Amended in Senate June 30, 2016

Amended in Senate June 20, 2016

California Legislature—2015–16 Regular Session

Assembly BillNo. 2912


Introduced by Committee on Natural Resources

March 15, 2016


An act to amend Section 5654 of the Fish and Game Code, and to amend Sections 8670.3, 8670.25.5, 8670.27, 8670.29, 8670.31, 8670.37.58, 8670.54, 8670.56.5, 8670.56.6, and 8670.59 of the Government Code, relating to oil spills.

LEGISLATIVE COUNSEL’S DIGEST

AB 2912, as amended, Committee on Natural Resources. Oil spills.

The Lempert-Keene-Seastrand Oil Spill Prevention and Response Act generally requires the administrator for oil spill response, acting at the direction of the Governor, to implement activities relating to oil spill response, including emergency drills and preparedness, and oil spill containment and cleanup. The act requires each owner or operator of a tank vessel, nontank vessel carrying oil as a secondary cargo, or facility to submit, upon request of the administrator, a copy of a federally approved oil spill response plan at the time of approval of the plan.

This bill would instead require each owner or operator of a tank vessel, nontank vessel, vessel carrying oil as a secondary cargo, or facility to submit, upon request of the administrator, a copy of a federally approved oil spill response plan at the time of approval of the plan. The bill also would revise and add various definitions within the act and would make nonsubstantive changes to these and other provisions.

Vote: majority. Appropriation: no. Fiscal committee: yes. State-mandated local program: no.

The people of the State of California do enact as follows:

P2    1

SECTION 1.  

Section 5654 of the Fish and Game Code is
2amended to read:

3

5654.  

(a) (1) Notwithstanding Section 7715 and except as
4provided in paragraph (2), the director, within 24 hours of
5notification of a spill or discharge, as those terms are defined in
6Section 8670.3 of the Government Code, where any fishing,
7including all commercial, recreational, and nonlicensed subsistence
8fishing, may take place, or where aquaculture operations are taking
9place, shall close to the take of all fish and shellfish all waters in
10the vicinity of the spill or discharge or where the spilled or
11discharged material has spread, or is likely to spread. In
12determining where a spill or discharge is likely to spread, the
13director shall consult with the Administrator of the Office of Spill
14Prevention and Response. At the time of closure, the department
15shall make all reasonable efforts to notify the public of the closure,
16including notification to commercial and recreational fishing
17organizations, and posting of warnings on public piers and other
18locations where subsistence fishing is known to occur. The
19department shall coordinate, when possible, with local and regional
20agencies and organizations to expedite public notification.

21(2) Closure pursuant to paragraph (1) is not required if, within
2224 hours of notification of a spill or discharge, the Office of
23Environmental Health Hazard Assessment finds that a public health
24threat does not or is unlikely to exist.

25(b) Within 48 hours of notification of a spill or discharge subject
26to subdivision (a), the director, in consultation with the Office of
27Environmental Health Hazard Assessment, shall make an
28assessment and determine all of the following:

29(1) The danger posed to the public from fishing in the area where
30the spill or discharge occurred or spread, and the danger of
31consuming fish taken in the area where the spill or discharge
32occurred or spread.

33(2) Whether the areas closed for the take of fish or shellfish
34should be expanded to prevent any potential take or consumption
P3    1of any fish or shellfish that may have been contaminated by the
2spill or discharge.

3(3) The likely period for maintaining a closure on the take of
4fish and shellfish in order to prevent any possible contaminated
5fish or shellfish from being taken or consumed or other threats to
6human health.

7(c) Within 48 hours after receiving notification of a spill or
8discharge subject to subdivision (a), or as soon as is feasible, the
9director, in consultation with the Office of Environmental Health
10Hazard Assessment, shall assess and determine the potential danger
11from consuming fish that have been contained in a recirculating
12seawater tank onboard a vessel that may become contaminated by
13the vessel’s movement through an area where the spill or discharge
14occurred or spread.

15(d) If the director finds in his or her assessment pursuant to
16subdivision (b) that there is no significant risk to the public or to
17the fisheries, the director may immediately reopen the closed area
18and waive the testing requirements of subdivisions (e) and (f).

19(e) Except under the conditions specified in subdivision (d),
20after complying with subdivisions (a) and (b), the director, in
21consultation with the Office of Environmental Health Hazard
22Assessment, but in no event more than seven days from the
23notification of the spill or discharge, shall order expedited tests of
24fish and shellfish that would have been open for take for
25commercial, recreational, or subsistence purposes in the closed
26area if not for the closure, to determine the levels of contamination,
27if any, and whether the fish or shellfish is safe for human
28 consumption.

29(f) (1) Within 24 hours of receiving a notification from the
30Office of Environmental Health Hazard Assessment that no threat
31to human health exists from the spill or discharge or that no
32contaminant from the spill or discharge is present that could
33contaminate fish or shellfish, the director shall reopen the areas
34closed pursuant to this section. The director may maintain a closure
35in any remaining portion of the closed area where the Office of
36Environmental Health Hazard Assessment finds contamination
37from the spill or discharge persists that may adversely affect human
38health.

39(2) The director, in consultation with the commission, may also
40maintain a closure in any remaining portion of the closed area
P4    1where commercial fishing or aquaculture occurs and where the
2department determines, pursuant to this paragraph, that
3contamination from the spill or discharge persists that may cause
4the waste of commercial fish or shellfish as regulated by Section
57701.

6(g) To the extent feasible, the director shall consult with
7representatives of commercial and recreational fishing associations
8and subsistence fishing communities regarding the extent and
9duration of a closure, testing protocols, and findings. If a spill or
10discharge occurs within the lands governed by a Native American
11tribe or affects waters flowing through tribal lands, or tribal
12fisheries, the director shall consult with the affected tribal
13governments.

14(h) The director shall seek full reimbursement from the
15responsible party or parties for the spill or discharge for all
16reasonable costs incurred by the department in carrying out this
17section, including, but not limited to, all testing.

