoring. If an application is determined to be otherwise acceptable, the Administrator will specify an environmental monitoring plan as part of the terms, conditions and restrictions developed for each license. The plan will be based on the monotoring plan proposed by the applicant and reviewed by NOAA for completeness, accuracy and statistical reliability. This monitoring strategy will be devised to insure that the exploration activities do not deviate significantly from the approved exploration plan and to determine if the assessment of the plan's acceptability was sound. The monitoring plan, among other things, will include monitoring environmental parameters relating to verficiation of NOAA's findings concerning potential impacts, but relating mainly to the three unresolved concerns with the potential for significant environmental effect, as identified in § 970.701(b)(2). NOAA has developed a technical guidance document, which includes parameters pertaining to the upper and lower water column and operational aspects, which document will provide assistance in developing monitoring plans in consultation with applicants. (b) Mitigation. Monitoring and continued research may develop information on future needs for mitigating environmental effects. If such needs are identified, terms, conditions and restrictions can be modified appropriately." 15:15:4.1.2.4.20.8.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,H,Subpart H—Safety of Life and Property at Sea,,§ 970.800 General.,NOAA,,,"[46 FR 45909, Sept. 15, 1981]","The Act contains requirements, in the context of several decisions, that relate to assuring the safety of life and property at sea. For instance, before the Administrator may issue a license, section 105(a)(5) of the Act requires that he find that the proposed exploration will not pose an inordinate threat to the safety of life and property at sea. Also, under section 112(a) of the Act the Coast Guard, in consultation with NOAA, must require in any license or permit issued under the Act, in conformity with principles of international law, that vessels documented in the United States and used in activities authorized under the license comply with conditions regarding the design, construction, alteration, repair, equipment, operation, manning and maintenance relating to vessel and crew safety and the safety of life and property at sea. In addition, under section 105(c)(1)(B) of the Act, the Administrator may modify terms, conditions and restrictions for a license if required to promote the safety of life and property at sea." 15:15:4.1.2.4.20.8.25.2,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,H,Subpart H—Safety of Life and Property at Sea,,§ 970.801 Criteria for safety of life and property at sea.,NOAA,,,"[46 FR 45909, Sept. 15, 1981]","Response to the safety at sea requirements in essence will involve vessel inspection requirements. These inspection requirements may be identified by reference to present laws and regulations. The primary inspection statutes pertaining to United States flag vessels are: 46 U.S.C. 86 (Loadlines); 46 U.S.C. 395 (Inspection of seagoing barges over 100 gross tons); 46 U.S.C. 367 (Inspection of sea-going motor vessels over 300 gross tons); and 46 U.S.C. 404 (Inspection of vessels above 15 gross tons carrying freight for hire). All United States flag vessels will be required to meet existing regulatory requirements applicable to such vessels. This includes the requirement for a current valid Coast Guard Certificate of Inspection, as specified in § 970.205. Being United States flag, these vessels will be under United States jurisdiction on the high seas and subject to domestic enforcement procedures. With respect to foreign flag vessels, the SOLAS 74 or SOLAS 60 certificate requirements or alternative IACS requirements, as specified in § 970.205, apply." 15:15:4.1.2.4.20.9.25.1,15,Commerce and Foreign Trade,IX,D,970,PART 970—DEEP SEABED MINING REGULATIONS FOR EXPLORATION LICENSES,I,Subpart I—Miscellaneous,,§ 970.900 Other applicable regulations.,NOAA,,,"[54 FR 548, Jan. 6, 1989]","The regulations in subparts H, I and J of 15 CFR part 971 are consolidated regulations and are applicable both to licenses under this part and to permits under 15 CFR part 971. The regulations in subparts H, I and J of part 971 govern records to be maintained and information to be submitted by licensees and permittees, public disclosure of documents received by NOAA, relinquishment and surrender of licenses and permits, amendment of regulations, competition of time, uniform hearing procedures, and enforcement under the Act." 24:24:4.1.3.1.16.0.5.1,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.1 Purpose.,HUD,,,,This part states requirements for HUD approval of a public housing agency's application for demolition or disposition (in whole or in part) of public housing developments assisted under Title I of the U.S. Housing Act of 1937 (Act). The regulations in 2 CFR part 200 are not applicable to this part. 24:24:4.1.3.1.16.0.5.10,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.19 Disposition of property; use of proceeds.,HUD,,,,"(a) Where HUD approves the disposition of real property of a development, in whole or in part, the PHA shall dispose of the property promptly for not less than fair market value (in which case there is no showing of commensurate public benefit required), unless HUD authorizes negotiated sale for reasons found to be in the best interests of the PHA or the federal government; or dispose of the property for sale for less than fair market value (where permitted by state law), based on commensurate public benefits to the community, the PHA, or the federal government justifying such an exception. General public improvements, such as streets and bridges, do not qualify as commensurate public benefits. (b) A PHA may pay the reasonable costs of disposition, and of relocation of displaced tenants allowable under § 970.21, out of the gross proceeds, as approved by HUD. (c) To obtain an estimate of the fair market value before the property is advertised for bid, the PHA shall have one independent appraisal performed on the property proposed for disposition, unless HUD determines that: (1) More than one appraisal is warranted; or (2) Another method of valuation is clearly sufficient and the expense of an independent appraisal is unjustified because of the limited nature of the property interest involved or other available data. (d) To obtain an estimate of the fair market value when a property is not publicly advertised for bid, HUD may accept a reasonable valuation of the property. (e) A PHA shall use net proceeds, including any interest earned on the proceeds (after payment of HUD-approved costs of disposition and relocation under paragraph (a) of this section), subject to HUD approval, as follows: (1) Unless waived by HUD, for the retirement of outstanding obligations, if any, issued to finance original development or modernization of the project; and (2) To the extent that any net proceeds remain, after the application of proceeds in accordance with paragraph (e)(1) of this section, for: (i) The provision of low-income housing or to benefit the residents of the PHA, through such measures as modernization of lower-income housing or the acquisition, development, or rehabilitation of other properties to operate as lower-income housing; or (ii) Leveraging amounts for securing commercial enterprises, on-site in public housing developments of the PHA, appropriate to serve the needs of the residents. (f) For dispositions for the purpose stated in § 970.17(b), a PHA must demonstrate to the satisfaction of HUD that the replacement units are being provided in connection with the disposition of the property. A PHA may use sale proceeds in accordance with paragraph (e) to fund the replacement units." 