{"database": "openregs", "table": "cfr_sections", "is_view": false, "human_description_en": "where part_number = 299 sorted by section_id", "rows": [["21:21:4.0.1.1.21.1.1.1", 21, "Food and Drugs", "I", "C", "299", "PART 299\u2014DRUGS; OFFICIAL NAMES AND ESTABLISHED NAMES", "A", "Subpart A\u2014General Provisions", "", "\u00a7 299.3 Definitions and interpretations.", "FDA", "", "", "", "(a) As used in this part 299,  act  means the Federal Food, Drug, and Cosmetic Act, sections 201-902, 52 Stat. 1040 (21 U.S.C. 321-392), with all amendments thereto.\n\n(b) The definitions and interpretations contained in section 201 of the act shall be applicable to such terms when used in this part 299.\n\n(c) The term  official name  means, with respect to a drug or ingredient thereof, the name designated in this part 299 under section 508 of the act as the official name."], ["21:21:4.0.1.1.21.1.1.2", 21, "Food and Drugs", "I", "C", "299", "PART 299\u2014DRUGS; OFFICIAL NAMES AND ESTABLISHED NAMES", "A", "Subpart A\u2014General Provisions", "", "\u00a7 299.4 Established names for drugs.", "FDA", "", "", "[40 FR 14041, Mar. 27, 1975, as amended at 49 FR 37575, Sept. 25, 1984; 53 FR 5369, Feb. 24, 1988; 55 FR 11577, Mar. 29, 1990; 64 FR 401, Jan. 5, 1999; 69 FR 18803, Apr. 9, 2004]", "(a) Section 508 of the Federal Food, Drug, and Cosmetic Act (added by the Kefauver-Harris Drug Amendments of 1962; Pub. L. 87-781) authorizes the Commissioner of Food and Drugs to designate an official name for any drug if he determines that such action is necessary or desirable in the interest of usefulness and simplicity. Section 502(e) of the act (as amended by said Drug Amendments) prescribes that the labeling of a drug must bear its established name, if there is one, to the exclusion of any other nonproprietary name (except the applicable systematic chemical name or the chemical formula) and, if the drug is fabricated from two or more ingredients, the established name of each active ingredient.\n\n(b) The term  established name  is defined in section 502(e)(3) of the act as (1) an official name designated pursuant to section 508 of the act; (2) if no such official name has been designated for the drug and the drug is an article recognized in an official compendium, then the official title thereof in such compendium; and (3) if neither paragraphs (b) (1) or (2) of this section applies, then the common or usual name of the drug.\n\n(c) The Food and Drug Administration recognizes the skill and experience of the U.S. Adopted Names Council (USAN) in deriving names for drugs. The U.S. Adopted Names Council is a private organization sponsored by the American Medical Association, the United States Pharmacopeia, and the American Pharmaceutical Association, and has been engaged in the assignment of names to drugs since January 1964. The Council negotiates with manufacturing firms in the selection of nonproprietary names for drugs.\n\n(d) The Food and Drug Administration cooperates with and is represented on the USAN Council. In addition, the Food and Drug Administration agrees with \u201cGuiding Principles for Coining U.S. Adopted Names for Drugs,\u201d published in  USAN and the USP Dictionary of Drug Names  (USAN 1985 ed., 1961-1984 cumulative list), which is incorporated by reference. Copies are available from: U.S. Pharmacopeial Convention, Inc., 12601 Twinbrook Parkway, Rockville, MD 20852, or are available for inspection at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030, or go to:  http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.  All applicants for new-drug applications and sponsors for \u201cInvestigational New Drug Applications\u201d (IND's) are encouraged to contact the USAN Council for assistance in selection of a simple and useful name for a new chemical entity. Approval of a new-drug application providing for the use of a new drug substance may be delayed if a simple and useful nonproprietary name does not exist for the substance and if one is not proposed in the application that meets the above-cited guidelines. Prior use of a name in the medical literature or otherwise will not commit the Food and Drug Administration to adopting such terminology as official.\n\n(e) The Food and Drug Administration will not routinely designate official names under section 508 of the act. As a result, the established name under section 502(e) of the act will ordinarily be either the compendial name of the drug or, if there is no compendial name, the common and usual name of the drug. Interested persons, in the absence of the designation by the food and Drug Administration of an official name, may rely on as the established name for any drug the current compendial name or the USAN adopted name listed in  USAN and the USP Dictionary of Drug Names.  The Food and Drug Administration, however, will continue to publish official names under the provisions of section 508 of the act when the agency determines that:\n\n(1) The USAN or other official or common or usual name is unduly complex or is not useful for any other reason;\n\n(2) Two or more official names have been applied to a single drug, or to two or more drugs that are identical in chemical structure and pharmacological action and that are substantially identical in strength, quality, and purity; or\n\n(3) No USAN or other official or common or usual name has been applied to a medically useful drug. Any official name published under section 508 of the act will be the established name of the drug.\n\n(f) A cumulative list of U.S. adopted names selected and released since June 15, 1961, is published yearly by the U.S. Pharmacopeial Convention, Inc., in  USAN and the USP Dictionary of Drug Names.  Copies may be purchased from the U.S. Pharmacopeial Convention, Inc., 12601 Twinbrook Parkway, Rockville, MD 20852."], ["21:21:4.0.1.1.21.1.1.3", 21, "Food and Drugs", "I", "C", "299", "PART 299\u2014DRUGS; OFFICIAL NAMES AND ESTABLISHED NAMES", "A", "Subpart A\u2014General Provisions", "", "\u00a7 299.5 Drugs; compendial name.", "FDA", "", "", "", "(a) The name by which a drug is designated shall be clearly distinguishing and differentiating from any name recognized in an official compendium unless such drug complies in identity with the identity prescribed in an official compendium under such recognized name.\n\n(b) The term  drug defined in an official compendium  means a drug having the identity prescribed for a drug in an official compendium.\n\n(c) A statement that a drug defined in an official compendium differs in strength, quality, or purity from the standard of strength, quality, or purity set forth for such drug in an official compendium shall show all the respects in which such drug so differs, and the extent of each such difference."], ["34:34:1.2.2.1.11.1.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "A", "Subpart A\u2014Purpose and Applicability", "", "\u00a7 299.1 What are the purpose and scope of the regulations in this part?", "ED", "", "", "[84 FR 31678, July 2, 2019]", "(a) This part establishes uniform administrative rules for programs in titles I through VII of the Elementary and Secondary Education Act of 1965, as amended (ESEA). As indicated in particular sections of this part, certain provisions apply only to a specific group of programs.\n\n(b) If an ESEA program does not have implementing regulations, the Secretary implements the program under the authorizing statute and, to the extent applicable, title VIII of the ESEA, the General Education Provisions Act, the regulations in this part, EDGAR (34 CFR parts 75 through 99), and 2 CFR parts 180, as adopted at 2 CFR part 3485, and 200, as adopted at 2 CFR part 3474, that are not inconsistent with specific statutory provisions of the ESEA."], ["34:34:1.2.2.1.11.1.147.2", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "A", "Subpart A\u2014Purpose and Applicability", "", "\u00a7 299.2 What general administrative regulations apply to ESEA programs?", "ED", "", "", "[84 FR 31678, July 2, 2019]", "Title 2 of the CFR, part 200, as adopted at 2 CFR part 3474, applies to all ESEA programs except for title VII programs (Impact Aid) (in addition to any other specific implementing regulations).\n\n34 CFR 222.19 indicates which EDGAR provisions apply to title VII programs (Impact Aid)."], ["34:34:1.2.2.1.11.3.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "C", "Subpart C\u2014Consolidation of State and Local Administrative Funds", "", "\u00a7 299.4 What requirements apply to the consolidation of State and local administrative funds?", "ED", "", "", "[84 FR 31678, July 2, 2019]", "An SEA may adopt and use its own reasonable standards in determining whether\u2014\n\n(a) The majority of its resources for administrative purposes comes from non-Federal sources to permit the consolidation of State administrative funds in accordance with section 8201 of the ESEA; and\n\n(b) To approve an LEA's consolidation of its administrative funds in accordance with section 8203 of the ESEA."], ["34:34:1.2.2.1.11.4.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "D", "Subpart D\u2014Fiscal Requirements", "", "\u00a7 299.5 What maintenance of effort requirements apply to ESEA programs?", "ED", "", "", "[62 FR 28252, May 22, 1997, as amended at 84 FR 31678, July 2, 2019]", "(a)  General.  An LEA receiving funds under an applicable program listed in paragraph (b) of this section may receive its full allocation of funds only if the SEA finds that either the combined fiscal effort per student or the aggregate expenditures of State and local funds with respect to the provision of free public education in the LEA for the preceding fiscal year was not less than 90 percent of the combined fiscal effort per student or the aggregate expenditures for the second preceding fiscal year.\n\n(b)  Applicable programs.  This subpart is applicable to the following programs:\n\n(1) Part A of title I (Improving Basic Programs Operated by Local Educational Agencies).\n\n(2) Part D of title I (Prevention and Intervention Programs for Children and Youth Who Are Neglected, Delinquent, or At Risk).\n\n(3) Part A of title II (Supporting Effective Instruction).\n\n(4) Part A, subpart 1 of title III (English Language Acquisition, Language Enhancement, and Academic Achievement), except for section 3112.\n\n(5) Part A of title IV (Student Support and Academic Enrichment Grants).\n\n(6) Part B of title IV (21st Century Community Learning Centers).\n\n(7) Part B, subpart 2 of title V (Rural and Low-Income School Program).\n\n(8) Part A, subpart 1 of title VI (Indian Education Formula Grants to Local Educational Agencies).\n\n(c)  Meaning of \u201cpreceding fiscal year\u201d.  For purposes of determining if the requirement of paragraph (a) of this section is met, the \u201cpreceding fiscal year\u201d means the Federal fiscal year, or the 12-month fiscal period most commonly used in a State for official reporting purposes, prior to the beginning of the Federal fiscal year in which funds are available for obligation by the Department.\n\n(1)  Example.  For fiscal year 2018 funds that are first made available on July 1, 2018, if a State is using the Federal fiscal year, the \u201cpreceding fiscal year\u201d is Federal fiscal year 2017 (which began on October 1, 2016 and ended September 30, 2017) and the \u201csecond preceding fiscal year\u201d is Federal fiscal year 2016 (which began on October 1, 2015). If a State is using a fiscal year that begins on July 1, 2018, the \u201cpreceding fiscal year\u201d is the 12-month period ending on June 30, 2017, and the \u201csecond preceding fiscal year\u201d is the period ending on June 30, 2016.\n\n(2) [Reserved]\n\n(d)  Expenditures.  (1) In determining an LEA's compliance with paragraph (a) of this section, the SEA shall consider only the LEA's expenditures from State and local funds for free public education. These include expenditures for administration, instruction, attendance and health services, pupil transportation services, operation and maintenance of plant, fixed charges, and net expenditures to cover deficits for food services and student body activities.\n\n(2) The SEA may not consider the following expenditures in determining an LEA's compliance with the requirements in paragraph (a) of this section:\n\n(i) Any expenditures for community services, capital outlay, debt service or supplemental expenses made as a result of a Presidentially declared disaster.\n\n(ii) Any expenditures made from funds provided by the Federal Government."], ["34:34:1.2.2.1.11.5.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.6 What are the responsibilities of a recipient of funds for providing services to children and teachers in private schools?", "ED", "", "", "[62 FR 28252, May 22, 1997, as amended at 84 FR 31679, July 2, 2019]", "(a)  General.  An agency, consortium, or entity receiving funds under an applicable program listed in paragraph (b) of this section, after timely and meaningful consultation with appropriate private school officials (in accordance with the statute), shall provide special educational services or other benefits under this subpart on an equitable basis to eligible children who are enrolled in private elementary and secondary schools, and to their teachers and other educational personnel.\n\n(b)  Applicable programs.  This subpart is applicable to the following programs:\n\n(1) Part C of title I (Migrant Education).\n\n(2) Part A of title II (Supporting Effective Instruction).\n\n(3) Part A of title III (English Acquisition, Language Enhancement, and Academic Achievement).\n\n(4) Part A of title IV (Student Support and Academic Enrichment Grants).\n\n(5) Part B of title IV (21st Century Community Learning Centers).\n\n(6) Section 4631 (Project SERV).\n\n(c)  Provisions not applicable.  Sections 75.650 and 76.650 through 76.662 of title 34 of the Code of Federal Regulations (participation of students enrolled in private schools) do not apply to programs listed in paragraph (b) of this section."], ["34:34:1.2.2.1.11.5.147.2", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.7 What are the requirements for consultation?", "ED", "", "", "[89 FR 70344, Aug. 29, 2024]", "(a)(1) In order to have timely and meaningful consultation, an agency, consortium, or entity must\u2014\n\n(i) Consult with appropriate private school officials during the design and development of the agency, consortium, or entity's program for eligible private school children and their teachers and other educational personnel; and\n\n(ii) Consult before the agency, consortium, or entity makes any decision that affects the opportunities of eligible private school children and their teachers and other educational personnel to participate in the applicable program.\n\n(2) Such consultation must continue throughout the implementation and assessment of equitable services.\n\n(b) Both the agency, consortium, or entity and private school officials must have the goal of reaching agreement on how to provide equitable and effective programs for private school children and their teachers and other educational personnel, including, at a minimum, on issues such as\u2014\n\n(1) How the agency, consortium, or entity will identify the needs of eligible private school children and their teachers and other educational personnel;\n\n(2) What services the agency, consortium, or entity will offer to eligible private school children and their teachers and other educational personnel;\n\n(3) How and when the agency, consortium, or entity will make decisions about the delivery of services;\n\n(4) How, where, and by whom the agency, consortium, or entity will provide services to eligible private school children and their teachers and other educational personnel;\n\n(5) How the agency, consortium, or entity will assess the services and use the results of the assessment to improve those services;\n\n(6) Whether the agency, consortium, or entity will provide services directly or through a separate government agency, consortium, entity, or third-party contractor;\n\n(7) The size and scope of the equitable services that the agency, consortium, or entity will provide to eligible private school children and their teachers and other educational personnel, the amount of funds available for those services, and how that amount is determined; and\n\n(8) Whether to provide equitable services to eligible private school children and their teachers and other educational personnel\u2014\n\n(i) On a school-by-school basis;\n\n(ii) By creating a pool or pools of funds with all the funds allocated under the applicable program based on the amount of funding allocated for equitable services to two or more participating private schools served by the same agency, consortium, or entity, provided that all the affected private schools agree to receive services in this way; or\n\n(iii) By creating a pool or pools of funds with all the funds allocated under the applicable program based on the amount of funding allocated for equitable services to two or more participating private schools served across multiple agencies, consortia, or entities, provided that all the affected private schools agree to receive services in this way.\n\n(c)(1) Consultation must include\u2014\n\n(i) A discussion of service delivery mechanisms the agency, consortium, or entity can use to provide equitable services to eligible private school children and their teachers and other educational personnel; and\n\n(ii) A thorough consideration and analysis of the views of private school officials on the provision of services through a contract with a third-party provider.\n\n(2) If the agency, consortium, or entity disagrees with the views of private school officials on the provision of services through a contract, the agency, consortium, or entity must provide in writing to the private school officials the reasons why the agency, consortium, or entity chooses not to use a contractor.\n\n(d)(1) The agency, consortium, or entity must maintain in its records and provide to the SEA a written affirmation, signed by officials of each private school with participating children or appropriate private school representatives, that the required consultation has occurred. The written affirmation must provide the option for private school officials to indicate such officials' belief that timely and meaningful consultation has not occurred or that the program design is not equitable with respect to eligible private school children.\n\n(2) If private school officials do not provide the affirmations within a reasonable period of time, the agency, consortium, or entity must submit to the SEA documentation that the required consultation occurred.\n\n(e) A private school official has the right to complain to the SEA that the agency, consortium, or entity did not\u2014\n\n(1) Engage in timely and meaningful consultation;\n\n(2) Give due consideration to the views of the private school official; or\n\n(3) Make a decision that treats the private school or its students equitably as required by this section."], ["34:34:1.2.2.1.11.5.147.3", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.8 Use of Private School Personnel.", "ED", "", "", "[89 FR 70344, Aug. 29, 2024]", "A grantee or subgrantee may use program funds to pay for the services of an employee of a private school if:\n\n(a) The employee performs the services outside of his or her regular hours of duty; and\n\n(b) The employee performs the services under public supervision and control."], ["34:34:1.2.2.1.11.5.147.4", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.9 What are the factors for determining equitable participation of children and teachers in private schools?", "ED", "", "", "[62 FR 28252, May 22, 1997, as amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "(a)  Equal expenditures.  (1) Expenditures of funds made by an agency, consortium, or entity under a program listed in \u00a7 299.6 (b) for services for eligible private school children and their teachers and other educational personnel must be equal on a per-pupil basis to the amount of funds expended for participating public school children and their teachers and other educational personnel, taking into account the number and educational needs of those children and their teachers and other educational personnel.\n\n(2) Before determining equal expenditures under paragraph (a)(1) of this section, an agency, consortium, or entity shall pay for the reasonable and necessary administrative costs of providing services to public and private school children and their teachers and other educational personnel from the agency's, consortium's, or entity's total allocation of funds under the applicable ESEA program.\n\n(3) An agency, consortium, or entity must obligate funds allocated for educational services and other benefits for eligible private school children in the fiscal year for which the funds are received by the agency, consortium, or entity.\n\n(4) An SEA must provide notice in a timely manner to appropriate private school officials in the State of the allocation of funds for educational services and other benefits that an agency, consortium, or entity has determined are available for eligible private school children and their teachers and other educational personnel.\n\n(b)  Services on an equitable basis.  (1) The services that an agency, consortium, or entity provides to eligible private school children and their teachers and other educational personnel must also be equitable in comparison to the services and other benefits provided to public school children and their teachers or other educational personnel participating in a program under this subpart.\n\n(2) Services are equitable if the agency's, consortium's, or entity's\u2014\n\n(i) Addresses and assesses the specific needs and educational progress of eligible private school children and their teachers and other educational personnel on a comparable basis to public school children and their teachers and other educational personnel;\n\n(ii) Determines the number of students and their teachers and other educational personnel to be served on an equitable basis;\n\n(iii) Meets the equal expenditure requirements under paragraph (a) of this section; and\n\n(iv) Provides private school children and their teachers and other educational personnel with an opportunity to participate that is equitable to the opportunity and benefits provided to public school children and their teachers and other educational personnel.\n\n(3) The agency, consortium, or entity shall make the final decisions with respect to the services to be provided to eligible private school children and their teachers and the other educational personnel.\n\n(c) If the needs of private school children, their teachers and other educational personnel are different from the needs of children, teachers and other educational personnel in the public schools, the agency, consortium, or entity shall provide program benefits for the private school children, teachers, and other educational personnel that are different from the benefits it provides for the public school children and their teachers and other educational personnel."], ["34:34:1.2.2.1.11.5.147.5", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.10 What are the requirements to ensure that funds do not benefit a private school?", "ED", "", "", "[62 FR 28252, May 22, 1997, as amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "(a) An agency, consortium, or entity shall use funds under a program listed in \u00a7 299.6(b) to provide services that supplement, and in no case supplant, the level of services that would, in the absence of services provided under that program, be available to participating children and their teachers and other educational personnel in private schools.\n\n(b) An agency, consortium, or entity shall use funds under a program listed in \u00a7 299.6(b) to meet the special educational needs of participating children who attend a private school and their teachers and other educational personnel, but may not use those funds for\u2014\n\n(1) The needs of the private school; or\n\n(2) The general needs of children and their teachers and other educational personnel in the private school."], ["34:34:1.2.2.1.11.5.147.6", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.11 What are the requirements concerning property, equipment, and supplies for the benefit of private school children and teachers?", "ED", "", "", "[62 FR 28252, May 22, 1997, as amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "(a) A agency, consortium, or entity must keep title to, and exercise continuing administrative control of, all property, equipment, and supplies that the agency, consortium, or entity acquires with funds under a program listed in \u00a7 299.6(b) for the benefit of eligible private school children and their teachers and other educational personnel.\n\n(b) The agency, consortium, or entity may place equipment and supplies in a private school for the period of time needed for the program.\n\n(c) The agency, consortium, or entity shall ensure that the equipment and supplies placed in a private school\u2014\n\n(1) Are used only for proper purposes of the program; and\n\n(2) Can be removed from the private school without remodeling the private school facility.\n\n(d) The agency, consortium, or entity must remove equipment and supplies from a private school if\u2014\n\n(1) The equipment and supplies are no longer needed for the purposes of the program; or\n\n(2) Removal is necessary to avoid unauthorized use of the equipment or supplies for other than the purposes of the program.\n\n(e) No funds may be used for repairs, minor remodeling, or construction of private school facilities."], ["34:34:1.2.2.1.11.5.147.7", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "E", "Subpart E\u2014Services to Private School Students and Teachers", "", "\u00a7 299.12 Ombudsman.", "ED", "", "", "[89 FR 70344, Aug. 29, 2024]", "To help ensure equity for eligible private school children, teachers, and other educational personnel, an SEA must direct the ombudsman designated under section 1117 of the ESEA and \u00a7 200.68 to monitor and enforce the requirements in \u00a7\u00a7 299.6 through 299.11."], ["34:34:1.2.2.1.11.6.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "F", "Subpart F\u2014Complaint Procedures", "", "\u00a7 299.13 What complaint procedures shall an SEA adopt?", "ED", "", "", "[62 FR 28252, May 22, 1997. Redesignated and amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "(a)  General.  An SEA shall adopt written procedures, consistent with State law, for\u2014\n\n(1) Receiving and resolving any complaint from an organization or individual that the SEA or an agency or consortium of agencies is violating a Federal statute or regulation that applies to an applicable program listed in paragraph (b) of this section;\n\n(2) Reviewing an appeal from a decision of an agency or consortium of agencies with respect to a complaint; and\n\n(3) Conducting an independent on-site investigation of a complaint if the SEA determines that an on-site investigation is necessary.\n\n(b)  Applicable programs.  This subpart is applicable to the following programs:\n\n(1) Part A of title I (Improving Basic Programs Operated by Local Educational Agencies).\n\n(2) Part C of title I (Education of Migratory Children).\n\n(3) Part D of title I (Prevention and Intervention Programs for Children and Youth Who Are Neglected, Delinquent, or At Risk).\n\n(4) Part A of title II (Supporting Effective Instruction).\n\n(5) Part A, subpart 1 of title III (English Language Acquisition, Language Enhancement, and Academic Achievement), except for section 3112.\n\n(6) Part A of title IV (Student Support and Academic Enrichment Grants).\n\n(7) Part B of title IV (21st Century Community Learning Centers).\n\n(8) Part B, subpart 2 of title V (Rural and Low-Income School Program).\n\n(9) Subtitle B of title VII of the McKinney-Vento Homeless Assistance Act, Education for Homeless Children and Youth Program."], ["34:34:1.2.2.1.11.6.147.2", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "F", "Subpart F\u2014Complaint Procedures", "", "\u00a7 299.14 What items are included in the complaint procedures?", "ED", "", "", "[62 FR 28252, May 22, 1997. Redesignated and amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "An SEA shall include the following in its complaint procedures:\n\n(a)(1) Except as provided in paragraph (a)(2) of this section, a reasonable time limit after the SEA receives a complaint for resolving the complaint in writing, including a provision for carrying out an independent on-site investigation, if necessary.\n\n(2) In matters involving violations of section 1117 or 8501 of the ESEA (participation of private school children), an SEA must resolve, in writing, a complaint within 45 days after receiving the complaint.\n\n(b) An extension of the time limit under paragraph (a)(1) of this section only if exceptional circumstances exist with respect to a particular complaint.\n\n(c)(1) The right for the complainant to request the Secretary to review the final decision of the SEA, at the Secretary's discretion.\n\n(2) In matters involving violations of section 1117 or 8501 of the ESEA (participation of private school children), the Secretary will follow the procedures in section 8503(b) of the ESEA.\n\n(d) A requirement for LEAs to disseminate, free of charge, adequate information about the complaint procedures to parents of students, and appropriate private school officials or representatives."], ["34:34:1.2.2.1.11.6.147.3", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "F", "Subpart F\u2014Complaint Procedures", "", "\u00a7 299.15 How does an organization or individual file a complaint?", "ED", "", "", "[62 FR 28252, May 22, 1997. Redesignated and amended at 84 FR 31679, July 2, 2019. Redesignated at 89 FR 70344, Aug. 29, 2024]", "An organization or individual may file a written signed complaint with an SEA. The complaint must be in writing and signed by the complainant, and include\u2014\n\n(a) A statement that the SEA or an agency or consortium of agencies has violated a requirement of a Federal statute or regulation that applies to an applicable program; and\n\n(b) The facts on which the statement is based and the specific requirement allegedly violated."], ["34:34:1.2.2.1.11.6.147.4", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "F", "Subpart F\u2014Complaint Procedures", "", "\u00a7 299.16 What must an SEA include in its written resolution of a complaint?", "ED", "", "", "[89 FR 70344, Aug. 29, 2024]", "An SEA must include the following in its written resolution of a complaint under an applicable program:\n\n(a) A description of applicable statutory and regulatory requirements.\n\n(b) A description of the procedural history of the complaint.\n\n(c) Findings of fact supported by citation, including page numbers, to supporting documents under paragraph (h) of this section.\n\n(d) Analysis and conclusions regarding the requirements.\n\n(e) Corrective actions, if applicable.\n\n(f) A statement of applicable appeal rights.\n\n(g) A statement regarding the State's determination about whether it will provide services.\n\n(h) All documents the SEA relied on in reaching its decision, paginated consecutively."], ["34:34:1.2.2.1.11.6.147.5", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "F", "Subpart F\u2014Complaint Procedures", "", "\u00a7 299.17 What must a party seeking to appeal an SEA's written resolution of a complaint or failure to resolve a complaint in 45 days include in its appeal request?", "ED", "", "", "[89 FR 70344, Aug. 29, 2024]", "(a) A party appealing an SEA's written resolution of a complaint, or failure to resolve a complaint, must include the following in its request within 30 days of either the SEA's resolution or the 45-day time limit:\n\n(1) A clear and concise statement of the parts of the SEA's decision being appealed, if applicable.\n\n(2) The legal and factual basis for the appeal.\n\n(3) A copy of the complaint filed with the SEA.\n\n(4) A copy of the SEA's written resolution of the complaint being appealed, if one is available, including all supporting documentation required under \u00a7 299.16(h).\n\n(5) Any supporting documentation not included as part of the SEA's written resolution of the complaint being appealed.\n\n(b) Unless substantiating documentation identified in paragraph (a) of this section is provided to the Department, the appeal is not considered complete. Statutory or regulatory time limits are stayed until the appeal is complete as determined by the Department.\n\n(c) In resolving the appeal, if the Department determines that additional information is necessary, all applicable statutory or regulatory time limits are stayed pending receipt of that information."], ["34:34:1.2.2.1.11.7.147.1", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.18 Applicability.", "ED", "", "", "", "The regulations in this subpart apply to part A of Title I and applicable programs under section 8501(b)(1) of the ESEA under which the Secretary is authorized to waive the requirements for providing services to private school children, teachers or other educational personnel, and families, as applicable, and to implement a bypass."], ["34:34:1.2.2.1.11.7.147.10", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.27 Judicial review.", "ED", "", "", "", "If an agency, consortium, or entity is dissatisfied with the Secretary's final action after a proceeding under \u00a7\u00a7 299.13 through 299.26, it may, within 60 days after receiving notice of that action, file a petition for review with the United States Court of Appeals for the circuit in which it is located."], ["34:34:1.2.2.1.11.7.147.11", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.28 Continuation of a bypass.", "ED", "", "", "", "The Secretary continues a bypass until the Secretary determines, in consultation with the relevant agency, consortium, or entity and representatives of the affected private school children, teachers or other educational personnel, or families, that there will no longer be any failure or inability on the part of the agency, consortium, or entity to meet the requirements for providing services."], ["34:34:1.2.2.1.11.7.147.2", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.19 Bypass\u2014general.", "ED", "", "", "", "(a) The Secretary arranges for a bypass if\u2014\n\n(1) An agency, consortium, or entity is prohibited by law from providing for the participation in programs of children enrolled in, or teachers or other educational personnel from, private elementary and secondary schools, on an equitable basis; or\n\n(2) The Secretary determines that the agency, consortium, or entity has substantially failed, or is unwilling, to provide for that participation as required by section 1117 or 8501 of the ESEA, as applicable.