18

SEC. 2.  

Section 8670.3 of the Government Code is amended
19to read:

20

8670.3.  

Unless the context requires otherwise, the following
21definitions shall govern the construction of this chapter:

22(a) “Administrator” means the administrator for oil spill response
23appointed by the Governor pursuant to Section 8670.4.

24(b) (1) “Best achievable protection” means the highest level of
25protection that can be achieved through both the use of the best
26achievable technology and those manpower levels, training
27procedures, and operational methods that provide the greatest
28degree of protection achievable. The administrator’s determination
29of which measures provide the best achievable protection shall be
30guided by the critical need to protect valuable natural resources
31and state waters, while also considering all of the following:

32(A) The protection provided by the measure.

33(B) The technological achievability of the measure.

34(C) The cost of the measure.

35(2) The administrator shall not use a cost-benefit or
36cost-effectiveness analysis or any particular method of analysis in
37determining which measures provide the best achievable protection.
38The administrator shall instead, when determining which measures
39provide best achievable protection, give reasonable consideration
40to the protection provided by the measures, the technological
P5    1achievability of the measures, and the cost of the measures when
2establishing the requirements to provide the best achievable
3protection for the natural resources of the state.

4(c) (1) “Best achievable technology” means that technology
5that provides the greatest degree of protection, taking into
6consideration both of the following:

7(A) Processes that are being developed, or could feasibly be
8developed anywhere in the world, given overall reasonable
9expenditures on research and development.

10(B) Processes that are currently in use anywhere in the world.

11(2) In determining what is the best achievable technology
12pursuant to this chapter, the administrator shall consider the
13effectiveness and engineering feasibility of the technology.

14(d) “California oil spill contingency plan” means the California
15oil spill contingency plan prepared pursuant to Article 3.5
16(commencing with Section 8574.1) of Chapter 7.

17(e) “Dedicated response resources” means equipment and
18personnel committed solely to oil spill response, containment, and
19cleanup that are not used for any other activity that would adversely
20affect the ability of that equipment and personnel to provide oil
21spill response services in the timeframes for which the equipment
22and personnel are rated.

23(f) “Environmentally sensitive area” means an area defined
24pursuant to the applicable area contingency plans or geographic
25response plans, as created and revised by the Coast Guard, the
26United States Environmental Protection Agency, and the
27administrator.

28(g) (1) “Facility” means any of the following located in state
29waters or located where an oil spill may impact state waters:

30(A) A building, structure, installation, or equipment used in oil
31exploration, oil well drilling operations, oil production, oil refining,
32oil storage, oil gathering, oil processing, oil transfer, oil
33distribution, or oil transportation.

34(B) A marine terminal.

35(C) A pipeline that transports oil.

36(D) A railroad that transports oil as cargo.

37(E) A drill ship, semisubmersible drilling platform, jack-up type
38drilling rig, or any other floating or temporary drilling platform.

39(2) “Facility” does not include any of the following:

P6    1(A) A vessel, except a vessel located and used for any purpose
2described in subparagraph (E) of paragraph (1).

3(B) An owner or operator subject to Chapter 6.67 (commencing
4with Section 25270) or Chapter 6.75 (commencing with Section
525299.10) of Division 20 of the Health and Safety Code.

6(C) Operations on a farm, nursery, logging site, or construction
7site that are either of the following:

8(i) Do not exceed 20,000 gallons in a single storage tank.

9(ii) Have a useable tank storage capacity not exceeding 75,000
10gallons.

11(D) A small craft refueling dock.

12(h) “Local government” means a chartered or general law city,
13a chartered or general law county, or a city and county.

14(i) (1) “Marine terminal” means any facility used for
15transferring oil to or from a tank ship or tank barge.

16(2) “Marine terminal” includes, for purposes of this chapter, all
17piping not integrally connected to a tank facility, as defined in
18subdivision (n) of Section 25270.2 of the Health and Safety Code.

19(j) “Marine waters” means those waters subject to tidal
20influence, and includes the waterways used for waterborne
21commercial vessel traffic to the Port of Sacramento and the Port
22of Stockton.

23(k) “Mobile transfer unit” means a vehicle, truck, or trailer,
24including all connecting hoses and piping, used for the transferring
25of oil at a location where a discharge could impact waters of the
26state.

27(l) “Nondedicated response resources” means those response
28resources identified by an Oil Spill Response Organization for oil
29spill response activities that are not dedicated response resources.

30(m) “Nonpersistent oil” means a petroleum-based oil, such as
31gasoline or jet fuel, that evaporates relatively quickly and is an oil
32with hydrocarbon fractions, at least 50 percent of which, by
33volume, distills at a temperature of 645 degrees Fahrenheit, and
34at least 95 percent of which, by volume, distills at a temperature
35of 700 degrees Fahrenheit.

36(n) “Nontank vessel” means a vessel of 300 gross tons or greater
37that carries oil, but does not carry that oil as cargo.

38(o) “Oil” means any kind of petroleum, liquid hydrocarbons,
39or petroleum products or any fraction or residues therefrom,
40including, but not limited to, crude oil, bunker fuel, gasoline, diesel
P7    1fuel, aviation fuel, oil sludge, oil refuse, oil mixed with waste, and
2liquid distillates from unprocessed natural gas.

3(p) “Oil spill cleanup agent” means a chemical, or any other
4substance, used for removing, dispersing, or otherwise cleaning
5up oil or any residual products of petroleum in, or on, any of the
6waters of the state.

7(q) “Oil spill contingency plan” or “contingency plan” means
8the oil spill contingency plan required pursuant to Article 5
9(commencing with Section 8670.28).

10(r) (1) “Oil spill response organization” or “OSRO” means an
11individual, organization, association, cooperative, or other entity
12that provides, or intends to provide, equipment, personnel, supplies,
13or other services directly related to oil spill containment, cleanup,
14or removal activities.