24:24:4.1.3.1.16.0.5.11,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.21 Relocation of residents.,HUD,,,,"(a) Relocation of residents on a nondiscriminatory basis and relocation resources. A PHA must offer each family displaced by demolition or disposition comparable housing that meets housing quality standards (HQS) and is located in an area that is generally not less desirable than the location of the displaced persons. The housing must be offered on a nondiscriminatory basis, without regard to race, color, religion, creed, national origin, handicap, age, familial status, or gender, in compliance with applicable Federal and state laws. For persons with disabilities displaced from a unit with reasonable accommodations, comparable housing should include similar accommodations. Such housing may include: (1) Tenant-based assistance, such as assistance under the Housing Choice Voucher Program, 24 CFR part 982, except that such assistance will not be considered “comparable housing” until the family is actually relocated into such housing; (2) Project-based assistance; or (3) Occupancy in a unit operated or assisted by the PHA at a rental rate paid by the family that is comparable to the rental rate applicable to the unit from which the family is vacated. (b) In-place tenants. A PHA may not complete disposition of a building until all tenants residing in the building are relocated. (c) Financial resources. (1) Sources of funding for relocation costs related to demolition or disposition may include, but are not limited to, capital funds or other federal funds currently available for this purpose; (2) If Federal financial assistance under the Community Development Block Grant (CDBG) program, 42 U.S.C. 5301 et seq. (including loan guarantees under section 108 of the Housing and Community Development Act of 1974, 42 U.S.C. 5308 et seq. ); the Urban Development Action Grant (UDAG) program, 42 U.S.C. 5318 et seq.; or HOME program, 42 U.S.C. 12701 et seq. is used in connection with the demolition or disposition of public housing, the project is subject to section 104(d) of the Housing and Community Development Act of 1974, 42 U.S.C. 5304(d) (as amended)), including the relocation payment provisions and the anti-displacement provisions, which require that comparable replacement dwellings be provided within the community for the same number of occupants as could have been housed in the occupied and vacant, occupiable low- and moderate-income units demolished or converted to another use. (d) Relocation timetable. For the purpose of determining operating subsidy eligibility under 24 CFR part 990, a PHA must provide the following information in the application or immediately following application submission: (1) The number of occupied units at the time of demolition/disposition application approval; (2) A schedule for the relocation of those residents on a month-by-month basis. (e) The PHA is responsible for the following: (1) Notifying each family residing in the development of the proposed demolition or disposition 90 days prior to the displacement date, except in cases of imminent threat to health and safety. The notification must include a statement that: (i) The development or portion of the development will be demolished or disposed of; (ii) The demolition of the building in which the family resides will not commence until each resident of the building has been relocated; (iii) Each family displaced by such action will be provided comparable housing, which may include housing with reasonable accommodations for disability, if required under section 504 of the Rehabilitation Act of 1973 and HUD's regulations in 24 CFR part 8, as described in paragraph (a) of this section; (2) Providing for the payment of the actual and reasonable relocation expenses of each resident to be displaced, including residents requiring reasonable accommodations because of disabilities; (3) Ensuring that each displaced resident is offered comparable replacement housing as described in paragraph (b) of this section; and (4) Providing any necessary counseling for residents that are displaced. (f) In addition, the PHA's plan for the relocation of residents who would be displaced by the proposed demolition or disposition must indicate: (1) The number of individual residents to be displaced; (2) The type of counseling and advisory services the PHA plans to provide; (3) What housing resources are expected to be available to provide housing for displaced residents; and (4) An estimate of the costs for counseling and advisory services and resident moving expenses, and the expected source for payment of these costs. (g) The Uniform Relocation Act does not apply to demolitions and dispositions under this part." 24:24:4.1.3.1.16.0.5.12,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.23 Costs of demolition and relocation of displaced tenants.,HUD,,,,"Where HUD has approved demolition of a project, or a portion of a project, and the proposed action is part of a program under the Capital Fund Program (24 CFR part 905), the costs of demolition and of relocation of displaced residents may be included in the budget funded with capital funds pursuant to section 9(d) of the Act (42 U.S.C. 1437g(d)) or awarded HOPE VI or other eligible HUD funds." 24:24:4.1.3.1.16.0.5.13,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.25 Required and permitted actions prior to approval.,HUD,,,,"(a) A PHA may not take any action to demolish or dispose of a public housing development or a portion of a public housing development without obtaining HUD approval under this part. HUD funds may not be used to pay for the cost to demolish or dispose of a public housing development or a portion of a public housing development, unless HUD approval has been obtained under this part. Until the PHA receives HUD approval, the PHA shall continue to meet its ACC obligations to maintain and operate the property as housing for low-income families. However, the PHA may engage in planning activities, analysis, or consultations without seeking HUD approval. Planning activities may include project viability studies, capital planning, or comprehensive occupancy planning. The PHA must continue to provide full housing services to all residents that remain in the development. A PHA should not re-rent these units at turnover while HUD is considering its application for demolition or disposition. However, the PHA's operating subsidy eligibility will continue to be calculated as stated in 24 CFR part 990. (b) A PHA may consolidate occupancy within or among buildings of a development, or among developments, or with other housing for the purposes of improving living conditions of, or providing more efficient services to residents, without submitting a demolition or disposition application." 