EMISSIONS CONTROLS Sample Clauses

The Emissions Controls clause sets requirements and limitations on the release of pollutants or greenhouse gases by a party, typically in the context of operations, manufacturing, or project activities. It may specify compliance with applicable environmental laws, mandate the use of certain technologies or practices to reduce emissions, or require regular monitoring and reporting of emission levels. This clause serves to ensure that environmental standards are met, mitigate legal and reputational risks, and promote sustainable practices by controlling and minimizing harmful emissions.
EMISSIONS CONTROLS. Vehicles and engines shall comply with all applicable Federal, State and Local laws, regulations and directives in effect on the date of manufacture.
EMISSIONS CONTROLS. Under this factor, the existing level of control of emission sources is taken into consideration. The emissions data used by EPA in this technical analysis and provided in Table 2 represent emissions levels taking into account any control strategies implemented in Frisco before 2005 on stationary sources. As noted above, Exide applied for a received a revised permit that lowered the allowed emissions rates for the facility.. The area was designated to attainment of the 1978 lead NAAQS and has been under the control of a 10-year maintenance plan since 1999. TCEQ submitted a second 10 year maintenance plan to EPA on September 15, 2009 in order to demonstrate a continued attainment of the 1978 standard, until a SIP revision for the nonattainment area is approved by EPA. For this factor, EPA considered data from National Weather Service instruments and other meteorological monitoring sites in the area. Wind direction and wind speed data for 2006-2009 are in Figure 3 below. These data may provide evidence of the potential for lead emissions sources located upwind of a violating monitor to contribute to ambient lead levels at the violation location. For each county, EPA reviewed the prevailing wind direction and wind speed on days/months with the highest observed ambient lead levels. A three-dimensional bar chart shows the wind frequencies in eight directions, for the four seasons, based on thirty two years of historical data1 for Frisco, Texas. The chart of frequencies reflects the directions from which the winds come. The area recommended by Texas reflects this pattern because the area extends to the north further from the Exide facility than to the south reflecting the prevailing south wind. Figure 3: Historic wind direction frequency in each of the four seasons in Collin County, Texas As shown in Figure 3, the prevailing surface winds predominantly were from the SSW. Geography/topography (mountain ranges or other air basin boundaries) The geography/topography analysis evaluates the physical features of the land that might have an effect on the air shed and, therefore, on the distribution of lead over the Frisco area. 1 This data was taken from 1960-1992 Solar and Meteorological Surface Observation Network information issued jointly by the U.S. Department of Commerce: National Climatic Data Center and the U.S. Department of Energy: National Renewable Energy Laboratory. The Frisco area does not have any geographical or topographical barriers significantly limi...

Related to EMISSIONS CONTROLS

  • Audit Controls a. System Security Review. CONTRACTOR must ensure audit control mechanisms that record and examine system activity are in place. All systems processing and/or storing PHI COUNTY discloses to CONTRACTOR or CONTRACTOR creates, receives, maintains, or transmits on behalf of COUNTY must have at least an annual system risk assessment/security review which provides assurance that administrative, physical, and technical controls are functioning effectively and providing adequate levels of protection. Reviews should include vulnerability scanning tools.

  • Access Controls a. Authorized Access - DST shall have controls that are designed to maintain the logical separation such that access to systems hosting Fund Data and/or being used to provide services to Fund will uniquely identify each individual requiring access, grant access only to authorized personnel based on the principle of least privileges, and prevent unauthorized access to Fund Data. b. User Access - DST shall have a process to promptly disable access to Fund Data by any DST personnel who no longer requires such access. DST will also promptly remove access of Fund personnel upon receipt of notification from Fund.

  • Export Controls Both Parties will adhere to all applicable laws, regulations and rules relating to the export of technical data and will not export or re-export any technical data, any products received from the other Party or the direct product of such technical data to any proscribed country listed in such applicable laws, regulations and rules unless properly authorized.

  • Disclosure Controls The Company and its subsidiaries maintain an effective system of “disclosure controls and procedures” (as defined in Rule 13a-15(e) of the Exchange Act) that complies with the requirements of the Exchange Act and that has been designed to ensure that information required to be disclosed by the Company in reports that it files or submits under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the Commission’s rules and forms, including controls and procedures designed to ensure that such information is accumulated and communicated to the Company’s management as appropriate to allow timely decisions regarding required disclosure. The Company and its subsidiaries have carried out evaluations of the effectiveness of their disclosure controls and procedures as required by Rule 13a-15 of the Exchange Act.

  • TIA Controls If any provision of this Indenture limits, qualifies, or conflicts with another provision which is required to be included in this Indenture by the TIA, the required provision shall control.