15(2) “OSRO” does not include an owner or operator with an oil
16spill contingency plan approved by the administrator or an entity
17that only provides spill management services, or who provides
18services or equipment that are only ancillary to containment,
19cleanup, or removal activities.

20(s) (1) “Owner” or “operator” means any of the following:

21(A) In the case of a vessel, a person who owns, has an ownership
22interest in, operates, charters by demise, or leases the vessel.

23(B) In the case of a facility, a person who owns, has an
24ownership interest in, or operates the facility.

25(C) Except as provided in subparagraph (D), in the case of a
26vessel or facility, where title or control was conveyed due to
27bankruptcy, foreclosure, tax delinquency, abandonment, or similar
28means to an entity of state or local government, a person who
29owned, held an ownership interest in, operated, or otherwise
30controlled activities concerning the vessel or facility immediately
31beforehand.

32(D) An entity of the state or local government that acquired
33ownership or control of a vessel or facility, when the entity of the
34state or local government has caused or contributed to a spill or
35discharge of oil into waters of the state.

36(2) “Owner” or “operator” does not include a person who,
37without participating in the management of a vessel or facility,
38holds indicia of ownership primarily to protect the person’s security
39interest in the vessel or facility.

P8    1(3) “Operator” does not include a person who owns the land
2underlying a facility or the facility itself if the person is not
3involved in the operations of the facility.

4(t) “Person” means an individual, trust, firm, joint stock
5company, or corporation, including, but not limited to, a
6government corporation, partnership, and association. “Person”
7also includes a city, county, city and county, district, and the state
8or any department or agency thereof, and the federal government,
9or any department or agency thereof, to the extent permitted by
10law.

11(u) “Pipeline” means a pipeline used at any time to transport
12oil.

13(v) “Railroad” means a railroad, railway, rail car, rolling stock,
14or train.

15(w) “Rated OSRO” means an OSRO that has received a
16satisfactory rating from the administrator for a particular rating
17level established pursuant to Section 8670.30.

18(x) “Response efforts” means rendering care, assistance, or
19advice in accordance with the National Contingency Plan, the
20California oil spill contingency plan, or at the direction of the
21administrator, the United States Environmental Protection Agency,
22or the United States Coast Guard in response to a spill or a
23threatened spill into waters of the state.

24(y) “Responsible party” or “party responsible” means any of
25the following:

26(1) The owner or transporter of oil or a person or entity accepting
27responsibility for the oil.

28(2) The owner, operator, or lessee of, or a person that charters
29by demise, a vessel or facility, or a person or entity accepting
30responsibility for the vessel or facility.

31(z) “Small craft” means a vessel, other than a tank ship or tank
32barge, that is less than 20 meters in length.

33(aa) “Small craft refueling dock” means a waterside operation
34that dispenses only nonpersistent oil in bulk and small amounts of
35persistent lubrication oil in containers primarily to small craft and
36meets both of the following criteria:

37(1) Has tank storage capacity not exceeding 20,000 gallons in
38any single storage tank or tank compartment.

39(2) Has total usable tank storage capacity not exceeding 75,000
40gallons.

P9    1(ab) “Small marine fueling facility” means either of the
2following:

3(1) A mobile transfer unit.

4(2) A fixed facility that is not a marine terminal, that dispenses
5primarily nonpersistent oil, that may dispense small amounts of
6persistent oil, primarily to small craft, and that meets all of the
7following criteria:

8(A) Has tank storage capacity greater than 20,000 gallons but
9not more than 40,000 gallons in any single storage tank or storage
10tank compartment.

11(B) Has total usable tank storage capacity not exceeding 75,000
12gallons.

13(C) Had an annual throughput volume of over-the-water transfers
14of oil that did not exceed 3,000,000 gallons during the most recent
15preceding 12-month period.

16(ac) “Spill,” “discharge,” or “oil spill” means a release of any
17amount of oil into waters of the state that is not authorized by a
18federal, state, or local government entity.

19(ad) “Tank barge” means a vessel that carries oil in commercial
20quantities as cargo but is not equipped with a means of
21self-propulsion.

22(ae) “Tank ship” means a self-propelled vessel that is
23constructed or adapted for the carriage of oil in bulk or in
24commercial quantities as cargo.

25(af) “Tank vessel” means a tank ship or tank barge.

26(ag) “Vessel” means a watercraft or ship of any kind, including
27every structure adapted to be navigated from place to place for the
28transportation of merchandise or persons.

29(ah) “Vessel carrying oil as secondary cargo” means a vessel
30that does not carry oil as a primary cargo, but does carry oil as
31cargo. The administrator may establish minimum oil volume
32amounts or other criteria by regulations.

33(ai) “Waters of the state” or “state waters” means any surface
34water, including saline waters, marine waters, and freshwaters,
35within the boundaries of the state but does not include groundwater.

36

SEC. 3.  

Section 8670.25.5 of the Government Code is amended
37to read:

38

8670.25.5.  

(a) (1) Without regard to intent or negligence, any
39party responsible for the discharge or threatened discharge of oil
40in waters of the state shall report the discharge immediately to the
P10   1Office of Emergency Services pursuant to Section 25510 of the
2Health and Safety Code.

3(2) If the information initially reported pursuant to paragraph
4(1) was inaccurate or incomplete, or if the quantity of oil discharged
5has changed, any party responsible for the discharge or threatened
6discharge of oil in waters of the state shall report the updated
7information immediately to the Office of Emergency Services
8pursuant to paragraph (1). The report shall contain the accurate or
9complete information, or the revised quantity of oil discharged.