24:24:4.1.3.1.16.0.5.14,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.27 De minimis exception to demolition requirements.,HUD,,,"[71 FR 62362, Oct. 24, 2006, as amended at 73 FR 3868, Jan. 23, 2008]","(a) A PHA may demolish units without submitting an application if the PHA is proposing to demolish not more than the lesser of: (1) five dwelling units; or (2) 5 percent of the total dwelling units owned by the PHA over any 5-year period. (b) The 5-year period referred to in paragraph (a)(2) of this section is the 5 years counting backward from the date of the proposed de minimis demolition, except that any demolition performed prior to October 21, 1998, will not be counted against the five units or 5 percent of the total, as applicable. For example, if a PHA that owns 1,000 housing units wishes to demolish units under this de minimis provision on July 1, 2004, and previously demolished two units under this provision on September 1, 2000, and two more units on July 1, 2001, the PHA would be able to demolish one additional unit for a total of five in the preceding 5 years. As another example, if a PHA that owns 60 housing units as of July 1, 2004, had demolished two units on September 1, 2000, and one unit on July 1, 2001, that PHA would not be able to demolish any further units under this “de minimis” provision until after September 1, 2005, because it would have already demolished 5 percent of its total. (c)(1) In order to qualify for this exemption, the space occupied by the demolished unit must be used for meeting the service or other needs of public housing residents (use of space to construct a laundry facility, community center, child care facility, office space for a general provider; or for use as open space or garden); or (2) The unit being demolished must be beyond repair. (d) PHAs utilizing this section will comply with environmental review requirements at 24 CFR 970.13 and, if applicable, the requirements of 24 CFR 8.23. (e) For recordkeeping purposes, PHAs that wish to demolish units under this section shall submit the information required in § 970.7(a)(1), (2), (12), (13), and (14). HUD will accept a certification from the PHA that one of the two conditions in paragraph (c) of this section apply unless HUD has independent information that requirements for “de minimis” demolition have not been met." 24:24:4.1.3.1.16.0.5.15,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.29 Criteria for disapproval of demolition or disposition applications.,HUD,,,,"HUD will disapprove an application if HUD determines that: (a) Any certification made by the PHA under this part is clearly inconsistent with: (1) The PHA Plan; (2) Any information and data available to HUD related to the requirements of this part, such as failure to meet the requirements for the justification for demolition or disposition as found in §§ 970.15 or 970.17; or (3) Information or data requested by HUD; or (b) The application was not developed in consultation with: (1) Residents who will be affected by the proposed demolition or disposition as required in § 970.9; and (2) Each resident advisory board and resident council, if any, of the project (or portion thereof) that will be affected by the proposed demolition or disposition as required in § 970.9, and appropriate government officials as required in § 970.7." 24:24:4.1.3.1.16.0.5.16,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.31 Replacement units.,HUD,,,,"Notwithstanding any other provision of law, replacement public housing units may be built on the original public housing location or in the same neighborhood as the original public housing location if the number of the replacement public housing units is significantly fewer than the number of units demolished. Such development must comply with 24 CFR part 905, Public Housing Capital Fund Program, as well as 24 CFR part 941." 24:24:4.1.3.1.16.0.5.17,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.33 Effect on the Operating Fund Program and Capital Fund Program.,HUD,,,,"The provisions of 24 CFR part 990, the Public Housing Operating Fund Program, and 24 CFR part 905, the Public Housing Capital Fund Program, apply." 24:24:4.1.3.1.16.0.5.18,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.35 Reports and records.,HUD,,,,"(a) After HUD approval of demolition or disposition of all or part of a project, the PHA shall provide information on the following: (1) Actual completion of each demolition contract by entering the appropriate information into HUD's applicable data system, or providing the information by another method HUD may require, within a week of making the final payment to the demolition contractor, or expending the last remaining funds if funded by force account; (2) Execution of sales or lease contracts by entering the appropriate information into HUD's applicable data system, or providing the information by another method HUD may require, within a week of execution; (3) The PHA's use of the proceeds of sale by providing a financial statement showing how the funds were expended by item and dollar amount; (4) Amounts expended for closing costs and relocation expenses, by providing a financial statement showing this information for each property sold; and (5) Such other information as HUD may from time to time require. (b) [Reserved]" 24:24:4.1.3.1.16.0.5.2,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.3 Applicability.,HUD,,,"[71 FR 62362, Oct. 24, 2006, as amended at 73 FR 3868, Jan. 23, 2008]","(a) This part applies to public housing developments that are owned by public housing agencies (PHAs) and that are subject to annual contributions contracts (ACCs) under the Act. (b) This part does not apply to the following: (1) PHA-owned section 8 housing, or housing leased under former sections 10(c) or 23 of the Act; (2) Demolition or disposition before the date of full availability (DOFA) of property acquired incident to the development of a public housing project (however, this exception shall not apply to dwelling units under ACC); (3) The conveyance of public housing for the purpose of providing homeownership opportunities for lower-income families under sections 21 and 32 of the Act (42 U.S.C. 1437s and 42 U.S.C. 1437z-4, respectively), the homeownership program under former section 5(h) of the