\n\n(b) If the Secretary determines that a bypass is appropriate after following the requirements in \u00a7\u00a7 299.21 through 299.26, the Secretary\u2014\n\n(1) Waives the requirements under section 1117 or 8501 of the ESEA, as applicable, for the agency, consortium, or entity; and\n\n(2) Arranges for the provision of equitable services to those children, teachers or other educational personnel, and families, as applicable, through arrangements subject to the requirements of section 1117 or 8501 of the ESEA, as applicable, and sections 8503 and 8504 of the ESEA."], ["34:34:1.2.2.1.11.7.147.3", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.20 Requesting a bypass.", "ED", "", "", "", "(a) A private school official may request a bypass of an agency, consortium, or entity under the following circumstances:\n\n(1) The private school official has\u2014\n\n(i) Filed a complaint with the State educational agency (SEA) under section 1117(b)(6)(A)-(B) or section 8501(c)(6)(A)-(B) of the ESEA and \u00a7\u00a7 299.13 through 299.17 that an agency, consortium, or entity other than the SEA has substantially failed or is unwilling to provide equitable services;\n\n(ii) Requested that the SEA provide equitable services on behalf of the agency, consortium, or entity under section 1117(b)(6)(C) or section 8501(c)(6)(C) of the ESEA; and\n\n(iii) Submitted an appeal of the SEA's resolution of the complaint filed under this paragraph (a)(1) to the Secretary under section 8503(b) of the ESEA and \u00a7 299.17.\n\n(2) If an SEA has substantially failed, or is unwilling, to provide equitable services, the private school official has\u2014\n\n(i) Filed a complaint with the SEA under section 8503(a) of the ESEA and \u00a7\u00a7 299.13 through 299.16; and\n\n(ii) Submitted an appeal to the Secretary under section 8503(b) of the ESEA and \u00a7 299.17 of the SEA's resolution of the complaint filed under paragraph (a)(1) of this section in which the private school official requests a bypass.\n\n(b) An agency, consortium, or entity may request that the Secretary implement a bypass if the agency, consortium, or entity is prohibited by law from providing equitable services under section 1117 or section 8501 of the ESEA."], ["34:34:1.2.2.1.11.7.147.4", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.21 Notice of intent to implement a bypass.", "ED", "", "", "", "(a) Before taking any final action to implement a bypass, the Secretary provides the affected agency, consortium, or entity with written notice.\n\n(b) In the written notice, the Secretary\u2014\n\n(1) States the reasons for the proposed bypass in sufficient detail to allow the agency, consortium, or entity to respond;\n\n(2) Cites the requirement that is the basis for the alleged failure to comply; and\n\n(3) Advises the agency, consortium, or entity that it\u2014\n\n(i) Has a deadline (which must not be fewer than 45 days after receiving the written notice) to submit written objections to the proposed bypass; and\n\n(ii) May request in writing the opportunity for a hearing to show cause why the Secretary should not implement the bypass."], ["34:34:1.2.2.1.11.7.147.5", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.22 Filing requirements.", "ED", "", "", "", "(a) Any written submission under \u00a7 299.21 must be filed by hand delivery, mail, or email.\n\n(b) The filing date for a written submission is the date on which the document is\u2014\n\n(1) Hand delivered;\n\n(2) Mailed; or\n\n(3) Emailed."], ["34:34:1.2.2.1.11.7.147.6", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.23 Bypass procedures.", "ED", "", "", "", "Sections 299.24 through 299.26 describe the procedures that the Secretary uses in conducting a show-cause hearing. The hearing officer may modify the procedures for a particular case if all parties agree that the modification is appropriate."], ["34:34:1.2.2.1.11.7.147.7", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.24 Appointment and functions of a hearing officer.", "ED", "", "", "", "(a) If an agency, consortium, or entity requests a hearing to show cause why the Secretary should not implement a bypass, the Secretary appoints a hearing officer and notifies appropriate representatives of the affected private school children, teachers or other educational personnel, or families that they may participate in the hearing.\n\n(b) The hearing officer has no authority to require or conduct discovery or to rule on the validity of any statute or regulation.\n\n(c) The hearing officer notifies the agency, consortium, or entity and representatives of the private school children, teachers or other educational personnel, or families of the time and place of the hearing."], ["34:34:1.2.2.1.11.7.147.8", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.25 Hearing procedures.", "ED", "", "", "", "(a) The following procedures apply to a show-cause hearing regarding implementation of a bypass:\n\n(1) The hearing officer arranges for a transcript to be created.\n\n(2) The agency, consortium, or entity and representatives of the private school children, teachers or other educational personnel, or families each may\u2014\n\n(i) Be represented by legal counsel; and\n\n(ii) Submit oral or written evidence and arguments at the hearing.\n\n(b) Within 10 days after the hearing, the hearing officer\u2014\n\n(1) Indicates that a decision will be issued based on the existing record; or\n\n(2) Requests further information from the agency, consortium, or entity, representatives of the private school children, teachers or other educational personnel, or families, or Department officials."], ["34:34:1.2.2.1.11.7.147.9", 34, "Education", "II", "", "299", "PART 299\u2014GENERAL PROVISIONS", "G", "Subpart G\u2014Procedures for Bypass", "", "\u00a7 299.26 Decision.", "ED", "", "", "", "(a)(1) Within 120 days after the record of a show-cause hearing is closed, the hearing officer issues a written decision on whether the Secretary should implement a bypass.\n\n(2) The hearing officer sends copies of the decision to the agency, consortium, or entity; representatives of the private school children, teachers or other educational personnel, or families; and the Secretary.\n\n(b) Within 30 days after receiving the hearing officer's decision, the agency, consortium, or entity, and representatives of the private school children, teachers or other educational personnel, or families may each submit to the Secretary written comments on the decision.\n\n(c) The Secretary may adopt, reverse, modify, or remand the hearing officer's decision."], ["49:49:4.1.1.1.55.1.138.1", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.1 Purpose and scope.", "FRA", "", "", "", "This part prescribes minimum Federal safety standards for the high-speed transportation system described in detail in \u00a7 299.13, known as Texas Central Railroad, LLC and hereinafter referred to as the \u201crailroad.\u201d The purpose of this part is to prevent accidents, casualties, and property damage which could result from operation of this system."], ["49:49:4.1.1.1.55.1.138.2", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.3 Applicability.", "FRA", "", "", "", "(a) This part applies only to the railroad, as described in \u00a7 299.13.\n\n(b) Except as stated in paragraph (c) of this section, this part, rather than the generally applicable Federal railroad safety regulations, shall apply to the railroad.\n\n(c) The following Federal railroad safety regulations found in Title 49 of the Code of Federal Regulations, and any amendments are applicable to the railroad.\n\n(1) Part 207, Railroad Police Officers;\n\n(2) Part 209, Railroad Safety Enforcement Procedures;\n\n(3) Part 210, Railroad Noise Emission Compliance Regulations;\n\n(4) Part 211, Rules of Practice;\n\n(5) Part 212, State Safety Participation Regulations;\n\n(6) Part 214, Railroad Workplace Safety, except \u00a7 214.339;\n\n(7) Part 216, Special Notice and Emergency Order Procedures;\n\n(8) Part 218, Railroad Operating Practices;\n\n(9) Part 219, Control of Alcohol and Drug Use;\n\n(10) Part 220, Radio Standards and Procedures;\n\n(11) Part 225, Railroad Accidents/Incidents: Reports, Classification, and Investigations;\n\n(12) Part 227, Occupational Noise Exposure except \u00a7 227.119(c)(10) and (11) with respect to the railroad's high-speed trainsets only, which shall comply with 299.431(h) and (i);\n\n(13) Part 228, Hours of Service of Railroad Employees;\n\n(14) Part 233, Signal Systems Reporting Requirements;\n\n(15) Part 235, Instructions Governing Applications for Approval of a Discontinuance or Material Modification of a Signal System or Relief from the Requirements of Part 236, except \u00a7 235.7;\n\n(16) Part 236, Installation, Inspection, Maintenance and Repair of Signal and Train Control System, Devices, and Appliances, subparts A through G, as excepted by the railroad's PTC Safety Plan (PTCSP) under \u00a7 299.201(d);\n\n(17) Part 237, Railroad Bridge Safety Standards;\n\n(18) Part 239, Passenger Train Emergency Preparedness;\n\n(19) Part 240, Qualification and Certification of Locomotive Engineers;\n\n(20) Part 242, Qualification and Certification of Train Conductors;\n\n(21) Part 243, Training, Qualification, and Oversight for Safety-Related Railroad Employees;\n\n(22) Part 270, System Safety Program\n\n(23) Part 272, Critical Incident Stress Plans; and\n\n(24) The following parts shall apply to the railroad's maintenance-of-way equipment as it is used in work trains, rescue operations, yard movements, and other non-passenger functions:\n\n(i) Part 215, Railroad Freight Car Safety Standards;\n\n(ii) Part 223, Glazing Standards;\n\n(iii) Part 229, Railroad Locomotive Safety Standards, except\u2014\n\n(A) Section 229.71. Instead, the railroad's maintenance-of-way equipment shall comply with \u00a7 299.401(b), except for the sweeper vehicle, which shall have a clearance above top of rail no less than 35 mm (1.77 inches).\n\n(B) Section 229.73. Instead, the railroad's maintenance-of-way equipment shall be designed so as to be compatible with the railroad's track structure under subpart C of this part.\n\n(iv) Part 231, Railroad Safety Appliance Standards; and,\n\n(v) Part 232, Railroad Power Brakes and Drawbars.\n\n(d) The Federal railroad safety statutes apply to all railroads, as defined in 49 U.S.C. 20102. The railroad covered by this part is a railroad under that definition. Therefore, the Federal railroad safety statutes, Subtitle V of Title 49 of the United States Code, apply directly to the railroad. However, pursuant to authority granted under 49 U.S.C. 20306, FRA has exempted the railroad from certain requirements of 49 U.S.C. ch. 203."], ["49:49:4.1.1.1.55.1.138.3", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.5 Definitions.", "FRA", "", "", "[85 FR 69731, Nov. 3, 2020, as amended at 88 FR 70764, Oct. 12, 2023]", "As used in this part\u2014\n\nAbsolute block  means a block of track circuits in which no trainset is permitted to enter while occupied by another trainset.\n\nAdjusting/de-stressing  means the procedure by which a rail's neutral temperature is readjusted to the desired value. It typically consists of cutting the rail and removing rail anchoring devices, which provides for the necessary expansion and contraction, and then re-assembling the track.\n\nAdministrator  means the Administrator of the FRA or the Administrator's delegate.\n\nAssociate Administrator  means FRA's Associate Administrator for Safety and Chief Safety Officer, or that person's delegate.\n\nAutomatic train control (ATC)  means the signaling system, composed of ground and on-board equipment. The on-board equipment continually receives a signal from the ground equipment. ATC on-board equipment controls the trainset speed to prevent train-to-train collisions and overspeed derailments.\n\nATC cut-out mode  means the mode of ATC on-board equipment used for emergency operations to disable the ATC on-board equipment on the trainset.\n\nATC main line mode  means the mode of ATC on-board equipment which controls trainset speed on mainlines.\n\nATC overrun protection  means an overlay of the ATC shunting mode to prevent overrun at the end of a track.\n\nATC shunting mode  means the mode of ATC on-board equipment which restricts the trainsets maximum speed to 30 km/h (19 mph).\n\nBrake, air  means a combination of devices operated by compressed air, arranged in a system and controlled electrically or pneumatically, by means of which the motion of a train or trainset is retarded or arrested.\n\nBrake, disc  means a retardation system used on the passenger trainsets that utilizes flat discs as the braking surface.\n\nBrake, electric  means a trainset braking system in which the kinetic energy of a moving trainset is used to generate electric current at the traction motors, which is then returned into the catenary system.\n\nBrake, emergency application  means a brake application initiated by a de-energized brake command and is retrievable when there is no malfunction that initiates an automatic emergency brake application. An emergency brake application can be initiated by the driver or automatically by ATC. An emergency brake application, as defined here, is equivalent to a full-service brake application in the U.S.\n\nBrake, urgent application  means an irretrievable brake application designed to minimize the braking distance. An urgent brake application, as defined here, is the equivalent of an emergency brake application in the U.S.\n\nBogie  means an assembly that supports the weight of the carbody and which incorporates the suspension, wheels and axles, traction motors and friction brake components. Each unit of a trainset is equipped with two bogies. In the U.S., a bogie is commonly referred to as a truck.\n\nBroken rail  means a partial or complete separation of an otherwise continuous section of running rail, excluding rail joints, expansion joints, and insulated joints.\n\nBuckling incident/buckling rail  means the formation of a lateral misalignment caused by high longitudinal compressive forces in a rail sufficient in magnitude to exceed the track geometry alignment safety limits defined in \u00a7 299.311.\n\nBuckling-prone condition  means a track condition that can result in the track being laterally displaced due to high compressive forces caused by critical rail temperature combined with insufficient track strength and/or train dynamics.\n\nCab  means the compartment or space within a trainset that is designed to be occupied by a driver and contain an operating console for exercising control over the trainset.\n\nCab car  means a rail vehicle at the leading or trailing end, or both, of a trainset which has a driver's cab and is intended to carry passengers, baggage, or mail. A cab car may or may not have propelling motors.\n\nCab end structure  means the main support projecting upward from the underframe at the cab end of a trainset.\n\nCab signal  means a signal located in the driver's compartment or cab, indicating a condition affecting the movement of a trainset.\n\nCalendar day  means a time period running from one midnight to the next midnight on a given date.\n\nCant deficiency  means the additional height, which if added to the outer rail in a curve, at the designated vehicle speed, would provide a single resultant force, due to the combined effects of weight and centrifugal force on the vehicle, having a direction perpendicular to the plane of the track.\n\nContinuous welded rail (CWR)  means rail that has been welded together into lengths exceeding 122 m (400 feet). Rail installed as CWR remains CWR, regardless of whether a joint is installed into the rail at a later time.\n\nConsist, fixed  means a semi-permanently coupled trainset that is arranged with each unit in a specific location and orientation within the trainset.\n\nCore system, high-speed  means the safety-critical systems, sub-systems, and procedures required for a high-speed system operation that assures a safe operation as required within this part.\n\nCrewmember  means a railroad employee called to perform service covered by 49 U.S.C. 21103.\n\nCritical buckling stress  means the minimum stress necessary to initiate buckling of a structural member.\n\nDesired rail installation temperature range  means the rail temperature range in a specific geographical area, at which forces in CWR installed in that temperature range should not cause a track buckle in extreme heat, or a pull-apart during extreme cold weather.\n\nDisturbed track  means the disturbance of the roadbed or ballast section, as a result of track maintenance or any other event, which reduces the lateral or longitudinal resistance of the track, or both.\n\nDriver  means any person who controls the movement of a trainset(s) from the cab, and is required to be certified under 49 CFR part 240. A driver, as used in this part, is equivalent to a locomotive engineer.\n\nEmployee or railroad employee  means an individual who is engaged or compensated by the railroad or by a contractor to the railroad to perform any of the duties defined in this part.\n\nEvent recorder  means a device, designed to resist tampering, that monitors and records data, as detailed in \u00a7\u00a7 299.439 and 236.1005(d) of this chapter, over the most recent 48 hours of operation of the trainset.\n\nEvent recorder memory module  means that portion of an event recorder used to retain the recorded data as described in \u00a7\u00a7 299.439(c) and 299.449(a) through (c).\n\nExpansion joint  means a piece of special trackwork designed to absorb heat-induced expansion and contraction of the rails.\n\nGeneral control center  means the location where the general control center staff work.\n\nGeneral control center staff  means qualified individuals located in the general control center who are responsible for the safe operation of the railroad's high-speed passenger rail system. The duties of individuals who work at the general control center include: Trainset movement control, crew logistic management, signaling, passenger services, rolling stock logistic management, and right-of-way maintenance management.\n\nGlazing, end-facing  means any exterior glazing installed in a trainset cab located where a line perpendicular to the exterior surface glazing material makes horizontal angle of 50 degrees or less with the longitudinal center line of the rail vehicle in which the panel is installed. A glazing panel that curves so as to meet the definition for both side-facing and end-facing glazing is end-facing glazing.\n\nGlazing, exterior  means a glazing panel that is an integral part of the exterior skin of a rail vehicle with a surface exposed to the outside environment.\n\nGlazing, side-facing  means any glazing located where a line perpendicular to the exterior surface of the panel makes an angle of more than 50 degrees with the longitudinal center line of the rail vehicle in which the panel is installed.\n\nHigh voltage  means an electrical potential of more than 150 volts.\n\nImage recording device  means a device that records images, as described in \u00a7 299.449.\n\nImage recording system  means a system of electronic devices capable of recording images as described in \u00a7 299.449, and any components that convert those images into electronic data transmitted to, and stored on, a certified crashworthy memory module as described in appendix A to this part.\n\nIn passenger service/in revenue service  means a trainset that is carrying, or available to carry, passengers. Passengers need not have paid a fare in order for the trainset to be considered in passenger or in revenue service.\n\nIn service  means, when used in connection with a trainset, a trainset subject to this part that is in revenue service, unless the equipment\u2014\n\n(1) Is being handled in accordance with \u00a7 299.447, as applicable;\n\n(2) Is in a repair shop or on a repair track;\n\n(3) Is on a storage track and is not carrying passengers; or,\n\n(4) Is parked at a station location and has been properly secured in accordance with \u00a7\u00a7 299.409(n) and 299.431(d).\n\nInsulated joint, glued  means a rail joint located at the end of a track circuit designed to insulate electrical current from the signal system in the rail.\n\nInterior fitting  means any component in the passenger compartment which is mounted to the floor, ceiling, sidewalls, or end walls and projects into the passenger compartment more than 25 mm (1 in.) from the surface or surfaces to which it is mounted. Interior fittings do not include side and end walls, floors, door pockets, or ceiling lining materials, for example.\n\nIntermediate car  means a passenger car or unit of a trainset located between cab cars which may or may not have propelling motors.\n\nL/V ratio  means the ratio of the lateral force that any wheel exerts on an individual rail to the vertical force exerted by the same wheel on the rail.\n\nLateral  means the horizontal direction perpendicular to the direction of travel.\n\nLocomotive  means a piece of on-track rail equipment, other than hi-rail, specialized maintenance, or other similar equipment, which may consist of one or more units operated from a single control stand with one or more propelling motors designed for moving other passenger equipment; with one or more propelling motors designed to transport freight or passenger traffic, or both; or without propelling motors but with one or more control stands.\n\nLongitudinal  means in a direction parallel to the direction of travel of a rail vehicle.\n\nMarking/delineator  means a visible notice, sign, symbol, line or trace.\n\nN700  means the N700 series trainset that is based on trainsets currently in, or future variants operated on, JRC's Tokaido Shinkansen system, or any unit thereof.\n\nOccupied volume  means the volume of a passenger car or a unit in a trainset where passengers or crewmembers are normally located during service operation, such as the cab and passenger seating areas. The entire width of a vehicle's end compartment that contains a control stand is an occupied volume. A vestibule is typically not considered occupied.\n\nOn-board attendant  means a qualified individual on a trainset that is responsible for coordination with a station platform attendant to assure safety during passenger boarding and alighting within a station. An on-board attendant, as used in this part, is equivalent to a passenger conductor.\n\nOverride  means to climb over the normal coupling or side buffers and linking mechanism and impact the end of the adjoining rail vehicle or unit above the underframe.\n\nOverrun protection coil  means track circuit cables placed short of turnouts, or crossovers within stations and trainset maintenance facilities to prevent unauthorized route access.\n\nPassenger car  means a unit of a trainset intended to provide transportation for members of the general public. A cab car and an intermediate car are considered passenger cars.\n\nPassenger compartment  means an area of a passenger car that consists of a seating area and any vestibule that is connected to the seating area by an open passageway.\n\nPassenger equipment  means the N700 series trainset that is based on trainsets currently in, or future variants operated on, JRC's Tokaido Shinkansen system, or any unit thereof.\n\nPermanent deformation  means the undergoing of a permanent change in shape of a structural member of a rail vehicle.\n\nPTC  means positive train control as further described in \u00a7 299.201.\n\nQualified individual  means a person that has successfully completed all instruction, training, and examination programs required by both the employer and this part, and that the person, therefore, may reasonably be expected to perform his or her duties proficiently in compliance with all Federal railroad safety laws, regulations, and orders.\n\nRail neutral temperature  is the temperature at which the rail is neither in compression nor tension.\n\nRail temperature  means the temperature of the rail, measured with a rail thermometer.\n\nRail vehicle  means railroad rolling stock, including, but not limited to, passenger and maintenance vehicles.\n\nRailroad equipment  means all trains, trainsets, rail cars, locomotives, and on-track maintenance vehicles owned or used by the railroad.\n\nRailroad, the  means the company, also known as the Texas Central Railroad, LLC, which is the entity that will operate and maintain the high-speed rail system initially connecting Dallas to Houston, Texas, and is responsible for compliance with all aspects of this rule.\n\nRepair point  means a location designated by the railroad where repairs of the type necessary occur on a regular basis. A repair point has, or should have, the facilities, tools, and personnel qualified to make the necessary repairs. A repair point need not be staffed continuously.\n\nRepresentative car/area  means a car/area that shares the relevant characteristics as the car(s)/area(s) it represents ( i.e.,  same signage/marking layout, and charging light system for passive systems or light fixtures and power system for electrically powered systems).\n\nRollover strength  means the strength provided to protect the structural integrity of a rail vehicle in the event the vehicle leaves the track and impacts the ground on its side or roof.\n\nSafety appliance  means an appliance, required under 49 U.S.C. ch. 203, excluding power brakes. The term includes automatic couplers, handbrakes, crew steps, handholds, handrails, or ladder treads made of steel or a material of equal or greater mechanical strength used by the traveling public or railroad employees that provides a means for safe coupling, uncoupling, or ascending or descending passenger equipment.\n\nSafety-critical  means a component, system, software, or task that, if not available, defective, not functioning, not functioning correctly, not performed, or not performed correctly, increases the risk of damage to railroad equipment or injury to a passenger, railroad employee, or other person.\n\nSearch, valid  means a continuous inspection for internal rail defects where the equipment performs as intended and equipment responses are interpreted by a qualified individual as defined in subpart C.\n\nSemi-permanently coupled  means coupled by means of a drawbar or other coupling mechanism that requires tools to perform the coupling or uncoupling operation. Coupling and uncoupling of each semi-permanently coupled unit in a trainset can be performed safely only while at a trainset maintenance facility where personnel can safely get under a unit or between units, or other location under the protections of subpart B of part 218 of this chapter.\n\nSide sill  means that portion of the underframe or side at the bottom of the rail vehicle side wall.\n\nShinkansen, Tokaido  means the high-speed rail system operated by the Central Japan Railway Company between Tokyo and Shin-Osaka, Japan, that is fully dedicated and grade separated.\n\nSlab track  means railroad track structure in which the rails are attached to and supported by a bed or slab, usually of concrete (or asphalt), which acts to transfer the load and provide track stability.\n\nSpall, glazing  means small pieces of glazing that fly off the back surface of the glazing when an object strikes the front surface.\n\nSpeed, maximum approved  means the maximum trainset speed approved by FRA based upon the qualification tests conducted under \u00a7 299.609(g).\n\nSpeed, maximum authorized  means the speed at which trainsets are permitted to travel safely, as determined by all operating conditions and signal indications.\n\nSpeed, maximum safe operating  means the highest speed at which trainset braking may occur without thermal damage to the discs.\n\nStation platform attendant  means a qualified individual positioned on the station platform in close proximity to the train protection switches while a trainset is approaching and departing a station, and is responsible for coordination with an on-board attendant to assure safety during passenger boarding and alighting within a station.\n\nSuperelevation  means the actual elevation of the outside rail above the inside rail.\n\nSweeper vehicle  means a rail vehicle whose function is to detect obstacles within the static construction gauge prior to the start of daily revenue service.\n\nTight track  means CWR which is in a considerable amount of compression.\n\nTrack acceleration measurement system (TAMS)  means an on-track, vehicle-borne technology used to measure lateral and vertical carbody accelerations.\n\nTrack geometry measurement system (TGMS)  means an on-track, vehicle-borne technology used to measure track surface, twist, crosslevel, alignment, and gauge.\n\nTrack lateral resistance  means the resistance provided to the rail/crosstie structure against lateral displacement.\n\nTrack longitudinal resistance  means the resistance provided by the rail anchors/rail fasteners and the ballast section to the rail/crosstie structure against longitudinal displacement.\n\nTrack, non-ballasted  means a track structure not supported by ballast in which the rails are directly supported by concrete or steel structures. Non-ballasted track can include slab track and track structures where the rails are directly fixed to steel bridges or to servicing pits within trainset maintenance facilities.\n\nTrain  means a trainset, or locomotive or locomotive units coupled with or without cars.\n\nTrain-induced forces  means the vertical, longitudinal, and lateral dynamic forces which are generated during train movement and which can contribute to the buckling potential of the rail.\n\nTrain protection switch  means a safety device located on station platforms and on safe walkways along the right-of-way. The train protection switch is tied directly into the ATC system and is used in the event that trainsets in the immediate area must be stopped.\n\nTrainset  means a passenger train including the cab cars and intermediate cars that are semi-permanently coupled to operate as a single consist. The individual units of a trainset are uncoupled only for emergencies or maintenance conducted in repair facilities.\n\nTrainset maintenance facility  means a location equipped with the special tools, equipment, and qualified individuals capable of conducting pre-service inspections and regular inspections on the trainsets in accordance with the railroad's inspection, testing, and maintenance program. Trainset maintenance facilities are also considered repair points.\n\nTransponder  means a wayside component of the ATC system used to provide trainset position correction on the mainline or to provide an overlay of overrun protection within a trainset maintenance facility.\n\nUnderframe  means the lower horizontal support structure of a rail vehicle.\n\nUnit, trainset  means a cab car or intermediate car of a trainset.\n\nVestibule  means an area of a passenger car that normally does not contain seating, is located adjacent to a side exit door, and is used in passing from a seating area to a side exit door.\n\nYard  means a system of tracks within defined limits and outside of the territory controlled by signals, which can be used for the making up of non-passenger trains or the storing of maintenance-of-way equipment.\n\nYield strength  means the ability of a structural member to resist a change in length caused by an applied load. Exceeding the yield strength will cause permanent deformation of the member."], ["49:49:4.1.1.1.55.1.138.4", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.7 Responsibility for compliance.", "FRA", "", "", "", "(a) The railroad shall not\u2014\n\n(1) Use, haul, or permit to be used or hauled on its line(s) any trainset\u2014\n\n(i) With one or more defects not in compliance with this part; or\n\n(ii) That has not been inspected and tested as required by a provision of this part.\n\n(2) Operate over any track, except as provided in paragraph (e) of this section, with one or more conditions not in compliance this part, if the railroad has actual knowledge of the facts giving rise to the violation, or a reasonable person acting in the circumstances and exercising reasonable care would have that knowledge.\n\n(3) Violate any other provision of this part or any provision of the applicable FRA regulations listed under \u00a7 299.3(c).\n\n(b) For purposes of this rule, a trainset shall be considered in use prior to the trainset's departure as soon as it has received, or should have received the inspection required under this part for movement and is ready for service.\n\n(c) Although many of the requirements of this part are stated in terms of the duties of the railroad, when any person (including, but not limited to, a contractor performing safety-related tasks under contract to the railroad subject to this part) performs any function required by this part, that person (whether or not the railroad) is required to perform that function in accordance with this part.\n\n(d) For purposes of this part, the railroad shall be responsible for compliance with all track safety provisions set forth in subpart C of this part. When the railroad and/or its assignee have actual knowledge of the facts giving rise to a violation, or a reasonable person acting in the circumstances and exercising reasonable care would have knowledge that the track does not comply with the requirements of this part, it shall\u2014\n\n(1) Bring the track into compliance;\n\n(2) Halt operations over that track; or\n\n(3) Continue operations over the segment of non-complying track in accordance with the provisions of \u00a7 299.309(b) or (c).\n\n(e) The FRA Administrator may hold the railroad, the railroad's contractor, or both responsible for compliance with the requirements of this part and subject to civil penalties."], ["49:49:4.1.1.1.55.1.138.5", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.9 Notifications and filings.", "FRA", "", "", "", "All notifications and filings to the FRA required by this part shall be submitted to the Associate Administrator for Railroad Safety and Chief Safety Officer, 1200 New Jersey Avenue SE, Washington, DC 20590, unless otherwise specified."], ["49:49:4.1.1.1.55.1.138.6", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.11 Electronic recordkeeping.", "FRA", "", "", "", "The railroad's electronic recordkeeping shall be retained such that\u2014\n\n(a) The railroad maintains an information technology security program adequate to ensure the integrity of the electronic data storage system, including the prevention of unauthorized access to the program logic or individual records;\n\n(b) The program and data storage system must be protected by a security system that utilizes an employee identification number and password, or a comparable method, to establish appropriate levels of program access meeting all of the following standards:\n\n(1) No two individuals have the same electronic identity; and\n\n(2) A record cannot be deleted or altered by any individual after the record is certified by the employee who created the record.\n\n(c) Any amendment to a record is either\u2014\n\n(1) Electronically stored apart from the record that it amends; or\n\n(2) Electronically attached to the record as information without changing the original record;\n\n(d) Each amendment to a record uniquely identifies the person making the amendment;\n\n(e) The system employed by the railroad for data storage permits reasonable access and retrieval; and\n\n(f) Information retrieved from the system can be easily produced in a printed format which can be readily provided to FRA representatives in a timely manner and authenticated by a designated representative of the railroad as a true and accurate copy of the railroad's records if requested to do so by FRA representatives."], ["49:49:4.1.1.1.55.1.138.7", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.13 System description.", "FRA", "", "", "", "(a)  General.  This section describes the components, operations, equipment, and systems of the railroad's high-speed rail system. The railroad shall adhere to the following general requirements:\n\n(1) The railroad shall not exceed the maximum trainset speed approved by FRA under \u00a7 299.609(g) while in revenue service, up to a maximum speed of 330 km/h (205 mph).