10(b) Immediately upon receiving notification pursuant to
11subdivision (a), the Office of Emergency Services shall notify the
12administrator, the State Lands Commission, the California Coastal
13Commission, the California regional water quality control board
14having jurisdiction over the location of the discharged oil, and the
15appropriate local governmental agencies in the area surrounding
16the discharged oil, and take the actions required by subdivision
17(d) of Section 8589.7. If the spill has occurred within the
18jurisdiction of the San Francisco Bay Conservation and
19Development Commission, the Office of Emergency Services shall
20notify that commission. Each public agency specified in this
21subdivision shall adopt an internal protocol over communications
22regarding the discharge of oil and file the internal protocol with
23the Office of Emergency Services.

24(c) The 24-hour emergency telephone number of the Office of
25Emergency Services shall be posted at every railroad dispatch,
26pipeline operator control center, marine terminal, area of control
27of every other facility, and on the bridge of every tank ship in
28marine waters.

29(d) Except as otherwise provided in this section and Section
308589.7, a notification made pursuant to this section shall satisfy
31any immediate notification requirement contained in any permit
32issued by a permitting agency.

33

SEC. 4.  

Section 8670.27 of the Government Code is amended
34to read:

35

8670.27.  

(a) (1) All potentially responsible parties for an oil
36spill and all of their agents and employees and all state and local
37agencies shall carry out response and cleanup operations in
38accordance with the applicable contingency plan, unless directed
39otherwise by the administrator, the United States Coast Guard, or
40the United States Environmental Protection Agency.

P11   1(2) Except as provided in subdivision (b), the responsible party,
2potentially responsible parties, their agents and employees, the
3operators of all vessels docked at a marine facility that is the source
4of a discharge, and all state and local agencies shall carry out spill
5response consistent with the California oil spill contingency plan
6or other applicable federal, state, or local spill response plans, and
7owners and operators shall carry out spill response consistent with
8their applicable response contingency plans, unless directed
9otherwise by the administrator, the United States Coast Guard, or
10the United States Environmental Protection Agency.

11(b) If a responsible party or potentially responsible party
12reasonably, and in good faith, believes that the directions or orders
13given by the administrator pursuant to subdivision (a) will
14substantially endanger the public safety or the environment, the
15party may refuse to act in compliance with the orders or directions
16of the administrator. The responsible party or potentially
17responsible party shall state, at the time of the refusal, the reasons
18why the party refuses to follow the orders or directions of the
19administrator. The responsible party or potentially responsible
20party shall give the administrator written notice of the reasons for
21the refusal within 48 hours of refusing to follow the orders or
22directions of the administrator. In any civil or criminal proceeding
23commenced pursuant to this section, the burden of proof shall be
24on the responsible party or potentially responsible party to
25demonstrate, by clear and convincing evidence, why the refusal
26to follow the orders or directions of the administrator was justified
27under the circumstances.

28

SEC. 5.  

Section 8670.29 of the Government Code is amended
29to read:

30

8670.29.  

(a) In accordance with the rules, regulations, and
31policies established by the administrator pursuant to Section
328670.28, an owner or operator of a facility, small marine fueling
33facility, or mobile transfer unit, or an owner or operator of a tank
34vessel, nontank vessel, or vessel carrying oil as secondary cargo,
35while operating in the waters of the state or where a spill could
36impact waters of the state, shall have an oil spill contingency plan
37that has been submitted to, and approved by, the administrator
38pursuant to Section 8670.31. An oil spill contingency plan shall
39ensure the undertaking of prompt and adequate response and
40removal action in case of a spill, shall be consistent with the
P12   1California oil spill contingency plan, and shall not conflict with
2the National Oil and Hazardous Substances Pollution Contingency
3Plan (NCP).

4(b) An oil spill contingency plan shall, at a minimum, meet all
5of the following requirements:

6(1) Be a written document, reviewed for feasibility and
7executability, and signed by the owner or operator, or his or her
8designee.

9(2) Provide for the use of a recognized incident command system
10to be used during a spill.

11(3) Provide procedures for reporting oil spills to local, state,
12and federal agencies, and include a list of contacts to call in the
13event of a drill, threatened spill, or spill.

14(4) Describe the communication plans to be used during a spill,
15if different from those used by a recognized incident command
16system.

17(5) Describe the strategies for the protection of environmentally
18sensitive areas.

19(6) Identify at least one rated OSRO for each rating level
20established pursuant to Section 8670.30. Each identified rated
21OSRO shall be directly responsible by contract, agreement, or
22other approved means to provide oil spill response activities
23pursuant to the oil spill contingency plan. A rated OSRO may
24provide oil spill response activities individually, or in combination
25with another rated OSRO, for a particular owner or operator.

26(7) Identify a qualified individual.

27(8) Provide the name, address, and telephone and facsimile
28 numbers for an agent for service of process, located within the
29state and designated to receive legal documents on behalf of the
30owner or operator.

31(9) Provide for training and drills on elements of the plan at
32least annually, with all elements of the plan subject to a drill at
33least once every three years.

34(c) An oil spill contingency plan for a vessel shall also include,
35but is not limited to, all of the following requirements:

36(1) The plan shall be submitted to the administrator at least
37seven days prior to the vessel entering waters of the state.

38(2) The plan shall provide evidence of compliance with the
39International Safety Management Code, established by the
40International Maritime Organization, as applicable.

P13   1(3) If the oil spill contingency plan is for a tank vessel, the plan
2shall include both of the following:

3(A) The plan shall specify oil and petroleum cargo capacity.

4(B) The plan shall specify the types of oil and petroleum cargo
5carried.

6(4) If the oil spill contingency plan is for a nontank vessel, the
7plan shall include both of the following:

8(A) The plan shall specify the type and total amount of fuel
9carried.

10(B) The plan shall specify the capacity of the largest fuel tank.

11(d) An oil spill contingency plan for a facility shall also include,
12but is not limited to, all of the following provisions, as appropriate:

13(1) Provisions for site security and control.

14(2) Provisions for emergency medical treatment and first aid.

15(3) Provisions for safety training, as required by state and federal
16safety laws for all personnel likely to be engaged in oil spill
17response.

18(4) Provisions detailing site layout and locations of
19environmentally sensitive areas requiring special protection.