Act (42 U.S.C. 1437c(h)), or other predecessor homeownership programs; (4) The leasing of dwelling or non-dwelling space incidental to the normal operation of the project for public housing purposes, as permitted by the ACC; (5) Making available common areas and unoccupied dwelling units in public housing projects to provide HUD-approved economic self-sufficiency services and activities to promote employment of public housing residents; (6) The reconfiguration of the interior space of buildings (e.g., moving or removing interior walls to change the design, sizes, or number of units) without “demolition,” as defined in § 970.5. (This includes the conversion of bedroom size, occupancy type, changing the status of unit from dwelling to non-dwelling.); (7) Easements, rights-of-way, and transfers of utility systems incident to the normal operation of the development for public housing purposes, as permitted by the ACC; (8) A whole or partial taking by a public or quasi-public entity (taking agency) authorized to take real property by its use of police power or exercise of its power of eminent domain under state law. A taking does not qualify for the exception under this paragraph unless: (i) The taking agency has been authorized to acquire real property by use of its police power or power of eminent domain under its state law; (ii) The taking agency has taken at least the first step in formal proceedings under its state law; and (iii) If the taking is for a federally assisted project, the Uniform Relocation Act (URA) (42 U.S.C. 4601 et seq. ) applies to any resulting displacement of residents and it is the responsibility of the taking agency to comply with applicable URA requirements. (9) Demolition after conveyance of a public housing project to a non-PHA entity in accordance with an approved homeownership program under Title III of the Cranston-Gonzalez National Affordable Housing Act (HOPE I) (42 U.S.C. 1437aaa note); (10) Units or land leased for non-dwelling purposes for one year or less; (11) A public housing property that is conveyed by a PHA prior to DOFA to enable an owner entity to develop the property using the mixed-finance development method; (12) Disposition of public housing property for development pursuant to the mixed-finance development method at 24 CFR part 941, subpart F; (13) Demolition under the de minimis exception in § 970.27, except that the environmental review provisions apply, including the provisions at §§ 970.7(a)(15) and (b)(13) of this part. (14) Demolition (but not disposition) of severely distressed units as part of a revitalization plan under section 24 of the Act (42 U.S.C. 1437v) (HOPE VI) approved after October 21, 1998; (15) Demolition (but not disposition) of public housing developments removed from a PHA's inventory under section 33 of the Act, 42 U.S.C. 1437z-5." 24:24:4.1.3.1.16.0.5.3,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.5 Definitions.,HUD,,,,"ACC , or annual contributions contract , is defined in 24 CFR 5.403. Act means the United States Housing Act of 1937, 42 U.S.C. 1437 et seq. Appropriate government officials mean the Chief Executive Officer or officers of a unit of general local government. Assistant Secretary means the Assistant Secretary for Public and Indian Housing at HUD. Chief Executive Officer of a unit of general local government means the elected official or the legally designated official, who has the primary responsibility for the conduct of that entity's governmental affairs. Examples of the chief executive officer of a unit of general local government are: the elected mayor of a municipality; the elected county executive of a county; the chairperson of a county commission or board in a county that has no elected county executive; and the official designated pursuant to law by the governing body of a unit of general local government. Demolition means the removal by razing or other means, in whole or in part, of one or more permanent buildings of a public housing development. A demolition involves any four or more of the following: (1) Envelope removal (roof, windows, exterior walls); (2) Kitchen removal; (3) Bathroom removal; (4) Electrical system removal (unit service panels and distribution circuits); or (5) Plumbing system removal (e.g., either the hot water heater or distribution piping in the unit, or both). Disposition means the conveyance or other transfer by the PHA, by sale or other transaction, of any interest in the real estate of a public housing development, subject to the exceptions stated in § 970.3. DOFA , or date of full availability, means the last day of the month in which substantially all (95 percent or more) of the units in a housing development are available for occupancy. Firm financial commitment means a commitment that obligates a creditable source, lender, or equity provider, to the lending or equity investment of a specific sum of funds to be made on or before a specific date(s) and may contain contingencies or conditions that must be satisfied by the borrower (or entity receiving equity investments) before the closing of the transaction. The condition of a firm commitment must be that it is enforceable by the borrower (or entity receiving the equity investment) upon the satisfaction of all contingencies or conditions. PHA Plan —Means the PHA's initial, annual, and 5-year submissions under section 5A of the U.S. Housing Act of 1937, 42 U.S.C. 1437c-1. Resident Advisory Board (RAB) has the same meaning as in § 903.13(a) of this title. Resident Council means a resident organization, the role and requirements of which are as described in 24 CFR part 964. Total development cost has the same meaning as in 24 CFR 941.103." 24:24:4.1.3.1.16.0.5.4,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.7 General requirements for HUD approval of a PHA demolition/disposition application.,HUD,,,,"(a) Application for HUD Approval. A PHA must obtain written approval from HUD before undertaking any transaction involving demolition or disposition of PHA-owned property under the ACC. Where a PHA demolishes or disposes of public housing property without HUD approval, no HUD funds may be used to fund the costs of demolition or disposition or reimburse the PHA for those costs. HUD will approve an application for demolition or disposition upon the PHA's submission of an application with the required certifications and the supporting information required by this section and §§ 970.15 or 970.17. Section 970.29 specifies criteria for disapproval of an application. Approval of the application under this part does not imply approval of a request for additional funding, which the PHA must make separately under a program that makes available funding for this purpose. The PHA shall submit the application for demolition or disposition and the timetable in a time and manner and in a form prescribed by HUD. The supporting information shall include: (1) A certification that the PHA has described the demolition or