\n\n(2) The railroad shall not transport or permit to be transported in revenue service any product that has been established to be a hazardous material pursuant to 49 CFR part 172, as amended.\n\n(3) The railroad shall not conduct scheduled right-of-way maintenance on a section of the right-of-way prior to that section of the right-of-way being cleared of all revenue service trainsets (including any trainset repositioning moves), and proper action is taken by the general control center staff to protect incursion into established maintenance zones by revenue trainsets. Additionally, the railroad shall not commence revenue service prior to completion of the maintenance activities, that section of the right-of-way being cleared of all maintenance-of-way equipment. Further, the railroad is prohibited from commencing revenue operations until after conclusion of the daily sweeper inspection, under \u00a7 299.339, and the general control center returning the signal and trainset control system to the state required to protect revenue operations.\n\n(b)  Right-of-way.  (1) The railroad shall operate on a completely dedicated right-of-way and shall not operate or conduct joint operations with any other freight equipment, other than the railroad's maintenance-of-way equipment, or passenger rail equipment. Only the railroad's high-speed trainsets approved for revenue operations under this part, and any equipment required for construction, maintenance, and rescue purposes may be operated over the railroad's right-of-way.\n\n(2) There shall be no public highway-rail grade crossings. Animal and non-railroad equipment crossings shall be accomplished by means of an underpass or overpass. Private at-grade crossings shall be for the exclusive use by the railroad and shall be limited to track Classes H0 and H1.\n\n(3) The railroad shall develop and comply with a right-of-way barrier plan. The right-of-way barrier plan shall be maintained at the system headquarters and will be made available to FRA upon request. At a minimum, the plan will contain provisions in areas of demonstrated need for the prevention of\u2014\n\n(i) Vandalism;\n\n(ii) Launching of objects from overhead bridges or structures onto the path of trainsets;\n\n(iii) Intrusion of vehicles from adjacent rights-of-way; and\n\n(iv) Unauthorized access to the right-of-way.\n\n(4) The entire perimeter of the system's right-of-way, except for elevated structures such as bridges and viaducts, shall be permanently fenced. Elevated structures shall be equipped with walkways and safety railing.\n\n(5) The railroad shall install intrusion detectors in accordance with the requirements set forth in subpart B of this part.\n\n(6) The railroad shall install rain, flood, and wind detectors in locations identified by the railroad, based on relevant criteria used by JRC to provide adequate warning of when operational restrictions are required due to adverse weather conditions. Operating restrictions shall be defined in the railroad's operating rules.\n\n(7) Access to the right-of-way for maintenance-of-way staff shall be provided on both sides of the right-of-way in accordance with the inspection, testing, and maintenance program. This access shall be protected against entry by unauthorized persons.\n\n(8) Provisions shall be made to permit emergency personnel to access the right-of-way in accordance with the Emergency Preparedness Plan pursuant to part 239 of this chapter. This access shall be protected against entry by unauthorized persons.\n\n(9) Throughout the length of the right-of-way, the railroad shall install walkways located at a safe distance from the tracks at a minimum distance of 2.0 m (6.56 feet) from the field side of the outside rail for a design speed of 330 km/h (205 mph). The walkways shall be used primarily for track and right-of-way inspection, but may be used for emergency evacuation or rescue access.\n\n(10) Access to the right-of-way by maintenance-of-way personnel shall not be allowed during revenue operations unless the access is outside the minimum safe distance defined in \u00a7 299.13(b)(9). In the event of unscheduled maintenance or repair, emergency access will be provided under specific circumstances allowed under the railroad's operating rules and the inspection, testing, and maintenance program.\n\n(11) The railroad shall record all difficulties and special situations regarding geology, hydrology, settlement, landslide, concrete, and quality criteria that arise during construction of the right-of-way. After construction, the railroad shall monitor the stability and quality standards of structures such as bridges, viaducts, and earth structures.\n\n(12) The railroad shall make available for review by the FRA the track layout drawings which show, at a minimum, the following information:\n\n(i) Length of straight sections, spirals and curves, curve radius, superelevation, superelevation variations, gradients, and vertical curve radii;\n\n(ii) Turnouts and crossover location, technology, and geometry;\n\n(iii) Maximum operating speed and allowable cant deficiencies;\n\n(iv) Signal boxes, Go/No-Go signals, and communication devices;\n\n(v) Details and arrangement of track circuitry;\n\n(vi) Power feeding equipment including sectionalization, and return routing;\n\n(vii) Location of accesses to the right-of-way; and\n\n(viii) The railroad shall also submit the specifications for the track layout, permissible track forces, components such as rail, ballast, ties, rail fasteners, and switches.\n\n(13) Protection devices shall be installed on all highway bridge overpasses in accordance with the right-of-way plan in paragraph (b)(3) of this section.\n\n(14) There shall be no movable bridges in the railroad's system. Stationary rail bridges located over highways or navigable waterways shall have their foundations, piers, or other support structure appropriately protected against the impact of road vehicles or water-borne vessels.\n\n(15) Train protection switches shall be installed at regular intervals on both sides of the right-of-way at intervals defined by the railroad and at intervals not to exceed 60 m (197 feet) on platforms within stations. These devices shall act directly on the ATC system.\n\n(16) The railroad shall use the design wheel and rail profiles, service-proven on the Tokaido Shinkansen system, or alternate wheel and rail profiles approved by FRA.\n\n(c)  Railroad system safety \u2014(1)  Inspection, testing, and maintenance procedures and criteria.  The railroad shall develop, implement, and use a system of inspection, testing, maintenance procedures and criteria, under subpart G of this part, which are initially based on the Tokaido Shinkansen system service-proven procedures and criteria, to ensure the integrity and safe operation of the railroad's rolling stock, infrastructure, and signal and trainset control system. The railroad may, subject to FRA review and approval, implement inspection, testing, maintenance procedures and criteria, incorporating new or emerging technology, under \u00a7 299.713(c)(4).\n\n(2)  Operating practices.  The railroad shall develop, implement, and use operating rules, which meet the standards set forth in subpart E of this part and which are based on practices and procedures proven on the Tokaido Shinkansen system to ensure the integrity and safe operation of the railroad's system. The railroad shall have station platform attendants on the platform in close proximity to the train protection switches required by paragraph (b)(15) of this section, while trainsets are approaching and departing the station. The railroad's operating rules shall require coordination between on-board crew and station platform attendants to assure safety during passenger boarding and alighting from trainsets at stations.\n\n(3)  Personnel qualification requirements.  The railroad shall develop, implement, and use a training and testing program, which meets the requirements set forth in this part and part 243 of this chapter, to ensure that all personnel, including railroad employees and employees of railroad contractors, possess the skills and knowledge necessary to effectively perform their duties.\n\n(4)  System qualification tests.  The railroad shall develop, implement, and use a series of operational and design tests, which meet the standards set forth in subpart F of this part, to demonstrate the safe operation of system components, and the system as a whole.\n\n(d)  Track and infrastructure.  (1) The railroad shall construct its track and infrastructure to meet all material and operational design criteria, within normal acceptable construction tolerances, and to meet the requirements set forth in subpart C of this part.\n\n(2) The railroad shall operate on nominal standard gauge, 1,435 mm (56.5 inches), track.\n\n(3) The railroad shall install and operate on double track throughout the mainlines, with a minimum nominal distance between track centerlines of 4 m (13.1 feet) for operating speeds up to 170 km/h (106 mph) (track Classes up to H4) and 4.2 m (13.8 feet) for operating speeds greater than 170 km/h (106 mph) (track Classes H5 and above). Generally, each track will be used for a single direction of traffic, and trainset will not overtake each other on mainline tracks (except at non-terminal station locations). The railroad may install crossover connections between the double track at each station, and at regular intervals along the line to permit flexibility in trainset operations, maintenance, and emergency rescue.\n\n(4) The railroad's main track (track Classes H4 and above) shall consist of continuous welded rail. Once installed, the rail shall be field-welded to form one continuous track segment except rail expansion joints and where glued-insulated joints are necessary for signaling purposes. The rail shall be JIS E 1101 60 kg rail, as specified in JIS E 1101:2001(E) as amended by JIS E 1101:2006(E), and JIS E 1101:2012(E) (all incorporated by reference, see \u00a7 299.17).\n\n(5) In yards and maintenance facilities, where operations will be at lower speeds, the railroad shall install either JIS E 1101 50kgN rail or JIS E 1101 60 kg rail as specified in JIS E 1101:2001(E) as amended by JIS E 1101:2006(E), and JIS E 1101:2012(E) (all incorporated by reference, see \u00a7 299.17).\n\n(6) The railroad shall use either ballasted or non-ballasted track to support the track structure, as appropriate for the intended high-speed system.\n\n(i) Except as noted in paragraph (c)(6)(ii) of this section, for ballasted mainline track structure, the railroad shall install pre-stressed concrete ties.\n\n(ii) For special track work such as turnouts and expansion joints, and at transitions to bridges, and for non-ballasted track, the railroad shall install either pre-stressed, composite ties, or use direct fixation. Detailed requirements are included in subpart C of this part.\n\n(7) Turnouts, expansion joints and glued-insulated joints shall be of the proven design as used on the Tokaido Shinkansen system.\n\n(8) The trainsets and stations shall be designed to permit level platform boarding for passengers and crew at all side entrance doors. Provisions for high level boarding shall be made at all locations in trainset maintenance facilities where crew and maintenance personnel are normally required to access or disembark trainsets.\n\n(e)  Signal and trainset control systems.  (1) The railroad's signal and trainset control systems, shall be based upon the service-proven system utilized on the Tokaido Shinkansen system and shall include an automatic train control (ATC) system, interlocking equipment, and wayside equipment, including: track circuits, transponders, and Go/No-Go signals in stations and trainset maintenance facilities.\n\n(2) The railroad's signaling system shall extend beyond the mainline into trainset maintenance facilities and be designed to prevent collisions at all speeds.\n\n(3) The ATC system shall be designed with a redundant architecture utilizing an intrinsic fail-safe design concept.\n\n(4) The trainset braking curves shall be determined by the on-board equipment based on the ATC signal from the ground facility and on-board database that includes the alignment and rolling stock performance data. The on-board equipment shall generate the braking command based upon the trainset location, speed, and braking curves.\n\n(5) The ATC on-board equipment shall have three modes: mainline, shunting, and cut-out.\n\n(i) Mainline mode shall be used for operations on mainlines and for entering into the trainset maintenance facilities. The mainline mode of ATC on-board equipment shall provide the following functions:\n\n(A) Prevent train-to-train collisions; and\n\n(B) Prevent overspeed derailments.\n\n(ii) Shunting mode shall be used to protect movements within trainset maintenance facilities and for emergency operations as required by the operating rules. When operating in shunting mode, the trainset shall be restricted to a maximum speed of 30 km/h.\n\n(iii) Cut-out mode shall be used for emergency operations and/or in the event of an ATC system failure as required by the operating rules.\n\n(6) Interlocking equipment shall prevent the movement of trainsets through a switch in an improper position and command switch-and-lock movements on mainlines and within trainset maintenance facilities.\n\n(7) Track circuits shall be used to provide broken rail detection.\n\n(8) Overrun protection coils shall be used at mainline turnouts, crossovers within stations and trainset maintenance facilities to prevent unauthorized route access.\n\n(9) Transponders shall be used on the mainline to provide trainset position correction. Transponders may be used to provide an overlay of overrun protection within a trainset maintenance facility.\n\n(10) Go/No-Go signals shall be used in stations for shunting and emergency operations and in trainset maintenance facilities to provide trainset movement authority.\n\n(11) The railroad shall include an intrusion detection system as required by paragraph (b)(3) and (5) of this section that shall interface with the ATC system and have the capability to stop the trainset under specified intrusion scenarios.\n\n(f)  Communications.  (1) The railroad shall install a dedicated communication system along the right-of-way to transmit data, telephone, and/or radio communications that is completely isolated and independent of the signal and trainset control system. To ensure transmission reliability, the system shall include back-up transmission routes.\n\n(2) For trainset operation and maintenance, the railroad shall install\u2014\n\n(i) A portable radio system for maintenance and service use; and\n\n(ii) A trainset radio, which shall facilitate communication between each trainset and the general control center.\n\n(g)  Rolling stock.  (1) The railroad's rolling stock shall be designed, operated, and maintained in accordance with the requirements set forth in subparts D, E, and G of this part.\n\n(2) The railroad shall utilize bi-directional, fixed-consist, electric multiple unit (EMU), high-speed trainsets based on the N700.\n\n(3) Each trainset shall be equipped with wheel slide control.\n\n(4) Each trainset shall be equipped with two electrically connected pantographs. The position of the pantographs (up or down) shall be displayed in the driver's cab.\n\n(5) The driver's cab shall be a full width and dedicated cab and shall be arranged to enhance safety of operation, range of vision, visibility and readability of controls and indicators, accessibility of controls, and climate control.\n\n(6) The railroad's passenger equipment brake system shall be based on the N700's design and shall meet the following standards:\n\n(i) Each trainset shall be equipped with an electronically controlled brake system that shall ensure that each unit in the trainset responds independently to a brake command. The brake command shall be transmitted through the on-board internal trainset control network, as well as through the trainline for redundancy.\n\n(A) Motorized cars shall be equipped with regenerative and electronically controlled pneumatic brakes. The system shall be designed to maximize the use of regenerative brakes.\n\n(B) Non-motorized cars shall be equipped with electronically controlled pneumatic brakes.\n\n(C) The friction brakes on each bogie shall be cheek mounted disc brakes.\n\n(D) Each car shall be equipped with an electronic and pneumatic brake control unit and a main reservoir. The system shall be designed that in the event of a failure of an electronic control unit in a car, brake control shall be provided by the electronic control unit on the adjacent car. Each car in the trainset shall be equipped with a backup wheel slide protection controller that will provide wheel slide protection in the event of a wheel slide protection controller failure.\n\n(ii) The braking system shall be designed with the following brake controls: Service, emergency, urgent, and rescue brake.\n\n(iii) The service and emergency brake shall be applied automatically by ATC or manually by the driver.\n\n(iv) The urgent brake control shall be independent of the service and emergency brake control and shall be automatically applied if the trainset is parted. Application of the urgent brake shall produce an irretrievable stop. The urgent brake force shall be designed to vary according to speed in order to minimize the braking distance and avoid excessive demand of adhesion at higher speeds.\n\n(v) A disabled trainset shall be capable of having its brake system controlled electronically by a rescue trainset.\n\n(vi) Independent of the driver's brake handle in the cab, each trainset shall be equipped with two urgent brake switches in each cab car, accessible only to the crew; located adjacent to the door control station and that can initiate an urgent brake application. If door control stations are provided in intermediate cars that are accessible only to crew members, then the urgent brake switches must also be included adjacent to the door control stations.\n\n(vii) The railroad shall establish a maximum safe operating speed to address brake failures that occur in revenue service as required by \u00a7 299.409(f)(4). In the event of any friction brake failure on a trainset, the speed shall be limited by ATC on-board equipment in accordance with the brake failure switch position selected by the driver and as required by \u00a7 299.447."], ["49:49:4.1.1.1.55.1.138.8", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.15 Special approvals.", "FRA", "", "", "", "(a)  General.  The following procedures govern consideration and action upon requests for special approval of alternative standards to this part.\n\n(b)  Petitions for special approval of alternative standard.  Each petition for special approval of an alternative standard shall contain\u2014\n\n(1) The name, title, address, and telephone number of the primary person to be contacted with regard to review of the petition;\n\n(2) The alternative proposed, in detail, to be substituted for the particular requirements of this part; and\n\n(3) Appropriate data or analysis, or both, establishing that the alternative will provide at least an equivalent level of safety.\n\n(c)  Petitions for special approval of alternative compliance.  Each petition for special approval of alternative compliance shall contain\u2014\n\n(1) The name, title, address, and telephone number of the primary person to be contacted with regard to the petition;\n\n(2) High-speed core systems and system components of special design shall be deemed to comply with this part, if the FRA Associate Administrator determines under paragraph (d) of this section that the core system or system components provide at least an equivalent level of safety in the environment defined within \u00a7 299.13 with respect to the protection of railroad employees and the public. In making a determination under paragraph (d) of this section the Associate Administrator shall consider, as a whole, all of those elements of casualty prevention or mitigation relevant to the integrity of the core system or components that are addressed by the requirements of this part.\n\n(d)  Petition contents.  The Associate Administrator may only make a finding of equivalent safety and compliance with this part, based upon a submission of data and analysis sufficient to support that determination. The petition shall include\u2014\n\n(1) The information required by \u00a7 299.15(b) or (c), as appropriate; Information, including detailed drawings and materials specifications, sufficient to describe the actual construction and function of the core systems or system components of special design;\n\n(2) A quantitative risk assessment, incorporating the design information and engineering analysis described in this paragraph, demonstrating that the core systems or system components, as utilized in the service environment defined in \u00a7 299.13, presents no greater hazard of serious personal injury than existing core system or system components that conform to the specific requirements of this part.\n\n(e)  Federal Register  notice.  FRA will publish a notice in the  Federal Register  concerning each petition under paragraphs (b) and (c) of this section.\n\n(f)  Comment.  Not later than 30 days from the date of publication of the notice in the  Federal Register  concerning a petition under paragraphs (b) and (c) of this section, any person may comment on the petition.\n\n(1) Each comment shall set forth specifically the basis upon which it is made, and contain a concise statement of the interest of the commenter in the proceeding.\n\n(2) Each comment shall be submitted to the U.S. Department of Transportation, Docket Operations (M-30), West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE, Washington, DC 20590, and shall contain the assigned docket number for that proceeding. The form of such submission may be in written or electronic form consistent with the standards and requirements established by the Federal Docket Management System and posted on its website at  http://www.regulations.gov.\n\n(g)  Disposition of petitions.  (1) FRA will conduct a hearing on a petition in accordance with the procedures provided in \u00a7 211.25 of this chapter.\n\n(2) If FRA finds that the petition complies with the requirements of this section or that the proposed plan is acceptable the petition will be granted, normally within 90 days of its receipt. If the petition is neither granted nor denied within 90 days, the petition remains pending for decision. FRA may attach special conditions to the approval of the petition. Following the approval of a petition, FRA may reopen consideration of the petition for cause stated.\n\n(3) If FRA finds that the petition does not comply with the requirements of this section, or that the proposed plan is not acceptable or that the proposed changes are not justified, or both, the petition will be denied, normally within 90 days of its receipt.\n\n(4) When FRA grants or denies a petition, or reopens consideration of the petition, written notice is sent to the petitioner and other interested parties."], ["49:49:4.1.1.1.55.1.138.9", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "A", "Subpart A\u2014General Requirements", "", "\u00a7 299.17 Incorporation by reference.", "FRA", "", "", "", "Certain material is incorporated by reference into this part with the approval of the Director of the Federal Register under 5 U.S.C. 552(a) and 1 CFR part 51. All approved material is available for inspection at Federal Railroad Administration, Docket Clerk, 1200 New Jersey Avenue SE, Washington, DC 20590 (telephone: 202-493-6052); email:  FRALegal@dot.gov  and is available from the sources indicated in this section. It is also available for inspection at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, email  fedreg.legal@nara.gov  or go to www.archives.gov/federal-register/cfr/ibr-locations.html.\n\n(a) ASTM International, 100 Barr Harbor Drive, PO Box C700, West Conshohocken, PA 19428-2959,  www.astm.org.\n\n(1) ASTM D 4956-07 \u03b5 \n 1 , Standard Specification for Retroreflective Sheeting for Traffic Control, approved March 15, 2007; into \u00a7 299.423.\n\n(2) ASTM E 810-03, Standard Test Method for Coefficient of Retroreflection of Retroreflective Sheeting Utilizing the Coplanar Geometry, approved February 10, 2003; into \u00a7 299.423.\n\n(3) ASTM E 2073-07, Standard Test Method for Photopic Luminance of Photoluminescent (Phosphorescent) Markings, approved July 1, 2007; into \u00a7 299.423.\n\n(b) Japanese Standards Association 3-13-12 Mita, Minato-ku, Tokyo, 108-0073, Japan,  www.jsa.or.jp  (Japanese site), or  www.jsa.or.jp/en  (English site).\n\n(1) JIS B 8265:2010(E) \u201cConstruction of pressure vessels-general principles,\u201d Published December 27, 2010, Second English edition, published December 2013; into \u00a7 299.409.\n\n(2) JIS E 1101:2001(E), \u201cFlat bottom railway rails and special rails for switches and crossings of non-treated steel,\u201d Published March 21, 2001, Second English edition, published August 2008; into \u00a7 299.13(d).\n\n(3) JIS E 1101:2006(E) \u201cFlat bottom railway rails and special rails for switches and crossings of non-treated steel,\u201d (Amendment 1), Published March 27, 2006, First English edition, published December 2006; into \u00a7 299.13(d).\n\n(4) JIS E 1101:2012(E) \u201cFlat bottom railway rails and special rails for switches and crossings of non-treated steel,\u201d (Amendment 2), Published February 20, 2012, First English edition, May 2012; into \u00a7 299.13(d).\n\n(5) JIS E 7105:2006(E), \u201cRolling Stock\u2014Test methods of static load for body structures,\u201d Published February 6, 2006, First English edition published May 2010; into \u00a7 299.403(b).\n\n(6) JIS E 7105:2011(E), \u201cRolling Stock\u2014Test methods of static load for body structures,\u201d (Amendment 1) Published September 7, 2011, First English edition, published December 2011; into \u00a7 299.403(b)."], ["49:49:4.1.1.1.55.2.138.1", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.201 Technical PTC system requirements.", "FRA", "", "", "", "(a) The railroad shall comply with all applicable requirements under 49 U.S.C. 20157, including, but not limited to, the statutory requirement to fully implement an FRA-certified PTC system prior to commencing revenue service.\n\n(b) The railroad's PTC system shall be designed to prevent train-to-train collisions, over-speed derailments, incursions into established work zone limits, and movements of trainset through switches left in the wrong position, reliably and functionally, in accordance with \u00a7 236.1005(a) and (c) through (f) of this chapter.\n\n(c) The railroad is authorized to conduct field testing of its PTC system on its system, prior to obtaining PTC System Certification from FRA, in accordance with its system-wide qualification test plan under \u00a7 299.603. During any field testing of its uncertified PTC system and regression testing of its FRA-certified PTC system, FRA may oversee the railroad's testing, audit any applicable test plans and procedures, and impose additional testing conditions that FRA believes may be necessary for the safety of trainset operations.\n\n(d) The railroad is not exempted from compliance with any requirement of subparts A through G of 49 CFR part 236, or 49 CFR parts 233 and 235, unless the railroad's FRA-approved PTCSP provides for such an exemption.\n\n(e)(1) All materials filed in accordance with this subpart must be in the English language, or have been translated into English and attested as true and correct.\n\n(2) Each filing referenced in this subpart may include a request for full or partial confidentiality in accordance with \u00a7 209.11 of this chapter. If confidentiality is requested as to a portion of any applicable document, then in addition to the filing requirements under \u00a7 209.11 of this chapter, the person filing the document shall also file a copy of the original unredacted document, marked to indicate which portions are redacted in the document's confidential version without obscuring the original document's contents."], ["49:49:4.1.1.1.55.2.138.2", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.203 PTC system required.", "FRA", "", "", "", "The railroad shall not commence revenue service prior to installing and making operative its FRA-certified PTC system."], ["49:49:4.1.1.1.55.2.138.3", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.205 PTC System Certification.", "FRA", "", "", "", "(a) Prior to operating its PTC system in revenue service, the railroad must first obtain a PTC System Certification from FRA by submitting an acceptable PTCSP and obtaining FRA's approval of its PTCSP.\n\n(b) Each PTCSP requirement under this subpart shall be supported by information and analysis sufficient to establish that the PTC system meets the requirements of \u00a7 236.1005(a) and (c) through (f) of this chapter.\n\n(c) If the Associate Administrator finds that the PTCSP and its supporting documentation support a finding that the PTC system complies with \u00a7 236.1005(a) and (c) through (f) of this chapter and \u00a7 299.211, the Associate Administrator shall approve the PTCSP. If the Associate Administrator approves the PTCSP, the railroad shall receive PTC System Certification for its PTC system and shall implement the PTC system according to the PTCSP.\n\n(d) Issuance of a PTC System Certification is contingent upon FRA's confidence in the implementation and operation of the subject PTC system. This confidence may be based on FRA-monitored field testing or an independent assessment performed in accordance with \u00a7 236.1017 of this chapter.\n\n(e)(1) As necessary to ensure safety, FRA may attach special conditions to its certification of the railroad's PTC System.\n\n(2) After granting a PTC System Certification, FRA may reconsider the PTC System Certification upon revelation of any of the following factors concerning the contents of the PTCSP:\n\n(i) Potential error or fraud;\n\n(ii) Potentially invalidated assumptions determined as a result of in-service experience or one or more unsafe events calling into question the safety analysis supporting the approval.\n\n(3) During FRA's reconsideration in accordance with this paragraph, the PTC system may remain in use if otherwise consistent with the applicable law and regulations, and FRA may impose special conditions for use of the PTC system.\n\n(4) After FRA's reconsideration in accordance with this paragraph, FRA may:\n\n(i) Dismiss its reconsideration and continue to recognize the existing PTC System Certification;\n\n(ii) Allow continued operations under such conditions the Associate Administrator deems necessary to ensure safety; or\n\n(iii) Revoke the PTC System Certification and direct the railroad to cease operations.\n\n(f) FRA shall be afforded reasonable access to monitor, test, and inspect processes, procedures, facilities, documents, records, design and testing materials, artifacts, training materials and programs, and any other information used in the design, development, manufacture, test, implementation, and operation of the system, as well as interview any personnel.\n\n(g) Information that has been certified under the auspices of a foreign regulatory entity recognized by the Associate Administrator may, at the Associate Administrator's sole discretion, be accepted as independently verified and validated and used to support the railroad's PTCSP.\n\n(h) The railroad shall file its PTCSP in FRA's Secure Information Repository at  https://sir.fra.dot.gov,  consistent with \u00a7 299.201(e)."], ["49:49:4.1.1.1.55.2.138.4", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.207 PTC Safety Plan content requirements.", "FRA", "", "", "", "(a) The railroad's PTCSP shall contain the following elements:\n\n(1) A hazard log consisting of a comprehensive description of all safety-relevant hazards of the PTC system, specific to implementation on the railroad, including maximum threshold limits for each hazard (for unidentified hazards, the threshold shall be exceeded at one occurrence);\n\n(2) A description of the safety assurance concepts that are to be used for system development, including an explanation of the design principles and assumptions;\n\n(3) A risk assessment of the as-built PTC system;\n\n(4) A hazard mitigation analysis, including a complete and comprehensive description of each hazard and the mitigation techniques used;\n\n(5) A complete description of the safety assessment and Verification and Validation processes applied to the PTC system, their results, and whether these processes address the safety principles described in appendix C to part 236 of this chapter directly, using other safety criteria, or not at all;\n\n(6) A complete description of the railroad's training plan for railroad, and contractor employees and supervisors necessary to ensure safe and proper installation, implementation, operation, maintenance, repair, inspection, testing, and modification of the PTC system;\n\n(7) A complete description of the specific procedures and test equipment necessary to ensure the safe and proper installation, implementation, operation, maintenance, repair, inspection, testing, and modification of the PTC system on the railroad and establish safety-critical hazards are appropriately mitigated. These procedures, including calibration requirements, shall be consistent with or explain deviations from the equipment manufacturer's recommendations;\n\n(8) A complete description of the configuration or revision control measures designed to ensure that the railroad or its contractor does not adversely affect the safety-functional requirements and that safety-critical hazard mitigation processes are not compromised as a result of any such change;\n\n(9) A complete description of all initial implementation testing procedures necessary to establish that safety-functional requirements are met and safety-critical hazards are appropriately mitigated;\n\n(10) A complete description of all post-implementation testing (validation) and monitoring procedures, including the intervals necessary to establish that safety-functional requirements, safety-critical hazard mitigation processes, and safety-critical tolerances are not compromised over time, through use, or after maintenance (adjustment, repair, or replacement) is performed;\n\n(11) A complete description of each record necessary to ensure the safety of the system that is associated with periodic maintenance, inspections, tests, adjustments, repairs, or replacements, and the system's resulting conditions, including records of component failures resulting in safety-relevant hazards ( see  \u00a7 299.213);\n\n(12) A safety analysis to determine whether, when the system is in operation, any risk remains of an unintended incursion into a roadway work zone due to human error. If the analysis reveals any such risk, the PTCSP shall describe how that risk will be mitigated;\n\n(13) A complete description of how the PTC system will enforce authorities and signal indications;\n\n(14) A complete description of how the PTC system will appropriately and timely enforce all integrated hazard detectors in accordance with \u00a7 236.1005 of this chapter;\n\n(15) The documents and information required under \u00a7 299.211;\n\n(16) A summary of the process for the product supplier or vendor to promptly and thoroughly report any safety-relevant failures or previously unidentified hazards to the railroad, including when another user of the product experiences a safety-relevant failure or discovers a previously unidentified hazard;\n\n(17) Documentation establishing\u2014by design, data, or other analysis\u2014that the PTC system meets the fail-safe operation criteria under paragraph (b)(4)(v) of appendix C to part 236 of this chapter; and,\n\n(18) An analysis establishing that the PTC system will be operated at a level of safety comparable to that achieved over the 5-year period prior to the submission of the railroad's PTCSP by other train control systems that perform PTC functions, and which have been utilized on high-speed rail systems with similar technical and operational characteristics in the United States or in foreign service.