20(5) Provisions for vessels that are in the operational control of
21the facility for loading and unloading.

22(e) Unless preempted by federal law or regulations, an oil spill
23contingency plan for a railroad also shall include, but is not limited
24to, all of the following:

25(1) A list of the types of train cars that may make up the consist.

26(2) A list of the types of oil and petroleum products that may
27be transported.

28(3) A map of track routes and facilities.

29(4) A list, description, and map of any prestaged spill response
30equipment and personnel for deployment of the equipment.

31(f) The oil spill contingency plan shall be available to response
32personnel and to relevant state and federal agencies for inspection
33and review.

34(g) The oil spill contingency plan shall be reviewed periodically
35and updated as necessary. All updates shall be submitted to the
36administrator pursuant to this article.

37(h) In addition to the regulations adopted pursuant to Section
388670.28, the administrator shall adopt regulations and guidelines
39to implement this section. The regulations and guidelines shall
40provide for the best achievable protection of waters and natural
P14   1resources of the state. The administrator may establish additional
2oil spill contingency plan requirements, including, but not limited
3to, requirements based on the different geographic regions of the
4state. All regulations and guidelines shall be developed in
5consultation with the Oil Spill Technical Advisory Committee.

6(i) Notwithstanding subdivision (a) and paragraph (6) of
7subdivision (b), a vessel or facility operating where a spill could
8impact state waters that are not tidally influenced shall identify a
9rated OSRO in the contingency plan no later than January 1, 2016.

10

SEC. 6.  

Section 8670.31 of the Government Code is amended
11to read:

12

8670.31.  

(a) Each oil spill contingency plan required under
13this article shall be submitted to the administrator for review and
14approval.

15(b) The administrator shall review each submitted contingency
16plan to determine whether it complies with the administrator’s
17rules, policies, and regulations adopted pursuant to Sections
188670.28 and 8670.29. The administrator may issue a preliminary
19approval pending final approval or disapproval.

20(c) Each contingency plan submitted shall be approved or
21disapproved within 30 days after receipt by the administrator. The
22administrator may approve or disapprove portions of a plan. A
23plan is not deemed approved until all portions are approved
24pursuant to this section. The disapproved portion shall be subject
25to the procedures contained in subdivision (d).

26(d) If the administrator finds the submitted contingency plan is
27inadequate under the rules, policies, and regulations of the
28administrator, the plan shall be returned to the submitter with
29written reasons why the plan was found inadequate and, if
30practicable, suggested modifications or alternatives, if appropriate.
31The submitter shall submit a new or modified plan within 30 days
32after the earlier plan was returned, responding to the findings and
33incorporating any suggested modifications. The resubmittal shall
34be treated as a new submittal and processed according to the
35provisions of this section, except that the resubmitted plan shall
36be deemed approved unless the administrator acts pursuant to
37subdivision (c).

38(e) The administrator may make inspections and require drills
39of any oil spill contingency plan that is submitted.

P15   1(f) After the plan has been approved, it shall be resubmitted
2every five years thereafter. The administrator may require earlier
3or more frequent resubmission, if warranted. Circumstances that
4would require an earlier resubmission include, but are not limited
5to, changes in regulations, new oil spill response technologies,
6deficiencies identified in the evaluation conducted pursuant to
7Section 8670.19, or a need for a different oil spill response because
8of increased need to protect endangered species habitat. The
9administrator may deny approval of the resubmitted plan if it is
10no longer considered adequate according to the adopted rules,
11regulations, and policies of the administrator at the time of
12resubmission.

13(g) Each owner or operator of a tank vessel, nontank vessel,
14vessel carrying oil as a secondary cargo, or facility who is required
15to file an oil spill response plan or update pursuant to provisions
16of federal law regulating oil spill response plans shall submit, for
17informational purposes only and upon request of the administrator,
18a copy of that plan or update to the administrator at the time that
19it is approved by the relevant federal agency.

20

SEC. 7.  

Section 8670.37.58 of the Government Code is
21amended to read:

22

8670.37.58.  

(a) A nontank vessel shall not enter waters of the
23state unless the nontank vessel owner or operator has provided to
24the administrator evidence of financial responsibility that
25demonstrates, to the administrator’s satisfaction, the ability to pay
26at least three hundred million dollars ($300,000,000) to cover
27damages caused by a spill, and the owner or operator of the nontank
28vessel has obtained a certificate of financial responsibility from
29the administrator for the nontank vessel.

30(b) Notwithstanding subdivision (a), the administrator may
31establish a lower standard of financial responsibility for a nontank
32vessel that has a carrying capacity of 6,500 barrels of oil or less,
33or for a nontank vessel that is owned and operated by California
34or a federal agency and has a carrying capacity of 7,500 barrels of
35oil or less. The standard shall be based upon the quantity of oil
36that can be carried by the nontank vessel and the risk of an oil spill
37into waters of the state. The administrator shall not set a standard
38that is less than the expected cleanup costs and damages from an
39oil spill into waters of the state.

P16   1(c) A nontank vessel fee shall be submitted along with the
2application for the certificate, as required pursuant to Section
38670.41.

4(d) The administrator may adopt regulations to implement this
5section.

6

SEC. 8.  

Section 8670.54 of the Government Code is amended
7to read:

8

8670.54.  

(a) The Oil Spill Technical Advisory Committee,
9hereafter in this article, the committee, is hereby established to
10provide public input and independent judgment of the actions of
11the administrator. The committee shall consist of 14 members, of
12whom eight shall be appointed by the Governor, three by the
13Speaker of the Assembly, and three by the Senate Committee on
14Rules. The appointments shall be made in the following manner:

15(1) The Speaker of the Assembly and Senate Committee on
16Rules shall each appoint a member who shall be a representative
17of the public.

18(2) The Governor shall appoint a member who has a
19demonstrable knowledge of marine transportation.