disposition in the PHA Annual Plan and timetable under 24 CFR part 903 (except in the case of small or high-performing PHAs eligible for streamlined annual plan treatment), and that the description in the PHA Annual Plan is identical to the application submitted pursuant to this part and otherwise complies with section 18 of the Act (42 U.S.C. 1437p) and this part; (2) A description of all identifiable property, by development, including land, dwelling units, and other improvements, involved in the proposed demolition or disposition; (3) A description of the specific action proposed, such as: (i) Demolition, disposition, or demolition with disposition; (ii) If disposition is involved, the method of sale; (4) A general timetable for the proposed action(s), including the initial contract for demolition, the actual demolition, and, if applicable, the closing of sale or other form of disposition; (5) A statement justifying the proposed demolition or disposition under the applicable criteria of §§ 970.15 or 970.17; (6) If applicable, a plan for the relocation of tenants who would be displaced by the proposed demolition or disposition (including persons with disabilities requiring reasonable accommodations and a relocation timetable as prescribed in § 970.21); (7) A description with supporting evidence of the PHA's consultations with residents, any resident organizations, and the Resident Advisory Board, as required under § 903.9 of this title; (8) In the case of disposition only, evidence of compliance with the offering to resident organizations, as required under § 970.9; (9) In the case of disposition, an estimate of the fair market value of the property, established on the basis of one independent appraisal, unless otherwise determined by HUD, as described in § 970.19(c); (10) In the case of disposition, estimates of the gross and net proceeds to be realized, with an itemization of estimated costs to be paid out of gross proceeds and the proposed use of any net proceeds in accordance with § 970.19; (11) An estimate of costs for any required relocation housing, moving costs, and counseling. (12) Where the PHA is requesting a waiver of the requirement for the application of proceeds for repayment of outstanding debt, the PHA must request such a waiver in its application, along with a description of the proposed use of the proceeds; (13) A copy of a resolution by the PHA's Board of Commissioners approving the specific demolition or disposition application (or, in the case of the report required under § 970.27(e) for “de minimis” demolitions, the Board of Commissioner's resolution approving the “de minimis” action) for that development or developments or portions thereof. The resolution must be signed and dated after all resident and local government consultation has been completed; (14) Evidence that the application was developed in consultation with appropriate government officials as defined in § 970.5, including: (i) A description of the process of consultation with local government officials, which summarizes dates, meetings, and issues raised by the local government officials and the PHA's responses to those issues; (ii) A signed and dated letter in support of the application from the chief executive officer of the unit of local government that demonstrates that the PHA has consulted with the appropriate local government officials on the proposed demolition or disposition; (iii) Where the local government consistently fails to respond to the PHA's attempts at consultation, including letters, requests for meetings, public notices, and other reasonable efforts, documentation of those attempts; (iv) Where the PHA covers multiple jurisdictions (such as a regional housing authority), the PHA must meet these requirements for each of the jurisdictions where the PHA is proposing demolition or disposition of PHA property; (15) An approved environmental review of the proposed demolition or disposition in accordance with 24 CFR parts 50 or 58 for any demolition or disposition of public housing property covered under this part, as required under 24 CFR 970.13; (16) A certification that the demolition or disposition application does not violate any remedial civil rights order or agreement, voluntary compliance agreement, final judgment, consent decree, settlement agreement, or other court order or agreement; (17) Any additional information necessary to support the application and assist HUD in making determinations under this part. (b) Completion of demolition/disposition or rescissions of approval. (1) HUD will consider a PHA's request to rescind an earlier approval to demolish or dispose of public housing property, where a PHA submits a resolution from the Board of Commissioners and submits documentation that the conditions that originally led to the request for demolition or disposition have significantly changed or been removed. (2) The Assistant Secretary will not approve any request by the PHA to either substitute units or add units to those originally included in the approved demolition or disposition application, unless the PHA submits a new application for those units that meet the requirements of this part." 24:24:4.1.3.1.16.0.5.5,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.9 Resident participation—consultation and opportunity to purchase.,HUD,,,"[71 FR 62362, Oct. 24, 2006, as amended at 73 FR 3868, Jan. 23, 2008]","(a) Resident consultation. PHAs must consult with residents who will be affected by the proposed action with respect to all demolition or disposition applications. The PHA must provide with its application evidence that the application was developed in consultation with residents who will be affected by the proposed action, any resident organizations for the development, PHA-wide resident organizations that will be affected by the demolition or disposition, and the Resident Advisory Board (RAB). The PHA must also submit copies of any written comments submitted to the PHA and any evaluation that the PHA has made of the comments. (b) Resident organization offer to sell—applicability. In the situation where the PHA applies to dispose of a development or portion of a development: (1) The PHA shall, in appropriate circumstances as determined by the Assistant Secretary, initially offer the property proposed for disposition to any eligible resident organization, eligible resident management corporation as defined in 24 CFR part 964, or to a nonprofit organization acting on behalf of the residents at any development proposed for disposition, if the resident entity has expressed an interest in purchasing the property for continued use as low-income housing. The entity must make the request in writing to the PHA, no later than 30 days after the resident entity has received the notification of sale from the PHA; (2) If the resident entity has expressed an interest in purchasing the property for continued use as low-income housing, the entity, in order for its purchase offer to be