\n\n(b) As the railroad's PTC system may be considered a standalone system pursuant to \u00a7 236.1015(e)(3) of this chapter, the following requirements apply:\n\n(1) The PTC system shall reliably execute the functions required by \u00a7 236.1005 of this chapter and be demonstrated to do so to FRA's satisfaction; and\n\n(2) The railroad's PTCSP shall establish, with a high degree of confidence, that the system will not introduce any hazards that have not been sufficiently mitigated.\n\n(c) When determining whether the PTCSP fulfills the requirements under this section, the Associate Administrator may consider all available evidence concerning the reliability of the proposed system.\n\n(d) When reviewing the issue of the potential data errors (for example, errors arising from data supplied from other business systems needed to execute the braking algorithm, survey data needed for location determination, or mandatory directives issued through the computer-aided dispatching system), the PTCSP must include a careful identification of each of the risks and a discussion of each applicable mitigation. In an appropriate case, such as a case in which the residual risk after mitigation is substantial, the Associate Administrator may require submission of a quantitative risk assessment addressing these potential errors.\n\n(e) The railroad must comply with the applicable requirements under \u00a7 236.1021 of this chapter prior to modifying a safety-critical element of an FRA-certified PTC system.\n\n(f) If a PTCSP applies to a PTC system designed to replace an existing certified PTC system, the PTCSP will be approved provided that the PTCSP establishes with a high degree of confidence that the new PTC system will provide a level of safety not less than the level of safety provided by the system to be replaced."], ["49:49:4.1.1.1.55.2.138.5", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.209 PTC system use and failures.", "FRA", "", "", "", "(a) When any safety-critical PTC system component fails to perform its intended function, the cause must be determined and the faulty component adjusted, repaired, or replaced without undue delay. Until repair of such essential components is completed, the railroad shall take appropriate action as specified in its PTCSP.\n\n(b) Where a trainset that is operating in, or is to be operated within, a PTC-equipped track segment experiences a PTC system failure or the PTC system is otherwise cut out while en route ( i.e.,  after the trainset has departed its initial terminal), the trainset may only continue in accordance with all of the following:\n\n(1) Except as provided in paragraph (b)(4) of this section, when no absolute block protection is established, the trainset may proceed at a speed not to exceed restricted speed.\n\n(2) When absolute block protection can be established in advance of the trainset, the trainset may proceed at a speed not to exceed 120 km/h (75 mph), and the trainset shall not exceed restricted speed until the absolute block in advance of the trainset is established.\n\n(3) A report of the failure or cut-out must be made to a designated railroad officer of the railroad as soon as safe and practicable.\n\n(4) Where the PTC system is the exclusive method of delivering mandatory directives, an absolute block must be established in advance of the trainset as soon as safe and practicable, and the trainset shall not exceed restricted speed until the absolute block in advance of the trainset is established.\n\n(5) Where the failure or cut-out is a result of a defective onboard PTC apparatus, the trainset may be moved in passenger service only to the next forward location where the necessary repairs can be made; however, if the next forward location where the necessary repairs can be made does not have the facilities to handle the safe unloading of passengers, the trainset may be moved past the repair location in service only to the next forward passenger station in order to facilitate the unloading of passengers. When the passengers have been safely unloaded, the defective trainset shall be moved to the nearest location where the onboard PTC apparatus can be repaired or exchanged.\n\n(c) The railroad shall comply with all provisions in its PTCSP for each PTC system it uses and shall operate within the scope of initial operational assumptions and predefined changes identified.\n\n(d) The normal functioning of any safety-critical PTC system must not be interfered with in testing or otherwise without first taking measures to provide for the safe movement of trainsets that depend on the normal functioning of the system.\n\n(e) The railroad shall comply with the reporting requirements under \u00a7 236.1029(h) of this chapter.\n\n(f) The railroad and the PTC system vendors and/or suppliers must comply with each applicable requirement under \u00a7 236.1023 of this chapter."], ["49:49:4.1.1.1.55.2.138.6", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.211 Communications and security requirements.", "FRA", "", "", "", "(a) All wireless communications between the office, wayside, and onboard components in a PTC system shall provide cryptographic message integrity and authentication.\n\n(b) Cryptographic keys required under this section shall\u2014\n\n(1) Use an algorithm approved by the National Institute of Standards or a similarly recognized and FRA-approved standards body;\n\n(2) Be distributed using manual or automated methods, or a combination of both; and\n\n(3) Be revoked\u2014\n\n(i) If compromised by unauthorized disclosure of the cleartext key; or\n\n(ii) When the key algorithm reaches its lifespan as defined by the standards body responsible for approval of the algorithm.\n\n(c) The cleartext form of the cryptographic keys shall be protected from unauthorized disclosure, modification, or substitution, except during key entry when the cleartext keys and key components may be temporarily displayed to allow visual verification. When encrypted keys or key components are entered, the cryptographically protected cleartext key or key components shall not be displayed.\n\n(d) Access to cleartext keys shall be protected by a tamper-resistant mechanism.\n\n(e) If the railroad elects to also provide cryptographic message confidentiality, it shall:\n\n(1) Comply with the same requirements for message integrity and authentication under this section; and\n\n(2) Only use keys meeting or exceeding the security strength required to protect the data as defined in the railroad's PTCSP.\n\n(f) The railroad, or its vendor or supplier, shall have a prioritized service restoration and mitigation plan for scheduled and unscheduled interruptions of service. This plan shall be made available to FRA upon request, without undue delay, for restoration of communication services that support PTC system services."], ["49:49:4.1.1.1.55.2.138.7", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.213 Records retention.", "FRA", "", "", "", "(a) The railroad shall maintain at a designated office on the railroad\u2014\n\n(1) A current copy of each FRA-approved PTCSP that it holds;\n\n(2) Adequate documentation to demonstrate that the PTCSP meets the safety requirements of this RPA, including the risk assessment;\n\n(3) An Operations and Maintenance Manual, pursuant to \u00a7 299.215; and\n\n(4) Training and testing records pursuant to \u00a7 236.1043(b) of this chapter.\n\n(b) Results of inspections and tests specified in the PTCSP must be recorded pursuant to \u00a7 236.110 of this chapter.\n\n(c) Each contractor providing services relating to the testing, maintenance, or operation of the railroad's PTC system shall maintain at a designated office training records required under \u00a7\u00a7 236.1043(b) of this chapter, and 299.207(a)(6).\n\n(d) After the PTC system is placed in service, the railroad shall maintain a database of all safety-relevant hazards as set forth in its PTCSP and those that had not been previously identified in its PTCSP. If the frequency of the safety-relevant hazards exceeds the threshold set forth in its PTCSP, then the railroad shall\u2014\n\n(1) Report the inconsistency in writing to FRA's Secure Information Repository at  https://sir.fra.dot.gov,  within 15 days of discovery;\n\n(2) Take prompt countermeasures to reduce the frequency of each safety-relevant hazard to below the threshold set forth in its PTCSP; and\n\n(3) Provide a final report when the inconsistency is resolved to FRA's Secure Information Repository at  https://sir.fra.dot.gov,  on the results of the analysis and countermeasures taken to reduce the frequency of the safety-relevant hazard(s) below the threshold set forth in its PTCSP."], ["49:49:4.1.1.1.55.2.138.8", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "B", "Subpart B\u2014Signal and Trainset Control System", "", "\u00a7 299.215 Operations and Maintenance Manual.", "FRA", "", "", "", "(a) The railroad shall catalog and maintain all documents as specified in its PTCSP for the operation, installation, maintenance, repair, modification, inspection, and testing of the PTC system and have them in one Operations and Maintenance Manual, readily available to persons required to perform such tasks and for inspection by FRA and FRA-certified state inspectors.\n\n(b) Plans required for proper maintenance, repair, inspection, and testing of safety-critical PTC systems must be adequate in detail and must be made available for inspection by FRA and FRA-certified state inspectors where such PTC systems are deployed or maintained. They must identify all software versions, revisions, and revision dates. Plans must be legible and correct.\n\n(c) Hardware, software, and firmware revisions must be documented in the Operations and Maintenance Manual according to the railroad's configuration management control plan and any additional configuration/revision control measures specified in its PTCSP.\n\n(d) Safety-critical components, including spare equipment, must be positively identified, handled, replaced, and repaired in accordance with the procedures specified in the railroad's PTCSP.\n\n(e) The railroad shall designate in its Operations and Maintenance Manual an appropriate railroad officer responsible for issues relating to scheduled interruptions of service."], ["49:49:4.1.1.1.55.3.138.1", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.301 Restoration or renewal of track under traffic conditions.", "FRA", "", "", "", "(a) Restoration or renewal of track, other than in yards and trainset maintenance facilities, under traffic conditions is prohibited.\n\n(b) Restoration or renewal of track under traffic conditions on track Class H2 in trainset maintenance facilities is limited to the replacement of worn, broken, or missing components or fastenings that do not affect the safe passage of trainset.\n\n(c) The following activities are expressly prohibited on track Class H2 in trainset maintenance facilities under traffic conditions:\n\n(1) Any work that interrupts rail continuity,  e.g.,  as in joint bar replacement or rail replacement;\n\n(2) Any work that adversely affects the lateral or vertical stability of the track with the exception of spot tamping an isolated condition where not more than 4.5 m (15 feet) of track are involved at any one time and the ambient air temperature is not above 35 \u00b0C (95 \u00b0F); and\n\n(3) Removal and replacement of the rail fastenings on more than one tie at a time within 4.5 m (15 feet)."], ["49:49:4.1.1.1.55.3.138.10", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.319 Track fixation and support.", "FRA", "", "", "", "(a) Crossties, if used shall be of concrete or composite construction, unless otherwise approved by FRA under \u00a7 299.15, for all tracks over which trainsets run in revenue service.\n\n(b) Each 25 m (82 feet) segment of track that contains crossties shall have\u2014\n\n(1) A sufficient number of crossties to provide effective support that will\u2014\n\n(i) Hold gauge within limits prescribed in \u00a7 299.311;\n\n(ii) Maintain surface within the limits prescribed in \u00a7 299.311;\n\n(iii) Maintain alignment within the limits prescribed in \u00a7 299.311; and\n\n(iv) Maintain longitudinal rail restraint.\n\n(2) The minimum number and type of crossties specified in paragraph (b)(4) of this section and described in paragraph (c) or (d) of this section, as applicable, effectively distributed to support the entire segment;\n\n(3) At least one non-defective crosstie of the type specified in paragraphs (c) and (d) of this section that is located at a joint location as specified in paragraph (e) of this section; and\n\n(4) The minimum number of crossties as indicated in the following table:\n\nTable 1 to Paragraph  (b)(4)\n\n(c) Crossties, other than concrete, counted to satisfy the requirements set forth in paragraph (b)(4) of this section shall not be\u2014\n\n(1) Broken through;\n\n(2) Split or otherwise impaired to the extent the crossties will allow the ballast to work through, or will not hold spikes or rail fasteners;\n\n(3) Deteriorated so that the tie plate or base of rail can move laterally 9.5 mm (\n 3/8  inch) relative to the crossties;\n\n(4) Cut by the tie plate through more than 40 percent of a crosstie's thickness;\n\n(5) Configured with less than 2 rail holding spikes or fasteners per tie plate; or\n\n(6) Unable, due to insufficient fastener toeload, to maintain longitudinal restraint and maintain rail hold down and gauge.\n\n(d) Concrete crossties counted to satisfy the requirements set forth in paragraph (b)(4) of this section shall not be\u2014\n\n(1) Broken through or deteriorated to the extent that prestressing material is visible;\n\n(2) Deteriorated or broken off in the vicinity of the shoulder or insert so that the fastener assembly can either pull out or move laterally more than 9.5 mm (\n 3/8  inch) relative to the crosstie;\n\n(3) Deteriorated such that the base of either rail can move laterally more than 9.5 mm (\n 3/8  inch) relative to the crosstie;\n\n(4) Deteriorated so that rail seat abrasion is sufficiently deep so as to cause loss of rail fastener toeload;\n\n(5) Deteriorated such that the crosstie's fastening or anchoring system is unable to maintain longitudinal rail restraint, or maintain rail hold down, or maintain gauge due to insufficient fastener toeload; or\n\n(6) Configured with less than two fasteners on the same rail.\n\n(e) Classes H0 and H1 track shall have one crosstie whose centerline is within 0.61 m (24 inches) of each rail joint (end) location. Classes H2 and H3 track shall have one crosstie whose centerline is within 0.46 m (18 inches) of each rail joint (end) location. Classes H4-H7 track shall have one crosstie whose centerline is within 0.32 m (12.6 inches) of each rail joint (end) location. The relative position of these crossties is described in the following three diagrams:\n\n(1) Each rail joint in Classes H0 and H1 track shall be supported by at least one crosstie specified in paragraphs (c) and (d) of this section whose centerline is within 1.22 m (48 inches) as shown in Figure 1 to this paragraph.\n\n(2) Each rail joint in Classes H2 and H3 track shall be supported by at least one crosstie specified in paragraphs (c) and (d) of this section whose centerline is within 0.92 m (36.2 inches) as shown in Figure 2 to this paragraph.\n\n(3) Each rail joint in Classes H4-H7 track shall be supported by at least one crosstie specified in paragraphs (c) and (d) of this section whose centerline is within 0.64 m (25.2 inches) as shown in Figure 3 to this paragraph.\n\n(f) In Class H3 track there shall be at least two non-defective ties each side of a defective tie.\n\n(g) In Classes H4 to H7 track and at any expansion joints there shall be at least three non-defective ties each side of a defective tie.\n\n(h) Defective ties shall be replaced in accordance with the railroad's inspection, testing, and maintenance program.\n\n(i) Track shall be fastened by a system of components that effectively maintains gauge within the limits prescribed in \u00a7 299.311. Each component of each such system shall be evaluated to determine whether gauge is effectively being maintained.\n\n(j) For track constructed without crossties, such as slab track and track connected directly to bridge structural components, track over servicing pits, etc., the track structure shall be sufficient to maintain the geometry limits specified in \u00a7 299.311."], ["49:49:4.1.1.1.55.3.138.11", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.321 Defective rails.", "FRA", "", "", "", "(a) The railroad's inspection, testing, and maintenance program shall include a description of defective rails consistent with the practice on the Tokaido Shinkansen system. The inspection, testing, and maintenance program shall include identification of rail defect types, definition of the inspection criteria, time required for verification and the corresponding remedial action.\n\n(b) When the railroad learns that a rail in that track contains any of the defects listed in the railroad's inspection, testing, and maintenance program, a person designated under \u00a7 299.353 or \u00a7 299.355 shall determine whether the track may continue in use. If the designated person determines that the track may continue in use, operation over the defective rail is not permitted until\u2014\n\n(1) The rail is replaced or repaired; or\n\n(2) The remedial action prescribed in the inspection, testing, and maintenance program is initiated."], ["49:49:4.1.1.1.55.3.138.12", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.323 Continuous welded rail (CWR) plan.", "FRA", "", "", "", "(a) The railroad shall have in effect and comply with a plan that contains written procedures which address: The installation, adjustment, maintenance, and inspection of CWR; and inspection of CWR joints.\n\n(b) The railroad shall file its CWR plan with FRA pursuant to \u00a7 299.9. The initial CWR plan shall be filed 60 days prior to installation of any CWR track. The effective date of the plan is the date the plan is filed with FRA.\n\n(c) The railroad's existing plan shall remain in effect until the railroad's new plan is developed and filed with FRA."], ["49:49:4.1.1.1.55.3.138.13", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.325 Continuous welded rail (CWR); general.", "FRA", "", "", "", "The railroad shall comply with the contents of the CWR plan developed under \u00a7 299.323. The plan shall contain the following elements\u2014\n\n(a) Procedures for the installation and adjustment of CWR which include\u2014\n\n(1) Designation of a desired rail installation temperature range for the geographic area in which the CWR is located;\n\n(2) De-stressing procedures/methods which address proper attainment of the desired rail installation temperature range when adjusting CWR; and\n\n(3) Glued insulated or expansion joint installation and maintenance procedures.\n\n(b) Rail anchoring, if used, or fastening requirements that will provide sufficient restraint to limit longitudinal rail and crosstie movement to the extent practical, and that specifically address CWR rail anchoring or fastening patterns on bridges, bridge approaches, and at other locations where possible longitudinal rail and crosstie movement associated with normally expected trainset-induced forces\u2014is restricted.\n\n(c) CWR joint installation and maintenance procedures.\n\n(d) Procedures which specifically address maintaining a desired rail installation temperature range when cutting CWR including rail repairs, in-track welding, and in conjunction with adjustments made in the area of tight track, a track buckle, or a pull-apart.\n\n(e) Procedures which control trainset speed on CWR track when\u2014\n\n(1) Maintenance work, track rehabilitation, track construction, or any other event occurs which disturbs the roadbed or ballast section and reduces the lateral or longitudinal resistance of the track; and\n\n(2) The difference between the rail temperature and the rail neutral temperature is in a range that causes buckling-prone conditions to be present at a specific location.\n\n(f) Procedures which prescribe when and where physical track inspections are to be performed under extreme temperature conditions.\n\n(g) Scheduling and procedures for inspections to detect cracks and other indications of potential failures in CWR joints.\n\n(h) The railroad shall have in effect a comprehensive training program for the application of these written CWR procedures, with provisions for periodic retraining for those individuals designated as qualified in accordance with this subpart to supervise the installation, adjustment, and maintenance of CWR track and to perform inspections of CWR track.\n\n(i) The plan shall prescribe and require compliance with recordkeeping requirements necessary to provide an adequate history of track constructed with CWR. At a minimum, these records shall include\u2014\n\n(1) The rail laying temperature, location, and date of CWR installations. Each record shall be retained until the rail neutral temperature has been adjusted; and\n\n(2) A record of any CWR installation or maintenance work that does not conform to the written procedures. Such record must include the location of the rail and be maintained until the CWR is brought into conformance with such procedures."], ["49:49:4.1.1.1.55.3.138.14", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.327 Rail end mismatch.", "FRA", "", "", "", "Any mismatch of rails at joints may not be more than that prescribed by the following table:\n\nTable 1 to \u00a7 299.327"], ["49:49:4.1.1.1.55.3.138.15", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.329 Rail joints and torch cut rails.", "FRA", "", "", "", "(a) Each rail joint, insulated joint, expansion joint, and compromise joint shall be of a structurally sound design and appropriate dimensions for the rail on which it is applied.\n\n(b) If a joint bar is cracked, broken, or permits excessive vertical movement of either rail when all bolts are tight, it shall be replaced.\n\n(c) Except for glued-insulated joints, each joint bar shall be held in position by track bolts tightened to allow the joint bar to firmly support the abutting rail ends. For track Classes H0 to H3 track bolts shall be tightened, as required, to allow longitudinal movement of the rail in the joint to accommodate expansion and contraction due to temperature variations.\n\n(d) Except as provided in paragraph (e) of this section, each rail shall be bolted with at least two bolts at each joint.\n\n(e) Clamped joint bars may be used for temporary repair during emergency situations, and speed over that rail end and the time required to replace the joint bar must not exceed the limits specified in the inspection, testing, and maintenance program.\n\n(f) No rail shall have a bolt hole which is torch cut or burned.\n\n(g) No joint bar shall be reconfigured by torch cutting.\n\n(h) No rail having a torch cut or flame cut end may be used."], ["49:49:4.1.1.1.55.3.138.16", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.331 Turnouts and crossings generally.", "FRA", "", "", "", "(a) In turnouts and track crossings, the fastenings shall be intact and maintained to keep the components securely in place. Also, each switch, frog, and guard rail shall be kept free of obstructions that may interfere with the passage of wheels. Use of rigid rail crossings at grade is limited to track Classes H0, H1, and H2.\n\n(b) The track through and on each side of track crossings and turnouts shall be designed to restrain rail movement affecting the position of switch points and frogs.\n\n(c) Each flangeway at turnouts shall be at least 39 mm (1.5 inches) wide.\n\n(d) For all turnouts and track crossings, the railroad shall prepare inspection and maintenance requirements to be included in the railroad's inspection, testing, and maintenance program."], ["49:49:4.1.1.1.55.3.138.17", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.333 Frog guard rails and guard faces; gauge.", "FRA", "", "", "", "The guard check and guard face gages in frogs shall be within the limits prescribed in the following table:\n\nTable 1 to \u00a7 299.333\n\n1  A line along that side of the flangeway which is nearer to the center of the track and at the same elevation as the gage line.\n\n2  A line 14 mm (0.55 inches) below the top of the center line of the head of the running rail, or corresponding location of the tread portion of the track structure."], ["49:49:4.1.1.1.55.3.138.18", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.335 Derails.", "FRA", "", "", "", "(a) Derails shall be installed at locations where maintenance-of-way equipment can access track other than Class H0, in a configuration intended to derail the un-controlled equipment away from the mainline and at a distance from the point of intersection with the mainline that will not foul the dynamic envelope of the mainline.\n\n(b) Each derail shall be clearly visible to railroad personnel operating rail equipment on the affected track and to railroad personnel working adjacent to the affected track. When in a locked position, a derail shall be free of any lost motion that would allow it to be operated without removal of the lock.\n\n(c) Each derail shall be maintained and function as intended.\n\n(d) Each derail shall be properly installed for the rail to which it is applied.\n\n(e) If a track is equipped with a derail it shall be in the derailing position except as provided in the railroad's operating rules, special instructions, or changed to permit movement."], ["49:49:4.1.1.1.55.3.138.19", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.337 Automated vehicle-based inspection systems.", "FRA", "", "", "", "(a) A qualifying Track Geometry Measurement System (TGMS) and a qualifying Track Acceleration Measurement System (TAMS) shall be operated over the route at the following frequency:\n\n(1) For track Class H3, at least twice per calendar year with not less than 120 days between inspections; and\n\n(2) For track Classes H4, H5, H6, and H7, at least twice within any 60-day period with not less than 12 days between inspections.\n\n(b) The qualifying TGMS shall meet or exceed minimum design requirements which specify that\u2014\n\n(1) Track geometry measurements shall be taken no more than 1 meter (3.3 feet) away from the contact point of wheels carrying a vertical load of no less than 4,500 kg (10,000 lb) per wheel;\n\n(2) Track geometry measurements shall be taken and recorded on a distance-based sampling interval not exceeding 0.60 m (2 feet), preferably 0.30 m (1 foot);\n\n(3) Calibration procedures and parameters are assigned to the system which assures that measured and recorded values accurately represent track conditions. Track geometry measurements recorded by the system shall not differ on repeated runs at the same site at the same speed more than 3 mm (\n 1/8  inch); and\n\n(4) The TGMS shall be capable of measuring and processing the necessary track geometry parameters to determine compliance with \u00a7\u00a7 299.311 and 299.315.\n\n(c) A qualifying TAMS shall be on a vehicle having dynamic response characteristics that are representative of other vehicles assigned to the service and shall\u2014\n\n(1) Be operated at the revenue speed profile in accordance with \u00a7 299.309;\n\n(2) Be capable of measuring and processing carbody acceleration parameters to determine compliance with Carbody Acceleration Limits per \u00a7 299.313; and\n\n(3) Monitor lateral and vertical accelerations of the carbody. The accelerometers shall be attached to the carbody on or under the floor of the vehicle, as near the center of a bogie as practicable.\n\n(d) The qualifying TGMS and TAMS shall be capable of producing, within 24 hours of the inspection, output reports that\u2014\n\n(1) Provide a continuous plot, on a constant-distance axis, of all measured track geometry and carbody acceleration parameters required in paragraph (b) and (c) of this section;\n\n(2) Provide an exception report containing a systematic listing of all track geometry and all acceleration conditions which constitute an exception to the class of track over the segment surveyed.\n\n(e) The output reports required under paragraph (d) of this section shall contain sufficient location identification information which enables field personnel to easily locate indicated exceptions.\n\n(f) Following a track inspection performed by a qualifying TGMS or TAMS, the railroad shall, institute remedial action for all exceptions to the class of track in accordance with the railroad's inspection, testing, and maintenance program.\n\n(g) The railroad shall maintain for a period of one year following an inspection performed by a qualifying TGMS and TAMS, a copy of the plot and the exception report for the track segment involved, and additional records which\u2014\n\n(1) Specify the date the inspection was made and the track segment involved; and,\n\n(2) Specify the location, remedial action taken, and the date thereof, for all listed exceptions to the class."], ["49:49:4.1.1.1.55.3.138.2", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.303 Measuring track not under load.", "FRA", "", "", "", "When unloaded track is measured to determine compliance with requirements of this part, evidence of rail movement, if any, that occurs while the track is loaded shall be added to the measurements of the unloaded track."], ["49:49:4.1.1.1.55.3.138.20", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.339 Daily sweeper inspection.", "FRA", "", "", "", "A sweeper vehicle shall be operated each morning after the overnight maintenance over all tracks except track Class H2 in stations, prior to commencing revenue service over that track. The sweeper vehicle shall operate at a speed no greater than 120 km/h (75 mph) to conduct a visual inspection to ensure the right-of-way is clear of obstacles within the clearance envelope and to identify conditions that could cause accidents, and shall have a minimum clearance of no less than 35 mm above top of rail."], ["49:49:4.1.1.1.55.3.138.21", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.341 Inspection of rail in service.", "FRA", "", "", "", "(a) Prior to revenue service the railroad shall submit written procedures for the inspection of rails in accordance with the inspection, testing, and maintenance program.\n\n(b) On track Classes H4 to H7, and H2 within stations, a continuous search for internal defects shall be made of all rail within 180 days after initiation of revenue service and, thereafter, at least annually, with not less than 240 days between inspections.\n\n(c) Each defective rail shall be marked with a highly visible marking on both sides of the rail.\n\n(d) Inspection equipment shall be capable of detecting defects between joint bars and within the area enclosed by joint bars.\n\n(e) If the person assigned to operate the rail defect detection equipment being used determines that, due to rail surface conditions, a valid search for internal defects could not be made over a particular length of track, the test on that particular length of track cannot be considered as a search for internal defects under this section.\n\n(f) When the railroad learns, through inspection or otherwise, that a rail in that track contains any of the defects in accordance with \u00a7 299.321, a qualified individual designated under \u00a7 299.353 or \u00a7 299.355 shall determine whether or not the track may continue in use. If the qualified individual so designated determines that the track may continue in use, operation over the defective rail is not permitted until\u2014\n\n(1) The rail is replaced; or\n\n(2) The remedial action as prescribed in \u00a7 299.321 has been taken.\n\n(g) The person assigned to operate the rail defect detection equipment must be a qualified operator as defined in this subpart and have demonstrated proficiency in the rail flaw detection process for each type of equipment the operator is assigned."], ["49:49:4.1.1.1.55.3.138.22", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.343 Initial inspection of new rail and welds.", "FRA", "", "", "", "(a) The railroad shall provide for the initial inspection of newly manufactured rail, and for initial inspection of new welds made in either new or used rail. The railroad may demonstrate compliance with this section by providing for\u2014\n\n(1)  Mill inspection.  A continuous inspection at the rail manufacturer's mill shall constitute compliance with the requirement for initial inspection of new rail, provided that the inspection equipment meets the applicable requirements as specified under the railroad's inspection, testing, and maintenance program and \u00a7 299.321. The railroad shall obtain a copy of the manufacturer's report of inspection and retain it as a record until the rail receives its first scheduled inspection under \u00a7 299.341;\n\n(2)  Welding plant inspection.  A continuous inspection at a welding plant, if conducted in accordance with the provisions of paragraph (a)(1) of this section, and accompanied by a plant operator's report of inspection which is retained as a record by the railroad, shall constitute compliance with the requirements for initial inspection of new rail and plant welds, or of new plant welds made in used rail; and\n\n(3)  Inspection of field welds.  Initial inspection of new field welds, either those joining the ends of CWR strings or those made for isolated repairs, shall be conducted before the start of revenue service in accordance with the railroad's inspection, testing, and maintenance program. The initial inspection may be conducted by means of portable test equipment. The railroad shall retain a record of such inspections until the welds receive their first scheduled inspection under \u00a7 299.341.\n\n(b) Each defective rail found during inspections conducted under paragraph (a)(3) of this section shall be marked with highly visible markings on both sides of the rail and the appropriate remedial action as set forth in \u00a7 299.341 will apply."], ["49:49:4.1.1.1.55.3.138.23", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.345 Visual inspections; right of way.", "FRA", "", "", "", "(a)  General.  All track shall be visually inspected in accordance with the schedule prescribed in paragraph (c) of this section by an individual qualified under this subpart. The visual inspection shall be conducted in accordance with the requirements set forth in the inspection, testing, and maintenance program under subpart G of this part.\n\n(b)  Inspection types and frequency \u2014(1)  Safe walkway inspection.  Except for track located inside trainset maintenance facilities and MOW yards and the associated portions of the right-of-way, the right-of-way and all track shall be inspected from the safe walkway during daytime hours, in accordance with the following conditions:\n\n(i) Ballasted track shall be inspected at least once every two weeks, with a minimum of six calendar days in between inspections.