20(3) The Speaker of the Assembly and the Senate Committee on
21Rules shall each appoint two members who have demonstrable
22knowledge of environmental protection and the study of
23ecosystems.

24(4) The Governor shall appoint a member who has served as a
25local government elected official or who has worked for a local
26government.

27(5) The Governor shall appoint a member who has experience
28in oil spill response and prevention programs.

29(6) The Governor shall appoint a member who has been
30employed in the petroleum industry.

31(7) The Governor shall appoint a member who has worked in
32state government.

33(8) The Governor shall appoint a member who has demonstrable
34knowledge of the dry cargo vessel industry.

35(9) The Governor shall appoint a member who has demonstrable
36knowledge of the railroad industry.

37(10) The Governor shall appoint a member who has
38demonstrable knowledge of the oil production industry.

39(b) The committee shall meet as often as required, but at least
40twice per year. Members shall be paid one hundred dollars ($100)
P17   1per day for each meeting and all necessary travel expenses at state
2per diem rates.

3(c) The administrator and any personnel the administrator
4determines to be appropriate shall serve as staff to the committee.

5(d) A chair and vice chair shall be elected by a majority vote of
6the committee.

7

SEC. 9.  

Section 8670.56.5 of the Government Code is amended
8to read:

9

8670.56.5.  

(a)  A responsible party, as defined in Section
108670.3, shall be absolutely liable without regard to fault for any
11damages incurred by any injured person that arise out of, or are
12caused by, a spill.

13(b) A responsible party is not liable to an injured person under
14this section for any of the following:

15(1) Damages, other than costs of removal incurred by the state
16or a local government, caused solely by any act of war, hostilities,
17civil war, or insurrection or by an unanticipated grave natural
18disaster or other act of God of an exceptional, inevitable, and
19irresistible character, that could not have been prevented or avoided
20by the exercise of due care or foresight.

21(2) Damages caused solely by the negligence or intentional
22malfeasance of that injured person.

23(3) Damages caused solely by the criminal act of a third party
24other than the defendant or an agent or employee of the defendant.

25(4) Natural seepage not caused by a responsible party.

26(5) Discharge or leaking of oil or natural gas from a private
27pleasure boat or vessel.

28(6) Damages that arise out of, or are caused by, a discharge that
29is authorized by a state or federal permit.

30(c) The defenses provided in subdivision (b) shall not be
31available to a responsible party who fails to comply with Sections
328670.25, 8670.25.5, 8670.27, and 8670.62.

33(d) Upon motion and sufficient showing by a party deemed to
34be a responsible party under this section, the court shall join to the
35action any other party who may be a responsible party under this
36section.

37(e) In determining whether a party is a responsible party under
38this section, the court shall consider the results of chemical or other
39scientific tests conducted to determine whether oil or other
40substances produced, discharged, or controlled by the defendant
P18   1matches the oil or other substance that caused the damage to the
2injuredbegin delete person.end deletebegin insert party.end insert The defendant shall have the burden of
3producing the results of tests of samples of the substance that
4caused the injury and of substances for which the defendant is
5responsible, unless it is not possible to conduct the tests because
6of unavailability of samples to test or because the substance is not
7one for which reliable tests have been developed. At the request
8of a party, any other party shall provide samples of oil or other
9substances within its possession or control for testing.

10(f) The court may award reasonable costs of the suit, attorneys’
11fees, and the costs of necessary expert witnesses to a prevailing
12plaintiff. The court may award reasonable costs of the suit and
13attorneys’ fees to a prevailing defendant if the court finds that the
14plaintiff commenced or prosecuted the suit pursuant to this section
15in bad faith or solely for purposes of harassing the defendant.

16(g) This section does not prohibit a person from bringing an
17action for damages caused by oil or by exploration, under any
18other provision or principle of law, including, but not limited to,
19common law. However, damages shall not be awarded pursuant
20to this section to an injured person for loss or injury for which the
21person is or has been awarded damages under any other provision
22or principle of law. Subdivision (b) does not create a defense not
23otherwise available regarding an action brought under any other
24provision or principle of law, including, but not limited to, common
25law.

26(h) Damages for which responsible parties are liable under this
27section include the following:

28(1) All costs of response, containment, cleanup, removal, and
29treatment, including, but not limited to, monitoring and
30administration costs incurred pursuant to the California oil spill
31contingency plan or actions taken pursuant to directions by the
32administrator.

33(2) Injury to, or economic losses resulting from destruction of
34or injury to, real or personal property, which shall be recoverable
35by any claimant who has an ownership or leasehold interest in
36property.

37(3) Injury to, destruction of or loss of, natural resources,
38including, but not limited to, the reasonable costs of rehabilitating
39wildlife, habitat, and other resources and the reasonable costs of
40assessing that injury, destruction, or loss, in an action brought by
P19   1the state, a county, city, or district. Damages for the loss of natural
2resources may be determined by any reasonable method, including,
3but not limited to, determination according to the costs of restoring
4the lost resource.

5(4) Loss of subsistence use of natural resources, which shall be
6recoverable by a claimant who so uses natural resources that have
7been injured, destroyed, or lost.

8(5) Loss of taxes, royalties, rents, or net profit shares caused by
9the injury, destruction, loss, or impairment of use of real property,
10personal property, or natural resources.

11(6) Loss of profits or impairment of earning capacity due to the
12injury, destruction, or loss of real property, personal property, or
13natural resources, which shall be recoverable by any claimant who
14derives at least 25 percent of his or her earnings from the activities
15that utilize the property or natural resources, or, if those activities
16are seasonal in nature, 25 percent of his or her earnings during the
17applicable season.

18(7) Loss of use and enjoyment of natural resources, public
19beaches, and other public resources or facilities, in an action
20brought by the state, a county, city, or district.

21(i) Except as provided in Section 1431.2 of the Civil Code,
22liability under this section shall be joint and several. However, this
23section does not bar a cause of action that a responsible party has
24or would have, by reason of subrogation or otherwise, against a
25person.