considered, must: (i) In the case of a nonprofit organization, be acting on behalf of the residents of the development; and (ii) Demonstrate that it has obtained a firm commitment for the necessary financing within 60 days of serving its written notice of interest under paragraph (b)(1) of this section. (3) The requirements of this section do not apply to the following cases, which have been determined not to present an appropriate opportunity for purchase by a resident organization: (i) A unit of state or local government requests to acquire vacant land that is less than two acres in order to build or expand its public services (a local government wishes to use the land to build or establish a police substation); or (ii) A PHA seeks disposition outside the public housing program to privately finance or otherwise develop a facility to benefit low-income families (e.g., day care center, administrative building, mixed-finance housing under 24 CFR part 941 subpart F, or other types of low-income housing); (iii) Units that have been legally vacated in accordance with the HOPE VI program, the regulations at 24 CFR part 971, or the mandatory conversion regulations at 24 CFR part 972, excluding developments where the PHA has consolidated vacancies; (iv) Distressed units required to be converted to tenant-based assistance under section 33 of the 1937 Act (42 U.S.C. 1437z-5); or (v) Disposition of non-dwelling properties, including administration and community buildings, and maintenance facilities. (4) If the requirements of this section are not applicable, as provided in paragraph (b)(3) of this section, the PHA may proceed to submit to HUD its application under this part to dispose of the property, or a portion of the property, without affording an opportunity for purchase by a resident organization. However, PHAs must consult with their residents in accordance with paragraph (a) of this section. The PHA must submit documentation with date and signatures to support the applicability of one of the exceptions in paragraph (b)(3) of this section. Examples of appropriate documentation include, but are not limited to: a letter from the public body that wants to acquire the land, copies of memoranda or letters approving the PHA's previous application under part 970 or mandatory conversion plan, and the HUD transmittal document approving the proposed revitalization plan. (c) Established eligible organizations. Where there are eligible resident organizations, eligible resident management corporations as defined in 24 CFR part 964, or nonprofit organizations acting on behalf of the residents as defined in 24 CFR part 964 (collectively, “established eligible organizations”), that have expressed an interest, in writing, to the PHA within 30 days of the date of notification of the proposed sale, in purchasing the property for continued use as low-income housing at the affected development, the PHA shall follow the procedures for making the offer described in § 970.11." 24:24:4.1.3.1.16.0.5.6,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.11 Procedures for the offer of sale to established eligible organizations.,HUD,,,,"In making an offer of sale to established eligible organizations as defined in § 970.9(c) in the case of proposed disposition, the PHA shall proceed as follows: (a) Initial written notification of sale of property. The PHA shall send an initial written notification to each established eligible organization (for purposes of this section, an established eligible organization that has been so notified is a “notified eligible organization”) of the proposed sale of the property. The notice of sale must include, at a minimum, the information listed in paragraph (d) of this section; (b) Initial expression of interest. All notified eligible organizations shall have 30 days to initially express an interest, in writing, in the offer (“initial expression of interest”). The initial expression of interest need not contain details regarding financing, acceptance of an offer of sale, or any other terms of sale. (c) Opportunity to obtain firm financial commitment by interested entity. If a notified eligible organization expresses interest in writing during the 30-day period referred to in paragraph (b) of this section, no disposition of the property shall occur during the 60-day period beginning on the date of the receipt of the written notice of interest. During this period, the PHA must give the entity expressing interest an opportunity to obtain a firm financial commitment as defined in § 970.5 for the financing necessary to purchase the property; (d) Contents of initial written notification. The initial written notification to established eligible organizations under paragraph (a) of this section must include at a minimum the following: (1) An identification of the development, or portion of the development, involved in the proposed disposition, including the development number and location, the number of units and bedroom configuration, the amount and use of non-dwelling space, the current physical condition (fire damaged, friable asbestos, lead-based paint test results), and percent of occupancy; (2) A copy of the appraisal of the property and any terms of sale; (3) Disclosure and description of the PHA's plans for reuse of land, if any, after the proposed disposition; (4) An identification of available resources (including its own and HUD's) to provide technical assistance to the organization to help it to better understand its opportunity to purchase the development, the development's value, and potential use; (5) A statement that public housing developments sold to resident organizations will not continue to receive capital and operating subsidy after the completion of the sale; (6) Any and all terms of sale that the PHA will require, including a statement that the purchaser must use the property for low-income housing. If the PHA does not know all the terms of the offer of sale at the time of the notice of sale, the PHA shall include all the terms of sale of which it is aware. The PHA must supply the totality of all the terms of sale and all necessary material to the residents no later than 3 business days from the day it receives the residents' initial expression of interest; (7) A date by which an established eligible organization must express its interest, in writing, in response to the PHA's offer to sell the property proposed for demolition or disposition, which shall be up to 30 days from the date of the official written offer of sale from the PHA; (8) A statement that the established eligible organization will be given 60 days from the date of the PHA's receipt of its letter expressing interest to develop and submit a proposal to the PHA to purchase the property and to obtain a firm financial commitment, as defined in § 970.5. The statement shall explain that the PHA shall approve the proposal from an organization if the proposal meets the terms of sale and is supported by a firm