\n\n(ii) Non-ballasted track shall be inspected at least once every four weeks, with a minimum of twelve calendar days in between inspections.\n\n(iii) No two consecutive visual inspections from the safe walkway shall be performed from the same safe walkway. Safe walkway inspections shall alternate between safe walkways on each side of the right-of-way.\n\n(iv) In stations, the safe walkway inspection may be performed from either the safe walkway or the station platform.\n\n(v) An additional on-track visual inspection conducted during maintenance hours under paragraph (b)(2) of this section performed in place of a visual inspection from the safe walkway under paragraph (b)(1) of this section will satisfy the visual inspection requirement of paragraph (b)(1) of this section. However, a safe walkway visual inspection performed under paragraph (b)(1) of this section cannot replace an on-track visual inspection conducted during maintenance hours under paragraph (b)(2) of this section.\n\n(vi) Except for paragraph (b)(1)(v) of this section, inspections performed under paragraph (b)(1) of this section shall not occur during the same week as inspections performed under paragraph (b)(2) of this section.\n\n(vii) In the event a safe walkway visual inspection is not possible on a given day due to extreme weather, the inspection may be conducted from the cab of a trainset or as an on-track visual inspection on that day in accordance with the inspection, testing, and maintenance program.\n\n(2)  On-track inspections; other than trainset maintenance facilities and MOW yards.  Except for track located inside trainset maintenance facilities and MOW yards and the associated portions of the right-of-way, on-track visual inspections, conducted on foot during maintenance hours, shall be performed on all track in accordance with the following conditions:\n\n(i) Ballasted track shall be inspected at least once every two weeks, with a minimum of six calendar days in between inspections.\n\n(ii) Non-ballasted track shall be inspected at least once every four weeks, with a minimum of twelve calendar days in between inspections.\n\n(iii) Turn-outs and track crossings on ballasted track shall be inspected at least once a week, with a minimum of three calendar days in between inspections.\n\n(iv) Turn-outs and track crossings on non-ballasted track shall be inspected at least once every two weeks, with a minimum of six calendar days in between inspections.\n\n(3)  On-track inspections; trainset maintenance facilities and MOW yards.  For track located inside trainset maintenance facilities and MOW yards and the associated portions of the right-of-way, including turn-outs and track crossings, on-track visual inspections, conducted on foot, shall be performed on all track in accordance with the following conditions:\n\n(i) Ballasted track shall be inspected at least once during any 60-day period, with a minimum of twelve calendar days in between inspections.\n\n(ii) Non-ballasted track shall be inspected at least once within any 120-day period, with a minimum of twenty-four calendar days in between inspections.\n\n(iii) On-track safety shall be established in accordance with 49 CFR part 214 of this chapter, except for 49 CFR 214.339.\n\n(4)  Visual inspections from trainset cab.  Visual inspections from trainset cab shall be performed for the right-of-way and track for track Class H3 and above, except for track leading to a trainset maintenance facility, at least twice weekly with a minimum of two calendar days between inspections.\n\n(c) If a deviation from the requirements of this subpart is found during the visual inspection, remedial action shall be initiated immediately in accordance with the railroad's inspection, testing, and maintenance program required under subpart G of this part."], ["49:49:4.1.1.1.55.3.138.24", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.347 Special inspections.", "FRA", "", "", "", "(a) In the event of fire, flood, severe storm, temperature extremes, or other occurrence which might have damaged track structure, a special inspection shall be made of the track and right-of-way involved as soon as possible after the occurrence, prior to the operation of any trainset over that track.\n\n(b) Should a trainset be between stations when an event such as those described in paragraph (a) of this section occurs, that trainset may proceed to the next forward station at restricted speed, in accordance with the railroad's operating rules and inspection, testing, and maintenance program."], ["49:49:4.1.1.1.55.3.138.25", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.349 Inspection records.", "FRA", "", "", "", "(a) The railroad shall keep a record of each inspection required to be performed on that track under this subpart.\n\n(b) Except as provided in paragraph (f) of this section, each record of an inspection under \u00a7\u00a7 299.325 and 299.345 shall be prepared on the day the inspection is made and signed by the person making the inspection.\n\n(c) Records shall specify the track inspected, date of inspection, location, and nature of any deviation from the requirements of this part, name of qualified individual who made the inspection, and the remedial action, if any, taken by the person making the inspection.\n\n(d) Rail inspection records shall specify the date of inspection, the location and nature of any internal defects found, name of qualified individual who made the inspection, the remedial action taken and the date thereof, and the location of any intervals of track not tested pursuant to \u00a7 299.341 of this part. The railroad shall retain a rail inspection record for at least two years after the inspection and for one year after remedial action is taken.\n\n(e) The railroad shall make inspection records required by this section available for inspection and copying by the FRA.\n\n(f) For purposes of compliance with the requirements of this section, the railroad may maintain and transfer records through electronic transmission, storage, and retrieval provided that\u2014\n\n(1) The electronic system is compliant with the requirements of \u00a7 299.11;\n\n(2) The electronic storage of each record shall be initiated by the person making the inspection within 24 hours following the completion of that inspection; and\n\n(3) Track inspection records shall be kept available to persons who performed the inspection and to persons performing subsequent inspections.\n\n(g) Each track/vehicle performance record required under \u00a7 299.337 shall be made available for inspection and copying by the FRA."], ["49:49:4.1.1.1.55.3.138.26", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.351 Qualifications for track maintenance and inspection personnel.", "FRA", "", "", "", "(a)  General.  The railroad shall designate qualified individuals responsible for the maintenance and inspection of track in compliance with the safety requirements prescribed in this subpart. Each designated individual, including contractors and their employees, must meet the minimum qualifications set forth in this subpart.\n\n(b)  Recordkeeping.  In addition to the requirements contained in \u00a7 243.203 of this chapter, the railroad shall also maintain, with respect to the designation of individuals under this subpart, the track inspection records made by each individual as required by \u00a7 299.349."], ["49:49:4.1.1.1.55.3.138.27", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.353 Personnel qualified to supervise track restoration and renewal.", "FRA", "", "", "", "Each individual designated to supervise restorations and renewals of track, shall have\u2014\n\n(a) Successfully completed a course offered by the employer or by a college level engineering program, supplemented by special on-the-job training emphasizing the techniques to be employed in the supervision, restoration, and renewal of high-speed track;\n\n(b) Demonstrated to the railroad, at least once per calendar year, that the individual\u2014\n\n(1) Knows and understands the requirements of this subpart that apply to the restoration and renewal of the track for which he or she is responsible;\n\n(2) Can detect deviations from those requirements; and\n\n(3) Can prescribe appropriate remedial action to correct or safely compensate for those deviations.\n\n(c) Written authorization from the railroad or the employer to prescribe remedial actions to correct or safely compensate for deviations from the requirements of this subpart and shall have successfully completed a recorded examination on this subpart as part of the qualification process."], ["49:49:4.1.1.1.55.3.138.28", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.355 Personnel qualified to inspect track.", "FRA", "", "", "", "Each individual designated to inspect track for defects, shall have\u2014\n\n(a) Successfully completed a course offered by the railroad or by a college level engineering program, supplemented by special on-the-job training emphasizing the techniques to be employed in the inspection of high-speed track;\n\n(b) Demonstrated to the railroad, at least once per calendar year, that the individual\u2014\n\n(1) Knows and understands the requirements of this subpart that apply to the inspection of the track for which he or she is responsible;\n\n(2) Can detect deviations from those requirements; and\n\n(3) Can prescribe appropriate remedial action to correct or safely compensate for those deviations.\n\n(c) Written authorization from the railroad or the employer to prescribe remedial actions to correct or safely compensate for deviations from the requirements in this subpart and shall have successfully completed a recorded examination on this subpart as part of the qualification process."], ["49:49:4.1.1.1.55.3.138.29", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.357 Personnel qualified to inspect and restore continuous welded rail.", "FRA", "", "", "", "Individuals designated under \u00a7 299.353 or 299.355 that inspect continuous welded rail (CWR) or supervise the installation, adjustment, and maintenance of CWR in accordance with the written procedures established by the railroad shall have\u2014\n\n(a) Current qualifications under either \u00a7 299.353 or 299.355;\n\n(b) Successfully completed a training course of at least eight hours duration specifically developed for the application of written CWR procedures issued by the railroad;\n\n(c) Demonstrated to the railroad that the individual\u2014\n\n(1) Knows and understands the requirements of those written CWR procedures;\n\n(2) Can detect deviations from those requirements; and\n\n(3) Can prescribe appropriate remedial action to correct or compensate for those deviations safely.\n\n(d) Written authorization from the railroad or the employer to prescribe remedial actions to correct or safely compensate for deviations from the requirements in those procedures and must have successfully completed a recorded examination on those procedures as part of the qualification process. The recorded examination may be written, or in the form of a computer file with the results of an interactive training course."], ["49:49:4.1.1.1.55.3.138.3", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.305 Drainage.", "FRA", "", "", "", "Each drainage or other water carrying facility under or immediately adjacent to the roadbed shall be maintained and kept free of obstruction, to accommodate expected water flow for the area concerned."], ["49:49:4.1.1.1.55.3.138.4", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.307 Vegetation.", "FRA", "", "", "", "Vegetation on railroad property which is on or immediately adjacent to roadbed shall be controlled so that it does not\u2014\n\n(a) Become a fire hazard to track-carrying structures;\n\n(b) Obstruct visibility of railroad signs and signals along the right-of-way;\n\n(c) Interfere with railroad employees performing normal trackside duties;\n\n(d) Prevent proper functioning of signal and communication lines; or\n\n(e) Prevent railroad employees from visually inspecting moving equipment from their normal duty stations."], ["49:49:4.1.1.1.55.3.138.5", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.309 Classes of track: operating speed limits.", "FRA", "", "", "", "(a) Except as provided in paragraph (b) of this section and as otherwise provided in this part, the following maximum allowable operating speeds apply\u2014\n\nTable 1 to Paragraph ( a )\n\n(b) Except as provided in paragraph (c) of this section, if a segment of track does not meet all of the requirements for its intended Class, it is to be reclassified to the next lower track Class for which it does meet all of the requirements of this part. However, if the segment of track does not at least meet the requirements for track Class H1 track, operations may continue at Class H1 speeds for a period of not more than 30 days without bringing the track into compliance, under the authority of an individual designated under \u00a7 299.353, after that individual determines that operations may safely continue and subject to any limiting conditions specified by such individual.\n\n(c) If a segment of track designated as track Class H0 does not meet all of the requirements for its intended class, operations may continue at Class H0 speeds for a period of not more than 30 days without bringing the track into compliance, under the authority of an individual designated under \u00a7 299.353, after that individual determines that operations may safely continue and subject to any limiting conditions specified by such individual.\n\n(d) No high-speed passenger trainset shall operate over track Class H0."], ["49:49:4.1.1.1.55.3.138.6", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.311 Track geometry; general.", "FRA", "", "", "", "If the values listed in the following table are exceeded, the railroad shall initiate remedial action. A reduction in operating speed so that the condition complies with the limits listed for a lower speed shall constitute bringing the track into compliance.\n\nTable 1 to \u00a7 299.311\n\n1  Uniformity for alignment at any point along the track is established by averaging the measured mid-chord offset values for a 10 m (32.8 feet) chord for nine consecutive points that are centered around that point and spaced at 2.5 m (8.2 feet) intervals."], ["49:49:4.1.1.1.55.3.138.7", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.313 Track geometry; performance based.", "FRA", "", "", "", "(a) For all track of Class H4 and above, vibration in the lateral and vertical directions measured on the carbody of a vehicle representative of the service fleet traveling at a speed no less than 10 km/h (6.2 mph) below the maximum speed permitted for the class of track, shall not exceed the limits prescribed in the following table:\n\nTable 1 to Paragraph ( a )\n\n1  Carbody accelerations in the vertical and lateral directions shall be measured by accelerometers oriented and located in accordance with \u00a7 299.337(c)(3).\n\n2  Acceleration measurements shall be processed through an LPF with a minimum cut-off frequency of 10 Hz. The sample rate for acceleration data shall be at least 200 samples per second.\n\n3  Peak-to-peak accelerations shall be measured as the algebraic difference between the two extreme values of measured acceleration in any 1-second time period, excluding any peak lasting less than 50 milliseconds.\n\n(b) If the carbody acceleration requirements are not met on a segment of track, the segment of track is to be reclassified to the next lower Class of track for which it does meet the requirements of this part."], ["49:49:4.1.1.1.55.3.138.8", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.315 Curves; elevation and speed limitations.", "FRA", "", "", "", "(a) The maximum elevation of the outside rail of a curve may not be more than 200 mm (7-7/8 inches). The outside rail of a curve may not be lower than the inside rail by design, except when engineered to address specific track or operating conditions; the limits in \u00a7 299.311 apply in all cases.\n\n(b) The maximum allowable posted timetable operating speed for each curve is determined by the following formula:\n\nWhere\u2014\n \n V max  = Maximum allowable posted timetable operating speed (km/h).\n \n E a  = Actual elevation of the outside rail (mm). Actual elevation, E a , for each 50-meter track segment in the body of the curve is determined by averaging the elevation for 11 points through the segment at 5-meter spacing. If the curve length is less than 50-meters, average the points through the full length of the body of the curve.\n \n E u  = Qualified cant deficiency (mm) of the vehicle type.\n \n R = Radius of curve (m). Radius of curve, R, is determined by averaging the radius of the curve over the same track segment as the elevation.\n\nWhere\u2014\n\nV max  = Maximum allowable posted timetable operating speed (km/h).\n\nE a  = Actual elevation of the outside rail (mm). Actual elevation, E a , for each 50-meter track segment in the body of the curve is determined by averaging the elevation for 11 points through the segment at 5-meter spacing. If the curve length is less than 50-meters, average the points through the full length of the body of the curve.\n\nE u  = Qualified cant deficiency (mm) of the vehicle type.\n\nR = Radius of curve (m). Radius of curve, R, is determined by averaging the radius of the curve over the same track segment as the elevation.\n\n(c) All vehicles are considered qualified for operating on track with a cant deficiency, E u , not exceeding 75 mm (3 inches).\n\n(d) Each vehicle type must be approved by FRA, under \u00a7 299.609, to operate on track with a qualified cant deficiency, E u , greater than 75 mm (3 inches). Each vehicle type must demonstrate in a ready-for-service load condition, compliance with the requirements of either paragraph (d)(1) or (2) of this section.\n\n(1) When positioned on a track with a uniform superelevation equal to the proposed cant deficiency:\n\n(i) No wheel of the vehicle unloads to a value less than 60 percent of its static value on perfectly level track; and\n\n(ii) For passenger cars, the roll angle between the floor of the equipment and the horizontal does not exceed 8.6 degrees; or\n\n(2) When operating through a constant radius curve at a constant speed corresponding to the proposed cant deficiency, and a test plan is submitted and approved by FRA in accordance with \u00a7 299.609(d)\u2014\n\n(i) The steady-state (average) load on any wheel, throughout the body of the curve, is not less than 60 percent of its static value on perfectly level track; and\n\n(ii) For passenger cars, the steady-state (average) lateral acceleration measured on the floor of the carbody does not exceed 0.15g.\n\n(e) The railroad shall transmit the results of the testing specified in paragraph (d) of this section to FRA in accordance with \u00a7\u00a7 299.9 and 299.613 requesting approval under \u00a7 299.609(g) for the vehicle type to operate at the desired curving speeds allowed under the formula in paragraph (b) of this section. The request shall be made in writing and shall contain, at a minimum, the following information:\n\n(1) A description of the vehicle type involved, including schematic diagrams of the suspension system(s) and the estimated location of the center of gravity above top of rail; and\n\n(2) The test procedure, including the load condition under which the testing was performed, and description of the instrumentation used to qualify the vehicle type, as well as the maximum values for wheel unloading and roll angles or accelerations that were observed during testing.\n\nThe test procedure may be conducted whereby all the wheels on one side (right or left) of the vehicle are raised to the proposed cant deficiency and lowered, and then the vertical wheel loads under each wheel are measured and a level is used to record the angle through which the floor of the vehicle has been rotated.\n\n(f) Upon FRA approval of the request to approve the vehicle type to operate at the desired curving speeds allowed under the formula in paragraph (b) of this section, the railroad shall notify FRA in accordance with \u00a7 299.9 in writing no less than 30 calendar days prior to the proposed implementation of the approved higher curving speeds allowed under the formula in paragraph (b) of this section. The notification shall contain, at a minimum, identification of the track segment(s) on which the higher curving speeds are to be implemented.\n\n(g) As used in this section, and \u00a7 299.609, vehicle type means like vehicles with variations in their physical properties, such as suspension, mass, interior arrangements, and dimensions that do not result in significant changes to their dynamic characteristics."], ["49:49:4.1.1.1.55.3.138.9", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "C", "Subpart C\u2014Track Safety Standards", "", "\u00a7 299.317 Track strength.", "FRA", "", "", "", "(a) Track shall have a sufficient vertical strength to withstand the maximum vehicle loads generated at maximum permissible trainset speeds, cant deficiencies and surface limitations. For purposes of this section, vertical track strength is defined as the track capacity to constrain vertical deformations so that the track shall, under maximum load, remain in compliance with the track performance and geometry requirements of this part.\n\n(b) Track shall have sufficient lateral strength to withstand the maximum thermal and vehicle loads generated at maximum permissible trainset speeds, cant deficiencies and lateral alignment limitations. For purposes of this section lateral track strength is defined as the track capacity to constrain lateral deformations so that track shall, under maximum load, remain in compliance with the track performance and geometry requirements of this part."], ["49:49:4.1.1.1.55.4.138.1", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.401 Clearance requirements.", "FRA", "", "", "", "(a)  General.  The rolling stock shall be designed to meet all applicable clearance requirements of the railroad. The railroad shall make its clearance diagrams available to FRA upon request.\n\n(b)  Clearance above top of rail.  No part or appliance of a trainset except the wheels, sander tips, wheel guards, and other components designed to be in the path of the wheel ( i.e.,  above the rail and aligned inside the wheel width path) may be less than 60 mm (2.36 inches) above the top of rail.\n\n(c)  Obstacle deflector.  The leading end of a trainset shall be equipped with an obstacle deflector that extends across both rails of the track. The minimum clearance above the rail of the obstacle deflector shall be 76 mm (3 inches), and the maximum clearance shall be 229 mm (9 inches).\n\n(d)  Flexible wheel guards.  The lead axle of a trainset shall be equipped with flexible wheel guards mounted on the bogie below the primary suspension with a maximum clearance above the rail of 15 mm (0.59 inches)."], ["49:49:4.1.1.1.55.4.138.10", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.419 Emergency communication.", "FRA", "", "", "", "(a)  PA (public address) system.  Each passenger car shall be equipped with a PA system that provides a means for a trainset crewmember to communicate by voice to passengers of his or her trainset in an emergency situation. The PA system shall also provide a means for a trainset crewmember to communicate by voice in an emergency situation to persons in the immediate vicinity of his or her trainset ( e.g.,  persons on the station platform). The PA system may be part of the same system as the intercom system.\n\n(b)  Intercom system.  Each passenger car shall be equipped with an intercom system that provides a means for passengers and crewmembers to communicate by voice with each other in an emergency situation. Except as further specified, at least one intercom that is accessible to passengers without using a tool or other implement shall be located in each end (half) of each car.\n\n(c)  Marking and instructions.  The following requirements apply to all units of a trainset:\n\n(1) The location of each intercom intended for passenger use shall be conspicuously marked with HPPL material in accordance with \u00a7 299.423; and\n\n(2) Legible and understandable operating instructions shall be made of HPPL material in accordance with \u00a7 299.423 and posted at or near each such intercom.\n\n(d)  Back-up power.  PA and intercom systems shall have a back-up power system capable of\u2014\n\n(1) Powering each system to allow intermittent emergency communication for a minimum period of 90 minutes. Intermittent communication shall be considered equivalent to continuous communication during the last 15 minutes of the 90-minute minimum period; and\n\n(2) Operating in all equipment orientations within 90 degrees of vertical.\n\n(e)  Additional requirements.  The PA and intercom systems shall be designed to operate without failure and remain attached under the conditions typically found in passenger rail equipment including expected mechanical vibrations, and shock in accordance with \u00a7 299.405(a)(1), as well as comply with electromagnetic interference criteria in \u00a7 299.435(e)."], ["49:49:4.1.1.1.55.4.138.11", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.421 Emergency roof access.", "FRA", "", "", "", "(a)  Number and dimensions.  Each passenger car shall have a minimum of two emergency roof access locations, each providing a minimum opening of 660 mm (26 inches) longitudinally ( i.e.,  parallel to the longitudinal axis of the car) by 610 mm (24 inches) laterally.\n\n(b)  Means of access.  Emergency roof access shall be provided by means of a conspicuously marked structural weak point in the roof for access by properly equipped emergency response personnel.\n\n(c)  Location.  Emergency roof access locations shall be situated so that when a car is on its side\u2014\n\n(1) One emergency access location is situated as close as practicable within each half of the roof as divided top from bottom; and\n\n(2) One emergency access location is situated as close as practicable within each half of the roof as divided left from right. ( See  Figure 1 to this paragraph.)\n\n(d)  Obstructions.  The ceiling space below each emergency roof access location shall be free from wire, cabling, conduit, and piping. This space shall also be free of any rigid secondary structure ( e.g.,  a diffuser or diffuser support, lighting back fixture, mounted PA equipment, or luggage rack) where practicable. It shall be permissible to cut through interior panels, liners, or other non-rigid secondary structures after making the cutout hole in the roof, provided any such additional cutting necessary to access the interior of the vehicle permits a minimum opening of the dimensions specified in paragraph (a) of this section to be maintained.\n\n(e)  Marking instructions.  Each emergency roof access location shall be conspicuously marked with retroreflective material of contrasting color meeting the minimum requirements specified in \u00a7 299.423. Legible and understandable instructions shall be posted at or near each such location."], ["49:49:4.1.1.1.55.4.138.12", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.423 Markings and instructions for emergency egress and rescue access.", "FRA", "", "", "", "(a)  General.  Instructions and markings shall be provided in each unit of a trainset in accordance with the minimum requirements of this section to provide instructions for passengers and trainset crewmembers regarding emergency egress, and rescue access instructions for emergency responders.\n\n(b)  Visual identity and recognition.  Emergency exit signage/marking systems shall enable passengers and trainset crewmembers to make positive identification of emergency exits.\n\n(1) Each interior emergency exit sign and emergency exit locator sign shall be conspicuous ( i.e.,  clearly recognizable/distinguishable) or become conspicuous to passengers and trainset crewmembers immediately and automatically upon the loss of power for normal lighting, from a minimum distance of 1.52 m (5 feet).\n\n(2) The signs and markings shall operate independently of the car's normal and emergency lighting systems, for a minimum of 90 minutes after loss of all power for normal lighting.\n\n(3) An emergency exit locator sign shall be located in close proximity of each emergency exit and shall work in conjunction with the emergency exit sign. The location of the sign, directional arrow(s), or wording shall guide passengers and trainset crewmembers to the emergency exit route.\n\n(c)  Rescue access signage/marking systems.  (1) Rescue access signage and marking systems shall enable emergency responders to make positive identification of rescue access points.\n\n(2) Rescue access information for emergency responders placed on the exterior of the carbody shall, at a minimum, consist of the following:\n\n(i) Each door intended for use by emergency responders for rescue access shall be identified with emergency access signs, symbols, or other conspicuous marking consisting of retroreflective material that complies with paragraphs (d) and (e) of this section.\n\n(ii) Rescue access door control locator signs/markings and instructions;\n\n(A) Each door intended for use by emergency responders for rescue access shall have operating instructions for opening the door from outside the car placed on or immediately adjacent to the door on the carbody. If a power door does not function with an integral release mechanism, the instructions shall indicate the location of the exterior manual door control.\n\n(B) Each power door intended for use by emergency responders for rescue access which has a non-integral release mechanism located away from the door, shall have a door control sign/marking placed at the location of this control that provides instructions for emergency operation, either as part of the access sign/marking or as another sign/marking.\n\n(C) Each car equipped with manual doors shall have operating instructions for opening the door from the exterior, either as part of the access sign/marking or as another sign/marking.\n\n(iii) Rescue access window locator signs/markings and instructions; and\n\n(A) Each rescue access window shall be identified with a unique retroreflective and easily recognizable sign, symbol, or other conspicuous marking that complies with paragraphs (d) and (e) of this section.\n\n(B) Signs, symbols, or marking shall be placed at the bottom of each such window, on each window, or adjacent to each window, utilizing arrows, where necessary, to clearly designate rescue assess window location. Legible and understandable window-access instructions, including any pictogram/instructions for removing the window, shall be posted at or near each rescue access window.\n\n(iv) Roof access locator signs/markings and instructions.\n\n(A) The location of each emergency access point provided on the roof of a passenger car shall be clearly marked with retroreflective material of contrasting color that complies with paragraphs (d) and (e) of this section.\n\n(B) Legible and understandable instructions shall be posted at or near each such location.\n\n(C) If emergency roof access is provided by means of a structural weak point:\n\n( 1 ) The retroreflective material shall clearly mark the line along which the roof skin shall be cut; and\n\n( 2 ) A sign plate with a retroreflective border shall also state:\n\nCAUTION\u2014DO NOT USE FLAME CUTTING DEVICES.\n\nCAUTION\u2014WARN PASSENGERS BEFORE CUTTING.\n\nCUT ALONG DASHED LINE TO GAIN ACCESS.\n\nROOF CONSTRUCTION\u2014[STATE RELEVANT DETAILS].\n\n(d)  Color contrast.  Exterior signs/markings shall provide luminance contrast ratio of not less than 0.5, as measured by a color-corrected photometer.\n\n(e)  Materials \u2014(1)  Retroreflective material.  Exterior emergency rescue access locator signs/markings shall be constructed of retroreflective material that conforms to the specifications for Type I material sheeting, as specified in ASTM D 4956-07  \u03b5 \n 1  (incorporated by reference,  see  \u00a7 299.17), as tested in accordance with ASTM E 810-03 (incorporated by reference,  see  \u00a7 299.17).\n\n(2)  HPPL materials.  All HPPL materials used in finished component configurations shall comply with the minimum luminance criterion of 7.5 mcd/m\n 2  after 90 minutes when tested according to the provisions of ASTM E 2073-07 (incorporated by reference,  see  \u00a7 299.17), with the following three modifications:\n\n(i)  Activation.  The HPPL material shall be activated with a fluorescent lamp of 40W or less and a color temperature of 4000-4500K that provides no more than 10.7 lux (1 fc) of illumination as measured on the material surface. The activation period shall be for no more than 60 minutes.\n\n(ii)  Luminance.  The photopic luminance of all specimens of the HPPL material shall be measured with a luminance meter as defined in section 5.2 of ASTM E 2073-07, a minimum of 90 minutes after activation has ceased.\n\n(iii)  Luminance in mcd/m \n 2 . The test report shall include a luminance measurement 90 minutes after activation has ceased.\n\n(f)  Recordkeeping.  (1) The railroad shall retain a copy of the car manufacturer/supplier provided independent laboratory certified test report results showing that the illuminance or luminance measurements, as appropriate, on the active area of the signage/marking component. Such records shall be kept until all cars with those components are retired, transferred, leased, or conveyed to another railroad for use in revenue service. A copy of such records shall be transferred to the accepting railroad along with any such cars.\n\n(2) The railroad shall retain a copy of the railroad-approved illuminance test plan(s) and test results until the next periodic test, or other test specified in accordance with the railroad's inspection, testing, and maintenance program is conducted on a representative car/area, or until all cars of that type are retired, or are transferred, leased, or conveyed to another railroad. A copy of such records shall be transferred to the accepting railroad along with such car(s).\n\n(3) The railroad shall retain a copy of the certified independent laboratory test report results that certify that the retroreflective material complies with Type I materials per ASTM D-4956-07  \u03b5 \n 1  until all cars containing the retroreflective material are retired, or are transferred, leased, or conveyed to another railroad. A copy of such records shall be provided to the accepting railroad along with any car(s) that are transferred, leased, or conveyed."], ["49:49:4.1.1.1.55.4.138.13", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.425 Low-location emergency exit path marking.", "FRA", "", "", "", "(a)  General.  Low-location emergency exit path marking (LLEEPM) shall be provided in each unit of a trainset. The LLEEPM system shall be designed to identify the location of primary door exits and the exit path to be used to reach such doors by passengers and trainset crewmembers under conditions of darkness when normal and emergency sources of illumination are obscured by smoke or are inoperative.\n\n(b)  Visual identity and recognition.  The LLEEPM system shall be conspicuous ( i.e.,  clearly recognizable/distinguishable), or become conspicuous immediately and automatically from a low-location upon loss of power for normal lighting, and under the minimum general emergency light illumination levels as specified in \u00a7 299.423.