26(j) This section does not apply to claims for damages for
27personal injury or wrongful death, and does not limit the right of
28a person to bring an action for personal injury or wrongful death
29pursuant to any provision or principle of law.

30(k)  Payments made by a responsible party to cover liabilities
31arising from a discharge of oil, whether under this division or any
32other provision of federal, state, or local law, shall not be charged
33against royalties, rents, or net profits owed to the United States,
34the state, or any other public entity.

35(l)  An action that a private or public individual or entity may
36have against a responsible party under this section may be brought
37directly by the individual or entity or by the state on behalf of the
38individual or entity. However, the state shall not pursue an action
39on behalf of a private individual or entity that requests the state
40not to pursue that action.

P20   1(m) For purposes of this section, “vessels” means vessels as
2defined in Section 21 of the Harbors and Navigation Code.

3

SEC. 10.  

Section 8670.56.6 of the Government Code is
4amended to read:

5

8670.56.6.  

(a) (1) Except as provided in subdivisions (b) and
6(d), and subject to subdivision (c), a person, including, but not
7limited to, an oil spill response organization, its agents,
8subcontractors, or employees, shall not be liable under this chapter
9or the laws of the state to any person for costs, damages, or other
10claims or expenses as a result of actions taken or omitted in good
11faith in the course of response efforts.

12(2) The qualified immunity under this section shall not apply
13to any response efforts that are inconsistent with the following:

14(A) The directions of the unified command, consisting of at
15least the Coast Guard and the administrator.

16(B) In the absence of a unified command, the directions of the
17administrator pursuant to Section 8670.27.

18(C) In the absence of directions pursuant to subparagraph (A)
19or (B), applicable oil spill contingency plans implemented under
20this division.

21(3) This section does not, in any manner or respect, affect or
22impair any cause of action against or any liability of any party or
23parties responsible for the spill, for the discharged oil, or for the
24vessel, terminal, pipeline, or facility from which the oil was
25discharged. The responsible party or parties shall remain liable for
26any and all damages arising from the discharge, including damages
27arising from improperly carried out response efforts, as otherwise
28provided by law.

29(b) This section does not, in any manner or respect, affect or
30impair any cause of action against or any liability of any party or
31parties responsible for the spill, or the responsible party’s agents,
32employees, or subcontractors, except persons immunized under
33subdivision (a) for response efforts, for the discharged oil, or for
34the vessel, terminal, pipeline, or facility from which the oil was
35discharged.

36(c) The responsible party or parties shall be subject to both of
37the following:

38(1) Notwithstanding subdivision (b) or (i) of Section 8670.56.5,
39or any other law, be strictly and jointly and severally liable for all
40damages arising pursuant to subdivision (h) of Section 8670.56.5
P21   1from the response efforts of its agents, employees, subcontractors,
2or an oil spill response organization of which it is a member or
3with which it has a contract or other arrangement for cleanup of
4its oil spills, unless it would have a defense to the original spill.

5(2) Remain strictly liable for any and all damages arising from
6the response efforts of a person other than a person specified in
7paragraph (1).

8(d)  This section does not immunize an oil spill response
9organization or any other person from liability for acts of gross
10negligence or willful misconduct in connection with response
11efforts.

12(e) This section does not apply to any action for personal injury
13or wrongful death.

14(f) [Reserved]

15(g) Except for the responsible party, membership in an oil spill
16response organization shall not be grounds, in and of itself, for
17liability resulting from response efforts of the oil spill response
18organization.

19(h) For purposes of this section, there shall be a rebuttable
20presumption that an act or omission described in subdivision (a)
21was taken in good faith.

22(i) In any situation in which immunity is granted pursuant to
23subdivision (a) and a responsible party is not liable, is not liable
24for noneconomic damages caused by another, or is partially or
25totally insolvent, the fund provided for in Article 7 (commencing
26with Section 8670.46) shall reimburse, in accordance with its terms,
27claims of any injured person for which a person who is granted
28immunity pursuant to this section would otherwise be liable.

29(j) (1) The immunity granted by this section shall only apply
30to response efforts that are undertaken after the administrator
31 certifies that contracts withbegin insert persons who areend insert qualified and
32responsiblebegin delete contractorsend delete are in place to ensure an adequate and
33expeditious response to any foreseeable oil spill that may occur in
34waters of the state for which the responsible party (A) cannot be
35identified or (B) is unable or unwilling to respond, contain, and
36clean up the oil spill in an adequate and timely manner. In
37negotiating these contracts, the administrator shall procure, to the
38maximum extent practicable, the services of persons who are
39willing to respond to oil spills with no, or lesser, immunity than
40that conferred by this section, but, in no event, a greater immunity.
P22   1The administrator shall make the certification required by this
2subdivision on an annual basis. Upon certification, the immunity
3conferred by this section shall apply to all response efforts
4undertaken during the calendar year to which the certification
5applies. In the absence of the certification required by this
6subdivision, the immunity conferred by this section shall not attach
7to any response efforts undertaken by any person in waters of the
8state.

9(2) In addition to the authority to negotiate contracts described
10in paragraph (1), the administrator may also negotiate and enter
11into indemnification agreements withbegin insert persons who areend insert qualified
12and financially responsiblebegin delete contractorsend delete to respond to oil spills that
13may occur in waters of the state for which the responsible party
14(A) cannot be identified or (B) is unable or unwilling to respond,
15contain, and clean up the oil spill in an adequate and timely manner.

16(3) The administrator may indemnify response contractors for
17(A) all damages payable by means of settlement or judgment that
18arise from response efforts to which the immunity conferred by
19this section would otherwise apply, and (B) reasonably related
20legal costs and expenses incurred by the responder, provided that
21indemnification shall only apply to response efforts undertaken
22 after the expiration of any immunity that may exist as the result
23of the contract negotiations authorized in this subdivision. In
24negotiating these contracts, the administrator shall procure, to the
25maximum extent practicable, the services of persons who are
26willing to respond to oil spills with no, or as little, right to
27indemnification as possible. All indemnification shall be paid by
28the administrator from the Oil Spill Response Trust Fund.