commitment for financing. The statement shall also provide that the PHA can consider accepting an offer from the organization that differs from the terms of sale. The statement shall explain that if the PHA receives proposals from more than one organization, the PHA shall select the proposal that meets the terms of sale, if any. In the event that two proposals from the development to be sold meet the terms of sale, the PHA shall choose the best proposal. If no proposal meets the terms of sale, the PHA in its discretion may or may not select the best proposal. (e) Response to the notice of sale. The established eligible organization or organizations have up to 30 days to respond to the notice of sale from the PHA. The established eligible organization shall respond to the PHA's notice of sale by means of an initial expression of interest under paragraph (b) of this section. (f) Resident proposal. The established eligible organization has up to 60 days from the date the PHA receives its initial expression of interest and provides all necessary terms and information to prepare and submit a proposal to the PHA for the purchase of the property of which the PHA plans to dispose, and to obtain a firm commitment for financing. The resident's proposal shall provide all the information requested in paragraph (i) of this section. (g) PHA Review of Proposals. The PHA has up to 60 days from the date of receipt of the proposal or proposals to review the proposals and determine whether they meet the terms of sale described in the PHA's offer or offers. If the PHA determines that the proposal meets the terms of sale, within 14 days of the date of this determination, the PHA shall notify the organization of that fact and that the proposal has been accepted. If the PHA determines that the proposal differs from the terms of sale, the PHA may accept or reject the proposal at its discretion; (h) Appeals. The established eligible organization has the right to appeal the PHA's decision to the Assistant Secretary for Public and Indian Housing, or his designee, by sending a letter of appeal within 30 days of the date of the PHA's decision to the field office director. The letter of appeal must include copies of the proposal and any related correspondence, along with a statement of reasons why the organization believes the PHA should have decided differently. HUD shall render a decision within 30 days, and notify the organization and the PHA by letter within 14 days of such decision. If HUD cannot render a decision within 30 days, HUD will so notify the PHA and the established eligible organization in writing, in which case HUD will have an additional 30 days in which to render a decision. HUD may continue to extend its time for decision in 30-day increments for a total of 120 days. Once HUD renders its decision, there is no further administrative appeal or remedy available. (i) Contents of the organization's proposal. The established eligible organization's proposal shall at a minimum include the following: (1) The length of time the organization has been in existence; (2) A description of current or past activities that demonstrate the organization's organizational and management capability, or the planned acquisition of such capability through a partner or other outside entities (in which case the proposal should state how the partner or outside entity meets this requirement); (3) To the extent not included in paragraph (i)(2) of this section, the organization's experience in the development of low-income housing, or planned arrangements with partners or outside entities with such experience (in which case the proposal should state how the partner or outside entity meets this requirement); (4) A statement of financial capability; (5) A description of involvement of any non-resident organization (such as non-profit, for-profit, governmental, or other entities), if any, the proposed division of responsibilities between the non-resident organization and the established eligible organization, and the non-resident organization's financial capabilities; (6) A plan for financing the purchase of the property and a firm financial commitment as stated in paragraph (c) of this section for funding resources necessary to purchase the property and pay for any necessary repairs; (7) A plan for using the property for low-income housing; (8) The proposed purchase price in relation to the appraised value; (9) Justification for purchase at less than the fair market value in accordance with § 970.19(a) of this part, if appropriate; (10) Estimated time schedule for completing the transaction; (11) Any additional items necessary to respond fully to the PHA's terms of sale; (12) A resolution from the resident organization approving the proposal; and (13) A proposed date of settlement, generally not to exceed 6 months from the date of PHA approval of the proposal, or such period as the PHA may determine to be reasonable. (j) PHA obligations. The PHA must: (1) Prepare and distribute the initial notice of sale pursuant to 24 CFR 970.11(a), and, if any established eligible organization expresses an interest, any further documents necessary to enable the organization or organizations to make an offer to purchase; (2) Evaluate proposals received, make the selection based on the considerations set forth in paragraph (b) of this section, and issue letters of acceptance or rejection; (3) Prepare certifications, where appropriate, as provided in paragraph (k) of this section; (4) Comply with its obligations under § 970.7(a) regarding tenant consultation and provide evidence to HUD that the PHA has met those obligations. The PHA shall not act in an arbitrary manner and shall give full and fair consideration to any offer from a qualified resident management corporation, resident council of the affected development, or a nonprofit organization acting on behalf of the residents, and shall accept the proposal if the proposal meets the terms of sale. (k) PHA post-offer requirements. After the resident offer, if any, is made, the PHA shall: (1) Submit its disposition application to HUD in accordance with section 18 of the Act and this part. The disposition application must include complete documentation that the resident offer provisions of this part have been met. This documentation shall include: (i) A copy of the signed and dated PHA notification letter(s) to each established eligible organization informing them of the PHA's intention to submit an application for disposition, the organization's right to purchase the property to be disposed of; and (ii) The responses from each organization. (2)(i) If the PHA accepts the proposal of an established eligible organization, the PHA shall submit revisions to its disposition application to HUD in accordance with section 18 of the Act and this part reflecting the arrangement with the resident organization, with appropriate justification for a negotiated sale and for sale at less than fair market value, if