\n\n(c)  Signage and markings.  At a minimum, the LLEEPM system shall have the following three components:\n\n(1)  Primary door exit signs.  (i) Each primary door exit shall be clearly marked with an exit sign;\n\n(ii) The exit sign shall be visible from a low-location from the exit along the exit path; and\n\n(iii) Each exit sign shall be located on or immediately adjacent to each door and placed between 152.4 and 457.2 mm (6 and 18 inches) above the floor.\n\n(2)  Primary door exit marking/delineators.  (i) The location of the exit path shall be marked using electrically powered (active) marking/delineators or light fixtures, HPPL (passive) marking/delineators or a combination of these two systems.\n\n(ii) The requirements in this section apply for both electrical and HPPL components, whether installed on the walls, floors, or seat assemblies.\n\n(iii) Each primary door shall be marked on or around the door's operating handle.\n\n(3)  Exit path marking/delineators.  (i) The marking/delineator components shall be positioned so as to identify an exit path to all primary exits that is clearly visible and easily recognizable from any seat or compartment in the trainset, when normal lighting and emergency lighting are unavailable in conditions of darkness and/or smoke.\n\n(ii) Markings/delineators shall be located on the floor or no higher than 457.2 mm (18 inches) on the seat assembly, or walls/partitions of aisles, and/or passageways.\n\n(iii) Changes in the direction of the exit path shall be indicated by the LLEEPM and be placed within 102 mm (4 inches) of the corner of the exit path.\n\n(d)  Material \u2014(1)  HPPL passive systems.  HPPL strip marking/delineator material used for LLEEPM components shall be capable of providing a minimum luminance level of 7.5 mcd/m\n 2 , measured 90 minutes after normal power has ceased.\n\n(2)  Electroluminescent marking/delineator strips.  The luminance value of the electroluminescent (EL) marking/delineator strip shall be at least 1,000 mcd/m\n 2 , as measured on the strip surface.\n\n(e)  Conspicuity of markings.  LLEEPM signs shall comply with the text, color and respective illuminance or luminance requirements specified in \u00a7 299.423 and in this section.\n\n(f)  Emergency performance duration.  The LLEEPM system shall operate independently of the car's normal and emergency lighting systems for 90 minutes after loss of all power for normal lighting.\n\n(g)  Recordkeeping.  (1) The railroad shall retain a copy of the car manufacturer/supplier provided certified independent laboratory test report results showing that the illuminance or luminance measurements, as appropriate, on the active area of the signage/marking/delineator component comply with the criteria specified in \u00a7 299.423 and in this section.\n\n(2) The railroad shall retain a copy of the railroad-approved illuminance test plan(s) and test results until the next periodic test, or other test specified in accordance with the railroad's inspection, testing, and maintenance program and ensure that tests are conducted on a representative car, or until all cars of that type are retired, transferred, leased, or conveyed to another railroad. A copy of such records shall be provided to the accepting railroads along with any car(s) that are transferred, leased, or conveyed.\n\n(3) Illegible, broken, damaged, missing, or non-functioning components of the LLEEPM system, including the normal and emergency power systems, shall be reported and repaired in accordance with the railroad's inspection, testing, and maintenance program as specified in \u00a7 299.445."], ["49:49:4.1.1.1.55.4.138.14", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.427 Emergency egress windows.", "FRA", "", "", "", "(a)  Number and location.  Each unit in a trainset shall have a minimum of four emergency egress windows. At least one emergency egress window shall be located in each side of each end (half) of the car, in a staggered configuration where practicable. (See Figure 1 to this paragraph.)\n\n(b)  Ease of operability.  Each emergency egress window shall be designed to permit rapid and easy removal from the inside of the car during an emergency situation using a hammer designed to break the glazing that shall be located adjacent to each emergency egress window. The railroad shall inspect for the presence of the emergency hammers each day prior to the trainset being placed into service in accordance with \u00a7 299.711(b).\n\n(c)  Dimensions.  Except as provided in paragraph (f) of this section, each emergency egress window in a passenger car shall have an unobstructed opening with minimum dimensions of 660 mm (26 inches) horizontally by 610 mm (24 inches) vertically. A seatback is not an obstruction if it can be moved away from the window opening without using a tool or other implement.\n\n(d)  Marking and instructions.  (1) Each emergency egress window shall be conspicuously and legibly marked with luminescent material on the inside of each car to facilitate passenger egress as specified in \u00a7 299.423.\n\n(2) Legible and understandable operating instructions, including instructions for removing the emergency egress window shall be made of luminescent material, shall be posted at or near each such emergency egress window as specified in \u00a7 299.423.\n\n(e)  Obstructions.  If emergency egress window removal may be hindered by the presence of a seatback, headrest, luggage rack, or other fixture, the instructions shall state the method for allowing rapid and easy removal of the emergency egress window, taking into account the fixture(s), and this portion of the instructions may be in written or pictorial format.\n\n(f)  Additional emergency egress windows.  Any emergency egress window in addition to the minimum number required by paragraph (a) of this section that has been designated for use by the railroad need not comply with the minimum dimension requirements in paragraph (c) of this section, but must otherwise comply with all requirements in this subpart applicable to emergency egress windows."], ["49:49:4.1.1.1.55.4.138.15", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.429 Rescue access windows.", "FRA", "", "", "", "(a)  General.  Each emergency egress window required by \u00a7 299.427 shall also serve as a means of rescue access.\n\n(b)  Ease of operability.  Each rescue access window must be capable of being removed without unreasonable delay by an emergency responder using tools or implements that are commonly available to the responder in a passenger trainset emergency.\n\n(c)  Marking and instructions.  (1) Each rescue access window shall be marked with retroreflective material on the exterior of each car as specified in \u00a7 299.423. A unique and easily recognizable symbol, sign, or other conspicuous marking shall also be used to identify each such window.\n\n(2) Legible and understandable window-access instructions, including instructions for removing the window, shall be posted at or near each rescue access window as specified in \u00a7 299.423."], ["49:49:4.1.1.1.55.4.138.16", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.431 Driver's controls and cab layout.", "FRA", "", "", "", "(a)  Driver controls and cab layout.  Driver controls and cab layout shall replicate that used in the N700, unless otherwise approved by FRA.\n\n(b)  Cab seating.  Each seat provided for an employee regularly assigned to occupy a cab and any floor-mounted seat in the cab shall be securely attached in accordance with \u00a7 299.405.\n\n(c)  Cab interior surface.  Sharp edges and corners shall be eliminated from the interior of the cab, and interior surfaces of the cab likely to be impacted by an employee during a collision or derailment shall be padded with shock-absorbent material.\n\n(d)  Cab securement.  Trainset interior cab doors shall be equipped with the following:\n\n(1) A secure and operable device to lock the door from the outside that does not impede egress from the cab; and\n\n(2) A securement device on each cab door that is capable of securing the door from inside of the cab.\n\n(e)  Cab glazing serviceability.  End-facing cab windows of the lead trainset cab shall be free of cracks, breaks, or other conditions that obscure the view of the right-of-way for the crew from their normal position in the cab.\n\n(f)  Floors of cabs, passageways, and compartments.  Floors of cabs, passageways, and compartments shall be kept free from oil, water, waste or any obstruction that creates a slipping, tripping or fire hazard. Floors shall be properly treated to provide secure footing.\n\n(g)  Cab environmental control.  Each lead cab in a trainset shall be heated and air conditioned. The HVAC system shall be inspected and maintained to ensure that it operates properly and meets the railroad's performance standard which shall be defined in the inspection, testing, and maintenance program.\n\n(h)  Trainset cab noise.  Performance standards for the railroad's trainsets\u2014\n\n(1) The average noise levels in the trainset cab shall be less than or equal to 85 dB(A) when the trainset is operating at maximum approved trainset speed as approved under \u00a7 299.609(g). Compliance with this paragraph (h)(1) shall be demonstrated during the pre-revenue service system integration testing as required by \u00a7 299.607.\n\n(2) The railroad shall not make any alterations during maintenance or modifications to the cab, that cause the average sound level to exceed the requirements in paragraph (h)(1) of this section.\n\n(3) The railroad or manufacturer shall follow the test protocols set forth in appendix B to this part to determine compliance with paragraph (h)(1) of this section, and, to the extent reasonably necessary to evaluate the effect of alterations during maintenance, to determine compliance with paragraph (h)(2) of this section.\n\n(i)  Maintenance of trainset cabs.  (1) If the railroad receives an excessive noise report, and if the condition giving rise to the noise is not required to be immediately corrected under this part, the railroad shall maintain a record of the report, and repair or replace the item identified as substantially contributing to the noise:\n\n(i) On or before the next periodic inspection required by the railroad's inspection, testing, and maintenance program under subpart G; or\n\n(ii) If the railroad determines that the repair or replacement of the item requires significant shop or material resources that are not readily available, at the time of the next major equipment repair commonly used for the particular type of maintenance needed.\n\n(2) The railroad has an obligation to respond to an excessive noise report that a trainset-cab-occupant files. The railroad meets its obligation to respond to an excessive noise report, as set forth in paragraph (i)(1) of this section, if the railroad makes a good faith effort to identify the cause of the reported noise, and where the railroad is successful in determining the cause, if the railroad repairs or replaces the items that cause the noise.\n\n(3)(i) The railroad shall maintain a written or electronic record of any excessive noise report, inspection, test, maintenance, replacement, or repair completed pursuant to paragraph (i) of this section, and the date on which that inspection, test, maintenance, replacement, or repair occurred. If the railroad elects to maintain an electronic record, the railroad must satisfy the conditions listed in \u00a7 299.11.\n\n(ii) The railroad shall retain these records for a period of one year.\n\n(iii) The railroad shall establish an internal, auditable, monitorable system that contains these records.\n\n(j)  Trainset sanitation facilities for employees.  Sanitation facilities shall be provided for crewmembers either:\n\n(1) On the trainset, that meet otherwise applicable sanitation standards, which are accessible at frequent intervals during the course of their work shift; or\n\n(2) Ready access to railroad-provided sanitation facilities outside of the trainset.\n\n(k)  Speed indicators.  (1) Each trainset controlling cab shall be equipped with a speed indicator which is\u2014\n\n(i) Accurate within \u00b12 km/h (1.24 miles per hour) for speed lower than 30 km/h (18.6 miles per hour), then increasing linearly up to \u00b112 km/h (7.5 miles per hour) at 500 km/h (311 miles per hour); and\n\n(ii) Clearly readable from the driver's normal position under all light conditions.\n\n(2) The speed indicator shall be based on a system of independent on-board speed measurement sources guaranteeing the accuracy level specified in paragraph (a)(1) of this section under all operational conditions. The system shall be automatically monitored for inconsistencies and the driver shall be automatically notified of any inconsistency potentially compromising this accuracy level.\n\n(3) The speed indicator shall be calibrated periodically as defined in the railroad's inspection, testing, and maintenance program.\n\n(l)  Cab lights.  (1) Each trainset cab shall have cab lights which will provide sufficient illumination for the control instruments, meters, and gauges to enable the driver to make accurate readings from his or her normal positions in the cab. These lights shall be located, constructed, and maintained so that light shines only on those parts requiring illumination and does not interfere with the driver's vision of the track and signals. Each trainset cab shall also have a conveniently located light that can be readily turned on and off by the driver operating the trainset and that provides sufficient illumination for them to read trainset orders and timetables.\n\n(2) Cab passageways and compartments shall be illuminated."], ["49:49:4.1.1.1.55.4.138.17", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.433 Exterior lights.", "FRA", "", "", "", "(a)  Headlights.  Each leading end of a trainset shall be equipped with two or more headlights.\n\n(1) Each headlight shall produce 80,000 candela.\n\n(2) Headlights shall be arranged to illuminate signs in the right-of-way.\n\n(3) Headlights shall be recognized 600 m (1,968 feet) ahead of the cab car by a driver in another trainset or a maintenance person standing in the right-of-way under clear weather conditions.\n\n(b)  Taillights (marking devices).  (1) The trailing end of the trainset shall be equipped with two red taillights;\n\n(2) Each taillight shall be located at least 1.2 m (3.9 feet) above rail;\n\n(3) Each taillight shall be recognizable 200 m (656 feet) ahead of the cab car by a driver in another trainset or a maintenance person standing in the right-of-way under clear weather conditions;\n\n(4) Taillights of the trailing end of the trainset shall be on when the trainset is in operation;\n\n(5) Taillights shall not be on in the direction of trainset travel, except if the driver shall re-position the trainset in a station. Such re-positioning operations shall be done in accordance with the railroad's operating rules; and\n\n(6) In an emergency situation, the headlight on the rear of the trainset may serve as the taillights in accordance with the railroad's operating rules."], ["49:49:4.1.1.1.55.4.138.18", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.435 Electrical system design.", "FRA", "", "", "", "(a)  Overhead collector systems.  (1) Pantographs shall be so arranged that they can be operated from the driver's normal position in the cab. Pantographs that automatically rise when released shall have an automatic locking device to secure them in the down position.\n\n(2) Each overhead collector system, including the pantograph, shall be equipped with a means to electrically ground any uninsulated parts to prevent the risk of electrical shock when working on the system.\n\n(3) Means shall be provided to permit the driver to determine that the pantograph is in its lowest position, and for securing the pantograph if necessary, without the need to mount the roof of the trainset.\n\n(4) Each trainset equipped with a pantograph operating on an overhead collection system shall also be equipped with a means to safely lower the pantograph in the event of an emergency. If an emergency pole is used for this purpose, that part of the pole which can be safely handled shall be marked to so indicate. This pole shall be protected from moisture and damage when not in use. Means of securement and electrical isolation of a damaged pantograph, when it cannot be performed automatically, shall be addressed in the railroad's operating rules.\n\n(b)  Circuit protection.  (1) Each auxiliary circuit shall be provided with a circuit breaker or equivalent current-limiting devices located as near as practicable to the point of connection to the source of power for that circuit. Such protection may be omitted from circuits controlling safety-critical devices.\n\n(2) The 25-kV main power line shall be protected with a lightning arrestor, automatic circuit breaker, and overload relay. The lightning arrestor shall be run by the most direct path possible to ground with a connection to ground of not less than No. 6 AWG. These overload protection devices shall be housed in an enclosure designed specifically for that purpose with the arc chute vented directly to outside air.\n\n(3) Auxiliary power supply (440 VAC), providing power distribution, shall be provided with both overload and ground fault protection.\n\n(c)  Main battery system.  (1) The main batteries shall be isolated from the cab and passenger seating areas by a non-combustible barrier.\n\n(2) If batteries have the potential to vent explosive gases, the batteries shall be adequately ventilated to prevent accumulation of explosive concentrations of these gases.\n\n(3) Battery chargers shall be designed to protect against overcharging.\n\n(4) Battery circuits shall include an emergency battery cut-off switch to completely disconnect the energy stored in the batteries from the load.\n\n(d)  Capacitors for high-energy storage.  (1) Capacitors, if provided, shall be isolated from the cab and passenger seating areas by a non-combustible barrier.\n\n(2) Capacitors shall be designed to protect against overcharging and overheating.\n\n(e)  Electromagnetic interference (EMI) and electromagnetic compatibility (EMC).  (1) The railroad shall ensure electromagnetic compatibility of the safety-critical equipment systems with their environment. Electromagnetic compatibility can be achieved through equipment design or changes to the operating environment.\n\n(2) The electronic equipment shall not produce electrical noise that interferes with trainline control and communications or with wayside signaling systems.\n\n(3) To contain electromagnetic interference emissions, suppression of transients shall be at the source wherever possible.\n\n(4) Electrical and electronic systems of equipment shall be capable of operation in the presence of external electromagnetic noise sources.\n\n(5) All electronic equipment shall be self-protected from damage or improper operation, or both, due to high voltage transients and long-term over-voltage or under-voltage conditions. This includes protection from both power frequency and harmonic effects as well as protection from radio frequency signals into the microwave frequency range.\n\n(f)  Insulation or grounding of metal parts.  All unguarded noncurrent-carrying metal parts subject to becoming charged shall be grounded or thoroughly insulated.\n\n(g)  High voltage markings: doors, cover plates, or barriers.  External surfaces of all doors, cover plates, or barriers providing direct access to high voltage equipment shall be conspicuously and legibly marked \u201cDANGER-HIGH VOLTAGE\u201d or with the word \u201cDANGER\u201d and the normal voltage carried by the parts so protected. Labels shall be retro-reflective.\n\n(h)  Hand-operated switches.  All hand-operated switches carrying currents with a potential of more than 150 volts that may be operated while under load shall be covered and shall be operative from the outside of the cover. Means shall be provided to show whether the switches are open or closed. Switches that should not be operated while under load shall be conspicuously and legibly marked with the words \u201cmust not be operated under load\u201d and the voltage carried.\n\n(i)  Conductors; jumpers; cable connections.  (1) Conductor sizes shall be selected on the basis of current-carrying capacity, mechanical strength, temperature, flexibility requirements, and maximum allowable voltage drop. Current-carrying capacity shall be derated for grouping and for operating temperature.\n\n(2) Jumpers and cable connections between trainset units shall be located and guarded to provide sufficient vertical clearance. They may not hang with one end free.\n\n(3) Cable and jumper connections between trainset units may not have any of the following conditions:\n\n(i) Broken or badly chafed insulation;\n\n(ii) Broken plugs, receptacles, terminals, or trainline pins; and\n\n(iii) Broken or protruding strands of wire.\n\n(j)  Traction motors.  All traction motors shall be in proper working order, or safely cut-out."], ["49:49:4.1.1.1.55.4.138.19", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.437 Automated monitoring.", "FRA", "", "", "", "(a) Each trainset shall be equipped to monitor the performance of the following systems or components:\n\n(1) Reception of cab and trainset control signals;\n\n(2) Electric brake status;\n\n(3) Friction brake status;\n\n(4) Fire detection systems, if so equipped;\n\n(5) Auxiliary power status;\n\n(6) Wheelslide;\n\n(7) On-board bearing-temperature sensors;\n\n(8) Door open/closed status; and\n\n(9) Bogie vibration detection.\n\n(b) When any of the monitored parameters are out of predetermined limits, an alert shall be sent immediately to the driver. The railroad's operating rules shall control trainset movement when the monitored parameters are out of predetermined limits.\n\n(c) The railroad shall develop appropriate operating rules to address driver and equipment performance in the event that the automatic monitoring system becomes defective.\n\n(d) The monitoring system shall be designed with an automatic self-test feature that notifies the driver that the monitoring capability is functioning correctly and alerts the driver when a system failure occurs."], ["49:49:4.1.1.1.55.4.138.2", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.403 Trainset structure.", "FRA", "", "", "", "(a)  Occupied volume integrity.  To demonstrate resistance to loss of occupied volume, the trainsets shall comply with both the compression load requirement in paragraph (b) of this section and the dynamic collision requirements in paragraph (c) of this section.\n\n(b)  Compression load requirement.  The end compression load shall be applied to the vehicle as defined in JIS E 7105:2006(E) as amended by JIS E 7105:2011(E) (all incorporated by reference, see \u00a7 299.17), with an end load magnitude no less than 980 kN (220,300 lbf) without permanent deformation of the occupied volume.\n\n(c)  Dynamic collision scenario.  In addition to the requirements of paragraph (b) of this section, occupied volume integrity shall also be demonstrated for the trainset through an evaluation of a dynamic collision scenario in which a moving trainset impacts a proxy object under the following conditions:\n\n(1) The initially-moving trainset is made up of the equipment undergoing evaluation at its AW0 ready-to-run weight.\n\n(2) The scenario shall be evaluated on tangent, level track.\n\n(3) The trainset shall have an initial velocity of 32 km/h (20 mph) and shall not be braked.\n\n(4) The proxy object shall have the following characteristics:\n\n(i) The object shall be a solid circular cylinder that weighs 6350 kg (14,000 pounds);\n\n(ii) The object shall have a width of 914 mm (36 inches) and a diameter of 1219 mm (48 inches);\n\n(iii) The axis of the cylinder shall be perpendicular to the direction of trainset motion and parallel to the ground; and\n\n(iv) The center of the object shall be located 762 mm (30 inches) above the top of the underframe.\n\n(5) Two collision configurations shall be evaluated.\n\n(i) The center of the object shall be located 483 mm (19 inches) from the longitudinal centerline of the trainset; and\n\n(ii) The center of the object shall be aligned with the side of the cab car at the point of maximum width.\n\n(6) The model used to demonstrate compliance with the dynamic collision requirements must be validated. Model validation shall be demonstrated and submitted to FRA for review and approval.\n\n(7) As a result of the impact described in paragraphs (c)(5)(i) and (ii) of this section\u2014\n\n(i) One of the following two conditions must be met for the occupied volume:\n\n(A) There shall be no more than 254 mm (10 inches) of longitudinal permanent deformation; or\n\n(B) Global vehicle shortening shall not exceed 1 percent over any 4.6 m (15-feet) length of occupied volume.\n\n(ii) Compliance with each of the following conditions shall also be demonstrated for the cab after the impact:\n\n(A) Each seat provided for an employee regularly assigned to occupy the cab, and any floor-mounted seat in the cab, shall maintain a survival space where there is no intrusion for a minimum of 305 mm (12 inches) from each edge of the seat. Walls or other items originally within this defined space shall not further intrude more than 38 mm (1.5 inches) towards the seat under evaluation.\n\n(B) There shall be a clear exit path for the occupants of the cab;\n\n(C) The vertical height of the cab (floor to ceiling) shall not be reduced by more than 20 percent; and\n\n(D) The operating console shall not have moved closer to the driver's seat by more than 51 mm (2 inches).\n\n(d)  Equipment override.  (1) Using the dynamic collision scenarios described in paragraph (c) of this section, and with all units in the trainset positioned at their nominal running heights, the anti-climbing performance shall be evaluated for each of the following sets of initial conditions:\n\n(2) For the initial conditions specified in paragraphs (c)(1) through (3) of this section, compliance with the following conditions shall be demonstrated after a dynamic impact:\n\n(i) The relative difference in elevation between the underframes of the connected equipment shall not change by more than 102 mm (4 inches); and\n\n(ii) The tread of any wheel of the trainset shall not rise above the top of rail by more than 102 mm (4 inches).\n\n(e)  Roof and side structure integrity.  To demonstrate roof and side structure integrity, each passenger car shall comply with the following:\n\n(1)  Rollover strength.  (i) Each passenger car shall be designed to rest on its side and be uniformly supported at the top and bottom cords of the vehicle side. The allowable stress in the structural members of the occupied volumes for this condition shall be one-half yield or one-half the critical buckling stress, whichever is less. Local yielding to the outer skin of the passenger car is allowed provided that the resulting deformations in no way intrude upon the occupied volume of the car.\n\n(ii) Each passenger car shall also be designed to rest on its roof so that any damage in occupied areas is limited to roof extrusions. Other than roof extrusions, the allowable stress in the structural members of the occupied volumes for this condition shall be one-half yield or one-half the critical buckling stress, whichever is less. Local yielding to the outer skin, including the floor structure, of the car is allowed provided that the resulting deformations in no way intrude upon the occupied volume of the car. Deformation to the roof extrusions is allowed to the extent necessary to permit the vehicle to be supported directly on the top chords of the sides and ends.\n\n(2)  Side structure.  (i) The sum of the section moduli about a longitudinal axis, taken at the weakest horizontal section between the side sill and roof, of the extrusions on each side of the car located between the inside edge of the doors shall be not less than 3.95 x 105 mm\n 3  (24.1 in\n 3 ).\n\n(ii) The sum of the section moduli about a transverse axis, taken at the weakest horizontal section on each side of the car located between body corners shall be not less than 2.64 x 105 mm\n 3  (16.1 in\n 3 ).\n\n(iii) The minimum section moduli or thicknesses specified in paragraph (f)(2)(i) of this section shall be adjusted in proportion to the ratio of the yield strength of the material used to a value of 172 MPa (25 ksi).\n\n(iv) The combined thickness of the skin of the side structure extrusions shall not be less than 3 mm (0.125 inch) nominal thickness. The thicknesses shall be adjusted in proportion to the ratio of the yield strength of the material used to a value of 172 MPa (25 ksi).\n\n(f)  Bogie-to-carbody attachment.  (1) The bogie-to-carbody attachment shall utilize the service-proven design as used on the N700.\n\n(2) The bogie shall be securely attached to the carbody and designed to operate without failure under the operating conditions of the railroad, including expected mechanical shocks and vibrations."], ["49:49:4.1.1.1.55.4.138.20", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.439 Event recorders.", "FRA", "", "", "", "(a)  Duty to equip and record.  Each trainset shall be equipped with an operative event recorder that monitors and records as a minimum all safety data required by paragraph (b) of this section. The event recorder shall record the most recent 48 hours of operational data of the trainset on which it is installed.\n\n(b)  Equipment requirements.  Event recorders shall monitor and record data elements or information needed to support the data elements required by paragraph (c) of this section. The data shall be recorded with at least the accuracy required of the indicators displaying any of the required data elements to the driver.\n\n(c)  Data elements.  The event recorder shall be equipped with a certified crashworthy event recorder memory module that meets the requirements of appendix A to this part. The certified event recorder memory module shall be mounted for its maximum protection. The event recorder shall record, and the certified crashworthy event recorder memory module shall retain, the following data elements or information needed to support the data elements:\n\n(1) Trainset speed;\n\n(2) Selected direction of motion;\n\n(3) Date and time;\n\n(4) Distance traveled;\n\n(5) Throttle position;\n\n(6) Applications and operations of the trainset brake system, including urgent and emergency applications. The system shall record, or provide a means of determining, that a brake application or release resulted from manipulation of brake controls at the position normally occupied by the driver. In the case of a brake application or release that is responsive to a command originating from or executed by an on-board computer ( e.g.,  electronic braking system controller, controlling cab electronic control system, or trainset control computer), the system shall record, or provide a means of determining, the involvement of any such computer;\n\n(7) Applications and operations of the regenerative brake;\n\n(8) Cab signal aspect(s);\n\n(9) Urgent brake application(s);\n\n(10) Passenger brake alarm request;\n\n(11) Wheel slip/slide alarm activation (with a property-specific minimum duration);\n\n(12) Trainset number;\n\n(13) Trainset tractive effort (positive and negative);\n\n(14) Trainset brake cylinder pressures;\n\n(15) Cruise control on/off, if so equipped and used;\n\n(16) Bogie vibration detection;\n\n(17) Door status opened/closed; and\n\n(18) Safety-critical trainset control data routed to the controlling driver's display with which the driver is required to comply, specifically including text messages conveying mandatory directives and maximum authorized speed. The specific information format, content, and proposed duration for retention of such data shall be specified in the PTC Safety Plan submitted for the trainset control system under subpart B, subject to FRA approval. If it can be calibrated against other data required by this part, such trainset control data may, at the election of the railroad, be retained in a separate certified crashworthy memory module.\n\n(d)  Response to defective equipment.  A trainset on which the event recorder has been taken out of service may remain in-service only until the next pre-service inspection. A trainset with an inoperative event recorder is not deemed to be in improper condition, unsafe to operate, or a non-complying trainset under \u00a7 299.447.\n\n(e)  Annual tests.  (1) The railroad's inspection, testing, and maintenance program under subpart G of this part shall require annual testing of the event recorder. All testing under this section shall be performed at intervals that do not exceed 368 calendar days.\n\n(2) A microprocessor-based event recorder with a self-monitoring feature equipped to verify that all data elements required by this part are recorded, requires further maintenance and testing only if either of the following conditions exist:\n\n(i) The self-monitoring feature displays an indication of a failure. If a failure is displayed, further maintenance and testing must be performed until a subsequent test is successful. When a successful test is accomplished, a record, in any medium, shall be made of that fact and of any maintenance work necessary to achieve the successful result. This record shall be available at the location where the trainset is maintained until a record of a subsequent successful test is filed; or\n\n(ii) A download of the event recorder, taken within the preceding 30 days and reviewed for the previous 48 hours of trainset operation, reveals a failure to record a regularly recurring data element or reveals that any required data element is not representative of the actual operations of the trainset during this time period. If the review is not successful, further maintenance and testing shall be performed until a subsequent test is successful. When a successful test is accomplished, a record, in any medium, shall be made of that fact and of any maintenance work necessary to achieve the successful result. This record shall be kept at the location where the trainset is maintained until a record of a subsequent successful test is filed. The download shall be taken from information stored in the certified crashworthy crash hardened event recorder memory module.\n\n(f)  Preserving accident data.  If any trainset equipped with an event recorder, or any other trainset mounted recording device or devices designed to record information concerning the functioning of a trainset, is involved in an accident/incident that is required to be reported to FRA under part 225 of this chapter, the railroad shall, to the extent possible, and to the extent consistent with the safety of life and property, preserve the data recorded by each such device for analysis by FRA in accordance with \u00a7 299.11. This preservation requirement permits the railroad to extract and analyze such data, provided the original downloaded data file, or an unanalyzed exact copy of it, shall be retained in secure custody and shall not be utilized for analysis or any other purpose except by direction of FRA or the National Transportation Safety Board. This preservation requirement shall expire one (1) year after the date of the accident/incident unless FRA or the Board notifies the railroad in writing that the data are desired for analysis.