29(4) (A) The contracts required by this section, and any other
30contracts entered into by the administrator for response,
31containment, or cleanup of an existing spill, or for response of an
32imminent threat of a spill, the payment of which is to be made
33from the Oil Spill Response Trust Fund created pursuant to Section
348670.46, shall be exempt from Part 2 (commencing with Section
3510100) of Division 2 of the Public Contract Code and Article 6
36(commencing with Section 999) of Chapter 6 of Division 4 of the
37Military and Veterans Code.

38(B) The exemption specified in subparagraph (A) applies only
39to contracts for which the services are used for a period of less
40than 90 days, cumulatively, per year.

P23   1(C) This paragraph shall not be construed as limiting the
2administrator’s authority to exercise the emergency powers granted
3pursuant to subdivision (c) of Section 8670.62, including the
4authority to enter into emergency contracts that are exempt from
5approval by the Department of General Services.

6(k) (1) With regard to a person who is regularly engaged in the
7business of responding to oil spills, the immunity conferred by
8this section shall not apply to any response efforts by that person
9that occur later than 60 days after the first day the person’s response
10efforts commence.

11(2) Notwithstanding the limitation contained in paragraph (1),
12the administrator may extend, upon making all the following
13findings, the period of time, not to exceed 30 days, during which
14the immunity conferred by this section applies to response efforts:

15(A) Due to inadequate or incomplete containment and
16stabilization, there exists a substantial probability that the size of
17the spill will significantly expand and (i) threaten previously
18uncontaminated resources, (ii) threaten already contaminated
19resources with substantial additional contamination, or (iii)
20otherwise endanger the public health and safety or harm the
21environment.

22(B) The remaining work is of a difficult or perilous nature that
23extension of the immunity is clearly in the public interest.

24(C) No other qualified and financially responsible contractor is
25prepared and willing to complete the response effort in the absence
26of the immunity, or a lesser immunity, as negotiated by contract.

27(3) The administrator shall provide five days’ notice of his or
28her proposed decision to either extend, or not extend, the immunity
29conferred by this section. Interested parties shall be given an
30opportunity to present oral and written evidence at an informal
31hearing. In making his or her proposed decision, the administrator
32shall specifically seek and consider the advice of the relevant Coast
33Guard representative. The administrator’s decision to not extend
34the immunity shall be announced at least 10 working days before
35the expiration of the immunity to provide persons an opportunity
36to terminate their response efforts as contemplated by paragraph
37(4).

38(4) A person or their agents, subcontractors, or employees shall
39not incur any liability under this chapter or any other provision of
40law solely as a result of that person’s decision to terminate their
P24   1response efforts because of the expiration of the immunity
2conferred by this section. A person’s decision to terminate response
3efforts because of the expiration of the immunity conferred by this
4section shall not in any manner impair, curtail, limit, or otherwise
5affect the immunity conferred on the person with regard to the
6person’s response efforts undertaken during the period of time the
7immunity applied to those response efforts.

8(5) The immunity granted under this section shall attach, without
9the limitation contained in this subdivision, to the response efforts
10of any person who is not regularly engaged in the business of
11responding to oil spills. A person who is not regularly engaged in
12the business of responding to oil spills includes, but is not limited
13to, (A) a person who is primarily dedicated to the preservation and
14rehabilitation of wildlife and (B) a person who derives his or her
15livelihood primarily from fishing.

16

SEC. 11.  

Section 8670.59 of the Government Code is amended
17to read:

18

8670.59.  

(a) Any civil action brought pursuant to this chapter,
19or pursuant to Division 7.8 (commencing with Section 8750) of
20the Public Resources Code, shall be brought in the county in which
21the spill, discharge, or violation occurred, the county in which the
22principal place of business of the defendant is located, or the county
23in which the defendant is doing business in this state.

24(b) (1) Notwithstanding any other provision of law, all criminal
25actions for the prosecution of misdemeanor violations of this
26chapter or Division 7.8 (commencing with Section 8750) of the
27Public Resources Code shall be commenced within one year from
28the date of the discovery of the facts or circumstances that
29constitute the violation.

30(2) Notwithstanding any other provision of law, all criminal
31actions for the prosecution of felony violations of this chapter or
32Division 7.8 (commencing with Section 8750) of the Public
33Resources Code shall be commenced within three years from the
34date of the discovery of the facts or circumstances that constitute
35the violation.

36(c) Notwithstanding any other provision of law, except as
37provided in subdivision (d), any action to recover civil damages
38or penalties shall be commenced within three years from the date
39of discovery of the facts or circumstances that constitute a violation
P25   1of this chapter or Division 7.8 (commencing with Section 8750)
2of the Public Resources Code.

3(d) Any action to recover civil damages or penalties pursuant
4to paragraph (3), (4), (5), (6), or (7) of subdivision (h) of Section
58670.56.5 because of effects on natural resources shall be
6commenced within five years from the date of the discovery of
7the facts or circumstances that are the basis for the cause of action.

8(e) Any action to compel the removal of oil or the restoration
9and rehabilitation of wildlife and wildlife habitat shall be
10commenced within five years from the date of discovery of the
11facts or circumstances that constitute a violation of this chapter or
12Division 7.8 (commencing with Section 8750) of the Public
13Resources Code.

14(f) For purposes of subdivisions (b), (c), (d), and (e), “date of
15discovery” means the actual date that facts sufficient to establish
16that a violation of this chapter or Division 7.8 (commencing with
17Section 8750) of the Public Resources Code has occurred are
18discovered by a peace officer appointed pursuant to Section 851
19of the Fish and Game Code.

20(g) The administrator may adopt regulations prescribing
21procedures for the implementation of this section.



O

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