applicable. (ii) If the PHA rejects the proposal of the resident organization, the resident organization may appeal as provided in paragraph (h) of this section. Once the appeal is resolved, or, if there is no appeal, and the 30 days allowed for appeal has passed, HUD shall proceed to approve or disapprove the application. (3) HUD will not process an application for disposition unless the PHA provides HUD with one of the following: (i) An official board resolution or its equivalent from each established eligible organization stating that such organization has received the PHA offer, and that it understands the offer and waives its opportunity to purchase the project, or portion of the project, covered by the disposition application; (ii) A certification from the executive director or board of commissioners of the PHA that the 30-day time frame to express interest has expired and no response was received to its offer; or (iii) A certification from the executive director or board of commissioners of the PHA with supporting documentation that the offer was otherwise rejected." 24:24:4.1.3.1.16.0.5.7,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.13 Environmental review requirements.,HUD,,,,"(a) Activities under this part (including de minimis demolition pursuant to § 970.27) are subject to HUD environmental regulations in 24 CFR part 58. However, HUD may make a finding in accordance with 24 CFR 58.11(d) of this title and may itself perform the environmental review under the provisions of 24 CFR part 50 if a PHA objects in writing to the responsible entity performing the review under 24 CFR part 58. (b) The environmental review is limited to the demolition or disposition action and any known re-use, and is not required for any unknown future re-use. Factors that indicate that the future site reuse can reasonably be considered to be known include the following: (1) Private, Federal, state, or local funding for the site reuse has been committed; (2) A grant application involving the site has been filed with the Federal government or a state or local unit of government; (3) The Federal government or a state or unit of local government has made a commitment to take an action, including a physical action, that will facilitate a particular reuse of the site; and (4) Architectural, engineering, or design plans for the reuse exist that go beyond preliminary stages. (c) In the case of a demolition or disposition made necessary by a disaster that the President has declared under the Robert T. Stafford Disaster Relief and Emergency Assistance Act, 42 U.S.C. 5121 et seq., or a disaster that has been declared under state law by the officer or entity with legal authority to make such declaration, pursuant to 24 CFR 50.43 and 24 CFR 58.33, the provisions of 40 CFR 1506.11 will apply." 24:24:4.1.3.1.16.0.5.8,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.15 Specific criteria for HUD approval of demolition requests.,HUD,,,"[71 FR 62362, Oct. 24, 2006, as amended at 73 FR 3868, Jan. 23, 2008]","(a) In addition to other applicable requirements of this part, HUD will approve an application for demolition upon the PHA's certification that it meets the following statutory criteria, unless the application meets the criteria for disapproval under 24 CFR 970.29. An application for the demolition of all or a portion of a public housing project must certify that the project: (1) Is obsolete as to physical condition, location, or other factors, making it unsuitable for housing purposes, and no reasonable program of modifications is cost-effective to return the public housing project or portion of the project to useful life; and (2) In the case of an application for demolition of a portion of a project, the demolition will help to ensure the viability of the remaining portion of the project. (b) As to paragraph (a)(1) of this section: (1) Major problems indicative of obsolescence are: (i) As to physical condition: Structural deficiencies that cannot be corrected in a cost-effective manner (settlement of earth below the building caused by inadequate structural fills, faulty structural design, or settlement of floors), or other design or site problems (severe erosion or flooding); (ii) As to location: physical deterioration of the neighborhood; change from residential to industrial or commercial development; or environmental conditions as determined by HUD environmental review in accord with 24 CFR part 50, which jeopardize the suitability of the site or a portion of the site and its housing structures for residential use; or (iii) There are other factors that have seriously affected the marketability, usefulness, or management of the property. (2) HUD generally shall not consider a program of modifications to be cost-effective if the costs of such program exceed 62.5 percent of total development cost (TDC) for elevator structures and 57.14 percent of TDC for all other types of structures in effect at the time the application is submitted to HUD. (c) As to paragraph (a)(2) of this section, a partial demolition will be considered to ensure the viability of the remaining portion if the application certifies that the demolition will reduce development density to permit better access by emergency, fire, or rescue services, or improve marketability by reducing the density to that of the neighborhood or other developments in the PHA's inventory." 24:24:4.1.3.1.16.0.5.9,24,Housing and Urban Development,IX,,970,PART 970—PUBLIC HOUSING PROGRAM—DEMOLITION OR DISPOSITION OF PUBLIC HOUSING PROJECTS,,,,§ 970.17 Specific criteria for HUD approval of disposition requests.,HUD,,,,"In addition to other applicable requirements of this part, HUD will approve a request for disposition by sale or other transfer of a public housing project or other real property if the PHA certifies that the retention of the property is not in the best interests of the residents or the PHA for at least one of the following reasons, unless information available to HUD is inconsistent with the certification: (a) Conditions in the area surrounding the project (density, or industrial or commercial development) adversely affect the health or safety of the tenants or the feasible operation of the project by the PHA; (b) Disposition allows the acquisition, development, or rehabilitation of other properties that will be more efficiently or effectively operated as low-income housing developments; (c) The PHA has otherwise determined the disposition to be appropriate for reasons that are consistent with the goals of the PHA and the PHA Plan and that are otherwise consistent with the Act; (d) In the case of disposition of property other than dwelling units (community facilities or vacant land), the PHA certifies that: (1) The non-dwelling facilities or land exceeds the needs of the development (after DOFA); or (2) The disposition of the property is incidental to, or does not interfere with, continued operation of the remaining portion of the development."