\n\n(g)  Relationship to other laws.  Nothing in this section is intended to alter the legal authority of law enforcement officials investigating potential violation(s) of Federal or State criminal law(s), and nothing in this chapter is intended to alter in any way the priority of National Transportation Safety Board investigations under 49 U.S.C. 1131 and 1134, nor the authority of the Secretary of Transportation to investigate railroad accidents under 49 U.S.C. 5121, 5122, 20107, 20111, 20112, 20505, 20702, 20703, and 20902.\n\n(h)  Disabling event recorders.  Any individual who willfully disables an event recorder, or who tampers with or alters the data recorded by such a device is subject to civil penalty as provided in part 218 of this chapter, and to disqualification from performing safety-sensitive functions on a railroad under subpart D of part 209 of this chapter."], ["49:49:4.1.1.1.55.4.138.21", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.441 Trainset electronic hardware and software safety.", "FRA", "", "", "", "(a)  Purpose and scope.  The requirements of this section apply to all safety-critical electronic control systems, subsystems, and components on the trainsets, except for on-board signaling and trainset control system components that must meet the software safety requirements defined in subpart B of this part.\n\n(b)  Applicability.  (1) The trainsets shall utilize the service-proven safety-critical electronic control systems, subsystems, and components as used on the N700 to control and monitor safety-critical components.\n\n(2) Any modifications to the existing service-proven safety-critical electronic control systems, subsystems, and components shall be subject to the requirements defined in paragraph (c) of this section.\n\n(i) The railroad shall assure that the suppliers of new or modified safety-critical systems, subsystems, and components utilize an industry recognized hardware and software development process which is evaluated and certified by an independent third-party assessor authorized by the industry standard utilized.\n\n(ii) The railroad shall require that all suppliers submit the certifications and audit results as applicable. All such certifications shall be made available to FRA upon request.\n\n(3) Any major upgrades or introduction of new safety-critical technology shall be subject to \u00a7 299.613(d).\n\n(c)  Electronic hardware and software safety program.  The railroad shall develop and maintain a written electronic hardware and software safety program to guide the design, development, testing, integration, and verification of all new or modified safety-critical trainset hardware and software.\n\n(1)  Hardware and software safety program description.  The hardware and software safety program shall include a description of how the following will be implemented to ensure safety and reliability:\n\n(i) The hardware and software design process;\n\n(ii) The hardware and software design documentation;\n\n(iii) The hardware and software hazard analysis;\n\n(iv) Hardware and software safety reviews;\n\n(v) Hardware and software hazard monitoring and tracking;\n\n(vi) Hardware and software integration safety testing;\n\n(vii) Demonstration of overall hardware and software system safety as part of the pre-revenue service testing of the equipment; and\n\n(viii) Safety-critical changes and failures.\n\n(2)  Safety analysis.  The hardware and software safety program shall be based on a formal safety methodology that includes a FMECA; verification and validation testing for all hardware and software components and their interfaces; and comprehensive hardware and software integration testing to ensure that the hardware and software system functions as intended.\n\n(3)  Compliance.  The railroad shall comply with the elements of its hardware and software safety program that affect the safety of the passenger trainset.\n\n(4)  Safety-critical changes and failures.  Whenever a planned safety-critical design change is made to the safety-critical electronic control systems, subsystems and components (the products) that are in use by the railroad and subject to this subpart, the railroad shall\u2014\n\n(i) Notify FRA in accordance with \u00a7 299.9 of the design changes made by the product supplier;\n\n(ii) Ensure that the safety analysis required under paragraph (c)(2) of this section is updated as required;\n\n(iii) Conduct all safety-critical changes in a manner that allows the change to be audited;\n\n(iv) Document all arrangements with suppliers for notification of all electronic safety-critical changes as well as safety-critical failures in the supplier's system, subsystem, or components, and the reasons for that change or failure from the suppliers, whether or not the railroad has experienced a failure of that safety-critical system, sub-system, or component;\n\n(v) Specify the railroad's procedures for action upon receipt of notification of a safety-critical change or failure of an electronic system, sub-system, or component, and until the upgrade or revision has been installed;\n\n(vi) Identify all configuration/revision control measures designed to ensure that safety-functional requirements and safety-critical hazard mitigation processes are not compromised as a result of any such change, and that any such change can be audited;\n\n(vii) Require suppliers to provide notification of all electronic safety-critical changes as well as safety-critical failures in the supplier's system, subsystem, or components;\n\n(ix) Document all arrangements with suppliers for notification of any and all electronic safety-critical changes as well as safety-critical failures in the supplier's system, subsystem, or components.\n\n(d)  Specific requirements.  Hardware and software that controls or monitors a trainset's primary braking system shall either\u2014\n\n(1) Fail safely by initiating an emergency or urgent brake application in the event of a hardware or software failure that could impair the ability of the driver to apply or release the brakes; or\n\n(2) Provide the driver access to direct manual control of the primary braking system (emergency or urgent braking).\n\n(e)  Inspection, testing, and maintenance records.  The inspection, testing, and maintenance conducted by the railroad in accordance with \u00a7 299.445 shall be recorded in hardcopy or stored electronically. Electronic recordkeeping or automated tracking systems, subject to the provisions contained in \u00a7 299.11, may be utilized to store and maintain any testing or training record required by this subpart. Results of product testing conducted by a vendor in support of a safety analysis shall be provided to and recorded by the railroad.\n\n(1) The testing records shall contain all of the following:\n\n(i) The name of the railroad;\n\n(ii) The location and date that the test was conducted;\n\n(iii) The equipment tested;\n\n(iv) The results of tests;\n\n(v) The repairs or replacement of equipment;\n\n(vi) Any preventative adjustments made; and\n\n(vii) The condition in which the equipment is left.\n\n(2) Each record shall be\u2014\n\n(i) Signed by the employee conducting the test, or electronically coded, or identified by the automated test equipment number;\n\n(ii) Filed in the office of a supervisory official having jurisdiction, unless otherwise noted; and\n\n(iii) Available for inspection and copying by FRA.\n\n(3) The results of the testing conducted in accordance with this section shall be retained as follows:\n\n(i) The results of tests that pertain to installation or modification of a product shall be retained for the life-cycle of the product tested and may be kept in any office designated by the railroad;\n\n(ii) The results of periodic tests required for the maintenance or repair of the product tested shall be retained until the next record is filed and in no case less than one year; and\n\n(iii) The results of all other tests and training shall be retained until the next record is filed and in no case less than one year.\n\n(f)  Review of safety analysis.  (1) Prior to the initial planned use of a new product as defined by paragraphs (b)(2) or (3) of this section, the railroad shall notify FRA in accordance with \u00a7 299.9 of the intent to place this product in service. The notification shall provide a description of the product, and identify the location where the complete safety analysis documentation and the testing are maintained.\n\n(2) The railroad shall maintain and make available to FRA upon request all railroad or vendor documentation used to demonstrate that the product meets the safety requirements of the safety analysis for the life-cycle of the product.\n\n(g)  Hazard tracking.  After a new product is placed in service in accordance with paragraphs (b)(2) or (3) of this section, the railroad shall maintain a database of all safety-relevant hazards encountered with the product. The database shall include all hazards identified in the safety analysis and those that had not been previously identified in the safety analysis. If the frequency of the safety-relevant hazards exceeds the threshold set forth in the safety analysis, then the railroad shall\u2014\n\n(1) Report the inconsistency to the Associate Administrator, within 15 days of discovery in accordance with \u00a7 299.9;\n\n(2) Take immediate countermeasures to reduce the frequency of the safety-relevant hazard(s) below the threshold set forth in the safety analysis;\n\n(3) Provide a final report to the Associate Administrator, on the results of the analysis and countermeasures taken to mitigate the hazard to meet the threshold set forth in the safety analysis when the problem is resolved. For hazards not identified in the safety analysis the threshold shall be exceeded at one occurrence; and\n\n(4) Electronic or automated tracking systems used to meet the requirements contained in paragraph (g) of this section shall be in accordance with \u00a7 299.11.\n\n(h)  Operations and maintenance manual.  The railroad shall maintain all supplier or vendor documents pertaining to the operation, installation, maintenance, repair, modification, inspection, and testing of the safety-critical electronic control systems, subsystems and components.\n\n(i)  Training and qualification program.  Under \u00a7 299.13(c)(3), the railroad shall establish and implement a training and qualification program for the safety-critical electronic control systems, subsystems, and components subject to subpart G of this part prior to the safety-critical electronic control systems, subsystems, and components being placed in use.\n\n(j)  Operating personnel training.  The training program required by \u00a7 299.13(c)(3) for any driver or other person who participates in the operation of a trainset using the safety-critical electronic control systems, subsystems and components shall address all the following elements:\n\n(1) Familiarization with the electronic control system equipment on-board the trainset and the functioning of that equipment as part of the system and in relation to other on-board systems under that person's control;\n\n(2) Any actions required of the operating personnel to enable or enter data into the system and the role of that function in the safe operation of the trainset;\n\n(3) Sequencing of interventions by the system, including notification, enforcement, and recovery from the enforcement as applicable;\n\n(4) Railroad operating rules applicable to control systems, including provisions for movement and protection of any unequipped passenger equipment, or passenger equipment with failed or cut-out controls;\n\n(5) Means to detect deviations from proper functioning of on-board electronic control system equipment and instructions explaining the proper response to be taken regarding control of the trainset and notification of designated railroad personnel; and\n\n(6) Information needed to prevent unintentional interference with the proper functioning of on-board electronic control equipment."], ["49:49:4.1.1.1.55.4.138.22", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.443 Safety appliances.", "FRA", "", "", "", "(a)  Couplers.  (1) The leading and trailing ends of each trainset shall be equipped with an automatic rescue coupler that couples on impact.\n\n(i) Uncoupling of the rescue coupler shall be done only at a trainset maintenance facility or other location where personnel can safely get under or between units.\n\n(ii) The leading and the trailing ends of a trainset are not required to be equipped with sill steps or end or side handholds.\n\n(2) The leading and trailing end couplers and uncoupling devices may be stored within a removable shrouded housing.\n\n(3) Leading and trailing automatic couplers of trainsets shall be compatible with the railroad's rescue vehicles. A coupler adaptor can be used to meet this requirement.\n\n(4) The railroad shall develop and implement rescue procedures that assure employee safety during rescue operations and shall be contained in the railroad's operating rules.\n\n(5) Each unit within a trainset shall be semi-permanently coupled and shall only be uncoupled at a trainset maintenance facility or other locations identified by the railroad where the protections afforded in subpart B of part 218 of this chapter can be applied.\n\n(6) The ends of units in a trainset that are semi-permanently coupled are not required to be equipped with automatic couplers, sill steps, end handholds or side handholds.\n\n(b)  Crew access.  (1) Each trainset shall provide a minimum of two (2) locations per side, where crew members can board or disembark the trainset safely from ground level.\n\n(2) Each location used for crew access shall be equipped with retractable stairs with handrails designed for safe access to the trainset from ground level."], ["49:49:4.1.1.1.55.4.138.23", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.445 Trainset inspection, testing, and maintenance requirements.", "FRA", "", "", "", "(a)  General.  (1) The railroad shall develop a written inspection program for the rolling stock, in accordance with and approved under the requirements of \u00a7 299.713. As further specified in this section, the program shall describe in detail the procedures, equipment, and other means necessary for the safe operation of the passenger equipment, including all inspections set forth in paragraph (e) of this section. This information shall include a detailed description of the methods of ensuring accurate records of required inspections.\n\n(2) The initial inspection, testing, and maintenance program submitted under \u00a7 299.713 shall, as a minimum, address the specific safety inspections contained in paragraphs (e)(1) through (4) of this section. The railroad may submit the procedures detailing the bogie inspections or general overhaul requirements contained in paragraph (e)(3) and (4) of this section, respectively, at a later date than the initial inspection, testing, and maintenance program, but not less than 180 days prior to the scheduled date of the first bogie inspection or general overhaul.\n\n(b)  Identification of safety-critical items.  In addition to safety critical items identified under \u00a7 299.711(b), on-board emergency equipment, emergency back-up systems, trainset exits and trainset safety-critical hardware and software systems in accordance with \u00a7 299.441 shall be deemed safety-critical.\n\n(c)  Compliance.  The railroad shall adopt and comply with the approved inspection, testing, and maintenance program in accordance with \u00a7 299.703.\n\n(d)  General condition.  The inspection, testing, and maintenance program shall ensure that all systems and components of the equipment are free of conditions that endanger the safety of the crew, passengers, or equipment. These conditions include, but are not limited to the following:\n\n(1) A continuous accumulation of oil or grease;\n\n(2) Improper functioning of a component;\n\n(3) A crack, break, excessive wear, structural defect, or weakness of a component;\n\n(4) A leak;\n\n(5) Use of a component or system under conditions that exceed those for which the component or system is designed to operate; and\n\n(6) Insecure attachment of a component.\n\n(e)  Specific safety inspections.  The program under paragraph (a) of this section shall specify that all passenger trainsets shall receive thorough safety inspections by qualified individuals designated by the railroad at regular intervals. At a minimum, and in addition to the annual tests required for event recorder under \u00a7 299.439(e), the following shall be performed on each trainset:\n\n(1)  Pre-service inspections.  (i) Each trainset in use shall be inspected at least once every two calendar days by qualified individuals at a location where there is a repair pit and access to the top of the trainset. The inspection shall verify the correct operation of on-board safety systems defined in the inspection, testing, and maintenance program. If any of the conditions defined as safety-critical in paragraph (b) of this section and \u00a7 299.711(b) are found during this inspection, the trainset shall not be put into service until that condition is rectified. The pre-service inspection shall include the following:\n\n(A) Functional tests to determine the status of application and release of the service, emergency, and urgent air brakes using the monitoring system;\n\n(B) Operational tests of the exterior doors; and\n\n(C) A review of the log of on-board ATC equipment.\n\n(ii) If the existence of any safety-critical conditions cannot be determined by use of an automated monitoring system, the railroad shall perform a visual inspection to determine if the condition exists.\n\n(2)  Regular inspections.  The railroad shall perform a regular inspection on all trainsets in accordance with the test procedures and inspection criteria established in paragraph (a) of this section and at the intervals defined by paragraph (f) of this section. If any of the conditions defined as safety-critical in paragraph (b) of this section and \u00a7 299.711(b) are found during this inspection, the trainset shall not be put into service until that condition is rectified.\n\n(3)  Bogie inspections.  The railroad shall perform a bogie inspection on all trainsets in accordance with the test procedures and inspection criteria established in paragraph (a) of this section and at the intervals defined by paragraph (f) of this section. If any of the conditions defined as safety-critical in paragraph (b) of this section and \u00a7 299.711(b) are found during this inspection, the trainset shall not be put into service until that condition is rectified.\n\n(4)  General overhaul.  The railroad shall perform a general overhaul on all trainsets in accordance with the test procedures and inspection criteria established in paragraph (a) of this section and at the intervals defined by paragraph (f) of this section. If any of the conditions defined as safety-critical in paragraph (b) of this section and \u00a7 299.711(b) are found during this inspection, the trainset shall not be put into service until that condition is rectified.\n\n(f)  Maintenance intervals.  The railroad's program established pursuant to paragraph (a) of this section shall include the railroad's scheduled maintenance intervals for all specific safety inspections in paragraph (e) of this section, as required by \u00a7 299.707.\n\n(g)  Training and qualification program.  The railroad shall establish a training and qualification program as defined in \u00a7 299.13(c)(3) to qualify individuals to perform inspections, testing, and maintenance on the equipment. Only qualified individuals shall perform inspections, testing, and maintenance of the equipment.\n\n(h)  Reporting and tracking of repairs to defective trainsets.  The railroad shall have in place prior to start of operations a reporting and tracking system for passenger trainsets with a defect not in conformance with this subpart. The reporting and tracking system shall record the following information:\n\n(1) The identification number of the defective unit within a trainset, and trainset identification number;\n\n(2) The date the defect was discovered;\n\n(3) The nature of the defect;\n\n(4) The determination made by a qualified individual whether the equipment is safe to run;\n\n(5) The name of the qualified individual making such a determination;\n\n(6) Any operating restrictions placed on the equipment; and\n\n(7) Repairs made and the date that they were completed.\n\n(i)  Retention of records.  At a minimum, the railroad shall keep the records described in paragraph (j) of each required inspection under this section in accordance with \u00a7 299.11. Each record shall be maintained for at least one year from the date of the inspection.\n\n(j)  Availability of records.  The railroad shall make defect reporting and tracking records available to FRA upon request.\n\n(k)  Brake system repair points.  The railroad shall designate brake system repair points in the inspection, testing, and maintenance program required by paragraph (a) of this section. No trainset shall depart a brake system repair point unless that trainset has a 100 percent operational brake system."], ["49:49:4.1.1.1.55.4.138.24", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.447 Movement of defective equipment.", "FRA", "", "", "", "(a) A trainset with one or more conditions not in compliance with the list of safety critical defects identified in accordance with \u00a7 299.445(b) during a pre-service inspection required by \u00a7 299.445(e)(1) shall not be moved in revenue service and shall only be moved in accordance with paragraph (e) of this section.\n\n(b) Except as provided in paragraph (c) of this section, and after departure in compliance with the pre-service inspection required by \u00a7 299.445(e)(1), a trainset with one or more conditions not in compliance with the list of safety critical defects identified in accordance with \u00a7\u00a7 299.445(b) and 299.711(b) may be moved in revenue service only after the railroad has complied with all of the following:\n\n(1) A qualified individual determines that it is safe to move the trainset, consistent with the railroad's operating rules;\n\n(i) If appropriate, these determinations may be made based upon a description of the defective condition provided by a crewmember.\n\n(ii) If the determinations required by this paragraph are made by an off-site qualified individual based on a description of the defective condition by on-site personnel, then a qualified individual shall perform a physical inspection of the defective equipment, at the first location possible, in accordance with the railroad's inspection, testing, and maintenance program and operating rules, to verify the description of the defect provided by the on-site personnel.\n\n(2) The qualified individual who made the determination in paragraph (b)(1) of this section, notifies the driver in charge of movement of the trainset, in accordance with the railroad's operating rules, of the maximum authorized speed, authorized destination, and any other operational restrictions that apply to the movement of the non-compliant trainset. This notification may be achieved through the tag required by paragraph (b)(3) of this section; and\n\n(3) A tag bearing the words \u201cnon-complying trainset\u201d and containing the following information, are securely attached to the control stand on each control cab of the trainset:\n\n(i) The trainset number and unit or car number;\n\n(ii) The name of the qualified individual making the determination in paragraph (b)(1) of this section;\n\n(iii) The location and date of the inspection that led to the discovery of the non-compliant item;\n\n(iv) A description of each defect;\n\n(v) Movement restrictions, if any;\n\n(vi) The authorized destination of the trainset; and\n\n(vii) The signature, if possible, as well as the job title and location of the person making the determinations required by this section.\n\n(4) Automated tracking systems used to meet the tagging requirements contained in paragraph (b)(3) of this section may be reviewed and monitored by FRA at any time to ensure the integrity of the system. FRA's Associate Administrator may prohibit or revoke the railroad's ability to utilize an automated tracking system in lieu of tagging if FRA finds that the automated tracking system is not properly secure, is inaccessible to FRA or the railroad's employees, or fails to track or monitor the movement of defective equipment adequately. Such a determination will be made in writing and will state the basis for such action.\n\n(c) A trainset that develops a non-complying condition in service may continue in revenue service, so long as the requirements of paragraph (b) of this section are otherwise fully met, until the next pre-service inspection.\n\n(d) In the event of an in-service failure of the braking system, the trainset may proceed in accordance with the railroad's operating rules relating to the percentage of operative brakes and at a speed no greater than the maximum authorized speed as determined by \u00a7 299.409(f)(4) so long as the requirements of paragraph (b) of this section are otherwise fully met, until the next pre-service inspection.\n\n(e) A non-complying trainset may be moved without passengers within a trainset maintenance facility, at speeds not to exceed 16 km/h (10 mph), without meeting the requirements of paragraph (a) of this section where the movement is solely for the purpose of repair. The railroad shall ensure that the movement is made safely.\n\n(f) Nothing in this section authorizes the movement of equipment subject to a Special Notice for Repair under part 216 of this chapter unless the movement is made in accordance with the restrictions contained in the Special Notice."], ["49:49:4.1.1.1.55.4.138.25", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.449 Trainset image and audio recording system.", "FRA", "", "", "[88 FR 70764, Oct. 12, 2023]", "(a)  Duty to equip and record.  (1) Each trainset used in revenue service must be equipped with an image recording system comprised of\u2014\n\n(i) Outward-facing image recording devices capable of recording images of the right-of-way ahead of the trainset in the direction of travel as further described in paragraph (b) of this section; and,\n\n(ii) Inward-facing image recording devices capable of recording images of crewmember activities inside the leading trainset cab as further described in paragraph (c) of this section.\n\n(2) The image recording system must be turned on and recording whenever a trainset is in motion, at all speeds. If operating circumstances cause the controlling cab to be other than the cab of the leading end of the trainset, the railroad must also record images of activities inside the controlling cab.\n\n(3) The trainset image recording system shall record at a minimum the most recent 12 hours of operation of a leading trainset cab used in revenue service.\n\n(4) Image recording device data for each leading trainset cab used in revenue service shall be recorded on a memory module meeting the requirements for a certified crashworthy event recorder memory module described in appendix A to this part or on an alternative, remote storage system that provides at least equivalent data protections and is approved by FRA under paragraph (g) of this section.\n\n(b)  Outward-facing recording device requirements for leading trainset cabs used in revenue service.  The image recording system shall\u2014\n\n(1) Include an image recording device aimed parallel to the centerline of tangent track within the gauge on the leading end of the trainset;\n\n(2) Be able to distinguish the signal aspects displayed by go/no-go signals;\n\n(3) Record at a minimum frame rate of 15 frames per second (or its equivalent);\n\n(4) Have sufficient resolution, as defined by the railroad in the railroad's inspection, testing, and maintenance program under \u00a7 299.445, to record the position of switch points in advance of the trainset at speeds of 170 km/h (106 mph) and below, and to capture images in daylight or with normal nighttime illumination from the headlight of the trainset; and\n\n(5) Include an accurate time and date stamp on image recordings.\n\n(c)  Inward-facing image recording device requirements for leading trainset cabs used in revenue service.  (1) The image recording system shall include an image recording device positioned to provide complete coverage of all areas of the leading trainset cab where a crewmember typically may be positioned, including complete coverage of the instruments and controls required to operate the trainset in normal use, and\u2014\n\n(i) Have sufficient resolution, as defined in the railroad's inspection, testing, and maintenance program under \u00a7 299.445, to record crewmember actions;\n\n(ii) Record at a minimum frame rate of 5 frames per second;\n\n(iii) Be capable of using ambient light in the cab, and when ambient light levels drop too low for normal operation, automatically switch to infrared or another operating mode that enables the recording sufficient clarity to comply with the requirements of this paragraph (c)(1); and\n\n(iv) Include an accurate time and date stamp on image recordings.\n\n(2) Inward-facing image recording devices shall not be installed in a location where the device can record activities within a trainset cab's sanitation compartment, as defined in \u00a7 229.5 of this chapter, and shall not be used to make recordings of any activities within a trainset cab's sanitation compartment.\n\n(3) If a leading trainset cab used in revenue service experiences a technical failure of its inward-facing image recording system, then the system shall be removed from service and handled in accordance with paragraph (i) of this section.\n\n(d)  Image recording system protection requirements for leading trainset cabs used in revenue service.  The railroad must provide convenient wired or wireless connections to allow authorized railroad personnel to download audio or image recordings from any certified crashworthy event recorder memory module in leading trainset cabs used in revenue service. The railroad also must use electronic security measure(s), and apply appropriate cybersecurity measures, to prevent unauthorized access to, and download, deletion, or alteration of, the recording system or its recordings.\n\n(e)  Inspection, testing, and maintenance for image recording systems in leading trainset cabs used in revenue service.  (1) The image recording system in trainsets used in revenue service shall have self-monitoring features to assess whether the system is operating properly, including whether the system is powered on.\n\n(2) Periodic inspection requirements for the trainset image recording system shall be defined in the railroad's inspection, testing, and maintenance program required under \u00a7 299.445. As part of the periodic inspection, the railroad shall take sample download(s) from the image recording system's crashworthy memory module to confirm proper operation of the system, and, if necessary, repair the system to full operation.\n\n(f)  Handling of recordings -(1)  Chain-of-custody procedure.  The railroad shall develop, adopt, maintain, and comply with a chain-of-custody procedure governing the handling and the release of the image recordings described in paragraphs (a) through (c) of this section and any audio recordings. The chain-of-custody procedure must specifically address the preservation and handling requirements for post-accident/incident recordings provided to FRA or other Federal agencies under paragraph (f)(2) of this section.\n\n(2)  Accident/incident preservation.  If any trainset equipped with an image or audio recording system is involved in an accident/incident that must be reported to FRA under part 225 of this chapter, the railroad shall, to the extent possible, and to the extent consistent with the safety of life and property, preserve the data recorded by the system for analysis by FRA or other Federal agencies. The railroad must either provide the image and/or audio data in a format readable by FRA or other Federal agencies; or make available to FRA or other Federal agencies any platform, software, media device, etc., that is required to play back the image and/or audio data. This preservation requirement shall expire one year after the date of the accident unless FRA or another Federal agency notifies the railroad in writing that it must preserve the recording longer. The railroad may extract and analyze such data for the purposes described in paragraph (f)(3) of this section, only if\u2014\n\n(i) The original downloaded data file, or an unanalyzed exact copy of it, is retained in secure custody under the railroad's procedure adopted under paragraph (f)(1) of this section; and\n\n(ii) It is not utilized for analysis or any other purpose, except by direction of FRA or another Federal agency.\n\n(3)  Recording uses.  Subject to the conditions specified in paragraph (f)(2) of this section, the railroad may use image and audio recordings from a leading trainset cab used in revenue service subject to this section to\u2014\n\n(i) Investigate an accident/incident that is required to be reported to FRA under part 225 of this chapter;\n\n(ii) Investigate a violation of a Federal railroad safety law, regulation, or order, or the railroad's operating rules and procedures;\n\n(iii) Conduct an operational test under \u00a7 299.505;\n\n(iv) Monitor for unauthorized occupancy of a trainset's cab or operating compartment;\n\n(v) Investigate a violation of a criminal law;\n\n(vi) Assist Federal agencies in the investigation of a suspected or confirmed act of terrorism; or\n\n(vii) Perform inspection, testing, maintenance, or repair activities to ensure the proper installation and functioning of an image or audio recorder as required under paragraph (e)(2) of this section.\n\n(g)  Image recording system approval process.  The railroad must submit for approval a description of the technical aspects of its trainset image recording system installed pursuant this section. The required description must be submitted via electronic mail to the following email address:  FRARRSMPE@dot.gov.\n\n(1) The description must specifically address the image recording system's\u2014\n\n(i) Minimum 12-hour continuous recording capability;\n\n(ii) Crashworthiness; and\n\n(iii) Post-accident accessibility of the system's recordings.\n\n(2) The railroad must submit the written statement not less than 90 days before the installation of such image recording system.\n\n(3) The Associate Administrator will review the railroad's description and may approve, or disapprove, the image recording system if it does not meet the requirements of this section. FRA may disapprove any recording systems that do not meet the requirements of this section.\n\n(h)  Relationship to other laws.  Nothing in this section is intended to alter the legal authority of law enforcement officials investigating potential violation(s) of State criminal law(s), and nothing in this section is intended to alter in any way the priority of investigations under 49 U.S.C. 1131 and 1134, or the authority of the Secretary of Transportation to investigate railroad accidents under 49 U.S.C. 5121, 5122, 20107, 20111, 20112, 20505, 20702, 20703, and 20902.\n\n(i)  Removal of an image recording system or device from service and handling for repair.  (1) Notwithstanding the duty established in paragraph (a) of this section to equip trainsets cabs used in revenue service with an image recording system, the railroad\u2014\n\n(i) May remove from service the entire image recording system or an image recording device in a leading trainset cab used in revenue service for any reason.\n\n(ii) Must remove from service the entire image recording system or an image recording device in a leading trainset cab used in revenue service if the railroad knows the system or device is not properly recording.\n\n(2) When a railroad removes the entire image recording system or an image recording device in a leading trainset cab used in revenue service from service, a qualified person shall record the date the system or device was removed from service in the trainset's maintenance records.\n\n(3) A trainset on which the entire image recording system, or an image recording device in a leading trainset cab used in revenue service, has been taken out of service as provided in paragraphs (i)(1)(i) or (ii) of this section may be used as a leading trainset cab in revenue service only until the next pre-service inspection required under the railroad's inspection, testing, and maintenance program.\n\n(4) A trainset with an image recording device that has been taken out of service on only one cab end may be used in revenue service beyond the next pre-service inspection without repair provided the other cab end is the leading end of the trainset and the image recording system is otherwise operative for that cab end.\n\n(5) A trainset with an inoperative image recording device alone is not deemed to be in an improper condition, unsafe to operate, or non-complying under \u00a7 299.447. However, a trainset with an entire image record system taken out of service or image recording devices taken out service in both cab ends, may not be used in revenue service beyond the next pre-service inspection required under the railroad's inspection, testing, and maintenance program without repair or replacement of the non-operative system or devices.\n\n(j)  Disabling or interfering with locomotive-mounted audio and video recording equipment.  Any individual who willfully disables or interferes with the intended functioning of image or audio recording system equipment mounted in a leading trainset cab used in revenue service, or who tampers with or alters the data recorded by such equipment, is subject to a civil penalty and to disqualification from performing safety-sensitive functions on a railroad as provided in parts 209 and 218 of this chapter.\n\n(k)  Employee protections.  (1) If inward-facing image or in-cab audio trainset recordings are utilized to conduct operational tests and inspections under \u00a7 299.505, the railroad shall adopt and comply with a procedure in its operational tests and inspections program that ensures employees are randomly subject to such operational tests and inspections involving image or audio recordings. The procedure adopted must:\n\n(i) Establish objective, neutral criteria to ensure every employee subject to such operational tests and inspections is selected randomly for such operational tests and inspections within a specified time frame;\n\n(ii) Not permit subjective factors to play a role in selection,  i.e.,  no employee may be selected based on the exercise of the railroad's discretion; and\n\n(iii) Require that any operational test or inspection using trainset image or audio recordings be performed within 72 hours of the completion of the employee's tour of duty that is the subject of the operational test. Any operational test performed more than 72 hours after the completion of the tour of duty that is the subject of the test is a violation of this section. The 72-hour limitation does not apply to investigations of railroad accidents/incidents or to violations of Federal railroad safety laws, regulations, or orders, or any criminal laws.\n\n(2) FRA may review the railroad's procedure implementing paragraph (k)(1) of this section, and, for cause stated, may disapprove such procedure under \u00a7 299.505(h)."], ["49:49:4.1.1.1.55.4.138.3", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.405 Trainset interiors.", "FRA", "", "", "", "(a)  Interior fittings.  Interior fittings of trainsets shall be\u2014\n\n(1) Securely attached and designed to operate without failure under the conditions typically found in passenger rail equipment including expected mechanical vibrations, and shock.\n\n(2) To the extent possible, all interior fittings shall be recessed or flush mounted. Corners and/or sharp edges shall be either avoided or padded to mitigate the consequence of impact with such surfaces.\n\n(b)  Luggage stowage.  (1) Luggage stowage racks shall slope downward in the outboard direction at a minimum ratio of 1:8 with respect to a horizontal plane to provide lateral restraint for stowed articles.\n\n(2) Luggage stowage compartments shall provide longitudinal restraint for stowed articles."], ["49:49:4.1.1.1.55.4.138.4", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.407 Glazing.", "FRA", "", "", "", "(a)  General.  The railroad shall install glazing systems compliant with the requirements defined in this section.\n\n(b)  Trainset glazing; end-facing.  (1) Each end-facing exterior window of the trainset shall comply with the requirements for large object and ballistic impact scenarios as defined in this section.\n\n(2) Each end-facing exterior window of the trainset shall demonstrate compliance with the following requirements for the large object impact test.\n\n(i) The glazing article shall be impacted with a cylindrical projectile that complies with the following design specifications as depicted in Figure 1 to paragraph (b)(2)(i)(D) of this section:\n\n(A) The projectile shall be constructed of aluminum alloy such as ISO 6362-2:1990, grade 2017A, or its demonstrated equivalent;\n\n(B) The projectile end cap shall be made of steel;\n\n(C) The projectile assembly shall weigh 1 kilogram (kg) (\u22120, +0.020 kg) or 2.2 lbs (\u22120, +0.044 lbs) and shall have a hemispherical tip. Material may be removed from the interior of the aluminum portion to adjust the projectile mass according to the prescribed tolerance. The hemispherical tip shall have a milled surface with 1 mm (0.04 inches) grooves; and\n\n(D) The projectile shall have an overall diameter of 94 mm (3.7 inches) with a nominal internal diameter of 70 mm (2.76 inches).\n\n(ii) The test of the glazing article shall be deemed satisfactory if the test projectile does not penetrate the glazing article, the glazing article remains in its frame, and the witness plate is not marked by spall.\n\n(iii) A new projectile shall be used for each test.\n\n(iv) The glazing article to be tested shall be that which has the smallest area for each design type. For the test, the glazing article shall be fixed in a frame of the same construction as that mounted on the vehicle.\n\n(v) A minimum of four tests shall be conducted and all must be deemed satisfactory. Two tests shall be conducted with the complete glazing article at 0 \u00b0C \u00b1 0.5 \u00b0C (32 \u00b0F \u00b1 0.9 \u00b0F) and two tests shall be conducted with the complete glazing article at 20 \u00b0C \u00b1 5 \u00b0C (68 \u00b0F \u00b1 9 \u00b0F). For the tests to be valid it shall be demonstrated that the core temperature of the complete glazing article during each test is within the required temperature range.\n\n(vi) The test glazing article shall be mounted at the same angle relative to the projectile path as it will be to the direction of travel when mounted on the vehicle.\n\n(vii) The projectile's impact velocity shall equal the maximum operating speed of the trainset plus 160 km/h (100 mph). The projectile velocity shall be measured within 4 m (13 feet) of the point of impact.\n\n(viii) The point of impact shall be at the geometrical center of the glazing article.\n\n(3) Representative samples for large object impact testing of large end-facing cab glazing articles may be used, instead of the actual design size provided that the following conditions are met:\n\n(i) Testing of glazing articles having dimensions greater than 1,000 mm by 700 mm (39.4 by 27.6 inches), excluding framing, may be performed using a flat sample having the same composition as the glazing article for which compliance is to be demonstrated. The glazing manufacturer shall provide documentation containing its technical justification that testing a flat sample is sufficient to verify compliance of the glazing article with the requirements of this paragraph.\n\n(ii) Flat sample testing is permitted only if no surface of the full-size glazing article contains curvature whose radius is less than 2,500 mm (98 inches); and when a complete, finished, glazing article is laid (convex side uppermost) on a flat horizontal surface, the distance, (measured perpendicularly to the flat surface) between the flat surface and the inside face of the glazing article is not greater than 200 mm (8 inches).\n\n(4) End-facing glazing shall demonstrate sufficient resistance to spalling, as verified by the large impact projectile test under the following conditions:\n\n(i) An annealed aluminum witness plate of maximum thickness 0.15 mm (0.006 inches) and of dimension 500 mm by 500 mm (19.7 by 19.7 inches) is placed vertically behind the sample under test, at a horizontal distance of 500 mm (19.7 inches) from the point of impact in the direction of travel of the projectile or the distance between the point of impact of the projectile and the location of the driver's eyes in the driver's normal operating position, whichever is less. The center of the witness plate is aligned with the point of impact.\n\n(ii) Spalling performance shall be deemed satisfactory if the aluminum witness plate is not marked.\n\n(iii) For the purposes of this part, materials used specifically to protect the cab occupants from spall ( i.e.,  spall shields) shall not be required to meet the flammability and smoke emission performance requirements of \u00a7 299.413.\n\n(5) Each end-facing exterior window in a cab shall, at a minimum, provide ballistic penetration resistance that meets the requirements of appendix A to part 223 of this chapter.\n\n(c)  Trainset glazing; side-facing.  Except as provided in paragraph (d) of this section, each side-facing exterior window in a trainset shall comply with the requirements for Type II glazing as defined in part 223 of this chapter or other alternative standard approved by FRA.\n\n(d)  Side-facing breakable glazing.  A side-facing exterior window intended to be breakable and serve as an emergency egress window may comply with an alternative standard approved for use by FRA under \u00a7 299.15.\n\n(e)  Certification of Glazing Materials.  Glazing materials shall be certified in accordance with the following procedures:\n\n(1) Each manufacturer that provides glazing materials, intended by the manufacturer for use in achieving compliance with the requirements of this subpart, shall certify that each type of glazing material being supplied for this purpose has been successfully tested in accordance with this section and that test verification data are available to the railroad or to FRA upon request.\n\n(2) Tests performed on glazing materials for compliance with this part shall be conducted by either\u2014\n\n(i) An independent third party (lab, facility, underwriter); or\n\n(ii) The glazing manufacturer, providing FRA with the opportunity to witness all tests by written notice, a minimum of 30 days prior to testing.\n\n(3) Any glazing material certified to meet the requirements of this part shall be re-certified if any change is made to the glazing that may affect its mechanical properties or its mounting arrangement on the vehicle.\n\n(4) All certification/re-certification documentation shall be made available to FRA upon request. The test verification data shall contain all pertinent original data logs and documentation that the selection of material samples, test set-ups, test measuring devices, and test procedures were performed by qualified individuals using recognized and acceptable practices and in accordance with this section.\n\n(5) Glazing shall be marked in the following manner:\n\n(i) Each end-facing exterior window in a cab shall be permanently marked, prior to installation, in such a manner that the marking is clearly visible after the material has been installed. The marking shall include:\n\n(A) The words \u201cFRA TYPE IHS\u201d to indicate that the material meets the requirements specified in paragraph (b) of this section;\n\n(B) The manufacturer of the material; and\n\n(C) The type or brand identification of the material.\n\n(ii) Each side-facing exterior window in a trainset shall be permanently marked, prior to installation, in such a manner that the marking is clearly visible after the material has been installed. The marking shall include:\n\n(A) The words \u201cFRA TYPE II\u201d to indicate that the material meets the requirements specified in paragraph (c) of this section;\n\n(B) The manufacturer of the material; and\n\n(C) The type or brand identification of the material.\n\n(f)  Glazing securement.  Each exterior window shall remain in place when subjected to\u2014\n\n(1) The forces due to air pressure differences caused when two trainsets pass at the minimum separation for two adjacent tracks, while traveling in opposite directions, each trainset traveling at the maximum approved trainset speed in accordance with \u00a7 299.609(g); and\n\n(2) The impact forces that the exterior window is required to resist as specified in this section."], ["49:49:4.1.1.1.55.4.138.5", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.409 Brake system.", "FRA", "", "", "", "(a)  General.  The railroad shall demonstrate through analysis and testing the maximum safe operating speed for its trainsets that results in no thermal damage to equipment or infrastructure during normal operation of the brake system.\n\n(b)  Minimum performance requirement for brake system.  Each trainset's brake system, under the worst-case adhesion conditions as defined by the railroad, shall be capable of stopping the trainset from its maximum operating speed within the signal spacing existing on the track over which the trainset is operating.\n\n(c)  Urgent brake system.  A trainset shall be provided with an urgent brake application feature that produces an irretrievable stop. An urgent brake application shall be available at any time, and shall be initiated by an unintentional parting of the trainset or by the trainset crew from the conductor rooms.\n\n(d)  Application/release indication.  The brake system shall be designed so that an inspector may determine whether the brake system is functioning properly without being placed in a dangerous position on, under or between the equipment. This determination may be made through automated monitoring system that utilizes sensors to verify that the brakes have been applied and released.\n\n(e)  Passenger brake alarm.  (1) A means to initiate a passenger brake alarm shall be provided at two locations in each unit of a trainset. The words \u201cPassenger Brake Alarm\u201d shall be legibly stenciled or marked on each device or on an adjacent badge plate.\n\n(2) All passenger brake alarms shall be installed so as to prevent accidental activation.\n\n(3) When a passenger brake alarm is activated, it shall initiate an emergency brake application. The emergency brake application can be overridden by the driver so that the trainset can be stopped at a safe location.\n\n(4) To retrieve the emergency brake application described in paragraph (e)(3) of this section, the driver must activate appropriate controls to issue a command for brake application as specified in the railroad's operating rules.\n\n(f)  Degraded brake system performance.  The following requirements address degraded brake system performance on the railroad's high-speed trainsets\u2014\n\n(1) Loss of power or failure of regenerative brake shall not result in exceeding the allowable stopping distance as defined by the railroad;\n\n(2) The available friction braking shall be adequate to stop the trainset safely under the operating conditions defined by the railroad;\n\n(3) The operational status of the trainset brake system shall be displayed for the driver in the operating cab; and\n\n(4) Under \u00a7 299.607(b)(5), the railroad shall demonstrate through analysis and testing the maximum speed for safely operating its trainsets using only the friction brake system with no thermal damage to equipment or infrastructure. The analysis and testing shall also determine the maximum safe operating speed for various percentages of operative friction brakes.\n\n(g)  Main reservoir system.  The main reservoirs in a trainset shall be designed and tested to meet the requirements set forth in JIS B 8265:2010(E) (incorporated by reference,  see  \u00a7 299.17). Reservoirs shall be certified based on their size and volume requirements.\n\n(h)  Main reservoir tests.  Prior to initial installation, each main reservoir shall be subjected to a pneumatic or hydrostatic pressure test based on the maximum working pressure defined in paragraph (g) of this section unless otherwise established by the railroad's mechanical officer. Records of the test date, location, and pressure shall be maintained by the railroad for the life of the equipment. Periodic inspection requirements for main reservoirs shall be defined in the railroad's inspection, testing, and maintenance program required under \u00a7 299.445.\n\n(i)  Brake gauges.  All mechanical gauges and all devices providing electronic indication of air pressure that are used by the driver to aid in the control or braking of a trainset shall be located so that they can be conveniently read from the driver's normal position during operation of the trainset.\n\n(j)  Brake application/release.  (1) Brake actuators shall be designed to provide brake pad clearance when the brakes are released.\n\n(2) The minimum brake cylinder pressure shall be established to provide adequate adjustment from minimum service to emergency for proper trainset operation.\n\n(k)  Leakage.  The method of inspection for main reservoir pipe and brake cylinder pipe leakage shall be prescribed in the railroad's inspection, testing, and maintenance program required by \u00a7 299.445.\n\n(l)  Slide alarm.  (1) A trainset shall be equipped with an adhesion control system designed to automatically adjust the braking force on each wheel to prevent sliding during braking.\n\n(2) A wheel slide alarm that is visual or audible, or both, shall alert the driver in the operating cab to wheel-slide conditions on any axle of the trainset.\n\n(3) Operating restrictions for a trainset with wheel slide protection devices that are not functioning as intended shall be defined by the railroad under its requirements for movement of defective equipment required by \u00a7 299.447, and within the railroad's operating rules, as appropriate.\n\n(m)  Monitoring and diagnostic system.  Each trainset shall be equipped with a monitoring and diagnostic system that is designed to assess the functionality of the brake system for the entire trainset automatically. Details of the system operation and the method of communication of brake system functionality prior to the dispatch of the trainset shall be described in detail in the railroad's Operating Rules and inspection, testing, and maintenance program required by \u00a7 299.445.\n\n(n)  Trainset securement.  Each trainset shall be equipped with a means of securing the equipment, independent of the friction brake, on the grade condition defined by the railroad. The railroad's operating rules shall define procedures for trainset securement and the railroad shall demonstrate that these procedures effectively secure the equipment in accordance with \u00a7 299.607(b)(5).\n\n(o)  Rescue operation; brake system.  A trainset's brake system shall be designed so as to allow a rescue vehicle or trainset to control its brakes when the trainset is disabled."], ["49:49:4.1.1.1.55.4.138.6", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.411 Bogies and suspension system.", "FRA", "", "", "", "(a)  Wheel climb.  (1) Suspension systems shall be designed to reasonably prevent wheel climb, wheel unloading, rail rollover, rail shift, and a vehicle from overturning to ensure safe, stable performance and ride quality. These requirements shall be met\u2014\n\n(i) In all operating environments, and under all track conditions and loading conditions as determined by the railroad; and\n\n(ii) At all track speeds and over all track qualities consistent with the requirements in subpart C of this part, up to the maximum trainset speed and maximum cant deficiency of the equipment in accordance with \u00a7 299.609(g).\n\n(2) All passenger equipment shall meet the safety performance standards for suspension systems contained in \u00a7 299.609(h). In particular\u2014\n\n(i)  Vehicle/track system qualification.  All trainsets shall demonstrate safe operation during vehicle/track system qualification in accordance with \u00a7 299.609 and is subject to the requirements of \u00a7 299.315.\n\n(ii)  Revenue service operation.  All passenger equipment in service is subject to the requirements of \u00a7 299.315.\n\n(b)  Lateral accelerations.  The trainsets shall not operate under conditions that result in a steady-state lateral acceleration greater than 0.15g, as measured parallel to the car floor inside the passenger compartment.\n\n(c)  Journal bearing overheat sensors.  Bearing overheat sensors shall be provided on all journal bearings on each trainset."], ["49:49:4.1.1.1.55.4.138.7", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.413 Fire safety.", "FRA", "", "", "", "(a)  General.  All materials used in constructing the interior of the trainset shall meet the flammability and smoke emission characteristics and testing standards contained in appendix B to part 238 of this chapter. For purposes of this section, the interior of the trainset includes walls, floors, ceilings, seats, doors, windows, electrical conduits, air ducts, and any other internal equipment.\n\n(b)  Certification.  The railroad shall require certification that a representative sample of combustible materials to be\u2014\n\n(1) Used in constructing a passenger car or a cab, or\n\n(2) Introduced in a passenger car or a cab, as part of any kind of rebuild, refurbishment, or overhaul of the car or cab, has been tested by a recognized independent testing laboratory and that the results show the representative sample complies with the requirements of paragraph (a) of this section at the time it was tested.\n\n(c)  Fire safety analysis.  The railroad shall ensure that fire safety considerations and features in the design of the trainsets reduce the risk of personal injury caused by fire to an acceptable level in its operating environment using a formal safety methodology. To this end, the railroad shall complete a written fire safety analysis for the passenger equipment being procured. In conducting the analysis, the railroad shall\u2014\n\n(1) Identify, analyze, and prioritize the fire hazards inherent in the design of the equipment.\n\n(2) Take effective steps to design the equipment and select materials which help provide sufficient fire resistance to reasonably ensure adequate time to detect a fire and safely evacuate the passengers and crewmembers, if a fire cannot be prevented. Factors to consider include potential ignition sources; the type, quantity, and location of the materials; and availability of rapid and safe egress to the exterior of the equipment under conditions secure from fire, smoke, and other hazards.\n\n(3) Reasonably ensure that a ventilation system in the equipment does not contribute to the lethality of a fire.\n\n(4) Identify in writing any trainset component that is a risk of initiating fire and which requires overheat protection. An overheat detector shall be installed in any component when the analysis determines that an overheat detector is necessary.\n\n(5) Identify in writing any unoccupied trainset compartment that contains equipment or material that poses a fire hazard, and analyze the benefit provided by including a fire or smoke detection system in each compartment so identified. A fire or smoke detector shall be installed in any unoccupied compartment when the analysis determines that such equipment is necessary to ensure sufficient time for the safe evacuation of passengers and crewmembers from the trainset. For purposes of this section, an unoccupied trainset compartment means any part of the equipment structure that is not normally occupied during operation of the trainset, including a closet, baggage compartment, food pantry, etc.\n\n(6) Determine whether any occupied or unoccupied space requires a portable fire extinguisher and, if so, the proper type and size of the fire extinguisher for each location. As required by \u00a7 239.101 of this chapter, each passenger car is required to have a minimum of one portable fire extinguisher. If the analysis performed indicates that one or more additional portable fire extinguishers are needed, such shall be installed.\n\n(7) Analyze the benefit provided by including a fixed, automatic fire-suppression system in any unoccupied trainset compartment that contains equipment or material that poses a fire hazard, and determine the proper type and size of the automatic fire-suppression system for each such location. A fixed, automatic fire-suppression system shall be installed in any unoccupied compartment when the analysis determines that such equipment is practical and necessary to ensure sufficient time for the safe evacuation of passengers and crewmembers from the trainset.\n\n(8) Explain how safety issues are resolved in the design of the equipment and selection of materials to reduce the risk of each fire hazard.\n\n(9) Describe the analysis and testing necessary to demonstrate that the fire protection approach taken in the design of the equipment and selection of materials meets the fire protection requirements of this part.\n\n(d)  Inspection, testing, and maintenance.  The railroad shall develop and adopt written procedures for the inspection, testing, and maintenance of all fire safety systems and fire safety equipment on the passenger equipment it operates under \u00a7 299.445(b), and subpart G of this part. The railroad shall comply with those procedures that it designates as mandatory for the safety of the equipment and its occupants."], ["49:49:4.1.1.1.55.4.138.8", 49, "Transportation", "II", "", "299", "PART 299\u2014TEXAS CENTRAL RAILROAD HIGH-SPEED RAIL SAFETY STANDARDS", "D", "Subpart D\u2014Rolling Stock", "", "\u00a7 299.415 Doors.", "FRA", "", "", "", "(a) Each powered, exterior side door in a vestibule that is partitioned from the passenger compartment of a trainset shall have a manual override device that is\u2014\n\n(1) Capable of releasing the door to permit it to be opened without power.\n\n(2) Located such that\u2014\n\n(i) Interior access is provided adjacent to each manual door release mechanism; and,\n\n(ii) Exterior access is provided on each side of each car.\n\n(3) Designed and maintained so that a person may access and operate the override device readily without requiring the use of a tool or other implement.\n\n(4) The railroad may protect a manual override device used to open a powered, exterior door with a cover or a screen.\n\n(5) When a manual override device is activated, door panel friction, including seals and hangers, shall allow the doors to be opened or closed manually with as low a force as practicable.\n\n(6) The emergency release mechanism shall require manual reset.\n\n(b) Each passenger car shall have a minimum of one exterior side door per side. Each such door shall provide a minimum clear opening with dimensions of 813 mm (32 inches) horizontally by 1,850 mm (72.8 inches) vertically.\n\n(c) Door exits shall be marked, and instructions provided for their use, as specified in \u00a7 299.423.\n\n(d) All doors intended for access by emergency responders shall be marked, and instructions provided for their use, as specified in \u00a7 299.423.\n\n(e) Vestibule doors and other interior doors intended for passage through a passenger car.\n\n(1)  General.  Except for a door providing access to a control compartment each powered vestibule door and any other powered interior door intended for passage through a passenger car shall have a manual override device that conforms with the requirements of paragraphs (e)(2) and (3) of this section.\n\n(2)  Manual override devices.  Each manual override device shall be:\n\n(i) Capable of releasing the door to permit it to be opened without power;\n\n(ii) Located adjacent to the door it controls; and\n\n(iii) Designed and maintained so that a person may readily access and operate the override device from each side of the door without the use of a tool or other implement.\n\n(3)  Marking and instructions.  Each manual override device and each retention mechanism shall be marked, and instructions provided for their use, as specified in \u00a7 299.423.\n\n(f) The status of each powered, exterior side door in a passenger car shall be displayed to the driver in the operating cab. Door interlock sensors shall be provided to detect trainset motion and shall be nominally set to operate at 5 km/h.\n\n(g) All powered exterior side passenger doors shall\u2014\n\n(1) Be equipped with the service-proven door safety system utilized by the N700 or an alternate door safety system designed subject to a Failure Modes, Effects, Criticality Analysis (FMECA);\n\n(2) Be designed with an obstruction detection system capable of detecting a rigid flat bar, 6.4 mm (\n 1/4  inches) wide and 76 mm (3 inches) high and a rigid rod, 9.5 mm (\n 3/8  inches) in diameter;\n\n(3) Incorporate an obstruction detection system sufficient to detect large obstructions;\n\n(4) Be designed so that activation of a door by-pass feature does not affect the operation of the obstruction detection system on all the other doors on the trainset;\n\n(5) Have the door control station located in a secured area that is only accessible to crewmembers or maintenance personnel;\n\n(6) Be designed such that the door open or closed circuit is not affected by the throttle position; and\n\n(7) Use discrete, dedicated trainlines for door-open and door-close commands, door-closed summary circuit, and no motion, if trainlined.\n\n(h) All powered exterior side door systems in a trainset shall\u2014\n\n(1) Be designed with a door summary circuit. The door summary circuit shall be connected or interlocked to prohibit the trainset from developing tractive power if an exterior side door in a passenger car, other than a door under the direct physical control of a crewmember for his or her exclusive use, is not closed;\n\n(2) Be connected to side door status indicators located on the exterior of each unit of the trainset;\n\n(3) Be connected to a door summary status indicator that is readily viewable to the driver from his or her normal position in the operating cab;\n\n(4) If equipped with a trainset-wide door by-pass device, be designed so that the trainset-wide door by-pass functions only when activated from the operating cab of the trainset;\n\n(5) Be equipped with a lock (cut-out/lock-out) mechanism installed at each door panel to secure a door in the closed and locked position. When the lock mechanism is utilized to secure the door in the closed position, a door-closed indication shall be provided to the door summary circuit; and\n\n(6) Be designed such that a crew key or other secure device be required to lock-out an exterior side door to prevent unauthorized use.\n\n(i)(1)  Visual inspections and functional tests.  The inspection and functional tests required for the door safety system, including the trainset-wide door by-pass verification, shall be conducted in accordance with the railroad's trainset inspection, testing, and maintenance program in accordance with \u00a7 299.445, and operating rules under subpart E.\n\n(2)  Face-to-face relief.  Crewmembers taking control of a trainset do not need to perform a visual inspection or a functional test of the door by-pass devices in cases of face-to-face relief of another trainset crew and notification by that crew as to the functioning of the door by-pass devices.\n\n(j) The railroad shall maintain a record of each door by-pass activation and each unintended opening of a powered exterior side door, including any repair(s) made, in the defect tracking system as required by \u00a7 299.445(h)."]], "truncated": false, "filtered_table_rows_count": 119, "expanded_columns": [], "expandable_columns": [], "columns": ["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"], "primary_keys": ["section_id"], "units": {}, "query": {"sql": "select 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 from cfr_sections where \"part_number\" = :p0 order by section_id limit 101", "params": {"p0": "299"}}, "facet_results": {"title_number": {"name": "title_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=299", "results": [{"value": 49, "label": 49, "count": 89, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&title_number=49", "selected": false}, {"value": 34, "label": 34, "count": 27, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&title_number=34", "selected": false}, {"value": 21, "label": 21, "count": 3, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&title_number=21", "selected": false}], "truncated": false}, "agency": {"name": "agency", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=299", "results": [{"value": "FRA", "label": "FRA", "count": 89, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&agency=FRA", "selected": false}, {"value": "ED", "label": "ED", "count": 27, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&agency=ED", "selected": false}, {"value": "FDA", "label": "FDA", "count": 3, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&agency=FDA", "selected": false}], "truncated": false}, "part_number": {"name": "part_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=299", "results": [{"value": "299", "label": "299", "count": 119, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json", "selected": true}], "truncated": false}}, "suggested_facets": [{"name": "title_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=title_name"}, {"name": "chapter", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=chapter"}, {"name": "subchapter", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=subchapter"}, {"name": "part_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=part_name"}, {"name": "subpart", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=subpart"}, {"name": "subpart_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=subpart_name"}, {"name": "amendment_citations", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_facet=amendment_citations"}], "next": "49~3A49~3A4~2E1~2E1~2E1~2E55~2E4~2E138~2E8,49~3A49~3A4~2E1~2E1~2E1~2E55~2E4~2E138~2E8", "next_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=299&_next=49~3A49~3A4~2E1~2E1~2E1~2E55~2E4~2E138~2E8%2C49~3A49~3A4~2E1~2E1~2E1~2E55~2E4~2E138~2E8&_sort=section_id", "private": false, "allow_execute_sql": true, "query_ms": 4008.4368400275707, "source": "Federal Register API & Regulations.gov API", "source_url": "https://www.federalregister.gov/developers/api/v1", "license": "Public Domain (U.S. Government data)", "license_url": "https://www.regulations.gov/faq"}